Cbarlty nllnther: 1136857
BME unit￿ Linrfted
(A compally limited by guAraDtse)
ror the year ended 31 March 2024

BME UDited Limited
(A company limi￿7 by guarantse)
Contents
stateD￿nt of finaDciÈI activities
Balall￿ sheet
Notes to tbe finallcial staten￿ts
8-10

BME United Llmited
(A company Ilmited by guarantee)
Legal and admlnlstrative infornv4tlon
Charlty number
1136857
Compuny registrntson number 5620531
40 Bromley Stre¢t
BlakeDhall
Wolverhampton
WV2 3AS
40 Bromley Street
WolvethmptQD
WV2 3AS
More£ne Adessa Bejllktt
Paul s￿hUddlll Armstrong
Trfumala Mar
TATa Cheryle Ber)nett Stephens
Secretary
Bhajan Singh DeY8i
MoTe¢n Bennett
CbJirperso
Vice.CbaiTpcr
Member
Mejnber
Men
Nighat Begum
Paul SalalwddiD Armstrong
Kuldip Chana
Accountants
RUS knountants
1190a-1192 Stratford Road
B28 8AB

BME United Llmlted
(A company Jinjited by guarantse)
Report of the trustees (Ineorporathlg the directors, report)
for the year ended 31 March 2024
The trustee8 present their report aT￿ the fiDancU 8tat¢tyents for the year ended 31 Ma￿h 2024. Tr tsv8tw who
also directors of BMB United Lirnited foT tbe puo)oses of ￿MpO￿Y law and who seThed duTing tbc year and up to the
date of tbis report are Set out on page l.
Structsry goyernauce and management
Objeclives and acdTltle6
PrincEpuIA¢¢lvides
H¢althlChronic Disease Self.Management PIO￿arnMe￿￿tyIe Risk manage￿llt
Employment
TTrining and Developnwt
tnforntstiO￿ Advice, Guidance and Adv(w Service8
R¢f¢rya18 and SignpostiDg
Evcnts and Seminars
Capacity Building
Cotmrrity Engagenmt. Con5ultstion and Notworknng
oiect Manag¢nLent
Professional Coacbinglmentoring
volunt￿ring Opportimities
The company aim is to transfomi BME UDited IAM1￿1 from a grant de￿ CoD)murrity Proje¢t to a s6]f.svstairring
So¢ial Enterprise, and the core acttvitie8 will be to provide weatly-needed services to all 8ections of the conll￿ty. Ill
particular the company work vrill be focused Qll Jiieeting the real Theeds of people who are vulnthble and isolated due fo
cultural and linguistic barrier8 and require appropriate 8llPPOrt and encouTagernent to develop selfryconfidence to
woach statutory agencies, to acce88 services and play a proper rol¢ in the cxty that they live and WOTk. Services wlll
evolve ill response to, and llret the growing needs of the diver8e ¢ontin￿tieS
Achievements and perforntsnce
ianiyal review
The results are shown on pag¢ 5

BME Unlted Llmited
(A company limlted by guarantee)
Report of the trustees Uncorporatlng the dlrectOT8' report)
for the year ffided 31 March 2024
Statement of tru8teEs' responslbllltles
The In￿te¢S (VA￿ are also dir￿torS of BMB United Limited for the pwpse of ￿mpatty law) are resp)nsible for
preparitig the Ttustres, A]Jnual Re[￿ and the financial statenxnts in accordance with app]ithle ILW Utiited
Kingdom Generally Accepted Accounting Practice.
Company law require8 thc trustees to pr¢pJTr financial statemots for each financlal year which give a ttue and fair view
of the state of affairs of the Charitable company and of the incoming resources and 4)pli¢ation of ttsources, including the
income and exp¢nditiw4 of the tharitabk company for that period Tn preparing tlue finarKial statements, the trus
select Suitable aco)unting policies and then appIy them cotisi8tendy;
ob8erve the metlK)ds and prAnciples in the Charities SORP:
ake judgements al￿ eslimates that are reasonable and prndent;
state Whet1￿ applicable UK Accounting Standards have been ftpjlowel subj￿ to any material depa￿￿ di8c108ed
and explain￿ in the fmancial slate[[￿ts. and
prepare the financial 8tate￿￿nts on the going concern basis unless it is inappLDpriat¢ kn presume that the ctrwitable
company will continue ia operation.
The trustees are r¢sponsible for keepiDg pry accounting records wbich disclose with reasonable accuracy * 9lly time
the financial position of the ¢batitable con)pany and which enable them Io ensure that the fllwicial statemenL8 compty
with the Conu)anies Act 2(M)6. They are also Tesponsible for safeguarding the 988ets of thc chatttable coropany and henco
for taking re&8onable stcp8 for the prevention and dctection of fraud and other irregulaTities.
The tn]sttts are re8ponsible for the n￿IntenanCe and integrity of the corpor*e and fillan¢ial ithEmation included on the
cbaritys website. Lewlation in the United IQngdom governing the preparation and dIssell￿tion of financial
8tatements may differfromkgislation in other jurisdidions.
Small company provisions
This report has been prei)ared iti accokn with the special provisions for small compauies uThler Part 15 of the
Companies Act 2006.
On beha]f of th¢ board
Mohamrnad Nazir
Secretary
22 Noventher 2024

