REGISTERED CHARITY NUMBER: 1169758
REPORT OF THE TRUSTEES AND
FINANCIAL STATEMENTS FOR THE YEAR ENDED 31 OCT08ER 2025
FOR
FLEXIBLE LEARNING CENTRE FOUNDATION
SHABIR NAWAB & CO
11 Portland Road
Edgbaston
Birrningham
West Midl8nds
B16 9HN

FLEXIBLE LEARNING CENTRE FOUNDAlloN
CONTENTS OF THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 OCTOBER 2025
Page
Report of the Trustees
Statement of Financiol Athtses
Balance Sheet
Notes to the Financial Ststements
4t05
Detailed Ststement ol Financial Acb'vthes

FLEXIBLE LEARNING CENTRE FOUNOATION
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31 OCTOBER 2025
IIw4. Itijslees 11(es&'iil 11)L4ir ieijoil Iiilli Ilie Iinancièl sialernen15 01 Ihfr cloiily lor Ihe lear p.ndoil .1 oc1￿01 r
2U2j Tlie Iiusiees hav¢. a￿oI)led the prov15ions ol Ibe Slalemeni ol Recommpncled Piacli*è 'SQl<>J
'Accounl>ng aiirt Repoiliiifj by Lliwilies. le¥leclive 1 JansJa¥y 20151
REFERENCE AND ADMINISTRATIVE DeTAILS
RegislerÉd Charity number
1169758
Prittclpthl addross
23 All Sainls Road
8irminghJ
Wesl Midland5
B185Q8
Trustoe$
M5 Sharnlm Akhlar
Ilr Majid Raza
MrArshad Mahmood
STRUCTURE, GOVERNANCE AND MANAGEMENT
Govemtng document
The ¢haTrly Is Gonlfolled by ils govemln9 document, a 6eEd of liusi, and wnslilknleS an unincorp?ra*ed
¢harily.
Risk management
Th& Iruslees have a duty io identify and revlew the nsks to which the charity is expD$ed and to ensufe
appropftale controls ar8 ifi place to provKle reasonablè as5uMncè aga￿1$1 fraud and er¥or.
OWECTIVES AND ACTIVITIES
Objcctsves 2nd aims
The ffl8￿n charitable objeclives being:
1. The advancgmenl ol eduGallon lor Ihe publi¢ benefit by..
al The provision ol accredited iraining uurses for particulaty young peoplè byl noi exclu%ioely y¥￿￿n4
offenders and youlhs nL¥t in education, ernploymenl Dr Irainlng needs.
bl Tr3inin9 and educa150nal 5UPPQrt lof adulls who are DDI in education Of e.niploynièni i,,'ho are
receiving specific benefils from tho $lale or who would noi otherwise bc Ablè io afford edycati)n lo
advance their opportunities lor ecofiomic and financial slabtlity
2. Thé advancemenl in life of children a99d 13.16 who reside within S miles of 8iiininghDm and are
excluded lor al risk ol belng exdudedl from malnstream eduralion and come from economi￿llY Jr,d
finanrjally depTrved bockgfouDd by pFovKllng advice, a$$islasKe and progfamn)È5 01 activities as a
neans 10 devolop their $kills, c8pB¢ilies and capabilitie$ and ènable ihem ta partiejpaie In Socioty as
kndependenl. m81ure and ffspon$lble iodividuals.
ON BEHALF OF THE BOARD:
MS SHAMIM AKFrrAR- TA>sle#
2Tr Au9usI 2026
Page 1

FLEXIBLE LEARNING CENfRE FOUNDATION
STATEMENT OF FINANCIAL ACTIVITIES
FOR THE YEAR ENDED 31 OCTOBER 202S
2025
Unrestricted
fvnds
2024
Un￿$t￿¢ted
lunds
Notes
INCOMING RESOURCES
Incomlng resourees from g•nerat8d
fvnd5
Voluntary income
8,500
g,CQQ
RESCOURCES EXPENDED
Costs of generating fund$
Costs ol generating veAuntary income
10,777
8.646
NET IOUTGOINGIIINCOMING
RESOURCES
12,2771
354
RECONCIUA TION OF FUNDS
Total funds brought forw•rd
11,0601
11.4141
TOTAL FUNDS CARRIED FORWARD
13,3371
11,0601
The notes form part of these linancid Slalements
Page 2

