REGISTERED coMP￿￿y NUi*IBEIL. 07126773 (Eogknnd And Woles)
REGISTERED CHARtTY NUMBER: 1134778
HARROW LAW CENTRE
FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2024
Berringers LLP
Chartered Accounranis
aftd Sthtutory Auditor
Lygon IIou5¢
So London Road
Bromley
Kent
BRI 3RA

HARAOW LAW CENTRE
CONTENTS OF THE FINANCIAL STATEMEliTS
ror the ye*r ended 31 M*r¢h 2024
Page
RtfertDce Athd ￿MI￿￿tr41￿C det*lla
Report of thè trusle
Report •f the lThdependent illdltori
Stitement If flnanelal 4ctlvltleJ
Bil*nee ihott
C4•h tlow it*tement
Notes to tbe euh Oow Jtatement
io
Ngtei to tho IIDan¢S41 st•tements
11 to 19
Detalled st*tement offln*n¢l•l a¢dvltl
20 to 21

HARROW LAW CENTRE
REFERENCE AND ADMINISTRATIVE DETAILS
for the ye4r ended 31 M•rch 21124
TRUSTEES
A T Convi%
C G N D¢nnemonl
Mr5 A whiw.head
Ms S Wood
R Joshi
REGTSTERED OFFICE
The LodgL
64 I'inner Road
Harraw
Middl¢s¢K
HAI 4H7.
REGISTERID COMPANY
IYUMBER
07126773 {Ell￿￿d and Wale¥)
REGISTERED CHARJTY
NUMBER
1134778
AUDITORS
B¥rrin8ers l.LP
ClTranercd AcLounianlS
and Siawiory Ayditor5
LyKon Hous
io Loftdon Rood
Bromley
Keni
BRI JPA
KEY MANAGEMENT
& PERSONNEL
P Fit4Jatri¢k- Center Diyecwr

L4RROW LAW CLNTRE
REPORT OFTHE TRUSTEES
for the yegr ended 31 ITrVarth 2024
The Iruslees who ure ￿ls0 directors of Ihe chariry for ihe purpo%es ol- the Companies Act ?006. Present their report ivith
Ihe fjnaniial siaiements of th¢ cl)ariiJ' for the veal ended 31 Marbh 21124. The Injsiees have adopied Ihe provisions of
Aecountingi tiid Repui'iin& hy CliariiiLS.' SiaicmLiil ol. R=commended Practice applicable lo cliarities prgparini7 thcir
accounts in accordancc ivirh the Financial ReportTng Standard ttppliciible in thc UK and Rcpublic of Ircland IFRS 102}
{effeclive l January 2019).
OBJECTIVES AND ACTIVITIES
Purpose and ohjectives
The main objecis of Ihe Law CLntrc arc Ihc r¢li¢f of tjnancial hardship by provisiort of free. indep¢iident legal advi¢¢
dnd asSi5tan¢c to ￿rsortS who. Ihrough lack of means. would orheTwise be unable fo obtain sucli advice., li) advance
education in IhL laws ot England and Walcs Iron) lime to time in torce foT Ihe public benefit. and to advance such other
hariidblL' purpo8cs as the tiusrcc5 at their 3bs0Sule discreiion may fi'om Lime to time dei¥miine.
ACHIEVEfvIF.NT AND PF.RFOR￿I1INCE
In shaping our objeciives for Ihc ycar and planrsing our 4¢(ivities. the trustees have considered the Chariiy
Commission's guidaD¢e on public b¢netiL incluÉJing th¢ ouidiince 'public b¢n¢fit" running a ¢hJrity. The achicvements
n¢J dciivilies above demonsirai¢ ihe piibli¢ b¢n¢fil 3ribing through ihe Chariiy's a¢iiviiies.
FINANCIAL REVIEIV
Total inLome for th¢ year amouni¢d 10 £1,073,625 wilh iotal expenditure amouniitl8 to £l,O11.234 leaving 4 nel surplus
ror Ihe y¢ar of £62,391
Accuinulaied r¢serves ai the b8lance she¢1 dale amounled Iv £314,479 repre5¢ni incorne reserves.
Rejerves polliy
The Trustees hdvc SCI up a pulley 10 rnain¢ain rescrvcs at a rninimum l¢vel ILoiiiiYd if the charity Was lu cea$e
opei'&tions. Ai presenr Ihe Irusiees assess ihe chariiy As a going concern and thLrcfvre do Dot envi5a¥c Ihai reserves to
ccasc operatiun.% would need to bc ealled upon in Ihe near fufvTC.
A YxU*blllty adequicy of aJset5 of each of the fund5
I'hc bvard UF Ir115tec5 arc 5ali5fied that Ihe LhaTily'S as¥e15 in e¥Lh lund arc available and adcquaie to FulFIl Ils
obli¥4lIo￿ Tn rEsprct ol'cach fiJnd.
FUT'URE PLANS
S￿￿￿Thary ofplan$ for the fulurc and Ihc Iruslcts, per5pc¢liv¢ ufihc fuiuTe dircction of Ihe LhariLy.
Tlie main aim for the Law C.enire is to conlinuc to mect Ihe demand f()r ILgdl advice locally WL Lxpect IhL dcrriand io
onlinue lo increase. We Ilierefore aim lo increase provisinn for reprcsen(Jlion at Tribunals In Welfare Bencfil cases.
STRUCTURE, GOVERNANCE AND fvIANAGEMEIYT
Governing document
Harruiv Law Lenire is d ¢ompény limiied by guaranlee and is a Te8isiered chariiy. 'fhe company w85 e$iablish¢d under
a Mi cmorandum of Associaiion which csiAblished Ihc objccts- and powers of th¢ ¢harilJble compdny and is biovcmed
undei. its Articles of As.%ociation. In the eveni of thc company bein8 wound up mcmbers ayo required 10 toniribute an
&mrJunt not exceeding £1.
Reerultment and appolfttment Dr new irusteos
The Irust¢ob and dirEciof5 who 5¢Tv¢d Ihrftughoul th¢ year are shown on pagc l. Appoinimenl (Jf direcior5ltT￿tces 15
govern¢d by Ihe Memor&ndiim & Ariicle5 of Assoiialion.
Ncw Truslccs undcrgo llaining on Iheir legal obligation% as under Chariiy Law, Ilio decision rndkin¥ pro¢css. th¢
biisine5s plaii and reLent perforrnance of ihe charily.
Orggni$8tion81 strueture
The trustees are appoinied having regard to specific skills thar are requir¢d for (he 8overnanc¢ of the charity. In view of
Ihe si7.e of the cenire. Ihe irysiee5 consider that they haw¢ a wide ran8c of experi¢nce that is SUitc2ble for ihe goveniancc
of a cliarsty.
P4ge

