REGISTERED CO.MP.4NY NL.NIBER.. 040899.18 (Eng12nd and Wales)
RECISTERED CHARITY NUMBER: 1091212
Report of the Trustees and
Unaudited Fin4nci#l Stateme￿t$ for the Year Ended 31 October 2024
for
Ivybridgellnk
The Hughes ConsUl￿nCY
l Golden Court
Richmond
Surrey
TW9 IEU

lY)'bridgelink
Report of the Truste
for the I"e*r Ended 31 October 2024
The tThstees w,ho are also direciors ot the charity. for the purpose> of ihe Companics Acl '(K)6. prcsenl their report M'ith the
financial statemenL8 of the charity. for the year ended 31 Ociober ?024. The trustees h&i'e adopted the prok'isions of Accounting and
Rewrting by Lhariiies.. Ststcmeni of Recomm¢nd¢d Practice applicdble lo chJriii¢s preparing their aLcounts in acLurdan¢e with thc
Financial Reporting Standard applicable in the UK and Republic of Ireland IFRS 1021 (effective l January 2019).
OBJEC'fiN'ES AND ACTIVITIES
Objeciives And aims
l To promote the benefii ol the inhdbitants of Ivybridge Es¢ilte. Islewotth dnd neighbourhood (hereinafter called 'the area of
benefit,) wiihout distinciion of gertder. sexual orientation, race. abilits, or of political, religious or oiher opinion, by associating
looether the said inhabitants and the local auilK)riiies. vOlUnts￿ and other organisations in common effort to adi'aDce education and
io provide facilities in the interests of ￿)Cial welfare for recrcaiion and Icisure-time occupaiion with thc object of improN'ing Ihe
condiiions of life for the said inhabilants.. to relieve pol'crty. sickness and distress and promote the protection and preservation of
public health in the area of bencfil in particular ihrough assisting in the pro%'ision of advice. infonn8tion and SUPFM)rt.
b) To establish. or secure the establishment of. 8 community centre Ihereafter called 'the Centre,) and to maintain and manage the
same (whether alone or in ClH>peratson with any local authoriry, or other perbon or body) in funh¢rance of these objeLts.
cl IvybridgeLink qhall be non-paw. in politics and non-sectarian in rcligion.
ACHIETr'EMENT AND PERFORMANCE
Ch#ritable activitles
2024 has been an exccllent year for the Bridgelink CommuThitN' Ccntrc thanks to fijnding from both thc National Lottery and Hcnry
Sniith Charity. This has put the Centre on a more stable financial footing and enabled our CoTnmunity" Partnerships and
Prugrammes Manager 5UPPUrted bv the Community Development Wurker to dei'elop aLXii'iiiei, prograinmes ¢ind cvents f()r
Ivybridge residents. Highlights of this year include..
Year round youth clubs, homework club and holiday programmes fi￿ded bv Henry Smith Charity.
A Community Pantry ￿'1th fi￿dIng from ihe London Borough of Hounslow Household Suppon Fund and donalions including from
Isleworth & Syon School. Gurnlev House ConN'eni School FCJ. St Bridgeis Church, Souili Streel cafe, Old Isleworth Klarkei. All
Souls. This has developed into a communit! hub with a host of WTap around services for those most in need, including Ciliz¢ns
Advice, Community. Solutions, Housing. EACH Counselling. NHS Social Prescribin& Health Outreach teanL Crosslight debt
SUPPOrt amongst others.
Wc had a change of officc administraior in May so the Mork io dcN'elop Sage as our accountanc}' package is continuing Nryth
support from Hughes ConsultatLLy to dci.clop our use of Sage a¢countancv and to compleie our financial reports.
We are now a Sky Up Digitsl Hub and oyr 3 year partnership wilh Sky wqll improi'e our digital offcr. particularly io young people
and those aged 50+. Our refvrbished cafe and IT room has added value io the Centre as a conununiry rewurce and 14 regularlv
hired by delivery partners to deliwer valuable community seTh'ices.
An uplift to our National Lottcrv grant has proi.ided increased staff hours for the Community Development Worker and the
administrator to mce¢ ihe needs of our growing prograTnmcs and ieTh"ices.
An aniiual c.ommunity Open Day for residents was introduced. wilh oi'er 150 people in attendance and over 25 different services
and agencies prokiding informauon stalls and activities ai the ei'enL
An increase in wellbeing sen'ices offered from the centre thanks to partne￿hipS with The Positivc Movement and NHS scrvices
such a5 Social Prescribing and The ￿'elIbeing Network. Also have a reoulat IDVA on Sitc from EACH Counselling.
New ESOL classes providing support and acting as a siepping sione for women looking io move into education or work.
Page I