FLEXIBLE LEARNING CENTRE FOUNDATION
BALANCE SHEET
AT 31 OCTOBER 2026
2D25
Unrestricted
hjnds
2024
Unrestricted
nds
Notes
CURRENT ASSETS
Cash at bank
13
1.715
CREDITORS
Amounts fallirrfJ due within one year
13,3501
12,7751
NET CURRENT {UABIUTIESIIASSETS
13,3371
11,0601
TOTAL ASSETS LESS CURRENT
LIABILlllES
13,3371
11,C601
NET IUABILITIESVASSETS
13,3371
11,0601
FUNDS
Unrestrided funds
{3,33n
{1.0601
TOTAL FUNDS
13,3371
11.C601
The financi81 statements were Approvgd ty the BoaTd ol Trustees +Jn 27YTh August 2026 and were signed on
its b8haK by.
MS SHAMIM AKHTARI-Trustee
The nole8 fom part of these ffinanclal st*eTllents
Page 3

FLEXIBLE LEARNING ¢E￿Re FOUNDATION
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 OCTOBER 2025
ACCOUNTING POUCIES
Accountlng convention
The financial statements have been prepared in a¢cL￿dance wth A¢county'ng and Reporti￿ by
Ch81ities.' Statement of Recommended Practice applicable to charrties preparing their acwunts in
rdance with the Finan¢ial Reporting Standard IFRS1021-charities SORP (FR1021 leffe¢tive 1
January 20151, and the char￿"eS Ad 2011.
Incoming resources
AJI incoming resources ar8 induded on the Statement ol Fin8nclal Adivthes vh)en the charity is legally
enliued to the income and the amount can be quantifi8d with reasonable accuracy. There was no
Income generated durirs the year.
Resources expondod
Expenditurè is accounted for on an accruals basis and has beer classified under headings that
aggregate ejl cost related to tha category. Where costs cannot be diTectW attributed to particular
h$ading5 Ihey have been allocated to activits"e5 on a basis cDn5iStent wth the use ol resources.
Taxatlon
The charty is exempt from tax on charitable actimties.
Fund accounting
Unrestrict￿1 lunds can be in ￿¢OrdanCe wrth the charitable obj'ective3 at the dI￿ration ol th¥
trustees.
Restrided funds can only be used lor par￿C￿lar restricted purposes ¥rtthin the object5 of the charity.
Restrictions arise when sP￿￿led by the donor or when funds are raised for particular re5triGted
purpos?s.
Furth81 exp18nation of the nature and purpo58 01 each lund Is Included in th¢ notes to the finan¢i81
y18te￿nI$.
COST OF GENERATING VOLUNTARY INCOME
202S
2024
Heat and light
Rates and water
Rep8irs and renewals
SuprArt costs
42
5.130
2.700
2,￿5
19841
6,c￿l
1.e03
10.777
8.646
TRUSTEES. REMUNERATION AND BENEFITS
There were no trustees, remuneration w other benefits for the year ended 31 October 2025.
Tru5ts0$' Exponses
There were no trustees, expenses paid for the year ended 31 OGtober 2025.
The notes form part of thes8 finan¢ial slatemenis
Page 4

FLEXIBLE LEARNING CENTRE FOUNDATION
NOTES TO THE FINANCIAL STATEMENTS- CONTINUED
FOR THE YEAR ENDED 31 OCTOBER 2025
CREDbTORS'. AMOUNTS FALLING DUE IIITHIN ONE YEAR
2025
2024
Other uedilors
3.350
2,775
MOVEMEKf IM FUNDS
Nel
rnovernent in
At 01111124
funds At 31110125
Unrestricted funds
General furKI
11,0601
12.2771
13,337}
TOTAL FUNDS
3,337
Net movement in funds. IndUd￿ In th¢ above are as follows..
In¢oming
r$sources
ReSoUr￿S Movement in
expended
fundg
Unrestrlcted funds
General lund
8.500
110,77n
12,2771
TOTAL FUNDS
8,500
10.777
2.277
The notes form part 011hese financial 318tements
Page 5

FLEXIBLE LEARNING CENTRE FOUNDATION
DETAILED STATEMENT OF FINANCIAL ACTIVITIES
FOR THE YEAR ENDED 31 OCTOBER 2025
2025
Unrestricted
funds
2024
Unrestricted
fvnds
INCOMING RESOURCES
VolLtntary Income
Donation5
8,500
9,000
Total Incoming rtstsurces
8,500
9,000
RESOURCES EXPENDED
Costs of genera￿n9 voluntary Incomg
Heat and light
Rates and water
Ropalrs & r•new815
Support eosts
Flnan¢e
B8nk charg&s
others
Accountancy and legal fee$
Motor Expense$
Sundry Expenses
42
5,130
2,700
1984}
6.061
1,603
79
575
2,053
198
575
1,322
Totsl resources gxpended
10,777
8.846
Ngt In¢omel{Expendlturel
12,2771
Thi$ page does notform part olthe 5t8tutory financial statements
P8ge 6