IIARROW LAW CEIYTRE
BALAIYCE SHEET
31 March 2024
2024
Total
2023
Total
ds
Unrestrtcted
fund
R¢strici¢d
fund5
Noles
FIXED ASSETS
T￿gIble assets
12
3,847
3,847
2.618
CURRENT ASSETS
Work in progress
Dcbtors
Cash ai ballk
13
14
206,182
46322
127.849
206,182
68,722
219,537
267,739
36.024
44,907
22,500
91,688
380,2S3
114,188
494,441
348.670
CREDITORS
Amounts falling duc within one yegr
{69,621)
(114,188)
(183,809)
{99.21JO)
.YET CURREIYT ASSETS
310,632
310,632
249,470
TOTAL ASSETS LESS CURREliT
LIABILATIES
314,479
314.479
252.088
YET ASSETS
314,479
314.479
2,088
FUNDS
Unr¢stricted fvnds
16
314A79
?5?.OIIR
TOTAL FUNDS
314,479
?5?.0&
Th¢sc financial sthiemcnLS have been prepaTcd in accordance wilh Ihe provisions applicable io GhariL&ble companies
subjeci to the small componies regimc.
The IinAncial 8tateni¢nL8 were 4ipprovcd by the Board of Tru8i¢eg and Authorised for i55Ue
and weT¢ sibjnod ort its behalf by..
ott
A Whiieh¢Ad- Trustre
The note5 form part of rh¢5e financial statenientS
Page 8

HARROW LAW CENTRE
STATEMENT OF FINANCIAL ACTIVITIES
for the ye&r ended 31 March 2024
2024
Total
funds
2023
Totsl
firnds
Unrestricted
nd
ReStriC￿d
fijnds
Notes
INCOME AND EYDOWMENTS FROM
Donations legacies
2,513
2513
4.756
Charltable Activitles
Legal advic¢ services
552,688
S16.020
1068,7118
821,219
Invest￿￿nt incorne
2,4(M
2,41M
372
Tot#1
557,605
516.020
1,073,625
826.347
EXPENDITURE ON
CbaritAble gttlvltles
Legal advice services
Support costs
GrEnts
488,064
7,150
SII020
1.004,084
7,150
798.048
7.150
3.333
Tot41
495314
516,112
1.1111,234
808.531
NET INCOME
62,391
62,391
17.816
RECONCILIATION OF FUNDS
Totsl fvnds brought forwud
252,088
252,088
234,272
TOTAL FUNDS CARRIED FORWARD
314879
314,479
252.088
The not¢5 forni part L)f the5¢ financial st&lement5
Page 7

REPORT OF THE If4DEYEIYDEIYT AUDITORS TO THE MEMBERS OF
HARROW LAW CENTRE
Ule of our report
Thts report is rnzd¢ solely to the ctwitable company's tnembeTS, as & body, in aecordance with Chapter 3 of Part 16 of
the Companies Aci 2006. Our audit Work has been undertaken 50 that we might state to th¢ charitable compangs
members those matters we are required 10 io them in an auditors, report And fot no other putP05e. To the fullest
extent permitted by law, we do not accept or assume responsibility to anyone other than the charitable compAny and the
charitable eompany's members as a body, for our &udit work, for this repon. or for the opinions we have fonntd.
Ricky Hutson Bsc FCCA ACA {Senior Stabjtory Auditor)
for aDd on behalf of Berringers LLP
Chartered Aceouniants
and StaDJtory Auditors
Lygon House
50 London Road
Brorniey
Kent
BRI 3PA
Dale..
Pa8c 6

