IiEGISTERED COMPANY P4UMBER: 01088965 (England aDd Wales)
REGISTERED CHAIUTY NUMBER: 503434
Report of the Trnsttts and
Audited Finanf ial Staterntmts for the Year Ended JI Marth 2021
for
Bradford Cyrenlans Ltmited
(A Company Limited by Guarantee)
LIA Kilner Joljnson Lid
Nerwork House
West 26
Stubs Beck Lane
Cleckhealon
West Yorkshire
BD19 4
*A4ASYOZA*
0410812021
COMPANIES HOUSE
A19
#147

Bradford CyreniaDS Limited
CoD¢ents of tbe Finlocial StateJntDts
for the Year Ended 31 March 2021
Page
RefereDce and Administr4tive Detai15
Report of the TTUSttts
Report of the llldependent A¥dltors
Statement of FiDanei*l Aeiivities
B#l*n¢e Sheet
Cash Flow StaterneDt
io
Notes to ihe C*sh Flow St*temeDt
Notes to the Financial StattmtDts
12 10 18
Deta51ed Statemetst of Flty*ntial AttAvltles
19 to 20

Bradford Cyrenian$ Ltinited
Referente and Adminis¢r4tive Details
for th¢ Year Ended 31 M¥rcb 2021
TRUSTEES
E Mowlem
J Hadi
A Smith (resignejj 12.1.21)
J Butler
E Walgrove
P Johnson
REGISTERED OFFICE
255 Manningham lan¢
Brddford
West Yorkshire
BD8 7EP
REGISTERED COMPAP4Y
NUMBER
01088965 (England and Wales)
REGISTERED CHAIUTY
UMBER
503434
AUDITORS
KJA Kilner Johnson Ltd
Nenvork Ho￿¢
Wesi 26
Srubs Bttk Lane
Cleckheaton
Wesi Yorkshi
BD19 4TT

Bradford Cyrelli*L$ Limiied
Report of the Trustees
for the Year E#ded 31 Mareh 2021
The twste¢s who are also directors of the charity for the purposes of the Compatiies Act 2(K)6. present their repKYrt with
the flnancial statemenLS of the ¢I￿lty for the year ended 31 March 2021. The trustees have adopted the provisions of
Accounting and Reporting by Chan"ties: Ststement of Recommended Prdctice applicable to charities preparing their
aecounts in accordance with the Financial Rewrting Standard applicable ill the UK and Republic of I￿land (FRS 102)
(effective l January 2019).
OWECTIVES AI¥D ACTIVITIES
Charitable objectives
Our purpose, as set out in the objectives Con￿]ned within the MeMorn￿um and Articles of AsS￿latIon Stsie that we are
committed to..
The relief of poverty, sickness and old age ID particular (￿1 noi exclusively) by the PTovision of housing, social housing,
hostel accornmodation and associated services, advice and infonnation for the public benefit.
Bradford Cyrenians pn)vides flexible. preventstive suppm servivs io a range of clients who present with multiple.
complex issues. Our aim is to encourage individuals to tske resSKynsibility aThl enable them to develop life sk]"Ils in a
safe and non-threatenLn8 environment. Our focus is on prevention and enabling uNJLviduals to take control of their lives
and becorne seif-reliant.
Bradford CyTenians Mission Statemeni ￿ad5'.
Bradford Cyr¢nian$ is committed ￿ delivering th¢ provi5i0th of safe and secur¢ hou$iDg. advice and support to vulnerdble
eOllLmunities.
Using an empowering appToach we will work towards enabling vulnerable 5ervi¢e users to fmd positive soluiions whilst
respecting their indiv2dual rights and choi¢es.
The focus of our work
Our rnain Continues to be able to provide a range of services to wN]nerable communities through.. provision of
lernporary accommodatton with support through our IK)srel and supported tenaricles, which is delivered as part of our
statutory homeless contrdct. We also have a rdnge of noJJ-commissioned acconllnodatson based services, housing
related support and community outreach seTri¢es that are deliveied ￿ a variety of benefi¢iaries that present with
muliiplejcomplex issues.
How our aciivilies deliver p￿b]It benefil
All our clwi"table ac(ivities focus on the delivery of supJx)rt services or intrnsive knusing managenKnt thai enables
vulnerable communiiies in thk]"ng back control. mainthining their accommodation aTrJ improving their qualiry of life. OUT
ieams faciliiaie this process by ettgaging through professional conduct empowering individuals io become aciive
citizens in their local comrnunity.

