Charlty roglstrallon number 107419
Company t•glstratlon numb•r N16552261Narthom Irelandl
WE ARE MADE FOR MORE
TIA MADE FOR MORE NI
ANNUAL REPORT AND UNAUDITED FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 AUGUST 2022

WE ARE MADE FOR MORE
TIA MADE FOR MORE NI
LEGALAND ADMINISTRATIVE INFORMATION
Mr5 S A Brn%￿8
MrAG Glbson
Mr S J Halghton
Mrs J HarTIs
Mrs E J Llndsay
Mrs C J Robln50n
Charfty numb•r
107419
Company numb•r
N1655226
Buslnus addrnss
26 Ballymaclxaghy Road
Belfast
BT8 6SB
R•glstsrod office
85 Salnttkld Road
Ballygowan
Newtownards
BT23 6HN
Ind•p•nd•nt •xamln•r
GMGG LISBURN
Cenlury Hou88
40 Cr8scent Buslness Pafk
Llsbum
8T28 2GN
8ankern
Santsnder
Bddle Road
8oolla
L30 4GB

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CONTENTS
Pag•
Trustees, report
Independent examlnef5 report
Statement of financlal actlvltle5
Balance sheet
Notes to the fflnanclal stalom•nt8
10-22

WE ARE MADE FOR MORE
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TRUSTEES. REPORT
FOR THE YEAR ENDED 31 AUGUST 2022
The trustaes present thelr annual report and Ilnandal statements for Iho yw ended 31 August 2022.
The fknanclal statement5 have been prepared In accordance wlth the accounting pc*d&s set out in nole 1 to the
financlal statements and comply wlth the charitvs Memorandurn and Artid05 ofAssociati(Jn, the Compantes Act
2008 and 'Accountlng and Reportlng by Charitiès.. Statement of Recomrnended Practlce aFpllcable to charflle5
preparlng thelr accounts In accordance wlth the Flnanclal Reportlng Standard appllcable In th8 UK and Rapubllc
of lrnland (FRS 102)" (as amendad for accountlng parlods ¢ommendng Irorn 1 January 2019)
Oblectlves and actbvltbos
Our mlsslon statement Is to equlp young pe(yle wlth the knO￿kd98 understandlng that there Is vakia In thelr
Idenlity and the cholces that they make.
The charity's objects are: To advance the educatlon of chlldren and young peoplg In Northem Ireland under the
agg of 25, wlth speclllc focu5 On thelr Mental health. thelr selfwesteern, the mlsu5e of drugs and the ml$use of
alcohol. To facllltsle Ihelr grovAh to full maturity as Indlvlduals and membern of soclety by educatl(Jnd, traI￿ng,
promotlonal and supportlve mean&
Made for More alms to Insplre and engage 8 9eneratlon of young people In thetr communrtles. churches and
schools; to educate and equlp them ￿lIh the knowlodge needed to value who they are and make posllve
dec151ons, for a purposeful future.
We alm to do Ihls In a numb•r of varylng w8y8:
Dellverfng workshops In bolh wlmary and Secondary 8¢hools, kn Ilne wllh the leamlng for Ille and Wofk
currlculum.
Speaklng at School a9￿MblI•S.
Speaklng lo young people In churches and In other youth OTganlsatlons to encourage them to
understand Ihelr worth and value and to encourage them In seelng and growlng In thelr Idenllty In Chrfst.
Promollng awarene88 of mental health and other1￿ueS through an actfve and poslllve prèsence on
Joclal medla.
Irustees hav8 pald due regard to guldance Issued by the Charfty Commlsslon In deddlng vthat adlvltles tha
chanty should undertake.
Achlav•m•nts and p•rfomianc•
As we entwed Into oul fourth year al Made For More, we were exclled to move ￿ from the Covld Pandemlc and
conllnue our growth as an organlsallon. Through our work across Northern Ireland, It ha5 become very dear that
the need of th8 young people wo encountsr has Incr•as•d and tha demand for Made For More Is hlgher than
aver befcro.
The table below show5 that we dld r￿t meet all our targgts In Year 4, but kn many areas we over athleved and
Ihe Made For More tsam wrxked ha￿ to reach Your￿ people across Northem Ireland In new and Innovatlve
ways.
Measuro
ear 4 targgt
500
ear 4 actual
alksMlork5hops
02
80ple reached In tho tslks
0.000
0.197
nsts9ram followers
deo vlews
8.000
,333
120,000
5,831
odcasts
10
14

