SafEty First Community Training Centre
Trustees Annual Report for Year ending 31 January 2026
SAFETY FIRST
C?M¥u4 T
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Registered Chatity No. 1128555
Company Registered by Guarantee no. 06713923

SAFETY FIRsf COMMUNITY TRAINING CEMfRE UMITED
Report and Accounts
for the year ended 31 January 2026
Contents
Pa8e
Trust Information
Dlrector'snrustee5 Report
Trustees Responsibilities
Independent Examinerfs Report
Statement of Flnandal Artlvltles
Balance Sheet
Notes to the Accounts
I￿11
Detalled Statement of FlnancSal Actlvltles
12

SAFETY HRsf COMMUNITY TRAINING CENTRE LIMITED
Trust Inforni•tion
for the year ended 31 January 2026
Ch•rlty Number
1128555
C4)mp•ry Numbof
6713923
T￿DIrerto
14azmfin Don (Chair of Trustees)
Tere5a Jackson
Medhat Fakhoury
eem Hussain
Raia Sami Khan
n¥ Butler Iresigned 29.01.20261
Re*tered Offlce
3rd Flour
Howard House
6 B•nk StrEel
Bradford
BDI IHA
8uslness Addv
3rd FIoDr
Howard House
6 Bank Street
Btadlerd
BDI IHA
Independert Examlner
SJ gjtcllffe FCCA
TvTe¥ell Dent Llmtted
1-3 St Ann's Place
Pelbn Line
Halffax
HXI SAB
8ankevs
Mational Westmlnster Bank pk
Bradford Ctty Centffe Branch
7 Hustiegate
M60 4EP
Brddfortl
Boi IPP
Pa8e I

Safely Flrst Communtty Trainin8 Centre
Trustees Annual Report foryeai endln8 31° January 2026
The year 2025126 was qulte a transltlonal ￿ar for the tharlty with a feor8anisatkn and further
consolldatton of much of the proviyon that we deltver Indudlng ESOL. Communlty He•lth and
Wellbelrrf, Volunteerlng. Energy Advlce, Employment Support and l.T and Dlgltsl.
Mary partner orBanisations includin8.' NHS Bradford , BrJdft>rd College, Shipley College,
the VCS Alliance and Bradford Council have found that Safety Flrst Is a lellab￿ dellvery partner who
can be trusted to tar8et those most in need and offer Important SUPPOrt.
We W0￿ed with The National Lottery l TNL I Q)mmunlty Fund to de15ver our Beyond Barriers
programme which was successfully completsd In November 2025 TNL have teen farrta5tic wilh theli
5UPPOrt.
This last yoar, 2025126 has beon really with the centre hwlng bel)Neen 290 Ind 340
attendan¢es perweek I some beneficiaries #ttend the centre more than once each week I
Our provlslonls dlverse whlch has meant t￿t have attrncted fundln6 from vJrlou5 funder5
rangln8 from Local GoNernment to Lottery i from cIt￿n$ Advke to NHS.
We have thls year been successlul wtth our communty Health and Wellbelng Lleportment a8ain, and
have been awarded fvndln8 from NMS CO￿ 20 plus fundlng.
We contlnue to vx)rk with Shipley College to help deltver Health. Chlldtsre, Teachln8 Asslstsnt
courses and ESOL classes fof those In most need.
Shipley Colle8e presented Safety First Communlty Tralnln8 Centre wlth thelr
'Comrnunity Partner5 Star Ayrdrd,
OL VI.Ll I￿￿5N1:. I HE
PRO￿&￿s1ONALs OF
fOMUkROW. IODAY.
***
Our enerBy wojecl supported by Citizens Advi￿ Is 8oin8 Stron8 help5n8 people to ImpbThie on thelr
enerBy usage and c05t5.
Good Thln8s Foundatlon and Yorkshlre Bulldln8 Soclety wntlnue to support us In the dellvery of
digltal sUPPOrt for Isolated adults from BAME communit￿.
Employment15 a great prog￿55￿)n for oui unemployed tusiomers
Many of our ¢entre users have commented ofi how friendly and helpfvl the staff and volunteers are
at Safety Flr5t Communlty Tralnlng Centre.

