REGISTERED COTrIPhNY YUNIBER: 12193i79 (EnglAnd s)nd Ivglos)
REGJsfERED CHARITY NU￿lBER. 1188320
Re
ort of tho Truslees And
n2udited FiH#neta
fot the Ye
d30Se
tember 20
JA
THE
DFO
NDATION LINIITED
Hatcher Hughes Limited
Cassidy House
StatioTr Road
Chester
Cheshire
CHI 3DW

HF.L
DFOU
10
Ll
ITE
Conte
for th
ts of the Financial St4?temen
ended 30 S
lenjber 2024
Page
Report of the Trustees
Independent Exarniner'5 Report
ststementof Finxn¢ial Aotivitits
Balance Sh¢¢t
Notes lo the Financial Ststements
7 to 11
Dethiled Statement of Financi91 Activiti
12

JA
ICTHELAD FOUNDATIO
LIIqITED
Re
ort of the Truste¢s
ror tlje
eAr ended 3D Se tember 2024
The trustees who are also directors of the charity for the purposes of the Companies Aet 2006. pr¢sent their report with
the fTnancial statements of the charity for the year ended 30 Septeinber 2024. The trustee5 have adopted the provisions
of A￿0￿￿tIllg and Reporting by Charities-. st￿ement of Recommended Practice applicable to chaTiÈie5 preparing their
account5 in accordance ivith tlie Financial Reporting Standard appli¢able in the UK and Republi¢ of l¥eland IFRS 10?)
(effective l January 2019).
ORIEcfivEs AND AcfivITIES
Objective5 ¥?ims
Details of the charity's puryose, key objective5 and aiffts:
Ja¢kTheLad Foundaiion Ltd., also known by the abbreviated ft)rm #Ja¢kTheLad, eampaigns for safer holidays for young
people in the UK. It aims both to draii. attentionlo and to mitinate the risks younty
people face on holiday.
The ch2rity also provides graols lo help bereaved fatnilies with Iht cost of r￿atri311Qll, M'here a fatal accÈdent h&%
OCCUTrcd and repatriation cos15 are notcovered by sn5urance.
The idea for the charity catne fiDm the family of Jack Howc, Ivho died on 21 June 2019 in a Quad Bike (ATV) accident
on Z8nte. Greece.
#JackTheLad's ch￿l¢able Objetts ore:
l. The advancement of heallli and S42ving of live5 ofyoung ￿ople by raising awareness ofthe risks that tan be attached
to some ov¢rs¢as holiday5 and by highlightinrp
poorregylation and irresponsible practices for such overseas holidAys and
campoigrtiniv for Trnprovements.
2. The ttlief of financial hardship of the next of kin of youn4
assisting ivith the repathation of the young person.
people who hive died whilst on holiday overseas by
Signifiunt activities
There ivere no significant cherity fundrdising evenis organised by our£elves over this period.
There iv&s continuation of dEvelopTnent of our FCDO Partnership.. regular meetings and 50ciaI media posting around
TravelAware iniliatlVe5.
Continuation of tlle provision of Repatriation Grants to qualifying fsmilies.
Public be￿erIt
Pvbli¢ benefit 15 ￿h]eVed by raising funds and raising awareness thmugh education and partnerships.
Page I