Bradford CyT¢ui•n$ Limited
Report of the Trustees
for the Yt*r EDded 31 Mxr¢h 2021
STRATEGIC REPORT
Achievement and performAn¢e
Charitable activities
t￿¢ io Covid-19 and the tmpa¢t this has had on s¢ryi¢e delivery we have been unabl¢ to draw together an Annual Review
Report for 2021. We do however have our websiie and this is r¢gularly uwlated to reflect th¢ work and achievetnertts
carried out across Bradford Cyrenians.
The Homele53 P4r¢nership (THP)
The Hostel and Supported Tenancies services have played their pan in delivering a rdnge of atcommodation and support
that have bttn commissioned as part of the homeless contract. Fulfilllng our obli8atitsns and commitmeni 10
accomm(xlating single rnenlwomen. We c¢)niinue io see an increase in the multiplejcornplex needs that clients are
presenting with, particularly mental and physical health issues. Tcams continue to Work collabtsratively with Housing
Options in order to minimise voids and wherever wssible, byp￿￿￿1￿1￿i$e B&B Sthys. Over the lasi 12 months, th¢
Supported Tenancies Team has reported an increase in the numiw of clients they are working with who have experien¢ed
domestic abuse. Going forwat¢l we watti ￿ piloi some addilional support thai helps ￿ address these issu¢s whi15t
developing their life skn"Ils.
Cold Weather Provislon (CWP)
Due to the Ti5ks Posed by Covid-19. the Hi)stel Wds unable to participate in Brddford's CWP initiative this year.
Supporting Former Rough Sleepers witb Aeeommod*tion & S¥pport
Our Re+Start Project continues to work with and accommoda￿ former rough sleeping men and women. Due to Covid-
19 re5triclions, our team5 have been wthle to work jointly with their established partners. As ￿Sing of lockdown
continues, tearns are re-establishing litths with agencie5 and professionals from both thc statutory and VCS sector.
plans to InCre￿e capacity across our services, particularly RSP have resuTned and the tealn will wotk alongside our
housing partners iu order to take oll tttore units of ac￿￿m(￿lation. thus wotk with more vuh)erable clien(s.
Services for Men experieD¢ing Domestic Abuse
Men Standing Up continues to 5UPPOrt extremely vu]nerdble men fleell￿ doTnestic abuse. The range of services we
offer include.. helpline support, access to a rdnge of housing. from emergencylshort ierni ￿ long sthy housing. thle to
Covid-19 restriction a combination of community SUPPOrt and telephone support was delivered 10 clients.
MSU'S helpline continues to help to SIJKI￿ victims and remove wtential barriers towards men accessing support.
a result, the numbers usin8 the service to seek our supwrt goes from strength io strength. This year we saw a significant
increase in calls taken by the helpline, with a totsl of 2.144 calls from Isi April 2020 to 3 1st March 2021_
Since the easing of lockdown, MSU have seen a significant increase in in the numberof victitns Seeking help. particularly
around their accommodation neds. The ieam are responding io this issue by taking on more units to increase OUT StIKk
and ensure vulnerable men are supported Anto safe a¢Con)￿tIon..
Aeeommodation & Suppori for Ex-offendtrs
Supp(>rted Tenancies Offenders Projeei Continues ￿ support menlwomen who present with mulriplelcomplex issues
including a history of ex-offending. We bave been in the process of handing back a number of units ￿ the RSL as they
re-configure their housing stock. This has inevitsbly meant that we have seen a Teducuon in our capaciry, which was only
exacerbaied by the subsequeT]I lockdown. However. as easing of lo¢kdowiJ continues, we envisage taking on more units
in the cominE year thus reNrninE io the capa¢iry we were aL prior to lockdown. We rewgnise th¢ imwrtAnc¢ of having
a¢¢ommodation with support in place for ex-offenders io help preveni thern r¢-offending and returning to prison.
Resettlem¢n¢ & Floatiig Suppor¢ Strvi¢u (FSS)
Our Support Team ¢ontinues tooffer a seamless transition frorn ourtcrnporaryaccoTnrDodatiOT] into the¢lien¢s own home.
Our pre-tenan￿ support work and planned resettlement progrdllllne hclps prevertt our service useTS becoming isola¢ed OT
face problems that can r¢sult in the tenancy failitig. Dutmg the pandemic aThJ subsequeni lockdowns OUT floaiing support
and conununity Outy￿h Work Iwi int¢grai for supN)rtillg clients.

