DoGuSign Envelope ID". 811 DA43E.F37243D6-9B65-A8A13B67436E
REGISTERED CHARITY NUMBER.. 326864
Report ofthe Trustees and
Audited Financial Statements
for the Year Ended 31 March 2023
for
The Kid$cape Campaign for Children's
Safety
Wfilliams & Co Epsom LLP
StatLrtory Auditors
8-10 South Street
Epsom
Surrey
KT18 7PF

DoGuSign Envelope ID". 811 DA43E.F37243D6-9B65-A8A13B67436E
The Kldscape Campalgn for Chlldren's Safety
Contents of the Financial Statements
for the Year Ended 31 March 2023
Page
Report of the Trustees
Report of the Independent Auditors
9 to 10
Statement of Financial Activities
Balance Sheet
12
Cash Flow Statement
13
Notes to the Cash Flow Statement
14
Notes to the Financial Statements
15 to 22
Detsiled Ststement of Financial Activities
23 to 24

DoGuSign Envelope ID". 811 DA43E.F37243D6-9B65-A8A13B67436E
The Kldscape Campalgn for Chlldren's Safety
Report of the Trustees
for the Year Ended 31 March 2023
The ttustees piesent their reportwith the finanaal statements of the charity forthe yearended 31 March 2023. The ttustees
have adopted the provisions ol Accounting and Reporting by Charities. Statement of Recommended Practice applicable
to charities preparing theiraccounts in accordance with the Financial Reporting Standard applicable in the UK and Republic
of Ireland IFRS 1021 leffective 1 January 20191.
The trustees present their report with the financial statements of the charity forthe year ended 31 March 2023. The trustees
have adopted the provisions of Accounting and Reporting by Charities.. Statement of Recommended Practice applicable
to charities preparing their accounts in accordance with the Financial Reporting Standard applicable in the UK and Republic
of Ireland IFRS 1021 leffective 1 January 20191.
The Kidscape Campaign for Children's Safety is a registered charity. Its trading subsidiary is Kidscape Trading Limited,
profits from which are passed through to the charity.
Our Aim and Objectives
The charity's objects contained in the company's mernorandum of association are to preserve and safeguard children from
sexual and other assaults by advanang their education into the prevention of such assautts.
Our vision is for all children to grow up in supportive cornrnunities safe from bultying and harrn.
Our mission is to provide practical support, training, and advice to challenge bullying and protect young lives.
This report looks at our objectives. activities, and the outcomes of our work in the 8CCOUnting period, 1st April 2022 to 31
March 2023.
Summary of main activitie
Frorn 2022-2023 we provided direct support to children and families irnpacted by bullying Ihiough our ZAP workshops.
Parent Advice Line, and the delivery of theiapeutic support for children severely impacted by bullying. We sought to bLJild
supportive comrnunilies safe from bullying and harm through delivery of training in safeguarding and bullying awareness
lo sthool staff. sports staff and other adutts working with children and young people throughout England and Wales. as
well as the provision of peer mentoiing training to young people.
We benefit fiotn the (x)mbinab"on of 8 highly committed staff le8m, working with freelan￿ stsff and volunteeis. in the
ex81cising of our duties throughout England and Wales. Voluntee15 make up 50UA of our workforce, Induding Support for
core duties including fundrai51ng, communications and HR, and help with direct delivery to children and families.
This report looks at our objective5, activib"es, and performance in the accounting period, 1st April 2022 to 31 March 2023.
In the exercising of our duties, Trustees have had regard to the guidance issued by the Charity Commission on public
benefit IPB11.
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DoGuSign Envelope ID". 811 DA43E.F37243D6-9B65-A8A13B67436E
The Kldscape Campalgn for Chlldren's Safety
Report of the Trustees
for the Year Ended 31 March 2023
Activities and Performancè
Strate
ic Plan 2021-2024
We want all children in England and Wales to grow up in supportwe communities safe from bultying and ham. Bullying is
a complex issue which requires a multi-faceted response. There are many factors that influence behaviour- both in schools,
the communities and online. We are fortunate that there is wealth of research both in the UK and internationally related to
bullying, and we are guided by a range of theoretical approaches, induding work with children at an individual and peer
group level, family support, work with schods and societal influence.
We are highly regarded as the charity that is on the ground, giving practical support to children, families, schools, and
communities.
'You do 9￿at WO￿ on the fn)ntline.'
The strategy for 2021-2024 indudes three key pillars for future growth..
11 Reach - make sure we are reaching the children and families that need us most and that we have a significant
irnpacl on young lives.
21 Represent - rnake sure our staff and volunteers are representative of the cornmunities we serve, and that our
programmes and services are accessible to children and families most impacted by bullying le.g.. disabled
children and those with additional needs. young carers. LGBT+ young people, ethnic minorities and children
living in povetyl.
31 Respond
make sure we listen to children. families. Schools. and comrnunities and work together to improve
and develop piograrnmes 8nd services.
A¢tivitie8 and Perforniance 2022-2023
Direct support to children and families We worked directly with 4266 children, sUPPOrted over 8000 parents and carers
with advice and guidance, and provided training to over 14.000 professionals lo help prevent bullying and keep children
S8fe. This induded 5UPPOrting over 80 families through our ZAP Cornrnunity workshops th8t provide direct SUPPOrt to
children and familie5 impacted by bullying, reaching over 2000 children through our ZAP in Schools bullying awareness
workshops, and giving sUPPOrt to 278 fatnilies through the Paient Advice line. an increase of 459/0 COnt8Cts on the previous
yeai.
'Would tscommend to anyone I know who goes through what my (Child) has.. thank the people that are behind this, iys
helped way MOKE than you can possNbly think., IParentJ
'Cmcial traiftNng forèny parent orindiwdual who has nieceslnephews /gtxI chNId￿n - helps with understanding language
used, what kids are going through, how to engage with kids, what fftsouffes are aWa￿lable to help. Pn)vides confidence to
understandan a￿è thatm1ghtothe￿ise be diffi"cultto navNgate.'(Participantffn Onlifte Sèletyènd cybe￿ul1￿ftgAWareneSS
TraNning for Pa￿nIS and Carers)
Increased reach through our digital platfomis We saw a significant rise in reach through Instagram, Twitter and Linkedln
this year. We have benefited from a number of high-profile collaborations induding working in partnership wth Giants Live
to produce the film 'Vthat does strong mean to you?. winning bronze in the Charity Film of the Year awards. Our top tips
documents for children and parents are now available through the website in 17 languages, and we saw a 50 /0 increase
in visits, with over 14,000 visits.
