REGISTERED COMPANY NUMBER.. 06764876 IEngland and Walès)
REGISTERED CHARITY NUMBER.. 1131189
of the Twstees and
udfted Financial Slalemgnts forthe Y•ar End8d 31 De¢em
for
LONDON KOREAN SCHOOL LIMITED
Lee & Capit81 Partners Ltd
Charte￿d certif￿ Accountants
25 South Lane
New Malden
Surrey
35HU

uylcnis of the Financial Stsicm<nis
Page
Report of th8 Trus1o8¥
1 to 2
Independent Examineffs R8POrt
St8lem8nl of Flnancial ActivJtie8
8al8nr* Sheet
NoteB to tha Fln8n¢ld St8tern8nts
8 to 10
Deta￿ Ststernent ofFlnanclal Act￿169

orl of ihe Trustees
for the Y ar En
23
Thtr IFuslee5 ¥vho are al80 lireclors of the charity for the purposes of the Companie5 Act 21XJ6. present their rewt with th8
rin8n¢ial st8temènts of the charity for the y8ar endad 31 Decernb8r 2023. Tha Iru8t8es hav8 adopl8d tho provision8 of
Accounting and Reporting by Charities.. Slalamenl of Re(¥Jmmended Pr8ctI￿ £PFAlca￿￿ lo charfkn'e5 preparing their
a￿￿nts in accordan￿ Mth the Finanoal Reporting Starfarf appl￿b￿ in the UK and Repubitc of Ir¥lané IFRS 1021
leff8ralve 1 January 20191.
OWECTIVES AND AcnviTIE3
Oblectlves and alms
Pnncipal activities and obJectW8S
The p￿fiL￿paI acliwty of thè wmp8ny, whSch Is regls18red as 8 chalt8￿6 organiz8kn.on undèr th8 charit￿5 Act 1960. 18 to
provOè facilitres for education of the Ghildran of th8 Korean comTnunily In the Un￿[8d Kingdom. ThL% activity will conlinu8 in
the foreseeable fvlure and governed by the merfK)randum and artsdes of ts (ornpany. There ha5 bgen no changg lo the
eh8ritsbL* companvs aclivlli•s durkng th8 year.
Publlc bon•flt
The school se8k8 to ¥owde benefft lo the pu￿1¢ In accordanct ￿1h tts widety drawn object5 c18U8es. In t8rm5 of anc511ary
and educational aethlies and other associ818d activllles for the tyenofil of the communty. Th6 schocl has a￿dayS been
pr08Ctive and sought lo make 8 signifKanl contribulon for the benèfrt of the pu￿1C.
FINANCIAL Review
Th8 Trusleè8 Cons￿er that the re8èlV88 8re 8uffi&nl to supportthe malnlanance ol curwnl rewJrce6.
STRUCTURE. GOVERNANCE AND MANAGEMENT
Govornlno docum•nt
The charity 15 controlled by ils gDveming document. a d88d of Injst. and conslltutes 4 limited c¥Jrnpany, 1Smlted by guarantse,
as defined by the C¢)rnpanio8 Act 2008.
Rlsk managernent
The Trustees h8ve a duty lo ￿enIty and revbw Iho rtsks to whlch th• chsdty expo68d and lo 8nsur• approprlate ttffjtrols
are in plac6 to pro￿ld6 roasonabb as8uranc8 ag8insl fraud 8nd error. Thtr Trust88 h8ve 88ses9ed Iht major risks lo %sthl¢h
thè ch8rfty Is expos8d, and sallsnèd th81 systems ars In place to mlllgaiè exposu￿ to Ihese rSsks.
REFERENce AND ADMINISTRATIVE DETAIL8
Roglxtgred Company nurnber
Cé764876 IEngF4nd and W818s1
R•gl•¢•r•d Charbty numb•r
1131189
Regl•tsred offi¢•
Ch9ssinglon Communlty c￿ege
Garrison Lar
Ch888Ing￿rn
Surrey
KT9 2JS
Truite•
D Bae Sports Coach
R Park Eslale Aganl
J 8 Kim Journalist
H Ahn Tru81e* I￿$19n9d 13.3.231
Ms J Klm H&ad teacher
W T Ghim Managing Oirector
S J Ki Company Dir8clor
J E Kim Finanual Controller
Y Lee Lecturer
J H S80 Company Director
J M Path Journ8li5t
Y Yoon Hc4nem8ker (Bppoinlad 2.12.231
P8ge I