KEPORT OF THE INDEPENI DElY'f AUDI"foRS TO THE fvIEINIBbRS OF
HARROW LIIW CEINTRE
Matter$ on whiLh we are required to report by exception
In rhe lighi of the knowledgc and undersianding of Ihe chariiable Lompany aDd it5 environment obtailled in the COUT¥e
of the audit, we havi not idcntificd malcrial missiatemknnts In the Reporr of ihc trihstees.
We have noihiniT 10 rep011 in respect of Ihe following maitcrs whcre the Cornpanits Act 2006 requircs us 10 rcpon lo
you if. in oiir opinion-.
dequate aLcounting reeords have noi bcen kcpt or rewrn.% adequate foi our audit lJ&ve not been re¢eivcLI from
branches noi visiied by u5: or
the financial siatements are noi in agreemeni with Ihe &i¢counliiig record> and reiurns., or
certain disclosures of trus(ees' remuneraiioii spccificd by law ale not n)Jde' or
we have not reeeived all rhe inlomiaiion and cxplanaiions we require for our aiidii.. or
Ihc irubiecs were not ei)titlcd io iakc advantage of the small companic% eximpiiun from ihc r¢quiremcrti 10 prepare a
S(raie¥ic report or in preparin8 the Report ofihe Irusl¢¢s.
Responslbilities of trustees
As explaincd mor¢ fully in Ihe Siaiement of Injstees, Tesponsibiliiicg. lh¢ Irusiees (who are also Ihc directors of ihc
charitable company lor ihe puryos¢s of company lawl arc re8ponsible for the preparation of the financial stateM￿ntS and
for being S4Ltisficd Ihai they Kiv¢ a tru¢ and fair view, and for such intcrnal Lunirol as th¢ Irusiees deiemiine is necessary
to gnabl¢ lh¢ prcparaÈion (yr rinancial Slaicmenis thai are fr¢r from Inalerial missiattmeni, wh¢ih¢r due tts fraud or ¢rror.
In preparing the financial statemen15. rh¢ irubt¢¢s are responsible lor a5￿$s1n8 the charitable company's ability to
continue as a 8oillg conceTn. disclosing, as applicabl¢, m¥ilter5 related to goin8 concern and using the 80ing contern
basis vf aLbountin8 unlcs5 Ihc Inisrces eiilier intend io liquidate the ehariiable ¥omp8ny or io cedse opcrAtions, or h?v¢
no relllisiie altcrnativL bui 10 do so.
()ur r￿PonSIbl1111es for the audit of the financl¥l lTrtatemenls
Our obj¢ciives arL to u5)tair reasonablc ussurttnce about whether ihc financiBI 51OteTnents as a whole are free from
material Ini551atenieni. wheiher dutt lo frdud or eiTOT, and Io i&5uc a Repori of Iht indcpcnderit auditors Ihtil include8 our
i)pinion. RL#S<)nablc asSur￿ftLL 1% a hi¥h levcl ol. assurance, biit 15 not a guaranicL thai an audii conducted iii aLLardance
with ISA4 IUiQI will ul1v￿y$ deleci a malerial Ini55taLcmcni whcn il cxisis. Mi.4¥iai¥mcnis can dristt frorn fraud or e￿Or
nd are consid¢red rnui¢riJl if. individually QT in the aggTegate, Ihey could reL$onahly bc cxpected to intluencL thL
ccoiiorni¢ dcci5ions ol. usei's iaken on Ihc basis ol thesc financial siatemenl5.
The extcnl to which our proLeduT¢S ore capable (Trf detectin&F irrcgularilicy, includinb fraud is derailed below..
In identifyin¥ and a5SCS51n8 risks of tnaicrial niis&ia(emenl in respect of iTTcgiilarilieb, including Iraud and L'rror, wc
considci'ed thc following..
the of the industry, control cnviT(Trnrnert And business performance;
rcsulis ot our cnquiTies to management ubout rheir as%cs%Tncni Df the risks of fraud and etror-.
the matters disciissed Ihc 8udii enga¥cmeni It&m regarding how and where fraiid may OCCUT in the flnancilll
8tai¢Tn¥nts and any poteniial indicatrjrs of fiaud.
Our proccduTes to rc%pond 10 risk include the following..
reviewing Ihe fin&nLial siatLTnent disclosurcs aTrd Icsling 10 supponlng documcntation:
perton)iinB analylicul pru¢¢dures lo iiJ¢niify any unusual or une.xpecied are8S that may indicate ri$ks of material
rnissiaicmenl due to fraud or ¢rroT-
Jddre%5ing Ihe risk of frdud and error Ihrough mdiid¥em¢iii ovenide of controlb, l¢sling the appropriateness ()f
Journa15, asscssin8 whctlier thc iudgemcnts madc In making dccouniing estimates are illdicaiive of > potential bi#5; ond
ovalualing the busincss ralionalc ol. any qignifi¢unt tyattsactions Ihat are unusual or outside th¢ nomal course of
bubin¢ss.
A furiher d¢scripiion of our responsibiliiics for lh¢ audil of Ilie findnLial 5Laicmcnis is Iv141lcd On th¢ Einaniidl
RcpoTiing Coulleil's websit¢ ¢it www.frc.or8.uklaudilois1¢5ponsibiliiies. This dcscription fornis part t7f our Rcport of th¢
Independent Auditors.
Page 5

