Rytrred Cbarlty Number: 1055187
Registered Company Nwnber. 03lb800(￿ (Ellgland and Wales)
ACE OF CLUBS (CLAPHAM)
(A company limited by guarantee)
REPORT OF THE TRUSTEES & D]RE￿oRs
2nd
trNAUDITED FINANCIAL STATEMENrs
FOR THE YEAR ENDED 31 JULY 2021
Suiie 5
6 Great orn￿ThJ Street
WCIN 3RB

Ace of Clubs (Claphxm)
Content8
Page
Reference and athninstrative detai18 of the tharity, its trustees and advisers
Report of the Trustees
Independent Examiner's Report
Statement of Financial Activities and income & expenditure account
Balattce Sheet
io
No1¢8 to the Financial Statements
11-15
The followlng page does not forni part of the flnan¢lal 8ta¢ements
Dctsiled Siatement of Financial Activities
16
Appendix
17

Ace of Club5 {aApham)
RefereDee 4nd admin•trAtiv¢ detall5 of the eb*rlty. Ets trll8tfts *nd advlsers
for the yeAr ended 31 Juty 2021
Trustees and Dlreetors:
The Tnmees we tbeirtime vohmtsTily and without
remuneratiotL Thcy we TrKmb¢rs and the Ttwtees ofthe
Congrcgation of the Most Holy Red￿￿ and We￿ for the time
Rev T. Buckley C.SLIL
Rev k Burrts c.ss
R¢v C. C¢)rTigaD C.S8.L
Rev E. Gwtm¢ C.S&R.
Rcv C. R8ndaEI C.S5
R¢v IL Reid QS&l
Company Seeretary:
Rev M Taylor C.S8.IL
Memben of Trustees,
Managemellt Committee:
Rev E. Gw¢m6 C.S&
Mr D. J08hi
Mrs V.A.
Rev P. Morris C.&.R.
Mr F. Ortega
Rev C. Simba Mtthabva C.Ss.R.
Dlrector..
R¢v M. TaylorC.S&
Rogl$tered offlce:
Ace of aub8
St AlpknAM Road
Cl4pham
LAnXtDn SW4 7AS
Independent VJxamiDer:
M&l*san & Co
Sollcl¢ors:
Pothecary Wilham Weld
70 St George¥ Sqwe
Li>tKlon SWIV 3RD
Bankers:
HSBC Bank plc
117 Balham High Road
B4]ham
LJ)Trlon SW12 9AS
Charlty reglstered number:
1055187
Company regtstered number: 308(M)66

Ace of Clubs {Clapham)
Report of the Trustees and Directors
for the yeai ended 31 Juty 2021
The Trustees (wbo are also diredors of the ¢harAty for the pwp08e of the Comp2nies Act 2006) present their
annua] rew)rt with the unaudited f]naDcial stst¢J￿ts of th¢ chan.ty foT the year ¢ThJed 31 July 2021.
Thc financial ststeEt2ents have been prepared in accorda￿ with thc accounting policies sel out ID Note I to the
fillaneiai statements and comply with CUTTent siatutory requirelluts of the Chariiy's Tn￿ Drt tbe CompgJJies
Act 2006 alld "Acco￿ttA8 aDd Rwting by Clwrities.. Ststell￿t of Recom￿ed Practice applicabl¢ to
charitics preparing their accounts Rn wlrdalltt with the Financi￿ RetM)Tting Stathlard arvlicable iti the UK and
Republic of Irelalld (FRS l(r2)'
ObJe¢tlve# Actlyltl
Polleies and obJ¢¢dv
The Ac¢ of Club's mission statement is '. ￿fe off the stre4 h¢lp onto yow f¢¢t...SUNK)rt foT the bomeluB and
vulnerable."
Ill line with thi8 mi8sioD 8tat¢mm the priwipAI objrxttve8 of the Clwity gr¢ ty pronM)t¢ and provide for the
relicf of povcrty, the advancen*nt ofedwAtion atyj und¢rtakc other charitsble work through the provision
open-&cee$s day4eDtr¢ for tbe homeleu. vuiDerthl< disposses￿ ard most vuln¢rable in SLKiety. The aim is to
not only uddre55 inunethate bljman le.g. hung¢r) also lo go alK)ve and beyoNI s￿h needs by Tnaking a
differenc¢ to clients. lives thTOU8h transfoTJn*iv¢ 5upF￿ (¢.g. traillin8 and eductition).
Publle benellt
Further to the objectives %t out above. the 'frustees ￿ve considered the genernl 8uidance publish¢d by the
Charity ComMi￿10n r¢l&tin8 to publLC b¢n¢fit when r¢vi¢wiD8 the ¢haritits o¢tivitiK in plrtlc￿ar 8uidattce on
the prevcniion or reli¢f ofpov¢rty.
Acttvltleg for •¢hlevlttg obJectlve4
Acc of Clubs is 8 fr¢e. open A¢¢e58 oUtre￿h projeet (day cknl.
AIthou8h bas￿ in Clapham, and the borough of Lamw we wekome ALL homel¢ss. vulnerable 8TxI
dispossessed and do NOT di5¢nminaie (Trn the b￿lS of age. raee. wlour. re1w.0￿ nationk] origin. sender. s¢xuol
orientAtion. marital gtatus, or disability.
The Club constitutes a safc spacc and pla¢¢ lo rel4 wh¢r¢ all thos¢ WI￿ w41k throu8b our doors can fccl
resp￿ted, ablc to trust thc slaff and hav¢ a seThse of bclonRin%.
The Club has dev¢lopcd ov¢r time into a sophisticated one-SWI shop. offtTiDg a range of xrvices that addresses
immediate hum8n rteeds of the horo¢les4 swlnerable. dispO&￿sSed, isolat&l ¥ttd otherwise mar8Lnalised. bui that
Also consti￿res tyatt8fonDatsve support thai helps to chaD8e peoples. livLq for the better and also pemunettily.
The rn18e of servicu in¢lud4 but is llot ]in]it&l to. the follow :_
Hot meals
Coffee and t¢a bar
Hot food takeaway service
Food bank
Hot showeTS
Clothesltoiletries Store
Laundry facilities
In-house NHS nurse
NHS d¢ntsl van
Case-worhD8
Counselling
Education 8nd training