'1 keep seeing Kidscape everywhere, (Stella fmm stonboa￿l)
Partnership work We have continued to collaborate and partner with others lo increase our reach and irnpact. Highlights
this year include working in partnership with Governors for Schools, with sponsorship from Allen & Ovary. to develop and
deliver anti-bullying training to over 300 governors in England. We also worked in partnership with Arsenal FC to develop
and deliver ZAP in Sports workshops to children in their football academy, leaching key skills in bullying awareness and
response. This year has also seen a significant uptake in our workshops for parent and carer networks in businesses
throughout the UK, including delivery to staff in Nefvlork Rail, ChanneH and Vodafone.
Growing our volunteer base We continue to grow our volunteer base throughout England and Wales, with over thirty-
eight volunteers. We also benefit from 8 range of pro-bono support induding human resource5 SUPPOrt frorn the Office of
National Statistics in the development and delivery of staff training. support trom the Salesforce team with updating of
our CMS system. and support frorll Persuasion PR for press activity, including coverage during Anli-Bullying Week. This
induded securing a firsl-person ple￿ in the Metro.
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DoGuSign Envelope ID". 811 DA43E.F37243D6-9B65-A8A13B67436E
The Kldscape Campalgn for Chlldren's Safety
Report of the Trustees
for the Year Ended 31 March 2023
resent
Empowaring ehil(Ir&n to takè thè l•ad in bullying pravèntion and responsè.
We upskilled over 300 primary-age children to become bullying awareness champions, and 800 young people to become
peer mentors in their school communities. We also secured a grant from fashion retailer Size? to develop our participation
strategy in 2023. This will indude consulting with children and young people in the redevelopment of our website, to be
launched in Autumn 2023.
' I pledge to be kind to everyone and treat people with ￿Spect and equally. To be a great champion in my school.,
' I pledge to pmtect others in my school and look out forbullying.,
'1 pledge to aAvays be kind and make SU￿ I listen to others., (Bullying A wareness Champions)
Launch of guide for parents and carern of autistic children
We continued to partnerwith Lynn Mccann from Reachout ASC to develop reSoU￿S forautisticchildren and theirfamilies.
This included the launch of a guide to bullying for parents and carers of autistic children. Lynn has also been working with
Kidscape. through support from The Gernini Foundation. to develop a rnodular version of our ZAP workshops. which will
be piloted with autistic children in Autumn 2023.
Raising awareness of Islamophobia in schools and the wider community
Kidscape is an active rnemberof the Muslim Mind Collaborative IMMCI. During thi5 ye8r we supported a carnpaign to r8ise
awareness of Islamophobia during Anti-Bullying Week (led by MMCI and Kidscape Trustee Dr Sania Shakoor. gave 8
keynote presentation at a roundt8ble to look at support for Muslim ment81 health in schools.
Supporting young ￿rer9 in ¢ollaboration with Imago
Kidscape worked in collaboration with Itnago to provide ZAP workshops to young carers in Kent. In addition to this. the
Kidscape tearn benefitted from receiving tiaining in supporting young carets from the Imago te8m.
Awarded the Hate Crirne Award by Ifi¢tim Support Wale
Kidscape was awarded the Hate Crime Award by Victim Support Wales in recognrtion of services that support the Hate
Crime Charter in Wales. This indudes championing the right to be treated with respect, the right to make a complaint, the
right to be heard, the right to report hate clime, the right to privacy, the right to Infoirnation and the right to free and
confidential support.
Res
Secured fundlng for Interventlons wlth chlldren who dlsplay bullylng behavlour.
We worked in partnership wth the Anti-Bullying Bullying Alliance to secure a grant from the Youth Endowment Fund to
develop and train staff in the delivery of interventions with children who display bullying behaviour. These interventions
will be piloted as part of the United Against Bullying Plus, programme of support to schools, from 2023-2025.
Delivery of trauma-informed therapeutic support
We worked with Service Six to provide trauma-informed therapeutic support to seventeen families during the year and wll
be publishing the University of York evaluation of the pilot in the Autumn of 2023.
I really don t know whether (ourchild) would still be living with us, oreven alive. if we had not weived the timely support
that we did from this projecl. During what was withouta doubt the worstyearof all ourlives, Ihis pmject was the onlyplace
we Gould access help and support, despite numemus aftempts to contact many olher agencies. We cany thank you
enough., (Parenti
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DoGuSign Envelope ID". 811 DA43E.F37243D6-9B65-A8A13B67436E
The Kldscape Campalgn for Chlldren's Safety
Report of the Trustees
for the Year Ended 31 March 2023
riorities for 23124
Reach
Aim to rèach 15,000 childrèn. 5000 parènts and earèrs and 15,000 prof•ssionals from 2021- 2024.
This will indude the continuation of strategic partnerships with others who share our vision and can help expand our reach.
Planned highlights include working with The Scout Association to update their anti-bullying policies and procedures and
partnering with the Anti-Bullying Alliance on the United Against Bullying Plus programme to pilot a combination of the ABA
whole-school approach to bU1￿1ng, with Kidscape targeted interventions in 15 schools.
Deliver the digital transformation of the charity.
The Jingle Jam fundraising campaign secured funds for Kidscape to invest in the digital transformation of the charity in
2023. This will include a new website, infomed by the needs of children, parents and carers. The key aim of this
transformation is to reach rnore children and families who need our support
Re
resent
Pilot modular ZAP for autl8tic children
In Autumn 2023 we will work with Reachout ASC to pilot the delwery of modular ZAP workshops with autistic children.
Res
ond
Share the evaluation of our therapeutic support piloL
In 2023 we look forward lo sharing the University of York ev8lu8lion of our thei8peulic support pilot and developing and
delivering training ft)r the children's workfoice to 18ise awareness of the need for 8 Irguma-informed approach lo bultying
response.
Devglop intervention¥ with childrgn who di¥play bullying behaviour.
We will work wlh the Anti-8ullying Allian￿ to develop inletvenlions ft>i use with children who display bullying behaviour.
Thes8 interventions will be dev81oped in 2023 and ro118d out to 15 Schools partlClP8b"ng In th8 pilot from 2024.
