CHARITY REGISTRATION NL7MBER: 1188854
SIGNPOST INCLUSION CIO
UNAUDITED FINANCIAL STATEMENTS
FOR THE YEAR ENDED
30 APIUL 2015
LANGARD LIFFORD HALL LIMrrED
Accountants and Registered Auditors
Lifford Hall
Lifford Lane
Kings Norton
Birmingham
B30 3JN

SIGNPOST INCLUSION CIO
FINANCIAL STATEMENTS
YEAR ENDED 30 APRIL 2025
Pase
Trustees, annual report
liidependent examiner's report to the trustee5
Statement OE financial activities
io
Statement of financial position
li
Notes to the Einancial statements
12-17

SIGNPOST INCLUSION CIO
TRUSTEES, ANNUAL REPORT
YEAR ENDED 30 APRJL 2025
The trustees present thar report and the unaudited finMe￿ statements of the charity for the
year ended 30 April 2025.
Reference and administrative details
Resistered charity name
Sisnpost Inclusion CIO
ChaTIty reglstration number 1188854
PrAncipal office
Renewal Family Centre
Vulcan Road
Solihull
B912rY
The trustees
A Ward
V Dawkins
Z Robertson
Independent examiner
R D Coton
TAn8ard Lifford Hall Limited
LifEord Hall
LifEoTd lane
Kin8s Norton
B303
Runnins
Signpost Inclusion is a foundation charity. It is governed by a Board of Trustees which
determines its oveTall direction and fundin8.
Trnstees
Be committed to their chaLity's cause aThd have joined its board because they want to help the
chaLIty deliver its puTroses most effectivdy.
. Recognise that meeting their Ch￿Ity'S stated needs is an ongoing reqUIr￿t.
Understand theiT roles and lesal responsibilities..
- Be committed to sood governance and want to contnbute to the]r chan"ty's continued
improvement.

SIGNPOST INCLUSION CIO
TRUSTEES, ANNUAL REPORT (cthtix4•d)
YEAR ENDED 30 APRIL 2025
Objective8 and actlvlties
ChaTitsble Objectives
To promote social inclusion for the public benefit by preventing YO￿]g people with additional
neects and disabilities from becoming socially excluded, ￿lIeving the T￿edS of those people who
are S(￿laIlY excluded and assisting them to integrate into society.
To advance in ]ife and hdp young people with additional needs and disabilities through
providing support and activities which develop their ski118. capaaties and Capabilities to enable
them to participate in s(Kiety as individuals.
OurVi8ion
Our vision is to help children and young people with additionaI needs by:
Creating inclusive activities allowing participation in activitie8 nonnally out of reath.
All0￿ryn8 more Social opportunities,.
Working alongside current organisations and activity providers to enable them to become
rn0￿ indusive,.
lu)k￿8 with orsanisations and actt.vity provider5 to deliver inclusive actAvits"es at diftetent
venues,.
Providing supp)rt to the whole £￿ilY through activities;
Allowing the OpPOTtL￿ltieS for lasting fLiendships to be forniel.
Aiding with careers and job opportunities.
Our Mission Statement
Creating positive activities for children with additional needs. in5PiTing them to achieve their full
potentiaL Workins with the I￿al Lwmiiiunity to bELTh)￿e mote inclusive, creatins a bet￿r tuture.
Our Cuttent Activities
(kn CULTent activittes include, but are not Imu"ted to..
Swimming lessons
Family swim lessons
Outdoor activities such as sailing and tubxng
Youth and soaal gaming groups
- Seasonal farnily sessions, such as Santa Ex￿lence. ljumpkin Caxvin& Easter Bunny Hunts...
After school dubs for sinsins and dancins
Footy fun holiday sessions
Gym &ssions
PA support
Benefits
By partiapating in our activities children and youn8 people..
ATe given more soaal opportvnities,.
Are able to 8ain confidence in social SI￿atiOTLs.
Are gkven opportunities to access activities that would norn]ally be a strnggle;
Given a sense of pride and belon8in& in turn sailling hisher self-estee
Are helped in learning much needed Ixfe skills.
Parents and sib]ings canioin in some activities. improving family dynamics.

