REGisfERED COMPANY NUMBEIL. In322852 {En214nd and Wale5)
REGISTERED CHARrrY NifMBEIL. 1080n9
Report of th¢ Trwtrts •
Uwiudtt¢d Flm*Ddal Statewemts
for ¢h¢ Y￿r EDded 31 Deceth 2023
Job Ch•n
Dafton Pardoe LimiteAI
794 High Street
Kinwinford
W¢st MidlaThts
DY6 8BQ

Job Ch#ng¢
C•nte•ts of th¢ FiD•uwl Stslememts
for tbe Year Ended 31 D¢f¢mbtr 21)23
Report of the TrDste
I to 2
Sts¢emellt of Fl#*ndal A¢dYltks
B*l8*¢e Sheet
Notes to the FIDxn¢l*l Sl•temtttts
7 to 12
Detsiled Stst¢n*nt ofFl•aDel*l A￿1VitIeS
13 tr> 14

Job Change
Report of the Trnstees
for tbe Year Ended 31 Deeember 2023
The trustees who are also dire¢tors of th¢ charity for the p￿￿oSeS of the Companies Act 2006. present their report with the
fffiancial statements of the tharity for the year ended 31 December 2023. The tn￿eeS have adoptd the provisions of
Accounting and Reporting by Charities.. s￿ernent of Recommended Pra¢tice applicable lo ¢harities preparing their 8ccounts
in accordonce with the Financial Reporting Standord applicable in the UK and Republic of Irela[￿ (FRS 102) (*ffe¢tive I
January 2019).
OWECTIVES AND ACTIVITIES
ObJ¢¢tlYes and •lms
The principal activity of the company throughout the year and the objects for which the company is established is to provide
high quality job s¢grch resourceS> guidance. advice and trainin8 for llll unemployed and low paid men and women.
STRUCTURE, GOVERNANCE AND MANACEME
Covernlns document
Job Change was re8iSttted with Companies Houle and the Charity Commisslon on 29th Novembtr 1988, The company 18
limited by 8ullrantee. not having a share C￿lt41,
The charity'$ Goveming Document is the Memorandwn and Articles of Associatlon incoryornted 29th November 1988
amended by special resoluiion on 10th tkc¢mb¢r 1996 and 4th December 1998 logether with certifi￿te of incorporation on
¢han8e of name dated 2nd January 1997.
The di￿10r$ of the Company are also the trustees for the purpose of chariry l•w.
REFERENCE AND ADMINISTRATIVE DETAILS
Regtstered Company number
02322852 (England and Wal¢8)
ReKbtered Charlty Dumber
1080729
Re8lJtered offlet
10 Red Lion Street
Wolverhampton
West Midland5
WVI 4HL
Tru$te¢s
Owen D Brown
B¥rry R Ni¢holls
Kanti C Patel (re$l￿ed 19.4.24)
Bernet Tullo¢h-Williams
Christian Snyer
Independen¢ ExAmlDer
C Dalton FCA
Dalton Pardoe Limiied
Chartered Accountants
794 High Street
Kingswinford
West Midland$
DY6 8BQ
Page I

Job Cha
Rtyfyrt ofthe Trusttts
for the Y￿r Ended 31 Decem￿2023
This re￿rt has been preparol in a¢¢(rdantt with the wial provisioDS of Part 15 of the Companies Ad 2006 relaw to
small ctsmparties.
Approved by order of the board of tnLSttts on 26 S¢ptats2024 *Tr1 si￿￿ on its be￿lf by:
Bernd Tulloch-WilliaTns. Trus
Page 2

