BErrER WAY RECOVERY
Registered Charity No. 1193773
TRUSTEES, ANNUAL REPORT
and
FINANCIAL STATEMENT5
for the year ended 31 October 2025
Trustees, Annual Report
Independent Examinerfs Report
Statement of Financial Activities
Balance Sheet
7-10
Notes to the Accounts

BErrER WAY RECOVERY
TRUSTEES, ANNUAL REPORT
for the year ending 31 Ortober 2025
REFERENCE ANDADMINISTRATION DETAIL5
Organisatlonal Name: Better Way Recovery
Rezlstered Charity Number: 1193773
Charity's Principal Address:
10 Peregrine Way
Heath Hayes
Cannock
Staffordshbre
Wsll 7JX
Tiustees serving during the perk•d:
Kathleen Griffith
Danielle Byatt Ito 2314120251
Mari5ha Place
Janet Sutton
Daniel Maycock (from 2314120251
Elizabeth Ridler (from 8/8120251
STRucfuRE. GOVERNANCE AND MANAGEMENT
Governing Document: Better Way Recovery is a Charitsble Incorporated Organisation governed
by a Constitution.
Trustee Selection methods: Apart from the founding Trustees. each Trustee is appointed for a
period of 3 years. New Trustees must have regard to the skills. knowledge and experience
eeded for the effective administration of the charity.
Other Trustee Inforniation: The charity has a Trustee Code of Conduct and Trustee Indemnity
nsurance.
OBJECTIVES AND ACTIVITIES
Objects of the Charity:
al the development of a safe community space for 5eTvice users to access
infoimation and services.
bl the provision of mentoring and peer to peer support.
cl providing services in collaboration with local community organisation5 which
are concerned with the rehabilitation of those suffering from addiction.
dl raising awareness of the public on the effects of drug and alcohol addiction.
Main artivities undertaken during the period for public benefrt:
al in carrying out these activities, the Trustees have had due regard to the
relevant public benefit guidance.
bl providing a place of safety for service users.
cl facilitating 13 lived experience support groups per week in Lichfield, S in Tamworth
and 2 groups per week in Burton upon Trent and Burntwood

BETfER WAY RECOVERY
TRUSTEES. ANNUAL REPORT
forthe yeaf ending 31 October 2025
dl offertng a drop-in service 6 days per week in Lichfield . 4 days per week in Tamworth.
2 days per week in Burton and I day per week in Burntwcrf)d.
el delivering outreach work in the community alongside other agencies.
n delivering drug awarenes5 talk5 in schools. prisons, hospitals and community groups.
gl working with local drugs and alcohol seNices to provide an effective
service to recovery seekers.
h) holding I family support group per week in Lichfield.
il providing 5 days per week telephone support to recovery Seekers.
jl increased multi-agency working with all key agenties. including police, probation,
mental health, job centres, local councils and Midlands Partnership Foundation Trust NHS.
Achievements during the period:
al extended funding from National Lottery Community Fund for staffing and running costs
until March 2027.
bl delivered drug awareness talks in l¢xal schools.
cl became part of Staffordshire statutory drugs and alcohol recovery system.
dl received over 300 self-referrals to the servi￿.
el secured funding to operate 2 days per week in Burton upon T￿nt.
n setured funding to operate 2 days per week in 8urntwood.
gl secured funding to renovate The White House in Tamworth as a specialist Day Centre
on a 5 year lease.
h) secured funding frorn MPFT for work in Tamworth.
il employed a full-time Team Leader for the Tamworth centre.
') finalist in the King's Award for Voluntary SeThices.
kl received BBC West Midlands Community Group Award.
11 continued 3 12 week structLtred abstinence-based prograrnme_
rnl Staffordshire Treatment and Recovery Service ISTARSI key worker based in Lichfiekl
for 2 (lays per week.
n) held an annual sleepout and fun day for a 5th year raising over £14,[￿.
ol received an invrtation to speak with a National Government Minister on criminal
justice and rehabilitatÉon.
pl continued relationsh￿p5 with rehabilitation centres in Nottingham and Derby.
ql 8 former recovery seekers were either employed or became volunteers.
Tl commenced a weekly breakfast club in knchfield facilitating multi-agency
representation.
Ftnèncial Review:
Total income for the year was £566,380, of which £79,614 was funding from
The National Lottery Community Fund RC Mi(Ilands Region Project ID 20207064,
and £472,793 from other grant funders.
Total expenditure was £512.952 of which £508,490 related to restricted funds and
£4,462 to eeneral unrestricted funds.
Funds caried forward were £104,282 of which £51.983 were restricted.