lTr'i'bridgeiink
Report of the Tru5te¢5
for tbe l'ear Ended 3] Ociober 2024
FUTURE PLANS
Eiieigy EtTiciencv grant for improN'emeniS to the building infr&strnctur¢ and to mO￿e towards our commitmeni to reduce our c&rbon
(outprint become energy etTicienl.
National Lottery grant to sustain both posts of ihe Communiry Partn¢rships & Prograinmes Manager and the Community
Dcvclopment IN'orker.
BBC CIN (Children in Need) grant lo susthin and develop the Children & Youth Offer for 20?5-2028 increase the range of
aciivilies to include ans and multi-media.
Henry s￿1th Chariry or equivalent IOT an Unrestricted grant to susthin services introduced in the past year.
Dev¢lop our digital offer through our partnership with Skj. London Borough of Hounslow and volunteers from Isleworth & Syon
School.
ResCa￿h and source fimding and partTheTships to susuin the Conununity Pantsy offer.
STRLTCTURE, GOVERN.4ThCE AND MANAC.F.MF.hT
Governing document
The chariry is controlled by its governing documeni a deed of trusu and eonstitiites a limited Company. lirnited by guarantee. as
defined by the Companies Act 21K16.
REFERENCE AND .4DMINISTK4TIVE DETAILS
Registered CompaD)' number
04089938 IEngland and Nl'ales)
Registered Charitv number
1091212
Reglstered office
Bridbyelink Centre
773 Summerwood Road
Isleworth
TW7 7QR
Trustees
Ms L A Green
A Hadawdy
R Kemp (resigned 3011112023)
Ms K V Morgan
Ms D Squires
Ms S Henry (appointed 251312024)
Ms H R Chuhan (appointed 251312024)
Independent EX¥n￿ner
The Hughes Consult8n¢y
l Golden Court
'¢bmond
TW9 IEU
ll.os zs
Approved by order of the board of tr￿Ste¢s on ....
. and signed on its behalf by:
Trusiee
Page 2

Ind¢pend¢ni Eximiner's K¢port to th¢ Trustees of
Ivvbridgelink
Indep¢nd¢nt ¢xapilner's report to the frustees of Ivybridgelink ('the Comp*ny')
I ieporr io the ¢harit)' trustees Ofk mv examination of the accounL% of the Company for the year ended 31 October 2024.
Ilesi)oi)s&bilitiEs basi$ of report
tls cliaiity's truslecs of the Company (and thlso its directOTS for thc purposts of company liw) you arc re5p)nsible foi th¢
preparation of the ac¢ounts in accordatwe wtth tlie rEquir¢meAts of ihe Compznies Aci 10061'the 2006 Ac¢).
Hawing salisfied myself Uiat die a¢counts of the Conipany are not required to bt audited under Part 16 of the 2006 A¢1 and are
eli&yible for ind¢pendent examinatioo I report in respeGt of my examination of your cliarity's a¢¢ounts a5 carried out undcr Seclio
145 ot"Ilie Charities Act 2011 (*he ?0 I l Artl. In ￿rryIng oui my ex8min81ion I h&ve followed the Directions g5v¢n by the Charity
C'.onimissioi) uiider S¢ctioTr 145(5) (b) of the ?0 I l Aa.
INd¢pendent examliier's st*teinent
I have iotTrpleÈed my examinatiotL l Gonfirm no Mauets havc Comc lo my 41*11iiOll in connectson with the examination giving
m¢ ¥ausL to b¢licv¢'.
ac¢ounting Tecords were not kepi in resped of the Company as required by Section 386 of the 2006 ACL or
Lh¢ accouns do not accord ￿1th thos¢ F¢¢ords- or
thc a¢wuniS do noi Coniply with die accouniing requirements of Section 396 of th¢ 2006 Act other than any rcquirement
tlial thc accounts give a irue &wid fair vicw is not a mall¢r considered as part of an iiidepei)dent examiiialioii; or
the acGulin￿ hov¢ noi bcen prcpartyj in 8c¢ordance with th¢ methods and principles of the st￿ernent of R¢coillniended
Praciice for accounting and reporting by charities (applicable to charities preparing their accounts in a¢cordancc with thc
Fiiiancial Reporliiig Stai￿ard applicable iji the UK and Republic of Irclaiid IFRS 1021).
I liavc no concLrns and have coine across no other matters in eonnection with the exomin8tion to which attention should be drnwn
iii this rcport Ili Ord￿ ￿ eiiable a proper understanding of th¢ accounts ts) be reach¢d.
Tl)c Huslies Co1￿Ul￿nCY
The Hu¥h¥5 Cunsultanry
l Gold¢n ￿vrt
Richmoiid
Siirrey
TW9 IEU
Date-
2Jlf .
Pag8 3

