LOVE AND COMPASSION IN ACTION
Company Registration number. on46782
Charities Registration number. 1146221
Love and Compassion in Action
a company limited by guarantee and not having a share capital
ANNUAL REPORT AND UNAUDITED FINANCIAL STATEMENTS
for the year ended 31 March 2021
Regtstered Comrony No.07246782
Registered Athdress: 10 Gartsnwr Gardens. v￿rnb[ed0n P8rf(. London SW19 8NY

LOVE AND COMPASSION IN ACTION
Company Registralion number. 07246782
Charliles R4istration number 1146221
REFERENCE AND ADMINISTRATIVE INFORMATION
Drectors ITrustees}:
Rw*ard CIKJlV￿?
Akhtar Samuel
Oknr Hakim
Jean Samuel
Secrekny:
Oknr Hakim
Treasurer.
Company registration n￿nber. 07246782
Registwed Office:
Wmbleckn Patk
London
SW19 6NY
INDEX
RepcKt of the Drect
Independent Examiners Report
Statement of FinanGi& Activities
Balance Sheet
Notes to Financial Statem
8-10

LOVE AND COMPASSION IN ACTION
Company Regis￿(10n Dumber 07246782
Charities Registration number. 1146221
REPORT OF THE DIRECTOR8
The Directors wesent their reFXYt and the financial statements of the Company for the year ended
31$1 Marth 2021. The fi￿nCIal ststements have been prepar￿# in ￿dance with the accounting
)licies set out in note 1 to the a￿rts.
structurn, Govornance and Management
Love and CompassKJn in Action was incorporated as a company limrted by guardntee on 7th May
2010 and ig govemed by the Memorandum and Articjes of A$sC¢￿t￿n. Directors are appointed by
the members of the Trust. The bus1r￿S of the Tn￿t is mawd by the E4)ard of Directors.
Results for tho year ended 31 March 2021
This yearfs opwatTh gave rise to a net of £6.￿ (Year 31 Mar¢h 2020, net income
of £1,653).
Govem8fKt costs were £2,117 (Year ended 31 March 1020: £2.587).
Summary of tho Charity's Obi•cts and Actlviti8s
al The relief of povty. sickness arKI distress throughcArt India
Activilies: Constructh)n of bjre welk to suppty good dean drinking water.
Prowding children's clothing & saris for widc
Hdixng with children's schwling & aduft edU￿w)[￿ln1ng.
EnatrAing FQSt polk) disabled youThJ Feople to recebve rned￿l & surgir£l treatment.
b) The attvancernent of the Christran thr(wgh(xrt In
Activities.. Supporting village Pastors
Building Communty Chu[d￿8
Distribution of Christian llterature
Annual trip by a Board member to see & ￿￿our￿je the Pastors & viHage
communities
c) Othar chariiabla purposes in India as the Trustees may datwmine.
Activities.. Ernwgentry relief folbwiro fu)ts & hurrtsnes
Helpwng wtth ￿lden dmge to prrwty or t￿sInesS due to unprovoked attacks.

LOVE AND COMPASSION IN ACTION
Company Registration number. 07246782
Charities Registration number. 1146221
Reserves Policy
The Directors. policy is not to accumulate available reserves unless deemed necessary or PTl￿ent.
Rlsks
The Directors have considered Ihe more significant risks to vthich the Trust is exposed.
The Report
This report has been prepared in accordance wtlh the special provisions of Part 15 of the
Companies Acl 2006 relating to small companies. The report complies with the Memorandum and
Artides of Association.
By Order of the Board
Signed
/lirf a/
Date:
2021

|James Martin|17 January 2022`|
|---|---|
|James AH Martin FCA||
|ICAEW||
|Harston, Cambridge.||





LOVE AND COMPASSION IN ACTION
Company Registr8tioJ tsumber: 07246782
Charities Registration number. 1146221
stat•mont of Flnancial Activibe8 for the Year Endod 31 March 2021
(Indudlng Income and expandlturo account)
INCOMING RESOURCES
TOTAL
TOTAL
FUNDS FUNDS
2020
FUNOS
Gifts and dona
Investment inc(ffne &
Interest
Totsl incoming resoufcas
8.390
17,027
25A17
33,025
8.419
17.027
25.446 33,122
RESOURCES EXPENDED
Charitable exp￿dIture
20
2020
Costs of aciivilies In
fijrtherance of the Charity's
objects..
G0veMarr￿ costs
Total rosourcos expeThled
16,839
117
18,9S6
28,882
31,469
NET
INCOMINGI(OUTGOING)
RESOURCES FOR THE
YEAR
1,653
TOTAL TOTAL
FUNDS FUNDS
2021
2020
40.420
37,430
46,908 40,420
FUNDS
TOTAL FUNt)S AT 1 APRIL
23.165
21.724
17,255
25,184
TOTAL FUNDS AT 31 PAARCH