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DoGuSign Envelope ID". 811 DA43E.F37243D6-9B65-A8A13B67436E
The Kldscape Campalgn for Chlldren's Safety
Report of the Trustees
for the Year Ended 31 March 2023
FINANCIAL REVIEW
Financial position
Flnanclal Revlew
Review of the charlty's flnanclal posltSon at the end of the perlod
We ended the year with a significant surplus of £298.932 against a budgeted deficit of £85,409. Kidscape has a robust
fundraising strategy, and benefits from a diverse portfolio of income streams. This year the charity received substantial
legacy funding and received over £240,000 as benefiaaries of the Jingle Jam fundraising campaign. The charity also
raised over £100.000 through traded income, principally through the delivery of training to schools and the corporate sector.
Funds raised this year will support the digital transformation of the charity. A primary locus will be direct engagement with
children and young people, consulting with children on what they need from the charity, the ways in which they access
content. and working with them to reach significandy more children in years to come.
Financial procedures
There are robust financial procedures in place to monitor income and expenditure. These indude daily ched(s of our online
banking transactions, detailed cash flow reviews and monthty accounts prodU￿d by the Head of Finance and
Administration. A board sub-committee meets with the CEO and Head of Finan￿ and Adrninistration each month to review
income and expenditure, quarterfy management accounts are prepared by our accountants with variance anatysis, with
rinance reports provided each quarter to the full Board of Trustees.
Reserves policy
In 2019-2020 we reviewed our reserves policy in light of our redU￿d operating expenditure and the higher risks presented
by the imp8Ct of the pandemic. Tiustees continue to keep this policy under review. We aim lo hold six months, worth of
planned fuluie operating expendiluie. plus £2W.000 to address potential cash flow v81i8bilily. This is to address the
continued volatility of the fin8ncig1 climate in the United Kingdotn. the impact of high infl8tion. and the in¢ie8sing demand
for our services. on 31 March 2023. we held unrestricted free reserves of £620.562. Our forecast expenditure for 202>
2024 is £632.396.
Investsnent Policy
£100,000 of Kidsrape'5 reserves are Invested in a Cazenove Multi-A55et Fund. established, and approved by the Charity
Commi5510n. The value of the fund at the close of the financial year wa5 £144,083. The target ieturn objective 15 inflation
plus 40/0 over an economic cycle. The investment into this fund was made after extensive research by the Trustees and
mernber5 01 the senior tnanagetnent team. It was noted that the Fund is widely used atnong chaiitie5, of all sizes, provides
an appropriate level of risk, and that funds are available for withdrawal at any time.
Incorporatlon
Kidscape is going through an incorporation process and has set up a new charity as a company limited by guarantee wrfth
the name'Kidscape' (company number 123631251 and registered charity number111892431. As part of this process, the
current charity's whole undertaking, including all its assets, liabilities, and functions, will be transferred to the new charity.
This also includes staff and Trustees. The incorporation process was due to be completed but has faced ongoing delay
due to the continued challenge of opening a new bank account. We have given advanced notice to funders where
appropriate and will notify any funders where grant agreementswill need to transfer from Kidscape Campaign for Children,
Safety (charity number 3268641 to Kidscape (charity number 11892431. We have received full legal support for the prO￿$S
from Bates Wells.
Structure, Governance and Management
Trust Deed
The charity is governed by its Trust Deed. Legal responsibility for the management and stewardship of the charity is vested
in the Board of Trustees. The CEO of the charity is responsible for the day-ttrday management of the organisation and is
responsible to the Board of Trustees.
Recruitment and Appointment of Trustees
In this financial year, we were supported by a team of 11 Trustees with a broad range of experience. 50°/ts of the board
identify as minoritised ethnic groups. 30°1tr are female, 70°/ts male. The Trustee board indudes designated roles of the
Chair. Treasurer and Safeguarding Lead.
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DoGuSign Envelope ID". 811 DA43E.F37243D6-9B65-A8A13B67436E
The Kldscape Campalgn for Chlldren's Safety
Report of the Trustees
for the Year Ended 31 March 2023
The Trust Deed requires Trustees to meet once a year, but they meet four times per year, and this was the case in the
year to 31 March 2023 (with a mix of remote and fate-t￿face meetings). There are three additional sub-committees to the
board which include." Finance, Risk and Govemance", Income Generation", and Service Provision.
Trustee Induction and Training
Kidscape practices safer recruitment of staff and volunteers. Trustees are appointed through a robust selection proTrss
which indudes an application process, interviews with the Chair and a panel of Trustees, provision of references, and
relevant clearance.
Trustees are provided with a full induction that indudes..
Kidscape Trustee Role Description and Person Specification
The main documents that set out the operational framework for Kidscape including the Constitution
The latest published accounts
The latest business plans
The latest annual review
- The Kidscape Safeguarding Policy (including the code of o)nduct for staff and volunteers)
- The essential trustee.. what you need to know. what you need to do ICG31
- The Charity Governance code for srnaller charities
Trustees 8re provided with training in bullying awareness and chikl protection and are offered trustee induction training
with NCVO.
Trustees are kept up to dale on key chaiity governance directives. training and publications by the Chair and the CEO.
Trustees are in contact wrth the CEO and staff on a regular basis. The Chaii of TrLJStees hokls formal supervision with
each Trustee on an annu81 basis. The Trustees have reg8id forlhe Charity Commission's guidance on ¢haril8ble purposes
and public benelil when reviewing Kidsoape's airns 8nd objectives 8nd plans for future gctwities.
Risk Management
Mernber5 Of the Board of Ttustees acknowledge their responsibility for the management of risk, and work with senior staff
to identify and manage any risks. which Kidscape might face. The risk iegister Is LJpd8ted qLJarterfy 8nd circulated to the
board of trustees.
lthere risk is identrfied, systems and procedures are put in place to mitigate the level of risk to the charity. Internal control
risk5 are tninimised through pro￿dUleS for auth0ri58tion that are ieviewed at least on annual basis. The charrty has
undergone a thorough health and safety assessment and has invested in ongoing support through Citation. In 2018 the
charity commissioned an external finance review to assess Kidscape's internal financial control environment, having regard
to Charity Commission guidance ICC8." Internal financial controls for charities) to ensure we are benefitting from the most
effective management Information to support staff and trustees.
In 2022 we commissioned Thirtyone."eight to conduct an extemal audit of our safeguarding policy and pro￿dure$. This
was conduded in Spring 2023, and we responded to several recommendations, including an update of the Kidscape
Safeguarding Policy and the production of an Annual Safeguarding Report to the Board ol Trustees. We a￿ now wod(ing
with Thirtyone.'eight to achieve the Safeguarding Award in 2023.
Chief Executive
In April 2023 after over 8 years, Servi￿ Lauren Seager-smith. left the charity to become CEO of another organisats'on.
The charity thrived under her leadership and is in a stronger position to fulfil its objectives than it was when she joined.