REFERENCE AND ADMIP418TrATIVE (YETAIL8
C•mp•ny 8•¢Tr•tsry
Ind•p•nd•nt E¥amlJ
Byur¥hun Lee
Le• & Capital Pathern Ltd
Charte￿j c￿ Accounlant•
25 Soulh Lorwj
Nw4 Makkn
SurTey
Kf3 SHU
LuKlcth Kornkn w•• Ic67848781 on 3 D8￿b•r 2Q38 ar￿ th• Ch•rlty
under Ch¥rty nwnber 1131189.
Apprv¥•J by rthrofthe tr*)•rd oflN•kn•on 18 S•pt•rnb•r2024•nd Ign￿ on tt• t4hollby'.
JlQm-

SCHoni LIMITE
Indepondent ¢xarnin¢rfs report to the tru$t808 of LONDON KOREAN SCHOOL LIMITED (Yio Company?
I r8POrt lo the charity trustees on my examination of th8 account8 of the Company for the ye8r ended 31 Decemb8r 2023.
Responsibilitl?s and basis of r¢port
As th8 charitys tru5t88s of th8 Comp8ny land 8180 Sls dir8¢tor5 for the purposas of (ximpany Lqwl you 8r8 responsible lor the
p￿paratiOn of Ihe accounts in arwrlance with the requirements of the Cornpanles Act 20061'the 2006 ACYI.
Having satisf￿ myself that the accounls of the Company ar8 not roquired to b8 audited under Part 16 of tho 2006 Act a
are eligib￿ for indpp8ndenl examln&tion. I repNt In respect of my examination of your charitls accounts as carried out
under Section 145 of the Chari118s Art 2011 Ilhe 2011 Acri. In c8rrying out my ex8rninalion I h8ve followed th8 Directions
giv8n by the Charity Commission under Section 145151 Ibl of th8 2011 Act.
Ind¢pend8nt •x4mln•rfs 8tstsmont
I hav8 ¢OTnpleted rny 8xaminalk)n. I confinn that no matters hav8 comè to my attenllon Sn connectbn with tha ex8rninaWon
giving me caus8 to bdleve..
8ccountin9 records were nol kept In respect of Ihe Company a¥ requlréd by Sectbn 386 of lh• 2006 Act.. or
th8 accounts do nol accord with tkK)sg records.. LY
the gccounts do Th)t comply with th& accounting requlrem8nls of Sect1￿ 396 of the 2QMX Act other than any
requirom8nt that the acctyjnts givè a true and fair view which Is no¢ a mattar cOns￿d as part of an Indewndenl
examinalon.. or
th8 accounts hav8 not ￿8￿ wepared in aceordan¢• wlh tho methods and p￿nd￿8$ of the Ststemont of
R8coFnmend•d Practi¢8 for 8Ctounling 8nd r8porhng by ch8riliès lapplicable lo ch8ri1i8s praparing Ih8lr accounts in
acwrdanee wrth Iho Fin8nciql Reportin9 Stand8rd applic8trAe In the UK and Republic of Irelbnd IFRS 10211.
I have m ¢oncem$ and have come auoss no olh8r matters in cthnneclion with Ihe oxaminatbn to whlch 0tt8nlion Shou￿ ba
drawn In Ihls rgport In order to 8llBbkn 8 proper understanding of the 8ccounts lo ￿ r88chod.
Byurrtjhun L8•
L8e & Capital P8rtnern Ltd
Charterod Corufied Accountants
25 South Lane
Naw Ma￿en
Surrey
KT3 SHU
18 September 2024
Page 3

IMI
Staieineni of Finan
eye
ded
ial AciiviL
20
31.12.23
Unrcsthcted
fund
31.12.22
Toial
ds
Not88
INCOME AND ENDOWMENTS FROM
Donation5 and legaci6s
50.184
60,929
Chafftabb a¢tlvltle$
Schcd foes
118,4Y
98,730
Other ineo
3.180
4,918
Total
171,798
164,577
EXPENDITURE ON
Charltable actlvlti
Educ8110na￿ expens88
Managgmenl and admlnlstr81ion
141.233
35,463
130.927
24.612
Totsl
176,696
155,539
NET INCOMEiiexpENDITUREI
14,8981
9.038
RECONCILIATION OF FUNDS
Totsl funds brought forward
103.737
94,899
TOTAL FUNDS CARRIED FORWARD
98,839
103,737
The notcs forn) part of IhE5e fiRinciHI 5tal¢rn￿ts
Page 4

