REGISTERED COMPANY NUMBER: 1202601 (Ei ngland And Wales)
REGISTXRED CHARITY NUMBER: 1202601
REPORT OF THE TRUSTEES AND
UNAUDITED FITr4ANCIAL STATKMENTS FOR THE YEAR ENDED S MAY 2025
FOR
FREDDIE'S WISH
Blaekthon]s
Chartered A¢¢ountaiits
Admiral House
Wateifront East
Bs'ierley Hill
West Midlands
DY5 IXG

FREDDIE'S WISH
CONTENTS of4 THE FI￿ANCIAL STATEMENTS
FOR THE YEAR ENDED 5 MAY 2025
Poge
Report of the Trustees
to 3
Independent Examlner's Report
StY4temellt of FinAnci21 Activities
Balattee Sheet
Notes to the filn&ncial Statements
7 to 10
Deta51ed Statement of Fin#neial Activltles

FREDDIE'S WISH
REPORT OF THE TRIISTF.F.S
FOR THE YEAR ENDED 5 MAY 2025
The trnslees who are also dir¢ctors of the charity for tlic purpose& of tlie Companies Act 2006, presellt their ieport with
the fthancial statemejits of the charity for the ye&r ended 5 M2y 2025. Th¢ trllstees have adopted the provisions of
Accounling 3nd R¢portinB by Charsties.. Siatement of Recomtnended Ptactice applicable to charities preparing tlieir
accowits in accordance wit]i the Financi81 Reporting Standard applicable in the UK and Republic of Ireland (FRS 102)
(effeetive l January 2019).
OBJECTIVES AND ACTIVITIES
Objectives and aim$
Alm5
Freddie's Wish is a registered charity (Registered Charity NumbeY.'1202601} with clear aims and obj¢ctives, these are as
follows..
Preservation and protection of good health among parents and families experiencing ¢h(Id bereavernejit.
To advance the saving of lives by educating the public abolit paediatr￿C first aid and in turn ¢nabling parents with thc
skills to potentially save (lieir child's lif¢.
- To advanee the education of Healthcaie profttssionals in relation to child bereavement and to off￿. support ro families
within WaTwi¢kshire.
For any other purposes tliat 8re ¢hai'itable under the laws of England and Wales thai the trustecs see fEt.
Key Objeetlves
Coniinut to organise futkdraising events, espccially around the 10 year anniversary
- Support organisations who have adopied Freddie's Wish as'charity of the Year throughout 2025126
Rlln a minimwn of 8 paediatric first aid coutses during 2025126 in partnership with Mini First Aid
To eiKour2ge moir organisations to choose to have Freddie's Wish as their charity of the year
To illcrease gY6nt applicattolls
Contirlue to fund six Bereavement Counselloi"s and look to sustain and gl'ow this provision as t)eeded
- Make use of local media to continue 10 raise awareness of tlie chai'ity and its work
Work alongside otlier btational chartties to increase tlie reach and scope of Freddie's Wish.
Public benefit
The trustees have complied with the duty in Se¢tEon 1715) of the 201 I Charilies Aet to have due regard to guidance
publislied by the Charity Commission in respect of publi¢ benefit and ip planning the activities for the year, have kept
this in mind.