REPORT OF THE INDEPEINDLIY'I".4UDI'foRS TO THE ILMLIERS OF
HARROW L.,IW CEYTRE
Opinion
We have audiicd IhL financlal siaicmcnts of H3rroiv Law Centre Iihe 'charitablc cornpany'l lor the year ended
31 fvlarch 2024 wliich coillprise the Si#tement of fJn&ncial aciivitieè. the Balance sheel, Ihc Casl) flow statcmeni and
notCS to Ihc financial siateTnents. includin8 a summary of significant accounting policies. The financial rtporrTng
fram¢woiL ihal lids been applied tn Iheir prepdraiitsn Is applicable law and Uniied Kingdotn Accounling Siandards
Iuiiiicd Kinadom GcnLrally ALCLPILd Ac¢ountin&T PraciiLel.
In our opiiiion Ihe finaiicial siaienienls..
give a true and fair view ol Ihc slate of Ihe Lhariiable Ll)JThPiiny's afiairs as al 31 MarLh 2024 anLI uf lis inconiin¥
resources and applicaiion of resources. iiicluding ils inLome Jnd expenditure. for the year then ended:
liave been properly prepared in accurdanct wilh United Kingjdom Generally ALcepted Accouniing PraLILCC: and
have been prep2red in accordance ivith the rLquirem¢ois oi Ihc Cornpanies Aci ?006.
B8si5 for opinion
WL tonducied our audit in accordance with International Siaiidard& on Auditing IUKI IISAS (UKI) and appliLabl¢ law.
Our responsibilities under Ihose standards are tiirther desLribc.d in rhe Auditors, responsibilities for Ihe audii of lh¢
FinAnciJl 51alemenis seciion of our report. We bre Independeni orth¢ Lhariiable company In aLcordance with ihe cthiLal
rL'quiremcnis tljat aTe relevani to our audit ol th¢ firiancial statcm¢n¢s in the IJK, including the FRC'% Eihic¢tl standard.
and we have hJllilled oui, other ethical responsibiliiies in accorddllLC Wlth these requireinents. We believe Ihdt the audii
evid¢n¢e we hdv¢ ubidined is surrieieni and appiupndte lo pr()vide a basi$ for our opiniun.
Corsclusions rel#ting to going tthncerA
In auditin8 the finai)Lial $14icmLllT5. wc hav¢ concluded rhat Ihe trustees. usc of thc going conceim basis of accountin8 in
Ihc preparalitsrt of IhL financial ¥ialeJn¢nis 1% appropriale.
Bascd on ihe work WE have perfomied, w¢ havc noi idcntifiLd any maierial uncLriainties relating its evenis or
conditlDn5 thdl, individually or collcctively, rnlly ca&1 sisjnificant dtsubi rhc charitable company's ability l() CDTiiinue
25 u going conceTn loi. a pcriod of ai lea%i Nvelve monihs from when the fiiiancial sioiemcnts arc duihoriscd for issue.
Oui. rcspnnsibilTiie5 and Ihe re$ponsibiliiies of rhe Iruslecs with rcspcci io going conctrn are descTTbed in Ihc relcvant
SeLiir>llb É)I' Ihi% report.
Oiher inforrnaiiL)n
Th¢ INSl¥CS arc rcsponsiblL tor ih¢ vih¢r inforrnalion. Thc oihcr infoTmalion compris¢s thL' inftsmiaiiort included in the
Anniial rcpi>ri, oiher (hart the firtan¢ial stJi¢iiients and our Eiepon of the ind¢penJ¢ni audii¢rs Ihereoii,
Our opinion on Ihc findncial stsi¢m¢nt5 docs not covcr Ihe oiher inlormaiion and, ¢x¢epi to Ihc ¢¥(ent oiherwisc
explieitly siai¢d in our report. we do noi express any forn) ofassurance ¢onclusiun thereon.
In ¢onnicLitsn with uur audii ufih¥ fin#ncidl siai¢menis, our responsibiliiy is to read the oih¢T infomation and, in doing
so, Liin>&idcr wheih¢r Ihe oth¢r infomiaiion is maieTiJlly incon5lsienl wilh rhe financial siaicmcnts or our knvwled¥c
obtained iii the audit ur otherwise appeaTS 10 be m¥teri8lly misstated. If wc ideritify such maicrial inconsistcncics or
appdrcni Inaieriol mi5sraieinenis, we ale requircd 10 deienDine wh21h2r Ihis gives rise 10 a tlliiierial mi551aieinenl in Ilie
riiidncial 51atimcn15 Ihcm¥elve8. If. bdsed on the Work we havc performed. we conclude Ihai Iherc is a malerial
mis51aleinent uf ihis oih¥i inlurmaiiun, we are re4uired to TepL)n Iliai faLI. We have noihing lo report in thi5 regard.
Oplnlons on other mgtters prescrlbed by the Compsnies Act 2006
In UUT opinion, based on the work undcrtaken in the COiiTSC of thL audil-.
Ilie infvmiaiion gTven in the Repon of the tswbiecs for the financial ycar for whi¢h the finaii¢ial sraiemeni% art
preparcd 15 consislcni with ihc financiul siaiLmcnl.%.' und
the Repon ol. Ihc INsiecs has becn pr¢parcd in ￿cOrdanCe with applicabl¢ Icgal reg111￿1n¢nts.
Page 4