Independent Examiner's Report to the Trustees of
Job Chan¥e
Indeptnilent exaNiirter's report to the trustees of Job Change ('the Company,)
I report to thc charity trusl¢cs on my exatnination of ihe accounis of the Company for the year ended 31 December 2023.
Responsibilities ba515 of report
As the cliariivs trustees of tlie Coillpany land also iis dir￿torS for the purposes of company lawl you are responsible for the
PTeparation of th¢ accounts in accordance with the requiremeiits of th¢ Cotnpanies Act 2006 ('th¢ 2006 Act'l.
Havingj Satisfied tnyself that the accounts of the Ctstnpany are noi required to b¢ audited under Part 16 of th¢ 2006 Act and
are eligible for independciit ¢xaJninaiion. I repon in rospect Of Iny exainination of your charity's accounts as ¢arried our
under SeLiion 145 ofihe Cliariti¢s Act 2011 ('Ihe 2011 Acl'l. In carrying oui my ¢xaniination I have followcd tli¢ Directions
given by ihe Charity Coinmission under Section 145{51 Ib) of the 201 l Act.
Independent examiner's statement
Siiice your churity's biross iiicome cxcecded £250.000 your examiner Iiiust be a membeT of a lisied body. l ¢an confinn that I
am qualified io undenakc tlie examiiialion because l ain a member of the Institute of Chart¢red Accountants irt England and
Wales. which is on¢ of the lisied bodieg.
I have coinpl¢ted my examination. I confiTm that no matt¢rs have come io my attention in connection with ihe examination
Jivinbw Inc caus¢ lo believe..
aecouniing record5 were noi kept in respect of the Company as required by Section 386 of the 2006 Act., or
Ilic accounts do iioi uccord with I110se rccords; or
the accounis do iiol Loinply wilh tlie accounliiigy requirciiiciils of Section 396 of the 9006 A¢t other than any
rcquircmLiit Iliai th¢ aCLounis kiiv¢ a Irue lind fair vicw wliich is not ll maitcr considcitd us part of on indcpeiid¢nt
cxainiiiation: or
the accouiits have not bcen prepared in accordanc¢ with ihe Incihods and principles of the Statement of
ReLoii)Ineiided Practice for accountinbT and rLportlllb by cl)arities lapplicablc to charilics preparing? IheiT Accounts in
accordance with Il)e Financial Reportinbl Standard applic1c ble in Il)e UK #nd Republic of Ir¢land (FRS 102)).
I have no concerns and have coime across no oiher InaiieTS 11) Connection with ihe ¢xtsinination to whi¢h attention should be
drawn in Ihis report in ordeT to enable a proper understanding ol'ih¢ accounts to bg r¢a¢hed.
C Dalton FCA
The Instiiuie ofchartered Accoun¢ai)ts in Lnbvland and Wale5
Dalton Pardo¢ Liiniled
CharterLd Accouniants
794 Fligh Sireei
Kinuiswinford
West Midlands
DY6 8BQ
26 September 2024
Page 3

Job Chattge
S¢gtement of Flnanclal Aetlvltles
for the Y¢8r Ended 31 December 2023
31.12.23
Ullrestrlcted
31.12.22
Total
fimds
Notes
INCOME AND ENDOWMEwfs FROM
Donations And le8acies
124.000
Cb4rltsble 4¢tlvltleJ
Principal activity
227.747
528J08
Investment income
Other in¢om¢
1,9n
600
5,613
000
To¢•1
260J19
658.521
EXPENDITURE ON
Chlrltable #etlvltles
Prlncipal a¢¢ivity
236,053
357,956
8,570
16234
Total
244,623
374.190
NET INCOME
13,696
284,331
RECONCILIATION OF FUNDS
Totsl ffiJAds brought forward
299,900
13.569
TOTAL FUl￿s CARRIED FORWARD
315A96
299,900
The notes forni p8rt of these financial ststements
Page 4