SIGNPOST INCLUSION CIO
TRUSTEES, ANNUAL REPORTi¢ontlw4)
YEAR ENDED 30 APRIL 201
Parents are siven the opportunity to socialise with other parents allowing parent-to-parent
support and fiiendship STOUPS to fornL
Achievements and perfornwice
As this financ￿ year end$, we continue to se]f-bJnd sessions in addition to current fundin
Solihull LA supports our after-sthool dub, partly covers Friday dubs and residentials, and funds
some holiday activities-though fewer than last year due to a sreater focus on family events. We
received Big IKJitery Community Fund support late last financial yeaT, letting us add more social
ups for ases 16-25 and expand gym sessions. Thi5 also allowed us to lower the minimwn age
to 13. In January 2024, we obtained a small srdnt from Children tn Need to enhance our
swim￿8 dub, as previous sdf.funding limited our offerinss. As a result, we are now
developing advanced swinuw levels, I:1 lessons. and water safety programs.
Financial review
We set out to rebuild our reserves this financiel year after covid.reIated losses and self.hJndin&
and we successfully met this goal. This puts us in a better position moving forward to sustain
Ead) yeaT, we assess our support, aims, and activities by r￿bing out to families and young
people who partiLipate. This proces5 helps us Teflect on QUT achievements over the past 12
months.
OUT ￿vieW examines every Activity, focusins on the ber￿Lts thry bringto our families. We value
the input o& young people, which gwides OUT planning for fvtwe steps. Our aPPr￿h is strongly
family-led.
This yeaf s Teview showed a greater emphasis on family activities, which have been central to
Signpost Indusion's growth. Although these activities were redll￿d last year as we expanded
other services, the review confirmed their onsoin8 imPOrtance.
Family 4ctivitie5 remain at the heart of what Signp)st Indvsion provides.
give us
opportunities to connect with knilies and get to know their Child￿ and young people in a
comfortable settins. This helps us reConM￿￿ the most appropriate activities based on each
individual's agei needs, and interests.
Over the past 12 months our families have enjoyed visiting mlniatL￿e railways. Trampolining
and soft pay venue5. Days out to various place5 and a￿lMa1 related sessions induding hone and
pony care. Our fatnily activities are all about having Eun together and meeting other farnilie5, 50
they l*come each otherfs support network.
Family activities are crucial for fostering developmen( reducing anxiety and gtrengtheni
emotional bonds. Our seasonal actiwtAe6 reaect this importance.

SIGNPOST INCLUSION CIO
TRUSTEESI ANNUAL REPORT IcoAthMe4)
YEAR ENDED 30 APRIL 2025
We also continue this throughout the ye￿. family train days* trampolining and more. Family is
very xnuch at the heart of si￿p0St tnclusiorL
Our Holiday activities E(Kused on those that were more popular. Sports related activities and
Eithe￿. 14us, life skill5 $udL as cooking and animal care.
These holiday activities help to reduce social isolation and provide routine duLins school breaks.

SIGNPOST INCLUSION CIO
TRUSTEES, ANNUAL REPORT IcoMtth¥<4)
YEAR ENDED 30 APIUL 201
We adapted our days out to include transportatio￿ en5urins that every family could partiapate.
These outinss were ajso organised for children and young people, allowin8 parents and ¢arerg to
goy respite while their children sained experience with independence and sociaIisins WAth
Activities ran8ed from adventure experiences at different venues to residential stays, helpins
young people prepare for adulthcM)d. They had the chance to cook meals, make their beds, and
practise personal care-important skills for later life.
INe scheduled projects Jthe computer pro8ramtrlln8 and tore5t skn11s over specttic weeks to assess
PTO8ress and identify individuals needing additional support.
We reco￿lSed the 18+ ase 8TOUP needed more option5 as past partiapants Tr￿hea to continue
attendi￿ our clubs, so we created expanded opportuni1￿$ within the local community.
Sxial activkties help reduce exclusion and support mental heal￿ while these groups also combat
Lone]ines5 and build confidence.
Oux weekly 18+ group now visited Birmintham monthly, with inLYe&singty varied meab out.
More session5 are possible thanks to linking with local venues, strengthening our community ties
ard sourcins more arfoTdable venues. some even able to self-fund.

