EASY HOUSING ASSOCIATION                                                       Charity No. 1115721 


## **Trustees Report 2020/21** 

This year was the most difficult and hardest year in the history of the charity due to Covid 19 pandemic and the subsequent lockdowns and protocols. The pandemic has affected every aspect of the charities’ work right from the referral stage to move on stage. We have to re-double our cleaning services to all properties and provide all the health and safety related items such as gloves, sanitizer, and masks. The emergency repairs were all carried out in time thanks to our dedicated maintenance and cleaning teams as well as our middle managers who tirelessly continued carrying out health and safety inspections to the properties frequently. The charity has, like the years before, continued providing its much-needed service to the single homeless, and is always trying to improve the delivery of its service by, reaching out even wider users and communicating closely with our tenants, partners, and stakeholders.  Sadly, we were unable to increase our stock during this period due to the pandemic but continued providing emergency supported accommodation to ex- offenders, the elderly, rough sleepers and the refugee and immigrant communities. The pandemic and the subsequent restrictions has caused massive difficulties, but nevertheless the charity continued to accommodate and support the homeless and help them with favorable outcomes.  We are pleased to report that the charity did not make any members of its staff redundant, nor did it put any member of staff on the government furlough scheme. 

Generally, we provide our excellent and much needed services 

To   young people, ex-offenders, people with drug problems, refugees, Elderly, and others from the vulnerable sections of the community. We have continued increasingly working with organizations like shelter, crisis, YMCA, Salvation Army, and other approved charities and accommodated more homeless through them. We also continued helping homeless families to link up and rent from the private sector and continued our tenants to get to employment and training opportunities. Easy Housing accommodated and supported 300 single homeless during the year. 

During the year the charity did not get any loans or received any grants and entirely depended on income generated through rent revenue. We are very please despite the major difficulties associated with the pandemic to reports surplus in the annual accounts. 

As always, we devoted a considerable time and effort in organizing workshops and surgeries on the trainings and employment for our tenant population and have helped 15 tenants to move on to a more permanent accommodation, assisted 5 tenants to take training opportunities and 4 people to get into employment. 



EASY HOUSING ASSOCIATION                                                       Charity No. 1115721 

Our missions remain to build community with the necessary skills and qualifications, and we have continued accessing clients to the appropriate training providers, employers and to permanent housing. 

The charity remains committed to pursue its three central themes 

- Housing with care and support 

- Community engagement and development 

Tenants Empowerment and employment 

**Abdi Gure,** 

**Trustee** 



R*adon numb•r 5439373
Eg8y Houslog A890dallon
Comp•lly Ilnthed by £u¥rantre
Dlrector8' report and flnanel41 stAtsments
for the year ended 31 Mar¢h 2021

Eaay Houslng A8Md*tloll
Comp4fjy llD￿ted by iuAr•ntee
Company lllformldon
Yusuf Ahmed
Abdi Gure
Saud Abdillahi
Compatty number
5439373
Re8iSt¢r&l offi¢¢
Kingsbury Hou8¢
468 Chur¢h Lane
don
NW9 8UA
A¢countants
TAlly-Ho Accounw Ltd
20.22 W¢nloGk Ro
London
NI 7GU
Bu5in¢ss address
Kinybury House
468 Church L4ne
>ndon
NW9 8UA

Contents
Balan¢e sbeet

Easy Housillg As$oei4tion
Company limlted by guarantee
Directors, report
for the year ended 31 March 2021
The directors present their report and the finallcial statements for thc year ¢nd¢d 31 Morch 2021.
Prinelpal Activity
The principal activity of the company is 10 provide care, support and assistance in regard to housing, housing
s¢rvic¢5, hou%ingi benefits and housing support and relaled matters to hotn¢l¢ss p¢ople and those being in
danger of being homeless.
Directors
The directors who served during the year are as stated below:
Mohamed Mohammed
Yusuf AtLmcd
Abdi Gure
Saud Abdillahi
This report has been prepared in accordance with the provisions applicabl¢ to companies entitled to the small
compani¢s ¢x¢mptkon.
This report was approved by the Board on 6 Scptcmber 2021, and signed on its behalf by:
Mohamed Mohammed
Dire£tor
Page I