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TRUSTEES. REPORT ICONTINUED)
FOR THE YEAR ENDED 31 AUGUST 2022
Year 4 began wlth a well*established Mode For More tsam,along wlth the addltlon of Reb8kah Wlson a9 a new
staff member. The staff team In place for Year 4 was:
Jamle Meakllrn - Project Dlrecior
James Gregg - Dev81opm8nt Manager
Zara Mlsklmmln - Pr*cl Manager
Ryan Karaylannls - Prolect Manager
Rebekah Wllson - Workshop Fadltator
As we came to the end of Year 4 we sald goodbye lo our Project Manager Ryan Karaylannls, vtho moved on to
V￿rk for a local church as a pastor. We are so thankful for all thal Ryan h85 don• durlng hls tlme at Made For
More and for th• 3 years that he worked dlllgently to help the organlsatlon grow and our Interns develop. We
wlsh hlm w•ll In hls new posltlon and look foThvard to worklng wlth hlm In the cornlng years.
Wlth Ryan movlng on and the need acr055 Ihe country contlnulnq to grow wa added to our t8am In late August
wlth tha employment of 3 new Staff members:
Andy Shleldg
Beth Heron
Chrls Acheson
The 6taff team wa¥ a3 ever sklllfvlly asslsled by our medla consultants Cafvln Cr819 and Jam•$ Balmer, to help
us reach more Your￿ people.
Bulldlng the succes3 ol our sch¢)ol r8$ouices In Year 2 & 3 we dedded we shoukl contlnue to cweato vldeo
resources for schools to use In the classroom. Thls year we focused on Ihe Issues young people face as they
tran51tloned frorn Prfmary School Into Secondary School. The vldeo re50urc8 h8lp8d young p8ople navlgate thls
dliTicult process and helped them understand thelr emotlons and f88llngs. The fr88 resource was shared with
schools across the county and It Is •stlmatad that It VloW￿ by over 20.000 year 8 puplls.
A new resource we launched thls year was our Mental Health Packs. These packs offered us the OPPOrtunlty to
leave somelhlng ianglble In schools, churche5 and hospttsls for those young people most In n88d. Th8se packs
Indude several Items of free m8rchandlsè and a Ilnk to a newty bullt webslte and podcast. Here th8 young people
are abl8 to leam more about thelr mental health, leam key strategles and be slgnposted to addltSanal help. We
are so Ihankful for how V￿11 these packs have been recelved wlth over 1,000 pack5 funded and d15tr1buted thls
year,
Thls year w8 saw our rnerchandls8 sa18s Incr8as8 agaln for th8 th*d year In a row. We Successfully moved
suppll8r and created two new collecttons that we sold Ihroughout the year. These merchandlse Iterns were not
only Sold onllne vla our webslte but were also sold In a local buslness In Hlllsborough called the ChA and
Pussycat. The purpose of our merch contlnue5 to be about spreadlng the message of Mad8 For More and
Incre851ng our brand awareness, rather than maklng blg profits.

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TRUSTEES. REPORT {CONTINUED)
FOR THE YEAR ENDED 31 AUGUST 2022
Fundralsln
Thls year w8 launthad txr new ftmdrnls•r- 'Brnak The Cyde,. The alm was to (xeato an annual went that would
encourag8 and motlvate schods. churches and busIneSs￿ to take part In a stat1¢ cyclo bthlle ralslng money for
the work of Made For More. Thls was an amazlng success as It allowed the Mada For More communlty lo come
together, have fun, exerclse and raise financlai support for the organIsa￿on. W8 Were amazed to see how many
people wanted to lake part In the event and show thelr support for the work whlch w8 cary out.
Wa ar8 Very thankful to everyon8 who took par( all those vtho gave ffinandally and to Ihe local buslness 'lcyd?'
vtho lent Us the statlc blkes Ihe event and gave crudal guklance arKI support IhroughouL
Collaboratlng wlth other organl8allons15 a key part of our strategy to reach more young poople and help bulld on
the amazlng work thal Is already belng caThled out a¢r065 Northem Ireland.
Year 4 saw key partnershlp3 eslabllshed wlth other young organlsatlons such as:
Dreamschaffle
Youth Inltlatlves
Boys Brlgade N.1
GlrlB Brhjade N.1
Our partnershlp wlth the Boys Brfgad• ¢onllnu•d to grow throughout Year 4, buldlng on the foundatlons
8stabllsh8d durfng Year 2 & 3. wllh aur team dollverfng workshop5 to 88 companle5 across the co￿ty and also
e5tabllshlng a key role In thelr Queens Badge Award. Th15 growlng relaUon5hlp ha8 allowad us to raach
thousand8 of boy8 and helped them navlgale the dtfflcull Issues they face every day.
Our rolauonghlp w6th th• Educatlon Authorlty also contlnued lo gmw In Year 4 wlth a strong partnershlp
establlshad wlth thelr REACH Toam. Thls partnershlp Saw the 84 REACH staff rgdlrect schools wlth slgnifunt
needs to Made For Mora far help and workshops. Th15 partnershlp opened lots of new do<Jrs acwoss the country
and showed the hugo need faced by schools In Northem Ireland. We look forwanl to bulldlng on Ihls poslt
latlon8hlp next year and C￿10nUIng lo see new schools supported by the work of Made For More.
In the year ended 31 August 2022. we also began lo bulld a new relatlonshSp vAth the Glrfs B￿gade N.1. The
Made F￿ More tearn have enjoyed dellverlng wothshop5 and tralnlng wlth dlfferent GB groups a￿085 Ihe
county and hope to see this relallonshlp develop further In Year 5.
Th• growlh o1141ad• For More has contlnued Ihanks lo Ihe hard woth and dedlcat5on of our volunteers. Th1$ year
we had 7 volunteers commbt thelr tlme and energy to help us reach more young people than ever before. Thelr
wlllngness to hglp us deliver wothshops has been a masslve help to the crganlsattcn and has ailowed us to
make each workshop fun and Inlernctlve.
It has also been amazlng lo see these volunteers grow In thelr ablllty to communlcate and plan workshops over
the lasl 12 month5. We belleve that these new skllls WIM help them In thelr next stage of Ilfe as they c¢Jntlnue to
grow and develop as young adults and move Into full-tlme work or further educallon.
We arn so thankful ftx all the Support we have recefved Ilnanclalty, prayerfully and pradlcally as a charfty In our
fourth year of operallon. All those who have 8UPP(Mted the woth have been key to al that has been achleved Ihls
year. and we look lorward to celebratlng wlth thern In Ihe fiAure.