THELAD FOUNDATION LI
TED
ort of the Trustecs
for the
ttsr tndtd 30
tembor 2D24
ACHIEVEMENT AND PERFORfvIANC
ChArit2ble llttiviti
Raisin<* funds through:
* Organised events by the ch&rity itself
* OrLTanised events by individuals who wish lo raise tnoney for #JackTheLad.
* Profits from sales from ouronline shop atour ivebsile.
* Donations Ihrough public awareness vi*our Education I Safer Adventures in2tiatives.
Raising awarenes5 thfoufth:
Education.
oal 15 to rdise awareness of risks on holiday and educate, abollt Safer Holidays in an engaging and meaningful
part￿￿hlps.
NV¢ tcmain cotnrnittcd to building more partnership5 in the Travel Industry lo add lo the TravelAivare reldtlQn5hip,
b&%ed on the shared Yested interest in promoting 'Safer Holidays For Young Brits, and the poteniial to reach large
numbers tsf our 16-30 target audienc£ and their families.
Grants
Grant applications ivere approved and p￿d out over the period lo assist ivith repatriations.
Fundrai5iEtg Ctivitie5
There ivere no events organis¢d by us during ihe period.
her thnds ivere raiscd by:
Individt]als raising money waJustGiving and 5imilardonation platfomis.
IVebsite- Direct DDnaiions
IVebsiie- StandÈng Order
Website- Onliiie Shop
PayPal Givin
Facebook Givin(T Fund
Arn￿&￿ STnile
Our Small Society Lottery the'lOO Club, (up to 100 x £10 ticLets} with 50% 80ing lo the charity.
FINANCIAL REVIEIV
Principul funding soure¢5
Principal fundin￿ sources artd PDlicy ott reserves (unspent funds).
Fundini sources over the period have been ￿clUSIve1y from publi¢ donation either d￿eCt, via PayPLI. Facebook or
Amazon Smil¢. or via profits of onlin¢ shop sal¢s.
Expenditure has been restricted Its essential Costs and cost of sales for merchandi5E in the shop.
Resérves poll¢y
Unspent funds are being held for launch of the Repatriation Grant pro￿￿ post COVID restrictions in 2021DO?2 and
for an}. agreed promoiiollal aciiviiies which may attract ¢osts.
grRucfuRE, GOVERNANCE AND MANAGEMENT
Goyernints documtnt
The charity is controlled by is goveming docLunenL a deed of trust. and constitute5 a limited company. limated by
gua¥anie¢, as defined by the Companies Aci?006.
REFERENCE AND AD￿lINISTRATIvE DETAILS
Registered comp.irty numbEr
12193579 (England and IVa]es)

TION L
t nf the Tru.¥toes
Registered Charify number
11883?0
Rc¥i¥tercd ()trEeL
6 ChapLI E4ouse Bdm5
'lThe GrcLn
Poiilton
Che51er
ChLshirL
F14 9FJ
TrustcEs
Mrs 8 l.low¢ ReLruiÉniLJiI coiisiilt￿1t
A Rllowe Compan} Director
T 5 Ivluirhud CoTnpany DirL'Ctor
Mi3 S J Toylor Recruiunenl Consullwi
Mrs S A Williams Coinpoiiy DiTtctor
Ind¢pendont F.xa*mltter
Hatclier Hughc.% Livllitcd
Cassidy Floitse
StalioIi Road
ChLster
Chcshire
CIII 3DW
Appwvtd by order tsfthe b(%trd ol'in￿1eeS on.
. and 5i8ned its behalFby':
Irs S Flowe- Trusice
Pase 3