Following a thorough and open recruitment process. the charity has appointed Paula Timms to take over as CEO. and she
started in September 2023. Paula is an experienced strategic leader within the children's sector across the UK. Paula was
Interim Chief Executive Officer ol Children in Wales, the national charity in Wales championing Children's Rights. Prior to
joining Children in Wales, Paula worked for Barnardo's UK developing their health strategy and Merthyr Tydfil CBC leading
on poverty prevention prograrnmes. She is also a Trustee of the Professional Association for Childcare and Early Years
IPACEYI.
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DoGuSign Envelope ID". 811 DA43E.F37243D6-9B65-A8A13B67436E
The Kldscape Campalgn for Chlldren's Safety
Report of the Trustees
for the Year Ended 31 March 2023
REFERENCE AND ADMINISTRATIVE DETAILS
Registered Charity numbèr
326864
Prlnclpal address
8-10 South Street
Epsom
Surrey
KT18 7PF
Trustees
John Hadjipateras
Marco Das Neves Andre (resigned 23 May 20221
Calum Smyth
Elliott Rae
Sania Shakoor
lan Joseph- Chairman
Kitty Poole
Richard Bowyer
Annabel Koh Wilson (resigned 22 March 20231
sa￿atOre Petrone- Treasurer
Joe Plumb (appointed 28 July 20221
Principal Officers
Lauren Seager-smith
Lisa Spencer
hief Executive Offi￿r
Head of Finance and Administration
Bankers
Lloyds Bank
4 West street
Havanl
Hants P09 1PE
Auditors
Williatms & Co Epsorn LLP
Statutory Audit015
8-10 South Street
Epsom
Suriey
KT18 7PF
Sollcltors
Bates Wells
10 Queen Street
London
EC4R 18E
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DoGuSign Envelope ID". 811 DA43E.F37243D6-9B65-A8A13B67436E
The Kldscape Campalgn for Chlldren's Safety
Report of the Trustees
for the Year Ended 31 March 2023
STATEMENT OF TRUSTEES. RESPONSIBILITIES
The trustees are responsible for preparing the Report of the Trustees and the financial statements in accordance wrth
applicable law and United Kingdom Accounting Standards (United Kingdom Generally AC￿pted Accounting Practice).
The law applicable to charities in England and Vvales, the Charities Act 2011, Charity (Accounts and Reports) Regulations
2008 and the provisions of the trust deed requires the trustees to prepare financial statements for each financial yearwhich
give a true and fair view of the state of affairs of the charity and of the incoming resour￿$ and application ol resources,
induding the income and expenditure, of the charity for that period. In preparing those finanaal statements, the trustees
are required to
select suitable accounting policies and then appty them consistentty.,
obseNe the methods and principles in the Charity SORP.,
make judgements and estimates that are reasonable and prudent.,
state whether applicable accounting standards have been followed, subject to any material departures disclosed and
explained in the financial statements.,
prepare the financial statements on the going concem basis unless it is inappropriate to presume that the charity will
continue in business.
STATEMENT OF TRUSTEES. RESPONSIBILITIES-continued
The trustees are responsible for keeping proper accounting record5 which disdose with reason8ble accuracy at any time
the financial position of the charity and to enable them to ensure that the financial statements comply with the Charities
Act 2011. the Charity (Accounts and Reports) Regulations 2008 and the provisions of the trust deed. They are also
responsible for safeguarding the assets of the charity and hence for taking reasonable steps for the prevention and
del￿tiOn of fraud and other irregularities.
11.9.23.
Approved by order of the board of trustees on
and signed on its behaK by..
Ian Joseph - Chairman - Trustee
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DoGuSign Envelope ID". 811 DA43E.F37243D6-9B65-A8A13B67436E
Report of the Independent Auditors to the Trustees of
The Kidscape Campaign for Children's Safety
Opinion
Vve have audited the financial statements of The Kidseape Campaign for Children's Safety Ithe'charrty'l forthe year ended
31 March 2023 which comprise the Statement of Financial Activities, the Balance Sheet, the Cash Flow Statement and
notes to the financial staternents, Including a sumrnary ol significant accounting policies. The financial reporting fiatnework
that has been applied In their pieparab.on is applicable law and United Kingdom Accounting Standards (United Kingdom
Generally Ac￿pted Accounting Practice).
In our opinion the financial statements".
give a true and fair view of the state of the charty's affairs as at 31 March 2023 and of its incoming resources and
application of resources, for the year then ended.,
have been properly prepared in accordan￿ with United Kingdom Generally Accepted Accounting Practice,. and
have been prepared in accordance with the requirements of the Charities Act 2011.
Basis for opinion
We conducted our audit in accordance with International Standards on Auditing IUKI IISAS IUKII and applicable law. Our
responsibilities under those standards are further described in the Auditors, responsibilities for the audit of the financial
statements section of our report. We are independent of the charity in accordance with the ethical requirements that are
relevant to our audit of the financial staternents in the UK. induding the FRC'S Ethical Standard, and we have fulfilled our
other ethical responsibilities in accordance with these requirements. We believe that the audit evidence we have obtained
is sufficient and appropriate to provide a basis for our opinion.
Conclusions relating to going concern
In auditing the financial statements. we h8ve concluded th* the trustees, use of the going COn￿M basis of accounting in
the preparation of the financial statements is appropriate.
B8sed on the work we have performed, we have not identified any material uncertainties relating to events or conditions
that. individualty orcollectively. may Cast significant doubt on the charity's ability to continue 88 a goin9 ￿n￿rn fora period
of at least twelve months from when the financial statements are authorised for issue.
Our responsibilities 8nd the responsibilities of the Iruslees wlh resped to going concem are described in the relevant
sections of this report.
other inforniation
The Iruslees are responsible for the other information. The other infr)rTnation comprises the infoirnalion induded in the
Annual Report, other than the Iinancial statements 8nd our Report of the Independent Auditors thereon.
Our opinion on the fin8nci81 slalemenls does not cover the other information and. ex¢epl lo the extent olhetwise eXpli￿tlY
stated in our r8POrt, we do not 8xpress any fomi of assuranc8 conclusion ther80n.
In connection with our audit of the financial statements, our responsibility is to read the other infomation and, in doing so,
consider whether the other infortnation is tnaterially inconsistent with the financial statements or our knowledge obtained
in the audit 01 othetwise appears to be rnaterially rnisstated. Ifwe Identify such material inconsistencies orapparent material
misstatements, we are required to determine whether this gives rise to a material misstatement in the financial statements
themselves. If, based on the work we have perfomed, we conclude that there is a material misstatement of this other
information, we are required to report that fact. We have nothing to report in this regard.