r4REDDIE'S WISH
REPORT OF THE TRU.STEES
FOR THE YEAR ENDED 5 MAY 2025
ACHIEVEMENTS AND PERFORMANCE
CharitAble activities
Acllievements
10 P&¢diati'ic First Aid awareness training courses were delivei'ed online to parents/carers. These Courses are provided
free of charg¢ to attendee5 altho&igh w¢ do ask for danations fi'om those who can afford it. The cest to ihe cl)ai'ity for
these ￿LanS was £2,700 dwing this wiod. Approximately 120 people in total &i￿llded these se6SEOllS.
Donut Day on the 7th Deeetnber continues to b¢ a way of i"aisin8 aM*reness of the charity And Èts work
We r¢¢¢ived a £2.0(M) gTant again from Claverdotl Fields Tn￿t
We i'eceived a £S,0(K) gran¢ from Br¢ihertons Solicitors
- We were the chosen ch8rity for the Lamwrt Hall Xmas Fair alld Garne Goumiet evening raEsit)B over £6,000
- We secured a ¢h2rity ballot place in the LDndon Maratlion and were represented by Tom GritYEth who raised just over
£2,700
- We received a £2SO ￿e￿oriUM donation from S2F MaL*eting Ltd
W¢ re¢¢ived a gr&nt of £500 froni tlie Marson's Trust
- We received £2,167.50 from the WCC County Fund
We received another donation of £4,000 from O'BI'i¢ns Charitable Tn￿t
We remained chariry of die year for The Green trfan, Long Ttchington. The charity eot)tinues lo benefit from numerous
events tI￿o￿8haut tli¢ year.
We paid ou( appioximately £16,000 during this fin8neial year for the initial assessment and deliveiy of bereav¢ment
eounselling sessioE]s foy bereaved parents. We delivered appr0xitna￿lY 340 eOUlls¢lling sessiolls which included some
pro bone work.
Charlotte r¢ceIved'TI￿ Mayoi's Special Appreciation Award, from the Mayor of Rugby
FINANCIAL REVIEW
FiAaiielal posltlon
The fit)aneial statetnents show a deficit for th¢ y¢ar of £6,847 (2024 - surplus £29,897). The charity l)as wirestricted
reserves available at 5th M&y 2025 of £23,050 {2024 - £29,897).
Reserves policy
To etssllre continuiry of care for those assessed, the chai'ity i'equiJEs a tninimutn reserve of four months, fundit]g this year,
allowing thein to complete the allocated 12- week sessions. Based on recent financial records, the montl)ly expenses for
wages and iDvoices range between £3,500 and £4,000, meanin8 that at least £16,000 is needed to covei. for that peri(Kl.
Additioiially. lo meet tlie growing detnand for services and suppon developments, the aiin ts to maintain a to￿1
reserve of at least £30,000. This ensui'es fLiiancial stability lor unexpected expenses and the charity's continucd growlh.
This was not a¢hiev¢d during 2024125 but il is expected thai the mit)imum reserves target of £30,OOJ will be achiev¢d
again in the next financial ye8r.
Golng concern
At the ti]ne of approving (he financial statejnenis, ¢lie trustees have a reasonablE expectatioti that tlie chai'ity has adequate
resources to coiitinue in operalional existence for the foreseeable fuuwe, thus the going concttn basis of accounting
continues to be adopted in preparing Ilie finan¢5al statements.

FIiEDDIE'S WISH
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED S MAY 2025
STRUCTURE, GOVERNANCE AND MIV4AGEMEI NT
Goyerning document
The eliari(y is controlled by ils governing document, a decd of tnisL and collstitytes a limited company, liniited by
guarantee, as defined by the Companies Act 2006.
Recruitment and appointment of new trustees
The charity look5 to recruit new trusiees who have specific areas of expertise that will be of assistance to the eharity.
REfiERENCE AND ADN(INISTRATIVE DETAILS
RegI5tered Comp&ny number
1202601 {England and Wales)
Registered Charity number
1202601
Registered offi¢¢
Admiral House
Wat¢rfront East
Bi-ierley Hill
West Midlands
DY5 IXG
Trustees
S J Jolliffe
Miss L Manzella
Miss S Morris
Miss C Bass
Miss V Brassingion
A Ilague {appointed 8.5.25)
R Spears {appoint¢d 14.10.25)
CompAny Seeretary
Independent ExamiJLer
Karen Tumer FCA FCCA
Bla¢kthorns
CbartEr¢(t A¢coutttants
AdmÈial House
Waterfront East
Bi'iei'ley Hill
West Midlatkds
DY5 IXG
ApprovEd by order of the board of tiustees on.......
attd signed on its behalf by..
Miss V Brassington
tee