ondent ExAmtner s Re
ort
theT
D FOUNDATION LIMITED
JACKTHEL
Independent oxirniner's report to th¢ trustces of JACKTHELAD FOUNDATION LIMITED Cthe Company,)
I report io the charity trustees on my c.x2tlLEnation of the accounts of the Company for the year ￿ded
30 Septetnber 2024.
Re5POll5ibilitiQ¥ nd lJii$is of report
As the charity's Irustees of the Company (and a150 its di¥ectors for the purposes of company iaiv} you pre rewnsible for
the preparation oltlie Lccounts in accordance with the requirements of the C(ImpaThies Act20061'the ?006 Act,).
H&ving satisfied myself th&t the accounis of the Company are not r¢quired to be audited under Part 16 of the 2006 Act
and ar¢ eligible for independent examination, I report in respect of my examination of your charity's accounts as carried
out under Section 145 of thc Charities Act 2011 Itht 2011 Act,). In Carrying out my examination I have follow￿ the
Directions given by the Charity Carllmission under Section 145151 {b) of the 2011 A¢t.
Indepertdent èxaminey's 5tst¢ment
I have completed my examinaiion. I confirni that no matt¢L% have CDrTre to my ottention in wnncction iviih the
ex8min&ion giving me cause to believe.
accounting records ivere not kept in respe¢t of the Company as wuired by Section 386 of the 21X)6 Act- pr
the accounts do Dol accord wilh those records,. or
the accounts do not comply iviih th¢ a¢¢ouDtinr* requirements of Section 396 of the 2￿￿6 Act D¢her than any
requirement that the accounts give a tr￿ an4J faiT VIEW which is not a matter considcred as part of ￿ independent
examination,. or
the accounts have not been prepared in accorilance with the methods at)d principles of the Statement of
Re¢ommehded Practice for accountinr* and reportinir by charities (applicable to charities preparing thei¥ a¢¢ounts
in accordance ivtth the Financial Reporting Siandard applicable in the UK and RepublEc ofireland IFRS 102))-
I have no conttrn5 and have come acr055 no other tnatter5 in conntclion with the examination tts which attention should
bc draivn in this ttport irt orderto enable a prop£r understanding of thc accounts 10 be reached.
Graham Hughes
Halcher Hughes Limited
Cassidy Housc
Station Road
Chester
Cheshsre
CHI 3DW
Date: .............................................
Page 4

THEL
DFOU
DATT
N LIfvIITED
StsteTne
foT the
tof Fi
ial Activities
e&r ended 30 Se
tember2024
30.9.24
Unresiricled
fi]nd
30.9.2)
Total
funds
Notes
INCO￿1￿ AND ENDOWMETrnS fRONI
Donations and lega¢ies
20,579
8,119
Othertrading activitie5
Inyestmcnt in¢otn¢
28,730
101
51,529
Tothl
49,410
59,681
EXPEh'DITURE Oh,
Raisin￿ fi&nds
6.431
17,344
Charit4ble 8¢tivities
Repatriation
Adminbstrativc & Support Costs
14,543
2,483
18,008
5,560
Total
23,457
40.912
NET INCOME
25,953
18,769
RECOIYCILIATION OF FUNDS
Total fiJTkds brought foryvard
71.146
TOTAL FUNDS CARRtED FORIVARD
97,099
71,146
The notes fomi part of these financial statements
Page 5

HELAD
Ll
F.11
#la
3n.8e
btr
1124
30.9.?3
Total
Fllnds
Ui]rcsttictrd
fimd
Notes
FIXED ASSCTS
Tangiblc a5scIS
119
936
CURRENT A&SETS
Slotks
Cash at bank
1,34)
1,481
71.314
98,869
72,795
CREDITORS
An)ounts falling duE within one }Ear
(1,889)
(1.885)
NET CURRENT ASSETS
96.980
70,910
TOTAL ASSETS LESS CURRENT
LIAIIILITIFS
97,099
71,146
NET ASSETS
97,099
71,146
io
Unre.%lTiCtcd funds
97,099
71,146
TOTAL FUNDS
97.099
71,146
The charitsble company 15 CI]titled io exemption from audit linder SeciioD 477 of the Coinptmies Aci 2006 thr the year
cnded 30 september?￿4.
The mellibers huvc not fLNuired the conpany io an audit of ils Ainancial slaienieots for die yLar ended
30 September ?0?4 in accordance ivith Sec(ion 476 oftbe CompolliLS Act ?006.
IIIL 1Th￿-teL5 acknuiyledse theirresponsibiliti￿ lor
(a)
LDsuriiig thal the LharIt￿ble Lompany kelps aceounling re¢ord5 thor ¢on)ply with Seclions 386 aod 387 OE ihe
Conipanies Act 2006 and
rJnanci8151alemaits which givc a and fair vi•v of the state Oraffa￿s of the cliariiable c<)rnP2fty as
oi the cnd of eacli f￿0￿claI year wid of its swplus or defi¢il lor cach fuiancial vear in Jcci)rdallcL ivilh the
requirnne1115 of SeLtion5 i94 39) which ot]ierwisc comply wsth the requirements of tlie Companies Act
?006 ¥Llaiiti¥i to fIn￿1￿claI sloicincllr& ¥0 faras appll¢ublLio U)e charitable Lon1p￿ly.
(b)
Tli¢%e financial stalenicnl.s hdYL. bcen pjypured in accothcc ivith the tKovisions applicable io chfLritable comp&Aies
subject 10 ihe small coaipanic5 r¢ginie.
llle fin
Lial 5taleinLEIts iverg appr(Fved by die Iloard of TrusieL'S and *IthorisL￿ for issue
ILlo.Ifao.af....... .
. Jndii'erL' sigird ￿1 lis beliaifby:
S Hoive- Tn]stce
Thc llolc% lonn part ofthLbse linaiieiul %latement5
Page 6