Matters on which we are required to report by exception
We have nothing to report in respect of the following matters where the Charities (Accounts and Reports) Regulations
2008 requires us to report to you if, in our opinion".
the information given in the Report of the Trustees is inconsistent in any material respect with the finanaal statements.,
or
sufficient accounting records have not been kept., or
the finanaal statements are not in agreement with the accounting records and returns., or
we have not received all the information and explanations we require for our audit.
Responsibilities of trustees
As explained more fully in the Statement of Trustees, Responsibilities, the trustees are responsible for the preparation of
the financial statements which give a true and fair view, and for such internal control as the trustees determine is necessary
to enable the preparation of finanaal statements that are free from rnaterial rnisstalement. whether due to fraud or error.
In preparing the financial statements. the trustees are responsible for assessing the charity's ability to continue as a going
con¢em, disdosing, as applicable, matters related to going concern and using the going con¢em basis of accounting
unless the trustees erther intend to liquidate the charity or to cease operations, or have no realistic alternative but to do so.
Our ￿SponSibl11t1eS for the audit of the financial statements
We have been appointed as auditors under Section 144 of the Charities Act 2011 and report in accordance with the Act
and relevant regulations made or having effect Ihereunder.
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DoGuSign Envelope ID". 811 DA43E.F37243D6-9B65-A8A13B67436E
Report of the Independent Auditors to the Trustees of
The Kidscape Campaign for Children's Safety
Ourobjectives are to obtain r8asonable assurance about whetherth8financial statements as a whole are free from material
misstatement, whether due to fraud or error, and to issue an auditoi's report that includes our opinion. Reasonable
assurance Is a high level of assurance but Is not a guarantee that an audit conducted In accordan￿ with ISAS IUKI will
always detect a material tlllSStatement when it exists. Mlsstatetnents can arise from fiaud or etror and ale con51dered
material rf, individually or in the aggregate, they could reasonably be expected to influence the economic decisions of usets
taken on the basis of these financial statements.
IrregUlar￿e$, induding fraud, are instances of non-compliance with laws and regulations. The objectives of our audit are
to obtain suffiaent appropriate audit evidence regarding compliance with laws and regulations that have a direct effect on
the determination of material amounts and disclosures in the financial statements, to perform audit procedures to help
identify instances of non-compliance with other laws and regulations that may have a material effect on the finanaal
statements, and to respond appropriately to identified or suspected non-compliance with laws and regulations identified
during the audit.
In relation to fraud, the objectives of our audit are to identify and assess the risk of material misstatement of the financial
statements due to fraud, to obtain sufficient appropriate audit evidence regarding the assessed risks ol material
misstatements due to fraud through designing and implernenling appropriate responses and to respond appropriately to
fraud or suspected fraud identified during the audit.
However it is the primary responsibility of management, with the oversight of those charged with governance, to ensure
that the entity's operations are conducted in accordance with the provisions of laws and regulations and for the prevention
and detection of fraud.
In identifying and assessing the risks of rnaterial rnisstaternent in respect of irregularities. induding fraud, the audit
engagement team made enquiries of Management, and those charged with govemance, regarding the prLwEdures relating
to identifying, evaluating and oornplying with.,
1. laws and regulations and whether they were aware of any instances of non-compliance..
2. detecting and responding to the risks of fraud and whether they have knowledge of any actual. Suspected or
alleged fraud..
3. the internal Controls established lo milig*e iisks rel*ed lo fi8ud or non-cornpli8ii¢e with laws and regul8tions',
A5 a iesult of these procedures we consider the most signrfic8nt law5 and iegul8tions that have 8 direct impact on the
financial statements are FRS 102. General Data Protection Regulations. Charities Act 2011 and the Charities St8temenl
of Rewmmended Prgclice. We perfoirned audit procedures to detect non-wmpliance. which may have 8 material impact
on the Iinancial statements. These induded reviewing Iinanci81 statement disc105ures and evaluating advice received frorn
extemal advisors. There were no signrficant laws and regulation5 we deetned as having an indirect itnpact on the finan￿￿1
statements.
The audit engagement team identified the risk of management tsverride of ctsntrols as the area where the financial
ststements were most sustsptible to material misstatement due to fraud. Audit procedures performed Induded but were
not litnited to testing rnanualiournal entiies and othei adjustments and evaluating the rationale In relation to any significant,
unusual tiansactions and tiansactions entered into outside of the normal course ol business.
A further description of our responsibilities for the audit of the financial statements is located on the Finanaal Reporting
Council's website at www.frc.org.uk/auditorsresponsibilities. This description forms part of our Report ol the Independent
Auditors.
Use of our report
This report is made solely to the charity's trustees, as a body, in accordance with Part 4 of the Charities (Accounts and
Reports) Regulations 2008. Our audit work has been undertaken so that we might state to the charity's trustees those
matters we are required lo state to them in an auditors, report and for no other purpose. To the fullest extent permitted by
law, we do not accept or assume responsibility to anyone other than the charity and the charity's trustees as a body, for
our audit work, for this report, or for the opinions we have formed.
for and on behalf of Imlliams & Co Epsom LLP
Statutory Auditors
8-10 South Street
Epsom
Surrey
KT18 7PF
11.09.2023
Date..
Iliams & Co Epsom LLP are eligible for appointment as auditor of the tharity by virtue of its eligibility for appointment
as auditor of a company under section 1212 of the Gompanies Act 201￿.