BErrER WAY RECOVERY
TftUSTEE5'ANNUAI REPORY
for the yearendlng 31 October 2025
Reser¥es Pollry
The Trustees ron5Fder thal reserves of at leosi 6 monihs operational expendFttJre
should be in ordef to cover fuiurè unloreseen expenditure vr A shortfall in
futuie in£ome. The Trusipos will continue to review Ih? levpl Df Teser¥es
in line with this polic¥ a5 the work continues to develop
Signed on behalf of ihe Trustees.
<evLL
1 1
19 lune 2026

8fThER WAY RECOVERY
INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES OF BETTER WAY RECOVERY
for the year ending 31 Ottober 2025
I report to the trustees on my examinatton of the financial statements of Better Way
Recovery I'the charity'l for the year ended 31 October 2025.
Responsibilities and basls of repi>rt
As the tTU5tee5 of ihe company land also it5 director5 for the purposes of company lawl you
are responsible for the preparation of the financial siatements in accordance with the
requirements of the CompaniÈs Att 20061'the 2C()6 Act'l.
Having sattsfied myself that the accounts of the company are not required io be audited under
Part 16 of the 2006 Act and afe eligible for independent examination, I report in respect of my
examination of the chariWs accounts as carried out under section 145 of the Charities Act 2011
I'the 2011 Act'l. In carrying out my examination I have followed the DirectM)ns given by the
Charity Comm455ion under section 14515llbl of the 2011 Art.
Independertt e¥amlner's s¢atement- matter of concem identified
I have completed my examination. I confirm that no matters have come to my attention in
connection wrth the examination giving me cause to believe..
accounting records were not kept in re5pecl of the charity a5 required by section 386
of the 2006 Act,. or
the financial statements do not accord wtth those records. or
the financial staternents do not comply with the accounting Teqvirements of sertion
396 of the 2ffl6 Act other than any requirement that the accounts give a 'true and
fair, view which is not a matter considered as part of an independent examination. or
the financial statements have not been prepared in accordance with the method5
and principles of the Statement of Recommended Prarticè for accounting and reporting
by charities applicable to charities preparing their accounts in accordance with the
Financial Reporting Standard applicable in the UK and Republic ol Ireland IFRS 1021.
I have no concerns and have come across no other matters in tonnertion with the examin3tivn
to which attention should be drawn in thi5 report in older to enable 3 proper understanding
of the accounts to be reached.
KS Chambers
Independent Examiner
Lifford Hall
Lifford Lane
Kings Norton
Birmingham
830 3JN
19 June 2026

