RegIste￿d number.. 10118266
WINSOR SKILLS TRAINING LTD
DIREcfoRS' REPORT AND
UNAUDITED ABRIDGED FINANCIAL STATEMENTS
FOR THE YEAR ENDED 30 APRIL 2025
Slgma Charte￿d Aceountant5
ICAEW
862-864 Washwood Trleath Ro¥1
8irn)ingham
West Mldlaads
B8 ?.NG

insor Skllls Trninlng Ltd
Contents
Company IrfomiatSon
Directorf Report
Accountant's Aeport
Profft Jnd Lom Accou
Abrfdged Balance Shoot
Nores to the Abrldgad Nn•ncl•l Ststrnts
Tht fdlowlThJ p4ges do nrt ftm p•rt ofth• St￿ •Cco￿ts:
TradlTrJ Proflt •r￿ LO8• Account

Winsor Skills Trninin9 Ltd
Company Information
For The Year Ended 30 April 2025
Olrectors
Mr Sarfarnz jogtrdar
Mr Mohammad Khèn
Mr Mohèmmad l(hèn
Compohy Number
IOll8266
25 Moat Lane
Bim)Ingham
West Midlands
85 5BD
Ac¢ountsnts
862.864 waShw￿d Mealh Road
8trmln9ham
W& MIdlar￿$
BB ZNG
Page I

Wlnsor Skllls Tralnlng Ltd
Company No. 10118266
Dlrectors, Report For The Year Ended 30 April 2025
Tho dlrectors present thelr report and the Ilnanclal statpJnents lor the year ended 30 Aprll 2025.
Dlr¢rtors
The. dlrettors who held office dumng the year were as follow8:
Mr Sarf¥raz Jaglrt1ar
Mr Mohammad Khan
Ststsmont ol Dlr•ctor•' R•¥pDn¥lbllltl••
The tjlfettots are responslble for preparln9 the Dlrectors. Report and the flnancial statements In ?c£ordJnce wlth appllcablo
law )nd regulatlons.
company law re4ulro8 thg dlrector5 to wewire fln4nclal statements for eath flnanclal year. undor thllt l)w the dlrcctors havo
¢locQd to prepare tho nnanclal statements In accordanco wlth Unltod Klnglorn Gènerally Acceptod Accountlng Practlcè
(United Klngdom Attounung stsndards ond app15c)ble lawl. Under company law tho dlrettDrs must not approve the fin)nclal
$t)ternents unless they are satlshed th4t they glve a true •nd lalr vlew of the stato of aff?Irs of rhe company Jnd of the pront
or Ins$ of the company for that perlod. In preparfng the flnandal statements the dlrertor5 are requlred to:
selert sultable •ccountlng pollcl¢s and thon Jpply them consl$tontlyi
• mèke lud4monts and ar.counUng estlmatos thbt aro reasonable and prude.nl','
prepare thE financlal statcmentg OTh the golThg ￿nCOM bjsls unlem It 55 Inappropdote to pr05ume that tho cornpJny
wlll contlnue in buslness.
Tho dlroctors èro rospon51ble lor koopln Jdequato a(counLlng rocor¢$ thot oro $umciEftt to show 4nd explain the compony's
transactlons and dl%¢.lose wlth reasonab
e accuracy at any tlmt the flnanclal poslLlon of the company and enable thern to
ensuro that the Nn8nclal statements CDmp1y wlth the Companles Act 2006. They oro also respon51ble for safoouardlng the
$$p.ts of the company •nd honco for taklng roason?bl• Stops for Lhe pr8vent5on and dotoction of fraud and tsihor
Irrenularftlo5.
Thft dlfectors ?re re%ponslblt for the malntenince and Int•grfty of the cory)¢)rnte and ftnanci•l Informarknn lThcluded ort the
company's webslte, Le9151atlon In th¢ Unlted Klngdom 9ovornlng the Pfepar4tton and dlssemlnatlon ol finonc*l statements
may dlffer from le9l$lJtlon In othor lurlsdlciions,
Sm•ll C•mp•ny Rul
Th1¥ roport h¥8 boon propared In accordance wlth the $peclal provlslons relatlng to comp•nlN Jubjoct ro thLi small companlos
regime ¥Ylihln Pèrt 15 of tha Companles Act 2006.
On hehall of the boprd
Mr Sjrforni. Jaglrdar
DlrLiCtor
2710212026
Page ?.