Bradford Cyreniins Limited
Report of the Tru51tts
for the Year Ended 31 M4T¢h 2021
Nortnally. at this stage we would report on the numiw of pkned move•ons that have thken place in the year. However,
due io the impaci of Covid-19. the Governmeni as well as Public Health were en¢ouragmg w]nerable people to rernain
in their curreni a￿omn￿daIi0n to ¢nsur¢ their Safety. So whilst there bas b¢¢n sorne minimal move-on taking placc.
Team5 have laTgely supponed clients to remain in th¢ira¢commodaiion Wh¢￿v¢1 possible.
Long-stay Housing with Suppor¢
Homes4Life {H4L) h&s become a key fealure of our services and is available to I￿tfi¢l2T1eS from within our curreni
services, commissioned and rK)n-cornrnissioned. Moving into our H4L service means that clients can work towards a
full lenaDCy al￿ not have to think aF•ut moving again. It offers stabLiity and an oppo[￿nity to work towaids more long
Tm goals. Plaos for 2021122 will be to focus on increasing H4L's capacity to ensure that more of our clients can move
into more long- terni settled accoTnDKthtion with sup￿)
Housing & Support for Lone Parents
Parent+ was unable to expand capacity last year due to the effecLS of Covid-19. We are r￿W in the pr(￿e$S of taking
on mor¢ UDits and hop¢ to be worklng with mor¢ famili¢s to ensur¢ thai they can access g(XMI quality hO￿ing as well as
a packag¢ of 5uppon.
Reflectlng On the last 12 monihs....
Thepandemic has led ro the tyagi¢ loss of two of ouremployees thai was unrelawl to work. Nevertheless the sathiess and
loss we feel is difficult to quantify and our thoughts and prdyers are with th¢ir families and friends.
Our clients due to
their pre-exi5ting health issues were ai risk of contrdciing the vinLS, which is why our teams stepped up ar]d showed
resilience despite the risks being high. Their determination and tenacity enabled our clients io remain safe and supported
Ln what was. an unprecedented lime for the whole countsy.
Our sincere thanks go io all our team5 bui a special thatths
go io those teams based at OUT 255 address, where stsff continued to work throughoui the iIKkdown periods, makin8 sure
our hostel and a$s￿lated servi￿$ ¢ontinued io op¢rat¢ a5 norn￿1.
Flnancial rtview
As a Registered Provider (RP), Bradford Cyrenians ried, ov¢r the lasi fuwi¢ial year ￿ lea* rn¢)re units how¢v¢r du¢ to
the impact of Covid-lg and subsequent lockdowns. it became a challenging task to achieve. Ernergency Covid-19
funding enabled us to sustain our services during what was an unprecedented titne, absorb the additional costs that we
Lncurred towards making sure our services were Covid-safe as well ag tske on the addilional infrasthJ¢wre costs needed
for staff to Work from home.
Whilsi we105t some Cdapaciry evenmally. w¢ wer¢ able to tak¢ on som¢ units b¢for¢ th¢
year end.
STRUCTURE, GOVERNANCE AND MANAGEMENT
Organisation
The company is limiied by guaran￿ and has no share ¢apithl. The company is a r¢gist¢r¢d ¢barity. Th¢ ¢harity is
onstituied acwrding io memorandum and articles of 8ss(Kiauon.
The company is directed by a Management Committee. whose members ale elected a( a general meeting of the member
of the company. It comprises of a Chair. Vice Thair. Treasurer and at least one other. who meec every 6 weeks with the
Chief Execuiive and other $￿ff repvesentsiives who are also in attenda￿e.
Brddford Cyrenians is a Registered Provider with Homes England. TegistratioD Dumber 4860.
Ap￿l￿t￿¢￿t of new trusttrs
New trustees are appointed by an ordinary resolutlQD of tbe Charity. All members are circulated with invitations io
nominate trustees prior to the Annual GcDeRi Meetin8 ready for elections io take place ai the Annual Genernl Meeting.
Btadford Cyrenians has not Tecruited any new meTnbers to the Board. We lost ooe of our long setving ts￿51ee due to her
taking early reiiTemeni. We continue to have five very loyal and committed Board members who each represent differenl
5¢Ctors and bring an expertiselspe¢ialism towards the continued development and sustainability of Brddford Cyr¢Dians.

Br*dford Cyr¢ni•oJ Limited
Ryrt ofthe T￿￿￿45
for Ihe Y￿r EDded 31 Mar¢b 2021
sniucTURE, GOVERNANCE AND MANAGEMEKr
IDduetioll aud ￿1￿7￿8 of tr•stees
New tTust¢¢5 ￿￿ergO ori¢Dtation kn brief them on their legal obligatiotts wider chuity and law, the cont¢Trt of
the Memoranthlln and Articles of A$$￿1￿10n aDd C(xk of Govenwjce that we h4v¢ wlopted &% of good practi¢¢.
Tn￿e￿ are encourngeA w attend exiernal trnining ewenLS and e-learning to faci]itstr the widertakitig of theirrnle ag and
when ff is prxticable.
Risk maDagtm¢D¢
The trustees have 8 rÉsk marta8emait Slt¥iegy, wbi¢h ￿￿1$e5 of ID annual Tevt¢w of the risk5 fac¢d by the cbarity.
Trustees and the Chtef Exeojtive wkll consider rÉsLs and the systems and prith ￿ miti8a* those rt5ks idetttified ill
th¢ plan. A key element in the management of fmancial risks is the annual review of disaster recovery strategy.
Current ass¢ts and 5¢tting of a r¢serves polRcy.
ATEMENT OF TRUSTEES. RESPONSIBILITIES
The trnstees (who aT50the directors of Bradford Cyren1#￿8 Lilliibj for the of u>mpany law) are r¢s￿n&￿Ie
for prwllig the iieptrt of the TnLts aDd the fmanciJl 5tst¢ments io wrdanrx with applithk law and United
Company law requires th¢ tru5te¢s lo prepare financial stswnents foreach financial year which give a thle and fair vtew
of the stste of affairs of the clwitsblt Cotnpany artd of th¢ incoming resour￿$ and'appli¢*iort of resour￿5, including the
required
5¢1¢￿ Suitabl¢ accounting w>licies and th¢n apply them consistentty.
observe the methots and PTTrncipI¢s in the Charity SOBTr.
cotnpany will Co￿]￿Ue in busu*s5.
The ITUStees are responsible for keeping accourttiDg Tecords whi¢h disclose with reasonable aeeurn¢y At any tt￿¢
the [￿anCial w)sition of the charitable wmpany and to ellable them toenAwe thatthe fina￿la1 ststements cotnply with the
CoTnpanies Act 2006. They are also respjnsible for safeguarding the assets of the clwithble company and hence ar¢
responsible foT taktng reasonabk ￿￿p5 for th¢ preveDtioD &Dd detKrion of fTrud aDd other irregularities.
In so far as the In￿teeS aware:
' there is tto relevanl audii infonnation of which th¢ charitable ￿np￿Y'S auditors are Unaw￿"al}d
the truste¢s bave taken all sw that they Ou￿1 t(> bave to make themselves aware of ADY Tel¢vartt aiidit
inforniation a￿d to esthblish that the aUdItt￿ are aware of that inforni*iLm.
AUDfTORS
Th¢4uditor& KJA Kiln¢rJ0h￿o￿ W will be wysed fOrTe4ppln￿atthc f(fftbCom￿i8 AnnualGellerai Meetin
diT￿l0T8 OD 20 J¥Jty 2tr21 and S￿.on the TrKwd's beI￿lf by".
P Joknson. Trustre