Ace of Clubs Icjapham)
Report of the Trustees and Directors
for the year ended 31 July 2021
IT suit¢ and facilities
Mobile phon¢ rcchargmg
Provi%ion of temporary rnail athlr&
E￿Y travel 8&siSta￿e
Veterinary ￿lStanCe for the fu￿ friends and companions of homeless
Help in obtsining ¥cconln￿ti0n ard getting off the Streets
Trlousitig advie¢ aDd assistanct
Wclfare adyice and L5sisthn¢e
Lan8uag¢ assibtanc¢ and translation
Hclp in obtaining ID foT purpo8e8 such as ¢)pcnin8 bank a¢￿Unts and facilitating traY¢l
The Club is open every weekdAy. ALL yeary0w￿ includuw btDk I￿liday0 specifically CfrristsM$ day.
Aehl¢ven)enti gDd performattt¢ for the y¢•r 2￿2￿2021
Revlew of Actlvldes
General
Th¢ Ccntre continues to be in¢Tc￿lDvJY and consistently busy.
C()vid forLed Ace io r¢considcr and reformu￿t¢ its activities accordingly be88n operatrn8 o hot food
take&way 8erYice from the first loek-down in ￿OrdanCe with s¢n"a Government protocols in March 2020. The
period undcr r¢vicw (August 2020 to Jthy 2021) bas all tsken p]Ace within cont¢xt of the Covid pandemi¢
and has Wth£￿e￿ the contilluatsoo of hoi fotsd tskeaway 5erviee for the full tsvelve nk)nths.
The need belnK &ddreMed.
As a result of Lovid lo¢kdowN ￿eSS to food by the hon*le4 vulDer¥ble atrj disposges8ed becamc
Compromised and re8tricted with the clostng of llh)st thkeaw8y food ourlets aryl other outrejch projects.
Moreover. Such individuals did noi bav¢ the resiHLW or Hbility to Queu¢ for limit&d access to $up¢mwkets.
From fecdback I￿1Ved frorn our clionts. volunteers alld liwying with othky outr¢a¢h projccts, there an
idelltifJAblc necd of hardship and bu￿¢[.
We antiLipatc th&t the nced thai ar08e during lockdowm will continue After lockdowD is lifted 8nd will pers¢vere
aftcrwards when the full effects of Covid 19 (inclwling economic cotwu¢nces) 8re feli by society. With
foTecast of austerity ahead of u4 the from h￿d51Mp s￿1 hunger will only be eya¢¢thted.
The me*nJ by whlcb th1% n¢¢d w*1 Iddres￿d.
During the pcriod ￿der Tevi¢w (Aug￿ 2020 to July 2021) Ace Df Clubs continu¢d to curtail its nornmi
of op¢rntson5 and re.focwssed its e￿￿leS alxl TCSOw￿s inlo what was ¢onsiderEd nM)st needed and fcasiblc.
Ac¢orth'n8ly. througb physical reorganisation ofits kitchcll f¥ilities and acc&%8 routes. Ace of Clubs WDtitiued
to provide a hot f¢)od takcaway service and food operaliD8 vuder strici G0vernn]e￿t protocols {e.8. s￿181
distan¢ing) so as to address the needs from hardship and of hunger. These DR41s w¢re provided for frtt.
Due to a Covid 8we, the C¢tth closed ¢on4)letely sbort perMMI of two wrek5.' I￿¢ver, theTe was not a
single confinned case of Covid ernonakng from the Centre.

Ace of aubs Iclapham)
Report of the Trustees and Directors
for the year ended 31 July 2021
All ￿n￿ys15 of numbers of meals provid￿ forthe )r8r u￿￿er Thi¢w is we￿be￿ow.
Totsl..
Hot
Meals
50wttk8
August 2020 10 Sltly 2021
Tothl
34.443
Weekly
AvrrdR¢
688
Dailv
Av¢raAe
137
A¢e does noi discriminatr on eatt we our servt¢¢& and w has vrithes*J 8ervice coming from ￿)1￿0￿.
Greater Londo￿ and as far afield &5 Enfield Essex.
We believe that we have been one of the few, may be only. outrt&h proieth that has been open Mottday to
Friday continually throughout lockdown.
Ail hot mea]J are prepared from USiD8 fresh i*ienty on a daily buij.
We T¢¢0￿11&e thai the fooifa]I w¢ have witnessed 1$ testsn￿l to the prov¢n effectiveJ¢6s of *tternpting
4ddres8 the nceds arisinB from hardslup, panieu]arly hunger. We have ¢Thpirieal evidence our hoi fo(xl
takeaway meal has sonktimes been the only I￿1 that some clients hove been able to (A)tsin on a daily basis
durin2 the vor]0￿ Covid lockdowm and pandemi¢.
Outllne of how we have nwnltored #nd recorded the numbers of people hdpe
We undertAke stri¢t policie& Procedures aDd proto¢o18 at Ace of Clubs, ijKludiD8 ii8orous dats e4)ti0
Accordingly, ￿ordS have been kept on g daily lfrom a ph￿.￿1 COUDt) of the llUmb￿ of servi¢¢ user5
acc¢5sing our hot food tskc&way service. Wher¢ e4nerwy ￿e￿WorkIng 8150 provide4 detailed client
record5 have also been kept.
Ace of Club%, tKw initiative, of a knt f¢xKI takeaway seryicc that Wa8 prO￿ded free of charg< has provided
uniqu¢ and mu¢h necded 4¢Nee durinA Covid.
This hos s&tisfi¢d demon5trabl¢ rLeeds- portiadady ful8￿181 Iwd51up and buD8er.
Food d¢llYery ADd partDer9hlps
Meftls PTovided at Ace of Clubs are pTepATed from Scratch with freth inyedi¢nts by our Suithbly qualified in-
hous¢ ¢her.
That prcparatioD takes place ID 8 State of the an kitcbcn that compli¢s with all health and ￿fety r4uiremcnts
atLd thal qualifies for the hiRbcst h￿"ent slandard (r*in% 5).
The meals provided (and particulorly the h)t food take8￿Y service) 8r¢ made p(Ksiblc by th¢ food donatioLs we
receive from our fcM)d parthers (see app￿dix).