Wlnsor Skllls Tralning Ltd
Accountant's Report
For The Year Ended 30 Aprll 2025
In accordence wlth the engagement letter dated. In order to as*st you to fun your duifjes under the Companles Act
2006, we have Ctsmpi￿d the finandal 5tataiients of the corrywy from the attotsnts"n9 records ortd Inforn￿tiON and
explanatlons you have glven to us.
This report ts made to the dlrectors in accordance wlth tht ierm5 of our eThJJg￿nt. Our work has been undertaken to
prepare for approval by the threciors the flnandal 51atsments that we have been engoged to complle, to report to the
dlrottors that we have done so, and to stale those rrhitters that we hove agreed to state to them In this rwrt and for no
otho.r purpose. To the fvI￿St exterit Forrnltted by law. we do not ae¢Èpt or asgJrnc responsiblllty to anyone other than the
Company and the Compary's dlrectors for our work or Ivr thi5 ￿p￿t.
You have acknowlodged on tho balan￿ sheet as at year ended 30 Aprfl 202S your duty to ensure that the company has kopt
proper accourring rocords and to prepare finanoal xaternenrs thaL give a and fabr view under the Cpmpanies Act 2006.
You Cor￿￿￿er that thc company ts ex￿npr from the requIrem￿* for an for the yoar.
We have not been Instructed to carry Out an audlt of the financial statements. For this reason. we have not *rftled the
accuraty or cornpletttness of the accOun￿ng re£ords or Infonnation and explanatfions you have oiven to U5 and we do no¢
therefore, express any oplfilon on the financw 5tatemwits.
2710V2026
Slgma Chartered Accountants
ICAEW
862.864 washwopd Heakh Road
8lrmln9ham
West Mldlands
B8 2NG
p￿e3

Winsor Skllls Trainlng Ltd
Proflt and Lo$s Account
For The Year Ended 30 Aprll 2025
2025
2024
TURNOVER
Cost of sales
142,686
146,983)
L4,820
{8.5891
GROSS PROF
95,703
Admlnlstratlve expenses
Other operatlng Income
(212,756)
124,72S
(114,9431
97,138
OPERATING PROFrri(LOSS)
Inr¢rest payable and slrnllor charge5
PROFXTI{LOSS) FOR THE FINANCIAL YEAR
7.672
191)
111,5741
iioi
7,581
111,8Bdi
Tho notes on page 6 form part of these financlal statemerts.
Page 4

Winsor Skills Tralnlng Ltd
Abrldged Balance Sheet
As At 30 April 2025
1025
2024
Not4*
FIXED ASSETS
Tanglble Assets
960
1,280
960
1,280
CURRENT ASSErs
Debtors
Ca8h at bjnk ané hand
?.4,000
5,¢M7
1,046
29,047
L,tM6
Cr•dltovo1 Amounts P•lllng Dua Wlthln
Oth* Ya•r
{3S,980)
115,8801
NPT CVRRÉNT ASSETS (LIABILITIES)
{6.933)
TOTAL ASSETS kE$S CURRENT
LIA8IUTIES
1S,9731
113,554)
NET LIABILITIES
{5,973)
113,SSII
Proflt Jnd Lois Account
15,9731
113.5541
SHARÉHOLDERS, FUNDS
IS,9711
l L3,%541
For tho yoar endlng 30 Aprfl 2025 tho cg>mpw was ontitled to exompuon Irom audlt undor soctlon 4-17 of the Cornpanle$ Act
2006 rolatlng to small comp•nles,
The mombors hove not raqulred tho cornpany to obtaln an audlt In Jc¢ordanc4 wlth s¢ctlon 476 of the Comp4nles Art 2006.
Yho dlreciors acknowledot thelr responslbllltles for complylng wlth the rnqU1rern￿ts ol the Art wlth rewct to ac¢auntlng
reco￿$ ond the preporotlon ol a¢¢ountg.
Those accounts havo been prepared In Jccordanct wlth the provlslons appll¢able to companb& subjert to tho small ¢ompanlos
roglmo.
l of the compersy's members have Consonted to th4 preparntlon ol an Abrféqod ftalance Shoet lor tho yoar ond 30 Aprti
2Q25 In *tcordèn¢e wlth secilon 44412AI ol tht C•%nwTrles Act 2006.
On behall of the boord
Mr fjarfaraz )a4lrdar
2110212026
Thc notes on page 6 form part ol the$e flnjnclal statements.
Page 5

