COI'LI," TllIllNING SKILLS
Charity Registration No:
114661)6
REPORTS & ACCOUNTS
For Tlie YeLir Eliding 31 Mclrch 2024
F.4NI..¥ &, CO
Accountcints & Consult,lllts

COPFF TRAINING SKILLS
CORPORATE INF()RMATION
TRUSTEFS:
Didier MATUBA - Cliair
Baby PONGOLA
Franci MANPULI
Doiningo Landu AUSGUSTOS
INDEPENDENT IXAMTNIRS:
FANLA & CO
(Accountants & Consultaiits)
Unit 10, Wcirwick Ilouse
Overton Road
London, SW9 7JP
REGISTERED OFFICE:
21 Clarewoow Walk
Off Moorland Road, Brixton
London
SW9 8TX
REGISTERED CHARITY NO:
1146606
REPORT AND ACCOUNTS:
31 Mar. 2024
Page 2 INDEPENDENT EXAMINERS, REPORT
3 REPORT OF THE DIRE,CTORS
4-5 STATEMENT OF fiNANCIAL ACTIVITIES
6-7 NOTES TO THE ACCOUNTS

INDEPI,=N'Df.NT F.XANIINV.R,S' RrpnR'r
To T]ie Trustccs of
COPLf'i'iLKINING SKII,I,S
On Ilie Accounts for thc yccir cndcd 31 M,Irch, 2024 Sct out on tlie attcichcd shccts.
Rcspeclii"e RLsi)onsibililiLS ()f 'l'riistees and Li'xaniiner
As tnistees you are responsiblc for Ilie preparation of Ilie accoijnls. Yoii consider Ihat
an audit is not requirLd for Iliis year under section 43(2) of +lie Clicirities Act 1993
(the 1993 Act) and that an indLpcndLnl ex￿}1111a(IUn is IicLdcd.
Ii is our responsibility to:
examine Ihe accounts linder section 43 of the 1993 Act,
folloiv Ilie procedures laid down in Ihe general Directions given by the Charity
Coiiiiiiission (undLr section 43(7)0)) of tlie 1993 Act, and
statc Ivhetlier particular IiiallLrs Iiavc coiiic lo our altcnlion.
Basis of Indei)endent Examiner's Statement
Our examination was carried out in accordance with general Directions given by the
Ch&￿ilY Comiiiission. An exainination includes a review of tlie accounting records kcpt by
the charity and a coniparisoIi of Ilie accounls presented with those records. It also includes
consideration of any unusiial items or disclosures in tlie accounts, and seeking explanations
from Ihe Irustees concerning any such matters. The procedures undertaken do not provide
all the evidence Iliat would be rcquired iii an audit, and consequently no opinion is given
as to Ivhether the accounts present a 'truc and fair, view and Ilie report is limited to Iliose
matters set out in the statemeiit beloiv.
Independent Examiner's Statement
In connection with our examination, no matter has come to our attention
which gives us reasonable cause to believe that, in any material respect, the
requirements:
to keep accounting records in accordance with section 41 of the 1993 Act; and
to prepare accounts which accord witli the accounting records and comply witli the
accounling reLiuirements of the-1993 Act have not bLen mct. or
2. to which, in our opinion, attention should be drawn in order to enable a proper
understanding of the accounts to be reached.
Signed:
Date:
1610112025
FANLA & CO
UNIT 10, WARWICK HOUSE
OVERTON ROAD
LONDON SW9 7JP

copr.r'rRIllNINC,SKII,I.,S
I'RU,s'fFI;, S RI,;VOR'r
The Trustees present wilh plcusurc Ilicir Aiiiiual Rciiorl togyel]ILr willi tlie fiii(IIICI(Il
slalenients of Ilie Charily for tlie ycar endcd 31 Marcli 2024.
Coiislitutioii, ol)jec(ive ()f tlie cliarlty9 prlnclpAI actlvltles nnd orgnnlsdqtl()n nf ()Iir Iv()rk
Tlic charity is registered under Ihe Constitutioii adoplcd 14 DLccmbcr 201 l as amLndcd
on 23 March 2012 as Iiieiided on 28 April 2017 under nuniber 1146606.
The objective of tlie charity as sct out in tlic CoIistitution includc, but Iiot limited to,
promoting any charitable piirposes for Ilie beiiLfit of IhL public iii DR Coiigo and, in
particular, build Ihe capacity of tliird sector orgcinisations and provide them with the
necessary support, infomialion and servicps to enable tliem to piirsiie or contribute to
any charitable purpose.
Dei'elopnient, activities And AchieveniLiit in the year
The Trustees are pleased to report that the charity continued to be successful in
meeting its objectives.
Organisation
The Charity is governed by a Board of Trustees who are elected to serve and run its
affairs. Annually, the Board reviews tlie range of skills it Ilas available and uses its
power of co-option to ensure that gaps are filled.
Comniittee ￿Ien]bers, Responsibility In The Preparation Of Fiiiancial Statements
Cliarity Legislation requires the committee to prepare financial statements for each
financial year which give a true and fa:r view of the state of affairs as at the end of the
financial year and the income and expendiiure for the year ended on that date. In preparing
those financial statements, suitable accounting policics Iiave been used, framed, to the best
of the Cominillee's knowledge 2nd belief, by reference to reasonable and prudent
judgements and applied consislently. Applicable accountino standards have been
followed. The Committee is also required to indicate where the financial statement are
prepared other than on the basis tliat the Charity is a going concern.
The Coinmittee is responsible for ensuring that arrangeinents ai"e made for keeping proper
books of account with respect to transactions and assets and liabilities and for
maintaining a satisfactory system of control over the books of accounts and
transactions. The Committee is also responsible for ensuring that arrangements are made to
safeguard the assets and hence for taking reasonable steps for the prevention and
detection of fraud and other irregularities.
By order of tlie Board
Signature
Naine
Date:
Didier MATUBA- Chair

