REGISTERED CHARrrY NifMBXR: 1189200
rtofth
dited Fillancial State￿ents
for tbe Year EDded 31 December 2024
ssu
M.FKhan &Co
375 Covenw Road
Smal Heath
Birminghpm
West Midlands
BIOOSW

ecember 2024
P￿e
Report of the Trustees
ststement of FitJaLcial Activities
Balance Sheet
Notes to the Fitmncial StatEmenl5
4 to 7
Detailed Statement of Financial Activiti25

Homeless Su
rt of the Trnstees
forthe Year Ended 31 December 202
The trust¢es present their report witb the fnaneial statements of the chaity for the year ended 31 December 2024. The
tn￿treS have adopted the provisiolls of Accounting and Reporti￿￿ by Chariri¢s'. Ststement of Recon)mended Practice
applicable to charities preparing their accounts in accordante with the Financial Reporting Stalldqrd appltcabl¢ in th¢
UK and Republic of Ireland IFRS 102) letTectiYe l January 2019).
STRucfuRE, GOVERNANCE Af4D MANAGEMENT
Governing docujnent
Tha charity is colltrolled by its goveming docuinenL a deed of t￿￿t and constitutes an UDincorporat¢d Charity.
REFERENCE Af*'D ADMINISTRATIVE DETAtLS
Régi$teT¢d Charity number
1189200
Principal address
Womens Ellterprise Hub
Sollthside BUS￿esS Centre
249 LadJFool Road
BIrn)lt￿baM
B128LF
Tntstees
hliss A Binni- Jannisar
Ms Z HwTiS
MsSRKhan
Mr S Ahmed
Ms F Chowdhury
Approved by order of the t4)ard of I￿￿tteS on 12 Nov¢mber2025 and signed on its bebalf by.
Miss A Binlli- Jat)nts
Page I

Homeless Su
ortUK
Statetn¢nt of Financial Activities
for the Year Ended 31 Decewb 2
31.12.24
Unrestri¢t¢d
fund
31.12.23
Totai
fund5
INCOME ATr47) ENDOWMENTS FROM
Donations and lega¢ies
937
1,095
EXPENDITURK or4
Raising funds
3.788
3.673
Tr￿T INCOME/(EXPENDITURX)
(2,851)
(2,578)
REcofiCILIATION OF FUNDS
Total fLJnds brought forward
(703)
1,875
TOTAL FUNDS CARRIED FORWARD
(3.554)
(703)
The notes forni part of these financial statements
Page 2

Homeless Su
rtUK
BRlance Sheet
31 December 2024
Jl.12.24
Unrestricted
fund
31.12.23
Totsl
funds
Notes
FIXED ASSETS
Tangible assets
170
226
CURRENT ASSETS
C￿h at bank and iti hand
246
50
CREDITORS
Amounts falling due within one year
(3.970)
(979)
NET CURRENT ASSKTSI(LIABILrriES)
(3,724)
(929)
TOTAL ASSETS [￿Ss CURRENT
LIABILITIES
(3,554)
(703)
NET ASSETSI(LIABILJTtES)
(3,554)
{703)
un￿StrICted fi￿d$
(3,554)
(703)
, TOTAL FUTr4DS
(3,554)
(703)
Tho f￿ancIal statements were approved by th¢ Boord of Trustees and authorised for ISSUE on 12 November 2025 and
were signed on its b¢ha]f by.
A Billni. JaDDisar. Trustee
The notes forni part ofthe5e finallcial statements
Page 3

Homeless Su
ort UK
Notes to the Financia] Statcmcnts
for the Year F.nded 31 December 2024
AccouTrrtlNG POLICIES
Basis of preparing the financial slatsments
The financia] Statements of the ci)aritv. whicb is a public benefit entity under FRS 102, have beell prepared in
accordance ￿1th the Cbariti¢s SORP (FRS 102) 'Accounting and ReportiDg by Clwities.. Statement of
REcon]m¢nd¢d Practic¢ applicable to cl]artti&g preparing their accounts in a¢coidatt¢e with th¢ Finan¢ial
Reponing Standard applicable in the UK and Republic of treland (FRS I02) (eff¢ctive l January 2019),,
Financial Reporting Sthndard 102 The Finallcial Reporting Standard applicable in tbe UK and Republic of
Ireland, and the Charities Art 2011. The financfftal stst¢m¢nts have been prepared under the hisfori¢al cost
conventio
All income 18 recogmised in the StatemeDI of Fingncial Activities once the ¢harity entitlement to the fi￿ds, it
is probable thatthe inc0￿C will be r￿ely¢d and the amount can be m¢a8ured reliably.
Kxpenditure
Liabiliiies are recogtLised 85 exTrenditure &s 500n a8 there is a legal or consfrnctive obligation committing the
¢harity 10 that expenditure, it 13 probable tbat a traosfer of economic benefits will be required in settlement and
the amount of the obligation can be measured reliably. Expenditure is accounted for on èn Accruals basis and has
been classified under headings that aggregate all cosi related to the category. IlThere costs cannot be directly
attril)uted to particular b¢adin8s the). have be￿ all¢)¢at¢d to activities on a basis collsistent with the w¢ of
resouroes.
Tanglble fixed ass¢ts
Depreciation is provided at the following annual ra*s in (￿der to wrtte off each &sset oYeT its ¢Stin￿ted useful
lifr.
Taxation
The charity is exempt from tsx on its clmritable activitics.
Fund accountlng
Unrestricted fiwds call be used in accordance with the clwitable objectives at the diseretion of the tru*es.
Restricted fjjllds call onty be used for particular restricted PUryK*ses wtthin the objects of the charity. Restrictions
arise when spectfied by the donor orwhell funds are T&i5ed foT Particular restricted purposes.
Furtber expl8nation of tbe tJ4lur¢ and pwp05e of eacb fill￿ is illctuded in the notes to the fitw)cial statements.
RAISING FUNDS
Rai5lDg donations and legacles
31.12.24
31.1223
Depreciation
Support costs
57
3,731
75
3,598
3,788
3.673
Page 4
continued...