Euy Hon$lng Atsod#tlo
Company llmlt¢d by gu￿an￿¢
Prollt and loss account
for ikn year ended 31 Mareb 2021
2021
2020
Notes
Turnover
1,859,856
1,698,359
Cost of s81¢5
(747,015)
1,112,841
(573.402)
Gross prollt
1.124.957
(1,058,435)
54,406
(1,032,501)
92.456
Oper•thhg prollt
Oth¢r int¢r¢st receivable and
similar income
78
121
Profit on or•JlDary
a¢dvldu before tssatlon
54.484
92,577
T&x on Profit on ordinary activitie8
Profit for the ye
54,484
92,577
R¢tsitied profit brought foNard
RetalDed profft carrled forward
266,375
173.798
320,859
266,375
The notes on pAge8 5 to 7 form an kntegrAI pArt of Ib¢8¢ fIn*n¢1￿ statement&
Page 2

a% at31 Mareb
Flxed assets
Tangible assets
Cttrrtnt aSBets
Debtor8
Cash at bank and itt haad
83.893
82.870
27545
271,406
23.862
220,150
298951
244,012
Credhors: #mollllts f*lkng
due vAthln on¢ year
Net current *sgets
(16.563)
(15.085)
282J88
228.927
Ilabllities
366281
311,797
amets
366281
311.797
Called up Sha￿ ¢apitsI
Pmfjt ODd loss awjunt
45.422
320.859
45,422
266J75
Memben. fo#4ts
366281
311.797
The directors, Statements requir•a by S¢¢tiQD5 475(2) And (3) shovm oll the fol]OWiDg page which forn
part of this Ba]aDce Sheet.
The Dottt •D S to 7 forrn an IBt¢wl p•rtgf thtge Ilnandnl ststsment&

Easy Housing Association
Company limited by guarantee
Balance sheet {contiDued)
Dlre¢tor8' StAtemcnt$ required by Sections 475{2) and {3)
for the year ended 31 March 2021
For the year end¢d 31 March 2021 the ¢ompany was entitled lo exemption from audit under section 477 of the
Companies Act 2006 relating Lo small companies.
Directors, responsibilities:
The members have not required the company to obtsin an audit of its accounts for the year in question in
accordance with scction 476. and
Thc dircclors acknowledge their rcsponsibilities for complying with the requirements of the Act with
re5peet to accounting records and the preparation of accounts.
These accounts have been prepared in accordance with the provisions applicablc to companies subje¢t to the
small companies regime and with the Financial Reporting Standard for Smaller Enlilies {effe¢tive April 2008).
These a¢counts were approved by the directors on 6 September 2021, and are st￿)ed on their behalf by.
an)me
Dlrector
Registration number 5439373
The notes on pages 5 to 7 form an integral part of theye financial statements.
Page 4

for the ymr ended 31 March 2•21
A¢¢ountlDg polide#
1.1. A¢¢ountlDg eMvenlloD
Finallcial Rwting Stsndard fty Sm•ll¢r Entities (eff￿live Apnl 21Y)8)-
11 T￿rn0ver
Turnover represents tbe total invoiee value, ¢x¢lthg V1h￿ added ¢14 of sales made duri08 the year
and dcrivcs f[￿ll the provision of 8￿#1S falltiw within the activities.
IJ. Tllltlble Ilxed *tsets and dwre¢l*do4
Depreciation 18 provided at rntes calculated kn wrile off the c(x¢ le88 re81th￿l Val￿ of ¢￿h 488d over its
ex￿¢t￿ us¢thl lif¢, 06 follows:
Fixtures. fittin88
and equipment
Motor vehi¢le4
2(PA strJith¢ IiD¢
2IpA straight line
Turmiver
The totsl turn￿ of th¢ ¢ompkny for the )w h8 been duived from its priDCiPAI adivity wbolly
undertaken in the UK.
Operatlng proflt
2021
2020
Operntiti8 profit is *ated after ¢haTPll8:
Depreciation and other•nK¥unts wiitt¢a off ¢•n8ibie &8sets
20.972
20.717
Dlr¢rton' remunerAth
2021
2020
Remuneration and other benefits
4.875
37.161