Report of the Independent Allditors to the Members of
Bradford Cyrettla*s Limited
Opinion
We have auditcd the f￿anCIal statemenL8 of BradfoTd CJTeniatL5 Lirnited (thc 'charitable companyj for the year eThJed
31 March 2021 which cornprise the Statement of Financial Activities, the Balance Sheet, the Cash Flow Statetneni and
noies io the fjnaueial statements, inclUd￿g a sujnrnary of signthcaDt accounting policies. The fmancial reporting
framework tha11￿ been applied in theirpreparation is applicable law alldullited Kmgdom Accounting Standards (United
Kingdom Generally Accepted Accotsntin8 Practice).
In our opinion the firt8ncial ststements..
give a true and fair view of the state of the charitable company's affairs a5 ai 31 March 2021 and of its incoming
resources and application of restsJTce& including its irtcome and eXpendi￿re, for the year then ended.
hav¢ been properly prepared in accordance with United Kingdom Generally Accepted Accounting Prncii¢e,' and
have been prepared in aCcorda￿t with the requiremellts of the Companies Act 2006.
B9515 foT opinion
We conducted our audit in a(xordance with Iniernaiional Stsndards on Auditing IUK) (ISAS (UK)) and applicable law.
Our responsibilities under those sthndards are further described in the Auditors, Tesponsibilities for the audit of the
rinancial statements section of our report. We are independent of the charitable company in accordance with the ethical
requirements that are relevant to our audit of the financial ststements in the UK, includittg the FRC'S Ethical Standard,
and we have fulfilled our other ethical re4K)nsibilities in accordance with these requirernents. We believe that the audit
evidence we have obtained is suificient and appropriate to provÈde a basis for our opinion.
Conclusions relating to going ¢on¢ern
In auditing th¢ fmancial strtemeThts, we hav¢ concluded that the m￿te¢S, use of the going con¢¢rn basis of ac¢ounting in
th¢ pr¢parJti¢)n of th¢ fLnan¢ial stri¢m¢n￿ is appropriate.
Based on the work we have wfornie4 we have DOI identifitsj auy material uncertaillties reiaiing to events or conditions
thai. individually or collectively. may casi siguificant doubt ort the cFJarithble companys ability io continue as a going
c¢)nc¢rn for a period of ai le&s1 twelve months from when the flnancial 8re authorIs￿ for issue.
Our responsibillties and the responsibilitits of the tr￿￿te% with respect io going concern are described in the relevant
sections of this report.
Other informAtion
The tnLSttts are responsible for the other ￿￿Ormatio[L The other information comprises the tnforniation included in the
Annual Report, other than the fllwlcial statements and our Reporiof the IndeE￿ndent Auditor5 thereon.
Our opinion on the financial s¢aiements does not cover the other inf0m￿tion excepi to the ex*nt otherwise expliciily
ststed in our Tepor¢ we do noi express any fom] of assurance CO￿]Usion thereorL
In connectiOD with our audit of the fmanckal StateMell￿ our responsibility is to Tead the other inforniation and, in doing
so. consider whether the other infomlaiion is materially inconsiS￿rti with the financial statements or OUT knowledge
obtained in the audit or othenvise appears to be maierially mi￿￿(cd. If we ideniify such matmal in¢onsisiencies or
apparent maierial missthtement4 we are required io detem)Tne whether this gives rise to a material mis51aiemeni in the
financial slatements themselves. If, based on the work we have perf0rnie￿ we conclude that there is a rnateriai
misstaternent of this Other infonnation. we are required to rq)ort thai fact. We have ntsthin8 to report in this regard.
Opinions OD other matters preseribed by the Compamies Act 21J06
In our opinion. based on the work undertaken in the coutse of the audil."
the inforn)aiion given in the Report of theTA￿teeS forthe fmaJKial year forwhich the fmanciaj sthtements areprepared
15 ¢onsisteni with the fuwicial stsiem¢nts,' and
the ReFrf)rt of the Trustees has been PTepared in with applicable legal re4uirem¢nts.