Ace of Clubs Iclapham)
Report of the Trustees and Directors
for the year ended 31 July 2021
Ate volunteeriog
Withvut our votuntecr& the C¢ntre would noi be able to achieve all it dijes. This SUPFA)rt Con￿ from a raoge of
volimteers including: local resid¢nts' Students. frn atbj curreth ¢liems' W0￿p1aCe teattk8 their co4Mx3te
responsibility programm￿ (see appendix).
Ace of Clubs has proactivety its Vol￿ pro8ramD* to ertsure that it is eoryliant with best practice,
ther¢by ￿h]eTring the maxin)um benefit for the Club's cliajts but •]so that t￿ vohmteers obtain
worthwhile experience too.
A new volunteer ptslicy and procedure has b¢¢)) ititr(xlwed to tbat prospxtive ￿ndIdateS att suitably
Yctted but also to ¢nsurc thjt th¢y ar¢ appTopriat¢ly safes￿d￿l.
Relwted p&rties
Ace of Clubs 1$ ultimately controlled by the CoD8Tegation of thc M05t Holy Redeenwr wkn.ch continues to
provide prcmis¢s at a heavily sUbS￿l8ed reDtAI of £30,(KK) w annunL The Congregation al80 oversees the
maDa8ern¢nt of two charity shops (iti th¢ Clapbam and Balbarn). with the objective olg¢ncr4ting profits which
which are rlllg.fa￿ed and can only bc wed as wt based foT the Ace of Club8 clwiry requesL
Ace of Clubs is related to Redemptorist Publicatson4 a re8LSter&J clwity. by virtue of th¢ comrnott Control by
th¢ same group of Trusl¢es. RedempLoroist Publications ￿&0 provid￿ pa￿*11 attd administtative wvices to the
Club. includin* pa￿nent of salaries in advance of Teimbur8cmut.
FlnanelAI Revlew
The full detAi18 of the financial activitiu of the Cb4Tity are sh)wn on the followin8 Pl8es of the Report and
Aewunts. Th¢re a surplus for th¢ year of £33.076 on unreBtricte4J fill￿6 (2020.. £102229).
Donations and 8rant8 Ke¢¢ived from a corttbitiation of cbaritsble other ¢b4rities. iDdividuais.
businesses, chu￿he8. schools and ev¢nts. Details we ￿'Ven in Not¢ 2 of the Aecounts. No &tatutory or
A0venun¢￿ fuDdinR 18 TEc¢ived by the dwity.
Thc Trustees ar¢ grniefid to everyon¢ sUP￿rted th¢ C￿rity during this financial year. both br8e and
small. which enabl¢s the chartty io carry out its Val￿ble w)rk.
rundraising eonlinu&4 to be the rTK)St $i￿1fte￿nt Priority, So as to supm the vitsl s¢rvices provid￿ by the A¢¢
of Club3. The priority continues to be to develop fijrther lon84¢nn funding relation$hips that satisfy wre running
osts but also build on and diversify our L2LrreTJt funding rKNork. Th¢ charity however i4 not immun¢ from the
difficulties exp¢rien¢ed by other charities trying to raise fund8 itt a parn"¢ularly (￿llengin8 ￿onomi¢
enviroDmet)t. The Tr￿tte1 and thAng8ekwot ¢oIiJmitt•o will conti1￿0 tts vmrk to cxplorc n¢w avcllurs
for raising finance for the chaTitsble actiTritiN pur8L¥d by the Ae¢ of Club8.
The meal ticket ￿hen￿ OF¢Tated by the Ace of Ctubs faciiiW¢8 the 8iVitk8 of support to Vulntr￿le 8nd kntllcI¢ss
p¢oplc on th¢ street, but also provid￿ a valuablc Option for members ofthe 8eDer•l public lo support th08e less
fortuua¢¢ ill society by providi￿g access to th hot
Rlsk management
The TnLStees Conunittec have revie￿4 the Tisks ￿ which thc charity is exposed, in parti￿]￿r thos¢
Telated to the operations atrj finan￿8 of th¢ thrity. and are satisfied apprOp￿te Wntro18 are in p]aee to roitigate
its exposure.
Reseryes pollcy
Thc Tnthes keep the level of Rcserves uDder Teview. by employiD8 regularly updaled fortt&sts 8t￿ projeaions
of the know) pattenj of i￿Ome and the prowKd l¢vel of outgoEngs for at leasi twelve months 8head. An
UJJttStricted reservespoliey based on six nKkntlks forward ruDDing ¢osts has been as 8 prime indicator.

Ace of Clubs (Clapham)
Report of the Trustees and Dirertors
for the year ended 31 July 2021
The totsl fimds held as at the y¢aT t￿1 were £249.094 (2019 £147.149). of wthich £55.156 (2019 £35.131) w8S
Testricted fiuKls and £33.906 {2019 £54215) deS1￿￿ted fiwwj to cover the firtsw¢ deryyation of fixed ass
leavi￿ £160,031 unrestri¢ted reserves.
Targeted fijndraising applications aTe ft￿¢ to ¢over th¢ m08t wificant ￿8[5 of running the Ae¢ of Clubs (sueh
as stsff sal8ri¢s) 50 th* restricted wh rrt¢ived for t￿￿e pu￿ w￿1 ￿ Wili*] within 12 Dknnths of b¢ing
received.
Future plqnj
The Tr￿st￿5 aim to contitiue w develq) # 5trate8ic plan for the of the A¢¢ of Clubs for srowth in lerviees
offered but also atm to m4intsw tbe core servi￿8 which are ID ry d¢mand with their vu]nerable alld hom¢le&s
C￿ellts.
structur￿ governallce And management
Governlng document
The organisation is 8 chan"tsble Company limited by 8uar8n*. ￿￿ted on 14 July 1995 re8iSt¢red
Charity on 8 May 1996. Th¢ Company w&s e$tsbli8hed under a M¢D￿ra￿dUm of Association which established
the objects and powers of the Charitsble Company and is governed uthler its Articles of A&so¢iation. In the event
of thc Company bein8 wound up n￿MberS are rL¥]uired to coDtribute an amouni ex¢ctdin8 £1
Jn March 2012 th¢ Tn]ste¢s aMEn￿ the Charitys Articles of As8oci8tion to allow the fOrn￿tion of a Truste¢5'
Mana8ement Cornmittee. Th¢y have dele8at¢d day to day mao&8ement of the Ctwity to this Cornmitie¢. This
consists of three Redemptorists Ind up kn five non- RL4Jenym from the loca] c4)mmurrity.
Oryinlsathn#l structure
Ther¢ is 8 tri-partit¢ m￿gem¢￿t in pl4K coNi8tin8 of ..
The Tntste¢5
Th¢ Tru$t¢es' Coromitt¢¢
Centre M&nagem¢nt
The Tr￿$t¢¢8 arc responsible for the stratrgi¢ direction policy of the charity. and have through the
committee regulations. delegated all matters rt18ting to the day-to*l&y Th8nagen￿￿t arKI operntion of the charity
to ihe Truglee's Committee.
The Trustees, Cornmitt¢o me¢ts on a basis.
The day to day re5POrt5ibility for the prowxinn of serw¢¢s by the ch•rity ia th¢ ￿lbIlIty of thc DIr￿[or.
a85isied by the Centre M4n8ger, other staff, with the ￿l$la]￿¢ of voluDte¢rs.
ReerultmEot And AppointmeDt of Dew Tr48t¢
Th¢ Tn]stees are elect¢d by the mcmbers of the Congrewion of tbe Most Holy R¢deew for a perh)d of four
years, with th¢ tK>&sibility of re￿]￿lI0n at the end ofeach four yw period. In all n)atter8 rtlating to fuwjce and
civil law th¢ TrI￿te¢S ar¢ aw￿ of the itDPOrtawe of srtkm8 appropri* profes8iODal advice.
Trustees aTyJ committee members receive an llMlu¢tilM] briefy aDJ are give￿ an i￿th￿tiOn pack with detsils of
the constitutiotj and about the work of the charity. Arrangements are also made to ensure that visits to the Centre
are nJad¢ on a regular basis, SO as to witws the ot¢ratiotLS of the ¢Fthrity fitst baThl.