SIGNPOST INCLUSION CIO
TRUSTEES, ANNUAL REPORT(tonthu*dJ
YEAR ENDED 30 APRIL 20ZS
The 18+ group e￿pha￿lse5 indePend￿lce by encOU￿81Th8 members to buy train tickets and pay
Eor food and dxinks themselves.
We now nm resLdar meet UP5 on set day5 in familiar venues. This allows us to see the
deVelopn￿t of those young adults a5 their confidence ar￿ indeperdence skills grow.
Our weekly 16+ group started to develop into set activAtAes by way of young people's feedback
Familiar venue5 became their PTrferen￿. atLd it me&nt we could now start tsiloring young people
to certain artivities.
Farniliar places are cruaal foT fosteTins independence. The enviTonments can tailored to their
needs for example quieter and less crowded. If we get the environments right them it fosters
independen￿, s(Kial connection and continued per80nal growth.
Agai￿ we are linking with venues that we can work alongside to o£fer activities at a redU￿d
cost. Takins advantage of concession and the generosity of certain venues and offers.
Our sWim￿g Club is continually being developed, Rookle Iifeguard trainin& water safety and
even scuba divin& enablins transfer of their extsting skills. Chu swim￿S club 19 more than a
place to leam to S￿ it has tailored water safety skills, physical therapy &rLd therapeutic
re8ulation bendits and encoura8es scKiai skills COLnuiunicatio

SIGNPOST INCLUSION CIO
TRUSTEES, ANNUAL REPORT(¢o*tth¥td)
YEAR ENDED 30 APRIL 2025
Our weekly Gym continued and the age range expanded to open the opportunity up to a
younger ase ranse. These gym sessions focus on irnPTovins motor Skills, f05tering independence
and boosting confidence and fIts￿sS levels in a supportive environment.
Qur Thursday after-¢£hrKJl club haq e.xpanded tn include craft cluh4. and nur Friday pm8ram
now offers spoty youth and Eun football groups. Additionally. we have introduced a monthly
out session for participants aged 13 and above.
These dubs play an essential Tole in promoting self*steem ard developing social skills within a
secuxe environmer¢ while engaging activities support both physA¢al and emotional
wellbeing.

SIGNPOST INCLUSION CIO
TRUSTEES, ANNUAL REPORTi¢ontrf￿¢dj
YEAR ENDED 30 APIUL 20LS
This trustee report 19 intended to show the services Signpost Indugion provide8 to parent carers
and their families throushout the year. Our organisation supports a wide ase range. from 3 to 25
years old. We deliver a variety of well-attendeLt en8agtns actiwtie5. reachins over 120 young
people thiough our regular Sessions alone.
We consistently connect with new families and receive ongoing referrals from SLKial care
professionals. Notsbly, rnany Tecornmendations corne directly from the families we already
aS5iSt, reflecting the trust and positive impact we have within the community.
The trustees, annual report was approved on 11 February 2026 and signed on behalf of the board
of trustees by..
V Dawkins
Trustee