Report of the Independent AuditOTS to the Members of
Br¥dfDrd CyreDj*115 Limited
Matters on which we are required to report by exteption
In the light of the knowledge and Unders￿ldIng of the charitable company and irs eDviroomenl obtained in the course of
the audit, we have Jjot identified ma*rial misthiements in the Report of the Tn￿￿¢$.
We have nothing ￿ report in respeci of the following matter5 wbere th¢ Companies Act 2006 requir¢s us to r¢port to you
if, in our opinion..
adequate accoullting recordshave noibeen kepi orrentsms a￿llate forouTaudit have noi tten received from bran¢h¢s
not visiied by us," or
the fmancial statements are noi in agreement with the ￿Unting rwds and Teturns" or
¢enain disclosures of tslLSittS' remuneration sp¢¢ified by law are not made,. or
we have not received all the infonnaiion explat)ati(w we require for our audiL
Responsibilities of trns¢tts
As explained rnor¢ fvlly in the sta￿￿en1 of Tru5tees' Responsibilities. the trustees (who are a150 the directors of the
charitsble company for the purwses of cornpaDy law) are responsible for the prcpatation of the f￿ancial statemen¢s and
foi being satisfied that they give a true and fair view, and such internal control as the tsusitts detemiine is necessary
io enable the preparation of f]nan¢ial siateTnents that aTe free from Ma￿rial mi￿￿temen( whether due co fraud or e￿Or.
In preparing the fmancial s(atements, the tsusieesare reswjnsible forassessing the charl￿bleCOMpanY'S ability to continue
as a going concem. disclosing, as applicable. matters rela*d io going cO￿¢M and using the going wncern basis of
accounting unles5 the trusiees either intend ￿ liquidate the ¢l)ariwble cotnpany OrtoCe￿ operydtions, or have no realistic
altemative but to do 50.
Our responsibilities for the #udit of the financial Statements
Our objectives to obtain rcasonable a5sufdnce about wbether the f￿a￿la1 sthiements as a whole are free from material
isstatetnenl. whether due to fraud or errol. and to issue a Report of the Independeni Audi¢ors thai in¢ludes our opinion.
Reasonable assurdttce is a high l¢v¢l of ¥suron¢e, bul is Thoi a guardniee thai an audit conducted in accordance with ISAS
IUK) will always detect a material tnhsstatemeDt wheD li exists. Mi5StatetneDts can arise froTn fraud or error and are
onsidered material if, individually or in the awegate, they could reasonably be expected to influence the economic
decisions of users taken on the basis of these fillallcial statelllents.
There were no irregularities. including fraud or n(ffl-¢ompliance with law regulatio￿5 d¢t¢ct¢d.
A further description of our responsibilities for the audit of the financi81 stsiements is located on the Financial Reporting
Council s website atwww.frc.org.uklauditorsresponsibilities. This descripiion fomispart of our Report of the Independent
Audiiors.
Use of our report
This report is made solely kn the charitablc compan￿$ memljers. as a body. in aC￿rdance with Chapier 3 of Part 16 of
the Companies Act 2006. Our audit work has been undertaken so that we might stste to the charitable company's mernbers
those Tnatters we are reqU￿d to sthte 10 them in an auditors. report and forno otherpurpose. To the fvllesi exieni perniined
by law, we do no¢ accept or assume rewnsibility to anyone other than the ¢han'thbl¢ cornpany and the cbaritsble
company's members as a body. for our audit worl for this Teporn or for the opinions w¢ have forni¢d.
ffendi MBA FCA (Senior Statuiory Auditor)
for and on behalf of KJA KilneT Joljnson Lid
NeNork House
West 26
SNbs Beck Lane
Cleckheaton
Wes¢ Yorkshire
BD19 4TT
Dat¢.'

BTadfoTd Cyrenians Limii¢d
Statement of Financial Activitie5
for the Year Ended 31 M•r¢h 21121
2021
Total
funds
202
Total
fuDd5
Unre5tri¢ted Restricted
funds
funds
Notes
INCOME AND ENDOWMENTS FROM
Donaiions and legacies
468.643
48,108
516.751
356,912
Ch*ritablt activities
Contrn¢hLal in¢ome from HRS
Provision of Accommodation
203,444
769.688
203,444
769,688
195.000
820.477
Other income
48
48
504
Tot•1
1,441.823
48,108
1,489.931
1,372,893
EXPENDITURE ON
Charitable aetivities
Provlsion of Accomtnc%Jation
Men Standing Up
1,308,674
I J08.674
99.548
.155.550
105,180
99.548
Total
1,308.674
99,548
1.408.222
1.260,730
NET INCOMEI(EXPENDITURE)
133,149
(51,440)
81.709
112,163
RECOL¥CILIATION OF FUNDS
Total funds brought fonyard
349,836
51,440
401.276
289,113
TOTAL FUNDS CARRIED FORWARD
482.985
482 985
401276
The notes fonn part of these fllthncial statements