A¢•of Clubs ia•phaml
Il•portof th•Trust*sand DlYertor5
lorth• ythr•nd•d 31 Jthf 2021
Statement olTrust¢e5' rngPDDsffibll¥ties
ThB Tn¥tses Are ￿5￿￿Ible for fryEpafiD8 the TnLS(¢e5' Anlluai Report fjlld tht fiD80c￿ *atetneDts iL
a¢¢ord•)¢E applicable laws 4nd r¢8ulatioDs Cotty>ally law reqwres th? tnwee5 to ptEpate fjJtgll¢iol
Ststem¢Lts for ea¢h ]knL¢iBI w. Uttd¢t rbw ]aw thev Bre KequiTed to prep*E th¢ ftrjauciat Sta¢M￿
illcludillg FRS 102 The FiDaD¢ial Repoth8 Slatsdtrds 8pp]i¢able * the UK alld Repub]i¢ of Ir¢len& Un
¢ozllpatty law the Trlths ttutst not 4pprov¢ the finttts¢i41 stateDwts th¢y Aft sats5f￿￿ th&t they 8iv* a
foil ￿ of the of tbe stete of Qlf￿9 of the ¢b8xititable cotopFlly attd of Ibe ex¢es$ of iucotr oTrrr
expenditure forth9twiod luprepw th¢se statetyJ¢Lts Tm8t¢es are ¥equTr¢d to..
• kle¢tStLtr£ble 8cCO￿tiD8 wb¢i¢s aodthEll apply therncotisists￿y'.
• si¥te u&ethet applicable UKA(WUTrty8 StaDd8rdshave be￿ followe￿ AtbJ'ec£to 8tyn)attrial dep*oues
di5closcdmdexplgJll¢d inthe statellwtg stat• and
The T￿teeS respotigibl¢ for keepiDg ad¢quate a¢¢o￿tiD8 r¢¢ords that art to show8Dd exploin th¢
haritsbie coDW￿￿S trO￿tGtso￿ 8tyd Ihsclose with rekgouable at attytime th¢ posiuoa of tht
charitable cowaDy 2lld enable them th ell8Ef¢ thar the fJJJ8ts¢ial cotswly the C(xYJp*ucs Aet
2006. Theyhave g¢t*r81 resEK)tssible fort8knD8 wtshsteps ¥ ¥ttr¢8¥0n￿1y0pOll to ro
ofthe charitsble CODJP0llj aDdpr¢veDtgllddetertof fraud 8lldots]zre8ultyritie
F¥)licies set out ￿the tythe acco￿ alld comply with thr charitys BovemiD8 do¢wnety, tht Chsrities A¢t
2Qll 8ttd A¢￿till8 a￿1 Repottmg by Chatities. Statell￿￿ of Prwire applicable to Ch￿￿tt£S
preparin8 th¢it aCCo￿ts Jll a£¢orth2e with FRS 101 Tr FiA¥A¢iql Repotti08 Ststthd applicable iti the UK
Jd Republi¢ofJtelaadpthlthd oll 16 Jui> 2014.
This reptrtWg5 appFov¢d aTLdauthoyised foriswbythe TnJ5%E￿ oll28 AprA 2m ar*1 wd on its bewby..
ONBEHALF OF THE BOARD
dai¢