INDEPENDENT F.XAMINF.R'S REPORT TO THE TRUSTEES OF
FREDDIE'S WISH
Independent ex8miner'$ report to the trustees of Freddie's Wlsh ('the Company,)
I report to the chariry trustees on my ¢xamination of the accounts of the Company for the yeai. ended 5 May 2025.
Responslbilltles and bfisis of report
As th¢ chaiity's tru51ees ufthe CoinpaAy(21￿ also its directors for the pw'poses of company law) you are responsible for
the preparation of the wcounts in accordance wilh ihe requtrements of the CompanEes Act 2006 ('the 2006 Acc,).
Havtllg satisfjed myself that the accounts of the Company are llot required to be audited under Part 16 of the 2006 Act
and are eligible for independent examitTration, I repori in respect of my examination of your charitys accoullts as ca￿led
out und¢r Section 145 of the Charities Act 2011 I'the 2011 Aet,). In carrying out my examination I have followed tlie
Directions giv¢n by the Chariry Cott)mission under S¢ction 145{5) (b) of the 2011 Act.
IndependeDt examiDer's stxtemertt
I have completed my examination. I cOnf￿M that tLO matters have come to my attentiott itt Cont￿tIon with the
examittation giving me cause to believe..
accounting records were not kept in r¢spect of the Company as requird by Section 386 of the 2006 Act. or
th¢ accounts do not aceord with those records. or
the accounts do not comply with the accounting requirements of S¢¢tiot1 396 of the 2006 Aci other than ally
requirement that the accounts give a true and fair view which is not a matter considered as part of an independent
examination. or
the iccounts have nat been prepared in accoi'dance with the mcthods and principles of tlie Statement of
Recommended Practice for accounting and rcporting by chariiies {apphcable to Charities preparing their aceounts
in accordance with the Financial Reporting Standard applicabl¢ ill the UK and Republic of Ireland IFRS 102)).
I have no concems and have Come across no oth¢r matteTS in connection with the examination to whi¢h attention should
be drawn in this report in order to enable a proper unde￿tandIng of th¢ accoullts to be reached.
Karen Turner FCA FCCA
The InstitsEte of Chartered Accountants in England and Wales
Blackthorns
Chart¢rd Aceoun(artts
Adnural House
Waterfront East
Briei'ley Hill
West Midlands
DY5 IXG

FREDDIE'S WISH
STA TF.MENT OF FINANCIAL ACTIVITIES
FOR THE YEAR ENDED S MAY 2025
5,5.25
Unre$tri¢ted
fund
5.5.24
Tot&1
funds
Notes
IF4COME AND NDOWMENTS FROM
DoTLations and l¢gacics
16.733
67,693
Other trading a¢tsvilics
Other income
12,500
7,163
120
Total
36,396
67,813
EXPEYDITURE ON
Raising funds
27,583
20,756
Ch&ritAble aetffivltles
Bereavement Costs
15,660
17,160
Total
43,243
37,916
NET JNCOMEI(EXPENDITURE)
(6,847)
29,897
RECONCILIATION OF FUF4DS
Total fiEnds brought foLward
29,897
TOTAL FUNDS CARRIEI D foRW Atu)
23,050
29,897
Th¢ notes fortn part of these financial statements