Page 10

DoGuSign Envelope ID". 811 DA43E.F37243D6-9B65-A8A13B67436E
The Kldscape Campalgn for Chlldren's Safety
Statement of Financial Activities
for the Year Ended 31 March 2023
2023
Total
funds
2022
Total
funds
Unrestricted
funds
Restricted
funds
Notes
INCOME AND ENDOWMENTS FROM
Donations and legacies
400,457
362,832
763,289
290,820
EXPENDITURE ON
Raising funds
88,175
12,753
100,928
86,718
Charitablè activitias
ZAP
Paient Advice Line
Other general charitable activities
Support
RISE
ZAP in schools
Help with Bullying IThe Dulverton Trust)
Community Leaders
The Gemini Foundation
Pilot Projects
Jingle Jam
The Mather Family Charitable Trust
The Lawson Trust
Hollyhock Charitable Foundation
56,144
56,144
23,5(
124,287
44,699
16,974
24,377
51,860
34,686
49,029
46,822
21,127
27,708
10,000
133
2,40Q
1,153
23,506
79,556
44,731
44,699
16,974
24,377
5,400
5,400
426
17,452
7,200
1,179
32,445
428
17,452
7,200
1,179
32,445
48,800
Totsl
191,663
272,695
464,358
380,918
Net g8inslllosses1 on investments
6,221
6.221
10,838
NET INCOMEIIEXPENDITUREI
Transfers be￿en ftJnd¥
202,573
122,478
90,137
122.478
292,710
{79,2601
14
Net movement in funds
80,095
212,615
292,710
179,2801
RECONCILIATION OF FUNDS
Total funds brought forward
540.467
540,467
619,727
TOTAL FUNDS CARRIED FORWARD
620,562
212,615
833,177
540,467
The notes fom part of these financial statements
Page11

DoGuSign Envelope ID". 811 DA43E.F37243D6-9B65-A8A13B67436E
The Kldscape Campalgn for Chlldren's Safety
Balance Sheet
31 March 2023
2023
Total
funds
2022
Total
funds
Unrestricted
funds
Restricted
funds
Notes
FIXED ASSETS
Investments
144,083
144,083
150,303
CURRENT ASSETS
Debtors
Cash at bank
26,938
474,425
26,936
687,041
15,614
388,465
212,616
501,361
212,616
713,977
404,079
CREDITORS
Amounts falling due vAthin one year
124,8831
124,8831
113,9151
NET CURRENT ASSETS
476,478
212,616
689,094
390,164
TOTAL ASSETS LESS CURRENT LIABILITIES
620.561
212.616
833,177
540,467
NET ASSETS
620,561
212,616
833,177
540,467
FUNDS
Unrestricted funds..
General fund
Designated fund- Parent advice line
Investment fund
Designated fund - Pilot Projects
14
63,923
63.512
444.273
48.853
147,0861
87.251
450.494
49.808
620 561
Restricted funds
212,e16
TOTAL FUNDS
833.177
540.467
11.9.23.
The financial statements were approved by the Board of Trustees and authorised for issue on.............................................
and were signed on its behalf by..
lan Joseph - Chaim)an- Trustee
sa￿atOre Petrone- Trustee
The notes fomi part of these financial statements
Page 12

DoGuSign Envelope ID". 811 DA43E.F37243D6-9B65-A8A13B67436E
The Kldscape Campalgn for Chlldren's Safety
Cash Flow Statement
for the Year Ended 31 March 2023
2023
2022
Notes
Cash flows from operating activiti•s
Cash generated from operations
298,576
161,5131
Net cash provided byllu5ed inl op8rating activities
298,576
161,5131
Change in cash and cash equivalents in
the reporting period
Cash and cash equivalents at the
beginning of the reporting period
298,576
1161,5131
388,465
549,978
Cash and cash equivalents at the end of
the reporting period
e87,041
388,465
The notes fom part of these financial statements
Page 13

DoGuSign Envelope ID". 811 DA43E.F37243D6-9B65-A8A13B67436E
The Kldscape Campalgn for Chlldren's Safety
Notes to the Cash Flow Ststement
for the Year Ended 31 March 2023
RECONCILIATION OF NET INCOhTEIIEXPENDITUREI TO NET CASH FLOW FROM OPERATING
ACTIVITIES
2023
2022
Net incomellexpenditurel for th• reporting pariod las par tha
Statement of Financial Activities)
Adjustments for..
Depreciation charges
Lossesllgainl on investments
Ilncreaselldecrease in debtors
Increaselldecreasel in creditors
292,710
179,2601
785
110,5481
2,S89
75,159
e,221
111,3231
10,968
Nèt eash providad byllusèd in) op•rations
298,576
161,5131
ANALYSIS OF CHANGES IN NET FUNDS
At 1.4.22
Cash flow
At 31.3.23
Net cash
Cash at bank
388.465
298,576
687,041
388,465
298,576
687,041
Total
388,465
298,576
687,041
The notes fom part of these financial statements
Page 14

DoGuSign Envelope ID". 811 DA43E.F37243D6-9B65-A8A13B67436E
The Kldscape Campalgn for Chlldren's Safety
Notes to the Financial Statements
for the Year Ended 31 March 2023
ACCOUNTING POLICIES
Basis of preparing the financial statements
The financial statements have been prepared in accordanTr with Accounting and Reporting by Charities.. Statement
of Recommended Practice applicable to charities preparing their accounts in accordants with the Financial
Reporting Standard applicable in the UK and Republic of Ireland IFRS 1021 (effective 1 January 20151 Icharities
SORP IFRS 10211, the Financial Reporting Standard applicable in the UK and Republic of Ireland IFRS 1021 and
the Companies Act 2006.
Income
All income is recognised in the Statement of Finanaal Activities once the charity has entitlement to the funds, it is
probable that the income will be received and the amount can be measured reliably.
Expenditure
Liabilities are recognised as expenditure as soon as there is a legal orconstructive obligation committing the charity
to that expenditure, il is probable that a transfer of econornic benefits will be required in settlement and the amount
of the obligation can be measured reliably. Expenditure is accounted for on an accruals basis and has been
dassified under headings that aggregate all cost related to the category. Vvhere costs cannot be directly attributed
to particular headings they have been allocated to activities on a basis consistent with tt)e use of resources.
Governance costs
Governance costs include those costs associated with meeting the constitutional and statutory requirements of the
charity and indude the audit fees and costs linked to the strategic rnanagement of the charity.
Allocation and apportionment of costs
Costs 8re allocated to projects including attributable overhead.
Tangible fixed assets
Depreciation is provided at the following annual rates in orderto write off each 85set over its estirn81ed useful life.
Fixtures and fillings
Cotnputer equipment
20P/¢ on ieducing b818nce
20P/o on cost
Assets wsting below £500 ale not c8pil8lised by the Ch81ty.
Taxation
The charity is exempt from corporation tax on its charitable activities.
Fund accounting
Unrestricied funds can be used in accordance with the charitable objectives at the discretion of the trustees.
Restricted funds can only be used for particular restricted purposes within the objects ol the charity. Restrictions
arise when specified by the donor or when funds are raised for particular restricted purposes.
Further explanation of the nature and purpose of each fund is included in the report of the trustees.
Within general resetves an amount has been allocated as an investment fund to provide security and longevrty to
the funding of the charity.
Pension costs
The charity operates a stakeholder pension scheme which is available to all staff.
Page 15
continued...