Job Cb
31 De¢¢0￿￿2023
31.1223
Unrestrltted
ttd
31.12.22
Total
FIXED A&SETS
Tangible assets
2,852
CURRENT A&SETS
Debtors
174A80
141JSI
29.078
280.142
31S931
309220
CREDITORS
Amounts fallin8 within one year
(3222)
(12.172)
NET CURRENT ASSETS
312.709
297.048
TOTAL ASSETS LE￿ CURREKT
LIABILITIFS
315W6
299.900
NET ASSETS
315J96
299,900
FUNDS
Unrestricted fiJnd5'.
Genernl fund
io
31U96
299,900
TOTAL FUNDS
31S596
299,900
The ¢harbtable ¢ompany 1$ entitled to exem01￿) from I￿lt undtr Sedion 477 of the Comp￿1¢5 Act 2006 for the year ended
31 December 2023.
The members have not required the cornpthy to obtsin gn audit of tts fllw*ial Slatem￿ts for ts ye•r ended
31 Decernber 2023 in 4¢¢ordw with Section 476 of the C￿1¢8 Acl 2006.
The trusi¢es acknowl￿ge their resp)nsibilities for
{a)
ensurin8 that th¢ ch￿l￿ble company keeps aC¢oU￿B records thAt comply with Sections 386 gftd 387 of the
Companies Act 2006 and
preparing f￿arKI81 ststements whith giv¢ 4 fair view of the slate of affairs of the ¢haritabk ¢ompmy as at
the end of each financial and of its stuplus or d¢fi¢it for ea¢* fin￿cIal >rar in accordance with the requiremenL8
of Sections 394 395 and which other￿￿ comply with the reqUIren￿ of the Comp•nles Act 2006 relatin8 10
finmcial so far &8 appli￿1¢ to the d￿l￿ble ConU>￿y.
(b)

Job Change
Bal*nc¢ Sb¢¢¢- contirtu¢d
31 Defember 2023
These fmancial statern￿ts have been prq>ared in a¢¢ordance with the provisiotu applicable to chaTitable companies subje
to the companies regim
The financial ststements were approved by the Bogrd of Th￿te£S ond authorised for issue on 26 September 2024 and wer¢
Si8ned on its behalf by..
Btrnet Tulloth.Williams- Truste¢
The notes fonn part ofthese fingndil statements

Job Ch4nge
Notes to tbe Flnanelal Ststements
for Ib¢ Year Ended 31 Deeember2023
ACCOUNTING POLICIES
Basts of preparlDg the IlnaDclal 5thtements
The financial 5taiements of the charitable comporty. which is a public benefit eniity uThJer FRS 102, have be¢n
prepared in accordan¢e with the Charities SORP (FRS 102) 'Accounting and Reporting by Charities.. Ststement of
Recornmended Practice appli¢able to charitie5 prepgring their aecounts in accoTdaNe wlth the Financial Reporting
Stsndard applicable in the UK and Republic of Ireland (FRS 102) (effective l J4nuary 2019),, Finan¢iAI Reportin8
Standard 102 The Financial Reporting Standard applicable in the UK and Republi¢ of Ireland, and the CompaDi¢S
Act 2006. The financial statements have been Prepared under the historical cost convention.
Itteome
All income is reCo￿ls¢d in the Sta*ment of Financial Activities once the charity has entitlement to the fimd4 it is
probable that the in¢ome will be received Ind the amount can be ffl￿ured reliab5y.
pendit￿re
Liabilities are recognised as expenditure as soon as ther¢ is a legal or consttuctive obligation committing the ¢lwity
to that expertditure, it is probable that a transfer of economic benefits will be required in settlement gnd the amow
of the obligation can be mthsured reliobly. Expenditure is accounted ftjr on an ac¢ruals basis and h&$ been classified
under heading5 that aggregate all cost related to the ¢ategory. Where Costs carLnot be dIr￿Y attributed to particu18r
headings they have been allocated to a¢tivities on a basis ¢onsistent with the use of resources.
Tangibk fixed assets
Depre¢l￿10n is provided at the following annual rates in order to wriie off each asset over its estimated usthl life.
Fixtures and fittings
Comw equiprnent
250A on reducing balanc¢
25% on reducing balance
Taxation
The charity i5 exempt from COTpofdtion tyx on its charitable a¢tiviti¢s.
Fund aceountlng
Unrestricted funds c4n be used in accordance with the charitable obje¢lives at th¢ discretion of the Irustees.
Restricted fijnds can only be ￿￿ed for particular restricied purposes within the obje¢u4 of the charity. Restri¢tions
aTise when specified by the donor or when ffijnds are raised for parti¢ular restricted PUTPo￿.
Further explgnation of the nature and purp¢M¢ of ead) fi￿d is included in the notes to the financial statemats.
P¢nsioD ¢o$ts •nd other post-retlrement better
The ¢hariiable ¢ompany operates a defined ¢ontribution pension scheme. Contributions payabl¢ to th¢ ¢haritable
¢omp4nys pension scheme charged to the Statement of Financial Activities in the period to whith they relate.
Po8¢ 7