ACKfHELAD
LIMITED
Note5 to the Finld ncyal Stdltements
for the
e.lr end d 30
t mbtr 2024
AccouNfiNG POLICIES
Ba&15 01 prcpgring thL fin#ntiaI ststements
The financial statements of the charitable cotnpany, which is a publi¢ benefit entity under FRS 102, have been
prepa￿d in accordance iviih the Charities SORP (FRS 102) 'Accountillg and Reportin. by Charities.. S￿te[Dent
of Recommended Practice applicable to charities preparing their accounts in accordance Kvith th¢ Finall¢Eal
Reporting Standard applicable in the UK and Republic of Irel&nd IFRS 102) (etTtctive l January 2019),,
Financial Rcportin(r
StandArd 10? 'The Financial Reporting Standard applicable in Ilie UK and Republic of
Ireland, and the Companies Act 2006. The fJnanci&l State￿ettts httye been prepar¢d under the hisiorical cost
convention.
lttcome
All income 15 recognised in Ihe Stotemcnt of Financial Activities once the charity has ¢ntitlemcnt to the funds. it
is probable that the incoTn&will be received and the amount cam b¢ measured reliably.
Exp¢nditure
Liatsilities are recognised as expenditure as soon ￿ there is a legal or constru¢tiv¢ obligation wmmitting the
charity to that expenditute. it is probable that a transfer of economic benefits ivill be required in 5etilemtnt and
the amoiint of thc obligation can be Tnc35ured reliably. Expettdiiure is a¢couThted for on an aCcru￿S b￿15 and h
been tl2s5ificd under headings that aggregate all cost rclated to the category. Ivhere costs ¢annot be direuly
attrihuted to particular headrngg they have been allocated to a¢rivities OTh a basis c0Th5iStent with the use of
resour¢es.
Ti* ngible fixed assets
Depr￿lation is provided at the folloiving annual rates in order to write off ￿Set over its ¢Stimaltd u5¢ful
Pltsnt and ￿aChInery
?5Yo 011 Cost
Stocks
Siocks valued at the loivcr of cost and net reali5able value4 after makirtg due allowance for obsoleie w)d sloiv
movinry items.
Tax.Ition
The charity is ¢x¢tnpt fiom COTPOrntion lax on its Charitable activities.
Fmnd ateountlno
UnFestritted funds can be used in accordance with the charitable objectives atihe discretion of the tr115tees.
Restricted fund5 can only be ￿ed for particular restricted p￿￿oSe$ within th¢ obje¢ts of th¢ ¢harsty. R¢strictions
arise ivhcn sp¢¢ified by the donor or when funds are raised for particular restricted purposes.
Further£xplanation of tho nature and purpose of each fund is included in the notes io the financial slatemenls.
OTHER TRADINC AcfIviTJES
30.9.24
30.9.23
Fundraising events
28,730
51,529
Page 7
eolltinued...