Brndford Cyr¢niaDs Limited
"B*l*n¢e Sheet ""
31 Mareh 2021
2021
Tot21
funds
21)20
Tot41
rund$
Unr¢siritt
funds
R¢5tricted
fund5
Notos
FIXED ASSETS
Tangible assets
io
68.847
68.847
77,170
CURREPU A&SETS
Debtors
Cash in hand
40,905
40,905
399 109
15.666
440.014
440.014
375.571
CREDITORS
Arnounts falling du¢ wiihin one year
12
125.876)
(25,876)
(51.465)
NETCURRENT ASSETS
414 138
414 138
324 106
TOTAL ASSETS LESS CURREf4T
LIABILITIES
. 482,985
482.985
401276
NET ASSETS
482,985
482 985
401,276
FUNDS
Ilnrestricted fitnds
Re5tricled fvnds
13
482,985
349,836
TryfAL FUNDS
482 985
401276
The financial ststeTn¢nts were approv¢d by the Board of Truste¢s.and authorised for issue on 20 July 2021 and were
signed on its behalf by=
fj,L
J Butlw.- TrUs￿_
The notes foTm part of these financial Sts￿ments

Bradford Cyrenffians Llmlted
Ca$h Flow Statement
for tbe Ye*r Ended 31 M*reh 2021
2021
2020
Cash flows from operating #ctivities
Cash generaied from operdtions
Net cash provided by operating aciiviiies
Cash flows from investing activities
Purchase of tsngible r￿ed assets
cash used in investing activiiies
l9610)
Change IA cash and eash equivalents in
the reporting period
Cash and cash eqDiv4lent$ at the
beginning of the reporting period
39204
53,063
Ca$h 4nd c39h ¢quivxl¢Dt$ at th¢ end or
the reportiDg period
359 905
The notes forni part of these financial statements
io

Br*dford CyreDians Limitfd
Note5 to the Cash Floiv Ststem¢nt
for the Y¢ar Ended 31 Marfh 2021
RECONCILIATION OF NET INCOME TO NET CASH FLOW FROM OPERATING
ACTIVITIES
2021
2020
Net income for ibe reporting period (as per the Ststement of FiDxncial
Aetivities)
AdjustmeDts for:
Depreciation charges
Increase in debtors
Decrease in cteditors
81,709
112,163
13,265
(25,239)
10.249
(105)
Net Cash provided by operatioD$
ANALYSIS OF CHAJYGES ILY I¥ET FUNDS
At 1.4.20
Cash flow
At 3JJ.21
Net casb
Cash at bank and in ljand
359.905
Total
359.905
39.204
399,109
The noies form pan of these financial statements

Bradford Cyrettiarts Limited
Ntste$ to ihe Fin*nci•l Statemetsts
for the Year EDded 31 M*reb 2021
ACCOUNTING POLICIES
Basis of preparing ib¢ f￿anCial st*temellts
The financial staternents of the charitable company. which is a public benefit entity under FRS 102. have been
prepared in accordance with the Charities SORP (FRS 102) 'Accounting and Reporting by Charities.. Stsiement
of Re¢ornmended Prdctice applicable to charities preparing their accounts in accordance with the Financial
Reporting Standard applicable in the UK and Republic of Ireland (FRS 102) {effective l January 2019),. Financial
Reporting Standard 102 'The Financial Rq￿rtIng Standard applicable in the UK and Republic of Ireland. and the
Companies Act 2006. The fllwJ¢ial ststements have been ptepared under the historical Cost convention.
Ineome
All income is recognised in the S￿￿men1 of Financial Aciiviiies once the chariry has en(iilement io the fiwd5, it
is probable that the income will be r￿e1Ved aud the amounr wi be measuroj reliably.
Expenditur¢
Liabilities are rewgnised as expenditure ls soon as there is a legal OT eonstructive obligati(m committing the
charity to that expendiDJre, it is probable thai a trdllsfcr of economic benefits will be required in settlement and
the amount of the obligation can be rn￿Sured reliably. Expcnditure is accounted for on an accruals basis and has
been classified under headings that a88re8ate all c(tr￿ Telated to the category. Where costs cannot be dlrectly
attributed to particular headings they have been alloCa￿j io xtiviiies on a basis consistent with th¢ us¢ of
resources.
TaDgible fixed assets
Deprcciaiion is provided ai the following anDual rates in order to write off each asset over its estimated use￿]
life-.
Leasehold lrnprovements_ 50/0 Straight Lin¢
Fixtures, fittings and equipm¢nt- 25% Strdighi Line
Taxatiots
The charity is exempi from ¢orporaiioo lax on its ¢baritable activities.
Fund aCCOUDting
Unrestricted fiumts cart be used in accordance with the clwitable objectives at the discretion of the truS￿e$.
Restyicted filnds can only be used for paniwlarT¢5tyiCt¢d purp05¢s within the objects of th¢ charity. R¢stTictions
arise when specifled by the donor or when fuJKls are rdised for particular restricte4J purtx)ses.
Further explanation of the rtatore and purpose of each ￿nd is included in the noies io the financial 5taiements.
Hire pllrchase and leasing commitments
Rentsls under operating le&ses are charged to the Statement of Firwicial Activities on a strai8ht line basis
over the period of the lease.
Pension eosts and other post-retirememt benefits
The charitsble company operaies a defmed contribuiion pension ￿heMe. Contributions payable to the charitsble
company's pension scheme are charged w the Stsiemeni of Financial Activiries in the period w which they Telai¢.
12
ontinu¢d...