31.12.23
Unrtstrl¢t¢d
31.12.22
T￿1
FLYED A&8ET8
Tangibki a880
4.820
CURRENT A88Efd
C48h #t bank
99,917
CREDrroR8
Anh>Jnty fai*4 orwj >
19181
11,0001
NETculI￿llfAs8ET1
94.854
98.9f7
TQTALA88ETI LE88 CURRENT UABIU71E8
98,839
103.737
NET A88eT8
103,n7
103,737
TOTAL FUND8
103,D7
dwftth oJmp•ny h erthd t• •x8ThWon frrffi •ulrt urthr Sth 4T1 oftht CornMnkn Act 20C6 for h >wr
31 c*¢￿b•r2O23.
momb8r8 hrn n¢X rn4ulr•J I￿ ￿1p￿nY to obtsln an awjtt ol Its flnandal •l•tsm•nts for th• y••r •nd*J
31 Decombor2023 th Ko)rdantiry ￿ ￿on 476 ofth? C¢xnp•n•A¢¢20Ce.
•n8Urtng that the thor￿0 xynpany k•y ￿￿n￿n9 that oJmFty *llh S•L*cn• 387 01
Compan18• A¢t 2￿6 and
prepartng fln&n¢ial 8latwDents glva 8 fair vw ol t￿ 81at• ol •ffairn ol th¢ L>Jmpany u ot
tho eTrJ of eac* fin8ndal 8n(l of tt8 lu￿1￿ or d•ficrt for •8ch flnandal yw In al>￿[darK• th Iho rnquir•rrnnts
ol Soc*k)n8 394 ond 395 8rKI whl¢h othor*i#• ffffiply ￿th the of Ihg CCfflpBn￿1 ￿ 2eth Ye￿￿n9
fin•noAI #w•ments. go faTS8 app1￿&bI9 to lh• chttrftabkn ￿Mp￿Y.
Th•w fln•nd•l 8tthrMnts hjve hen prepor•a in 80>)rdarK• 4Whxbl• kn t1￿1t￿ c*y￿r
wW¢o the rryTh•.
Tt* finonool oty*m¢rto htre 4)pprryfftl by lh¢ Boord offnJ*eu lor on 18 &ptomber 2024 •nd ￿14
on h b8h811 by,
RP*1t.Tw* >0