ICTHELAD FOIINDATION LIMITED
Note5 to the Fingnci21 Stld tements- continued
INVESTMENT Iyk COITrlE
30.9.24
30.923
Dep051t account iTLterest
101
33
NET INCOMUEXPENDITUREI
Net incomcl{expcnditurel is sI￿¢d afterchargingll¢rediting):
Deprc¢iation- owned ￿se¢S
117
117
TRUSTEES, REMUNEIi4TION AND BENEFITS
There ivere no ITU5tees' rnuneralion or other benefits for the year ended 30 Sepltmber 2024 Th)r for the year
cndcd 30 September 2023.
Tru5toes' expon5QS
There i¥ere no tTUSteES' expenses paid for the yEar Ended 30 Septe￿ber 2024 nor ftir the year ended
30 SePte￿b¢r20?3.
cO￿1PARATIVEs FOR THE sfATEtvlENf OF FIPIANCIAL AcrivrriES
Unrestricted
fund
INCOIME AND ENDOIVMENTS FROkM
Donations and legacies
8,L19
Other tradinu #Ctiwties
Inve5tm¢nt income
33
Total
59.681
EXPEN'DITURE ON
Raising funds
Chllrltable 4gctivities
Repatriatio
Admini5tTa¢ive & Support Costs
18,008
5,560
Total
40.912
NET INCOME
18.769
RECONCILIATIOtY OF FUINDS
Total funds brought forward
TOTAL FUNDS CARRIED FORWARD
71.146
Page 8
cootinued...

KTHE
AD FOUNDATI
N LIMITED
otos to th FitEancilll
txlemtsthts- continued
for the
eAr e]tded 30 Se
tembei. 2024
TAf+4GIBLE FIXED ASSETS
Plant and
machinery
COST
At l October 2023 and JO September 2024
471
DEPRECIATION
At l Oclober202i
Charye for ye
235
At 30 Septembcr 2024
352
NET BOOK VALUE
At 30 Septeinber 2024
119
At30 September 2023
236
STOCKS
30.9.24
30.9.23
Stocks
1,345
1.481
CREDITORS: A&IOUNTS FALLING DUE IVITHIN OINE YEAR
30.9.24
30.9.23
Other Crediiors
Accn]ed expenses
870
l.D19
870
1,015
1,889
1,885
io.
MOIIEP¥IEKf IN FUNDS
Net
movemEnt
I￿ funds
At
1.10.23
At
30.924
Unrestrictcd funds
Generdl ￿nd
71,146
25,953
97.099
TOTAL FUNDS
25,953
Net mtsvenient in fuThd& included in the LboNe are as tollows:
IncoTnillg
resources
Resources
expendcd
Movement
sn hnds
Unro8tritted funds
Gcncral fund
49,410
(23,457)
25.9)3
TOTAL FUNDS
49,410
(23,457)
25,953
continued...

JACKfHE
FO
NDATI
Ll
ITED
Notes to the FiM42ncial SL?tcments- continued
forthe
r ended 30 Se
embcr2024
io.
,NIOVEMEP4T IN FUINDS- continued
Comparntlves for movemoftt in funds
Net
movement
in fvnds
At
30.9.23
1.10.22
Unr￿trICted funds
General fLmd
52,377
18,769
71,146
TOTAL FUNDS
18,769
71,146
Comparative net moyement in fiLnd5. included in the above are as folloivs..
Incoming
resources
Resources
expended
Movernent
in funds
Unrestricted funds
General fund
59,681
(40,9I2}
18,769
TOTAL FUNDS
59,681
(40.912)
18,769
A current year 12 months and prior year 12 month5 combilled position 15 as folloivs..
Net
mov¢m¢nt.
Én funds
At
1.10.22
30.9a4
Unrestricted funds
General
52.377
44.722
97,099
TOTAL FUNDS
52,377
44.722
97,099
A current year 12 months and prior year 12 months wmbined Thet movement in funds. included in the above are
&s folloivs:
In¢oming
resources
Resources
pended
Movement
in funds
Unrestriet¢d funds
Generdl fijnd
109,091
(64,369)
44,722
TOTAL FUINDS
109,091
(64,369)
44,722
Pagie 10
colltinued...