Ac• of Club• ICl•phaml
Indawndent report
to the Tru￿￿1 of Ac• of Clubs I¢1￿•nI
forth year •nd•d 31 July 2021
I report to the T￿1885 on my e￿￿8￿On ol thè ac4xwJnts ol (aapthaml fc¢ the ￿ ended 31
July 2021 ¥%thich afe Set ¢Krt on pog849 10 16.
RESPECTIVE RESPONS18LmES t> TRUSTEES AND EXMIWER
Th8 Trusiee5. vtho ar& a150 the dwtct¢n of the wmparry frjr the purpow of￿￿panY l¥w. are res[￿84￿18 ts thè
prepar3￿0￿ ofthe acLoJnts in ac￿r￿an¢0 with the TequkÉments oflhe Companle5 Ad 200612006 Acll. Tho
TNstees consider thai an èudit is not rewirBd fly tr"s year uThYer 5eclfjon 744121 of lh¢ Chwiti85 20111tr*
Acll und•r Pwi 16 ofthe 2CKJ6 Nrtand thal an ¥¥J8p8rtdèrt ￿￿mInall0n1S needed.
H8vlno my88Nlh8t th8 at￿nts ofth? rw)t rtyjuired to b8 aLKlrtad uThJwP•rt 16 clth• 21)06
Act and are 81￿11)1￿ for Independent ex8minolh)n, il is myrnsFrfy¢its"Ity to..
11 ¢xamin¢ Ihe xcounls ur￿¢r 8e¢lion 145 of Ihe 2011 Art.
151 follow Ihe procedw•$ laid dovm in the Gener4 C*rttd¢n8 byth¢ Chwity CaMIW)n S￿￿On 1451SXbl of
the 2011 Act., end
llil stat8 %thelher pai￿￿￿8T mattorn hawt ccfft to my ati•thn.
Th18 T8p￿rt. Including my $totarneni. has twi pr•?￿j and th• Ch•iV• TnMt•a6 as 8 b)Jy. My
work h8s b¢en undertaken $0 Ih8l I mI￿t state ¢0 tha Cha¢W Trn6188s th068 malier5 1 am reqund to $tale to
them In an Indopen¢J¢nt ExarnM•¢s Rewxl 8rKJ no *Yh8r purp￿. To lh& hjlest extent permilted by Lw. I do
not #¢c•pt or 8$5um8 responslbilty 10 anyone olh8rthan tho Charlty and th• Chartlys TTSJ6te￿ as • body, for ffly
exomlnalth th, f¢r th{• r•prt ry ftx th• StOtem￿ I h•v• m•Je.
ASIS OF INDEPENDeNT eX￿liNE1r3 REPORT
My ex8min•tyw was carried crtjt kn &¢Wdan￿ ￿ the Genorel L*8(¥c￿$ by the Charfty C￿mIS￿on. An
ex8mlnatbn Ind￿leS a ol th¢ acwJnUno reecrfds kapt by the Chwity and a cthnp•rtsM (rf the aceount8
pr•sMted ￿1￿ thosè rocr*d8. tt 8150 indudos (XWhl8ralion ol any unu8ual It8m8 c¢ dlsdo8wes In
and seeking eW$￿tIOnS from yw ￿ trustees ¢OnCem￿ any luch motter¥. Thg prct•Jurns undèrtaken do ncl
provld• 811 Ihe evid•n¢• Ih•l b• in •n 4udM, and COn8￿uen1lY ￿ ￿lTr1￿ l& gtven •8 to ￿ether
the accoJnts Athj f* lh• T•wl kn IknN•d kn Iho¢• mottw• 181 tyjl In tho 8tètem￿I
below.
INDEPENOENT EXAIIINEf8 STATEPIEIIT
Slnc• lh¢ Ch8rlty8 gre4s Inc￿? •x¢•8ded £250.QCQ >oJi•ywdMr rrnNt bo 8 M￿bar cla body lited kn ￿¢￿On
145 of the 2011 l ¢Mfirm l am quallfied to ￿d￿rt•ke thg eyAffllnalkn by bFlr¥J o mth￿b*r cl Ihg
of Chart•r¢d C•rilN8d Accounianls. 18 the
I have completed my e￿rn￿8￿0n. l that no m•twW m•tters ha￿ eam to my •tt•)Oon kn
tho Oxarnin•t￿ft gi￿n9 ma ￿Jse lo be￿o¥P that in Anymwertol
1. accounting roctyds w• not kepl in respxlcl th• Cwwy x wuwv4J by 8•ctpx 388 offv
Comp4nie# Ad 2￿., or
2. the aLKounts do not accud wrilh those reryxd8" or
3. the accthjnts ijo the 8C(thmtMig of wuon rfthe 2C￿ oth•r th
any req￿r•M•￿t that the 8co>Jrt$ and ts a m•li•r ￿$bjerE￿ 9$ part of
independenl ex8rnin8bon'. or
4. lh8 accujnts ha￿ Mt been prepAr8d in 8ccordunc* i*th Ihe m8th)ds wnryles oflhe st•t￿ent
of Recomended Pracbce Icrf and rerothg by Chwlttes apphknab￿ lo tharile8 wepanng tho
a¢CL￿nts in a¢¢ordance th8 R8p(rfts"n9 StsThJard appkable kn thè UK Republic of
Ir•land IFRS 1021--
I haw no and have come acm55 (ther maiteF8 in ccnneclicn examlnationto attention
ba dr8wn In Ihi8 rry(¥t in ffllBrto 8 pwpor undwstsndu)g d the acowts to be reachod.
S Mah•san FCCA
Mahesan & Co
Suite 5. 6 Great Sfreet
London WCIN 3RB

Aee of Clubs (Cl8ph#M)
State)nent •f Fi￿￿¢1￿1 Activltles
In¢orPorati￿8 tbe income & expendlthre
ffor the year ended 31 Jllty 2021
2021
Total
fwidj
2020
Total
funds
ds D*n#ted
Ddj
Note
Note 11
INCOME
DonatioD8 alld 8T8Dts
2(K).634
150.9)7 351.541 420,003
Incomefrom ch4ri1(knle octivhie
Dropin eentre
381
381
10,361
28
28
201
Total Income
150 907 351,950 430 565
EXPENDITURE
Promotional and fiuKtr8isin8 expense5
Expe4dilure on charitsble o¢liwl
Drop-in centre
114
448
167.853
34.125
143.906 345,884 328,172
Tot*1 ¢xpeDdllure
167967
34.125
143 906 345 998 328 620
Net Income l{exp¢ndlture)
33.076
(34.125)
7,CKII
5.952 101.943
Tr8nJfer betweeD Fpnd•
28.700
(28.7(KJ)
Re¢onelllAllon ofthttd$
Total Funds bTought forward
80.032
113,gX16
55.156 249.094 147.149
TOTAL FUNDS CARRJED FORWARD
113 108
10848L
33,457 255,046 249.094
The ststement of fin&ttci￿ activitie8 incorpornt&8 income and ¢x￿￿J1￿￿¢ 8CCOUttt wthrthe Companies Act
2006.
The aceomp8nyits8 a¢couotiti8 p)licie8 and note4 form an int¢yal part of these finwial statements.

Ac*rfCTu￿ ICknph•ml
•* •t Iljtsty 2021
fvnth
funth
ranqlts￿ a550ts
961
45.706
34616
CURRENT ASSETS
D•btorn & Pre￿¥Th￿nts
C•sh It b•nk & In hand
6.693
110371
117,664
6.693
207.203
213A96
33.457
33.457
228.671
231.553
6177S
CREOITOAS: 0Th￿jnts klllrq du4
wthln on• y••r
5.51
17 0751
NEfcuRAENT ASSETS
112,147
61775 33.457
208,379
214,470
UA•iunEs
ill.iL
33
108A81
33.457
CHAATh FUNOS
Unr•strkted Incornolunds
D•Alqnthd Inc¢fi* fvnd#
IU.108
80,052
221.589
193.938
55.156
ft¢rtd¢t•d In¢om•fvnds
¢OJLpBllies knd FRS 102 St￿10￿ IA.
Th¢ (betitable COD>WLyii ¢#liU￿10¢xe41WfiDrn audiiTJnthr$euir￿477 ofthB CrA)p￿seSAU20O6tQr￿)Y8t3l July
tDthd31 Juiy21nl 476 oftheC(ub￿Al*2￿X.
The a￿0Mpanying8eC0￿lltrn8 policies aad th)trs fonn an intewxl tArt of fitwlcial stat¢metttL
io