LQNtX)N KO
LIM
ED
Noics I
J.Ihc Financi21 s￿leMents
ACCOUNTING POLICIES
easl8 of preparfng the finonelal 8tstements
The financial Slalements of the charilable wmpany, whlch is a public ben8fit entNy under FRS 102, havs been
prepared in accordan￿ with the Charities SORP IFRS 1021 A¢wJntlng and Reporting by Charities.. Stalemenl of
Recommended Pra¢iice applicable lo eharil*s prepa￿ng their 8ccotsnis in a¢cord8nee with the Finan¢ial Repoiting
Standard applicable in the UK and Republic of Irdand IFRS 102118ffeclive 1 January 20191,, Finan￿81 Reporbng
Standard 102 The Finandal Reportin9 Slandard applica￿e in th9 UK and Repu￿1¢ of Ir81and' and th6 Compani8S
Act 2006. The fin9nd￿ 3tatsm8nts have been prepared under the historical cost convenlKJn.
Income
All income 1$ reLyJgnisod in the St8tem8nl of Fln8n¢Kg1 Activth'es once Ihg charity ha8 ￿ti￿ornent to the fvnd8, tt Is
proba￿8 that th? Irthme wlll bo recowg£1 and the amount can be m88$ured reliabty.
ExpOnd￿re
Liabili1105 s￿ rwnlsfjd as expendlbJr8 a$ soon as there 18 a legal or constru¢tiV8 obNoaiion commllting the charity
to thai expènditure. 11 is probable that 8 transfer of gconomlc bonefit8 wlll bo required in s8ttlem6nl and tho amount
of the obligabon can btr measured relisbly. Exp8Trdrtur8 is aC￿nIed for on an accruals basi8 and has boon
dassified und8r hegdings that aggregate all co81 related to thè c818gory. Wh8r8 GOSts cannot be dire¢Uy attrlbutsd lo
particular headlngs they have been al1rKal￿ to a¢livili8s on a basis c￿siStenI with lh8 use ol r880urrns.
Tanglble flx•d g1i0ts
Depreciation 15 provldod 81 Ihe I￿J0%￿n9 Annual rat88 In ordèr lo wrfta off the cost les8 98tSm8ted rgsldu81 v8lu• eaeh
ass81 over its eslimaled usaful life.
Plant & machinery.. 25*0 on r￿uC￿nG ba18nce ba$15
FlxbJr•J. fI￿ngS and equiprnent.. 20% on reducin9 balance b861$
Taxatlon
The charity h èxèmpl corporallon t8x on116 charttabl• a¢lNttkg8.
Fund •ccountlno
Unreslrlct8d funds c4n be usod In a¢cordart• wllh the charbtslle obloclwej qt the dlger•tbn of th8 trusl8e5.
Re61dct•d fund8 can only be us4d for partleuLwr ￿the1•d wrposos ¥￿thIn the objects of lh8 tharlty. ￿$trkI4onS
ari$8 when 6ptsclfted by tha d￿¢YOr when fvnd6 are r￿jed for partlcular restr￿e￿ purposeB.
Further 8xplan8tion ofth• nature and purposg of tsath fund h Snduded In th¢ noles lo the financial statemtnl$.
NET INCOMEIIEXPENOITUftEI
N81 Ino)mell8xpendltur81 h ststed after charglntylcredMngl'.
31.12.23
31.12.22
D8preclolbTr- owned aB$et8
1.113
1,338
Page 6
tontinu¢d...

LONDON KORE
SCHO
MITED
Note5 10 the Fi
anci&l Si?i¢¥ncnis- co
for the Y r Ended 31 Decemb￿ 2023
TRUSTEES. REMUNERATION ANO BENÉFITS
31.12.23
31.12.22
TnJst88s' salall88
5,650
5.480
Trust•￿. expen4
There were no trusle8s' expenses paid for th& ye8r endod 31 December 2023 nor for th8 year ended
31 Decembgr2022.
STAFF COSTS
Thè s￿re90 monlhly numbor of em Joy•o1 during lh• year w88 as follow8..
Staff
31.12.23
37
31.12.22
29
No èmployees re￿IVed 8molumeftts In 8xce&8 01 £60.000.
COMPARATIVES FOR THE $TATeMENT OF FINANCIAL ACTIVITIES
Unrestricted
fundti
INCOME AND ENDOWMENTS FROM
DonaiionB and1oga¢ios
60,929
Chablt•bl• acllvlll••
Schod l••i
98,730
Olhw Income
4,918
Total
1fj4,57T
EXPENDITURE ON
Charltsble a¢tlvltl••
Educatsonal exponsos
Managemtnt and admlnbtrauon
130,927
24.612
Total
155,839
Nyf INCOME
9.038
RECONCILIATION OF FUNDS
Totol funds broughtforward
94.699
TOTAL FUNDS CARRIED FORWIARD
103,737
Page 7

H(K)L
Note￿ 10 ihe Financial Stai¢Tncnis- ¢ontin
for th£ Year Ended 31 DeLembcr 202
TANGIBLE FVXED ASSETS
Fixtures
Plant and
machinery
COST
At 1 January 2023
Additions
4,058
278
13,071
17.129
278
At 31 December2tr23
4,336
13.071
17,407
DEPRECIATION
At 1 January 2023
Chary8 for year
2,482
9,847
645
12.3D9
1.113
At 31 December 2023
2,930
10,492
13,422
NET BOOK VALUE
At 31 De¢etnber 2023
1.406
2.579
3,9
At 31 Decemb8r 2022
1,596
3,224
4.820
CREDITORS.. AMOUNTS FALUNG DUE wrrHIN ONE YEAR
31.12.23
31.12.22
soc￿1 88¢urity arKY othertaxe8
A¢GNed oxpenses
1841
1.000
1,000
916
1,000
MOVEMENT IN FUNOS
Net
rnoirement
ID futLd5
At
31.12.23
At 1.1.23
Unre$tricted funds
General fvnd
103.737
14,8981
98,839
TOTAL FUNDS
103.737
14.8981
98.839
Nel rrx)vetnenl in fktnd8, in(￿ded in th8 above are as folbws..
Incoming
resourc¢5
Resources
exp¢Dded
Moverncnt
in funds
UnreBMcted fund8
General fund
171.798
1176,8*1
14,8981
TOTAL FUNDS
171,798
1178,6961
14,8981
Page 8
continu¢d...