Wlnsor Skills Training Ltd
Notes to the Abridged Financial Statements
For The Year Ended 30 April 2025
l. Ge￿•￿1 Inforniatlo
Wlnsar Skllls Tralnlng Ltd Is a prlvètr company. Ilmlw by share5. kncorpDrnted In England & Wales, reglstered nurnbEr
10118266. The reg15tered oflke Is ¢Jty Gate How 25 Moot L￿e. BtrniSngham. West Mldlands. B5 58D.
2. Accauntlng Pollcle5
2.1. Dasls ot Prepor•tlon of Flnancl•l Statam
The flnandal hawe been prepared under the hlstorical cost convv.ntlon aThJ In attordance wllh flnandal
Repothh9 Standard 102 secllon IA Small Enot￿S Tr Fknandal RepxtiDg Stsnéard applfjcable In the UK and Rrpublic
ol Irdand. aDd the Companies A¢t 2006.
2.2. T¥rn4)¥
mjrnover Ls rneasured at the falr value of the consideratyon recelved or rrxelvabie. r*t L* dls¢ounts and v71ue addod
taxes. Turnover I￿1[#￿e5 revenue earned frDm the sale of good5 and from the r*x1erlng of servlces. Turnover 1$
duced for esllmated customer r*tums. rebates and other ￿mIlar allowances.
Sale of goods
Turnovor from the 5è1e of goods Is recognised *then ihe 5tynificant rtsks and rewards of ownwship of the good5 has
transferrpd to the trAryer. ThLs Is usually at the point th&t the. customer has 4igned for the delive.ry of the. goods.
Renderlng ot MrvI￿$
Ibjrnover from the ￿nderIng of Servi￿ is rea)gr￿Sed by referewKe to thc Sta￿ of completion of the contratt. The
stage of compleikjn of a contraet is measured by comparfng the costs inturr¢d lor work perfOmX￿ to date to the iotsl
estknated contratt costs. Tumow Ls t￿lY recognI5ed to the ext￿1 LY reLo¥oRUe expenses when Ihe OLrtcorne of a
ntract cannot be e5timatel rellably-
2.3. Tanglbt• Flxed Assets and Depreda￿￿
Tanglble fixed assets are measured at cost le55 accurrwJ￿ted deweciation and any a¢oJmul3te(l impalrmertt losses.
Depreciation is provlded ot rates ¢aloJlated to write t4f the cost of the fixed assets. less the￿ estimated resldual valuo,
over their expected us+ful lives on the folloNYing bases:
r*t & Machlnery
Nxbjres & Rtdngs
20% Starlght
20% Strab9ht Une
3. A¥erng¢ Number of Employ•e%
Averng¢ number of employees, Indudlng dlrectots. the was.. S {2024.. 4)
4. Tongltsle Assets
Total
Cost
s at l May 2024
4,920
A5 at 30WI 2025
4,9?.0
Depreclatlon
As at l May 2024
Provthd durlng the perfod
3?_0
As at 30 WII 2025
3.960
Net Book Value
As at 30 April 2025
960
AS at l May 2024
1,280

