Charity No: 1177125
IN SAFE HANDS RECOVERY HOUSING
REPORT AND FINANCIAL STATEMENTS
For the year ended
8t
31 March 2025

IN SAFE HANDS RECOVERY HOUSING
CONTENTS
Legal and admlnlstratfve Inlomiation
Trustees Reports
Independ8nt examiner's report
Statement of flnanclal actlvltles
Balance sheet
Notes to the linancial statements
9-11

IN SAFE HANDS RECOVERY HOUSING
LEGAL AND ADMINISTRATIVE INFORMATION
Reglstered Charity Name
IN SAFE HANDS RECOVERY HOUSING
Charity number
1177125
Trustees..
Henna Butt
Rachd ElrLabeth Adams
Sabrina Malik
Reglsterod Offlce
364 Shidey Ro>
Acocks Green
Bimingham
West Midlands
B27 7NS
Accountants
MNSK Limited
2(￿ Rthin HI￿d Lane
Hall Green
Bim)ingham
Wesl Midlands
B28 OLG

IN SAFE HANDS RECOVERY HOUSING
Trustgos report
fortho year endad 315t Ma￿h 2025
ANNUAL REPORT OF THE TRUSTEES forthe
8ar endin
315t March 2025
The trustees present their annual report together wth the financial Stat￿￿entS for Ihe year ending 31°
arch 2025. The trustees who served duting the p￿ and up to the dale ofthis reF)Ort are on page 3.
structure and details of how cha
is mana
ed and Trustee recruliment
Vve are a Charitable Incorporated Organisalion ICIOI and our team ￿nsIstS of.. three trustees,
one addiction consuttanl, four members of staff and orE voluntsw.
Mana
ement roles and setvlces
rovid
The team have varying roles, in addrtion to a number of shared duties such as fina￿la1 record keeping.
main18nance of 8¢cOmr￿)dation, applying for funding, and the support and supervisKJn of our residents
and service users who are in recovery.
The addiction consultant is responsible for the programme of addiGtson recovery. working wf(h the team
to help the residents lo stay in sobriety.
We provide our seryice users with food and clothing. We a150 provide their families with essential
household items such as toiletries and baby items. We realis&J that the familie5 of our seNice users
were finding difficulty in making ends rn￿1 due lo reduced Inco￿￿$ whilst our seNiees users were in
recovery. The team are on rota to provhle out of hours suppcwt for the resKJ8nls who may need extra
support in a crisis_
Rècrultment
We now have four members of staff who share the responsibilty for tho support of our residents. They
are experienced in addiction recovery, and are fulty aware of the needs of the r8sid8nts ar￿ their
lamilie8.
Adivities Ob'ectives and Charttab16 Pu
We continue to carry out the work of the charity aTrJ Wl corniunty in provMJitvJ food, essential items,
SUPP¢)rt and accomm¢Jdation to ¢JJr residents arKI tF*ir faMil￿S as they recover from add￿lOn. We are
also includiThJ education forthe resklents in computer. maths and Engltsh conyelerw.

IN SAFE HANDS RECOVERY HOUSING
T￿￿teeS reFK>rt
for the year ended 31￿ March 2025
Achlevements and Perfomiance Includin
We have taken the Commissi(￿.$ Publ￿ benefti guidancp into account when making any decision il is
relevant lo. this has been achieved by constsnl oversight and transPare￿Y throughout the work of our
team.
ubllc bènefit
Many of our ex-residents have gone on to aws their aec0mmdat￿n and are now in
employment. relationships have been repaired ané famil￿ reunited with their now clean and sober
partners, parents, and C￿"￿￿ren. Cl￿nts that have required rrKJre intensive interventions have been
signposted or referred lo RehabilitatK)n C8ntres to recovèr from their addictions and othors encouraged
to be pr¢>aclive in their quest for an free lrfestyle. We are also on hand to assist those not in
our acc(xmmodalion with on where they will be best placed to start or continue with their
recovery and we never lum anyone in need away.
We have opened eight houses as the need for addiclK)n support accommc*JatÉon wntinues to grow
within the community.
Flnancial revlaw Includln
an
debts and details of our reserves
ollc
licabl
Funding of £268,930
No fvnds are hekl a5 a ￿$¢c>￿I?n trustee