BLktE United Limited
(A company limited by guarantee)
Independent examiner's report to the trustees on tbe unaudited financial statements of BME
United Lin)ited.
l Teport on the accounts of BME United Li]llited for the year ended 31 March 2024 set out on pages 2 to 10.
Respectlve responslbllities of trustees and independent examlner
The ch&ity's trnstees (who are also the directors of ihe company for PUTP05es of company law) are responsible for the
preparauon of the accounts. The tn￿teeS Consider that an audit is not required for this year under section 43(2) of the
ch￿itIeS Act 1993 (the Aci), as amcnded by section 28 of the Charities Act 2006 and Ihai an independent exaniination is
needed. It is my responsibility to examine the accounts under section 43(3)la) of the Act, as amended; to follow the
procedures laid down in the General Direclions given by the Clwity C(M)m￿s1on under section 43(7)(b) of the Aci,
aMend￿- and to state whether pthicular matters have come to my attention.
B&sts rf)f independent examiner's statement
My examination was carried out in accordance with the General Directions given by the Charity Comn)is%ion.
exaniination includes a reyiew of the accounling reeoTds kept by tbe ¢harity and a comparison of the accounts presentrd
with those records. Ii Also includes consideration of any unusual items or disclosures in the accountB, aod seeknng
explanations from you as trustees concerning any such matiers. The procedures undertaken do noi provide all the
evidence that would be required in an audit and consequently no opinion is given as to whether the awounls present a
'Iru¢ and fair view, aThd the report is limited to those matters set out in the statenwit below.
Independent examlner's statement
In ¢onneciion wxth my exarninaiion, no matter h&8 come to my ai*ntion-
(i) which gives me reasonable cause to believe that itt any mateTial respect the requirements:
to keep proper accounting records in acCo￿an¢e wiib section 386 of the Companies Act 2(*)6; and
to prepare accounts which accord with the a¢¢ounting records, comply with the accounting requirements of
section 396 of the Companies Act 2006 and WAth the methi)ds and principles of the StatCn￿llt of
Recommended Practice.. Accounting and Reporting by Charities
have noi been met: or
(u) to which, in my opinioffj attention should be drav￿ in order to enable a pcoper understanding of the accounts to be
reached.
Raza Samar (FCA)
ICAEW
Independent examiner
1190a-1192 Strarford Road
Hall Green
Birmingham
B28 8AB
' chrte￿dA(C0ufttaTrts
119QA-1194 Stratt¢rd Road
Blrnilngharn 828 8AB
+44 (0) 121 777 1200
infoQrus.co.uk
www.rus.co.uk
Ps)0•

BME United Llmited
(A company limited by guarantee)
Statement of tlnandal aelivlties (Incoryorathig the income and expenditure account)
For the year ended 31 March 2024
(resldted)
2023
Totsl
2024
Total
(kant income
131.283
131.283
31.913
131.283
131.283
31,913
R￿Ollr￿ expended
ProJ￿t activilies
Staff costs
Rent
11,648
79.104
7.939
251
125
3,860
582
2,576
li
1679
1,080
1.699
321
2,488
35
72
1,122
5(Kl
11,648
79.104
7,939
251
125
8,381
7,590
42
159
4,032
376
783
Bank charges
Utilities
Cleaning
Marketing & advetsing
TraveVParknng
LicenceJPrnfrssional fees
AcLountan¢y fee4
Jnsurance
582
1576
li
1679
1,169
675
1,528
1,830
3,692
li
1527
21
1.803
1,699
321
2,488
35
72
1.122
5LX)
Conullurrications and rr
Other office cxpeDses
116.092
116.092
42,377
Net ij￿￿￿1￿gl(0lltg01llgj riwDrw for the year I
Net ineomel{expeThse) for the year
Totsl funds brought forward
Prior year adjuslment
Restated tot￿ funds brought forward
(25,375) (25,375)
9,742
9.742
(14,911)
(15.633) (15,633)
(14,911)
Tolal funds canled foThard
-25,375
The not£¥ on pages 8 to 10 formon Integrat part of these IIDand81 $latement&

