REGASTERED CHARITY NUMBER: 1187476
rt of the Tw5te
naudited Fin
En
March 2
for
Able & Young Limited
Airpon Hov5e
Purley Way
Croydon
Surrey
CRO OXZ

hildren¥ Su
Foundation CIO
Conien
fort
f the Fin
ial Stsiem¢n
nded 31 March ?
Report of the TThsk¢s
Ito2
Indepclldent Examinerfs R¢￿rt
Statement of Finan¢i81 Aaivitie5
Balance Sheet
Notts to the Financial Statements
6tolO
Detailed Siatem¢nt of FIn￿rIal A(tivitie5

The Children's Su
Re
for
th Trust¢
Year Ended
l March 20
The trustees present thcir rew)rt with the financial 5ta*ments of the charity for the year ended 31 Mar¢h 2025. The
t￿ste¢S have adopted the provisions of A¢￿U￿ting and Reporting by Charities: Statemcnt of Recommended Practice
appli¢&bl¢ to charities preparing their accounts in accordance with the Financial Reporting Standard appli¢abl¢ in the
UK and Republic of Irelartd IFRS 102) (effective l January 20151.
0￿ECTIVEs AND AcfivITIES
Objectives and alms
Th¢ ¢)bjects of the CIO are for the public benefii of ¢hildren acrD5S the United Kingth)m and the rest of the worfd. In
particular.
To provide relief from sickne&8 by the provision of medical equipmeni or the improvement of fa¢ilities at hospitals
or forouip¥tients ai home as the tn]stces shall de¢erniin¢ at their ab501ut¢ discrction.
To provide r¢lief from sickness through th¢ support of ireathneDI, Iraining and r¢sear¢h foT the public ￿er1¢ of
hildren and young people.
Such other ¢harÉtable purposes for the r¢lief of si¢knes& whether or not connected wth hospita15. as the trustees
sh￿[ dEtermine at their absolu* distr￿10￿.
Sigthifl¢ant activities
The CIO provided £23,547 chariiable better￿ during the year. This was in the forni of a donation to Nottin8harn
University H05Pitals NHS Trust.
ACHIEVEMENT AND PERFORMANC
Charitabl¢ activities
Our main focus continues ro be Ibe Bearn CaTDpaiBn, which aims to ensure thai intravenou5 IIVI aecess is a more
efficient and less intimidating procedure for youn8 patients and their familLC5. The ¢ampaign aims to purchasc a mobile
ultrasound vein find¢r for the 26 paediatric surgical wards in the UK, as well as a training and inforniation programme.
for which we need to rnise £1 million. Please read mor¢ Jbout this ambitious ¢ampaign here..
www.childrenssur
foundation.OT
As part of th¢ Beam Campaign, we professionally produ¢¢d a filn) in 2024 to our fundraisin8 efforts. We have been
working witb th￿e key hospitals w in p￿paration for donation5 for them to purchase a mobile Ultr￿ourtd vein finder.
Investment ptrforn*ttet
The Yalue of th¢ clwity's invc5tmenl Portfolio has increased during the year with £532 gairts on investments. £(32)
1055¢5 of such gains were realised upon disposal and the remainsn8 £564 are unrealis¢d and in respect of investments
still held at the year end.
FINAIYCIAL REVIEW
PrllltipAI futtding $owrces
The principal funding SOYTces are inv¢stment income and don8tion5 by the gerter￿ publi¢. Don*ions are often as a
result of specific fundraising events.
lllvestment policy obje¢tives
The ossets of the CIO are invested in a professionally managed diverse inve5trnrnt rx)rtfolio. This is designed to achieve
long-term gTQWth in both capithl and income so a5 to fuDd ¢haTitable expenditure in the forni of grants. The CIO
employs Brook5 MacDonald as in¥¢stment managers for this portfolio.
Reserves policy
The tru5t¢es actively build Up surpluses within the 8enera] fund from whigh to pay the day to day expenses of ihe
charity. This js siipported wh¢r¢ver possible by appeals. Th¢ tyvstees endeavour to mairttain a minimum of one yeae5
running costs in reserves.
The ch*rity only purcha5cs equipment for whith it h#s funding. othmvise fvndraising is undertaken SPEcifi¢ally for )n
stem of equipmenL The charity hAs minimal rnnning W515.
STRUCTURE. GOVERNANCE AND MANAGEMENT
Coveroittg dt)eument
The charity is an in¢orporal¢d etstity governed under a constitution of a Charitable Incorporated Organisatiott.
Page J