IN SAFE HANDS RECOVERY HOUSING
Independent examiners, report
for the year ended 315t March 2025
Inde
endent examiner's re
HOUSING"
ort to the Trustees of 'lN SAFE HANDS RECOVERY
I report to the Iruslees on my examination of the accounts of IN SAFE HANDS RECOVERY
HOUSING for the year ended 3110312025, which are sel out on pages 9 10 11.
Responsibilities and ba$ls of report
As the trustees of the charity, you are responsible for the preparation of the accounts in accordance
with the requirements of the Charities Act 2011.
I report in respect ol my examination of the Iruslee's accounts carried out under section 145 of the
2011 Act and in carrying out my examination I have followed all the applicable directions given by the
Charity Commission under section 14515llbl of the 2011 Act.
Independent examlnerfs statement
I have cornpleled my examination. I confirm that no material mallers have come lo my attention in
connection with the examination giving rne cause lo believe that in any material respect..
accounting records We￿ not kept in resped of the trust as required by section 130 of the Act,. or
the a¢counls do not accord with those records.
I have no concerns and have come across no other matters in connection with the examination lo
which allenlion should be drawn in this report in order lo enable a proper understanding of the
accounts lo be reached.
MNSK Limited
2Q6 Robin Hood Lane
Hall Green
Birmingham
Wesl Midlands
B28 OLG
Date..
Lg11 lo

IN SAFE HANDS RECOVERY HOUSING
sTATEmEp￿ OF FINANCIAL ACTIVITIES
for the year ended 31￿ March 2025
Unrestri¢tgd
Funds
2025
Unrnstrictsd
Fund8
2024
Ineomlng resour¢e8
Ineomlng resou￿¢3 Irom
gen•rat•d funds
Charitable activth'es
268,930
138,212
Total incomlThJ rosources
268,930
138,212
Ex￿ndI￿r0 on:
Charitstrle ath"Ir*es
Govemanc£ ￿st
218,050
1,320
140,939
1,320
Totsl r•8oureo9 •xpond8d
219J70
141258
Net incomingl(outgoing) rg¥ourco8
before transf•ryJ for y•ar
49,5fj0
14,0481
Gross transfers befv￿en fvnth
Net movement In fund¥
140461
Rgconclllatlon of funds
Total funds brought forward
8,157
12,203
Totsl funds carrlod lop￿rd
Fl,717
8,157
The State￿nI of financrdl ￿l¥￿Ie5 indudes all gains and losses in the year.
All incoming resources and resourc8s exp8nd&l derive from &)ntinLFing actwities.
The noles on page 9 to 11 fomi part of these financial slat8mgnts.

IN SAFE HAN03 RECOVERY HOU81NQ
DALANCQ 8HeET
AS AT Jt" M•fch 2028
1024
Nolo
Curr¢nl t4s50ts
Cash al l)8nk and In h8nd
6D.653
10.118
60,653
10.116
Credltors: amounts f￿1
Due ￿thIn one year
(2.936)
(1.959)
Nèt curront ass•ts
57.717
8,187
Net assats
67,717
,157
Ropresènted by:
Unrestiicled fiJnd8
Restricted fijnds
57.717
8,157
Total funds
$7.7t7
8,157
Charft8ble Company Is entiued lo eXernpti￿ from atvjtt wd8r S¥tlon 477 ot the Companles Art
2006 for year ended 3111 IAar¢h 2025.
Th$ member5 have not Tequlted the o)mpany to obtaln an audit of its fmanual ststements forthe ended
3181 March 2025 In accordance vthh S8cVon 476 ofthB c￿ Act 2006.
The trustees acknowledge their respcML5ibifrties for.
la) Ensuring that the charilatAe ¢oryary keeps accou￿1r9 ￿cOrdS that ¢Oryly wlth Secbor£ 386 and
387 oflha CoMpar￿e$ Act 2006 and
Ib) preparlro Inanual stslements whith ghe a true arKI fatr IfjV•V of the slate of affalrs of the charttable
as at the end of each ￿nart￿al year and of its surplus or deficitfor each financtal year In accordanc
vllh the requirements of Sedons 394 and 395 and which 0￿￿￿Se compty wlth the requirements
of the Companlès Act 2CK6 relating lo ffinandal stalement8. So far as applbcable to the tharltsble
These ffinarKlal state￿nIS have been wepared in ac¢Ndanc£ with $peclal provl8lons of Part 15 of
the Companles kt 2006 relaliThJ to charflable small conwanks.
The financial stales were approved by the Board of Trusiees on
Signed on Its behalf by..
Trustee
Henna Bu
Trusteè
Rachel Ellubgth AAla
Trust•9
sabrina Malll(