BME United Lhnited
(A company limited by guarantse)
Balance sheet
as at 31 March 2024
(ruta1￿)
Notss
Cash at bank atkd in ha￿1
10.750
180
10,750
180
due wlthin one year
Net current Ilabfilities
(I I,L91)
{25,555)
(441)
(25,375)
Deficlency of awts
(441)
(25,375)
(441)
(25.375)
Total funds
(441)
{25,375)
The Balance Sheet continues on the followiDg page.
The not&9 on pages 8 to 10 forni an Integral of th￿e tlnanelal statement

BME United Lln)ited
(A company Ilmlted by gurntee)
Balance sheet (continued)
Truste&s statemellts required by the Companles Act 21KJ6
for the year ended 31 March 2024
In approving these financial statements as In￿ of the company we hereby confirm.
(a) that for the year 8tatsl aEM)ve the con)pw was entitled to the exemption o)llf￿ by section 477 of the CompaDie8
Act 21hJ6 .
(b) that no noti¢e has been dew>sited at the registered office of the company putsuant to ￿Loll 476 of tbe CompaDies
Act 2006 requesting that an audit be COllth￿ted ￿ the year ended 31 2024.
(c) that we acknowledg¢ our r¢sponsibilltlts ts:
(l) ensuTlng that the company keeps proper accounthg records which comply with 8ectioD 386 of the Comparrie8 Act
2006, and
(2) preparing fmaocial statenwits which give a tn￿ and fair view of the state of affairs of the con￿¥lly as at the end of
the fllMD￿ year alld of its profit or lo￿ for the year then eDded in acccffdance with th¢ r¢quitemeDts of sections 394 and
395, and vknich otherwise comply with the provisions of the Con¥alliu Act relating to financial statenYnt& so far
app]i¢able to the company.
These financial statenTrnts are prepared in accordallce with the special provisions of Part 15 of the Compalli￿ Act 21J)6
relating to small compaDie8 and in a￿ordanCe with the Frnanci21 ReportinB Standard for Smalle£ Entitie8 (¢ffective April
2(M)8).
The fJDaocial staten]ents were appD)ved by thc board on 22 Noveml*r 2024 and Signed on its behalf by
Director
The note8 on pages 8 to l(1 forni An Integrnl of these flnanclal s¢atemait&

BME Unlted Linjited
(A company limited by guarantee)
Notes to financial statements
for the year ended 31 March 2024
Aceountin8 pollcl
Th¢ prI￿1PaI accounting po]icie5 are SUDJll￿ below. The accountiDg pojicies have been applied consistently
tJLfou8hout the year and the preceding year.
1.1. Bath of accounthig
The financial 8tatements are pTrpaTed the historical cost convention and in aC￿￿dance with the Financial
Reporting Standard for Smaller Entities (effective Apil 2008), the Statement of Recon]nKnded Practice
'Accounting and Reporting by Charities, issued io March 2005 (SORP 21)05) aud the CompaDies Act 2(1)6.
1.2. Incomlng resources
All incoming resources are included in the statement of fina￿1￿ activities when the charity 18 entitknl to the
income and the amount can be quantified with reasonable accuracy. The following specific Polici￿ applied to
particular categories of income:
Grnit4 illciuditig graats for the purchage of fixed a88ets, are r￿0801&¢d in full in the StateD￿lt of
activities in the year ill which Ibey are receivab
1.3. Ruowces expended
Experkdiiure is recogni8ed on an acerll￿ basis as a ]iability 18 incurred. Expendith includes any VAT which
calll￿1 be fvlly T￿0vered, and 18 reported as part of the expcnditLWe to wbich it relates.
Costs of generating ftmds wmprlsé the costs associated with attracting voluntary income and ￿ costs of trading
for fillthising pwpo8es induding the charitys Shop.
awitabk expenditure comprises tlkose c08ts incurred by the clwity in the delivery of its a¢tivitie8 8nd serYi¢es
for its beneficiaries. It includes both costs that can be allocated directly to such activitic8 and those costs of an
iThl%rect nature necessary to support them.
1.4. Researeh and development
Re8earch expenditure 18 written off to the profit and loss accowit in the year in wbich it 18 incurred.
IncA)miDg resoure&8 from grants
(restaled)
2023
Total
122394
8,889
122,394
8.889
18,409
13504
ants
131,283
131,283
31.913
PgW4 A