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TRUSTEES. REPORT (CONTINUED)
FOR THE YEAR ENDED 31 AUGUST 2022
Flnanclal ravlew
The Trustees consld8r th• financlal results for tha year and thè financlal posltlon of tha charlty at the y8ar end to
be pleaslng and encouraglng.
The total Incorne for the year was £302,793 (2021 £265,895> wlth resources expended of £238,158 (2021
£167,299). generating a surplus for the year of £64.635 (2021 £98,596). At 31 August 2022 there are
unrastrlcted reserios of £160.965 (2021- £140.415).
Itls th8 pollcy ol the charity that unrestrlcted funds vthlch have not been d851gnated for a 5P8cIfic use should be
rnalntalned at a level equlvalent to between three and slx Month's exp8ndlluf8. The tfuslees conslder Ihat
reseni•s at thls level wlll •nsurn that. In tho •vent of a slgnlficant drop In fundlng. they wlll be able to c¢Jnllnue the
charltys cu￿ent acllvltle5 whlle consldarallon Is glven to ways In whlch addSUonal furKIs May be ralsed. Th15 level
of reseNes has bgen malntalned Ihroughout the year.
The trustees have assessed Ihe major rfsks to vthlth th• charlty Is exposed. and are sallsfied thal syslems are In
place to mltlgate exposure to the malor rfsks.
The Iru51ees have 8 ￿sk management strategy whlch comprfs86 an 6nnual revlew of Its rfsk reglster, the rfsks th•
haflty faces, the establlshment ol systams and procedures to mltlgate those rfsks Identlfied and Ihe
Implementatlon of procedures deslgned to mlnlmlse any pol8nllal lrnpacl on the charity.
In Yaar S wa expect to see the need for our servlces Increase across schools and churches In Northgm Iroland.
In order to prepare for Ihb we have not only been proactlve by employlng 3 now Staff members to help us create
and dellver content, but we a150 moved Into a new office space In July 2022. The need for a blgger offlco was a
key Issue lor the team, as we were already 51ruggllng for Space In our current office. We are very pleased to ba
sharfng a large and renovated spac8 at Knockbracken Congregatlonal Church, thls Is an excallant facllty and Is
In a great locatlon. We belleve that ihls new office wlll not only provlde the necessary work space and storage
for the team, but It wlll also allow u5 to traln Gtaff and other outslde agencles on 51te and help grow our reach In
new ways.
Flnally we are dellghtad to see our Intemshlp and volunteer wogramma contlnue lo grow Mxt y•ar. Thls
pn4ramme18 a key aspect of who we are a5 an organlsatlon and we love to sae these future leader8 grow and
develop as they work alongslde us.
struclur•J gov•manc• and manag•m•nt
The charfty Is a prfvate company Ilmlted by guarantee and reglslgred In Nthm Ireland (Company Number Nl
655226). 11 Is govemed by tts Artl¢lg5 olAsGoclallon, dated 25 September 2018 and Is reglslered as a charfty
with the Chadty Commlsslon Northem Ireland {Charity Number NIC 107419).
Th8 Artld8s of Assoclatlon gov8m all r818vanl matters relallng to M8mbershlp' becomln9 and ceaslng to ba a
Member. the Organlsatlon of General Meellngs: the Role and Power5 of Dlrectors (Includlng appolntment and
retirernent); Adrnlnlstratlve AThangements; and Dlrectors Indemnlty and Insurance.
The dlreclors stale that they have fully adhered to all such requlrements and provlslons durtng the year In
question.
The Boord of Dlreclor¥ held regular meetlngs durfng the year to revlew and dlscu55 the operdtK)ns ol Ihe chaTIty
and the spendlng of funds.

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TRUSTEES. REPORT (CONTINUED)
FOR THE YEAR ENDED 31 AUGUST 2022
The tn￿tea8, arn also the dlr8Ctor5 for the purpo88 of company law. and who served durfng the year and up
to the dale of *nature of th8 financlal slatements wern:
Mrs S A Brown8
MrA G Glbson
Mr S J Halghton
MrSJHarris
Mrs E J Llndsay
Mrs C J Roblnson
None of the Irustees has any beneficlal Inter8St In the company. All of the trustees are mambers of lh• company
and gu•rnntee lo contrlbuta £1 In th• avent of a wlndlng up.
Thls report has bean prepared In accordance wlth the provlslons appllcable to companles enlltled to the Bmall
cornpanle< exempllons.
The trustees, r8Pf*t was aull￿rfsed and approved by the Board of TrustO9•.
aTrls
Trust
Dated: .11.,.O..i.:..I S .

