SAHELI
(COMPANY LIMITED BY GUARANTEE (ENGLAND & WALES) NO: 2846843
REGISTERED CHARITY NO: 1033067
REPORT AND FINANCIAL STATEMENTS FOR THE YEAR ENDED
31" MARCH 2024

SAHELI
For the year ended 31 March 2024
st
Reference and admlnlstratlve Information
The charity is a company limited by guarantee and is registered with the charity commission
Company Registration Number 2846843
Charity Registration Number 1033067
Incorporated 23, August 1993
th
Registered 10 February 1994
Registered office
Oakland House, 1st Floor, Old Trafford, Manchester, M16 OPQ
Dlrectors
The directors/trustees who held office during the year ended 31st March 2024 were as follows:
Shazia Bodhania
Nabanita Gosh
Nilof3r Siddiqi
Zara Rahman
Sharmila Kar
(Chair}
(Treasurer)
Appointed ISI March 2023
Senior Management Team
Priya Chopra Chief Executive Officer
Sugra Akbar- Manager
Bankers
Royal Bank of Scotland, 464 Wilbraham Road, Chorlton curn-hardy, Manchester, M21 IAR
Independent Examiner
Ferguson & Co, 651 Mauldeth Road West, Manchester, M217SA
Governlng document
The company was established under a Memorandum and Article of Association which established the
objects and aims of the charitable company and 15 governed under its Articles of Association. In the event
of the company being wound up, members are required to contribute an amount not exceeding £1.
The trustees present their report and financial statements for the year ended 31st March 2024. Included
within the trustees report is the directors, report as required by company law, Reference and
administrative information set out on page I forms part of this report. The financial statements comply
with current statutory requirements, the Memorandum and Articles of Association and the Statement of
Recommended Practice - Accountin8 and Reporting by Charities: SORP applicable to charities preparing
their accounts in accordance with FRS 102,

SAHELI
TRUSTEES REPORT
FOR THE YEAR ENDED 31" MARCH 2024
OBJECTIVES AND ACTIVITIES
Purposes and Airns
Saheli supports Black, Asian and Minoritised women and children who experience domestic abuse and
forced marriages. 5aheli provides refuge accommodation and outreach support to women living in the
community.
The trustees have referred to the Charity Commission's general guidance on public benefit when reviewing
the charity's aims and objectives and in planning how our activities will contribute to the aims and
objectives that have been set. They are informed in this task by robust performance management and
monitoring systems that capture the outcomes - and outputs - of our work, and by comprehensive
consultation processes that incorporate service user, staff, volunteer and stakeholder experience of servlce
gathered through a variety of formal and informal processes,
BENEFICIARIES OF OUR SERVICE
We have continued to support Black, Asian and Minoritised women and their children fleeing domestlc
abuse and forced marriages,
Our activities beneflt the publlc by:
Providin8 temporary refuge accommodation to Black, Asian and Minoritised women and thelr
children fleeing domestic abuse and forced marriage.
Providing telephone advice and support to Black, Asian and Minoritised women withln the
community
Delivering training to raise awareness of issue5 of domestic abuse and forced marriages within
schools/colleges/universities and organlsations (voluntary and statutory),
Providing outreach support to women and thelr children who need support on a practical and
emotional level.
NO RECOURSE TO PUBLIC FUNDS
We have had an increase in the number of referrals from women with no recourse to public funds who find
themselves destitute due to domestic abuse. Having no recourse to public funds makes them extremely
vulnerable as there is no financial support available for them.
Generous donations from the community mean we can further support women with no recourse to public
funds by providing emergency accommodation, food, clothing and travel expenses.

SAHELI
TRUSTEES REPORT
FOR THE YEAR ENDED 31" MARCH 2024
ACHIEVEMENTS AND PERFORMANCE
Saheli has continued its high-quality services to women and children fleeing domestic abuse and forced
marriage5.
Saheli has continued to support women and children from the Black, Asian and Minoritised communities to
be safe where they are at risk of violence and abuse. We do this by providing safe and secure accommodation
advice, information, guidance, and advocacy; and opportunities to attend group work, counselling sessions,
empowerment workshops, volunteering and learn new skills.
REFUGE
It has been a busy year with our refuge accommodation provision being increased from 2 refuges to 3. Our
success of supportlng 10 women to 15 at any given tlme with emergency accommodatlon and support has
allowed us to reach out and safeguard a higher number of women and their children.
Women have presented with various situations including, forced marriages, honor-based violence and
domestic abuse. The issues they have been faced with has been homelessness, destitution, isolation, mental
health, low self-esteem and confidence and overall requiring a place of safetv.
Refuse success
Saheli has continued its much-needed servlce, reachlng out to vulnerable women and thelr chlldren durlng
their crisis poi nts.
Our move on has increased and we have strengthened our resettlement support by providin8 additional
telephone support to women durin8 their move from refuge to Independence. Thls has ensured women are
feeling secure and continue to rebuild their lives independently.
Saheli has also provided group work to women within the refuges allowing women to access support within
the refuge as well as externally via out outreach team.
The women at the refuges benefltted from a week's residential which 3llowed them to have time away from the
refuge, access activities for themselves and their children and explore the local area. The residential was a time for
us to reflect and evaluate our support and receive feedback from the users of the service on how we
continue to support them and develop our services further.
Saheli has also encouraged women to take public transport and use bicycles where they can, to contribute
to the social responsibility commitment 5aheli has.
The women have accessed various courses and taken part in various awareness learning sessions, so they
are able to identify risk, mitigate risk, develop social skills, develop their English, learn IT and other
practical ski115 such as sewing, knitting and card maki ng.

