REGisfERED CHARITY NUMBEIL" SC033497
RT
THETR
ESAND
ITED FIN
FOR THE YEA
END
D3
RCH2
Henry BrowTL & Co
26 PMLind Ro*1
KiIma￿Xk
Ayrshire
KAI 2EB

rENTS OF THE FINAN
THEY
IAL STATEME
31MA
ge
Ryrt of tbe TrLrte
Inde￿ndent Ex*mkner's Re￿rt
Ststement ofFinxDtial Adivi¢Ks
B*knnet Sheet
Notes to the FiMaCi￿ St•¢¢m¢nts
tklliled StstemeTrt ofriThaThti•l Activities

PR
EPORT OF THE TR
TE
31 MARCH 21122
The tru5tecs present their rcpxt with financial st￿M￿ts of the tharity fw the Y￿ ended 31 March 2022. The
tyustees have ath)pted the pmisions of Acwunting aThJ RepMin8 by Charities.. Ststement of Re￿mMended Practi¢e
applicablt to charities preparing their accourts in %cordan¢e with the Finartcial ReF¥xtin8 StaThdard applicable in the
UK and Republic of Ireland IFRS 102) Icffective l January 2019).
OKJECTIVES AND A￿1v[TIEs
Objeclives aims
The obj¢¢ts of charity are to pr¢ynoie the benefit of young people in the SIM)rtlees area of KI]man￿Ck without
distinctioTh of gender. Sexuality, rrf)litical. ￿11810￿$ or dh¢r (wink)ns. Ilw aim ￿ achieve this by &s50ciating wilh the
h)cal authorise. voluntsry organisaiions and residents in a cornn￿￿ effort ￿ advance education and to provide
facilitie5, or wist with th¢ provision of fa¢iIiii￿ in the thie￿5¢ of social welfare for recreatioTh 8t￿ other leisure-time
occupation5 50 that their CO[￿lt￿n of life may be Irn[￿oved aDd their physical memal aThJ sphritual c4pa¢iti¢s atr
develO￿d so that thry may grow to full mawiity as iThJivithMls and mcmber5 of 50ci*.
ACHIEVEMENT AND PERFORMANCE
Cb•rilable a<tivities
When able The Sky Project opernted after SCI￿] group& This was largely deptrthit on the relevant safety regulati(ffis
ai any given time with the prnjed working within the Covid restrictions •pplied by the community eerttt which i5 linked
to the iocal ￿h(M)I.
Staff kt¥)¢ked the dc*)rs of the f*nili¢s giving them registra￿1 f￿rn5 atKI explaining the ixK*ing in system and the
re8ulation5 in place to ensure everyone's safety.
The knoking system ryeraled at a Set time with f￿11￿¢5 either ￿l￿g ￿CIal mcdr4 ph¢)nE. text, or staff would contsct
parnts direct. Although it tLX)k a time k)8iStical &$ there were 124 primary ¢hildren regiskrcd the project tried to
ensure that the children were able io *tend a minimum of I gr(wp a fortnight.
The teenager group had a ￿￿k 8ThJ t81k group on evening w week in *ldiiion 10 a weekty zoom meetin& The
project w&s able to Tun full IK)liday twmes this also Incl￿ family activities s￿h as famity nature wolk aNI come
and play afternLN)ns. We a]so d¢livcred family fun days in p3rtner5hip with Imherthird se¢tororyanisations.
Children attending the groups were ￿ into bubb1¢5 which wwe alk￿￿ the of an animal. When the Child￿￿
¢am¢ into the community ¢enirt they wcr¢ given a tokcn with thr picture of an animal ¢)n it. The ￿liv11Y thbles in tach
bubble had a corre5w)ndin8 pielure on them ￿ the ehtldren knew which tsbk thcy wert allocated to. The same piciure
was also applied ￿ the harKI saniti5cr. water ju8. Ftrh5 scis￿r IM)x and athiviiy ma*rials. Thr a150 rn￿e of
-magic lines" to help children in their area in the Community centre. This continu¢d during the holiday
Programmes.
The staff ensured that each bubble had rey)urces and ￿1vill¢S ￿ sUp￿rt the children's social and emotion
development as this was vitsl as they hwj rnL5sed this while in knkdowTL. An￿er imw*tsnt skill that the staff ￿USed
on was th¢ thildren's language and Communi￿1(*) skill&
Staff enswed thai they kw in ￿￿Ch with families with only tarly years children as the parent and w)ddler gmup h¥J not
rcstwtcd. and a150 with children and youn8 pwle that did feel safet￿￿8h g) *t¢nd groups.
Activity paeks We￿ also delivered to ¢hildru and y(wng peopbe werc cithcr havtn8 to self-ig)l* iKcause they had
covid or a member in their fwnily was self- isolatin8.
These pack5 were designed to be educ8tK)nal with rhe aaiviiies supFoning the ¢kvelopment of the chibdrens thinkin
Iwning and problem- solving. 5¢Tvice w&s very much weltxxned. As sx)m¢ of the families had self-isolate on a
number of occasK)ns.
Staff were a150 involved in deliveringNighi Before Cthrisw Boxes Cash for Kids, vouchers arwj toys.
The staff sup￿ed the f(Myi owate be￿ Christrnas and Ncw yc4r.
The projeci also ￿ured fvnding in for a Peer Menior aThJ Pccr Mentor assistant as it was clear adults and familie5
WIK) were in Teeovery or wanting to stsrt their reLX)veryiourney from &4diaion.