HARROW LAW CEN"fRE
REPORT OF THE TRUSTEES
for the vear ended 31 i¥larch 2024
STRUCTURE, GOVERNANCE ALYD fvIANAGEMEYT
Wlder network
Haryow Law CLnlrc is a meniber of thc Law Cenire Network ILCNI which is all umbrclla Organi￿170n io all Law
cen￿e5 in Iht UK.
Related partles
Nonc of the trustees ree¢ive remuneration or oihcr bcnefit in their capacity is INsiecs of the Charity. Any connection
beNvecn a trustee of Ihe charity and organisaiions providing services to the charity must be disclosed lo thc full board or
Irusietts in the same way as any coniraciual rclaiionship with a r¢laicd party. In lh¢ CUTr¢nl year nLI such r¢laied party
transaciions were reported.
Risk matt*gement
The trustees have a duty to identify atid review the risk$ 10 which the charity is ¢xposed and lo C￿ure appropriaie
conTrols are in place io provide reasonable assui'ance again8t fraud Ind eTTQr.
The tnjstees Aciivcly review the rnajor risks which the chaTlly faccs on a re¥ular basi$ and b¢li¢v¢ thal maintainin
reseN¢s al Ihe current lev¢ls. combined wsth an aftnual review of Ihe eontrols over key finJncidl sysiems. will Provid¢
sufficienl resources in the ¢v¢ni of advers¥ ¢L)ndilions.
STATEMENT OF TRUSTEES, RESPOI%SIBILITIES
The Iru51ccs (who are also the directors of Harrow Law Centr¢ for the purposes of company lawl arc r¢5ponsiblc for
prcparin¥ the Rcport of the Irustees and the finanLial staternent5 in accordance wilh appliLable law and Unii¢d
KLll8dom AccountinB SiaDdard5 {Unilcd Kingdorn Gencrnlly Accepied Accouniin8 Praciicc).
Cornpany law rcquircs Ihe Inistees to pr¢pare financial slatfTnen¢¥ for each financial year whith givc 8 Irue and fair
vicw ol- the slate of affair5 of the charitablc company and of ihc incorning resourc¢8 4nd application of resources.
including Ihc income Jnd expendirytre, of th¢ charitable cumparty for that pcriod. In preparin8 thosc financial
siaiencnts, Ihc tn]stees are required to
sclccl suitable accouniing policies and ihcn apply ihcm consisienily;
observ¢ the methods and principles in Ihe Charity SORP;
makc judgEments and es(imat¢s that are reasonablc and ptudent:
PTepare the financial 5tateTnents on thc 80in8 CUTlCCtn bosiy unle¥s it is inappropriatc ¢0 presume that thc charitable
company will corltinuc in buSLncss.
The trusiccs arc Tcsponsible for kceping propcr accounting iecords which di4clow wilh reasonable aecuracy at any lime
Ihe fiTh*nci£tl pv51tion of the charitable company and to enable them to ensure that the finan¢i&l staterncnts comply with
the Companies Act 2006. ThLy arc also responsible for safeguardin¥ IhL' asseis ofihe ehtriiable cumpany ind hence for
takinB reasonable steps fur Ihe prevention and deleciion of fraud and other irregularilies.
In so far as Ihe tPJ5tees are &WOTe:
Ihere is no Telev8nt audit inforrnaiion of which Ihe chaTiiablc company's auditors are unawaT¢' 2nd
Ihe (rustccs have raken all SLep5 that Ihey OUBht to have taken io mak¢ th¢ms¢lvcs aware of any rclevant audit
infomialion and io eslablish rhai th¢ 8udi(ors Are aw&T¢ ¢)f thot inforniation.
AUDITORS
Thc auditors, BerrIll￿r& LLP, will be propoied for re-appointm¢nt at the forthcoming Annual General Meeting.
AppTov¢d by order of rhe board of trustees on...
and signed oft its behalf by..
Mrs A Whitehead - Trus(ee
Page 3

IL4RROW LAW CENTRE
CASH FLOW STATEMENT
for tbe year ended 31 Marcb 2024
2024
2023
Notes
Cash flows from oper*tlDg actfvld
Cash generated from op¢rations
l75J45
(2.614)
Net cash provided byl{ustd in) opernting activities
17S345
(2,614)
c￿$h Ilows from Invuting •¢tivhles
fcha8e of tsngibl¢ fixed assets
Intere8t re¢eived
13.119)
(3,Ol6)
372
Net cash u$¢d in iDV¢8ting adivitie¥
171S)
(2,644)
Cb*nte Iud Cash equI￿1•nts In
th¢ reporthig pertod
Cuh aDd e#sh equ1V￿ents at tb•
be8lnolll8 of the reponlttg p¢rh>d
171030
(5,258)
44907
50,165
C4Jh aod cash equlvAIMts It the end fjf
the repDrdn8 perlod
219,537
44.907
Th¢ fonn part of these financial statements
P&g¢ 9

IIARROW LAW CENTRE
NOTES TO THE CASH FLOW STATEMENT
for the year ended 31 M*rth 2024
RECONCILIATION OF NET IliCOME TO NET CASH FLOW FROM OPERATING ACTIVITIES
2(124
2023
Net IDeome for tbe reportlfyg perlod (as per the Ststement of fittaDcl•l
ttlvltles)
AdJustmeDti fDr:
Depreciation charg8S
Inkre5t received
Decreasel{increosel in work in pro8ress
(Increaseyd¢crease in debtors
IncTeuel{decrease) in creditor8
62J91
17,816
1.247
(372)
(75,732)
65,934
(11,507)
(2A04)
61,558
(32,698)
84,609
Net provlded byl(uged lft) operndoni
175J45
(2.614)
ANALYSIS OF CHANCES IN NET FUNDS
At 1.4.23
Cash flow
At 31J.24
Yet tAsh
Cash at bank
44,9(17
17{630
219,S37
44,907
174,63
219,S37
Total
44,907
174,630
219.537
The note5 forn part of th￿C financial statemenls
Page 10

