Charlty No: 1177125
IN SAFE HANDS RECOVERY HOUSING
REPORT AND FINANCIAL STATEMENTS
For the year ended
31" March 2024

IN SAFE HANDS RECOVERY HOUSING
corirENTS
Legal and administrailve informatlon
Trustè88 Reports
Independent examlnevs report
statement ol financlal aGlivities
Balance sh901
Notss to the flnanclal stat￿ents

IN SAFE HANDS RECOVERY HOUSING
LEGAL AND ADMINISTRATIVE INFORMATION
Reglstered Charfty Name
IN SAFE HANDS RECOVERY HOUSING
Charlty number
1177125
Trustees..
Henna Butt
Rachel EIEabeth Adams
Reul8tered Offlce
80 Wells Green Road
Solihull
We51 Mhllands
B92 7PQ
Accountants
MNSK Limlted
2(￿ R¢)bin La
Hallgre8n
BimirvJham
Wesl Paidlands
B28 CLG

IN SAFE HANDS RECOVERY HOUSING
Trustees reEM)rt
for tho year ended 3111 March 2024
NNUAL REPORT OF THE TRUSTEES for the
The trusteès preS￿t their annual ￿p(￿l together with th2 financial statements for the year ending 31.
March 2024. Thelruslees wtK) serveAI during the perhyj and up to the dale of this retKJrt are on page 3.
ear endin
31•t March 2024
stNcture and detslls of how cha
We are a Charitable Incffj)orated Organisali)n (CIO) and ourteam consists of.. two trustee8. one
addiction consultant part tim& paid. thrth memtrms of slaff incKJdI￿j Rachel Ad9ms truste8,
addKtion consuttantvolunteer.
is man
ed and Trustse recruitm
Mana
ement roles and
The team have varying roles. in additron to 8 numb8r of shared duties SLKh as financial record keeping,
r￿rd keeping of the residents. mainl8nance of accommthlab'cfi, applying for funding, and the support
and supervision of our Servi￿ users are in r￿0very.
W8 pfovKle our Sewi￿ user5 Wfth lo￿1 and dothing. ￿ provide their familes with essential household
it￿S such as toiletries and baby items. We realised that th8 families of our sefvice users were finding
dfficutty in making e￿15 meet due to redLKed incomes whilst Servi￿ user5 were in r&oV￿. Th8
team are on to provhje oui of hours support for th8 resNJents who may ne&J extra sUpp￿t in a
crisis.
ro¥lded
Recrultrnont
W8 hav8 employed kn new wothers who share responsibilit￿ wiihin the accoThThJdation. They have
nlegraled exceedingty well with the rest ef the team aThJ are fully aware of the needs of the residents
and their families.
Ives and Charltable Pu
We continue to Cary out the WO￿ of the chty and hxa ￿¥￿nunT￿ in prov¥Jing WAnmodal￿n and
support to our resKlents as they from *Jd￿￿On. We a150 aim to support the w#Jer famity units.

IN SAFE HANDS RECOVERY HOUSING
Tntstees Yeport
for tho year ended 31•t March 2024
bllc benefft
We have taken the commission's publ￿ bet*fft guKlanGe into account when making any éeci8ion it is
rekvanl to, this has been athEved by corknt oversKJht and transparency IhrougFK)ul the woth of our
team.
Many of our ex-re8idents have gone on lo aceess therr xccfflrrKsdation and are now in
eryloyment, relath)nships have been repair￿ and families reunita with their now C￿an and sober
partners, parents. and child￿n. Clients Ihal have requirwj more intensive interventions have been
8ignpo8led or rEferred lo Rehabiltsknn Cenlres to recover frc*n th￿r addictiC4)s and others encouraged
to b8 priFactNe in their quesl for an a￿d￿tiOn free lifestyle. We are aL%o on hand to assist those not In
our accommodation with advice on where they y￿11 be best FAaced to start orcontinue with thè
le￿Very and we never turn anyone in need away.
Flnanclal revlew Includin
debts and details of
our reseryes
Ilc
Ilcabl
Funding of £138.212
No funds are held a5 a custodian tntst88