STUFF
ANDY
PR
TOFTH
FOR THE YEAR
USTEE
22
FINANCIAL REVIEW
Finxntisl positio
The eharity rn￿e a surplus of £609 in theyear12020- £6.9881.
Printipal fvnding souyees
The charity received vario￿$ restricted in the year. ThE5e comprised of the follow".
- Cash for kid5 which w&s to wovide fofyj and ￿50￿re5 for childrry young Fwile and familie5.
- Corra Foundatw)Th pwvided two grants which wer¢ used fo supply r￿u￿￿$ and ￿1Vity packs for children and young
people and a]$0 emergency f￿d proyisions lor families th• needa ihem.
- East Ayrshire Council 8rant was used ￿ Supply arts and cratis materials.
- Community Mentsl Hvdlth and Wellbein8 futkq was to w)vide wunselling services w those that needed it.
- CFR2 Partnership Bid which was used for wese¥(h aThJ publication of communÉty recovery suryey.
Rmervej poliry
The Charity is working towards a p)li¢y of thrte months reserves.
STRUCTURE, GOVERNANCE AND MANAGEMENT
Governing dotument
Stuff for Youth And Kids ISKYI is an unincorpx*ed associatio￿ gover1￿d by its coll￿1￿11(￿ knd has bttn a registered
charity since Sep*mber 21J)2.
Recruitment ithd ippoimtrnent of new trwte
Trustees are nomin*ed aTwJ elected by member5 * the Annual GenEr￿ rneetin& Tr s¢rving Trustee5 rnay w-opt
someone to fLII a vacancy uniil new op￿¢￿¢ment thi be mth at the next AGM.
REFERENCE AND ADMINISTRATIVE DETAIIS
Registered Ch&rity number
SC033497
Principal 8thlress
Belford Mill
16 Brewery Road
Kilmamock
Ayrshire
KAI 3GZ
Trustees
Inde
ndent ExAminer
Heiiry Brvwn & Co
CharterEd Accounlan15
26 Pornknd Ro&1
Kilmarn￿k
Ayrshirc
KAI 2EB

sruFF FOR
ANDY
HPR
REPORT OF THE TRUSTE
HE YEAR ENDED31 MARCH 2￿2
Approved by orderof the tA)ard of tnLSttt5 on 26 May 2023 athj sI￿￿d on its bd￿f by."
Page 3

INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES OF
Kl
Inthpendent examlTher's my)rt to the inut¢o of Stuff for Kith and Youth Projert
I rewxt to the charity trus*es on my examination of th¢ a¢cowits of Stuff for Ki¢ts and Youth Pmjwt (the Tntstl for the
year ended 31 March 2022.
Re4W)n5ibilities *Dd bxsis of
As the Charity trustees of the Tnjst you are res￿4)$1bk for the of *counts in aCWrd0￿e with ihe
requirements of the Charities Aa 2011 Ilhe ACVI.
I Te￿Trrt in respea of my examination of the Tn￿￿$ acww)ts ctrrittl out under StttKJtt 145 of the Act and in carrying out
my eXAmi[￿tIon I have followed all aN)licable Dire£lion5 given by the Charity Commission under SectK)n 14515Kb} of
the Aa.
INdepeAdeAt ex•rninePs st*temM¢
I have compleied my ¢xarniThation. l eonfirni r•) m*rial matter5 have come w my attention in connecti(xJ with the
exarnination 8iving me Cause ￿ belirvc that in any rn*rial respect..
a￿unting records wue not kept in rcsrrtt ofthe Try￿ as rrquirrd by Section 130 of the Act:
the accounts th) not ¥cNd with t1￿¢ records. or
the attounts do comply with applicable w4urrtments concerning the form ar￿ content of accounts set out
in the Charitie5 (Accounts and Rep(Ktsl Regulati￿5 2(M)8 other than any requiremeni that the accounts give a
tn* and fair view whRch is Dot a rnatier consithred as prt of an irmkwdeni examination.
I have no concerns and have come other rnatter5 in ¢¢mn¢aion with the examin￿10ft K• whieh attention slw)uld
bc drdwn in this rerM)n in orderto eThable a proper of the xojunts to ￿ rexhed.
Henry Brown & Cts
Chartered Accountsnts
26 Portla[￿ Road
Kilrnarnock
Aytshire
KAI 2EB
26 May 2023

STUFF FOR KIDS AND YOUTH PROJEcr
STATEMENT OF FINANCIAL ACtIVJTIES
FOR THE YEAR ENDED 31 MARCH 2022
2022
Tth
nds
2021
Total
funds
fund
fund
INCOME AND ENtK)WMEN15 FROM
[k)natI￿5 and le8acie5
107.812
107,812
104,295
EXPENDJTURE ON
Ch&ritsble *ctivitie5
Charirable Acrivities
107.203
107203
97,307
NET IKOME
609
6,988
RECONCILIATION OF FUNDS
Totsl fynds brought fon¥ard
63
7J39
7,402
414
TOTAL FUNDS CARRIED FORWARD
63
7.948
8.011
7.402
The ￿¢$ fwm Fwt ofthese fin￿cial sthtemertts
P¥ge 5

FF FOR KIDSAND Y
IrTH PROJ
2022
T￿al
2021
Totsl
fijnds
Un￿Stil￿
fund
Restric*d
fund
CURRENT ASSETS
Cash ai bank and in hatwj
63
9.879
9.942
25 J31
CREDITORS
Amounis falling due within oney¢ar
Il7,9291
NET CURRENT A&SETS
63
7.948
&oii
TOTAL Assrfs LE&$ CVRREI
LIABILITIES
63
1,01 I
7.402
NET ASSETS
63
7.948
8.011
7.402
FUNDS
Unrestricted funds
Restricted fur￿5
63
7.948
63
7,339
TOTAL FUIYDS
8,011
7.402
The financial stalements were ap&￿Ved by the Bwd of Tnts*es and thised for i$￿t on 26 May 2023 and were
sigKd on its behalf by..
The no￿ forni of fin￿la1 sth*metL8
Page 6