LO
AN
OOL
ITED
Noi¢.5 ro the Financial Stsicmeni5- conti
for the Y￿r￿End d 31 Dec¢mbei 2023
MOVEMENT IN FUNDS- contlnued
Comparatlv•¥ for mo¥•m•nl In fund•
Nei
movement
In fvnds
At
31.12.?2
Al 1.1.22
Unrostrl¢tsd fund•
General fund
94,699
9,038
103,737
TOTAL FUNDS
94.699
9,038
103,737
Comparatlvg not rnovgm8nt In fund8, Snduded In the abovo aro 88 follows..
Incoming
resourc¢$
R¢source%
expendeil
Movemenr
in fund$
Unr¢strlct•d fvndl
General fund
164,$77
1155,5391
9.038
TOTAL FUNDS
164.577
1165.$391
9,038
A cuff8nl yg•r 12 monlhs anrl pdor ygar 12 month8 ￿mbIn￿d ￿85t￿n Is a8 follo￿..
Nel
iovi'mL'nt
in funds
At
31.12.23
Ai 1.1.22
Unr•8trlctad lund•
Genaral fund
94,899
4.140
98,839
TOTAL FUN08
94,699
4,140
98,839
A current year 12 month$ and ￿or year 12 months Com￿ne(j net movamani in fund8. Induded In the ats)ve are as
folbws..
Incornirtg
R¢￿V￿¢S
expended
MovcTncni
in fvnds
Unre8trf¢l•d lund•
Gtrneral fund
336,375
1332,2351
4,140
TOTAL FUNDS
338.375
1332,2351
4,140
Page 9
corttinud..

LON
OREAN
CHOOL
ITED
Noie* 10 ihe Financial Ststements- continu
.gr the Year F.nded 31 December 202
ULTIMATE PARENT COMPANY
There is no U￿.mate (entrolling party.
RELATED PARTY DISCLOSURES
There were ￿ r81ated paty transactions for the year ended 31 D8￿Mber 2023.
Page ID

LON
REAN
L LIMI
D¢iailcd Siatemeni of Financi￿A￿1Ville5
fot
he Year En
31 Dccem
02
31.12.23
31.12.22
INCOME AND ENDOWMENTS
Donatlong and IBga¢lo8
Donations
50.184
60,929
Charhablo •ollvltlei
School fees
118.434
98,730
0th8r In¢om•
Other ineome
3,180
4.918
Totsl Inromlnq r••ourc
171,798
164,577
EXPENOITURE
Charhablo •¢tlvltl••
Tru8t80$' 8818ne8
Wages
Rant
Insur8nca
Telephone
Printing, PoNt 8nd 8tatk)n8ry
Advertisl
Sundries
Travel
Inforrnalon and publicatlon
Students & tutor5 W8Ware
Sofvare
Rapair5 & r8n8W818
Educaliongl supplles
Semin3r
Ent8rt81nrn8nl & glfts
ant and machlnery
Fixturas and fittings
8ank charges
5,650
93,816
33,304
1,27S
248
1,095
4.366
686
2,141
8,932
12,662
516
5,480
73.967
29,393
1,250
103
4,450
3.559
10,026
10,524
1,582
4,086
1.801
3.139
3,253
4,420
2,683
532
130
174,896
153,276
Support CO8t•
Govomance c08t
A￿￿nt8ncY 8nd1898l fe88
2,263
Total resources oxp8nd8d
176,696
155.539
Not loxpondlturo)Ilncom•
14,8981
9,038
Thi$ pa8¢ d0¢5 not fonn part of th¢ ststutory fjE)attcial siatcmcnts
Pa8¢ 11