BME United Limited
(A company limlted by guarantee)
Notss to financlal slatements
for the year ended 31 March 21
Employees
(reslatsd)
2023
Employment costs
2024
Wages and Salaties
OtILer costs
79,070
34
8,618
79,104
No emplo￿ received enx)lurnents of more than £60.000 (2023 .. None).
Number of employees
The avernge numbers of employees (including the trusteu) during thc year, wks &8 fi)llow8:
(rt￿d)
Taxation
The charity's activiti&8 fall within the ¢xemption8 affordrAI by the provisions of tILe Ill¢on￿ alld Cowratis)n
Taxes Act 1988. Accordingly, th¢r6 is no tAxation charge in these awounts.
Prior year a￿uStment
ior period adjusltn£nt relates to Jifferences between clients bank figure and the c0￿CCt bank balance figu
wbtch is Shov￿ in the accounts.
Credltors: amounts falllng due
ithin one year
(res¢a¢ed)
2023
2024
User definable loan desc.
TTade creditors
Amowits owed to group Ulldertkngs
Other creditors
A¢(tuals 8Ad deferred incon
400
15,664
5,8tK)
3,690
5,800
4,991
11,191
25,555

BME Unlted Llmited
(A ￿mpallY limited by guarantee)
Notes to flnancial statements
for the year ended 31 March 2024
ADAlysls of net &%sets betsyeen tunds
(restatsd)
Rutrl¢ted
Fund balances ai 31 March 2024 as represented by:
Current assets
10,750
(11,191)
10,750
(11,191)
(441)
(441)
(reslétted)
At
01 Aprll Incoming Outgolng
R&rRcted funds
At
31 March
Re8tri¢ted fun(ts
-25.375
131283
-116,091
-9,742
Company limited by guarantee
BMB UDited Limited is a company ]imited by guarantee anci acCordi￿Y does not have a share capitsl.
Every member of the company undertths to ¢ontsibute su¢h anK)UDt a8 may be requireAI not exceeding £1 to the
a&sets of the Ch￿itable company in the event of its ￿Ing up wbile he OT she is a or WAthin on¢
year after he or she ceases to be a ll￿lber.
PATr& In

BME United Limlted
(A company Jimlted by guarantee)
The following pagu do not fonn part of the statutory account&

BME Ullitsd Limited
(A company Ilmited by guarantee)
Detsiled statement of financial acdvlties
For the year ended 31 March 2024
{re￿al¢d)
IDcomJng r4sources fn>m grants
Grant income
Grant incotDe
122,394
8,889
18,409
13504
131,283
31.913
Total incoming resources
131283
31,913
Costs of generathig funds:
Cost of generatlng income
Project xlivities
Wages and salaries
11,648
79.070
251
7,939
125
8,381
8,618
42
7,59Y)
159
4,032
376
783
92
Rent
B8nk charges
Uti]ities
582
1576
li
Marketing & Adifftti8ing
TravellPaduDg
F I I
Licensel Professional Fee
AccouFJtancy Fee
Telephone
Postage
ConsUlta￿Y
Printing & Ststionery
2.679
1.080
2,488
35
500
321
72
1,169
675
3,692
li
1.803
1,830
1,527
1,528
21
CoD8umable8
1.122
116,058
41329
Legacles
Other general
48
48
Totsl Lwt of generating fillcome
116,OY2
41377
cost of goods sold and other c4Jsts
Total costs of generating funds
116,092
42.377
PAty(th l?.

BME United Limfited
(A company li￿]ted by guarantee)
Detailed statement of fjnandal actiTitles
For the year ended 31 March 20
(restatsd)
Activities #ndertaken dlrec
(i)
(i)
Total governance costs
(i)
Net incomlny/(outgolng) resour¢es for the year
15.192
(10,464)