Ace of Clubs (Claphgm}
Note5 to th¢ Flnattcial Statements
for tbe Year Ended 31 July 2021
I ACCOUF4TING POI.ICILS
1.1 B4sif ofprepar4tioTh of.fwaneI￿ ￿￿tellie￿ts
The financi￿ statements h&Ye been Prepar￿ it) accordance with Accounting and Reporting by Charities..
Statomcnt of Recomm¢nded PTacti¢e applicabl¢ to ¢haritte8 prepartng their 2c¢ounts in accordanc¢ with the
Financial Rcporting Standard 8ppliLable in the UK and R¢public of Ircland (FRS1021{effediv¢ l January
20191- (Charities SORP (FRS 102)), thc F.]￿n¢la1 R￿ortIft8 Standard applicable in th¢ United Kin8dom and
Republic of Ireland IFRS 1021, the Charities Ad 2011 alld the Companies Act 2006.
The financial statements twv¢ been prepared wider the historic&] coit convention Mth lten￿ recogt5i5cd at
¢ost or transaction valu¢ unless otherwise stated in the r¢lcvant not¢s to these eccow)ts. The fmanLi
stat¢ThLllts have be¢n prepdred in O￿ord￿ne¢ with the Siateinent of Recummended Pr#cticc.' Accounting and
Reporting by Charities preparing iheir aC￿unts in accordance with the Financial Reporting Standard
applicable in the UK and Republic of Ireland (FRSI 021 issued on 16 July 2014 and the Finatlcial R¢porting
Standard applicable in the Unitsd Kingdom and Republie of Ireland {FRS 102). the Chariti¢s Act 2011 aThJ
the CompEnies Act 2006.
.2 P4bllc henÉfii entlty
I"h¢ churitable company meets the definition of & public bet￿lt entily as defll￿d by FRS 102.
IJ Golmg concerrt
Th¢ fina￿la1 st8t¢ments have been b&8ed on the expect4¢ion of the Chari¢y cfJntinuin8 4s a goin8 cotte¢rn for
tli¢ next 12 m()nth&. In March 2Q20 th¢ World I lealth organi￿110￿ d¢clared tho ouibreak of the Covid 19
Vin￿ to bc & global pandcmic. Th¢ govcrnm¢nt tuok step$ to both"lo¢kdoMn" retail busin¢.sses and required
the gcneral public to stay at home. The Charity remained open io op¢r8te a Hot Food Takeaway SeTVi¢¢
including a food b&ttk and emergency casc-working And wos 8UCCCS3ful in raising COVtD related A￿dIti8.
Tb¢ Trusleeb belicve that th¢K arc no material un¢ertainii¢s regardill8 the aL'Lounts bcilw prcpared on a going
IA Income
Incom¢ 13 recognised when the Charity has entitlement to the income, it is probable that the income will be
received, and th¢ amount can be measured reltably.
Income trom 8rallis, whcihLr'capilal' or'revcnue, grants, is r¢cogm8cd when thc charity has Cnlitlemeni (v th¢
filnds, any pcrformancL conditions attach¢d io the grants h&ve bccn mcl, il is probable that the incomc will bc
rweiyed Jmd the amouTht ¢an bc measured reliably and is nllt deferred.
The estimated value of food and other eonsumables donated to and expended by The Ace of Club5 of
£16,632 (20 IY £16,250) has been included ill the aceoullts.
'rhe valu¢ of 5crvice¥ provided by volunteers has not bccn included in th￿e accounts. Refer to tho Trystees,
report for more infomvdtion about thoir wntribution.
It)come tax recoverabl¢ in telation to donation5 received under Gift Aid is recognised at the timtr of the
donation.
1.5 Erpendthire
E,xpenditure is re¢ognised once there t8 a legal or ¢onstru¢tivc obligatiort to make paym¢nt to a third party, it
i¥ probable that settlement wtll b¢ required and the amount of the obligation ean be measured reliobly.
All expenditure is ￿Qu￿ta for on an ￿￿r￿8]S basis. All expenses including support Costs And governance
Losts ar¢ allo￿ted to the applicablr cxpcnditure he*dtn8&
1.6 1rreeov¢rnble VA T
Expenditure includes VAT ond is reptsrt￿ as part of the expellditll￿ to which it relates.
li