SAHELI
TRUSTEES REPORT
FOR THE YEAR ENDED 31" MARCH 2024
OUTREACH
We have continued to help women survivors of domestic abuse to be safe and thrive through effective
outreach, support, advice, and training provision, through our Reaching Communities SO SAFE Project.
Recruitment of 17 volunteers and 6 peer mentors during the year, they received training on safeguarding,
confidentiality, and professional boundaries. We worked with volunteers to develop their personal growth,
community engagement, skill developrnent, networking, and creating a significant social impact. They have
since attended many more training courses including Domestic Abuse, Honour Based Violence, Forced
Marriage, and an eight-week course on Peer Mentoring and Mental Health,
Group Work sessions were delivered in Withington, Wythenshawe and Longsight, Trafford, Bury and
Rochdale. We have been doing work in partnership with Rochdale Women's Welfare Association and other
Black and Minoritised women's organisations including Nestac, Olive Pathway, Safety4Sisters, Caritas and
Gloucestershire College.
6 volunteers along with our Outreach Worker and Peer Support Workers ran various empowerment
sessions for our services across the four boroughs. Sessions delivered included IELTS (The International
English Language Testing System) which is designed to help service users realise their ambition of working,
studying or moving to a country where English is spoken), Art and Craft, Chai - Chat (social interaction &
ernpowerment) sewing classes, mental health & well-beingi domestic abuse awareness, yoga, cyc5ing,
Functional Skills In Maths and English everyday Life skllls, and Safeguarding. We have included Domestic
Abuse Awareness, Healthy Relationships, Mental Health and Wellbeing was a standalone session.
Special group work was set up for migrant women and refugee women from Afghanistan. 53 women
across two sites including Manchester Airport and Withington Library, learnt sewing skills and ways to deal
with economic abuse. They have since acted as role Models for other women in their community. They
have come together at both settings with sessions helping to Improve the use of the English Language. This
workwas focused on improving their resilience and coping mechanisms.
Further work was done in Longslght, Rochdale and Trafford with over 150 women attending across four
sites. Certificates were presented to those who completed the basic and advanced courses. Some of the
learners have started to do clothes alterations at home to earn an income.
Our Peer mentor, who Is retired GP, has continued to deliver Health and Wellbeing sessions alongside
other NHS professlonals. She 15 now volunteering and leading on the peer mentor work with the SO SAFE
Project and has the existing skills to run well-being sessions. Sessions have been delivered in dealing with
depression, anxietyi and healthy relationships, personal health. 35 service users have benefited from these
sessions on regular basis over last nine months. She has also supported our outreach

SAHELI
TRUSTEES REPORT
FOR THE YEAR ENDED 31" MARCH 2024
Partnership work was undertaken with several different organisations to support the women and children
fleeing domestic abuse. We worked with Bury Active Women's Centre, Rochdale Women's Welfare
Association, Withington Library, Migrant Women's Caritas Project, South Asian Heritage Project, Lady barn
Community Centre, British Muslim Heritage centre, NAPAC, DRAX, CAHN, B2W and Withington Assist.
We celebrated International Women's Day (IWD} in partnership with Lady barn Community Centre. A
fashion show was organised, and our service users dressed in costumes of different countries. IWD gives
focus to issues such as gender equality, reproductive rights, and violence and abuse against women. Our
Soci31 enterprise Zesty Cuisine provided the caterin8 for thls event. The services users enjoyed cooking
together, connecting.
Women across Bury, Manchester, Rochdale, and Trafford received in-depth, one-to-one culturally specific,
intensive 5UPPOrt to leave abusive situations. Our outreach team worked with women considering leaving
abusive situations by providing intensive support, along with personal actlon plannlng. Where appropriate,
advocacy support was given to improve resilience, confidence, and practical solutions for thelr situations.
This has given women improved capacity to live independently and manage their own finances.
HELPLINE
Our helpline worker- this has been extremely beneficial to our refuge as the helpline has the capacity to
support women over the telephone providing emotional and practical support, Thls has allowed us to have
a designated worker managing the helpllne and ensuring collection of data being specific. She is also
making sure our data is regularly collected and system updated.
Our extended telephone helpline had allowed many women to access our services who struggle during
core office hours, The extended hours have been to meet this additional need which has seen an increase
in the number of women seeking our support. These successful projects have shown our success in
meetingour plans forthe future, goals set by the organisation.
MULTIPLE AND COfvIPLEX NEEDS WORK
Complex needs worker has been workin8 Wlth women in facing multiple issues. Work has taken place to
support women with hiEh rnental health needs, NRPF, legal issues, debt etc. Many of the women have
been experiencing anxiety, depression and trauma of having experienced domestic abuse and honour-
based abuse for prolonged period. Complex Needs worker has ensured they are able to access counselling
support as well as trauma informed support. Having access to Bengali, Urdu, Punjabi and Arabic speaking
counsellor has been great help and has ensured they are able to provide addition support as and when
need by the service users.