SafEty First Community Training Centre
Trustees Annual Report for Year endln8 31 January 2026
Income rcccivcd behvccn 01.02.2025 and 31.012026
J7%
TyPeofF￿dlng
CommlsJk)nlr
Local Grant
Amount
93.413. 92
5.445.32
86,540.
64,757.¢))
%olwhol•
37%
34%
22%
5%
CharlatA• TnJ
Tot
. 281.780.QQ

Safety First Community TFaining Centre
Trustees Annual Rewrt for Year endlng 31" January 2026
Our Mi88ion ".
'To work wth Ihose most in ne&1 to change lives for the better,
Our Objectlvos .
To help people to ac(xs
Education , Training. Recreation 8nd Health prqects and provKle a response to
partI￿lar problems identified by the Community
Stsff are committed to helping Ouf Customers, students and volunteers to progre63
Volunt••rn ensure that the charity is able to run effic￿ntlY .
Our Trustees are all volunteers and are Trustees out of a sen88 of '8erwice' , it is onty
wrth their help , guidance and SLry)POrt that we are ab18 make a difference in so many
peoples lives.
Volunteers are encouraged to attend accredited courses lo tr￿1P their progression.
Many volunteer8 h8V8 gone on to paid emplo￿ent as 8 result.

fety Ftrst Communlty Trainln8 Centre
Trustees Annual Report fDr Year ending 31"January 2026
Employment Groups
We work wilh adults are furthest from the la￿ur market. We continue to delNer
employment-based training. We have been able to delrver job match and l.T. training to over
2¢XKI adults this year. We have helpgd 26 p8ople into employment during the last 12 month8
Roferral$ Unemployed adults are referr￿ to US from . Job Centre Plus. Bradfofd Councll,
Womens Refuges and the NHS via bx41 G.P practiC8S.
Many people who are unemployed with kx)or mental tr￿311h , lacking confidence are referred
to us lo help them to
Improv• thelr Engll$h language sklllj - irKreases engffjem8nt helping them to
become more confident in accessing other ¢(Ynmunty or health 5eNices with a vièw to
preparing them for the wofld ol work.
Improve thelr Dlgltal *kill4- . Many adu￿5 have no acce8s lo har(￿are and the internet ,
our charity is helping unemployed adults to access the Inlemet access to digltal tools and
employment support .
Improve thelr opportunltleg for employment- Group or one to one sés8lon$ provhjo 88fe
SP8C88 for 80cial Con￿￿"On$ and support allowrng more oppothnitie6 for su81&'nab
employment.
lrnprove tholr M•ntal Health- redurxion in stress, anxiety and depr888fon Symptoms
through relaxotion and emobonal Support through our Good Lrfe programme .
E8rfy Intervention help people to address challeng•8 b￿Ore they bacome rnore 6erlou8.
Wld•r Prograrnm• Bonefft•
Improved mental wellbeiro arKI confidence.
Better management of stress and anxiety.
Increased engagemènt In 8duc4tlon. volunteoring, and employmert.
Reduced reliance on GP appointments for non<linical issues.
cre8ts.ng happy heatthy mlnd and body ￿tlInesS
Improvement in Digrtal job search
Progress towards higher level ICT l Dlgital qualMc4tlon
Increased engagement in education. volunteering. and •M￿OYMent.
Readiness for the wodd of work
Improvement in social skills
Progre88 towards hKJher level ESOL qualification
Slgned .
KJ )
Nazmin Din , Chair of Trustees
5 May 2026

SAFETY FIRST COMMUNITY TrAINING CENfRE UMITED
Statement of Trustees Responslbllltles
for the year ended 31 January 2026
The trustees are responsible for preparing ihe Report of the Trustees and the financial 5taternents
In accordance wlth appllcable law and Unlted Klngdom Accounting Standard5.
The law applicable to charities in England and Wales. the Charity Art 2011 and the provisions of the
trust deed requlres the trustees to prepare financial statements for each financial year which gNe
a true and fair view of the state of affalrs of ihe charlty and of the incoming resources and appllcation
of resources, including the income and expendlture, of the charity for that period. In pfeparlng those
flnancial statements, the trustees are required to
select suitable accounting policies and then apply them conslslentlv.
observe the methods and principles in the Charity SORP:
make Judgements and estlmates that are reasonable and prudent;
state whethei applicable accounting standards have been tollowed. subjec¢ to any materlal
departures that must be disclosed and explained in the financlal Statements;
prepare the flnancial statements on the going concern basis unless St is Inapproprlate
to presume that the charlty wlll CODtlnve In business.
The tru51ees are re5pon5ible for keeping proper accountlng records whlch dlsclose wlth reasonable
accuracy at any time the financial posltion of the charity and to enable them to ensure that the
financlal statements comply wlth the Charities Act 2011 and the provlslons of the trust deed.. They
are also responsible for safe8uardln8 the assets of the charity and hence for takin8 reasonable steps
for the prevention and detection of fraud and other Irregularltles.
The trustees are responsible for the maintenance and Integrity of the charity arKI ftn•nclal Informatlon
Included on the charlty's website in accordance with leglslatlon In the United Klngdom goyernlng ihe
preparation and dissemination of financlal statements.
Page 6