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INDEPENDENT EXAMINER'S REPORT
TO THE TRUSTEES OF WE ARE MADE FOR MORE
We report on the accounts of Ihe charlty for the year arHled 31 August 2022, whlch are sel out on pages 8 to
22.
R•spectlv• rnsponslbllltlos of Iru8t••¥ •nd axamlnor
As Ihe trustees of tha charlty (and also11s dlrector5 for the purpos88 ol company lawl you ar8 r8spon8lble for
tha pr8pardtlon of the financlal 518lements In accordance wlth the requlrements of the Companl8s Act 2006.
Havlng 5aUsfled oursofv85 that the charfty Is not subject lo audlt under Company law and 15 ellglbla for
Independent examlnallon, It Is our responslblllty to:
examlne tho accounts under secllon 65 01 th8 Charftles Act (Northem Ir81and) 2008;
to follow the procedures lald down In tha general Dlractlon$ glven by the Charlty Commlsslon for
Norlhem Ireland under sectlon 65(9)(b) of the Charftles Act,, and
10 Stste whethor Part￿lar matters have come to our attentS0n.
8asls of Ind•p•nd•nt •x•mln•r•' r•port
We have examlned your charlty accounts as requlrad under seGllon 65 of Ihe Charftles Act and our
examlnallon was ¢arrled out Sn accordance wlth Ihe general Dlrectlons glven by the Charlty Comm15slon for
Northem Ireland under secllon 65191{b) of th8 Charftles Act. The examlnatlon Included a r•vl•w of tha
accountlng rocords kept by tho charlty and a comparfson of the accounts presented wlth those rec¢xds, It also
Includes ¢onslderatlon ol any unusual Ilems or dlsclosures In the accounts, and seeklng explanatlons from you
88 charfty trustees concemlng any such mattern.
Our rolo Is lo stste whether any materfal matters have corne to our attenllon glvlng us any caus8 lo belle￿.
That ac¢ountlng recor(19 w•r• not kept In respect of the charlty as requlred by 8eGllon 386 of the
Companles Act 2006;
That the accounts do not accord wlth those accounllng records
That the accounts do not cofflply wlth the accountlng requlrem8nts of sectSon 396 of tho Companles Act
2006 and wlth the m8thods and ￿ncIpleS of the Charltlos Stslement of Recommended Practlce
appllcable to charlile5 preparlng thelr accounts Sn accordance wlih the Flnandal Reportlng Standard
appllcable Sn the UK and Republlc of Ireland
That Iherels further Infomallon needed for a proper understandlng of the accounts to be raachad

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INDEPENDEKf EXAMINER'S REPORT (CONTINUED)
TO THE TRUSTEES OF WE ARE MADE FOR MORE
Ind•pondont •xamlnqfs statemonl
Slnce the charfvs gross Income excAeded £250.000 your examlner must ba a member of a body Ilsted In
sectlon 145 of th8 2011 Act. W8 can confim that Wo aro quallfi•d to undartake the examlnatlon because wa
are membw5 of Chartered Accountants Ireland, whlch Is of th• Ilsted bodle5.
We have completed our examlnatlon and have no concem6 In respect of mattern 110 4 Ilsted above ar¥J. In
connectlon wlth fothowlng the Dlrectlons of the Charfty Commlsslon for Northem Irgland. we have fourKI no
matter5 that requlra drawlng to your attenlon.
GMCG LISBURN
Chartered Accountants
Century House
40 Crescent Buslness Park
Llsbum
8T28 2GN
Dated: 22 :.o.f- I S .

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STATEMENT OF FINANCIAL ACTIVITIES
INCLUDING INCOMEAND EXPENDrruRE ACCOUNT
FOR THE YEAR ENDED 31 AUGUST 2022
Unr•strlclod Rostrlcted
funds
funds
2022
2022
Total
Unrostrlctod Rostrlct•d
funds
lunds
2021
2021
Total
2022
2021
Not•s
ncom
Donatlons and
legacles
Charitable actlvltles
Other tradkng
actlvltles
Investmonts
135.889
12,905
89.681
225,570
12,905
153,340
20,040
71,743
225,083
20.040
64,268
64,268
20,772
20,T12
Total Incom•
213,112
89,681
302,793
194,152
71,743
265.895
ndlturn on.
Ralslng fvnd5
20.353
20,353
15,790
15,790
Charftsbla actlvlles
172,710
45,095
217,805
88,097
63,412
151,509
Total exp•ndltur•
193,063
4S,095
238.158
103,887
63,412
167,299
Not Incomlng r•sourc••
b•forn transfern
20,049
44,586
64,835
90,265
8,331
98,596
Gmss transfers
between funds
13
501
(501
Net Income for tho yoarl
N•t mov•m•nt In fundg
20,550
44,085
64,635
90,265
8.331
98,596
Fund balanca3 at 1
September 2021
140,415
8,331
148,746
$0,150
50.150
Fund balanc•s at 31
August 2022
160,965
52.416
213,381
140.415
8.331
148,746
The stal8ment of finandal acilvltlos Includes all galns and Ioss8s r8cognls8d In the year.
All Incorne and expendlture derlve from contlnulng athllles.
Th8 Stal8m8nt of financlal activitles also complles wlth the requlroments foi an Income and expendlture account
under the Companles Act 2006.

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BALANCE SHEET
AS AT 31 AUGUST 2022
2022
2021
Flxed assats
Tangltle assets
14
35,665
24.376
Curr•nt a8Bets
08btor8
Cash at bank and Sn hand
15
2,490
180,473
8.434
120,633
182.963
129,087
Crndltor8: amounts falllng due wllhln
one yoar
16
(5,247)
(4,697)
Net currenl aBsets
177,716
124,370
Total as8•ts1•8s Curront Ilabllltl
213,381
148.746
In¢ome funds
Resfficled funds
Urweslrfded lund8
17
52,416
160,965
8.331
140,415
213,381
148,746
Tho cornpany Is enllued to Ihe exemptlcffi from the audlt requlrement conlalned In s•cllon 477 of tha CompanSas Act
2006. for the year ended 31 August 2022.
Tho dIrecto￿ acknowledg8 thelr responsltrAlttles for complylng wlth Ihe requlrernents of ihe Companleg Act 2006
vlth respect to accountlng records and the preparatlon ol financlal stalements.
The members have not requlred Ihe company to obtaln an audlt of Its financlol statements the year In questlon In
accordance vlth ¥ecUon 476.
Thes8 finandal stat8rn8nts havo bo¢n wepared In accordance wlth the pro¥l8lons appllcabl8 to companles subject
lo the small Compa￿05 reglrne.
The financ1* s¢aternents wer8 approved by the Trustees on .?..7....S.: 21.. and slgned on Ihelr behalf by:
Mr
Thist•e
Mr S J Halghlon
Tru8t••
Company rnglstratlon numbor N1655226