SAHELI
TRUSTEES REPORT
FOR THE YEAR ENDED 31" MARCH 2024
CHILDRENS WORK
Our Children's worker has been working with the children provlding one to one support, group activities,
support with enrolling in the schools as well as other practical support.
The children'5 worker have attended various training sessions covering a huge depth of children needs,
they have utilised learning to incorporate this into he development of activities and session5 for the
children of various age ranges.
All the children we supported had experienced or witnessed domestic abuse and exhlblted some
behavioural challenges, utmost care was taken to ensure that all activities were trauma-sensltlve and
culturally appropriate. The focus of most activities was to provide a pleasant and informative experience to
promote happiness, enhance social skills, and improve physical and mental fitness.
OMVCS
The sesslons provided by the funding from the Manchester City Council OMCVS team has allowed us to
provide valuable support to Service users in managing their mental health. The women have boosted
confidence, reduced feelings of isolation, and have been taught effective breathing techniques to manage
anxiety during stressful moments. Additionally, the healthy walks have shown servlce users how nature
and fresh air can positively impact mental well-being. Yoga sessions have further helped by reducing the
effects of past domestic violence, offering strategies to manage and transform negative thoughts.
These sessions have provlded valuable support to service users with their mental health, helping them feel
empowered and uplifted, Our approach emphasizes building positive habits around nutrition and overall
well-being to promote contentment. For those experlencln8 clinical depression, we offered guidance on
mental health resources and encouraged them to reach out to thelr GP or Saheli, with some referred to
Saheli counselling. Thls support aims to help them address past traumas, reduce feelings of isolation, and
gradual ly rebuild trust, especial ly given their cha Ilenges with trust and coping, Add itiona Ily, these sessions
offered foundational knowledge on mental health, tailored for women from diverse ethnic backgrounds
and countries where understanding of mental health may be limited.
The volunteering sessions provided service users with valuable confidence-boosting support and guidance
on the job market and employment opportunities. Participant5 received practical advice on answering
interview questions and presenting their Cvs for job applications. They were also encouraged and assisted
in setting up online businesses, recognizing the advantages of digital business models for cost-effectiveness
and accessibility. Additionallyi they were guided in using Linkedln to connect with employers and discover
job opportunities. Assistance was also provided with online application forms, addressing challenges many
face when their educational background is outside the United Kingdom.

SAHELI
TRUSTEES REPORT
FOR THE YEAR ENDED 31st MARCH 2024
When service users benefit, they become more assertive and develop a stronger voice by accessing
support from peer mentors, learning new skills, and experiencing positive changes in their community and
environment.
The sessions equipped the women with essential skills to pursue work experience, gain employment, or
even start their own businesses, such as food or cleaning services. They also learned how to create
business profiles on platforms like Facebook and Instagram, enabling them to launch and grow small
businesses.
Saheli consistently explores work opportunlties for women aimlng to empower themselves and achieve
financial independence. Through baking and cooking sessions, Saheli has supported women who have
experienced domestic abuse, helping them develop new skills and encouraging them to start their own
online businesses, The Saheli Outreach Team has also guided participants through the process of
registering online and creating personal business pages to establish their own companies. Recentlyi 33
women attended these sessions, giving enthusiastic feedback and expressing how supported and
empowered they felt by the experience.
33 wornen participated in well-being sessions. group walks and breathing exercises which helped them feel
less isolated. Through walking together and engaging in other group activities, they shared their personal
experiences, made new frlends, and boosted thelr self-confidence. These sesslons provlded valuable soclal
interaction, ultimately helping to reduce isolation.
The Saheli VCS worker supported125 women from black and minoritlzed girls in Manchester reported
Improved mental health, attend group work and one to one session learned coping techniques & breathing
exercises, yoga sessions, healthy walks and meditations to manage anxiety and help with processing
Trauma and understand that they are blamed for Domestic abuse.
DATA COLLECTION
Our lamplight system has provided detail information on the journey a woman has taken from the start of
her support journey with us. Measuring risk and support needs, the system has allowed us to see a
woman's journey at a glance. This system is now used by the refuge and the outreach project.