DoGuSign Envelope ID". 811 DA43E.F37243D6-9B65-A8A13B67436E
The Kldscape Campalgn for Chlldren's Safety
Notes to the Financial Ststements - continued
for the Year Ended 31 March 2023
DONATIONS AND LEGACIES
2023
2022
Donations
Training income
Grants
Legaaes
79,374
100,508
408,181
175,246
84,369
65,669
140,719
63
763,289
290,820
Grants Recelvable:
2023
2022
Restricted
Training income
Help with Bullying Programme (The ScottishPower Foundation)
Help with Bullying Programme (The Dulverton Trust)
The Gemini Foundats'on
RRE programme (Welsh Government)
Jingle Jam
The Mather Family Charitable Trust
Community Leaders
ZAP
Hollyhock Charitable Foundation
48,305
84,697
10,000
5,200
9,491
240,816
7,200
7,491
2,697
13.416
48,800
21.376
32.445
Total
362,834
143,101
un￿StrICted
Included within unrestricted income was a grant or £45,0￿ 12022.. £21,7CM)I from Raise Your Hands, The JD
Foundation and D G Cox Charitable.
Training Income..
The total level of training income generated by the Charity and Limited company combined was £99,65512022'.
£63.6081.
RAISING FUNDS
Raising donations and legacies
2023
2022
staff costs
Rent, rates and water
Insuran
Telephone
Postage and stationery
Advertising
Sundri85
IT cost5
Fundraising costs induding marathon entry fees
Travel
Subscriptions
AccoLJntancy
Legal & professional
Computer software
39,184
49,455
286
1,015
2,733
2,657
1,279
1,331
550
1,469
7,660
20,013
445
624
225
678
643
5,070
27,880
257
1,118
873
18,066
100.928
86,718
Page 16
continued...

DoGuSign Envelope ID". 811 DA43E.F37243D6-9B65-A8A13B67436E
The Kldscape Campalgn for Chlldren's Safety
Notes to the Financial Statements- continued
for the Year Ended 31 March 2023
CHARITABLE ACTIVITIES COSTS
Support
costs (see
note 51
Direct
Costs
Totals
ZAP
Parent Advice Line
Other general charitable activities
Support
RISE
56,144
23,5C6
113,094
44,699
16,974
56,144
23,5C
124,287
44,699
16,974
11,193
E I:1
ZAP in schools
RRE programme Iwelsh Government)
The Gemini Foundation
Pilot Projects
Jingle Jam
The Mather Family Charitable Foundation
The Lawson Trust
Hollyhock Charitable Foundation
24,377
9,341
5,400
426
17,452
7.200
1.179
32,445
24,377
9,341
5,400
426
17,452
7,2(M)
1,179
32,445
352,237
11,193
363,430
SUPPORT COSTS
Goveman
costs
Other general charitable activities
The allocation of support costs has been based on estimated proportions of lime costs of stsff and the expenditure
related lo their activity. This is consislenl with the allocation basis fiorn the previous year.
AUDITORS. REMUNERATION
Audit fees in the year were £4,00012022.. £4,000). In addition fees of £12,000 12022.. £12,000) wei8 paid to the
audrtors for piovision of additional services Induding quarterly managetnent accounts and preparation of the
statutory ac¢ounts. Separate engagement teams work on the aLJdit and 8cwunts preparation. with the te8ms
working on an independent as51gnments wth Chinese walls in place to ensure no self-review threat and to ensurè
that the fimi cornplies with Ethical Standards"Self-Review threat..
TRUSTEES. REMUNERATION AND BENEFITS
There were no trustees, remuneration or other benefits for the year ended 31 March 2023 nor for the year ended
31 March 2022.
Trustees, expenses
None of the trustees received any remuneration during the year12022'. £Nill.
The Charity has a de minimis policy in relation to trivial expenditure such as refreshments for Trustee's meetings
which are not disdosed separately in the accounts.
Page 17
continued...

DoGuSign Envelope ID". 811 DA43E.F37243D6-9B65-A8A13B67436E
The Kldscape Campalgn for Chlldren's Safety
Notes to the Financial Ststements - continued
for the Year Ended 31 March 2023
STAFF COSTS
The average monthly number of employees during the year was as fdlows".
2023
2022
Full-time
Part-time
10
2023
2022
Wages and salaries
Social security costs
Pension costs
279,141
25,109
12,110
258,181
20.218
4,076
Key management staff emoluments..
£60,001- £70,000
COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTIVITIES
Unrestricted
funds
Restricted
funds
Total
funds
INCOME AND ENDOWMENTS FROM
Donations and legacies
143719
147 101
290 820
EXPENDITURE ON
Raising funds
48,642
38,076
86,718
Charitable actlvltles
ZAP
Parent Advice Line
Other general charitable activities
Support
RISE
ZAP in schools
Help with Bullying (the Dulverton Trust)
Community Leaders
51,860
34,686
36,253
51,860
34,686
49,029
46,822
21,127
27,708
10,000
12,776
46,822
21,127
27,708
10,000
133
482
2.400
133
482
2.4CM)
1.153
48,800
RRE piogramme Iwelsh Government)
Gemini Foundation
Pilot Projects
Hollyhock Chaiitable Foundation
1,153
48,800
Total
137,101
243,817
380,918
Net gains on investments
10,838
10,838
NET INCOMEIIEXPENDITUREI
Transfers between funds
17,456
96,716
196,7161
96,716
179,2601
Net movement in fund¥
179,2801
179,2601
RECONCILIATION OF FUNDS
Total funds brought ft)tward
619.727
619.727
Page 18
continued...

DoGuSign Envelope ID". 811 DA43E.F37243D6-9B65-A8A13B67436E
The Kldscape Campalgn for Chlldren's Safety
Notes to the Financial Ststements - continued
for the Year Ended 31 March 2023
COMPARATIVES FOR THE STATEhTENT OF FINANCIAL ACTIVITIES - continued
Unrestiicted
funds
Restricted
funds
Total
funds
TOTAL FUNDS CARRIED FORWARD
540,467
540,467
10.
TANGIBLE FIXED ASSETS
Fixtures
and
fittings
Computer
equipment
Totals
COST
At 1 April 2022 and 31 Marth 2023
13,534
40,992
54,526
DEPRECIATION
At 1 April 2022 and 31 Marth 2023
13,534
40,992
54,528
NET BOOKVALUE
At 31 March 2023
At 31 Marth 2022
FIXED ASSET INVESTMENTS
Shares in
group
undertakings
Listed
investments
Totals
MARKET VALUE
At 1 April 2022
Revaluations
100
150,203
8,2201
150,303
6,2201
At 31 Marth 2023
100
143,983
144,083
NET BOOKVALUE
At 31 M8rth 2023
100
143,983
144,083
At 31 Marth 2022
100
150,203
150,303
Shares in group undertakings represents the investment held in Kidscape Limited. Listed investments represents
the balance held with Schoders Investments Funds. There were no investment assets outside the UK.