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NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 AUGUST 2022
AGcountlng pollclos
Charlty Infomiatlon
We Are Made For More 15 a prfvato company Ilmlled by guarantee IrKorporated In Northem Ireland. The
registered office Is 85 Saknifi8ld Road, B8Mygowan, N8vAownards, BT23 6HN.
1.1 Accountlng conv•ntlon
The flnanclal stalements have been prepared In accordance wlth the charltys Memorandum and ArMcle8 of
Assoclallon, the Companles Acl 2006 and "Accountlng and Reportthg by Charltles: Statement of
Recornmended Practlce 8ppllcable to charftles prapartng thelr accounts In accordance wlth the Flnandal
Reptytlng Standard 8ppllcable In th• UK and R•publlc of Ireland (FRS 102). (as amended for accountlng
perlod$ commenclng from 1 January 2019). The chawlty16 a Public 8enefit Entlty as defined by FRS 102.
Tho charfty ha5 takon advantage of Ihe provlslons In Ihe SQRP for chartlles applylng FRS 102 Update
Bulletln 1 not to pr8paM a Slatemant of Cash Flows.
The ffin8nclal statements are prepared In sterflng, whlch Is the functlonal currency of Ihe tharSty. Monetary
amounts In these Ilnanclal 8tstements are rounded lo the nearest £.
The fjnanclal statements have been prepared under the hlstorfcal cost convontlon.The prlndpal 8c¢ount5ng
pollcles adopted ale set out below.
12 Golng conc•rn
At tha tlm8 of approvlng the financlal Btatements. the Irusteos havo a r•asonable expectatlon that the charity
has adaquate resources to contlnue In aperatlonal exlslence for tho foroseeable future. Thus the trustees
conunua to adopt the golng concem basls of accountlng In preparfng the fjnanclal Statements.
1.3 Ch•rltsbl• funds
Unrestrlctad fund8 are avallable for use at the dl8lXetlon of the trusteos In furtheranco of thelr charttable
objectlvos.
Restrlcled fund8 are subJect to speclfic condltlons by donors as to how they may be usad. Tho purpose5 and
uses ol tho restrfcted funds are set out In the notes to the flnanclal statements.
1.4 Incomlng rosourcas
Incorn8 Ss recognlsed when the charlty IB legally entliled to ft after any perfomiance condbtlons have been met,
the amounts can be measured rellably, and11 Is probable that Inc(xne wlll be recelved.
Cash donations are recognlsed on recelpt. Other donatlons are recognlsed once the tharity has been notffied
of the donatlan, unless performance condltlons requlre deferral of the amounL Income tsx rep￿8rable In
relatlon to donatlons reGelved under Glft Ald or deeds of covenant15 recognlsed at the tlme of the donall¢Jn.
The charity recelves govemment grants In respect of the provlslon of 5peclfied seNkes, proleds and
actlvitle5. Income from govemment and other grants are recognlsed at falr value when Ihe charlty has
entitlemenl after any perfomance ￿ndItIOnS have been met, Itls probab18 Ihal the Income will be received
and the amounl can bo rnoasur8d rellably. If entiuement Is not m8t then these amounts are daferrad.
1.5 Rosource5 •xp•nded
Expenditure Is recognlsed on an accruals basls as a Ilablllty Is Incurred.
Chadtable expendlture compdses those costs Incurred by the charity In the deliver of its activities and
ser¥lce5 Its beneficiarfes. It includes both costs that can ba allocated dlT8ctly to such activilies and those
costs of an Indirect nature to 5UPPOrt them.
-10-