Iv)bridEelink
Stalement of Financial Actii'ities
for the l.ear Ended 31 October 2024
2024
Total
funds
2023
Total
funds
Lnrestricted
nds
Re%trictrd
funds
Noles
INCOME AND E)DOI*'MENTS FROM
Donations and Icgiacies
2.188
R8I793
188,981
168.576
Other trading act]￿tieS
53,71)0
4.917
58,617
46.126
55.888
191,710
247.598
214,70?
EXPENDITLRE ON
Other
40,236
137.087
177J23
158.825
NET INCOME
15.652
54.623
70,275
55,877
RECONCJLIAI'ION OF FL'I%DS
Total funds brought foN'ard
69.407
83,180
152,587
96,710
TOTAL FUNDS CARRIED FORM'ARD
85.059
137,803
222062
152.587
The notes forni pan of thcse financial staiements
Page 4

lyybridgelink
Bgl#nce Sheet
31 October 2024
2024
Tot¥1
funds
2023
Total
funds
Unrestricted
funds
Restricted
funds
Notes
FIXED ASSETS
Tangible assets
CURRENT ASSETS
Debtors
Cash at bank
3,423
232J93
2,698
159.400
3,423
94.592
137801
98,015
137,801
235,816
162,098
CREDITORS
Amounts falling due within one year
{12.954)
(12.954)
(9.511)
137.801
222,862
152.587
NET CURREP4T ASSETS
85,061
TOTAL ASSETS LESS CURREST
LIABILITTES
152.587
85.061
137,801
222362
152,587
NET ASSETS
85.061
137,801
222.862
FUNDS
Unrestricted fuads
Restricted fi￿dS
85.061
137JOI
69.407
83.180
222062
152.587
TOTAL FLINDS
The charitable company is entiiled to exemption from audit under Section 477 of the Companies Act 2006 for the year ended
31 October 20*4.
The mcmbers haN'c not rcquired the companv to obtsin all audit of its financial statements for the year ended 31 Ocrobci 2024 in
accordance with Seciion 476 of the Cornpanics Aci 2006.
The trnstees acknowledge Iheir respon5ibilitie5 for
(a)
ensuring that thc charitable company keeps accounting records that comply with Sections 386 and 387 of the Companies
Act 2006 and
preparing financial 513tements M,hich give a true dnd fair iiew of ihe stale of alTairs of the charitable company al the end
of each financial year and of its surplus OT deficit for e8¢h financial )'ear in accordance with the requircments of Sections
394 and 395 and which othm4ise comply ￿'ith the rcquircments of the Companies Act 2006 relating lo financial
statements, so far as applicable lo the charitable company.
(b)
The notes fonn pan of these financial statements
Page 5
continued..

lTr'Tr"bridgeiink
Balance Sheet- continutd
31 October 2024
Thcsc financial stalcments havc bcen preparcd in a¢eordance ￿7th thc provisions applicabl¢ to charitabl¢ c4)mpanic5 subject to the
small companies regime.
The financial statcments were approved by the Board of Trusiees and authorised for issue on .... .
signed on its behalf by:
. and were
Trustee
JE6618 8ouil85
The notes fotm part of these financial sthiements
Page 6