Cost or valuation at 31 March 2023 is represented by..
Shares in
group
undertakings
Listed
investments
Totals
Valuation in 2023
100
143.983
144.083
Page 19
continued...

DoGuSign Envelope ID". 811 DA43E.F37243D6-9B65-A8A13B67436E
The Kldscape Campalgn for Chlldren's Safety
Notes to the Financial Statements - continued
for the Year Ended 31 March 2023
11.
FIXED ASSET INVESTMENTS- eontinuad
Shar• in Group Und•rtakings'.
The Kidscape Campaign for Children's Safety owns all ol the share capital of Kidscape Limited, and the proffits of
Kidscape Limited are distributed through Gift Aid to the Campaign. Consolidated finanaal statements have not
been prepared as the Trustees feel that the results ol the subsidiary are not material to the results of the group
under s383lcl SORP 2005. Disclosure of the investment at market value (per the Charities, SORPI is not
considered appropriate, and the investment is shown at its nominal value. ResuKs for the periods were..
2023
2022
Turnover
Net ProfiVILossl
Gross assets
Net assets
41,751
11781
20,124
11,518
29,140
1,09)
18,082
11,501
Fixed Asset Investsnents..
The Charity invested £100,000 in Schroders Investment Funds in March 2015. The carrying value of the portfolio
as at 31 March 2023 was £143.98312022.' £150.2041.
12.
OEBTORS.. AMOUNTS FALLING DUE WITHIN ONE YEAR
2023
2022
Trade debtors
Amounts owed by subsidiary
A￿rUed income
Prepayments
5.537
10.877
10.522
2.911
1.241
6.716
4.746
26,936
15,e14
The amount5 owed by the subsidiary undertaking represents funding provided out of gift aid payments previously
rn8de by the campaign.
13.
CREDITORS.. AMOUNTS FALLING DUE WITHIN ONE YEAR
2023
2022
Soo81 security and other taxes
Accrued expenses
24.883
13,914
13.915
Page 20
continued...


|Restricted funds:<br>ZAP<br>Training<br>Support<br>RISE<br>ZAP in schools<br>Jingle Jam<br>The Gemini Foundation<br>The Mather Family Charitable Foundation<br>The Lawson Trust<br>Ammco<br>Hollyhock Charitable Foundation<br>Welsh Government<br>Total restricted funds<br>Unrestricted funds:<br>General fund<br>Investment fund<br>Designated fund - Pilot Projects<br>Designated - Parent Advice<br>Total unrestricted funds<br>Total funds|YE'22<br>B/fwd<br>£<br>- <br>- <br>- <br>- <br>- <br>- <br>- <br> <br>- <br>- <br>- <br>- <br> - <br>- <br>(47,086)<br>450,494<br>49,808<br>87,251<br>540,467<br>**540,467**|YE'22<br>B/fwd<br>£<br>- <br>- <br>- <br>- <br>- <br>- <br>- <br>- <br>- <br>- <br>- <br> -|Incoming<br>resources|Outgoing<br>resources<br>£<br>(56,425)<br>(46,305)<br> <br>(44,699)<br> <br>(16,974)<br> <br>(24,377)<br>(28,200)<br>(5,400)<br>(7,200)<br> <br>(1,179)<br> <br>- <br>(32,445)<br>(9,491)|Transfer<br>of funds<br>£<br>35,049<br>- <br>44,699<br>16,974<br>24,377<br>-<br>200<br>- <br>1,179<br>- <br>- <br> -|Gains &<br>YE'23<br>losses<br>C/fwd<br>£<br>£<br>- <br>0<br>- <br>(0)<br>- <br>- <br>- <br>- <br>- <br>- <br>- 212,616<br>- <br>- <br>- <br>- <br>- <br>- <br>- <br>- <br>- <br>- <br> - <br> -|Gains &<br>YE'23<br>losses<br>C/fwd<br>£<br>£<br>- <br>0<br>- <br>(0)<br>- <br>- <br>- <br>- <br>- <br>- <br>- 212,616<br>- <br>- <br>- <br>- <br>- <br>- <br>- <br>- <br>- <br>- <br> - <br> -|
|---|---|---|---|---|---|---|---|
|||||||||
||||£<br>21,376<br>46,305<br>- <br>- <br>- <br>240,816<br>5,200<br>7,200<br>- <br>- <br>32,445<br>9,491|||||
||||362,834<br>400,455<br>- <br>- <br>-|(272,695)<br>(166,969)<br> <br>- <br> <br>(955)<br> <br>(23,738)|122,478<br>(122,478)<br>-||- 212,616<br>- <br>63,923<br>(6,221)<br>444,273<br>- <br>48,853<br>- <br>63,513|
||||400,455|(191,662)|(122,477)||(6,221)<br>620,562|
||||**763,289**|**(464,357)**|**- **||**(6,221)**<br>**833,178**|






DoGuSign Envelope ID". 811 DA43E.F37243D6-9B65-A8A13B67436E
The Kldscape Campalgn for Chlldren's Safety
Notes to the Financial Ststements - continued
for the Year Ended 31 March 2023
15.
RELATED PARTY DISCLOSURES
There were no related party transactions for the year ended 31 March 2023.
16.
FRC ETHICAL STANDARD- PROVISIONS AVAILABLE FOR SMALL ENTITIES
In common with many other businesses of our size and nature we use our auditors to prepare and submit retums
to the tax authorities and assist with the preparation of the financial statements.
17.
ULTIMATE CONTROLLING PARTY
The Charity is under the control of the Trustees.
18.
CONNECTED UNDERTAKINGS
The Kidscape Campaign for Children's Safety has a whdly-owned trading subsidiary, Kidscape Limited. The
company is registered in England and operates within the UK. For further details, see note 10 lo these accounts.
During the year the Limf(ed company rnade totsl gift aid donations to the Charity of £41.50012022. £27.6951. The
inter cornpany balance at the year end was £10.87712022.' £1,241).
Consolidated financial statements have not been prepared as the Trustees feel that the resutts of the subsidiary
are not material to the results of the group under $383lcl SORP 2005.
Page 22