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NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 AUGUST 2022
Accountlng pollclas {Contlnued)
Support rns15 are those functlons that assist work of the charity bul do not dlrectly undertake charltable
actlvitles. Support and other costs have been allocaled to charitable activttles based on actual usage by Ihat
acllvlty.
1.6 Tanglbl• flx•d as$•ts
TaTrJlbl8 fixed assets are Inltlalty measured at cost and subsequently measured at COBt or valuatlon. net ol
depredatknn and any Impalrment losses.
Depreclallon Is recognlsed 80 a8 to wrlte off the cost c* valuatlon of assets losg I￿1r resldual values over thelr
U5eftd Ives on the followlng bases:
Cofflp￿ern
Motor vehlcles
20% stralght Ilne
20% stralght Ilne
The galn or loss arfslng on tha dlsposal of an asset 18 detemlned as the dlfferenc• belb%7en the sal•
proceed5 and tho carry11￿ value ol the as80( and15 recognlsed In th8 Statement of financla actlvltles.
1.7 Cash •nd Cash •qulvalents
Cash and cash equlvalents knclude cash In hand, deposlts held at Gall banks, other short-tem Ilquld
Investrnents wlih orfglnal maturltl8s of three monlhs or legs, ond bank overdrafts. 8ank overdrafts are sh￿n
wlthln borrowlngs kn current labllltles.
1.8 Flnanclal In•trum•nt•
The charlty has elected to apply the provlslons of SectSon 11 '8aslc FInanG1￿ In81rufflents' and Sectlon 12
'Olher Flnanclol InBlruments Issu•s' of FRS 102 to all of tts fflnanclal Instruments.
Flnanclal InstNm8nts are recognb8d kn th• ch8rWs balanco shoot when the charfty becomes paty to the
contractual provlslons of tho Instrument.
Flnandal a$88ts and Ilabllrtles are offseL wlth the net amounts preS￿ted kn the financlal statements. when
there Is a legaly enforceable rfght to set off the recognlsed armunt5 and Ihwe Is an Intentlon to settle on
net basls or to reallse the asset and settle the liabllty slmultanaously.
Baslc flnanclal assets
Baslc fjnanclal assets, ￿lch Indudo debtors and cash and bank balances. are IDitlally measured at
transactlon prlce Includlng transact1(￿ costs and are subsequently carrfed at amortlsed cost uslng Ihe
effectlve Interest method unle55 th8 arrdngement constltutes a financlng tran5actlon. wher8 the transactlonls
measured at Ihe prnsent value of Ihe future r8celpts dlscounled at a market rato of Int•re$t. Flnanclal assets
classiflad as recelvable wlthln on8 year are not amortlsed.
Bos1¢ flnanclal Ilabllttl
Basic Ilnanclal Ilablllties. Indudlng credltors and bank loans are Inttlalty recogni5ed at transaction price unless
the arrangement con5titulo8 a financlng transackn'on, wher8 th8 debt Instrument Is measured at the present
value of Ihe future payments dlscounted at a market rate of Interest. Flnanclal Ilabfiitles classlfied a5 payable
one year are nol amortsed.
Debl Ins1nJm8nls are subsequenlty carrfed at amorfisod c(rf u51ng the effectlve Interest rate fflethod.
Tf8d8 creditors aro obllgatlons to pay for goods or ser4rfces that have been ecqulred h Ihe ordlnary Course of
operatlons from Suppliers. Amounts payable are clas51fied as current IlablllUe5 If payment Is due wlthln one
year or less. If not, they are presented as non-cufTent Ilablllle5. Trdde credllors are recogntsed Inltially al
transaction price and subsequentty measured at amortisad cost uslng Ihe èffective Interest IT18thod.
11

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NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 AUGUST 2022
Accountlng pollcles (Contlnu•d)
D•r•cognltlon of flnanclal Ilabllltles
Flnanclal 118bllllles are dorecognlsed when the charllvs rAmtractual obllgallons explre or a(8 dlscharged or
cancelled.
1.9 R•tlr•m•nt b•nefits
Payments to defined conlrfbutlon retlrarnent beneflt schemes are charged as an 8XP8ns8 as Ih8y fall du8.
Donallons and l•ga¢l••
Unrnstrlct?d Restrlct•d
funds
funds
Total Unrestrlcted Restrlcted
funds
funds
Total
2022
2022
2022
2021
2021
2021
DonatlonB arKI gffts
Grant furKllng
135.439
450
9,129
80,552
144,568
81,002
135.220
18,120
135,220
89,863
71,743
135,889
89,681
225,570
153,340
71,743
225,083
Donatlon8 and glfts
DonatSons from
Indlvlduals
DonallonB from churches
and other
Donallons from
corporates
Donations from Irusts
Other
72,929
72.929
51.985
51,985
25,345
750
26,095
17,894
17,694
6,165
30,000
1,000
8,379
14,544
30,000
1,000
20,541
45,000
20,541
45,000
135,439
9,129
144,568
135,220
135,220
12-

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NOTES TO THE FINANCIAL STATEMEKfs (CO￿nNUED)
FOR THE YEAR ENDED 31 AUGUST 2022
Donallons andlogacles (Ctyntlnuod)
Grants recolvablo for
Core a¢tlvlti
Albert Hunt
Boys Brfgade N.1 Dlstrict
Ctroperatlon Ireland
CovSd Sodal Ente￿rise
Fund
Educa￿on Authority
Halfax
Homeless Prev•ntlon
The Communlty
Foundolion Northom
Ireland
Vlctoria H¢yneB
lrfsh TOM￿rance League
SL Jamgs Palac•
Ulster Bank
Other
1,000
17,620
1,910
17,620
1.910
4,355
38,254
3,500
6,172
4,355
38,254
3,500
6,172
70,103
4,000
70.103
4,000
11,552
5,000
11.552
5.000
1,500
2.500
2.449
1,500
2,500
2,449
450
450
500
500
450
80,552
81,002
18,120
71,743
89,863
Chafltabl• aclfvllles
2L122
2021
Workshops
12.906
20.040
Oth•r tradlng actlvltl•s
Unr•strlct•d Unrestrkt•d
nds
fund•
2022
2021
Fundralslng events
Sal8 of merchandis•
32.172
32.096
20,772
Othef tradSng activll•s
64,268
20,772
13-

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NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 AUGUST2022
Inva8tm•nts
Unrostrlcted
funds
Totsl
2022
2021
Interest recelvable
Ralslng fundA
Unr•strlct•d Unr•¥trlctod
fund$
lunds
2022
2021
Tradl
Merchandlse costl
20.353
15,790
20.353
15,790
14-