COPLf4 I"IIAINING SKILLS
STATEMENT OF FINANCIAL ACTIVITIES
for the year ended 31 March
2024
2023
notes
UiircslriLtcd Rcstrictcd
Total
Incomln
esources
Contratsl Sub-collirals l Grant￿ funding
Fundraising income
Service Sales
Trustee Ycarly Conunilnicnl
Donation in kind (Food and goods)
Donation Cash
Memberships contribution fees
services
Other incomc
Total Incomlng resources
4n,789
3,125
3,000
3,048
3,100
520
99,789
6,625
3,000
3,048
13,419
520
64,500
13,860
16,700
,525
47,476
3,437
1,96n
3,25()
2,536
155,244
59,oon
3,50()
10,319
2,500
400
56,483
2,500
400
129,302
(a)
72,819
Resources Ex
Premises
Building mainlLnance / insurance
Business rating
Utility-bill
Supply equipment
Promotion/Advertising
Officc supplies /Stiqtionary and post
Telephone and internet
Software/ web design
Volunteer expenses
Insurance
Stsff salaries and wages costs
Refreshment
Bank InteresttFinancing Cliarges
Project research/dev/fundraising
Cost of Living crisis/emergency |
Refugee and Asylum services
Community engagement project
Travel
Wellbeing, Health￿ducatIon & Empl.
Employment support
Investh]enl - Trading services
London living wage registration fees
Others
Independent Examinerfs Fee
Professional and legal fees /QCS
Depreciation
Total Resources Expended
NET MOVEMENT FOR THE YEAR
Balance blf at 1 Apr. 2023
Balance clf at 31st Mar. 2024
ended
7,359
7,010
2,038
650
340
1,200
150
769
150
2,060
208
15,595
500
40
750
7,359
7,010
2,038
650
340
1,200
150
769
150
2,060
208
15,595
500
40
750
6,700
1,506
1,200
4,500
2,350
250
540
750
5,500
540
37,500
2,500
48
2,500
38,300
9,500
1,200
600
11,500
4,000
4,000
15,250
1,200
3,540
1,650
6,500
800
49,000
79
8,750
1,000
7,263
796
134,647
78,164)
49,583
127,747
15,250
1,200
3,540
1,650
6,500
800
49,000
79
8,750
1,000
7,263
796
134,647
(5,345)
88,111
82,766
1,000
600
1,039
(b)
(a-b)
138,123
17,121
70,990
88,111
72,819
137,694
210,513

COPEf4 TIIAINING SKILLS
BALANCE SHEET
as at 31 March
2024
2023
notes
Fixed Assets
Tangible Assets
Investments
Total Flxed Assets
5,904
7,600
13,504
6,700
303()
9,739
Current Assets
Debtors & Prepayments
Stockrw-i-p
Cash in Hand & at Bank
Total Current Assets
6,650
69,258
954
76,862
4500
53372
35000
92,872
Current Llabilities
Creditors & Accrued Expenses
Total Current Liabilities
7,600
7,600
14,500
14,500
Net Current Assets/(Liabilitles)
69,262
78,372
Total Net Assets
82,766
88,111
REPRESENTED BY
ACCUMULATED FUND
Opening Balance
Net Incoming/(Outgoing) Resources for the year
Closing Balance
88,111
-5,345
82,766
70,990
17,121
88,111
Signature
Name
16 1L711 z olf
Date of Approval
Didier MATUBA
Chairperson- Board of Trustees

COPEF TRAINING SKILLS
NOTES TO TFIE ACCOUNTS
For Ihe Year Ended 31 March 2024
1.0 ACCOUNTING POLICIES
l. l Basis of Accounting
The accounts have been prepared under the Iiistorical cost convention.
1.2 Fixed Assets
Fixed Assets are stated at cost.
1.3 Depreci(Ilion
Depreciation is provided on the straight line basis to write off fixed assets over their
expected useful lives as follows:
Property
Equipment
Furniture & Fittings
0% p.a
20% p.a
20% p.a
2 NCOME
Income consists of Contracts, Grants, Donations, Trustees Contributions and
other income during the year.
3 TANGIBLE FIXED ASSETS
Tangible fixed assets are made up of the following:
Furniture
Property Equipment & Fittings
Total
COST
At l April 2023
Additions/(disposals) during the period
At 31 March 2024
2721
3650
329
6,700
2,721
3,650
329
6,700
DFPRFCIAI'ION
At l April 2023
Charge for the period
At 31 March 2024
730
730
66
66
796
796
NFT BOOK VALUE
At 31 March 2024
At 31 March 2023
2,721
2,721
2,920
3,650
263
329
5,904
6,700

COI'LI4 7'IIAINING SKILLS
NOTIS TO TIII ACCOUNTS
For the Year EndLd 31 March 2023
2024
2023
4.Siirpliis /(dL'fiLit) for tIIL )'eur
(5,345)
17,121
This is slated dl.ler charging:
Dcpreciation of Tangible fixed Assets
796
5. Creditors
LoaIi
Creditors & Accruals
11,000
1,000
12,000
13,900
600
14,5()()