SIGNPOST INCLUSION CIO
INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES OF SIGNPOST
INCLUSION CIO
YEAR ENDED 30 APRIL 2025
I report to the trustees on my examxnation of the finanaal statements of si￿p0St Inclusion ao
('the charity,) for the year ended 30 April 2025.
Responsibilities and basis of report
As the trnstees of the charity you are responsible for the PTeparati(m of the fAnAneial statements in
accordan￿ with the requxrements of the Charities Act 2011 {'the ACV).
I report in respect of my examination of the tharity's flnancial statements c&rried out under
section 145 of the 2011 Act and in carrying out my examination I h*ve followed all the applicable
Directions given by the Charity Commission under section 145(5)Ib) of the Act.
Independent examiner'8 statement
Ssnce the charity's gross income exceeded £250,000 your examiner must be a Member of a body
listed in ￿E0n 145 of the 2011 Act. I confirm that l am qualified to undertake the examination
because I am a member of the Institute of Chartered Accountants in England and Wale5
(ICAEW). which is one of the listed bodie5.
I have completed my examination. I confirm that no material matters have come to my attention
in connection with the examination gtving me Cause to Wieve that in any material respect..
accounting records were not kept in Tespect of the charity a$ required by sectlon 130 of
the ACL. or
the financial statements do not accord with those records: or
the financial statements do not comply with the applicable requirements concerntng
the forni and content of accounts set out in the Charities (Accounts and Reports)
Regulation$ 2008 other than any requireTnent that the accounts give a 'true and fair,
view which is not a matiEr considered as part of an independent examination.
I have no Concen￿ and have come across no other matters in connection with the examination to
which attention should be drnwn in this report in order to enable a proper understanding of the
accounts to be reached.
R D Coton
Independent ExamineT
Lansard Lifford Hall Limited
Lifford Hall
Lifford Lane
Kings Norton
Birmingham
BYO 3JN
23 February 2026

io
SIGNPOST INCLUSION CIO
STATEME￿ OF FINANCIAL AcfIviTIES
YEAR ENDED 30 APIUL 2025
2024
Unyestricted Restrirted
fvnds Total funds Total funds
Note
Income and endowments
Donations and legaoes
Charitable activities
8,574
158,395
114561
123,135
158,395
88.518
167,708
Total in¢ome
166.969
I14￿61
281,530
256,226
enditure
Expenditure on eharltable aetivitles
Total expendlture
154,528
111.770
I￿328
111,770
266,298
Net Income and net movement In funds
11441
1791
15,232
25A29
Reconcillation of funds
Total funds brought forward
61￿87
31691
78
69,149
Tnt21 knnaA faTripd fnTW2Td
74.7?A
Ino.810
Q4,.47A
The statement of £inancial activities includes all saiTh8 and losses r￿osniSed in the year.
All income and eXp￿ditI￿e derive from continuing activities.
The notes on pases 12 to 17 forni part of these financial Staten￿nts.

li
SIGNPOST INCLUSION CIO
STATEMENf OF FINANCIAL POSTfIoN
30 APIUL 2025
2024
Current assets
IiU24
97.235
Creditors: amounts fallins due
wlthin one year
Net CUJTent assets
13
3A114
2,657
109JiO
94.578
Total assets les8 current liabilitie8
109.810
94,578
Net assets
109,810
94,578
Fundg of the eharity
Restricted fund5
Unrestricted Eunds
35A82
74J28
31691
61,887
14
109.810
94,578
These finaneial statements were approved by the IK)aTd of trustees and authorised for issue on
23 February 21r26 and are signed on behalf of the board by:
V Dawkins
TTUStee
The notes on pa8es 12 to 17 forni part of these financial 8tatenwits.

SIGNPOST INCLUSION CIO
NOTES TO THE FINANCIAL sTATEME￿rs
YEAR ENDED 30 APRIL 2025
Gener￿ inforniation
The charity is a public benefit entity and a resistered charity in England and Wales and is
unincoryoTated. The address of the principal office is Renewal Family ￿tre, Vulcan Road,
SolihulL B912r(.
Statenwit of cojnpllance
These financial statements have been Prepared in compliance with FRS 101 The Financial
Reporting Standard applicable in the UK and the Republic of Ireland,, the Statement of
Recomrnended Practice applicable to charities prepaTing their accounts in accordanLE With
the Fimanciaj Reporting Stsndard applicable in the UK and Republic of Ireland IFRS Iff2)
((haritie5 SOIiF IFRS 102}) and the Charities Act 2011.
Accountingpolicies
Ba8iB of preparation
The financial statements have been prepared on the historical cost basis, as mThlified by the
revaluation of certain fiThanaal assets and liabilitieB and investment properties Th￿aSured at
fair value through xneome or expenditure.
The Einancial staternents are prepared in sterlin& which is the fill￿tional currency of the
entity.
Going concern
There are no Mat￿la1 uncertainties about the charitys ability to continue.
Judsements and kry sources of estimation uncertainty
The preparation of the financial statements requi￿$ management to make judgements.
estiniates and assumptions that affect the amounts reported. These estimates and
Judgements aTe continually Teviewed and are based on experience and other fartors,
ineludin8 expectations of future events that are believed to be reasonable under the
Fund aecountin8
Unre$tricted funds are available for use at the discretion of the trustees to further any of the
charlty's purposes.
Designated fimds are unrestrirted funds earnwked by the trustees for particul￿ future
proieet or commitment.
Regtrlcted tund$ aTr suw'ected ro re5triction5 on their expenditLue declared by the donor or
through the tern￿ of an appe3L and Eall into one o& two sub-classes.. restricted income £unds
or endowment funds.