Independent Examlnerfs Report to Dlrertorsftrustees of Safety Flrst Communlty Tralnlng
Centre Umlted
For the year endèd 31 January 2026
I report on the charfty trustees on my examination of the accounts of the Company for the yeèr ended
31 January 2026.
Responslbllltles and ba51s of report
As the charity's trustees of the Company land also Its dlrertors for the purposes of compary lawl
you are responsible for the preparatlon of the accounts in accordance with the requlrements of
the Companie5 Act 2(K161"the 2CI)6 Act").
Havlng satSsfied myself that the aicounts of the c¢Jmpany are not required to be audlted under Part 16
of the 2006 Act and are eliBible for independent examination. I report in respect of my examinatlon
ol your charity's accounts as carried out under sectlon 145 of the Charitie5 Art 20111.the 2011 Act'l.
In carrylng out my examinatTron I have followed the Direttions given by the Charity Commission
under sectlon 145151 Ibl of the 2011 Act.
Independenl Examlnerfs Statement
I conflrm ihat l am quallfled to undertake the examlnatlon due to belng a member of the A55oclatlon
of Chartered Certified Accountants.
I have completed my examlnatlon. I confimi that no rnatters have to my attentlon In connectlon
th the examlnatlon 8lvlng me cause lo belle¥e:
l èccountln8 records were not kept iri respect of the Comparw as required by sectlon 386 of the
2 the accounts do not accord wlth those records,. or
3 the accoub)ts do not comply wlth the accovntlng requlrement5 of sectlon 396 of the
2006 Art other than any requlrements ihat the accounts glve a 'true ar￿ falr vlew whlch Is not è
matter consldered as part of an independent examlnatlon. ¢y
4 the accounts have not been prepared in accordance with the methods of and prlnclples olthe
Statement of Recommended Practice for accounting and reportlnB by tharities lappllcable to
charitles weparlng thelr accounts in accordante with the Flnanclal Reporting Standard
appllcable In the UK and Republic of Ireland IFRS 102)1.
I have no concerns and have ci)me across no other matter5 In tonnectlon vlth the examlnatlon to whlch
attentlon should be drawn In thls rewt In order to enable a proper understandlng of the accounts to
be reached.
.J Sutdlffe FCCA
Torevell Dent Umtted
Chartefed Certffled A￿Ountant
1-3 St Ann'5 Place
Pellon Lane
Halllax
HXI 5R8
Date: 5 May 2026
Page 7

SAFETY FIRSf COMMUNITY TRAINING CEKfRE LIMrrED
Statement of Flnandal Actlvltles
for the year ended 31 January 2026
Total
Funds
2026
Total
Funds
2025
Unrestrfrted Restrkted
Funds
Fund5
Not
Donations
Other incorne
252,256
9.533
252.256
9.533
251,609
5,536
Totsl
261,789
261789
257,145
ndltu
Charltable activities
Other costs
241.767
954
241,767
954
285,118
1,297
Totsl
242,721
242,711
286,415
Net I￿OMe/(Expend5tUrel
19.068
19,068
129,270)
Balance as at l February 2025
15.783
18,518
34.301
63,571
Transfer between funds
Balance as at 31 January 2026
34￿51
18,518
53,369
34,301
The statement of financlal actlvltles includes all gains and losses reco8nised in the year.
All income and expenditure derive from continuing activities.
Pa8e 8

5AFFfY FIR￿ COMMuhYfYTRAINIP46 CEIfflIE UMITED
Ba￿nce Sheet
lor the Vex ended 31January 2026
2015
otss
FI￿d ￿lets
Ta￿lble assets
4386
7.373
CurrentAss*ts
Cash at bank
49.691
56,331
49.691
Ll•bllltles'.
Crèditor amount5 falllng dDe 4b4thbn one year
56,331
17081
129,4031
48,9113
53369
26,928
34301
Fuftd5
ljnrestrlcted funds
Restrlcted fvnds
Totsl Fundj
34.8SI
IB,518
53.J69
15,7B3
18,518
34301
The cl￿panY Is en¢ltled to exemptlon Iroffl a￿1￿ under5edlon 477 of the Companles Act 2fA)6
for the ytar ended 31 January 2026.
The members have not rèquired the tompany io obiain an ￿dI1 of its financlal stateTr￿nts for
theyear ended 31 January 2026 in accordancewlth Sec￿￿ 476 of the Compankn Art 2CIX.
The dlrect•rs acknowled8e respon51billtles lor-
al Ensudne thai ihe company keeps accountin8 records *thlch comply wlth Settbon5
386 and 387 of the Companies Act 2CK6 and
bl Preparln8 flnandal statements whlch 8lve a true and fair vlew of the state of
affairs of the company as at the end of eath financial year and of Its profit or1055
for each financlal y*ai kn accordance woth the rÈ4uirements of SertKJn5 394 and
395 and v4hkh other*lse complywth the requirements of Companles Act
2(XJ6 relating to flnanclal ststements. so far •$ appllcable to the company.
The flnanclal staiernents have bÈen prepared In ¥coidante with the Statemont of Recommended
PT¥Etice applicable to charttles preparbn8 thefjf accowits In accordance with the Financial Reportln8
Standard appllczble In the UK and Ilepublic ol Ireland IFRS 1021 and the Chariiies Aci 2011.
The financlal statements were •ppro¥ed by the Bo*d OF Director5 on 23 Aprll 2026 and were
signed by..
Mrs
rnln Oln
Page IS