HARROW LAW. CENTRE
OTES TO THE FINANCIAL STATEMEIYTS
for the ye3r ended 31 imarch 2024
ACCOUNTIYG POLICIES
Basi$ of prkp8ring the financlal stAtements
ie financial staicmcnl.% of Ihe chariiable coimpany, whicli is a publie benefii erttity undcr FRS 102, havc beLn
prepared in accordance with thc Charitses SORP IFRS 10?) 'Accounring and Reporting by Charriie5: Sratcmenr
of Recornmcnded Pr8clice applicable io chariiies preparinkj Iheir accounts in acLurdanLe with the Financial
Reporttng Siandard applicable in the UK and Republic of Ireland (FRS 10?) Icffcclivc l January 20191..
Financial Reporting Siand41rd 10? 'Th¢ Financial Reporting St8ndard applicable in rhe UL and Republic or
Ireland, and thc Comp2ni¢5 Aci 2006. The financial $￿tementS hav¢ been prepar¥d utjdir thc hisrori¢al c05(
onvention.
Crltleil acco￿ntIng judgemcnt5 aDd key sources of estlmotlon un¢ertalnty
In Ihe applicalion of Ihr chaTLils atcouriLill8 policies, Ihe Irusiees are required to make judg¢menis. estimaies
and assumptions under thc caryii)g arnount of a5set5 and liabilrtics that are not readily appareni from other
sL)urccs. Thc CSLimai¢b and assucid(ed a&sumpiions &rL. basLbd on historical expciicnce and vih¢r fdLIoT$ ihai aT¥
considered lo be rclcvani. AcDJal r¢sults may diffcr trom Ihcs¢ ¢51imates.
The estimates and underlyin8 tissunipLion$ are reviewed ort aft ongoing basis. Revision5 to aceuuniing eslimaies
are re¢()gni5cd in the pcrlod in which the estimat¢ is r¢vis¢d ivhere Ihe revision alYe¢ls only thai period. or in the
period of revision and fuiure periods whcTC ihc r¢vision aff¢cis boih.
Incorn¢
All incomc 1$ recognised In Ihe Siatcmen( of Financial Aciivilics onec the charity h39 entitlement to the fvnds, ir
15 probabl¢ thai Ihe income will be reLeiv¢d and the amounL ¢an be ￿eaSured reliably.
Ex￿ndItUre
Liabilities arc rcco8ni.sed o¥ expendTDJre as soon as therc is a Icgal or con51rnctive obli881ion commiiiin¥ Ihe
chaTlty tv Ihllt Cxpcndi￿re. li is probable that a traD5fcr of CCDnotnic benefiis will be requircd in scnlcmcnt and
the amount of Ihc obligaiion can be mcd%urcd Tcliably. ExpenditUTe is accounted lor on accrualy basis aThd
ha5 bceji classified under headings Ihat ¢tggrc8atc all Losr rclaled to the Cdiegory. Where e05ts cannot be dirrfily
attribuled to partIc￿lar headings they havc been allocatcd 10 aeiiviiies on a basi5 conyibleT)I with Ihc use or
resourLes.
GTanls offcrcd subjcci to conditions which have noi been met ai the year end dote arc noted as a commitmenl
but nut aecrued as expendittjre.
T*ngible fixed 4$5¢ts
Depreciation is providcd ai the following annuul ratc5 in ordcr to writc off each asset OVCT It5 C5[1￿81¢d u3cful
Office equipment
250/0 on cosi
Work In pro8re$$
Work in progre$8 is recogni5cd al the point when the outcome of the rendering of services crtn be estimaied
relitlbly. Work in progTesb comprises of legal serviees provided by refercncc ¢0 th¥ Stage of ¢ompleiion at rhe
end of The rcporling period.
T4x¥tiun
The charity is exempt from ¢OTporation tax or its charitable dctivities.
Fund AeCOUlltIrt%
Unrestricted funds Can be used in 8CLUTdance with Ihc charilable objectives at the discretion of thc irustees.
Restricted funds Can only be used for particular resiricied puryoses wiihill ihe obje¢t% of ihe charily.
Restrictions arisc whcn spccified by the donoT OT when ￿ndS are rais¢d for parficular rcsiricied purposes.
Further explanation of ihc naiurc and puiposc ofEach fund 15 included in the nolrs lo the fjnancial sttLlcments.
Pagc 11
continued..

HARROW LAW CENTR
'OTES TO THE FINANCIAL STATEMENTS- continued
fur ikne year ended 31 Marth 2024
ACCOUNTIYG POLICIES- continued
Pcn5ion costs And oiher post-retlrement benefits
The Lharitablc company operares a defined coniribuiion pension scheme. Contributions payable 10 the
charitable company's pension scheme are charged to the StDierneni of Financial Activities in ihe period io which
they relate.
DONATfoNS AND LEGACIES
2024
2023
Donations
2,513
4,756
INVESTMENT INCOMF.
2024
2023
Deposit ae¢owiÉ interest
1404
372
INCOME FROM CHARITABLE AcfiviTIES
2024
2023
Aciivity
Legal advice services
Legal advice seivice5
Le8al ddvire services
L2gal advice services
Oprning work in progresg
Legal %ervices income
C105iTI8 work in pi'ogrc5S
tan15
(267,739)
58ZJ44
206.182
548,021
(192,007)
325,459
267.739
420.028
.068.708
821.219
Grant5 received, includcd in ihe above, arc &s follows:
2024
2023
The Three Guine8's Trusl
Trust for London
Bcll foundation
Law Centres F¢derAtion
Harrow Council
LoDdon Legal Support Trust
Legal Education FuundAiion
Oak Foundatlori
John Lyon's Ch8rity
The ALLess io JustjLe FouDdtttion
A B Chari12ble TNSI
The Tudor I'rust
London Community Foundation
37,500
33,000
26,069
25.752
79.500
49.000
32,614
7.500
25,000
33.237
5,000
66.595
7.500
55,082
20.000
30,000
9.000
76.068
39J90
131.723
30,000
82,519
22,000
3101KI
12.01)0
5411.1121
420.0?8
Page 12
conlinued...