SAHELI
TRUSTEES REPORT
FOR THE YEAR ENDED 31" MARCH 2024
FUNDING
We would like to say a very big thank you to our funders, who have Supported our activities by funding our projects
and increasing our capacity.
Manchester City Council
The 818 Lottery Fund,
GMCA
Individual donor5
PLANS FOR THE FUTURE
Soheli's plans Include..
We plan to secure additional accommodation for women with NRPF.
To continue to run 8roup activities for elderly women in other areas of Manchester
Hold a fundraising event annually to raise funds for our no recourse project
To further develop our resettlement services for our service user5 who leave the refuge
accommodation.

SAHELI
TRUSTEES REPORT
FOR THE YEAR ENDED 31" MARCH 2024
RELATED PARTY AND RELATIONSHIP WITH OTHER ORGANISATIONS
In so far as it is complimentary to the charity's objects, the charity is guided by both local and national
policy. Saheli has affiliation to the Women'5 Aid Federation of England.
FINANCIAL REVIEW
Our total reserves for Saheli as at 31st March 2024 are £241,658 {2023: £270,634) out of which the
Restricted balance is £34,442 (2023.. £42,950). Unrestricted reserves balance is £207,21612023: £227,684)
out of which £50,000 is ringfenced for redundancies. This leaves free reserves of £157,21612023:
£197,684).
Reserves pollcy
Saheli has a reserves policy which is used to inform our reserves position, We have unrestricted reserves of
6 months running costs for the refuge provision.
Investment pollcy
Aside from retaining a prudent amount in reserves each year, most of the charity's funds are to be spent in
the short term so there are few funds for any longer-term investment.
Prlncipal funding sources
The princlpal funding sources for the charity are currently by way of 8rant income from Manchester City
Council, Comlc relief, Lottery and Housing Beneflt.

SAHELI
TRUSTEES REPORT
FOR THE YEAR ENDED 31" MARCH 2024
Company status
Members of the charity guarantee to contribute an amount not exceeding £1 to the assets of the charity in
the event of winding up.
Trustees
The trustees are directors of the charity and, under the company's Articles, are known as Board members
wlth votlng rights. They have no beneficial Interest in the cha rity, All trustees give their time voluntarilv
and receive no benefits from the charity. Any expenses reclaimed from the charity are set out in note 9 to
the accounts, The trustees undertake a skills audit to identify gaps in Board experiences and new trustees
are appointed on a 3-year term to fill these gaps. There is an induction and training plan in place for all
trustees to strengthen their role in strategic plan ni ng, Trustees are a Iso able to access the organisational
training plan and attend any that they feel would be beneficial to their role and/or understanding.
Recrultment and Appointment of Management Committee
The directors of the company are also charity trustees for the purposes of charity law and under the
company's articles are known as members of the Management Committee. Under the requirements of the
Memorandum and Articles of Association, members of the Management Committee shall hold office until
the end of Annual General Meetlng next following their election appointment or co-option and shall be
eligible for re-election or re-co-option.
Récruitment and Appolntment of Trustees.
The committee are elected annually at the Annual General Meeting.
Trustee Inductlon and Tralnlng
Saheli management committee hear about Saheli through our annual report, word of mouth and the
networking Saheli doe5. Saheli's management committee is recruited following all recruitment process and
a successful induction.
All the management committee members are given an induction when they start which gives them up to
date information on our services, finances, funding streams, organisational policies and procedures, code
of conduct and training on our quality assurance standards, Training is provided forthe management
committee on roles and responsibilities of a trustee, domestic abuse/forced marriages and other relevant
training identified to assist and support the work of the trustees.
10

SAHELI
TRUSTEES REPORT
FOR THE YEAR ENDED 31$1 MARCH 2024
Rlsk Management
We have developed policies and procedures to manage the risk within the organisation at all levels. The
risk management policy has been developed to address the various risks facing the organisation and these
are reviewed on a regular basis. Actions are identified based on risk factors Wlth a follow up to ensure
relevant steps have been taken to identify/reduce and manage risk,
Organisational Structure
The organisation is managed by the management committee who have the responsibility for the overall
management of the project.
Organ isatlonal structu re is as follows.
Chief Executive Officer
Managers
Project workers
Outreach workers
Trainers
Project support workers
Group workers
Volunteers
Remuneratlon policy for key mana8ement personnel
The remuneration package for all personnel comprSses of a basic salary and contribution to a pension
scheme. The charity is subject to auto-enrolment and contributions are currently made as agreed by the
trustees.
Rlsk management
The trustees consider all major risks to which the charity is exposed and are satisfied that the procedures in
place to manage them are adequate and effective. The senlor management take delegated responsibility
on behalf of the Board of Trustees for ensuring that there is an effective framework for accountablllty; for
examinlng and reviewing all systems and methods of control, both financial and otherwise, including risk
analysis and risk management; and for ensuring the charitable company is complying with all aspects of the
law, relevant regulations and good practice. The cha rity regularly reviews it5 risk register in light of interna I
and external environmental changes and makes changes where necessary.
Funds held as custodlan trustee on behalf of others
The charity has not acted as custodian trustee for any other charity during the period.
11