HouslDg Auodadon
Company Ilmlted by 84*rnnt¢e
Not¢s to th¢ 1lnattd￿ stst¢m¢nt$
for the year ended 31 March 2021
continued
Flxture
flttiDgs and Motor
equlpment vehlcles
Tanzlble fixed assets
Totsl
Cost
At l April 2020
Additions
179,546
21,995
12,900
192,446
21.995
At 31 March 2021
201.541
12,900
214,441
Depreelatlon
At l April 2020
Charge for the year
104,604
19J87
4,972
1,585
109.576
20,972
At 31 March 2021
123.991
6,557
130,548
Net bo•k values
At 31 March 2021
77J50
6,343
83,893
At 31 Marcb 2020
74,942
7.928
82.870
DebtOf8
2021
2020
Trade debtors
Prepayments and acowed iDL¥)D
26.045
1500
22,662
1200
27545
23.862
Credltors: amounts falllng due
YAtblD one year
2021
2020
Trade Gr￿lI0r8
Other taxes and social se¢uTity ¢ost8
Accnwls and defe￿￿ iDwn¢
s￿61
SJ09
2,693
8,129
4263
2.693
16,563
15,085
Page 6

for the yw ended 31 M*reb 2ff2l
Profh
aDd lo
Tot*1
At l Aprll 2020
Profit for the
266J75
54.484
266J75
$4,484
At 31 Mw¢h 2021
320,859
320,859
Company ]imit¢d by zH*r•ntse

The followkng pagej do n•t fom p*rt •fth¢ a¢¢•axI&

C•mp*Dy Ilmltal by 8Mar*Atr¢
r the ye•r e4Mle413J m￿Ch 2021
2021
2020
Rent receivabl¢
I￿57.00$
1,692.411
1.859.856
1.698.359
Cost of sa
747.015
573.402
(747.015)
(573.402)
Gross proflt
1.112,841
66% 1.124,957
Wage8 and salgries
261972
4.875
16291
4.849
lJ75
468.995
42.727
3.714
55958
45.844
69214
216290
37.161
15.848
4,834
536
446286
42.376
3,367
57.696
49.6
64.504
7.565
1,413
3.073
1,410
Employefs Nl ￿￿trIbutiOnS
Employ¢Vs Petision con1nb￿l0llS
Tetwit TrainiDg and Support
Rent pay7bk
Light and heat
Cleaning
Advertising
Tdephone
Computer costs
Hire of equipmu
15
3.787
1734
iJ96
1&616
12,150
2200
2.693
510
4J27
1229
19,693
5500
Lggal and profe&sional
Consultancy fees
Accountancy and BLM)k4eeping
24,701
630
3.740
567
Bad debts
Charitable donatiO￿- o
19J87
1,585
18,735
1.982
1,058.435
1.032,501
92.456
92,456
Operating pro(h
3% 54,406

Compl￿ limited by
for the yur eAded 31 Mar¢k 2021
2021
2020
Other Income and expenses
Interest rtteivable
Bank de￿$It interest
78
121
profit for the year
92,577

R*adon numb•r 5439373
Eg8y Houslog A890dallon
Comp•lly Ilnthed by £u¥rantre
Dlrector8' report and flnanel41 stAtsments
for the year ended 31 Mar¢h 2021

Eaay Houslng A8Md*tloll
Comp4fjy llD￿ted by iuAr•ntee
Company lllformldon
Yusuf Ahmed
Abdi Gure
Saud Abdillahi
Compatty number
5439373
Re8iSt¢r&l offi¢¢
Kingsbury Hou8¢
468 Chur¢h Lane
don
NW9 8UA
A¢countants
TAlly-Ho Accounw Ltd
20.22 W¢nloGk Ro
London
NI 7GU
Bu5in¢ss address
Kinybury House
468 Church L4ne
>ndon
NW9 8UA