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NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 AUGUST 2022
Charttablo actlvltles
2022
2021
Staff costs
Depredatl
ProJ8Ct costs
Mental H8allh Packs
130.916
8.526
84,411
9.898
147.386
96.086
Share of support costs (see note 9)
Share of govemance costs (See note 9)
68,219
2,200
53,923
217,805
151.509
Analys18 by fund
Unrestrlcted funds
Re5tr1cted funds
172,710
45,095
88,097
63,412
217,805
151,509
For tho y•ar •nd•d 31 August 2021
Unrestrfcted funds
Re5tr1cted funds
88,097
63,412
151,509
Dogcrfpllon of ¢harllabl• acllvllhs
To advance the educaiion of chLldr•n and young peoplo In Nort￿rn lrnland undar tha age 0125 wlth specfflc
focus on Ihelr rnenlal hèalth. thalr s•K-•sl••m. lh• mlsusa of drugs and the mlsuge cl alcohol.
15-

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NOTES TO THE FINANCIAL STATEMENTS {CONTINUED)
FOR THE YEAR ENDED 31 AUGUST 2022
Support costs
2022
2021 Ba818 of allocatlon
Travel expenses
Office costs
Insurance
Advertlslng
Postage and Sts￿onery
Sundry expens8S
Telephone arKJ Intemet
Workshop expenses
Rent
Heat and Ilght
Prof8s$lonal fees
Computer njnnlng cos13
Subscrlptlon5
Tralnlng costs
strfpe charges
Accountancy cos15
4,235
18,224
6,323
1,495
4,385
308
768
2.697
2,490 Usage
2,298 Usage
1.640 U5ag•
116 Usage
11,616 Usage
20 Usage
426 Usage
11,852 Usage
11
5,137
5,604 Useage
1,544 Useag8
10,115 Useage
3.596 Useage
766 Useage
448 Useage
1,392 Useage
1,500 Govemanca
17,644
647
1,548
2,500
1,366
2,200
70,421
55,423
Analys8d bebNe8n
Charltable actlvlti•s
70,421
55,423
10 Trust••$
None of the tnistees (or any perBons connected wlth them) rocelved any remunerallon or beneffts from th•
charfty durtng the year.
11 Employ••s
Tha average monthly number of employees durfng the year wa5:
2022
Numb•r
2021
Numb•r
Employment C￿18
2022
2021
Wages and salarfes
Pens*Jn costs
127,700
3216
79.547
4.864
130.916
84.411
Ther8 were no ernployegs whose annual remuneratlon was more than £60,000.
16-

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NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 AUGUST 2022
12 Taxatlon
The charity Is exempt from tax on Incomè and galns falling vlthln sectlon 505 of the Taxes Act 1988 or sectlon
252 of the Taxallonof Chargeable Galns Acl 1992 to Ihe axtent that these are applled to Its charllable c¥ects.
13 Transf•rn
TMsfers from the restrfcted fund to the unrastrlethl fund In the year were as follows:
Educatlon Authorlty
- The transfer of £501 relates to the balance remalnlng on the fvnd, avallable for unrestrlcted use.
14 Tanglblo flx•d a•sets
Comput•rnMotor v•hlel••
Tot•1
Cost
At 1 Seplember 2021
Addltlons
7,267
4,244
19,438
15,S71
26,705
19,815
At 31 August 2022
11,511
35,009
46,520
Depreclatlon and Impalrrn•nt
At 1 September 2021
D8preclatlon charged In the year
2,005
1,784
324
6.742
2,329
8,526
At 31 Augusl 2022
3.789
7.068
10,855
Carrylng amount
At 31 Augusl 2022
7,722
27,943
35.665
At 31 August 2021
5,262
19,114
24,376
15 Debtors
2022
2021
Amounts falllng due wlthln on• year.
Trade debtors
other debtors
770
1,720
4.615
3,819
2.490
8.434
17.

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NOTES TO THE FINANCIALSTATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 AUGUST 2022
16 Cr•dltors: amounts falllng duo wlthln on• year
2022
2021
Deferred Incoma
Trade cr8dttors
Accruals
1,050
3,590
1.657
2,070
5,247
4,897
18.

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NOTES TO THE FINANCIAL STATEMEKfs (CONTINUED)
FOR THE YEAR ENDED 31 AUGUST 2022
17 Rastrlcted funds
The Income funds ol Ihe charlty Include restrlcled funds comprlstng the followlTrJ unexpended balances ol
donaltons and grants held on tfUSI for spectfic purposes..
Movement In funds
In¢omtng
R•Bourc•B
B*l•nc• at
w•sourcu •xp•nd•d 1 S•pt•mb•T r•sourc•8
2021
mo￿￿•nt In funds
R•iourc••
•xp•nd•d
TraMf•r• Bahnc• ot
31 Augu•1
21121
Hunt
1.000
(1.000)
Cl￿PanIon
lrnlafid
1,910
(382)
1,528
(382)
Covkl Sothl
Enlerwi￿ Fund
Ethjcatton
Authorfty io
MaKh 2021
Education
AulhorityAp
2021 to June
2021
Eduuti
Aulhorfty Rmch
4.355
(4.355)
13,590
113,089)
S01
(501)
11,124
(11,124)
1,500
{1,500)
Ed￿tIon
Authorfty Spo
12,040
3,500
112,040)
{3,500)
H•lil•x
4,000
{4.000)
Hornole
Prnv•ntlo
The Cornm￿
Foundauon
Northern Ir•land
8,172
{6,172)
11.552
5,000
(10.250)
1.302
5,000
(325)
{s,000)
977
O•nek• B•nk
Stsff Fund
Inlem Tdp
8thw• TNst
(38)
1750)
{1,000)
(38)
750
1,000
Sl Jom81
P•lace
Educatlon
P4Jthurity
202112022
E￿¢0￿￿Tr
Aulhorty
2022r2023
NFU
2,500
(2,500)
28,103
(27,239)
42,000
6.379
1,000
2,449
{1,361)
40.639
6,379
NIE SlJff Fund
{1,000)
UlJt•r Bwk
2,449
I￿Sh
T•mpwance
Leayu
1.500
{1.500)
71,743
(83,412)
8,331
89,681
{45,095)
(501)
52,416
19.