SAHELI
TRUSTEES REPORT
FOR THE YEAR ENDED 31" MARCH 2024
STRUCTURE, GOVERNANCE AND MANAGEMENT
Directors / Trustees Responsibilities
The director5 are responsible for preparing the annual report and the accounts in accordance with
applicable law and regulations. Company law requires the directors to prepare accounts for each financial
year, Under that law the directors have elected to prepare accounts in accordance with United Kingdom
Generally Accepted Accounting Practice (United Kingdom Accounting Standards and applicable lawl. The
accounts are required by law to give a true and fair view of the state of affairs of the company end of its
profit or loss of the company for that period.
In preparing the accounts, the directors are required to;
select suitable accounting pol icies and then apply them consistentlv,.
make judgements and estimates that are reasonable and prudent,.
state whether applicable UK Accounting Standards have been followed, subject to any material
departures disclosed and explained in the accounts;
prepare the financial statements on the going concern basis unless it is inappropriate to presume
that the company will continue in business.
The directors are responsible for keepin8 proper accounting records which disclose with reasonable
accuracy, at any time, the financial position of the company and to enable them to ensure that the
accounts comply with the Companies Act 2006.
They are also responsible for safeguarding the assets of the company and hence, for taking reasonable
steps for the prevention and detection of fraud and other irregularities.
The Directors report is prepared in accordance with the small companies, regime under part 15 of the
Companies Act 2006,
Registered office
Oakland House, Istth Floor, Old Trafford, Manchester, M 16 OPQ
Signed on Behalf of the Board:
Chair
Shazia Bodhanla
Date,,
12

SAHELI
INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES OF SAHELI
FOR THE YEAR ENDED 31" MARCH 2024
I report on the accounts of the company for the year ended 31st March 2024 which are set out on pages 13
to 24.
Respective responslbllltles of trustees and examiner
The trustees (who are also the directors of the company for the purposes of company law) are responsible
for the preparation of the accounts. The trustees consider that an audit is not required for this year under
section 144(2) of the Charities Act 2011 (the 2011 Act) and that an independent examination is needed. The
charity is required by company law to prepare accrued accounts and l am qualified to undertake the
examination by being a qualified member of The Association of Chartered Certified Accountants.
Having satisfied myself that the charity is not subject to audit under company law and is eligible for
independent examination, it is my responsibility to".
examine the accounts under section 145 of the 2011 Act",
follow the procedures laid down in the general Directions given by the Charity Commission under
section 145151(bl of the 2011 Act; and
to state whether particular matters have come to my attention.
Basls of Independent examlner's report
My examination was carried out in accordance with the general Directions given by the Charity Commission.
An examination includes a review of the accounting records kept by the charity and a comparison of the
accounts presented with those records. It also includes consideration of any unusual items or disclosures in
the accounts, and seeking explanations from you as trustees concerning any such matters, The procedures
undertaken do not provide all the evidence that would be required in an audit and consequently no opinion
is given as to whether the accounts present a'true and fair view" and the report is limited to those matters
set out in the statement below.
Independent examlner's statement
In connection with my examination, no matter has come to my attention:
which gives me reasonable cause to believe that, in any material respect, the requirements..
to keep accounting records in accordance with section 386 of the Companies Act 2006,. and
to prepare accounts which accord with the accounting records, comply with the accounting
requirements of section 396 of the Companies Act 2006 and with the methods and principles of the
Statement of Recommended Practice: Accountin8 and Reporting by Charities
have not been met; or
to which, in my opinion,
accounts to be reache
htion should be drawn in order to enable a proper understanding of the
Muhammad Tayya
Ferguson & Co
651 Mauldeth Road West, Manchester,M217SA
Dated:
12a

SAHELI
STATEMENT OF FINANCIAL ACTIVITIES
(Includlng Income and Expenditur8 Account)
FOR THE YEAR ENDED 31 MARCH 2024
Year Ended Year Ended
31.03.24
31.03.23
Total
Total
Funds
Funds
Notes Unrestrlct•d Restrlctod
Funds
Funds
INCOMING RESOURCES
Incoming Resources from
genèrated funds:
Activities for generatlng funds..
Donations & Other Income
11.352
11,352
2,649
Charltable acllvltles:
Refuge
Outreach
Other trading activities
Total Incomlng r&8ources
379,873
379,873
145,280
414,369
147,340
145,280
391,225
145,280
536,505
564,358
RESOURCES EXPENDED
RaisSng funds
Charitable Activities:
Refuge
Outreach
411,693
411,893
153.788
398,597
242,684
153,788
TOTAL RESOURCES EXPENDED
411,693
153,788
565,481
641,281
Nat movemènt in funds
{20,4681
(8.508)
{28,976)
{76,923)
Transfers betw86n funds
RECONCILIATION OF FUNDS
Tolal Funds Brought FoNard
Prior yèar adjustment
TOTAL FUNDS CARRIED FORWARD
16
227,684
42.950
270,634
347,557
24
,65
Th6 statement of financial activilies includes all galns and losses in the year. All incoming
resources and resources expended derive from continuing activities.
The notes on pages 15 10 22 form part of these accounts.
13