HARROW LAW CENTRE
NOTLS TO THE FINANCIAL STATEMENfs- eontlnued
for the y￿r eryded 31 M*reb 2024
CHARITABLE ACTIVITIES COSTS
Support
eosL% (see
note 7)
Dir¢ci
Cosls
Totsls
Legal advice 5ervtce5
Support ¢05ts
1.004,084
1,004,084
7.150
7.ISO
1,004.084
7,150
1,011.234
GRANTS PAYABLE
2(124
2023
Grants
3.333
SUPPORT COSTS
Governance
¢osts
Support ¢o$(s
7,150
NET INCOMEI(EXPENDITURE}
Net incomel(expenditure) is 8tated after charginW{credilin8):
2024
2023
Auditors, remwierntion
Other non•audii servicei
DepreciAtion- owned assets
3950
JJOO
1,890
3.950
3.2
1.247
TRUSTEES, REMUNERATION AND BENEFITS
There wtre no tru8tees' roTnuneration or Ott￿ benefits for the year ended 31 Mareh 2024 rtor for the y￿r ended
31 March 2023.
Trustees, expens
Th¢r¢ We￿ no tru8tees' expews paid for the year ended 31 March 2024 nor ftjr the y¢•r ¢Dded 31 March 2023.
Pa8e 13
orttinued...

HARROW LAW CENTRE
NOTES TO THE FINANCIAL STATEMENTS- eontlnued
for the year eftded 31 Mircb 2024
STAFF COSTS
2024
2023
Wageg and salaries
Social security costs
Other pension costs
734.63S
71,920
17,313
610.8iO
56,018
14.148
823.8611
6¥0.996
The averaJJe monthly number of ¢mployee5 durtn8 the year was as follow5.'
2024
19
2023
15
Dirccl charit8bl¢
Administrative & support
20
16
No employees received emtslumenis irt excess of £60.0(KJ.
ii.
COMPARATtVES FOR THE STATEMENT OF FINANCIAL ACTTVITIES
Unr¢strieted
hjnd
Re$tticted
funds
Total
funds
INCOME AND ENDOWMENTS FROM
Donations and le8acie$
4.756
4,756
ChArltsble J¢ttvltt¢s
Legal advice services
460.102
361.117
821,219
Inve$tm¢nt iDcom¢
372
372
Totgl
465,230
361,117
826.347
EXPENDITURE ON
Ch￿rItable aetlvltlei
Le8al advice 8ervi¢
Support cos
GrAnt&
432.304
7,150
3,333
365,744
798.048
7.150
3,333
Total
442.787
365,744
808.531
NET IficoMEI(EXPENDITURE)
22,443
(4.627)
17.816
RECONCILIATION OF FUNDS
Totsl funds brought lorw8rd
229,645
4.627
234,272
TOTAL FUNDS CARRIED FORWARD
? j:.1 J8%
252,088
Page 14
continued..

HARROW LAW CENTRE
NOTES TO THE FINANCIAL STATEMENTS- ¢ODtinued
for the year ended 31 Marcb 2024
12.
TANCIBLE FIXED ASSETS
Office
equipment
COST
At l April 2023
Addition$
4.989
3,119
At 31 Mar¢h 2024
108
DEPRECIATION
Ai l April 2023
Ch4r8¢ for year
U71
1,890
At 31 Marcb 2024
261
NET BOOK VALUE
At 31 Mawh 2024
3047
At 31 MaTch 2023
2.618
WORK IN PROGRESS
2024
2023
Work-in-progrrsi
206.I¥Z
267,739
14.
DEBTORS: AMOUNTS FALLIIYG DUE WITHIN ONE YEAR
2024
2023
Ttade debtor
Other debtors
Prepayments and accTh￿d income
Prepayinents
33.948
2,338
30,000
2,436
2.338
30.000
3.686
64722
36,024
PJ8e 15
continued...

HARROW LAW CENTRE
NOTES TO THE FINANCIAL STATEMETrITS- contlftoed
for the year ended 31 March 2024
15.
CREDITORS: AMouNfs FALLING DUE WITHIY ONE YEAR
2024
2023
Trade creditors
SOCI￿ security and other t&xes
VAT
Oiher crediwrs
Unidentified creditors
Aecruais and deferred income
AccTued expense5
1,939
19,833
6.252
3N71
7,999
16,929
9,93 1
2.913
8,6811
29,614
23,126
11418B
3&126
183,809
99,200
I& MOVEMEKf IN FUNDS
Net
movement
in fiJnd$
At
31.3.24
At 1.4.23
Unrestrhcted funds
G¢￿[41 fund
252,088
62,391
314.479
TOTAL FUNDS
251088
62.391
314879
Net movement in funds, included in the above are a5 follows..
It2coming
resource5
Resources
expended
Movernent
in fvnd8
Unre9trlet¢d fuod$
G¢nerul fund
557.604
{495,113)
62.391
ReJtrl¢ted fundi
The Thrtt Guinea'5 Trust
Tru&i for London
Bell Founda(ion
Law Centres Federaiion
London Legal Supporf Trust
Legal Education Foundation
Oak Foundation
John Lyon's Chvity
The Access to JustlL¢ F¢und&tion
The Tudor TTUSt
London Community Foundation
J7,500
33.0011
26,069
25,752
66.1108
39.390
131,723
30,000
82,519
32,IAIO
12,ibOO
(37,500)
(33,01)0)
(26,1)69)
{2S752)
(66.068)
(39J9D)
{131,723)
(30,OOIJ)
(82519)
(32.11(Ml)
(12,0011)
SIQ021
(516,021)
TOTAL FUNDS
1.073,625
11,011.234)
62.391
Page 16
cotttinucd...