IvvbridgellDk
Yotes to ihe Finaneial St*temeDts
for the l.ear End¥d 31 October 2024
ACCOUNTING POLlCtES
Basis of preparing the fthanclal statements
The finanLial siatements of the ch#ritablc compan)., thhich is a public bcnefii eniity under FRS 102. have been preparcd in
accordance wilh the Charities SORP (FRS 102) 'A¢counting and Reporting by Chariiics- Statement of Recommcnded
Praciice applicabl¢ to charities prcparing their accounts in accordance with the Financial Reporting Stsndard appli¢able in
th¢ UK and Republic of Ircland IFRS 102) Icflcctivc l Januarv 20191,. Financial Rcporting Standard 102 The Financial
Reporting Standard applicable in the UK and Republic of Ireland. and the Companies Act 2006. The financial slatemenls
have been prepared under the hislori¢al cosi conweDliOn.
Income
All income is recognised in the Statement of Financial Activities once the charity IMS entitlement to the funds, it is
probable that the income will be received and the amount can be measured reliably.
Expendlture
Li8bilities are reeogniscd as expenditure as soon as ihere is a le?81 or Constructive obligation comn)itting the charity 10 that
expenditure, it is probable th8t a transfer of economic benefits ￿TrI1 be required ill settlement and the amount of thc
obligation can be MeaSu￿d reliably. Expenditurc is accounted for on an accruals basis and hds been classified under
headings thal aggregate all cost related io the category. Where costs cannot be directly attribiited to particular headings
they have been allocated to a¢iiviiies on a basis ¢onsisteni with the use of resources.
T%ngible fixed asscts
DepTe¢iation is provided at the following annual ratcs in order to Myitc off eoch asset over its estimated useful life.
Taxation
The charity is ex¢￿￿1 from corpordtion tax on its charitable aciiN'ities.
Fund aceounting
Unres1ricted funds lan be used in dcLordanLe with thc cbaritdble ubjeclives at the diSLTction of th¥ t￿￿tee￿.
Restricted funds can only be ￿Sed for particular restricted purposes w'ithin the objects of the charity. Restrictions arise
whon spceificd b>. the donor or when fvnds arc raiscd for particular rcstrictcd purposcs.
Fijtther explanation of the n8ture and Pu￿￿>$e of each fund is included ID the noies to the financial slatemcnts.
Pension costs and other post-retirement beDer
The charitable company operates a defined contribution pension %heme. Contributions pa)'able to Ihe charitable
companYs pension scheme are Charged to the Ststement of Financial Activltics in the period ts) W￿lch they relate.
OTHER TIL4DlIYG ACTIVITIES
2024
2023
58,617
46,126
Hall hir¢
Page 7
continued...

Iv>'bridgeiink
Notes to the FinaDci#I Statemellts- continued
for the l'ear Ended 31 O¢iober 2024
TRLSTEES. REmuNE￿￿TIO.1 AND BEINEFITS
There were no trU￿￿tee￿, remuneration or other benefits for the year eThJed 31 October 2024 nor for the year ended
31 October ?023.
Tru51ees' expenses
There wcre no trustees, expenses paid for the year ended 31 October 2024 TKir for the year ended 31 Ociober 2023.
CO.MPARATIVES FOR THE STATE￿IE￿T OF FLNLNCIAL ACTII'ITIES
Unreslrictrd
funds
Restricted
fun(ts
Total
fimds
INCOME AND ENDOWMENTS FROM
Donations and legacies
7.998
160.578
168,576
Other trading activities
46,126
46.126
Total
54.124
160,578
214,702
EXPENDITLIRE ON
31.624
127,201
158,825
NET INCOME
22,5
33.377
55,877
RECO)CILIATION OF FUNDS
To￿] tunds brought forn7Td
46.909
49,801
96,710
TOTAL FUNDS CARIUED FORII'ARD
69.409
83,178
152,587
TAI%GIBLE FIXED ASSETS
Plani and
machinery
Computer
equipment
Tota15
COST
Ai l Novembcr 2023 and 31 OC￿ber 2024
57.867
2,751
60,618
DEPRECIATIOY
Ai l November 2023 and 31 October 2024
57.867
2.751
60,618
NET BOOK VALUE
At 31 oc10￿r 2024
At 31 October 2023
Page 8
continued...