SAHELI
BALANCE SHEET
FOR THE YEAR ENDED 31 MARCH 2024
2024
2023
Notes
FIXED ASSETS
Tangible Fixed Assets
12
2,861
CURRENT ASSETS
Debtors & Prepayments
Cash at Bank and in Hand
14
110,429
156,085
266.514
41,040
238,733
279,773
LIABILITIES..
Amounts falling due
within one year
13
24,856
12,000
NET CURRENT ASSETS
241,658
267,773
NET ASSETS
241,658
270,634
ACCUMULATED FUNDS
Restricted Funds
Unreslricled Funds
General funds
Designated funds
Total unrestricted funds
16
34,442
42,950
157,216
50,000
207,216
197,684
227,684
Total charity funds
241,658
270,634
For Ihe year in question the company was entitled to the exemption from audit
under section 477 of the Companies Act 2006 relating lo small companies.
The members have not required The company lo obtain an audit of its accounts for
the year in question in accordance with section 476.
The dirèctors acknowledge their responsibilities for complylng with tho requirements of
the Act with respect to accounting records and the preparation of aGGounts.
The accounts have been prepared in accordance with the special provision of part 15 of the
Companies Act 2006 relating to small companies, and the Financial Reporling Standards for
Smaller Entities,
Approved on Behalf of the Board
Date: i%.1 L.l<J Li¥
Director
Shazia Bodhania
Date:
Direclor
abani
a Ghosh
The notes on pages 15 to 22 form parl of these accounts.
14

SAHELI
STATEMENT OF CASH FLOWS
FOR THE YEAR ENDED 31 MARCH 2024
Note
2024
2023
18
Cash provlded by I (used) In oporatlng activities
182,648) (66,478)
Cash flows from investment activities.,
Net cash provlded by investment actlvltles
InGreaselldecrease> in cash and cash equivalents during the year
{82,648} (66,478)
Cash and cash equlvalenl3 at the beginnlng of Ihe year
238,733
305,211
Cash and cash equlvalonls at the end of the year
156085
238 733
15

SAHELI
NOTES TO THE ACCOUNTS
FOR THE YEAR ENDED 31 MARCH 2024
l. Accountlng policies
The principal accounting policies adopted, judgments and key sources of estimation uncertainty in the
preparation of the financial statements are as follows:
Basis of accounting
The accounts (financial statements) have been prepared under the historical cost convention with items
recognised at cost or transaction value unless otherwise stated in the relevant notes to these accounts.
The financial statements have been prepared in accordance with the Statement of Recommended
Practice". Accounting and Reporting by Charities preparing their accounts in accordance with the Financial
Reporting Standard appllcable In the UK and Republic of Ireland {FRS 1021 issued on 1st January 2019 and
the Financial Reporting Standard applicable in the United Kingdom and Republic of Ireland IFRS 1021 and
the Charities Act 2011.The charity constitutes a public benefit entity as defined by FRS 102.
The trustees consider that there are no material uncertainties about the charity's ability to continue as a
going concern.
SORP FRS 102
Saheli meets the definition of a public benefit entity under FRS 102. Assets and liabilities are initially
recognised at historical cost or transaction value unless otherwise stated in the relevant accounting policy
note.
Preparatlon of the account5 on a going concern basis
The trustees consider that there are no material uncertainties about the charitable company's ablllty to
continue as a going concern.
The trustees do not consider that there are any sources of estimation uncertainty at the reporting date
that have a significant risk of causin8 a material adjustment to the carrying amount of assets and liabilities
within the next reporting perlod.
Income
Income is recognised when the charity has entitlement to the funds, any performance conditions attached
to the itemls) of income have been met, it is probable that the income will be received and the amount can
be measured reliably.
Donated services and facllltles
Donated professional services and donated facilities are recognised as income when the charity has control
over the item, any conditions associated with the donated item have been met, the receipt of economic
benefit from the use by the charity of the item is probable and that economic benefit can be measured
reliably. In accordance with the Charities SORP (FRS 1021, general volunteer time is not recognised; refer to
the trustees annual report for more information about their contribution,
On receipt, donated profession31 services and donated facilities are recognised on the basis of the value of
the gift to the charity which is the amount the charity would have been willing to pay to obtain services or
facilities of equivalent economic benefit on the open market,. a corresponding amount is then recognised
in expenditure in the period of receipt.
16