FREDDIE'S WISH
BALANCE SHEET
5 MAY 2025
5.5.25
Unrestrlcted
fuJJd
5.5.24
Total
f￿ndS
Note5
CURRENT ASSETS
Cash at bank
23,324
30,091
CREDITORS
Amoui)ts fallÉng dlle within otte year
(274)
(1941
NET CURRENT ASSETS
23,050
29,897
TOTAL ASSETS LESS CURREKr
LIABILITIES
23,050
29,897
NET ASSETS
23,050
29.897
FUNDS
Unrestricted funds
23,050
29,897
TOTAL FUNDS
23,050
29,897
The Cliaritable cotnpany is entitled to exemptackn from aiidit undtJ' Section 477 of the Comp8nies Act 2(X)6 for tl)e year
ended 5 May 2025.
The members have not required th¢ comp&iiy to obtain aj) audit of its fitvdncial statements for the ye￿. ended 5 May 2025
in a¢cordance with Section 476 of the Companies Act 2006.
The tsustees acknowledge tlieir responsibilities for
l&)
ensuring that the charitable company keeps accountllkg recoi'ds that comply with Seciions 386 and 387 of the
Compai)ies Act 2006 and
prcpai'ing fLnancial statements whicli gEve a true and fair view of the state of affairs of th¢ charitable company as
at the end of edcl) financial year al￿ of ils surylus or deficit for each financial yeai. in accordance witl) the
requirements of Sections 394 and 395 and which otherwise comply witli the i'equircments of the Companies Act
2006 irlating to financial statements, so far as applicable to thc ch2Titable cotnpany.
(bl
These firtancial staTrments liave been prepared in accai'dance with the provisiot)s applicable to charitable ¢ompani¢s
subje¢t to the small companies regiine.
The fnancial stst¢ments were appi'oved by the Board of Ttvstees and authoi'ised for issue
.¥￿-.￿*.......... afjd were signed on its behalf by..
on
V Bi'assington - TNS
The notes form part of these fsnaTrcial sta¢ements

FREDDIE'S WISH
NOTES TO THE FINANCIAL ST ATEMENTS
FOR THE YEAR ENDED 5 MAY 2025
ACCOUNTING POLICIES
Basls of preparing the fioaneial $tatemettts
The financial staiements of the charitable Company, which is a public b¢nefit entity under FRS 102, have been
PTepar¢d in accoi"dance with the Chai"itie5 SORP (FRS 1021 'Aecounting and Reporting by Charitie8: Statement
of Reconunended Practice &pplicabl¢ to chai'ities preparing their aceounls in accoi'dancc with Ihe Financial
Reporting Standaid applicable iii the UK and Republic of Ireland IFRS 1021 (effective l January 20I9)',
Financial Reportin8 Stand21'd 102 'TI)e Financial Reporting Standard applicable in the UK and Republic of
Ireland, and the Companies Act 2006. The finaneial stalem¢nts have been prepared under the historical cost
conv¢ntion.
lrtcome
All income is r¢¢o8nised IN th¢ Statemetst of Financial Activities once the cliarity hEs entitlement to the fiknds, it
15 probable that the income will be received and the amount carA be measured reliably.
Expenditure
Liabiliti¢s are recognised as expenditure as 500n as thete as a legal or eonstructive obligattoti committing the
chai'ity to that expenditure, it Ès probable that a tr3nsf¢r of economic btnefjts will be required in scitlement and
the amount of the obligation can be measured relEably. Exp¢nditui'e is ac¢ourÈted for on an accNals basis and has
b¢en classified under heading5 that dggregate all cost I"elaied to the category. Where costs cannot be directly
attribut¢d to particulai. lieaditigs they have been allocated to acliviiies oll a basis consisteni with the use of
r¢sourees.
Taxatlon
The cliaiity is exenipt froEn corporation 12x on its clitritable activitl¢S.
Furtd accounting
Um'¢strioted fvnds call b¢ used ED accordance with the charitable objectiv&% at the discretion of the (rustees,
Restricted fiinds can only be used for partÈculai restricted purpo%s within ihe objects of the eharity. Restrictions
artse when 5petified by tl)e doiioi. or when ￿ndS 2re Yaised for particular restricled purposes.
F￿￿ber explanatio￿ of the nature and purposg of eacli fL￿d is included in the notes to the financial statements.
PeD5ion costs and other post-retirement benefits
The charitable company oper&tes a defined contributEOn pension schem¢. Contributions payable to the cliaritable
cotnpanls pension schemc are cliarged to the Statement of Finatscial Activiti¢s in tILe period to wliich they relate.
OTHER TRADING ACTIVITIES
5.S.25
5.5,24
Fundraising events
12,500
120