lYybridge]ittk
Notes to the Financial Statements- continued
for the lear Ended 31 October 21124
DEB TORS: AMOUi%TS FALLtNG DUE wrrHIN ONE YEAR
2024
2023
Trade d¢btors
VAT
Prepa)Tnents
J.924
1,184
315
1.448
1.250
3,423
2.698
CREDITORS: AMOULYTS FALLING DLIE WITHIN ONE I'EAR
2024
2023
Trade creditors
So¢ial security and other tsxes
Other creditors
Accrued expenses
307
2.199
7,268
3,180
7.417
.250
12.954
9.511
Page 9
continued...

lTr>bridgelink
Notes to the Fillancial St#lemellt5- continued
for the l-ear Ended 31 October 2024
MOVLMENT IN FUNDS
Net
movement
in funds
At
1.11.23
At
31.10.24
Unrestricted funds
Cieneral fund
Designated futKIs"
44,407
25,000
15.654
60,061
25.000
69,407
15.654
Reslrieted funds
A4A Stay & Play Grani
85,061
467
TCF Youth Grant
467
Mural Grani
3,422
3,422
Hubbub Fridge Grant
I,ouo
Music Equipment LBH fiu)ds
3,(H)O
HHSF Panty Grani
3,570
3,570
The National Lottery Grant
Garden Community Grallt 2022
Henry Smith Charity Grant
Topup LBH CJrant 2023
Wintcr Houschold Supwjrt
Warni Spaces LBH Grani 22 23
4,284
28.875
500
13.699
500
23,788
75
4.284
63,402
500
21,744
500
35,t137
75
34,527
8,045
12,049
83.180
54,621
137,801
TOTAL FLSDS
152,587
70,275
222,862
Net movement ill funds. included in the above are as follows:
Incoming
resources
Rcsources
expended
Mov¢mcnt
in funds
Unrestrfieted funds
General fund
55,888
(40,234)
15.654
Restricted funds
Th¢ National Lottery Grdni
Henry Smith Charity Grant
Winfrr Household Support
108.918
$4,000
28,792
(74,391)
(45,955)
116,743)
34,527
8,045
12,049
191,710
(137,089)
TOTAL FUNDS
247.598
(177J23)
70,275
Page 10
continued...

Ivvbridgelink
Notes to the Financial Statements- contiDued
for the I'exr Ended 31 October 2024
MOVEMENT IN FU)DS- continued
Comparxtives for movement ID funds
Nel
movement
in fund5
At
1.11.22
At
31.10.23
Unrestrlcted funds
General fund
Desig[￿ted furKIs
44,407
25.000
21.909
25.(M)O
22.498
46.909
22.498
69.407
Restrl¢ted fund
Houns1o￿. & Isleworth
The Fore L4Fr
A4A Stav & Play Grant
416
954
(416)
(954)
3.725
{3.258)
467
TCF Youth Grant
13,870
(10.448)
3,422
Nlurnl Grant
1.000
1.000
Hubbub Fridge Grant
3,0(K>
3.000
Music Equipment LBH funds
3.570
3,570
HHSF Panty Grant
6,661
16.605
(2,3771
12.270
5(K)
13.699
500
4.284
28,87)
500
13.699
500
23,788
75
The National Lottery Grant
Garden Commuuiry Grani 202?
Henry Smith Charity Grnnt
Topup LBH Grant 2023
Winter HO￿SehOld SuP￿rt
Wam Spa¢es LBH Grant 22 23
23.
75
49.80I
33,379
83,180
152,587
TOTAL FLNDS
96.710
55.877
Pagell
continued...

Ii'ybridgeiink
ot¢S lo the Finllnci41 St4tements- continued
for the l'ear Ended 31 October 2024
MOVEMENT IN FLNDS- continued
Comparaiive net movcment in lund¥ included in the above are as follows..
Incoming
resources
Resources
expended
Movement
in funds
Unrestricted funds
Generdl fund
54.124
{31,626)
Restricted funds
Hounslow & Isleworth
The Fore IL4Fr
A4A Sta}, & Play Grant
14161
1954)
(416)
(9541
TCF Youth Grant
(4501
(2,808)
(3.258)
HHSF Panty Grant
110.448)
(10,448)
Thc National Lottery Grant
Garden Community Grani 2022
Henri, Smiih Charity Grdnt
Topup LBH Grant 2023
Winter HoLtsehold Support
Warni Spaces LBII Grant 22 23
(2.3771
(59.093)
1500)
(43.410)
71,363
I.IM)O
57.109
5¢KI
29.136
1.920
(2.377)
12,270
500
13,699
500
23,788
75
(5.348)
(1,845)
160,578
TOTAL FLSDS
(127,199)
33,379
214.702
1158,8251
55,877
Page 12
continued...