IN SAFE HANDS RECOVERY HOUSING
Independgnt examlnevs. report
for the year ended 31StMa￿h 2024
Inde
ndent examlner's re
HOUSING"
I report to the trustees on my eXaMinat￿n of the a(Lounls of IN SAFE HANDS RECOVERY
HOUSING for the year end￿ 3110312024. whtch are set out on pages 9 to 11.
rt to the Trustees of 'lN SAFE HANDS RECOVE
Responsibilitles and basis of report
As the charity tvjstees crf the Trust, yw are Tesponsble for the preparation of th8 accounts in
ac￿rdance with the requirements of the Charilw Act 2011.
I f8rx)rt in respect of my exanynation of the Trustee's ￿OuntS Ca￿￿d out under section 145 ofthe
2011 Act and in (arying out my examination I have foll(ThvèJ all the applIC￿)le Directions gtven by the
CharTty Commission und8r ￿t￿)n 145(5>lb) of the 2011 AGL
Independent examlner's statem•nt
I have Cornp￿ted my exanination. I wnfirm that rK) matetial matters have CLxn8 to my attention in
connection with the examination gMThJ rr* cause to bdieve that in any material respect".
accounting records were not keFt in reS￿t of the Trust as requir&J by sedion 130 of the Act: or
the acwints do rnt ￿0rd with thosa r*)xds.
I have no ￿l￿emS and hove ccme rbj other matters in connection wrth the examination to
which attention should be (JraAm in this rewt in ordw to ￿na￿e a prc*)er understanding of the
accounts to be re&hed.
MNSK Limlted
2C6 Robin H(>)d Lane
HalkJreen
Bimiingham
West MidlarKIs
B28 OLG
Date:

IN SAFE HANDS RECOVERY HOUSING
STATEMETrrf OF FIMANCIAL ACTIVITIES
for the y￿r ended 31•t March 2024
Unr•sthct•d
Funds
2024
Unr•5td¢ted
Funds
2023
In¢omlng r•$ourc•¥
InGomlng regourc08 Irom
n•ratèd fundb
Charftsble activ￿￿5
138.212
126,055
Totsl fncornlng r•80UfC
138.212
126,055
Expendlturn on:
Chgritsblg odiwli95
Govemanc8 cost
140,939
1.320
112,288
1,320
T¢)tal re8our¢e8 expendgd
1412
113,608
Nel ln¢omlngllt￿tso1ng) rgsour
b•for• traMl•r8 for th• yèar
12.447
Gross transfers be￿n fvThJs
Not movomont In fund8
4046
12A47
Reconclllatlon ol funds
Total funds brought foThvard
12,203
12441
Total fund5 carrlod t0￿rd
8,157
11203
The statem8nl of financid actrvilies includes all gains 8ThJ kAses in the y8ar.
Al incc4ming resources and resources ey¥m¥￿d d8fNe fr(*n Ixnlinuing xtnilties.
The notes m page 9 to 11 fomi part of these financial statements.

IN UFE HANDS RECOVERY TrIOUSING
BALANCE SHEEr
A8 AT 31st Ilarch 2024
CuTr•nt ass•ts
OlheT debtc
Cash at bank and kn harnl
10.116
10,452
10,116
10.452
Cr•dlloTS: fft)unts lalliTrJ
wtthln orn y88r
{1,958)
1,751
N•t ourr•nt ass•ts
8.157
12,203
8.16T
12803
Unrestrtd9d fvnds
Restsicled funds
8,157
12,203
Totsl lunts
167
11203
The Charitsble Company Is enllw to 8X￿￿)n from under 477 of thè CwAni85 P
2Cth br y8ar ende4J 31AI Marth 2024.
Thfr member8 have not requlred the to an aKlIt of Its S￿ten￿lts fvx th8 &nd&
31* March 2024 in wah Swthn 476 ofthg Cowl8s fvLt 2rTh.
The trust￿ ack￿ th0￿ re$wn￿bll￿j8s tr.
{al Ensurlng thatlhe charitable kneps ¥th￿lIng bvThJs thatC4)nptywrth SwAkJn8 3888nd
387 ofthe C(Mnparues 21x6
(bl woparfng fina￿1￿1 statemntsvthrh gfve 81nJe arwj fatrvknv ofth9 Stato ofaffalrs ofth8 charfiabla
as at the and ofeth finan¢ig1 year of tis sU￿u5 order￿lIf0r6ath flnanckgl yo&r In arLThda
with tho requtrrnts of SediLTh 394 395 and whlc* corrpty wlth the r9qulr8m8nls
of the Comr￿nieS Act 20￿ to siatem8nts. So far as appikAbb to the tharltab
Th8se flngncial Statèm￿ In wlth Iho speoal of Part 15 of
3o....o..1.:,2o..2S. WMI w9fO
The flnanc￿l states w￿e the Bowd (* TnJstee8 on .
nad on its behall by:
Henn8 Butt