1.4
SIGNPOST INCLUSION CIO
NOTES TO THE FINANCIAL STATEMENfs Icojrtithe
YEAR ENDED 30 APRIL 2025
Accounting pollties
Incoming re60UTces
All income is induded in the statement of finan¢ial activities when entitlement has pagged to
the Ch￿lty, it is probable that the economic benefits a550ciated with the transaction will flow
to the eharity and the amount can ￿ reliably measured.
Resources expended
Expenditure is recognised on an accruals basis as a liabi]ity is ineurred. Expenditure
i￿l￿deS any VAT which cannot be fully reLovered, and is dassified under headinss of the
statement of fir￿￿1a1 aetivities to which it relates.
Tangible assets
Tanstble assets axe initially recorded at cost and subsequently stated at cost less any
accumulated depreciation and Impa]rn￿nt losses. Any tan8ible assets carried at revalued
amounts aTe recoTded at the fair value at the date of revaluation less any subsequent
accumulated depreciation and subsequent accumulated impainnent losw.
An increase in the carryin8 amount of an asset as a result of a revaluatio￿ 15 Tecognised in
other recognised gains and 105se5, unles5 It reverses a charge for impairn￿It that has
Pre￿oUSLY been recO￿lSea as expenditure within the statement of financial activities. A
decrease in the cwing amount 0£ an asset as a result of revaluats"on, is reco8nised in other
recosnised sains and 1055es, except to which it offsets any previous revaluation gal￿ in
which case the loss is shown within other reCO￿ll5ed gains and losses on the statement of
£inancial activities.
Depreciation
De￿￿eciation is calculated 50 as to Write off the cost or valuation of an a&qe¢ less its residual
value. over the use£ul ￿onO￿lle life 0£ that asset as £ollows'.
FixtUTes and fittinss
Equipment
33% straight line
33% straight line
Impairment of fixed assets
review lor indicators of impairnient is canied out at each reportins date. with the
Teeoverable amount ￿Ing estimated where such indicators exist. Where the carrying value
exceeds the recoverable amoun¢ the asset is impaired actOTdllWy. PrAor impainnents are
also reviewed for possible reversal at each reportins date.
Financial Instru0￿nts are classified and accounted for according to the substance of the
contractual arrangell￿n( as either financial assets. finanLial liabilitie5 or equity instnunents.
An equity instr47ment is any contract that evidences a residual interest in the assets of the
company after deducttns all of its liabilities.

14
SIGNPOST INCLUSION CIO
NOTES TO THE FINANCIAL STATEMENfs
YEAR ENDED 30 APRIL 2025
Donations and legaaes
Unrestiicted Restrirted Total Funds
Funds
Funds
2025
Donation$
Donations
8,574
8574
Grant8
Grants receivable
114561
114,561
8,574
114561
123,135
Unrestticted Restrieted Total Funds
Funds
Funds
2024
Donations
Donations
9083
Grants
Grants receivable
5,914
15,797
71721
71721
78fi35
88518
Charitable activities
UDTrstsicted Total Funds Ur￿estrICted Total Funds
Funds
2025
Funds
2024
P.A. Services
158?95
158,395
167,708
167,708
6. Expenditure on thatitable a¢tivitie8 by fill￿ type
UnTestricted Restsicted Total Funds
Funds
Funds
2025
Charitsble activity
Support costs
143,0
11,447
111.770
254051
11,447
154.528
111.770
2(￿298
Unrestricted Restricted Total Funds
Funds
Fund6
2024
Charitable activity
Support costs
181164
8,230
40J83 2W67
8230
19),414
40J83
230,797