IN SAFE HANDS RECOVERY HOUSING
NOTES TO THE FINANCIAL STATEMENTS
for the year ended 31st March 2025
Summary of significant accounting pollcles
la> Gen8ral Inforniatlon and basls of preparation
In Safe Hand Recovery Housing is registered charity in Unit￿1 Kingdpm. In safe hands
recovery housing charity offering Ihose who sufferfrom addidKJn, on the edge of society, being
homeless and vulnerable a safe pl￿￿ to live. Support to slay off drugs and akohol, enabling
individuals to build a productive lrfestyle by engaging in actwities to help in budgeting,
shopping. healthy 8ating, registrath)n wrth doctors, assistan￿ to maintain a home and
education.
The charty constitutes a public beneffl entty as define(I by FRS 102. The finaneial statements
have been prepared in ￿0rdarIce wrih Accounting and Reporting by CharV(ies". Statement of
Recommended pr￿ts"ce applKable to chartiies preparing their accounts in accordance with
the Financial Reporting Standard applicabk in the UK and ftepubI￿ of Ir8land IFRS 102}
issued on 16 July 2014, the Financial ReFKSrting Standard applicab￿ in th8 Unlced Kingdom
and Republic of Ireland IFRS 1021. the Companies Act 2006 and UK Generally Accepted
PraCt￿e as il applies from 1 January 2015.
The financial statements are ptspared on a going concern basis under the historical cost
convention. The financial statements are prepar&1 in slerling wh￿h is the functv)nal currency
of the charity and rounded lo the nearest L
The charitable company has laken advantage of the option provided in SORP IFRS102) to
use headings in the Statement of Finan￿1 Activity that are appluble to its operations rdther
than reporting on an a¢t&vity ba5t5.
Ibl Funds
Unrestricted funds are available for use at the discr81￿)n of the Iruslees in furtherance of the
gèneral objectives of the charity and which have not been desvJnated for other purwses.
Restricted funds are funds which ar8 to be used in accordance wf(h specific reslriclions
imposed by donors or whKh hav& tr£en raised by the charity for partKular purposes. The cost
of raising and ￿lMinIstering such ftJnd¥ are charged against the specrfic fund.
(¢1 In¢om• rn¢ognltlon
All incorning resoums are includ&1 in the Slaterrent of Financial ActNities ISOFAI whon the
charity is tegally enlitled lo the income after any performance conditions have been mel, th8
amount can be measured reliab￿. and it is probable that the income will be ￿è1Ved..
(dl Expendlknre recognition
All expenditure is accounted for on an accruak basi8 and has been classified under headings
that aggregate all costs related to the category. Expenditure is recognised where there is a
legal or conslructNe obligat￿￿n lo make paymenls to Ihird parties. il is probable Ihal the
settSerrenl wtll be required and the amount of the oblijation can ￿ measured r8lk4bly,

IN SAFE HANDS RECOVERY HOUSING
NOTES TO THE FINANCIAL STATEMENTS
for the year ended 31•t March 2025
(01 Support costs allocation
Support costs are those that assist the work of the charity bul do I￿t directly represent
chafjtsble activrties and inctude office costs. govemance costs, and adminislralive payroll
costs. They are incurred directly in support of expenditure on the objects of the charity. Where
support costs cannol be directty attn"buled to part￿ulaT headirMJs they have been alloc81ed lo
cost of raising funds and expenditUT& on Charrtab￿ ￿tiV￿leS on a basis consistent with use of
the resources.
In Going concern
The financial statements have I￿n ptepared on a going conc8m basis asthe trustees believe
that no material uncertainties eThl. The trustees have considered the level of funds held and
the expected level of income and expendifure for 12 months from authorising these financial
stalemenls. The budgeted income and expenditure is suff￿lent with the level of reserves for
the charty to be ab￿ lo continue as 8 g￿ng conc￿.
Analygls of Income
2025
Total
2024
Totsl
Unrestricted Re5tri¢ted
Funding
268.930
268.930
138,212
Total
268.930
268.930
138,212
Analysis of Expenses
202S
Total
2024
Total
Unrestrlcted Restrlcted
Wages and salaries
Council lax
Other direct Cost
Rates
Rent
TV Licen
Inlemel I broadband
RepaitS
Insurance
ght & Heat
Subscription
Accountancy & other professM)nal fee6
29.8(
8,201
27,593
6,495
121,468
583
1.885
5.889
223
10,795
2,124
4,308
29,806
8,201
27,593
6,495
121,468
583
1,885
5,889
223
10,795
2,124
4,308
25,763
2,284
20.546
4,745
59,173
358
1,317
11,813
10,232
1,605
3,839
Totsl
219.370
219.370
142,258
io

IN SAFE HANDS RECOVERY HOUSING
NOTES TO THE FINANCIAL STATEMENTS
for th8 yèar endod 31°, March 2025
Employee Infommtion
2025
2024
Staff G05ts
Wages and salaries
29,806
25.763
29.806
25,763
2025
No.
2024
No.
Average number of empk)yees anployed during
the year..
Administration
No expenses were paKI to trustees in the year.
Creditors: Amounts falling due wlthln one year
2025
2024
PAYE payable
2.936
1,958
2.936
1,958
Controlllng party
The charitable company is under the control of the Board of Trustees.
ii