bErrER WAY RECOVEAY
Staiementof FwwDci&l Arti￿￿¢$
forthe ye8T wdi
3l0ctober1025
2025
2024
Note5
Unyostricied Funds Restricted Fun(ts
Total
Income liom
Donatlons and Lega¢ie¥
Donations
2210
2210
3.533
Charitaljh l£tivitie8
Grants receivable..
NLCF RC Midlands region
Projecl ID 20207064
600
79.614
79.614
42,075
Olhe¥ Grant Funding
3.849
468.944 472.793
101,929
Fundraising Aetwit*s
Sponsored Event$
Sundry Income
608
6,208
1,474
9,5
2,1XJS
9.5
2.005
In¥e8tments
Bank Interes1
168
95
Totsl Incom•
17.822
548,558
566.380
156.522
3.1 Expenditurn
Fundraising E¥penditur•
372
372
159
Charttabh A¢tlvitl•s
508.750
506,750
160.273
Olh•r Charitsblg Exp8nditur•
Insurance
Independent Examinati
Bank Charges
Sundries
1.670
1.670
1.170
1,S48
1.170
60
3.214
70
9 Total Exp•ndTrtur•
4.462
so8.4￿1
512,952
165,L154
Incomellexp8ndilur•)
13.360
53,428
18,5321
Funds brought torward
11.915
59.386
5.1 and 9 FUNDS CARRIED FORWARD
52.299
51,983
104,282
50.854

BETTER WAY RECOVERY
8ALANCE SHEET
at 11 Ottober 2025
Note5
2025
2024
Current Assets
6 Debtors
Cash at bank and in hand
?.3,947
126,639
150,586
5,207
50,983
56,190
Current Liabilities
7 Creditors falling due viithin 1 year
Net Current Assets
46.304
104,282
5,336
50,854
The Funds of the Charity
5.1 Unrestricted Funds
9 Reslricled Funds.
52.299
51,983
38,939
11.915
Total Funds at 31 October 2025
104.282
The financial statements on pages S to 10 were approved by the Trustees on 19 June 2026
and signed on their behalf by
Trustee..

BErrERWAY RECOVERY
NOTES TO THE ACCOUNTS
for thè year endin8 31 Ortober 2025
1.183515 of Preparatlon of AttovAts
These èccounts have been prepared under the historical c05t convention with items
recogni5ed at Cost or transacttron value unless otherwise stated in the relevant notes
to these account5.
The accounts have been prepared in accordan￿ with..
the StatemeTht of Retommended Practice.. Accounting and Reporting b¥ Charitie5
preparing their account5 in accordance with the Financial Reporting Standard
applicable in the UK and Republic of Ireland IFRS 1021 Trssued in O￿Ober 2019. and with
FRS 102- The Financial Repgrting Standard Applicable in the UK and Republic
of Ireland January 2022. and with the Chèrtties Act 2011.
1.2 Goln8 Concern Basis
There are no material uncertainties related to events or conditions that cast significant
doubt on the organis3tion's ability to continue as a going COn￿M_
2.1 Recognition of Income
Income 15 sncluded in the Statement of FinancÉal Activities ISOFAI when=
the charity becomes entitled to the resources:
and when it 15 piobable that the econorn￿ benefits will Ik¢W to the charity:
and the monetsry value can be measured with 5ufficÈent reliabilrty.
3.1 Recognltiofj ol IlabllltTre5 and txpÈr*dlture
Liabilities are fecognised where it is more likety ihan not Ihat there is a legal
or constructive obligation commtttiTrg the orgènisation to pay out resourtes-
and when Trt is probable that a transfer ol economic benefits will be required
in settlement,
and the amount of the obligation can be measured reasonable certsinty.
3.2 PfOViSi¢MS for liabilit6es (Atcrualsl
A liability is measured on recognition at its historical c05t and then subsequentty
measured at the best estimate of the amount iequired to settle the obligation at the
reporting date.
4.1 Debtors
Debtors are measured at the cash or other consideration expected to be rettived.
5.1 Fund Ac¢ountin8
Unrestricted fund5 are available for use at the discretion of the Tmstees in
furtherance of the general objectNes ol the organisation.
Restricted funds are fund5 subject to specific restrictions imposed by the donor.
and are not available for rjlher organtsational purposes.