AN
YOUfH PR
EST
THE FIN
NCIAL
AR ENDE
JIM
ATE
CH 202
AccouNfiNG POLICIFS
Basis of prtp*riNg the 5tsteThents
The financial statements of the th*ity. which is a ￿blIC ￿nefIt entity FRS 102. have b¢¢n wepared in
accordar￿e with the Chartbes SORP IFRS 102) 'Accountin8 and Repvrtin8 by Chari(ies.' Statement of
Recommendcd Practice applicable to charities preparing their accounts in %roTrJance with the Finanoial
Rep)rting Sthnd&d applicable in the UK and Republic of Ireland IFRS 1021 leffe¢tivc l January 2019),.
FinarKial Re[W￿l￿g Standard 102 Tr Financial RetX)rtin8 Stsndard a￿liCable in the UK and Republi¢ of
Ireland, and the Charities Aa 2011. The finaTrCi￿ #atements have been p[qM￿d the histoiical wst
convention.
All income is re¢ogntsed in the Ststement of Finath¢ial Adivitie5 on¢¢ the ch*ity ha5 ¢ntiilem¢ni ￿ the funds, it
is probable th* the incom¢ will ￿ rtcetvcd and the Can bc M￿llred reliably.
Expendlture
Liabilities aTE reco8ni5ed as exF¢nditttse as 5￿Tr as there is a le8al conslnh¢tive obligation wmmitting the
charity to th* eXpthditU￿. it is rthable a transfer of eco¢￿¢¢ benefrt5 will be wuired in settlemeni and
Ihe amount of the obliwion Can be me&sured reliabty. Exper￿lture is a￿o￿nI¢d for on aTh aCcM￿S basis and has
been ¢la$5ifKd unthr haings aggregate all cost Tel￿ed ￿ the cstegwy. Where eosts cannot be directly
attriljuted to rArti¢uiar h￿ing5 have been alk*atrd to ¥tivities on a basis consisieni with ihe use of
re9)uffes.
T*x*tio
The charity is extmpt frixn tsx on its cl￿r]￿ble xtivitits.
Fund accounting
vr￿estriCted funds be in Kcothice with the charithble objecttyes at the dESc￿¢On of the trustee's.
Restrided furhd5 can only be used f(￿ particular re5triaed purrA>ses within ihe objects of the ch¥ity. Rc5trictL(Xh5
arise when spe¢ifitd by the &)nor orwhen furth are raised f(Y panicular rtstricted putyoses.
Further explanat¥)n of the nature and Np)sc of exh firyl is Incl￿ in thE N)trs w the fin8n¢ial statements.
Penslon Costs and other post-retiremeDt btDer
The charity operdtes a defined ¢oniribution F￿nSIOn scheme. CLM￿li￿rtLo￿5 payable to the charity's pension
scherne are ¢harged io ihe staterne￿ of FirwKia] ALXivitic5 in the period ￿ whKh relate.
TRusfELS' REMUNERATION AND BENEFrrs
There weTr no Iruslees, or other benefits for the yetr ended 31 Ma￿h 2022 rxjr for the year ended
31 MaTch2021.
Trusttt4' expem5eJ
Thert were no ￿$t¢e$. expenses ￿the year ethjed 31 Marth 2022 nor ￿they￿ end￿ J l Mwrh 2021.
continued...

UFFFOR K
DS AND
ROJECT
THE FIN
CIA
srA
E YEAR
NDED31 MAR
H 2022
COMPARATIVES FOR THE sfATEMENT OF FINANCIAL AcfiviTIES
Unrcstsi¢r¢d
fimd
Restrirted
Total
funds
INCOME AND ENDOWME￿[5 FROM
t%)n*1c￿S and legacies
104.295
104.295
EXPENDrruRE ON
Charit&bl¢ activliits
Charitable Activiiies
351
96.956
97,307
IYET II¥C(kMFJ(EXPENDITURE)
13511
7.339
6,988
RECONCILIATION OF FUNDS
Toiai funds brought f¢xwaTd
414
414
TOTAL FUNDS CARRIED FORWARD
63
7.339
7.402
CREDITORS: Amou￿￿5 FALLING DUE wrrHIN ONE YEAR
2022
2021
Bank l¢)ans and ovtrthafts Isee 51
T&x*ion aThJ KKial seujrity
17207
722
1,931
1,931
17.929
iKJANS
The bank overdraft it) 2021 related ￿ an advarKe of itKorne due from the tonk aCcO￿t whtch C¢Juncil of
Voluntary (kganisattons (East AyFshire) Limited hold on their behalf.
MOVEME￿ IN FUNDS
At the year end datr ihe CRF2 fvnd ￿ a rtmaining balance of £7.948.
RELATED PARTY DISCLOSURES
There W*E no Tel￿ed party trnnsactions for the year tnded 31 March 2022.

AN
PROJE
ILED
ATE
YEA
CIA
RCH
VITIES
ENDE
2022
2021
INCOME AND ENDOWMENTS
Donltlons Ind kgati¢5
Grdnts
107,812
104.295
To¢*1 iTheoming re50urffs
107.812
104.295
EXPENDITURE
Ch*rit*bk activiti
Wages
Social sccurity
Pensions
Rates and water
InsutarKe
Li8ht and he
Telephone
Posta8e aThl stationery
Direct charitabl¢ expenses
Repairs and renewals
Computer running￿$
63J18
3.856
1,126
62J32
3.247
3M
3.832
12(N)
3.240
23,328
769
2.400
1.200
3.240
21,528
2,400
107203
97J07
Tothl le￿reeS eX￿ded
107,203
97,307
Net in¢om¢
609
6,988
This page ¢kns not fonn of the w financial stthments
Page 9