Wlnsor Skills Tralnlng Ltd
Tradlng Profit and Loss Account
For The Year Ended 30 April 20Z5
2025
2Q
TURIIOVER
Sales
142.686
14,820
COST OF SALES
p￿rchaseS
Cornmlsslons payab
41.051
5.932
7.716
873
146,983)
95.703
18.5891
GROSS PROFrr
6,231
Adfflln15trati¥è expens•s
Wa9e5 and salorfes
Tfavel expen5e5
Ront
U9ht and heat
Water rdtes
Oeanlng
Computer sthare costs
Repalrs, renewals and rnalntenr•Ke
Inwrance
127,70S
4.061
54.S18
4.262
3.112
31,063
2,136
64.800
5.901
1,476
803
1,790
ioi
874
3.25L
49
Posrage
Advertlyng and rna1ke￿￿ costs
Trdinln9 seminars and work5h¢)ps
TelecornrnUnlta￿Or￿ and datr cc6ts
Webgte costs
AccountaThcy lees
Legal fees
Sub5(ripilon$
Bank charges
D0pre0ab￿ of pbnr ond rnothinwv
Sundry expenses
82S
4.020
650
2,983
2.088
2,288
329
182
141
320
1.638
1.158
1.140
37
3?.0
1212.7561
1114,943)
Other Operatlng Zncome
Rental and other income from property
124.725
97.138
124.725
97.138
OPERATING PROFThI(LOSS)
7.672
Ikl,514}
Interest pa￿￿1@ and ￿mIlar
Bank Interest payabl¢
91
io
(91)
{ioi
PROFrri(LOSS) FOR THE FINAP4CIAL YEAR
7.581
111.5841

CHARITY COMMISSION
FOR ENGIAND AND WALES
Trustees. Annual Report for the period
From 0110512024 To 3010412025
Charity name: WINSOR SKILLS TRAINING LTD
Charity reglstratlon number: 1185388
Objectives and Activities
SORP refwgn¢•
Pafa 1,17
Summary of the purposes of
the charity as set out in its
governlng document
For the public benefit, the organisation aims
to advance all aspects of education and
training in English for adult who usually
speak other languages and a￿ irying to
become self-sufficient for the purpose of
inte
ralin
in the British Societ
Being able lo speak English language helps
people to transform their lives and play an
active role in the British Society. Also
Common language helps prevent
communities becoming alienated, and
enables friendships and understanding lo
develop be￿een people of different cultures.
Improving access lo English lessons is vital
for a every community in Britain. Many
refugees benefit from English lessons by
being able lo speak the language of thelr
new home country combats isolation and
loneliness. and enables them to volunteer,
work and make friends with their neighbours.
11 is a big Challenge for Women from non-
westem backgrounds to leam and overcome
language barriers for not been able lo
integrate in the British Society.
Summary of the main
activities in relation to those
purposes for the public
benefit, in particular, the
aclivilies, projects or services
identified in the account8.
P•r• 1,17 gn(I
Slalement confimiing
whether the Iruslees have
had regard to the guidance
issued by the Charity
Commission on public
benefit
P8r8 1.18
The trustees he￿bY declare and confirm Ihat
the organisation will not further
charitable activity is the topics relating to the
business needs such Customer ServiGe
which help businesses to sustain and
develop. It is not a charitable activity lo
provide support or trainlng on how lo further
their business or make a profil as mentioned
by the ¢harily commission.

Addnlonal Informallon loptlonal)
You ma
choose to include further statements where relevant abouL'
P4rn 1.38
Policy on grant making
Policy on social investment
including program relaled
investment
P¥• 1.38
Contribution made by
volunteers
P•rn 1.38
Other
Achlevements and Performance
We ￿de 8duc8tlon In a vadeiy of ar888
leadlng towards development of an
indiwdual ¢are6r wise and to be more
employable.
Engllsh Language skills.. We teach Engllsh
language lo enhance ts language skllls and
to devek)p more confidence In a person
whose first language Is ￿t English.
IT - Programmas '. IT is required in almost
every job al the moment and slands lo be an
important skAI for people In acquiring a job or
to gain womotion In the existing one. Many
peoplé 8r8 IT unschooled and require
guidance in making use of IT in their daily
lrfè.
Compliance courses: These ￿UrseS ara
maTrJatory tralnlngs vthich almost every
business requires lo have. Depending on the
nalure of Ihe business. certain additional
trainings rnay be required and Ilkewse.
certain trainings may not be required.
HO¥￿Ver. every business must comply with
ihe regulations whlch encompass the nalure
of their business. These includes trairsings
such as Ixjl not limitèd to training in health
and safety, First Aid. food and hygiene (food
industry), security industry.
Employability skills.. This course includes
actrvities such as but nol limited to CV
vrriting. job search. preparing for inlerviews,
gaining *Drk experien￿ through voluntary
wort(.
Summary of the maln
achlavements of the charty.
idenllfylng the dIfferer￿9 the
charity's worf( has made lo
the clrcumstances of its
beneficlaries and any wlder
benellts to society as a
Pam 120