The C*ild
FIMmdation CIO
rtofthe
th Yew En
ees
l Ma￿h 20
REFERENCE AND ADMIYISTRATIVE D￿AlL$
Regi$terod Charity
1187476
PrlDeipAI ￿d￿*S%
Ockley House
Lower Pl8nlation
Loudwdter
Rickmansworth
Herffordshire
WD3 4PQ
Trustees
Dr J Fishm#￿ Bsc, MBBS
M J Haddad, MB. Bch. FRCS
Thomas WathiD5 (appointed 31 May 2024)
Dr C Pardy, Bst, MBBS
R Stewart. MD FRCS FRCS (Paed)
Adrienne Cohen {appointed 7 July 2025)
l*dÈpendent txamlntr
Ms Rekha Shah FCCA
Able & Young Limi*d
Airport Hous¢
Purf¢y Way
Croydon
Surrey
CRO OXZ
COMMENCEMENT OF AcfiviTIES
Activities commencrd with effeffl from l A¥Yil 2020 the a¢qu￿l￿ort of th¢ net *ssets of The Children's Surgery
Foundation. Charity Registration number 283091. This is now the 5th complete yearof our Charitable activities.
Approved by Order of the toard of In￿¢¢$0￿ 30 January 2026 thj siwKd on its behalf by:
M J Haddad, MB, Bch, FRCS- Trns*e

Inde
nt Examine15 Re
rtiat
e Trustee5 of
The Children.
Sur
Fourtdation Cl
Independent eximlnerfs report to the tn￿le￿ of The Children'$ Surgery FouThd8ti•th CIO
I report to the charity trnst¢e5 on my examirtation of the acctsurtts of The Children's Sur8ery Foundation cio (the
Charity) for the year ended 31 Marth 2025.
Resp)nsibllltl¢s And IMSi$ of re￿rt
As the chariiy twstttg of di¢ Charity you ar¢ responsible for the preparation of the accounts in 8ccordanc¢ with the
requiTemenis of ihe Charities Act 2011 (Ihe Act'}.
I re￿rt in resped of my cxaminalion of the Charity'$ accounts c8rrted out under secliort 145 of the Act #T￿ in Carrying
out my examination I havr followed all applicable Directions given by the Chority Commission undeT &￿tIOn 145(SXb)
of the Act.
Independent èximin¢rf$ statement
I have completed my examination. I confiTh that no maferial matters h8Vt come to my atteniion in conn¢¢tion with the
examination giving me ¢wse to belieY¢ that in any material respe¢t'.
counting records were no¢ kept in respect of the Trnst as requiT¢d by sectiop 130 of the Acl: or
the 4¢counts do not aecord w>th those records. or
the 8¢counts do not ¢omply with th¢ opplicable requircmertls Concemini the fomi and ¢4nient of ac¢ounts set
oui in the Charilses (Acwunts and R¢ports} Regul￿10￿$ 2008 other ihan any requirement that the ￿CoUnt$ $ive
truc and fair view whi¢h hs not & matter ¢onsidered as part of •n irtdependent examination.
I conflnn thai ihere are no other m&tt¢rs to whith your attention Should be drnwn to ¢Mble a PTOP¢f understanding of
th¢ Accounts to be mched.
M5 RekhA Shah FCCA
Abl¢ & Youn8 Limit¢d
Airport House
Purley Way
Croydon
Surr¢y
CRO OXZ
Page 3