SAFETY FIR5TCOMMUNrfYTRAINING CEpifRE UMITED
Notes to the Accounts
for the year ended 31 January 2026
Accountlng Po15cles
a) Accounting Convention
The financial statement5 have been prepared under the historical cost convention. and in
accordance with Accounting and Reporting by ChaTitie5: Statement of Recommended Practice
appllcable to chartlles p￿parIng thelr accounts in accordance with the Financlal Reportin8 Standard
applicable in the UK and Republic of Ireland (FR5 1021 {effectfve l January 2015)- {Charities SORP
(FRS 1021, the Financial Reporting Standard applicable in the UK and Republic of Ireland IFRS1021 and
the Companles Act 2006.
b) Income and Endowments
Income Is recognlsed when the charity has entitlement to the funds and when it Is probable that
the Income wlll be received and the amount can be measured reliably
Income from grants is recognlsed when the charity has entitlement to the funds. any performance
condltlons have been met. It Is probable that the Income will be received and the amount can be
measured rellabfy and Is not deferred.
cl Expendlture
Expenditure Is recognlsed once there Is a legal or construrtive obllgatlon to make a payment to a
third party. It Is probable ihat settlement will be required and the amount of the obllgation can be
measured rellably.
d) Flxed Assets
Depreclatlon Is provided at the following annual rates in order to wrlte off each asset ovei Its
estlmated usefL•I economic Ilfe.
FIMtures, frttln& equlpment and computer equipment
- 25%on cost
e) Taxatlon
The charity Is exempt from tax on its charitable actlvltles.
fj Fund Accountln8
Fundralslng and publlclty expenses Include eypenses incurred dirertly by ihe charity and those
Incurred by third parties in raising charlty funds for the charity and paid directly by the company.
2. Exwnditure
Charltsble artlvltles
2026
2025
Dlrect project costs
Administration costs
217.438
24.329
259.328
25.790
241,767
285,118
Pa roll Costs
2026
2025
Gr05s wages
186.706
217,269
There were 10 full time equivalent employees during the year12025-111
Page 10

SAFEfY FIRST COMMUNrrY TRAINING CEPItRE LIMtTED
Note5 to the Accounts
for the year ended 31 January 2026
TaTh8lble Flxed Assets
FI￿ures, flttings
and equlpment
At l February 2025
Additlons
Disposals
24,804
279
At 31 January 2026
25,083
ec1￿10￿
Al l February 2025
Charge for the perlod
Depreclatlon on disposals
17,431
3,266
At 31 January 2026
20,697
Net Book Value
At 31 January 2026
4,386
At 31 January 2025
7,373
2026
2025
Ll•blllll•s
Cr•dltor amounts f4111ni due wlthln om vex:
Accruals
Loan5
22,th)3
7,400
29,403
Trnstee's Rernuner•tJon and Benefits
There were no trustee's remuneration or other benefits for the year ended 31 January 2026
l£nil . 20251
TrustO•'5 Expon5es
There were no trustee's expenses paid for the period ended 31 January 2026 l£nil- 2025)
The charity wa5 under the control of the trustees ihroughout the current and previou5 yeaTS.
c1wnp￿Y Ilmlted by guarantee
The members liability Is limited to a maximum of £1 per member.
Page 11

SAFEfY FIRST COMMUNITY TRAINING CENTrE LIMITED
Detalled Statement of Financial Artivities
for the year ended 31 January 2026
2026
2025
Income:
Grants re￿iVed
Other income
252,256
9.533
251,609
5,536
261.789
257,145
expendlture:
Wages and natlonal insurance
Payroll costs
Project costs..
Extra tutor staff costs
Other
186,706
4.705
217,269
4,488
23.232
2.795
31,730
5.841
26.027
37,571
217,438
259,328
44.351
12.1831
Admln15tratlon Expendlture..
Computer expenses
Llght and heat
Insurance
Accountanry
Bank charges
Travellln8 expenses
Prlntlng and statronery
Repalrs
Equlpment hlre
Phone
Sundryexpen5es
Professional Fee
Depreciation
598
5.826
1.176
954
748
8,403
1.138
1.297
781
1.179
3.712
2,674
1,906
961
805
671
4.429
1,434
2,653
1,595
1,136
1.536
3.266
25,283
3,483 27,087
Net Income / lexpendlturej
19,068
IZ9,2701
Page 12