IN SAFE HANDS RECOVERY HOUSING
NOTES TO THE FINANCIAL STATEMENTS
for the year ended 31st Mar¢h 2024
Summary of signiflcanl accountlng poll¢lès
(a) Gènèral Inforniation and basls of preparallon
In Safe Hand R￿0Very Housing k8 regL%tered charty in United Kingd(￿. In safe hand8
r￿Very housing charity offering I￿)Sewh0 sufferfrom addiction, on the edge ofsociety, being
home￿$8 and Vuln￿able a safe pLgce to INe. Support to stay off drugs and alcohol, enabling
indwidua15 to build 8 pffxluctwe lifestOe by engaging in thilEs to help in budgeting,
shoppirtsJ, I￿ar(hY eating, r&JistratK>n with thyAors. a5SlStanc8 tr) rroinlain a home and
education.
The Charity consif(utes a publ￿ be[￿ ertity a5 defined by FRS 102. The financial slatements
have been prepared in accord8nce wilh Accounting and Reporting by Charibes.. Statement of
Re￿MMend￿j Practicg apP1Kab￿ to chariknes weparing th￿r accounts in accordance wth
the Financial ReFOrting Standard awlicabb in the UK and Republic of Ireland IFRS 1021
IS8ued on 16 Juty 2014, the Finanaal Reporting Standard applicab￿ in the Uni18d Kingdom
and Republic of Ireland IFRS 1021. the Compan￿$ Aci 20C6 and UK Generally Acc8pted
Practice as it applies from 1 January 2015.
The finarKial staem8nts are preparwj on 8 goHW ¢0￿M basis under the historral cost
convention. The financial statem8nls are prepared in sterling which is the fJn¢th?nal currency
of the charity aNJ rOur￿¢d lo the nearest £
The charr(ab￿ ccrtnP8ny has tak￿ advantage of th8 twtion provided in SORP IFRS102110
use headings in the Statement of Financial Acbvty that applicable to f(5 operations rather
than reporting on an actNty basis.
(b) Funds
Unreslrict&J funds arFJ available use at the discretion of ts Iru$tees in furtherance of th8
general 0*'￿t￿e8 of the charity and vthich have not been designated for other purposes.
RestriCt￿j funds are funds which are to be usod in accordanoe with specrfic restrictions
iwosed by donors orwhich have teen raised by tha charity fcf part￿Ular purposes. The cost
of raising and administering such fund5 are charged against Ihe spectfic fund.
(c> Income recognltlon
All incoming resources are i￿luded in the Statement of Financial Activities (SOFA) when the
¢harity is ￿allY entiued to the ir￿C￿e after any perf0mlar￿£ condibons have been mel, the
am¢￿nI can be measurgj relkabty. and probab￿ that the income will be recewed..
Idl Exp•ndltur• r•eoynltlon
l eyNliture is accounted for on an ￿rualS basis and has been classrf￿d under headings
that aggregate all costs related to the category. Expendf(ur8 is rwnisèd where there is a
legal or constructive obliga￿n to make payments to third parties, it is probable that the
Sett￿ment will be required arKI the mnt of the c+J1￿￿ati0n can be measu(ed reliab￿.

IN SAFE HANDS RECOVERY HOUSING
NOTES TO THE FINANCIAL STATEMENTS
for the year onded 31Bt March 2024
{•) Support co¥ts allocation
SuprK)rt costs are ttrh)se that aS￿$t th8 of the charity but do not directty represent
charitable &tivities arKI incI￿le ofts costs, governanrR eosts, and administrative payroll
osts. They are incurred directty in support of expendibjre on the ot¥ects ofthe charity. Where
SUPPK)rt costs cannot be directty attrilxjted to partrAJlar headings th8y have been althaled lo
Jst of raising fiJnd6 and 8X￿ditUre on charitable &*Nibes on a basis constslent ¥wth use of
the resour￿$.
{fj Going concorn
ThefinarKÉal statements have been prepared on a g(xng con￿rn basis as Ihetrustees believe
that no material Un￿rtaIntieS exist. The trust885 have consKlered the level of funds held and
the expected level of inc¢)me and expenditure for 12 months from aulhorising Ihese financial
stslements. The budgeted income and eyFenditurp is sufficient with the level of reserves for
the charty lo be ab￿ to wntinue as a goiTrJ concem.
Analysis of Incomo
2024
Total
2023
Total
Unrnstricted Restsictsd
Funding
138,212
138,212
126,055
Totsl
138.212
138.212
126.055
Analysls Of Expenses
2024
Total
2023
Totsl
Unrnstrictod Restrlcted
Wages and salark88
Council t8X
other direct cost
Ratgs
Rent
TV LicenGe
Telephone
Repairs
Insuran
Lighl & Heat
Subscription
Accountancy & other professvJnal fees
25.763
2,284
25.763
2.284
20,546
4.745
59,173
358
1,317
11,813
24.800
1,835
15,269
1,174
54,450
318
905
4,745
59,173
358
1,317
11.813
2,549
2,229
1,942
7,294
10.232
1.605
3.839
10,232
1.605
3,839
Totsl
142.258
142.258
113,608
10

IN SAFE HANDS RECOVERY HOUSING
NOTES TO THE FINAMCIAL STATEMEprrs
for the year endod 31¥t March 2024
Employè8 Infomiatlon
2024
2023
Staff costs
Wages and salaries
25.763
24.800
25,763
24800
2024
2023
No.
AVer￿e number crf employees employed during
Admlnlstratlon
No expenses were pa*J to trustee5 in the year.
Creditors: Amounts falling duo wlthln one year
2024
2023
13,808)
2.057
Accruals
PAYE payab
1.958
1,958
1,751
Controlllng party
The charitable company is under the contrd of the Board of Trustees.
li