Job Ch*nge
Notes to the FillAn¢ial S¢4¢¢m¢nts- ¢oDtIDu¢d
for the Year End￿ 31 December 2023
INVLSTMENT INCOME
31.1123
31.12.22
Rents received
Deposit account interesi
5,610
J,972
5.613
NET INCOMFJ(EXPENDITURE)
Nel incomel(expendi¢ure) is thted After charginpJ(credlting):
31.12.23
31.12.22
Independent examiners fee
Depreciation- owned assets
3J30
3.060
951
TRUSTEES, REMUNERATION AND BENEFITS
There wwe no trustees, r¢munerAtion or other be￿fits for the year 31 Dewnber 2023 nor for th• yeAr ended
31 December 2022.
Tr￿te*S, exp¢*seJ
There w¢r¢ no trustees, expenJ¢s paid for the year erKled 31 December 2023 nor for the year ended
31 December 2022.
STAFF cosrs
The averw monthly number of employees during the year was as follows:
31.12.23
31.12.22
Trusrees
No ¢mploye¢s rKeived emoluments in excess of £60.000.
COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTI￿TIEs
Unr¥trlcted
INCOME AND ENDOWMENTS FROM
Domtions and legacies
124.000
Ch¥rl¢•bk #rtlvltl
Princlpal activity
528J08
Investsnent income
Other income
5,613
600
TotAI
658.521
Page 8
ontinued...

Job Ch*nt¢
Notss ¢• ¢bt S¢•tements- co•tiDu
ror Ihe Ymr Znded 31 Dvember2023
COMPARATIVLS FOR THE ￿AT￿mE￿ OF FINANCIAL AcnvfnLs. eonthiued
ffijnd
EXPENDITURE ON
Charftsble actlvltl
Principal a¢tivity
357.956
16234
T•t#l
374.190
NET INCOME
284,331
RECONCILIATION OF FUNDS
Totyl funds brou8hi foThv•rd
15,569
TOTAL FUNDS CARRIED FORWARD
299.9)0
TA]YGIBLE FIXED ASSErs
fittin85
equipment
Totsls
Ai l j￿￿ary 2023
Additions
iios
9.140
11345
998
At 31 Decernber 2023
iios
10.138
DEPRECIATION
Ai l JOnu￿ 2023
Char8¢ for year
732
963
Ai 31 De¢¢mber 2023
1.7n
9?
NET BOOK VALUE
At 31 December 2tr23
1554
At 31 December 2022
2.408
1852

Job Ch411g¢
Noles to th¢ Flnanelal StAtsmeDts- ¢ontlDued
for the Year Eoded 31 Detember 2023
DEBTOILS: AMOUNfs FALLING DUE WITHIN ONE YEAR
31.12.23
31.12.22
Trade debtors
Amounts owed by pgrticlpating intorests
Prepajoyi￿ts accrued incorne
45,553
123J03
5,524
6,260
17,495
5,323
174.580
29.078
CREDITORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
31.12.23
31.12.22
Trnde Creditors
Other ereditors
A¢¢n￿d expenses
9,072
42
3,058
64
3.060
3.222
12.172
io.
MOVEMENT IN FUNDS
Net
movement
in funds
At
31.12.23
Atl.1.23
Unre8trkt¢d fuDdi
Genernl Iljnd
299,900
IS696
31S,$90
TOTAL FUNDS
299.900
15,696
315,596
Net movement In fimd4 I￿l￿ded in the above are as follow3:
Incoming
resources
Resources
expended
Movement
In funds
Unr¢strt¢ted fMDd8
General thd
260J19
41623)
15,696
TOTAL FUIYDS
200J19
(244.623)
1S696
Page 10
continued...