Bradford Cyrenians Limited
Noles t• the Fin#n¢i*l Statements- ¢ontinu¢d
for the Year Ended 31 m￿¢& 2011
DONATIONS AND LEGACIES
2021
2020
Gifts
GTants
Job reiention sch¢me
12,985
486.571
3.062
353.850
516.751
356.912
GrdDts r&eived, included in the aiK>ve. ar¢ ￿ follows..
2021
2(I20
Other gran¢5
486 571
353 850
INCOME FROM CHARITABLE ACTIVITIES
2021
2020
Attlvlty
Contractual income from Iliis
Provision of AccoJnmc¥Jation
COntractt￿l income
Housing benefit
203.444
769 688
195,000
820.477
973 132
1015477
cHAR￿A￿LE AcrtVlTIES COSTS
Support
costs (see
tes)
Provision of Accommcdaiion
Men Standing Up
1.308,674
99,548
1408 222
SUPPORT COSTS
GoveTn*nfe
¢05ts
Management
Tota15
Provision of Accommodation
Men Stsnding Up
1.303.766
99.548
255
4.653
,308,674
403 314
255
1408 222
13
continued...

BradfoTd Cyretyla￿s Limited
Notes to tbe Financial St#ttJnents- ¢ontinued
for th¢ Year Ended 31 M#r¢h 2021
NET INCOMEI(EXPENDITURE
Nei incomeJ(expendiwre) is slated ¥ft¢r chargin￿{crediti￿8)'.
2021
2020
Auditors, remuneraiion
Depreciation- owned assets
Other operating leases
4,573
13,265
215933
4,454
10.249
253 229
TRUSTEES, REMUNERATION AND BENEFITS
There were no tsustees. remuneration or other benefits for the year 31 Mw¢h 2021 nor for th¢ year ended
31 March 2020.
Trustees. expenses
There w¢r¢ no trustees, expenses paid for the year etthd 31 March 2021 nor for the year ended 31 March 2020.
STAFF COSTS
2021
2020
Wag¢s and salaries
Social security costs
Other pension costs
753,810
56.268
643.274
43.112
837.276
71J,658
Th¢ average monthty number of employees during the year w&$ as follows..
2021
43
2020
41
Employtts
No employees received emolumenis in excess of £￿.(#)0.
COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTIVITIES
U*restricted
fuDds
Restricted
funds
Total
funds
INCOME AND ENDOWMENTS FROM
Donations and legacies
242,822
114,090
356,912
Charitable activities
Contractual income from HRS
Provision of Accomm(xlation
195,(XJO
820,477
195.000
820.477
Oth¢r in¢otn¢
504
504
Total
1.258.803
114.090
1.372,893
14
contitiued...

Bradford CyreDians Limited
Iyotes to the Financial Statements- continued
for the Year Ended 31 March 2021
COMPARATIVES FOR STATEMEIYT OF FINANCIAL ACTIVITIES- continued
Unrestricted
Restricted
fund5
fllnds
Total
funds
EXPENDITURE ON
ChAriiable aetiviiies
Provision of A¢eomm(*Jation
Men Standing Up
1.133,288
22.262
105,180
1.155.550
105,180
Total
1.133,288
127.442
1,260.730
NET INCOMEI(KXPENDITURE)
125,515
(13.352}
112.163
RECOIYCILIATION OF FUNDS
Total funds browght forward
224J21
64,792
289.113
TOTAL FUNDS CARIUED FORWAIID
349,836
401276
io.
TA]YGtBLE FIXED ASSETS
Fixture$
and
rittings
Long
Itasehold
Totals
COST
At l April 2020
Addhiions
63.061
52,416
115.477
At 31 March 2021
120419
DEPRECIATION
At l Aprhl 2020
Charge for year
12,668
25.639
38.307
At 31 March 2021
14,716
36,856
51,572
NET BOOK VALUE
At 31 March 2021
At 31 March 2020
15
coniinued...