Ivvbridgelink
Notes to the Financial St¥tements- continued
for the Trear Ended 31 October 2024
MOVEMENT IN FU.ryDS- con¢ittued
A cU￿ent year 12 months and prior year 12 month5 combined position is as follows..
Net
movement
in fi￿dS
At
1.11.22
At
31.10.24
Unrestricted funds
Gener21 fund
Designated funds
21,909
25.0(Kl
38,152
60,061
25,000
Restricted funds
lounslow & Isleworth
The Fore lU￿T
A4A Stay & Play Grant
46.909
38,152
85.061
416
954
{416}
(954)
TCF Youth Grant
3.725
(3.258)
467
Mural Grant
13.870
(10.448)
3,422
Hubbub Fridge Grant
.000
Music Equipment LBH funds
3.0
HHSF Panty Grant
3.570
3.570
The National Lottery Grant
Garden Communiry Grant 2022
Henry Srnith Chariry Grani
Topup LBH Grant 2023
Winter Hous¢hold Support
Warni Spaces LBH Grant 22 23
6.661
16,605
(2.377)
46.797
500
21,744
500
35.837
75
4.284
63,402
500
21.744
500
35,837
75
49,801
88.000
137.801
TOTAL FL.)DS
96.710
126,152
222.1162
Page 13
coniinued...

Ivl'bridgelink
Note5 to the Financial Statemethts - continued
for the l ear Ended 31 October 2024
MOVEMENT IN FUNDS- corytinued
A current year 12 months and prior year 12 monEhs combined net movement in funds. included in the above are ￿ follows..
Incoming
Resources
expended
Movement
in funds
Unreslricled funds
General fund
110.012
(71,860)
38,152
Restrieted fund5
Hounblow & Isleworth
The Fore IiAFT
A4A Stay & Play Grani
(416)
{954}
(416)
(9541
TCF Youth Grant
(450)
{2,808)
(3.258)
HHSF Panty Grant
(10.448)
(10.448)
The National Lottery Grant
Garden C(ImJDunity Grant 2022
Henr). Smith Charity Grdni
Topup LBH Grant ?023
I'inier Household Support
Warn] Spaces LBII Grant 22 23
(?.377)
(133,484)
{500)
189,365)
180,?81
1,00
111.109
500
57,9?8
1.920
(2,377)
46.797
500
21,744
500
35.837
75
{22.0911
11,845)
352,?88
(264288)
88,0
TOTAL FLT￿Ds
462.300
{336.1481
126,152
RELATED PARTY DISCLOSURES
There were no related party transactions for the year ended 31 Ociober 2024.
Page 14

Ivvbridgellnk
Detailed Statement (If Financial Activilies
for the I'exr Ended 31 October 2024
2024
2023
INCOME AND ENDOWME2%TS
Donatlons and legacies
Events and donations
Grants
Donated 5en'ices and faciliiies
12J34
176,447
9.227
159.324
25
188,981
168,576
Other trading activities
Hall hire
46,126
Total ineomlng resources
247398
214.702
EXPENDITURE
Support costs
Other
Wagcs
Pensions
Premises
Insurdnce
Light and heat
Telephone, post and sthtionery
Sundries
Other expenses
122J58
3,731
5,943
1,210
8,765
6,147
100,686
3,105
14.096
2.733
7.351
5,309
32
21,866
25.659
173,813
155.178
Gov¢rnance costs
Accountancy and legal fees
3JlO
3,647
Total resources expended
177J23
158,825
Net tneome
70275
55.877
This page does Dot form pan of the statutory finaocial statements
Page 15

Iv)'bridgelink
Conlent5 of the Fin¥Dcial Statements
for the Year Ended 31 October 2024
Page
Report of the Trustees
Independen¢ Exgminer's Report
Statetnent of FiDantial ActiTrities
Bal¥n¢¢ Sheet
Yotes to tbe Financial Siatements
7 to 14
Det8ii¢d Statement of Financial Acti￿1tie5
li