SAHELI
NOTES TO THE ACCOUNTS
FOR THE YEAR ENDED 31° MARCH 2024
Interest recelvable
Interest on funds held on deposit is included when receivable and the amount can be measured reliably by
the charity,. this is normally upon notification of the interest paid or payable by the Bank.
Current asset investments
The charity holds no investments.
Taxation
The charity is exempt from corporation tax on its charitable activities.
Fund accountlng
Unrestricted funds are available to spend on activities that further any of the purposes of charity.
Designated funds are unrestricted funds of the charity which the trustees have decided at their discretion
to set aside to use for a specific purpose.
Restricted funds are donations which the donor has specified are to be solely used for particular areas of
the charity's work or for specific projects being undertaken by the charity.
Expenditure and irrecoverable VAT
Expenditure is recognised once there is a le8al or constructive obllgation to make a payment to a third
party, it is probable that settlement wlll be required and the amount of the obligation can be measured
reliably, Expenditure Is classlfied under the following activity headings:
Expenditure on charitable activities includes the costs undertaken to further the purposes of
the charity and their associated support costs.
Irrecoverable VAT is charged as a cost against the activity for whlch the expendlture was Incurred.
Allocatlon of support costs
Support costs are those functions that assist the work of the charity but do not directly undertake
charitable activities. Support costs include back office costs, finance, personnel, payroll and governance
costs which support the charity's programmes and activities.
Operatlng leases
Operating leases are leases in which the title to the assets, and the risks and rewards of ownership, remain
with the lessor. Rental charges are charged on a straight line basis over the term of the lease.
Tangible fixed assets
Individual fixed assets costing £500 or more are capitalised at cost and are depreciated over their
estimated useful economlc lives on a straight line basis as follows,.
Fixtures & Equipment
Computers & Equipment
Play Equipment
25Yo on cost
25Yo on cost
25°h on cost
17

SAHELI
NOTES TO THE ACCOUNTS
FOR THE YEAR ENDED 31" MARCH 2024
Stock
Stock is included at the lower of cost or net realisable value. In general, c05t is determined on a first in, first
out basi5. Net realisable value is the price at which stocks can be sold in the normal course of business
after allowing for the costs of realisation. Provision is made where necessary for obsolete, slow moving,
and defective stocks. Donated items of stock are recognised at fair value which is the amount the charity
would have been willing to payfor the items on the open market.
Debtors
Trade and other debtors are recognised at the settlement amount due after any trade discount offered.
Prepayments are valued at the amount prepaid net of any trade discounts due,
Cash at bank and at hand
The charit¢s cash at bank and in hand includes the availability of funds as at 31st March 2024.
Credltors and provisions
Creditors and provisions are reco8nised where the charity has a present obllgation resulting from a past
event that will probably result in the transfer of funds to a third party and the amount due to settle the
obligation can be measured or estimated reliably. Creditors and provisions are normally recognised at their
settlement amount after allowing for any trade discounts due.
Flnanclal Instruments
The charity only has financial assets and financial liabilities of a kind that qualify as basic financial
instruments. Basic f i nancial instruments are initially recognlsed at transactlon val ue and subsequently
measured at their settlement value with the exception of bank loans which are subsequently measured at
amortised cost using the effective interest method,
Penslons
Employees of the charity have been auto enrolled onto a pension scheme to which the charity contributes
60A.
2. Legal status of the charlty
The charity is a company limited by guarantee registered in England and Wales and has no share capital. In
the event of the charity being wound up, the Ilablllty in respect of the guarantee is limited to £1 per
member of the charity. The registered office address is disclosed on page l.
18

SAHELI
NOTES TO THE ACCOUNTS
FOR THE YEAR ENDED 31st MARCH 2024
3. Income from donatlons and legacles
unrestrI￿ad Reslrlcted
Total
2024
Total
2023
Donations
Total
11,352
11,352
2,649
Total by fund at 31 Mar 2023
4. Income from other tradlng actlvitie8
Catering sales
Alll Income from oth8r tradlng activity is unrestricted
5. Incoming rasourcos from Actlvltles to further the Charlty's Objoct$
Unrestrlcted Rastrlctad Restrlcted Total Funds Total Funds
Rofuge
Outroach
2024
2023
Blg Lottery
Manchester City Council
GMCA
Comic reli8f
WSlhlngton assist
The Caring family foundation
63,904
37.376
44.000
63,904
226,504
44,000
67,145
265,468
189,128
32,246
2,745
189.128
145,280
334,408
376,948
Fees and other income
Renls
Other8
159,707
159,707
147,823
190 745
190 745
187,410
Total
379 873
145 280
525 153
564 358
Total 2023
417 018
147 340
564 358
2024
2023
Restricted income
Unr8Stricted income
145,280
379,873
525 153
147,340
417,018
564 358
19