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NOTES TO THE FINANCIAL STATEMENTS (coKfiNUED)
FOR THE YEAR ENDED 31 AUGUST 2022
17 R•5tr1cted funds (Conllnu•d)
Albort Hunt
To fund a rnbulld project, focused on dellvering workshops across Narthem Ireland that focuses on Improvlng
mental health post Covld.19 lockdown. Thè proJ8Ct also created m8dla ¢ontenl Ihat vrds sharad vAth schools
and yculh groups across the c(Junty.
c￿0PoratIOn Ireland
To fund the purchase ol Ipads lor use wlthln Ihe thaTIty.
Covld Soclal Ent•rprfs• Fund
To fund a rebulld project, focused on dellverlng workshops acr055 Northem Ireland that focuses on Improvlng
mentsl heallh post Cov1th19 lorkdown. Th8 project also created medla content that wa5 shared wlth schools
and youth groups across th8 cijunty.
Educatlon Authorlty 202012021
To work wlth EA Reach to dellver woth5hops lo meet the needs of young people based on the support
requests submltted by schools for the perlod io 31 March 2021.
Educallon Aulhorlty 2021
To woth wlth EA Reach to dellvor workshops to meet the needs ol young people based on th8 support
requests submltted by sch¢x*l$ for Iho perknd Apdl 2021 to June 2021.
Educatlon Authorlty R•ach Vld•o
To V￿rk vllh EA Reach to dellvor a vld•o r8gourc• whlch can b8 used to support school8.
Educatlon Authorfty Sports Camp
To dellver a fallh based Bummei camp lo Ihe local comrnunlty.Co-Operallon Ireland
Hallfax Foundatlon for North•rn Ir•land
To fund vldeographer costs wllhln the charty.
Homo1088 Provontlon
To dellver a vld80 dlscusslng mental health and homol8$sn85s.
Th• Communlty Foundatlon North•rn Ir•land
Towards the Reflect, Rebulld and Restart project In response lo th• Cov1&19 pandomlc.
Vlctorfa Homes
To fund a rebulld pvoject. focused on dellverlng workshops across Northem lrnland that focuses on Imprtyllng
mental health post Covld-19 lockdown. The project also created ffledla content that was shared wlth Schools
and youth groups across Ihe county.
Danske Bank Staff Fund
To fvnd m8dla equlprnent for u$8 wlthln tho tharity.
Int•rn Trlp
A donatlon glven by an IndI￿dual speclfically towards the Inlem dlsclpleshlp trSp to Spa5n.

WEARE MADE FOR MORE
TIA MADE FOR MORE NI
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 AUGUST 2022
17 R•strlcted funds {Conllnu•d)
B•lmoro Trust
To fund salary costs K4lthln the charfty In the y••r.
St Jamas Palaco
To fund metha costs Incurred In the year.
Educatlon Authorlty 202112022
To work wrth EA Reach to dellver MJrkshop8 lo meet Ihe need5 of young people based on 8UPPOrt requ8sts
submltted by Schools for Ihe perfod to March 2022.
Educatlon Authorlty 202212023
To work wAh EA Reath to dellver workshops to meet the needs ol young peopl8 based on support requests
submltted by schools forthe peflod to Marth 2023.
NFU
To fund th• dal1ver￿ce of workshws In schocls In the year.
NIE Staff Fund
To fund rnedla costs kncuThl In Ihe yoar.
Ulstar Bank
To fund ffl￿la equlpmont for u30 wlthkn the charfty.
Ir15h TeMp•ran￿ Lfjagu•
To lund the dellv8rlng 01￿Cohol Awareness workshops to young people.
18 Analysls of n•1 •$¥•ts b•lwMn funds
Unr•strkl•d R•strlct•d
funds
funds
2022
2022
Tolal Unr•strlct•d Rostrlct•d
fund8
funds
2021
2021
Totsl
2022
2021
Fund balanc•g at 31
August 2022 ara
represented by:
Tanglble ass8ts
Current aSs8ts1{Ilabll￿s0$)
30,419
130,546
5,246
47,170
35,665
177,716
21,546
118,869
2.830
5.501
24,376
124,370
160,965
52,416
213,381
140,415
8,331
148,746
19 Op•ratlng l•aso commllments
At the reportlng end date Ihe charity had outstanding commltrnenl$ for futur• mlnlrnum lease payments under
n¢)n-cancellable operaung lease¥, %vhlch fall due as follows:
2022
2021
Wlihln one year
4.667
21-

WEARE MADE FOR MORE
TIA MADE FOR MORE NI
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 AUGUST 2022
20 Related party transactlons
Thorn were no dlsdosable related paty transactlons durfng the year.