LOVE AND COMPASSION IN ACTION
Company Registration numb¢r 07246782
Charities Registration number. 1146221
BALANCE SHEEf AS AT 31 MARGH 2021
2021
2020
635
Fixod assets
Current assets
Debtors
Cash at bank and in hand
Total assets
1.626
44.697
46.972
1.150
38.699
40.484
Total current liabilities
(64)
(64)
Tolal assels less Gurrent liabilities
Liabilities > 1
ear
Net af•sets
46,908
40,420
46.908
40,420
Unrestricted funds
Restricted funds
Total funds
21.724
25.184
46,908
23,165
17,255
40,420
These accounts have been prepared in accordance with the special provisions relating to small
compani8S Within Part 15 of the Companies Acl 2006 anrj wrth the Finanual Reporting Stsndard
for Smaller EntÉties (effective January 2015}.
For the year ending 31 March 2021 the Company was entitled to exemption from audit under
secllon 477 of the Companles Act 2006 relating to small companies.
Directors, responsibilities:
The members have tKJt required the Company to obtain an audit of its accx)unts for the year in
question in accordance with seclion 476. The directors ackn￿edge thelr responsibilities for
complying wllh the requirements of the Act with respect to al￿OUnting records and the preparation
of accounts
These accounls have been prepar￿ in a(axJrdance wtth the provTrS￿nS applicable to companies
subject to the stnall I￿￿Pan￿S regime.
Approved by the board of directOf5 on 13 November 2021 and signed on their behalf by
Rj'chard Cholawo
Date:
2021

LOVE AND COMPASSION J]Y ACTION
Comp8ny Registrxtiou Dumber. 07246782
Charities Rytration nllmber. 1146221
Notes to the Flnanclal statsn￿ for the Yw End•d 31 IAarch 2021
1. AccouiifiNG POLICIES
a) Basis of Preparation
The financial statements have been wepared:
- in 8ccc*dancè with Tha Statement of Recommended Prac*K* applKsble to charities
(Charities SORP). effedi¥e from 1 January 2016 and apF4icable xcounling standards
- under the histoit cost cOnV￿rt￿￿1 arKI in a£￿Idance with the Financial Reporting
standard for Smaller Enliiw (eff8￿1Ve Januwy 2015).
The income and expendrture accouni has teen wepared in a fomiat whith dlffers from that
prescribed by the Companies Act 2006 in 0[￿￿ io present a true aThJ fair view. The effect
of this departure is to alier the presentstion of the acG¢)unts because Schedule 4
Companies Acl 2006 and the Financial Rewmling Standard fw SMal￿r Entit￿$ formats are
not suttatrAe for a CoMp￿Y whth is wholly dep￿dent on donations and not in bu$ine8S to
gener8te a profrt.
b) Donalions and gifts
These are relle(aed in the x¢ounts wi th8 yw in they we r￿￿ed.
c) Expgndllur•
Thi8 is shMI on an a¢¢n￿lS basis.
d) Charitsble Expendlture
Th￿ comprises a15 exFenditure dirw rela￿1 to the Obj￿ of the Tnsst.
The main ilem$ of expendilure were:
Totsl
Donattons to mini5tri85 in lrnjia wifK21ty tr.
Children and educat¥)n
Disabled projects
Past¢)rs
Church Build
3,930
Relief
Totsl
7,705
•) Gov8rnance Costs
This comprises all expenditure directy related to Complia￿ with constitulional and
statutory requirements and any other (xKsts which cannot be treated as chatilable
expendrture.

LOVE AND COMPASSION IN ACTION
Compatty R¢gistratiOn Dumber. on46782
Charities ￿L$tration Dllmber: 1146221
fj Fixed Assets
This comprises assets which are eXP￿d to ba used for several years. They are suty"
to dePre￿all¢m over the expected econom￿ life. The depre￿*￿￿ policy A)plied is..
Computer Equipment
g) Voluntary help
The Tiust is heavity on volunw tdp. No value is attributed to this in the
accounts.
2. GOVERNANCE COSTS
20
2020
Printing, webstte, Stat1￿ and
Travel and other expenses
Bank charges
Miscellaneous
reciation of assets
654
310
370
186
2.587
1117
3. STAFF COSTS
The Tnjst dKI rnt employ any staff duriw the year.
No remuneratbjn was kwid to any of the diredtys during the year. Expenses ￿1Mbur8ed to
directotB totalled £nil (Year ended 31 Marth 2020: £108) during the yew.
4. RESTRICTED FUNDS
AN funds given for a spoific purFThe u*1 for the purpose gNen, or retained to be used
for that wrpose at a future (late.
Use of
unrestricted
funds
Income
Church build
Self Sufficiency
Childrenleducation
Disabled
Relief aid
Waterl8ore Well
Pastors
Totsl
451
451
{5.204)
3.239
700
3.204
700
(f,705}
4,501
1.829
11.158
3,930
7.739
25.184

LOVE AND cofMtPASSION IN AcrIoN
Comwdny ReEiStration Dumber lJ7246782
Charities RegL¥tratlon Dumber. 1146221
5. FIXED ASs￿s
Cost £
Computer
Equipment
Additions
Cth¥d
932
250
reciation £
Computer
Equipment
blf Cha
for th•
(29n
(236>
(533)
Total
14
6. DEBTORS
2020
1.150
Gfft Ald recoverable
1,626
7. TAXATION
The Company is exempt from taxation in wilh Part 10 of the Incorne Tax A£t 21J)7
and $0 has no liabilty to corporakn
8. CONSTITUTION
The Company is limitwj ty guarantee and 8xh rnemter is under Mvenant to corrtribute a sum
not exceeding £1 in Circumstances as set ¢yJi in Clause 22 of the Memorandum & Articles of
A88ocialion.
io-