Job Cball
Notes to th¢ FIMnelal Statements- con¢inu¢d
for tht Yeir Ended 31 Deeembtr 2023
10.
MOVEME￿ IN FUNDS-
Coffjp4r4tfves for moveJn¢ttt In fun
Nei
movement
in funds
At
31.12.22
At 1.122
Unrestrlcted
G¢n¢ral fund
15.569
284,331
299,900
TOTAL FUNDS
15.569
284J31
299,91X)
Comporolive net movemen¢ In funds, included lli th¢ above are as follows:
Incoming
resources
Resources
expended
Movement
in Iljnds
Unrestrk¢ed futyds
Gewal fund
658.521
(374,190)
284,331
TOTAL FUNDS
658,521
(374,190)
284,331
RELATED PARTY DISCLOSURES
The d1￿Clor$ and In￿1¢¢5 of Job Ch8n8e are also diredor8 of Job Change 2007 (Wegi Midlands) Clq compani•s
that are in¢orporated in the United Kingdom.
Included wlthin debtor4 amounts falling wlthin one year• is on Bmount of £123,503 (£17.493 . 2022) due to the
¢ompany from Job chan￿ 2007 (West Midlands) CIC.
The cornpany has recharged costs ond overheads during the year as follows..
To Job ChBn8e 2007 (West Midlands) CIC £600 <£600 .. 2022) for payroll administration. Job Change ha8 been
recharged £46,111 (£93,028 .. 2022) wage costs from Job ChBn8e 2007 (Wes( Midlands) CIC.
12.
ULTIMATE CONTROLLING PARTY
The ¢harithble Company 1$ ¢ontrolled by the trustees (who are also the directors of Job Chan8e for the purpow of
¢ompany law), who are also members of the charitable company.
Pagell
continued...

Job Change
Notes to tkn¢ FID8Delal Statements- ¢olltlnu¢d
for the Year Ended 31 December 2023
13.
MEMBERS GUAR￿EE
Job Chang¢ is a company ITmited by 8uuante
In the event of a winding up or dissolution of the company. meml)ers' liabilty under the Memorandwn of
Association is limited to £1 each and liability ¢oniinues ftsr one year after Cessoiion of membe￿ip.
Pgge 12

Job Ch8ng¢
D¢¢Jlled StstsmeTht of FIMnelal Aetfvltks
for the Ye*r EDded 31 De¢¢mlxr 2023
31.12.23
Unrestricted
31.12,22
Totsl
INCOME AND ENDOWMENrs
and kg8¢1¢s
Job Chan8e 2(107 CIC
30,0(
124,fy)O
Investn*nt Ineome
ts received
Lkposit account Interest
5,610
1.972
5,613
Cb*rltAble aetfvltl
SSU Project
Wolverhamplon County Coun¢il
Good Things Foundalion
Aduli Education Centre
Wolverhampion Voluntary Council
Skill$ Connxt
Sandwell MBC
Walsall County Council
Dudley County Council
Kl¢kstgrt Scheme
3,905
120394
1.427
267.352
13,060
44.1￿0
22,630
67.403
16,536
16,678
5.124
74,098
81,759
21,789
227,747
528J08
Oib¢r Ineome
Manllgement Charges
6110
600
To¢41 lTh¢omlng r¢Bour¢¢8
260J19
658,521
EXPENDITURE
Ch4rltgbl¢ *¢tlvlt
Wa8e5 and s&larie5
Training course costs
Offi¢¢ and administratton
Sundrie5
Consultancy and professioMI
Client expenses
Advertising and promotional
Bad debts
Depreciation of tangible fixvj assets
46,111
18,962
3.177
35
1338
07,860
98,440
(4,063)
93.028
33,890
5,598
533
8,100
64,116
148.680
951
232,723
354.896
This page does not ftsrni part of the statutory financial statements
PA8e 13

Job Ch4mg¢
for the Y￿r E•ded 31 De¢¢mber2023
31.12.23
31.1222
Ch*Tltsbk aetlvltks
Other
15.344
Bank in*re51
767
8370
16,234
S￿ppOrt ¢wts
Covtrnanee costs
Independent examinus fee
24623
374,190
Net IDeo
ISffi96
284J31
Page 14