Ace of Club$ (Clapham)
Notes to the FlnaDcial St*ternenls
for tht Ye*r Ended 31 July 2021
1.7 FHndAeeounting
GcTml funds are UDrestricteAI fu￿ which are avai]xbk for use at th¢ disctrtion of the Tn￿tee5 in
furtherance of th¢ geneAI objectives of the ¢hwity and pknich have beal desi￿￿￿ for other Purposes.
D¢si8nAted finds Comprise uDrestr￿ that have been asth byth¢ Trus*¢s for
particular purposes. The aim and use of each des]￿lated fi￿d is set out in th¢ notes to the
rmathcial sthtrments.
Restricted funds a￿ funds which are ￿ be used iti a¢¢Ord￿ with wifjc restrietioTh8 inwBed by donors or
which haye been rnised by the chafity for particular pur￿>￿. Tr Costs of raising and administrating such
fimds are ¢harged against tho SPEcific ThE aim and use of each T¢Stric*d fimd 18 s¢t out in the noteg tt)
the financial ststemetrtg.
1.8 Tanglbl¢Jl¥ed 4Mddepr6¢lthn
Tangible fix￿ assets are sts*d at cost less depreciatiorL Th¢ cort of minor adth'tions or those ￿stin9 less
than £3,000 are not capitali5ed. D¢preciats"on is provided at Tates ulculated to writ¢ off th¢ cost of fixed
a&s¢ts, less th¢ir esiin]a*d residual value. ovcr their exp#trd us¢ful liv￿ on th¢ followiD8 bas¢s.'
Plant and machincry etc.
Fixturc5 & Fill￿$
Office Equipment
Buildu￿ ImprovemeDt¥
Motor vehicl¢s
-20Y• On COSL
-15°h on cost
-20Yo Oll
-I￿Aon￿
- 2￿kn on cost
1.9 Inlerestrecelvable
Interest on funds Ileld OD deJy)sit 1$ iD¢ludcd WI￿ Te£¢ivable th¢ amowii can be measured r¢hably by the
clwiLy: thi8 18 nommuy upn notification of tbc int¢resi paid or payable by the bank.
1.10 Debthrs
Trdde and other debtorya are rewgnised at the s¢ttlement 8nM)unt trade discount offered. pT¢pa￿Thellts ore
valued at th¢ 8nK*Unt PT¢pwd t)et of any trade discounts due.
1.1 I Cash itt Hand
Cash at bank and in hand inc]￿ll¥ and short temj bl￿ty liquid inv¢9tM￿ with a slh)rt m&tiJrity of three
months or less from the dat¢ of acquisliion or O￿nIng ofthe deposit orsimilar accowiL Cash balances
cxLludc any fimd5 held on behaifof service usern.
1.12 Credliors andprov1510￿I
Creditors and provisions aye reeo8Di8ed where the ¢harity h&$ a pre￿1 obligatioll resulting from a p8St event
that will probably result Tn the tr8llsftt of fiumls ￿ a thÉrd psty and the amount due to s¢ttle the obIigatLoll can
be measured or esiimat¢d reliability. CTeditOTS and F(0visio￿% att norM￿Y rewgni*J at their xttlement
amount after allowing for any trade discouoi due.
Tho charity ollly has financial assets fuJanci81 liabilitses of aknnd that qualify •8 basic financial
in5trumcnts. Basic fLnaDcial itistnEtrKllts' are initiatly reCO￿lSed at tra￿aCtIOn valu¢ and subseqll¢nlly
measured ai their s¢ttlement V8lue with cxc¢ption of baDk loarLS which are subsequently me&sure4J
anYJrtis¢d c08t using th¢ effective interest rnte.
1.13 Penslon
The Glwity ¢)per&tes an a￿0 eDrol¢n%th SCI￿￿ for au enwlo)r¢ W￿"ch on l May 2017. The
a￿llua1 Contributions payable ar¢ ¢Fthrged to the ststrment of financial artivities.
1.14 &$hflowskrtf£menl
The financial 5tstements do not iTKlude a cash flow slatemthjt be¢awe the charity, as A sma]I r¢wting entity.
is exempt froTn the requi￿[l￿nts to prepare such a Sta*ll￿ ￿￿er FiDanciat Rwrting Standard 102 as
ameTKled by Update Butletia l.
12

Aee of Clubs {Cl*ph*m)
Note5 to tbe Fln*n¢tg1 St*tements
for the Year Ended 31 Ju]y 2021
21121
Total
f￿DdI
2020
2 INCOMK
fundi
funds
Grants And doDatioTrg
Wimbledon FouDdatiot] Homeless Fund
National Lottery
Comic Relief
Lov¢ Your Neighbour
Lesley Aldridge Tn￿1
Ac¢ of Clubs Shops
Sir Harold Hood's Llwitable Trust
The Albert Gubay Charitable Foll￿10n
Ilomelesb Litik
Pret aMaDg¢r
LaJJdAid Charithble TrJ8t
Tbc Oliver Borthwi¢k Foundation
CRISIS UK
Charity Trust # M&G Covid 19
CAF CoronavinJ5 F￿￿rgencY Fulld
Eleanor Hamilton Education TnLSt
Kusma Tntst
Strvets of London
Shadworth Hod8son Beq￿51
Alexandra Trust
London Ca¢alyst
The ixTrt)don Comrnunity Foundation
Individualy and ¢orporate
LottgHoTbour Ltd
Donated food
31.110
49,138
32.IXJO
34.159
36,110
49,138
32,(MX)
34.159
10,(
4.500
11(K)O
38,(K)O
20,LK)O
io.(
15.000
6,000
12.000
32.758
16.8611
15,487
10,IK)O
5,000
5,000
5.000
5,000
5.000
45(K)
li(
10.ocKJ
3250
10.(
3.250
1.500
3,500
8.900
181690
16.043
16,257
150 907 351540 420 003
139.751
139,751
3 INVESTMEWT INCOME
2021
2020
Deposit Intrrest
28
201
4 STAFF COSTS
StatTcosts were &$ follows..
2021
21120
Wagcs aod Salari¢8
Social Sccurity Cos18
Pension ¢¢)5t
140,210
6.976
155.866
8,738
151,001
168,737
The average monthly mmiFLr of emplo￿ the yearwas 6 (2020: 6)
Th¢ aggrrgate remune￿0ll of key maDageEtKnt to £63.269 (2020: £65.013)
No enwloyee reeeived Temut￿tiOn &llKJunting lo ll￿¢ than £(AI.IKX) in either ycar.
5 TRUSTEES. REMUNERATION. BENEFITS AND EXPENSES
During the year ended 31 July 2021 no tr￿, T¢C¢tved any rernurntio￿ other bett¢fits or
rcjmbLtrsell￿nt of ¢xpctsscs (2020: £nill.
13

Aee of Clubs (Ci*pham)
Notes to the Finan£1￿ stAten￿llts
for the Year Ended 31 Jllty 2021
6 TANGIBLE FIXED ASSETS
Building
FAxknA Fittitigs mO￿r
Kitchen
Improvements & Equiptr£Dt Vehi¢1¢5 F4uipm¢nt
2021
Total
Cost
Cost brought forward
Addttions
Dispos&]s
At31 July
138J58
11.981
36244
8,874
47,272
16,719
9.226
54.765
230.748
28.700
21.728
237 720
12.502
150
39
DEPRECIATION
Charge brought lorword
Disp05ais
Ch￿￿¢ for y
At31 July
NET BOOK VALUE
At31 July202I
At 31 July 2020
106.542
33,444
(12502)
8.874
47272
(9,226)
196,132
(21,728)
16,649
191,053
118.032
22.757
41.390
32,307
31,816
985
2,800
13,375
46,667
34,616
7 DEBTORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
21J21
2020
Other debtor8
PrepAyxMits and IDCO
429
357
2.525
2,882
6,693
8 CREDITORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
2(121
21120
Oth¢r ¢rcditors and
5,517
17.075
9 Sl'A'fEMENT OF FUNDS
BrTru¢ht
Fon¥ird
Income
E4benditsre TrAll8fe
Inloul
C*rrled
Forward
Deslgnated futtds
Fixed asset dep'n fund
Building lrnprov¢m¢nt Futkl
33,9)6
80.(*)O
113.906
(16,6491
28,700
45,957
(34.125)
28,700
108,481
nerji fulldj
General fund
UDre¥trkted fund¥
201.043
201.043
167.967
(202.0921
113 108
221,589
193,938
28.700
Rc$¢rkted fund8
Firc alarrn system
Staifmg & core cos
covtD fimdjog
Bicycle project
Othcr ￿striCted fiJTrJs
3,739
7.782
34,819
750
(1.039)
(33.892)
(103,458) {28,7￿)
2,700
s,000
17,958
750
31.110
115297
55.156
150A17
(143,906) {28,71K))
33,457
TOTAL FUNDS
351,950
345.998
255,046
FLYedAssei Deprmulion F￿1- ThLffv*d repruents the book ofeapli4l￿5ttsPmrCkned
wlth resirirtedfyMd&
BuUdlAgs Improveme•stF*Md- setasirfe T￿o￿re0fv therrwirn the
Centra The Tm5tees dec¥de on the tt+ bekeptin reseMfor￿I1cO1ThQlTrtsn0WcL
Erpendithre on refvrbKThmeNI or•¢w eq4IpJntnt￿ dlloc•ted thiyfm
14