The Child
Foundation CIO
Ststement of Finartciai A tiv
es
for the Y
ded 31 March 2025
31.3.25
31.3.24
Re5trict&l Total fund5 Totsl funds
fi￿d
INCOME AND ENDOWMEl￿s FROM
Donations and legxies
1.027
39.8￿2
40.919
16.171
Investment income
3.889
Totxl
4.916
39.892
44.808
20,493
EXPENDITURE ON
Raising fvnd5
Charitable •etivitks
Main Fund
21774
22.774
18,304
23.547
23,547
1,624
25.(A12
25,602
Tot*1
41.376
23.547
71,923
54,963
Net 8ainslllosses) on investhients
532
532
NET INCOMFJ(EXPENDITURE)
{41928)
16.345
126583)
{25,656)
RECONCILIATION OF FIJNDS
Totsl f*Dds brnu%bt forn*rd
111.681
18.442
130.123
155.779
T(wfAL FUNDS CARRIED FORWARD
68.063
130.123
Th¢ not¢5 fomi part of these financial ststements

The Children's Su
F(yJThlation CIO
Balance Shtti
At31 Marc
31.325
31.3.24
Restricted Total fund5 Totsl funds
fund
UnrestrA¢t•J
FIXED ASSETS
Tangible asgts
Inves4n¢nts
89.198
89,198
126.963
CURRENT A￿ET$
DelMOTS
C8sh ai bank
632
16.637
632
16.637
631
17269
17.269
5.660
CRED￿oRs
Amounts falling due within one year
io
(1927}
12,927}
{2.5(Kl)
NET CURRENT A￿ETs
14.342
TOTAL ASSETS LESSCURRENT
LIABILITIES
34.787
103,540
130.123
NET AsS￿s
68.663
34.787
103,540
130.123
FUNDS
Uthrestricted funds
Restricted funds
68.663
34,787
18,442
TOTAL FUNDS
103 540
130,123
Th¢ financial statements were approved by the Board of Trustees on 30 Januwry 2026 a￿1 wer¢ signed on its
behalf by..
M J Haddad, MB. Bch, FRC￿TruSte£
The notes part of these financial ststcmertts

ildren's Su
FoundalioTr Cl
Noks io th Financial Stat
men
for the
Ended
l March ?025
ACCOIJNTING POLICIES
sis of prep*rlng the fiMn¢i*l st•temeMts
The finan¢iai statements of the ¢haYity, whith is a public benefrt entity under FRS 102. have been prepared in
accordance with the Charitie5 SORP {FRS 1021 'AccouThling and Re￿rting by Clwitie5'. Statement of
Rewmmended Practi¢¢ gpplicable to charities prepaTiDg their acLxyunts in a¢cordance with the Financial
Rep)rtin8 Standord applicable in UK and Rcpubli¢ of Ireland (FRS 102) (issued on 2 O¢trTrber 2019),.
Financial R¢tx)rtin8 Stsndard 102 The FinarKiai Rep)rting Stsndard applicable in the UK and Republic of
Irel8tkd' and the Charities Act 2011. The financi￿ statements have be¢n prepared under the historieal cost
eonvention with the exception of inve5mients which are incluthd at market ￿luc. &% modified by ihe revjluation
of certain asS¢ts.
IDCOrnt
All income is r¢cosnised in the Stst¢Jn¢nt of FirtaKial Artivities once the charity has en¢id¢m¢nt to the fisnds, it
is probabl¢ that the income will be ￿¢t1¥¢d the 4rnount ran be me*survJ r¢liably.
Expenditure
Liabilities are reco8ni%d expenditure &s 5(kn as there is a legal or constructive 0blhgatl(￿ comrnitting the
charity to that tyendiiure. it is probabk that a transfer of economic b¢n¢f]ts will be reqUI￿d in scttlement and
the amount of the ￿lIg￿tIOn can be measured r¢liably. ExTrenditUfe is xcounted for on an a¢¢n￿5 basis and has
been classified under headings that a88regate all o)st ￿lated to the Category. kn costs annot be direetly
altrRlJuted to parti¢ular he￿IngS they ha￿ iyen allo¢￿ed ￿ aaivilies on a basis Consistent wtth the use of
Grants offered subjert to cotklitions wh*h have ttot been met at the year ¢nd d*¢ are Tr)ted as A Commitment
but not xcrued &% expe￿jit￿Ie.
TangiNe fixed assets
Depreciation is wovided at the following amual T*5 in (th to writ¢ off each assd over its c5timated u5¢ful
life.
Computer equipment
- 25%oD Cost
TgX*tion
The charity is exemp¢ from tsx on its tharityble x1ivitie
Fund *¢tou•timg
Unrestrictrd fynds can bc used in ￿0rd#￿e with the charitsble objectives * the di5rth)n of thc trustees.
Restricted fund5 ￿ on]y be usd ts ￿1¢￿18[ T¢stri¢ted purposes within the objects of the chariry.
Restrictions arise when spxified by thedornyor when fimds are raised for particular restricted pury%)s¢s.
Further exp￿?11()￿ of the nature and purpose of eath fund 15 included in the Th)tes ￿ th¢ fmancial stat¢m¢n¢s.
DONATIONS AND LEGACIES
AII 2025 (bnations 8tt frrAD in5tilUtions and membcr5 of the public.
INVEsfMENT INCOME
31.3.25
31.3.24
Income from lis*d invesknnents
Lk￿$1¢ wccount interest
3.790
99
4,160
162
3.889
4.322
Page 6