Addlilonal Infonnatlon (optlonal)
You rna choose to include further statements ¥there relevant about..
Achievements against
objectlves set
P¥d• 1.41
PerfoThance of furKJraising
activlties agalnst objectives
set
P•r• 1.41
Investment perforniance
agalnst objectlves
Othor

Financial Review
Review of the charily's
financial position at the end
of the
eriod
Statement explaining the
policy for holding re5eNes
slatin
are held
Amount of reserves held
Reasons for holding zero
rese￿eS
Oelails of fund materially in
deficit
Explanation of any
Un￿rtaIntIeS aboLrt the
charity continuing as a going
con￿rn
Par• 1.21
Ye8
Para 1.22
Para 1.22
Para 1.22
Para 1.24
Para 1.23
Additional Information {optional)
You ma
choose to include further statements where relevanl about..
The chartty's principal
sources of funds (including
any fundraising)
Part 1.47
Investment policy and
objectives including any
social investment policy
adopted
Parn 1.46
A description of the principal
risks facing the charity
Para 1.46
Other

Structure. Governance and Management
Description of charfly's
trusts..
Type of governing document
PArn 1.25
How is the th8rlty
constltuted?
P•rn 12S
Tru$t6e s618Ction methods
Indudlng detalls of any
constitutional provisions e.g.
election lo post or name of
any person or body entllled
to appoint one or more
trustees
F¥ra1.
Addltlonal inforniatlon (optionall
You ma
choose to Include further staternenls where relevant about..
Policies and procedures
adopted for th6 Inducllon and
Iralnlng of trusla8s
Parn 1.51
The chartly'8 org8nl$atlonal
structure and any wlder
ne￿ort{ wllh whlch th8
ch8nty works
P•r• 1.J1
Relationship ￿th any related
partles
Parn 1.51
Other
Reference and Adminlstratlve detalls
Chari
name
Other name the chari
uses
Re
islered chari
number
Charity's princlpal address

Names of the charlty trustees who manage the Charlty
Dats* a¢t•d If not for whol•
ar
Tru6ts• nome
Offlce Ilf •ny)
Namg of por50n lor body) entltléd
toa
Int tru$teÈ
Ifan
10
12
13
14
15
16
17
18
19
20
Co
or8t8 Iruslees - names of thè dlrectors at the date the re
DIT•ctor name
ortwasa
roved
Name of trustees holdlng title to prop8ty belonging to the tharfty
Tru$t•• name
Dat•• a¢l•d If not for whol•

Funds held as custodlan trustees on behalf of others
Description of the assets
held in this capacty
Name and objects of the
charity on whose behalf the
assets are held and how this
falls ￿thIn the cuslodian
charitys objects
Details of arrangements for
safe ￿$todY and
segregalion of such assets
from the charivs own assets
Addltlonal informallon (optlonal)
Names and addresses of advlsers (Optional Inforniation)
Type of
Name
Address
adviser
Name of chlef executfve or names of senior members Ioplional Infomiatlonl
Exemptions from disclosure
Reason for non-dlsclosure of ke
nel detsi
other o
tlonal Information

Declaratlons
The truste6s declare thal they have approved the trusteos. report abovo.
Slgnedon behalf of the charltys trustees
Slgnature(s)
Full name(s)
Position leg Socrotary,
Chair, etc)
Sarfaraz Ahmed Jagirdar
Trustee
Mohammed Wahid Khan
Trustee
20103r2026