Contents
Balan¢e sbeet

Easy Housillg As$oei4tion
Company limlted by guarantee
Directors, report
for the year ended 31 March 2021
The directors present their report and the finallcial statements for thc year ¢nd¢d 31 Morch 2021.
Prinelpal Activity
The principal activity of the company is 10 provide care, support and assistance in regard to housing, housing
s¢rvic¢5, hou%ingi benefits and housing support and relaled matters to hotn¢l¢ss p¢ople and those being in
danger of being homeless.
Directors
The directors who served during the year are as stated below:
Mohamed Mohammed
Yusuf AtLmcd
Abdi Gure
Saud Abdillahi
This report has been prepared in accordance with the provisions applicabl¢ to companies entitled to the small
compani¢s ¢x¢mptkon.
This report was approved by the Board on 6 Scptcmber 2021, and signed on its behalf by:
Mohamed Mohammed
Dire£tor
Page I

Euy Hon$lng Atsod#tlo
Company llmlt¢d by gu￿an￿¢
Prollt and loss account
for ikn year ended 31 Mareb 2021
2021
2020
Notes
Turnover
1,859,856
1,698,359
Cost of s81¢5
(747,015)
1,112,841
(573.402)
Gross prollt
1.124.957
(1,058,435)
54,406
(1,032,501)
92.456
Oper•thhg prollt
Oth¢r int¢r¢st receivable and
similar income
78
121
Profit on or•JlDary
a¢dvldu before tssatlon
54.484
92,577
T&x on Profit on ordinary activitie8
Profit for the ye
54,484
92,577
R¢tsitied profit brought foNard
RetalDed profft carrled forward
266,375
173.798
320,859
266,375
The notes on pAge8 5 to 7 form an kntegrAI pArt of Ib¢8¢ fIn*n¢1￿ statement&
Page 2

a% at31 Mareb
Flxed assets
Tangible assets
Cttrrtnt aSBets
Debtor8
Cash at bank and itt haad
83.893
82.870
27545
271,406
23.862
220,150
298951
244,012
Credhors: #mollllts f*lkng
due vAthln on¢ year
Net current *sgets
(16.563)
(15.085)
282J88
228.927
Ilabllities
366281
311,797
amets
366281
311.797
Called up Sha￿ ¢apitsI
Pmfjt ODd loss awjunt
45.422
320.859
45,422
266J75
Memben. fo#4ts
366281
311.797
The directors, Statements requir•a by S¢¢tiQD5 475(2) And (3) shovm oll the fol]OWiDg page which forn
part of this Ba]aDce Sheet.
The Dottt •D S to 7 forrn an IBt¢wl p•rtgf thtge Ilnandnl ststsment&

Easy Housing Association
Company limited by guarantee
Balance sheet {contiDued)
Dlre¢tor8' StAtemcnt$ required by Sections 475{2) and {3)
for the year ended 31 March 2021
For the year end¢d 31 March 2021 the ¢ompany was entitled lo exemption from audit under section 477 of the
Companies Act 2006 relating Lo small companies.
Directors, responsibilities:
The members have not required the company to obtsin an audit of its accounts for the year in question in
accordance with scction 476. and
Thc dircclors acknowledge their rcsponsibilities for complying with the requirements of the Act with
re5peet to accounting records and the preparation of accounts.
These accounts have been prepared in accordance with the provisions applicablc to companies subje¢t to the
small companies regime and with the Financial Reporting Standard for Smaller Enlilies {effe¢tive April 2008).
These a¢counts were approved by the directors on 6 September 2021, and are st￿)ed on their behalf by.
an)me
Dlrector
Registration number 5439373
The notes on pages 5 to 7 form an integral part of theye financial statements.
Page 4