SAHELI
NOTES TO THEACCOUNTS
FOR THE YEAR ENDED 31st MARCH 2024
6 Analysls of expendlture on charltable actlvltles
here
Unrestricted Rostricted Restrlcled
Refuga
Refuge
Outreach
2024
2024
2024
Total
2024
Total
2023
Staff wages & pension, training
PremSses
Project costs
Parlnership grants
NRPF
HR
Depreclatlon
Governance costs (note 7>
Support costs Inole 7)
259,162
103,274
9,707
96,551 355,713 373,993
23,374 126,648
63,451
6,197 15,904
56,891
74,939
1.750
12.643
2,860
2,880
1,252
(1,500)
(248)
2,861
1,335
34,102
411693
2,861
2.880
1,545
27,621
153 788 565 481 641281
Total
Total 2023
398 597
242 684 641 281
Restricted expenditure
Unrestricted expenditure
153.788 242.684
411,693 398 597
565 481 641281
7 Analysls of support & governanco cosls
Basls of
apportmenl Governan Support
Total
2024
2023
IT
Management charges
Office
Bank charges
Independent 8xamlnatlon
Type of expense
Typ• of oxp8ns8
Floor space
Type ol expanse
Type ol expense
1,186
44,031
6,034
623
27,621
27,621
33,585 33,585
517
517
2,880
2,880
61723 64603
20

SAHELI
NOTES TO THE ACCOUNTS
FOR THE YEAR ENDED 31st MARCH 2024
Total
2024
Total
2023
8. Cost of ralslng funds
Cost of goods sold
9. Not In¢omel¢xpandlture for the year
2024
2023
This is slated after charglng..
Depreciation
Independent examination fees
2,861
2860
10. Staff cost were as follow8
2024
2023
Wages & salaries
Pension costs
342,308 361,258
355 713 373 993
No employee earned £60.000 per annum or more,
2024
2023
CEO
Manager
Project Workers
Peer support worker
Domestlc asslstant
10.5
10.5
14.1
14.1
11. Trust8e remuneratlon and 8xpenses. and related party transactlons
The management committee received £265 of travel, subsistence and olher expenses during the year
(2023. £511 >
There ar6 no donatlons from related parties which are outside the normal course of buslness and no
reslricted donations from related parties.
21

SAHELI
NOTES TO THE ACCOUNTS
FOR THE YEAR ENDED 31st MARCH 2024
Play Computers & FurnSture &
Equlpment Equlpment Equlpment
Tolal
Cost
At 01.04.2023
At 31.03.2024
10,070
10,559
11,441
32.070
32.070
Accumulated Depreclatlon
At 01.04.2023
Charge
At 31.03.2024
10,070
10,559
8,580
29,209
2.861
10,070
Net Book Value
At 01.04.2023
At 31.03.2024
13. Credltors: Amounts duo wlthln one yoar
2024
2023
Accruals
Payroll liabilities
12,911
11.945
10,017
1,983
14. Debtors
2024
2023
Accounts recelv8bles les8 bad debts
110429
110429
15. Cash at bank and In hand
2Q24
2023
156,085 238,733
22

SAHELI
NOTES TO THE ACCOUNTS
FOR THE YEAR ENDED 31st MARCH 2024
16. Analysls of charllable Funds
Analy51s of mov8mènt$ In restrlcted Funds
Balance
Balance
1 Aprll Incoming Outgolng Transfers 31 March
2023
2Q24
Lottery
GMCA
MCC-VCS
Withington asslst
The Caring family foundation
Total Restricled Funds
37,760
63.904
44,000
37,376
67,222
44.000
37,376
846
34,442
846
145280 153 788
Unrestrlcted Funds
General Funds
Total Unrestricted Funds
227 684
227 684
391225 411693
391225 411693
207 216
207216
Total Fund8
270 634
536 505 565,481
241658
Nam6 of Restrlcted Funds
GMCA
Comic R6118f
Lollery Funds
Manchester City Council
Withlnglon Assist
Manchesler City Council VCS
The Caring Foundatlon
Donations
Descrlption, naturo and purpos88 of fund
Oonations to supports women with no recourse to public funds
Partnershlp worklng with other BAMER organlsations
Partnershlp working with other BAMER organisalions
For support of refuge accomod81ion
Joint worklng partnershlp for Groupwork
For the For outreach support
For Ihe support of evening and out of hours support
For SLtpport of refuge and NRPF women
Namg of Unre81rlcted Funds
General Fund
Deslgnaled funds
Description, nature and purposes of fund
The"Free Reserves"
Redundancy cost.
'Not8'. Trusteas have decided lo rlngfence £50,000 for potential redundancy cost from
unreslriclod reserves as a contingency.
17. Analysls of Nel Assets Betwe8n Fund$
Unrestrlcted leslgnated R8strlct8d
Funds
Funds
Funds
Total
2024
Tangible Fixed Assets
Cash at bank
Net Current Assets less bank less liabilities
121,643
85,573
34,442
156,085
85,573
Net Assets at 31 March 2024
207 216
241658
23

SAHELI
NOTES TO THE ACCOUNTS
FOR THE YEAR ENDED 31st MARCH 2024
18. Reconclllatlon of net movements In funds to net cash flow
from op8rating actlvltes
3110312024 3110312023
N•t incomo1(expendlture> for the year
Adjuslmenls for..
Depreclalion charge
Lossllprofitl on sale of fixed assets
Decreasel(increase) in deblors
Increasel(deGrease) in creditor6
{28,976) (76,923)
2,861
2,860
{69,389}
16,059