otes to the Financial Statements- continued
for the Year Ended 31 December 2024
TRUSTEES, REMUNERATEON Af4D BENEFITS
There were no trustees, rrmunerdtion or other benefits for the year ende4J 31 D￿mber 2024 nor for the yeer
ended 31 December 2023.
Trusttts. expens
Thert were no trnstees, eXpell￿s paid for the year ended 31 December 2024 nor for the year ended
31 Decejnber 2023.
COMPARATIVES FOR THE STATEMELYT OF FINANCIAL AcfiviTtES
Unr¢5tricted
fund
INCOME AND ENDOWMENTS FROM
Donations and legacies
1,095
EXPENDITURE ON
Raising funds
3,073
NET INCOIKFJ(EXPENDlTURE)
(2,578)
RECONCILIATIOY OF Fuf4DS
Totsl fi￿d8 brought fonvard
1,875
T(yfAL Fuf4DS CARRtED FORWARD
{703)
TANGTBLE FtXKD ASSETS
Fixtures
coKr
At l January 2￿24 alld 31 December 2024
536
DEPRECIATION
At l Janllari, 2024
Charge for year
310
56
At 31 D¢¢¢mb¢r 2024
366
NET BOOK VALL
At 3 1 Dec¢Tnber2024
170
At 31 DeCe￿ber 2023
226
Page 5
¢ontinued...

Hoffjel¢s8 Su
ortUK
Notes to the Financial Statements- continued
f the Y&2r Endc
Dccember 2024
CREDITORS: AMOLTNTS FALLING DUE ￿THIN ONE YEAR
31.12.24
31.12.23
Bank loans and overdrafts (See notr 7}
Other creditors
3.970
970
3,970
979
LOANS
An anaty3is of tbe rnati￿lty of loaDS IS given below..
31.12.24
3E.12.23
Amounts falling thie within oThe jearon deman¢l.
Bank overdrafts
0th6r loaDs
3,970
970
3,970
979
MOVEMENT IN FUTr4DS
Net
ovement
At
31.12.24
At 1.1.24
Unrestricted funds
General ￿lld
(703)
(2,851)
(3,554)
TOTAL FUNDS
(703)
(2,851)
(3,554)
Net moven)ent in fututs, included in the aFx)ve are &$ follows..
lllcoming
resources
Resources
eX￿￿ded
Move]n6nt
in fiuJd8
UDr¢stricted funds
GeJLeral fund
937
(3,788)
(2,851)
TOTAL FUM)S
937
(3,788}
(2,851)
Comparatives for movement in funds
Net
movement
ID fund5
At
31.12.25
At 1.1.23
Unrestrleted funds
Generdl fithd
1.875
(2,578)
(703)
TOTAL FUNDS
,875
(2,578)
(703)
Page 6
continuecL..

Notes to the Financial Statements- continued
for the Year Ended 31 December 2024
MOVEMETrIT IN FUNDS- ¢olltinued
Comparative net movement in ffimd4 included iti the above are a5 follows..
Incoming Resources
resource5
expended
Movement
in funds
Unrestritted funds
General fvnd
1,095
(3.673)
Q,578)
TOTAL Furii)s
1.095
13.673)
(2,578)
A ¢UTrent year 12 months and prior year 12 mouths ¢ombitiedpositiOD is 8s follows..
Net
movement
in fimds
At
31.12.24
At 1.1.23
Unrestricted IuDds
General fund
1,875
(5,429)
(3,554)
TOTAL FUP*l)S
1.875
(5,429)
(3,554)
A current year 12 months and prior yur 12 months combine41 net movement in fi￿ds, inolllded the above ar¢
as follows=
tncomng
Resources
expended
Movement
ID funds
Unrestricted fullds
General fund
2,032
(7,461)
(5,429)
TOTAL WUNDS
2,032
(7,461)
(5,429)
RELATED PARTY DISCLOSURES
There wcre no telaled party transactions for the year ended 31 December 2024.
Page 7

Homeless Su
ortUK
D¢tsil¢d St&tem¢nt of Financial Activities
for the Year Ended 31 DecenLber 2024
31.12.24
31.12.23
INCOME AL¥D ENDOWMENTS
Donations and legaeles
DonatiQDS
Gratlts
937
1,053
42
937
1.095
Total Intoming resourees
937
1,095
EXpEND￿uRE
Raising dollations legacies
DeprKsation of th￿￿ble fixed ￿Sets
57
75
Support eoits
Fknallee
Bank ¢harges
60
Human rowurees
Telephone
36
otb¢r
Sundries
Storage rent
Food packages
Motor and trdvelling ¢xpeDses
Donations Given
60
2.325
720
107
350
3,625
3,671
3,562
Tota] r¢sources expended
3.788
3,673
Net eipenditure
(2,851)
(2,578)
This pag¢ does not fonn part of the statutory financial statements
Page 8