The Chil
ren's S
Foundation CIO
ci
tinued
Ye
Ende
h 2025
TRUSTEES. REMUNERATION AIYD BEIYEFITS
There were no trustees, remuneration or other bth¢fits for the year ended 31 March 2025 nor for the year ended
31 March 2024.
Trn$¢tts' expeDsey
There were no tmstees, expttl￿s paid forthe year ended 31 Mar¢h 2025 t)or for the year ended 31 March 2024.
STAFF COSTS
The aver)8e monthly numb¢rof employees duTins th¢ year was 85 follows..
31.3.25
31.3.24
Administration
No employees reetived ¢molumenis in excess of £60.000.
COMPAFL4TIVES FOR THE STATEMENT OF FINANCIAL AcfiviTIES
Unrestricted
fund
Restricted Totsl funds
fund
INCOME AND ENDOWMEiYTS FROM
Donalions and le8￿1¢S
4J9
15.732
16,171
Inve5thi¢ni income
4.322
Total
4.761
15.732
20,493
EXPENDITURL ON
Raising fvnds
ChAritsble ictlvltle8
Main Fund
18.304
18,304
1,624
1,624
(Xher
Tot41
54,963
54,963
Nrf plnJl(los#s) on Inwutment•
8,814
NET INCOMEI(EXPENDITURE)
(41,338)
15,732
125.6561
RECOI4CILIATION OF FUNDS
Totsl fyndi brought forw•rd
153,069
2,710
155.779
TOTAL FUNDS CARRIED FORWARD
130 123
Pa8e 7

The CThildren's Su
Foundation Cto
¢ t theFi
cia] Statements-
nded31
h 2025
for
TANGIBLE FIXED ASSETS
Computer
equipmen¢
COST
At l April 2024 and 31 March 2025
375
DEPRECIATION
Ai l April 2024 al￿ 31 Mareh 2025
374
I%ET BOOK VALUE
At 31 March 2025
At 31 March 2024
FIXED ASSET INVEsfMEIYTS
Listed B.M. c￿lIa1
irtvesim¢Dts
a¢count
Totals
MARKET VALUE
At l April 2024
Additions
Disp)sals
Revaluations
124.892
2070
44.129
(45.1031
126.962
50.424
188.7211
532
(43.618)
532
At 31 March 2025
1.096
NET BOOK VALUE
At 31 March 2025
88.101
89.197
Ai 31 March 2024
88.101
There were no investm¢nt &%sets outside the UK.
DEBTORS: AMOUNTS FALLING DUE WITHIN OliE YEAR
31.325
31.3.24
Other dtlAors
632
631
CREDrroRS.. AMouKfs FALLING DUE WITHIY ONE YEAR
31.3.
31.3.24
TJxation and 50ci*I security
Other credi￿￿5
627
2JOO
2.500
2.927
2,500
P88¢ 8

