OpenCharities

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2021-03-31-accounts

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Summary ofthe main
achievements
ofthe charity
during the year
Toiletry and activity packs have been delivered
upon request which we
are told are found extremely
useful and we have now added another
ward to our deliveries.
This year we have also gifted bulk lots offidget
toys and sweet cones as extra treats for the children.
Over 50 Christmas
dinners were delivered across the three wards on
Christmas
day which has been our largest total yet.
We have resumed
public fundraising
gradually
as the pandemic
has
caused so much uncertainty
in recent times. We did manage a few
events and itwas great to begin engaging
with our supporters
again.
Going forward as restrictions ease further we are confident
and excited
to
regain regular fundraising
events.
Briefstatement
ofthe
charity's
policy on reserves
We will retain sufficient funds to function
effectively.
We wili not accrue
reserves greater than
3tP%%d ofannual
income with a maximum
reserve of
f5000
Details ofany funds
materially
in deficit
None
Further financial review details tOptionat
information)
You may choose to include
additional
information,
where
relevant
about:
This year we were lucky to have been chosen
by Persimmon
Komes io
receive af5000 donation
which has been so greatly appreciated
After a
dreadful
financial year last year this has helped
substantially
We initially
the charity's
principal
sources offunds
(including
any
fundraising);
applied fora larger donation to fund a holiday
horne for families however
this wasn't possible this year. The smaller donation
however
will fund
daytrips
and holidays toa sensory caravan we are pleased to have found to
partner
with us upon availability.
We were able to organise a small number offundraising
events raising our
how expenditure
has
supported
the key
objectives ofthe charity;
annual
total further.
We continue to be registered
with the fundraising
regulator
and make every
effort to comply with the standards
set. We ensure that the code of
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investment
policy and
objectives including
any
ethical investment
policy
adopted.
fundraising
practice is kept at all times and urge members
ofthe public
fundraising
on our behalf to adhere to this also.
We have not received any complaints
this year
Our complaints
procedure
available
via the fundraising
regulator
is
Our expenditure
has supported
our objectives as all monies spent has
benefited
either our families or our bid to raise awareness
and advance
education
and research.
We do not pay any wages for employment.
We do not hold an
investments.
TAR March 2012
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CHARITY COly)I)/II$$10I/l
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CHARITY COly)I)/II$$10I/l
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CHARITY COly)I)/II$$10I/l
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The Wu W~ Foun~on Wu W~ Foun~on
Receipts and payments accounts CC16a
Forthe period 31.01.2021 To 31/01/2022
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Unrestricted Restricted Endowment
funds funds funds Total funds Last year
to the nearest to the nearest E lothe nearest f tolhe nearest f lothe nearest E
A1 Receipts
Charity fuudraaets
Spcttsotships
Public donshone
540
Paypalgiving
Butseness Dotlallons
386
Sub total ('Gross income for
AR) S,%la
A2Asset and invesbnent sales,
(see table).
Sub total
Total rtmelpts 6,905 - - 8.908 1,306
A3 Payments
Cost ol voluntary receipts:
Fundraising
costs
Casts ofchas/able
Actmbes 313 313 212
Hospital
lmlehy packs
Hospital acbnly packs
Educahoc acd Travel
Campus,
panting and advedistog
115 115 531
35
Hosptaal
Christmas
dinners 250 250
Sub total 1,281 1,281 1,759
A4 Asset and investment
purchases,
(see table)
Sub total
Total payments 1,251 - 1,281 1,759
Net ofrecefptsl(paymenfr)
ASTransfers
between funds
5,627 5,627
A6 Cash funds fast year end 1,440 1,440
Cash funds this year end 7,067 7,067 1,440
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Unrestricted Restricted Endowment
Del'-' l Is funds funds funds
Bf Cash funds lo nearest
E
lo nearest E lo nearest E
Total cash funds 7,067
laylss bslascss wah lscshlfs asd psylswss
accounts))
Unrestricted Restricted Endowment
funds funds funds
Details to nearest E lo nearest E lo nearest E
B2Other monetary assets
Fund tOwfsch Current value
BSInvestment assets Details asset balan
s
o tiona
Furld lo which Current
value
Details asset balan
84Assets retained for the Charity ursfouc fundraisiug
costs
charity's
own use
Cofachon Tubs fund calslug coals 233
hficsophone fuudrawing
costs
20
Sansug bosey hcceafaf ac)mess
Leaflet stand advclhslcg 10
Fund)a which Anlountdus Whoa due
85Liabilities Data)Is liabil
relates
o ai o
anal
Signed by one or two lruslees on
behalf of sg the trustees
Signature Print Name Date cf
a
rcval
3c/t (z2
/t /&