TRUSTEES ANNUAL REPORT FOR THE PERIOD 1° Aprll 2023 to period end date
31° March 2024
Charity Name; Health Employment Skllls Hub
tharlty Reglstration Number: 1174710
Objectives and Acilvlties:
The prevention or relief of poverty all around the world by providing qrants, items and 5ervi¢es to
individuals in need5 andlor charitie5, or other organisations working to prevent or relive poverty. He
Charity is always looking to work wlth local, national, and international partners to deliver Its objects
as set" ¢￿t in the constit.ution but lias not. been operating effectively due t.o budget and'lack of
funding opportunities to dellveT activities. Movin8 forward we will continue to actively seek
opportunitle$ to partner local and nattonal orqanisatlons to dellver to the most vulnfjrable in society.
Summ•ry ol maln artivltles undertaken.
We have not had the opportunity to deliver any major arttvities in this financial period but wil
contfnue to look to engage with agencles, volunteers, and relevant key 5tskeholders to Increase our
acttvity, awareness as a charlty to dellver our objects. We are aware the need for new partners. We
artr¢urrentlyalg0.lookln¢ ttr
Flnandal sltuatlon- brlef summary of reserve5
We are still in our 'young years, lconsldering the challenglng perlod with during and post COVIDI and
weresrantedchar.ity r•glstraUon.inSeptembw 20L7.Ow hncom&andexpendltur,&hawnotchanged
from period 0110412023 to 3110312024.
Our cash funds were £52, there were NO other receipts, asset and Investment sales, payments,
monetary assets, Investment J5sets, Ilabilltles. There Is no deficlt.
Tha Trustees. wJdarstandandar,8 lookin&tnwarAlschangin&this ￿tUatiONs0th3lW8CaTh maka
progress and create a mu¢h more stable platform and deliver our goals as a charity to the wider
communlties that need support. We hope to create a partnership wlth other stsble charities whieh
will create stability for ourselves, especially. in a period of uncertainty.
Trustee Remuneratlon & Related PartyTran$artlon$
No members of the management commlttee received any remuneratlon during the year.
No trustee or other person related to the charity had any personal interest In any contract or
transaction ertered Into by the charity durlng the year.

Organisational Structure
The Charity has a 4 charity trustees who manage the committee and meet quarterly and are from
varlety of Prof￿10￿al backgrDund&.Thetr.U5t￿ar.e r&5ponsiblefor. thastratsgicdir.ection.and
policy of the charity. We are alway5 looking for volunteers to support with any activities. The 4
members all have voting r￿hts.
Re9ponslbililie>of themanogement Commltte
It is a requirement that the Management Committee prepare financial ststements for each
financial year which gives a true and fair view of the state of the affairs of the charity as
atthe balance sheet date and of its incoming resources and application of resources, including.
income and expenditure. for the financlal year.
In preparing those financial ststements, the management committee should follow best practice:
l} select suitable accounting policies and then apply them consistently.
2) make judgements and estimates that are reasonable and prudent.
The Management Committee is responsible for maintaining proper accounting records which
disclose with reasonable accuracy at any time the financial position of the Charity- The
Management Committee is also responsible for safeguarding the assets of the charitable company
and'hence for tsking reasonable steps for tlie prevention and'detection offraudandother
irregularities.
As trustees we are always open to look at getting better at what we are doing and looking to get
involved with workshops that are offered by the Charities Commission and partners around Risk
Management, where appropriats, systems or procedures have been established to mitigate the risks
the charity faces and avoiding any external risks to funding to allow diversification of funding and
activities.
Board of trustees as at 14 January 2025:
MrTariq Khan
Mr Tariq Ali
Mrs Sonya H Ali
Ms Salaha Shabir

CHARITY COMMISSION
Ils
Receipts and payments accounts
CC16a
' Pvrlhe'peTlrrttr .
from
01
Section A Receipts and payments
Unrostrfcted
fvnds
t• lh• r*aFo•t
Restrlcted
I￿nd
Endowmgnt
funds
Last year
Totsl funds
Al R¢¢¢1 ts
Sub total(Gross income tor
AR)
A2 Asset and Invgstmgnt sal•&
(see tablel.
Sub totsl
rotal rn¢8lpts
A3Pa
Ui) iOTal
A4 A5S0t and Inves¢mgnt
urcha50S.
¥•• tsbl•
Sub tatal
Not Ofre￿Ipts/fP&ym￿tsJ
A5 Transtets belw•vn funds
A6 Caoh fund8 last￿aT and
Cash fund5 thh year end
CCXXRI ISSI

Section B Statement of assets and liabilities at the end of the period
Unrè5trltt•d
funds
fo n•4rnSt£
Restrlcted
funds
l• n••roeff
Endowmont
fund#
rotal cash lunds
Unre8triGtsd
funds
R￿tricted
funds
to neamst e
Endowrnw
funds
to ng3re¥t£
Fund W*hl¢h
aBHt bo10
Curr•ThtwhJ•
C•o¢i•ptlonill
Fund to whl¢h
agBet belo
c09tlo￿o￿alI
CuThontvalue
oTra
B4 Assets retalned for thè
¢harltys own use
Fynllto whlch
l&te8
wtrt thje
Vlh•tt duD
B5 Liabilities
SvJned by on• or Iwo InJste98
b•hollolall the Iru81888
Slgnatur&
Print Narn¢
Date of
rt)vo1
CCXX R2 atcounts ISSI