HARROW LAW CENTRE
NOTES TO THE FINANCIAL STATEMENTS- eontlnued
for the year ¢Dded 31 Marckn 2024
16.
MOVEMENT IN FUNDS- £ontlllued
Comparatlves for movement funds
Net
thovemeni
in fvnd9
At
31.3.23
At 1.4.22
Unrestricted funds
Generai bjnd
229.645
22.443
252.088
Restricted funds
The Three Guinel's Ttust
4,627
(4.627)
TOTAL FUNDS
234,272
17.816
252.088
Comparative net movement in fimd4 ineluded in the qbov¢ are a8 follows:
In¢omin8
ResOU￿¢S
expended
Movèment
in fvnds
UDrn¥trl¢ted fuftdB
GeDeral fijnd
465.230
(442.787)
22,443
Rutrfcted funds
The Three Guinea's Trust
Trust tor LA)ndon
Bell Foundauon
L4w Centres Feder31ion
London Legal Support TruBt
Legal Education Foundation
Oak FoundAtion
John Lyon'g Ctwity
The Acces8 io Justi¢¢ Foundation
The Tudor Trnst
London Community Foundation
79,500
49.0(N)
28,703
7.500
23,237
5.000
66.595
7,51)0
55.082
30.IXIO
(84.1271
149,000}
128.7031
(7,500)
(23.237)
{5,000)
166.5951
(7,500)
(5.S,0821
130.0001
(9,000}
(4,627)
361,117
(365.744)
(4.627)
TOTAL FUNDS
826.347
(808,331)
17.816
Page 17
ontioued...

HARROW LAW CENTRE
liOTES TO THE FINANCIAL STATEMENTS- coAtinued
for the year ended 3 l Mgreh 2024
16.
,MOVEMEh'T IN FUNDS- tontinued
A curreni year 12 months and PriOT year 12 months combined position is as follows-
NeL
Tnovemeni
irt funds
At
31.3.24
At 1.4.22
Unrestrieled funds
General fund
229,645
84,834
314,479
Re5triettd funds
The Three Guinea's Trust
4,627
{4,6271
TOTAL FUNDS
234.272
80.207
314,479
A current year 12 months and prior year 12 monibs combined net moverneni in ￿lld$, included in the above are
a$ follow$'.
InLomin8
r¢sources
Resources
expended
Movernent
in fvndy
Unrestrlcted funds
General fvnd
1,022.834
{938,000)
84.834
Restricted funds
The Three (iuinea's Trost
Trnsl for London
Btll Foundation
Law Ccntrc5 Fedcration
London Legal Support Trust
Legpdl Educfttion Foundation
Oak Foundation
John Lyon's Cbarity
The Acccs8 10 Jusiice Foundation
The Tudor Tn￿t
London Cornrtjunity Foundation
5 17,000
82,000
54.772
33.252
89,305
44,390
198,318
37,500
137,601
62,000
21,000
{121.627)
(82.000)
154,772)
(33252)
(89,305}
{44,390)
(198,318J
(37,500)
(137,601)
162,0001
(21.OOOJ
14,6271
877,138
1881,765)
14,617
TOTAL FUNDS
1.899.97?
(1.819,765)
80.2U7
Page 18
continued...

HARROW LAW CENTRL
I'OTES TO THE FINANCIAL STATEfvI£NTS- Continued
ror the year ended 31 March 2024
RELATED PARTY DISCLOSURES
ThLrc wcrc no rclated party Iran%aLLions for rhe year ended 31 March 2024.
Page 19

HARROW LAW CENTRE
DETAILED STATEMENT OF FIN￿NCIAL ACTIVITIES
for the year ended 31 Mgrch 2024
2024
?023
INCOME AND ENDOWMENTS
Donations and legacie$
Donations
2513
4,756
Investment lThcome
Deposit int¢re$t
2,404
372
Ch*rltsble #¢tMd
Opetting work in pmgre$8
Legal service5 incotne
Closing work in pro8res$
Grant8
(267,739)
582244
Z06.182
$48,021
{192,007)
325,459
267.739
420,028
1,116&708
821,219
Totsl Incornlng reJourc4y
1.073ffj25
826.347
EXPENDITURE
Ch#rlt•ble aetlvltles
Wages
Soci&1 se¢uriry
Pensions
Insurance
Telephone
Posrage and stationery
Legal eosts & disbur5cmcnlS
R¢nl and room hire
Travel & 5ubsi5tence
Practicing certificates, accredilation &
subscriptions
Staff traintng & welfare
Miscell8Deous expense5
Computer expertses
Accountan¢y fees
Bank charges
Cornputer equipm¢nt
Grants to instituiions
736635
71,920
17J13
2,11
1,525
5,955
112,261
13,00
519
610.830
56,018
14,148
2.188
1.267
4.298
64,380
11,543
120
14073
s￿48
275
Is￿25
4,438
298
1089
17,497
1,975
225
9.176
2.830
306
1.247
3.333
I,I)04084
801.381
Support
Governance costs
Atsdiiors, IEmuneration
AuditOTS' rernuneratiOD for non audit work
3,950
33110
3,950
3.200
7,150
7,150
Thi5 page d065 not fom] part of the 5tatulory financial 5tat¢mcnts
Page 20

HARJiOW LAW CENTRE
DETAILED STATEMENT OF FINANCIAL ACT￿lTIEs
for the yeAr ended 3] March 2024
2024
2023
Total rcsourcc5 cxpended
1,011.234
808.531
et incorne
62J91
17,816
ThL5 page d0¢5 not form part Df thE statutory financial s￿leMen15
Page21