for the ymr ended 31 March 2•21
A¢¢ountlDg polide#
1.1. A¢¢ountlDg eMvenlloD
Finallcial Rwting Stsndard fty Sm•ll¢r Entities (eff￿live Apnl 21Y)8)-
11 T￿rn0ver
Turnover represents tbe total invoiee value, ¢x¢lthg V1h￿ added ¢14 of sales made duri08 the year
and dcrivcs f[￿ll the provision of 8￿#1S falltiw within the activities.
IJ. Tllltlble Ilxed *tsets and dwre¢l*do4
Depreciation 18 provided at rntes calculated kn wrile off the c(x¢ le88 re81th￿l Val￿ of ¢￿h 488d over its
ex￿¢t￿ us¢thl lif¢, 06 follows:
Fixtures. fittin88
and equipment
Motor vehi¢le4
2(PA strJith¢ IiD¢
2IpA straight line
Turmiver
The totsl turn￿ of th¢ ¢ompkny for the )w h8 been duived from its priDCiPAI adivity wbolly
undertaken in the UK.
Operatlng proflt
2021
2020
Operntiti8 profit is *ated after ¢haTPll8:
Depreciation and other•nK¥unts wiitt¢a off ¢•n8ibie &8sets
20.972
20.717
Dlr¢rton' remunerAth
2021
2020
Remuneration and other benefits
4.875
37.161

HouslDg Auodadon
Company Ilmlted by 84*rnnt¢e
Not¢s to th¢ 1lnattd￿ stst¢m¢nt$
for the year ended 31 March 2021
continued
Flxture
flttiDgs and Motor
equlpment vehlcles
Tanzlble fixed assets
Totsl
Cost
At l April 2020
Additions
179,546
21,995
12,900
192,446
21.995
At 31 March 2021
201.541
12,900
214,441
Depreelatlon
At l April 2020
Charge for the year
104,604
19J87
4,972
1,585
109.576
20,972
At 31 March 2021
123.991
6,557
130,548
Net bo•k values
At 31 March 2021
77J50
6,343
83,893
At 31 Marcb 2020
74,942
7.928
82.870
DebtOf8
2021
2020
Trade debtors
Prepayments and acowed iDL¥)D
26.045
1500
22,662
1200
27545
23.862
Credltors: amounts falllng due
YAtblD one year
2021
2020
Trade Gr￿lI0r8
Other taxes and social se¢uTity ¢ost8
Accnwls and defe￿￿ iDwn¢
s￿61
SJ09
2,693
8,129
4263
2.693
16,563
15,085
Page 6

for the yw ended 31 M*reb 2ff2l
Profh
aDd lo
Tot*1
At l Aprll 2020
Profit for the
266J75
54.484
266J75
$4,484
At 31 Mw¢h 2021
320,859
320,859
Company ]imit¢d by zH*r•ntse

The followkng pagej do n•t fom p*rt •fth¢ a¢¢•axI&

C•mp*Dy Ilmltal by 8Mar*Atr¢
r the ye•r e4Mle413J m￿Ch 2021
2021
2020
Rent receivabl¢
I￿57.00$
1,692.411
1.859.856
1.698.359
Cost of sa
747.015
573.402
(747.015)
(573.402)
Gross proflt
1.112,841
66% 1.124,957
Wage8 and salgries
261972
4.875
16291
4.849
lJ75
468.995
42.727
3.714
55958
45.844
69214
216290
37.161
15.848
4,834
536
446286
42.376
3,367
57.696
49.6
64.504
7.565
1,413
3.073
1,410
Employefs Nl ￿￿trIbutiOnS
Employ¢Vs Petision con1nb￿l0llS
Tetwit TrainiDg and Support
Rent pay7bk
Light and heat
Cleaning
Advertising
Tdephone
Computer costs
Hire of equipmu
15
3.787
1734
iJ96
1&616
12,150
2200
2.693
510
4J27
1229
19,693
5500
Lggal and profe&sional
Consultancy fees
Accountancy and BLM)k4eeping
24,701
630
3.740
567
Bad debts
Charitable donatiO￿- o
19J87
1,585
18,735
1.982
1,058.435
1.032,501
92.456
92,456
Operating pro(h
3% 54,406

Compl￿ limited by
for the yur eAded 31 Mar¢k 2021
2021
2020
Other Income and expenses
Interest rtteivable
Bank de￿$It interest
78
121
profit for the year
92,577