FREDDIEIS WISH
NOTES TO THE FINANCIAL STATEMENTS - continued
FOR THE YEAR ENDED 5 MAY 2025
TRUSTEES. REMUNERATION AND BENEFITS
Trustees, expenses
Thei'e wer¢ no Irllstees, expenses paid for the year ended 5 May 2025 nor foi. the yeai. ended 5 May 2024.
STAFF COSTS
The average monthly number of employees during th¢ year was as follows.-
5.5.2S
5.5.24
Fundraising and marketing
No eniployees received emoluments in excess of £60.000.
COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTIVITIES
Unrestricted
fund
INCOME AND ENDOWMENTS FROM
Donations and legacies
67,693
Other th7ding activities
120
Total
67,813
EI XPV.NDITURE ON
Raising fi￿dS
20,756
Charltable activities
Bereavement Costs
17,160
Total
37,916
NET INCOME
29,897
TOTAL FIJNDS CARRIED FORWARD
29.897

FREDDIE'S WISH
NOTEI S TO THE FINLNCIAL STATEMENTS - continued
FOR THE YEAR ENI DED S MAY 2025
CREDITORS: AMOUE4TS fiALLING DUE WITHIN ONE YEAR
5.5.2S
5.5.24
Social Sec￿'lty and other taxes
Other creditors
194
80
194
274
194
MOVEMLNT IN FUNDS
Net
movement
In funds
At
5.5.2S
At 6.5.24
Unrestrieted funds
General fund
29,897
(6,847)
23,050
TOTAL FUNDS
29,897
16,847)
23,050
Net movement itt ￿nds. included in th¢ above are as follow5..
Iiicomillg
resources
Resources
expended
Movement
In fuRids
Unrestricted fund$
General fund
36.396
(43,243)
{6,847)
TOTAL FUNDS
36,396
(43,243)
(6,847)
Comp￿ratIveS for movement in funds
Net
movement
In funds
At
5.5.24
Unrestricted funds
Geiieral fund
29,897
29,897
TOTAL FUNDS
29,897
29,897

FREDDIE'S WISH
NOTES TO THE FIliANCIAL STATEMENTS - continued
FOR THE YEAR EI liDED 5 IIqAY 2025
MOVEMENT IN FUNDS- continued
Comparative llet movernellt En fimds, itLcluded in the above ￿.¢ gs follows..
Incoming
resources
Resources
expended
Movement
in funds
Unrestricted funds
General fund
67,813
137,916)
29,897
TOTAL FUNDS
67,813
(37.916)
29,897
A current y¢&r 12 months 8lld prior year 12 montlis combined position is as follows..
Net
movement
Rn fllnds
At
5.5,25
At 6.5.23
Unrestricted funds
General ￿rtd
23,05CI
23,050
TOTAL FUNDS
23,050
23,050
A cull'ent year 12 months and prior year 12 months ¢ombined net movement tsn ￿nds, included it] the above are
as follows..
Ineo]ning
re80urces
Resources
expended
Movement
in funds
Unrestrieted funds
General
104,209
(81,159)
23,050
TOTAL FUNDS
104,209
(81,159)
23,050
RELATED PARTY DISCLOSURES
riiere were no related p￿"ty IransaciiDns for the year etided 5 May 2025.
10-

FREDDIEIS WISH
DETAILED STATEMENT OF FINANCIAL ACTIVITIEI S
FOR THE YEAR ENDED 5 MAY 2025
5.5.25
5.5.24
INCOME AND EI NDOWMENTS
Donations and legacies
Gifis
DonaiÉons
16,734
67.693
16,733
67.693
Other trading activities
Fundr41ising events
12.500
120
Other income
Grants
7,163
Total Incoining resollreeg
36.396
67,813
EXPENDITURE
RAising dollatlons gnd legacies
Wages
Social security
Pensions
Sundi'i¢s
Accountancy & Legal fees
First Aid Training costs
Donations
20,000
16,667
413
4,470
344
486
2,470
740
2,700
27.583
20,756
Ch&rltable activitie5
B¢reavtinent Costs
15,660
17,160
Total ¥e5011r¢es expended
43,243
37,916
Net lexpenditure)lincome
16,847)
29,897
This page does not foliii parl of the statutory financial statements