Ace of Clubs (Claph*m)
Notes to the FitiAneial StstsJDents
for tbe Ye¥r Ended 31 Juty 2021
10 ANALYSIS OF NET Assrfs BETWEEN FUNDS
Total
fllDd$
2021
Total
funds
2112
ed fun
21121
2021
Tangible fixed 8&sets
Curtni assets
Current liabilities
46.667
I80,439
(5.517)
46.667
34,616
213.896
231.553
(5.517) (17,075)
33,457
TOTAL FUNDS
33.457
221589
255,046
11 CompttthTe St*iemeDt of Fln•n£W Atdvltl
for the y￿r eThded 31 July 21120
Uttrethted
di Dulgnated
Reitrleted
fvDdi
Tot*1
Note8
INCOMK
DO￿ttonS And grants
240.990
179.013
420,003
IncomeJmm chtsrtthble activities
Dropin centre
10,361
10,361
Inv¢8tm¢nt income
201
201
Tol*l IDcome
251.552
179.013
430,565
EXPENDITURE
Cosls olrauingfvNds
ProtYK)tional aThl fimdrni8ing ¢xpens&8
£%￿ndI￿re on charitable actsvili
Drop-in centre
448
148.875
20309
158.988
328.172
Total ¢xpend5thre
149J23
20J09
158,988
328,620
Net (expendltur¢ythcoJDe
102229
{20J09)
20.025
101,945
Transfer to DeJlgn*ted
(80,fAKI)
80,0
Re¢fJnciliatioD of fuD
Totsl FuT)dsbrougkn forward
57,803
54315
35.131
147,149
80,032
113.906
55.156
249,094
15

Ace of Clubs
ham
Detailed st￿te￿ent of FI￿￿¢1*1 Aetfv
for
e Year en
1 Jul 2021
12 fft￿ths
Unrestrfjcted Restric*ed 31.0721
fvrKLs funds
fuTrJs
Year
2029
INCOME
Voluntsry Incom•
Donations and grants
Incomlng resources from charltabl•
a¢tlvltlo8
Drop-in centre
Investrn•nt In¢orne
Depos￿ account intwest
Total Incom•
200.634
150,907
351,541
420.C(J3
381
381
10,361
28
351,950
201
430,565
201,043
150,907
EXPENDITURE
Costs ¢f rnlslng fvnd•
Promotional and fundraisiNd expenses
Charitable acti￿119$
Salaries, soclal security costs & r
Hire of plant and machlnery
Rent, rates and water
Llght and heat
Telephone
Takeaway supplles
Mea15 provided
Cleanlng and waste dlsF(6al
Repalrs and renewaLs
Centre insurance
Motor & Travel e>penses
Actlvitr'es
Educational training & Cfjur
Sl8ff Training & Seminars
Support and advi￿ provlslon expenses
tchen equlp
Accountsncy
Legal & Consultan
Postage, stationery & printing
Computer ￿ts￿ore
Recrultment Expenses
SUb5crIp￿Ons
other expenses
DepreciatSon of tsngitAe ￿ed assets
114
114
448
86.039
623
19,732
7.379
3,143
112
5.149
4,111
12,3
I51,￿1
168.737
698
33,934
12,528
4,591
179
12.549
32,281
12,383
4,100
12,127
26,783
15.740
36.380
4,130
5,683
5,973
957
12,015
21.634
11,629
6,514
770
1,697
24,143
10,751
30,699
3,985
3,603
918
1.396
1.245
3,066
201
17,476
5,973
6,700
552
1,017
671
7,252
2,563
1,358
900
1,428
2,347
266
1.874
5,386
266
1.354
3,039
169
102
413
200
21,125
328,172
323
425
16,649
345,884
16,649
34,125
167,853
143.
Total •xp•ndltur•
167,967
34,125
I43,￿6
345,998
328,620
Net (expendthre)Ilr
33,076 (34.125}
7,￿1
5,952
101,945
Transfer d fvnds- Frxed Asset Fund
28,7(Kl
(28,700)
Funds bought forward
80,032 I13.￿6
55,156
249,(Q4
147,149
Tc421 carried fonward
Designated depreciation for funded assets
Building Improvema)t fvnd
113,108 108.481
45.957
62,524
33,457
255.Oq6
249,094
16

Ace of Clubs
Cla
ham
Appendlx
Food partnerships
City Harvest
COOK Clapham
Coop
Crosta Molllca
Gails
KFC
Marks and Spencer
Nandos
Sain5bury5
Tesco
The Felix Project
Trussell Trust
Waitrose
Sebvlce partnershlps
Flnd & Treat Team. Unlverslty College
Hospltals London
Glassdoor
GoodGym
Groundswell
Guy's and St Thomas, NHS Foundatlon
Trust's Health Inclusion Team
HM Prison & Probation Service
Job Centre Plus
Lambeth Drug and Alcohol Treatment
Con50rtium
Safer Neighbourhood Team
South London and Maudsley Hospital
South London Refugee Association
SPEAR London
Street Vet
Thames Reach
Toiletry Amnesty
Varlous local GP practlces
Volunteerin8 Matters
Corporate partner5hlps12020121)
BAM Nuttall
GallSford Try
Metro Bank
Network Rail
RSA Insurance
Thlrd Brld8e
17