The Children's Su
Foundation C
Notes
for
the Fin
Statem
Ima
MOVEMENT IN FUNDS
Net movement
in funds
At 1.4.24
At31.3.25
Unrestrlcted (uDds
Unrestricted fund
Restricied fund
142.928}
16,345
68,753
34.787
18.442
TOTAL FUNDS
130 123
26 583)
103 540
Net movement in funds, includ¢d in the above are as follows=
Incoming
sources
Resourees
expendcd
Gains and Movement in
Its5￿5
funds
Unftitrleted
Urbre5tricied fund
Re$tricied fvnd
4.916
39,982
(48.376)
(23.547)
$32
{42.9281
16,345
TOTAL FUNDS
44.808
719211
532
26 583)
cothpir9tlv￿ for mfjv¢m•nt lrt fund8
Net movemertt
funds
At 1.4.23
Ai 31.3.24
UTrrestrbeted Funds
Unrestricted fund
REstrI￿ed fund
133.069
2,710
(41.3881
15,732
18,442
TOTALFUNDS
23 656>
130 123
Comparntive n¢t movemeni in funds. included in the th)ve are as follaws..
Inwmini
resou￿¢$
Resou￿¢9
expended
OiiD$ 8nd Movement in
Ios5¢5
Unrestrlcted funds
Unrestri¢tsd fund
Restri¢ted fund
4.761
15.732
(54.963)
8,814
(41,388)
15.732
TOTAL FUNDS
25 6561
A currenl year 12 motSth$ and prior year 12 months combined p051tion is as follows..
Net movcmeni
in funds
At 1.4.24
At 31.3.25
Unrestrf¢ted fvnds
Unrestricted fund
Restricted fund
153069
2710
{84,4061
32077
68,663
34,787
TOTAL FUNDS
155,779
52 239}
103,540
Pa8e 9

Found&lion
10
N te51 th¢Fin
tinue
MOVEMENf IN FUNDS- tontinued
A current year l2 rn(mths gnd prior year 12 months ¢ombined Met movement in fund4, included in the &bov¢ are
a5 follows-.
ID¢oming
resxiurc¢5
Kesour¢e5
¢xpended
Gains and Movelnent in
losses
funds
Untestrlcted fuDds
General fund
9,677
55,624
{103J39)
{23.547)
9.346
(84,3161
32,077
Kt5trict¢d funds
TOTAL FUNDS
65.301
126,8861
9.346
52.2391
12.
RKLATED PARTY DISCLOSURES
There W¢Te no related party transa¢tioMs for th¢ year ¢lld￿ 31 March 2025.
Pwlo

Th¢ Children's
Foundali
nCIO
iled S
ent
IAC
for
arch
31.325
31.3.24
INCOME AND ENDOWMENTS
DoD*tioDs gttd legAcies
Donations
40.919
16.171
Inv￿MeThI Income
lrtcom¢ frorn listed inv¢stmtnts
Deposit *courtt in¢er¢gt
3,790
4.160
162
TotAI itt¢oMlng reMurteg
44.808
20,493
EXPENDITURE
R•tslThE donatlons aThd 1¢8*cleo
Fundraisin8 artd mwketing
22,774
18.304
Chirltable ietlvities
GrBnts to insritutkons
23.547
1.624
Support costs
Wages
Social sccurity
InsurllDce
Telephon¢
Sundries
Storage ¢051s
l.T. costs
Travel ¢osts
A¢couD¢ancy fees
Depreciation of tangibl¢ and heriiage assets
18.1)00
27,000
421
599
456
1,083
943
904
422
232
338
1,927
1,410
420
22.406
31.749
GovernaTrce eoits
Investment managem¢nt fees
Independent examirtatiOD fec
1.036
1,126
Totsl rewwrtes ¢xpended
71,923
54,963
N¢t expenditure befort ¥lllllS And1051eS
127,1151
(34.4701
Re*llJed reeognlsed Ealns #nd louu
Gains 11055es on investtnents
532
8,814
Net ¢KpendAlurt
26583)
25 6561
This p8ge th)es not fomi part of the sta￿lory financial st4t¢ments
PaBcII