KTH
LADFOU
DATI
N LIMITED
Note5 to thc Finoll¢ÉgLI StRtements- conti
for the
egr eTLded 30 So
ternber 2024
RELATED PARTY DISCLOSURES
There iveTC no related paty i¥ans?c110Th5 forthe year ended 30 Sepiember2024.
Pagell

KTHELAD
NDATION LI
ITED
Detailed
for the
ment Of Finoncia
ellr eDde
30 SÉ Itmber 2024
30.9.24
INCOME AND ENDOWMENTS
Donations and Icgacies
Donations
20,379
8,119
Other tradingA¢tiviÉies
Fundraising events
28,730
51529
Inv&stsllent irteome
Deposit account Int¢￿t
33
Total incoming rosource5
49,410
59,681
EXPENDITURC
O¢h¢r tr&ding activtties
Opening stock
Event cost5
Closingstock
1,481
6.295
{lJ451
2.543
16,282
(1.481)
6,431
Chthritxble activltlos
Ittsurdnce
Telephone
Postage and st*ionery
Markctino 2nd design
Printing
Sundrie
Repatriation Costs
Depreciation of tangible fixed assets
232
886
965
49
2,487
29
14
18,007
59
72
14.543
15,988
Support Costs
GovernAnce CD5ts
At¢ountattcy and leDal ftes
1.038
1,014
Total resources expcnded
23,457
40.912
Net income
25,953
18,769
ThÈ5 pasc does noi form part of the statutory finwKial statements
Page 12

elldemt ExorninErls Re
Drt to the Trustees of
JACKTHELAD FOUNDATION LTMITED
lJb4ependent ex8mtner'5 report to tlit trustees ofJACKTHELAD FOUNDATION LIMITED (Ithe Cornpany,)
report to the charity tnJste¢s on my examination of the accounts of the Company for the year ¢nd¢d
30 September2024.
Respollsibilities and bASiS of report
A5 the charitys trust¢es of the Cornpany land a150 its directors for the purposes of company law) you are responsible for
the pr¢parntiott of ihe arKounts in Bccordance with the rEquir¢meThts of the Companies Acl2006 Ilhe 2Q06 A¢l'J.
HavÉng satisfied mys¢lf thot the sc¢ounts of the Company are not required to be audited under Part 16 of the 2006 Act
and ¢1sgible for independenl e￿Illination. I report in respeci ofmy examination of your chjritls accounts a5 caused
out under Section 145 of the Charities Act 2011 (Ihe 201 l Ad}. In carrying out my examillatioEI I have fDllowed the
Directions given by the Charity Commission undtr S￿tIOn 145{5) Ib) of the2011 Act.
IndependeRt examiner's st¥lement
I have completed my examirtation. I confinn thpt no matters haye come to my al¢ention in Conn￿lI￿n with the
examination givingme Cal￿ to boli¢v¢'.
accounting records were not kept r# respect of thE Company as rcquired by Section 386 of the2006 Act. or
thc accounts do ttotac¢ord with thos¢ record5- or
the accounts do not comply with the accounting requirements of Seetion 396 of the 2006 Act other than any
requirement thatthc accounts give a true ond Air vieiv which t5 not E lliatter considered as part of an independent
examination. or
the accounts have ttot been pr¢pared in accordance with the m¢lhods and prin¢iples of the Ststemeni of
ReC0mn￿nded Practi¢¢ for accountllJgaDd r¢portsng by tharities (applicable to cliarities preparingtheir accounts
io ac¢ordance with the Financial Reportittg Standard applieable in the UK and Republi¢ of Ir¢land (FRS 102)).
L have no concerns and have Come across no other mauers in COnn￿tIon with the examinationto ivhich attEntion should
b¢ drawn in ihi5 ￿port in order to enable a proper undeist)Dding of the accounts to he Tetched.
Grahamliughe3
Hatcher Hughes Limi
Ca55idy House
Siation Road
Chester
Cheshire
CHI 3DW
Date..