8ETTER WAY RECOVERY
NOTES TO THE ACCOUNT5
lor the yew ending 31 Octs**r2025
6 Debtors and Prepayments
2025
12.835
11.112
23,947
2024
5.207
Glant Receivable
Other debtors
5,207
7 CiedÈtors falling due wlthin one year
Grant5 accrued
Accruals
5,336
46.304
46.304
5.336
8 Employee5
Salaries
Social Security Inet of Employers, NIC Allowan￿)
Pension contributions
Other employment Costs
157,960
1.657
4.078
9fM)
164,595
110,317
3,025
515
113.857
Average Employees during the year..
Employees FTE
9 Movements In Restiicttd Funds
Openir
Closing
Balance
Income
Expenditute
TNLCF.. 20207064
Lichfield DC- Locality Deal Fund
Tamworth DC- Locality Deal Fund
Tamworth Borough Council
MPFT RRE-0641
CLF Community Foundaiion
Sweeney Foundation
MPFT STaR5 Tamworth Renovation
mp￿ STaRSTamworth Runntng Costs
Citizen Adv*ce Mid Mercia
support Staffordshire
Support Staffordshire
Tamworth Borough Councillors
Total
1,931
4.650
5.196
79.614
5.636
5.336
15.2(M)
115,748
64,625
10.027
10.273
3.425
111.611
16.920
259
259
11,775
4.137
1.2
299.451
11.635
10.369
1.670
1.200
500
548.558
450
291,324
3.085
9.500
1.670
1.135
365
750
8.127
8.550
I.OD7
65
135
51,983
11,915
508,490
TNCLF-. 20207064 funded centre costs induding employment ol workers and building rental.
Lichfield DC Locality Deal Fund funded part-lime recovery co-ordinator5 and m3rketit)g materials.
Tafflworth DC Locality Deal fund funded Tamworth ￿fitre costs including staff costs. Offi￿ rental,
olunteer expenses and runTri￿ costs.

BETfER WAY RECOVERY
NOTES TO THE ACCOUNTS
for the year ending 31 Octobef 2025
Analysis of Expenditure
Unrestricted
Restricted
164.595
8,382
599
Total
164,595
8,382
599
372
291,324
4.868
11.430
24,217
697
1.670
3,568
60
1,170
Employment Costs
Volunteer Expenses
Training
Fundraising Expenses
Tamworth Building Renovation
Professional Fees
Office Costs
Rent and Utililies
Publicity
Insurance
Sundries
Bank Charges
Independent Examination
372
291,324
4.868
11,430
24.217
697
1,670
708
2.860
1.170
4.462
508,490
512.952
Trustees, Remuneration and Reimbursed Expenses
No Trustees have been paid any rernuneration, fees or travel expenses or received
any other benefits from employment with the organisation or related entity during
the year.12024- nil)
Related Party Transactions
There have been no related party transactions that require disclosure during the year12024 - nil)

BETTER WAY RECOVEIiY
NOTES TO THE ACCOUNTS
for the yea¥ endin8 31 October 202S
Statement of financlal Activities- Comparative figures for prior period
Year endin8 31 Ixtober 2024
Unrestrirted Funds Restritted Funds
Total
Income from
Donations and Legacies
Donations
3,533
3.533
Charitable Activities
Grant5 receivable=
NLCF RC Midlands region
Project 10 20207064
600
42.075
42,075
Other Grant Funding
Fundraising Activities
Sponsored Events
Sundry Income
101,929 101,929
50
558
6,208
1.474
6,208
1,474
Investments
Bank Interest
95
95
Total Income
12.468
144,054 156,522
Expenditure
Fundraising E¥pendrtUTe
109
50
159
Charitable Activities
IfJO.273 160.273
Other Charitable ExpendKtu
Insurance
Bank Charges
Sundries
1.348
1.348
2.979
235
3.214
Total Expenditure
161.966 165,054
Net Incomellexpenditufel
9,380
117,9121 18,5321
Funds bTOUEht forward
29.559
29.827
59,386
FUNDS CARRIED FORWARD to 202415
38.939
11,915
50,854
io