Brxdford CyreDiall$ Limtted
N•te$ to the Flnaneial Statrm¢nl$- ¢ontinued
for the Ytar EDded 31 March 2021
DEBTORS.. AMOUNTS FALLING DUE WITHIN ONE YEAR
2021
2020
Trdde d¢btors
Other debtors
Prepayrnents and accNed inc(vne
39,487
1,039
379
5,005
1,039
9.622
12.
CREDITORS: AMOUNTS FALLING DUE ￿T￿llN ONE YEAR
2021
2020
Trade creditors
Social security and other t&xes
Accrnals and defevred iticotRe
9.730
11,586
18,120
10.387
13.
MOVEMENT IN FUNDS
Net
movern¢Dt
[￿d5
Trarysfers
between
funds
At
31.3.21
At 1.4.2
Unr¢stri¢ted funds
Gen¢ral fund
Sinking Fund
Pla[￿ed Works
Landlord's Responsibility Fund
264.836
40.0(X)
25,0(X)
133.149
{5.000)
392.985
40,000
25,000
349.836
133.149
482,985
Restricttd fllnds
MSU
51,440
(5 1,440)
TOTAL FUNDS
401276
482 985
Net movement in filnds, included in the above are as follows:
Incoming
r¢wur¢¢s
Resources
expended
Movement
in fund$
Unrestricted funds
General
1,441.823
(1,308,674)
133,149
Restricted funds
MSU
48.108
199,548)
(51,440)
TOTAL FUNDS
1.489.931
1.408 222
16
continu¢d...

Bradford Cyreni*n5 Limited
Iyotes to the Financial Statement$- continued
for the Year Ended 31 March 21121
13.
MOVEME]4T IN FUNDS- eontiDued
Comparatives for movemeDt in funds
Net
movement
in fwuds
Tr4nsftr$
between
fund5
At
31.3.20
At 1.4.19
Unrestricted funds
General filnd
Sinking Fund
Planned Works
tthndlord's Responsibility Fund
204J21
20.0(KJ
125.515
(65,000)
20,000
25,000
264,836
40.0(X)
25,0(X)
224J21
125,515
349,836
Regtrlcted f￿ndS
MSU
Floating SUp￿rt Officer
42,530
22262
8,910
22.262)
51,440
TOTAL Fuf4DS
289.113
112.163
401,276
Comparative net movement fund4 included iD the above art as follows."
Resources
expended
Movement
in furtds
resourte$
Unrestrieted funds
General fund
1258.803
(1.133288)
125,515
R¢slri¢t¢d funds
MSU
Floaiing Support Officer
114.090
(105.180)
8.910
114,090
127,442
13.352
TOTAL FUNDS
1372 893
I2￿ 730)
112 163
Transfers betweeD lunds
As at 31 March 2020 the rrusiees agreed that£65.￿0 should be ￿ansfer￿1 from the gener81 fimd to the following
designaied fvnds..
Sinking Fund
Planned Works Fund
Landlord's Responsibility Fund
£20,000
£25,000
£20.000
17
continued..

Bradford Cyreni*os Lin)ited
Not¢$ to the Flnane5al Statements- continued
for tbe Ye*r Ettded 31 M*reh 2021
14.
RELATED PARTY DISCLOSURES
There were no related party transactions for the year ended 31 March 2021.
18

Bradlord cyren1a￿S Limited
DetaAied St¥4tement of Flnaneial Aetivlties
for ibt Year Ended 31 Mareh 2021
21121
2020
INCOME AND Ef4DOWME
Donations And legaeies
G5fts
Grants
Job retention ￿heme
12,985
486,571
3.062
353,850
516.751
356,912
Cbaritable 8ctivities
Contractual income
Housing benefit
203.444
769 688
195.000
820 477
973.132
,015.477
Other Ineomt
Batth interest reteived
48
504
Total IneomlD8 resotsrces
1.489,931
1.372.893
EXPENDITURE
Support costs
Management
Wages
Social security
Pensions
Rent
Ra￿S wa
Light and heal
Postage and Stationery
Sundri&s
Repairs and maintenance
Subscripti¢)n5
Motor expenses
Estsblishment expenses
Offlce costs
T¢lephon¢
Insuranc¢
Staff training
Long leaschold
Fixtures and fittings
753.810
56,268
27,198
215.933
5.870
28.085
2,356
18,907
77.236
5.915
21,898
90,939
60,901
11.838
9.601
3.294
2,048
643.274
43,112
27,272
253,229
5.021
21,109
3,294
6,770
47.672
7.8(K)
13,647
94,455
54,149
9.721
9.679
5,427
2,048
1,403,314
1255,880
Finance
Bank charges
255
396
Governance costs
Auditors. remuneraiion
Carried fonvard
4,573
4,454
This page does not forni part of the ststhtory financial th*memts
19

Bradford Cyreniawjs Limited
Deiailed St4¢ement of Financial Aetivitie5
for the Year Emded 31 M*rch 21J21
2Q21
2020
G•vernance costs
Brought forward
Legal fees
4,573
80
4,454
Total resources expended
408 222
1260 730
Nei income
112 16J
This page does noi fonn pan of the sthmtory fuwKial statements
20