SIGNPOST INCLUSION CIO
NOTES TO THE FINANCIAL STATEMENTS l¢orti
YEAR ENDED 30 APRIL 2025
7. ExpeThditure on cTrwitable aetivitie$ by aCti￿ty type
Aetivities
undertaken Support Total funds Total fund
directly
Costs
20
21r24
Charitsble activity
Support Costs
GovernarKe costs
254051
8,¥J9
222,567
8.939
2.508
3,5
154,851
11,447
266,298
o,pyJ
Analysis ot Support Costs
Analysis of
cnqts Total 2025 Tntal 2024
1,680
6,913
1,680
6,913
General ofEi
Finance costs
DBS Checks
Accountancy Fee5
Depreciation
136
165
337
2.508
337
11,447
11,447
8.130
Independent examination fees
21YLS
2024
Fees payable to the independent exarnin￿ for:
Independent exaMI￿tion of the financial statements
2292
10. Staff ¢06ts
The total staff costs and employee knefits for the reporhng paiod are ana]ysed as follows..
2025
2024
Wages and salaries
185581
157.&39
The averase head count of employees duTing the year was 2812024.. 21).
No employee received employee benefits of more than £6￿1￿0 during the year (2024.. Nil).

16
SIGNPOST INCLUSION CIO
NOTES TO THE FINANCIAL STATEMENfs l¢oMthw
YEAR ENDED 30 APRIL 2025
10. Staff ¢08ts l¢o*llw
Key Management Personnel
Key nianagement personnel include all persons that have authority and responsibi]ity for
plannin& diTeetins and controll￿g the activities ol the Charity. The total compensation paid
to key management personnel for services provided to the charity was £33J18
(2024..£27?95}.
11. Trnstee remuneration and expen8e8
During the period remuneration of È33,318 P024.. £27395) was paid to one of the trustees for
their role as activity c￿ordInatOr.
1£ Tansible fAxed asgets
FyyttJrp* and
fittings Equipment
Total
Co8t
At l May W24 and 30 ApAI 21Y15
Depreciation
At l May 2(Y24 and 30 ApIil 2(Y25
CarryAns amount
At 30 April 201
At 30 April 2024
214
449
214
449
663
13. Crnlitor8.' amounts falling due within one yeat
2025
2024
Accruals and deferred income
Other creditors
1292
365
614
3,014
1657

17
SIGNPOST INCLUSION CIO
NOTES TO THE FINANCIAL STATEMENTS l¢oMtIM¢d)
YEAR ENDED 30 APIUL 2015
14. Analysis of charitable fund8
UnreBtrirted ￿ndS
At
l May 2024
Income Expenditure 30 Apr 20Z5
General funds
61￿67
166,%9
(154,528)
74J28
At
l May 2023
At
Income Expenditure 30 Apr 2024
183.505
(1￿,414)
61,887
Re8trAeted funa6
At
l May 21Y24
Jncome EXPendi￿re 30 Apr 2025
Restrided Funds
31691
114561
{lii.T70)
35A82
At
l May 2023
At
￿￿orne EXpendI￿re 30 Apr 2024
Re5trirted Funds
353
71T21
(40,383)
IJ. AnalyL6iY uf llEI bEtween fund
Unrestricted Restricted Total Funds
Funds
Funds
20
77,342
(3,014)
7¥28
35.482
112,824
(3,0141
109.810
Creditors less than l year
Net assets
35.482
Unre5tiicted Restricted Totsl Funds
Funds
Funds
2024
Tangible fjxed assets
Current assets
Creditors less than l year
Net assets
31691
97235
12,657)
94578
(165T)
61.887
31691