
## **REPORT** 

## **March 2020 to March 2021** 

London Spark continues running Polish Advice Centre supported by Polish Embassy. Due to pandemic London Spark introduced new activities – mental health support, employability and career coaching as well as nutrition advice. We organise webinars run by Polish speaking psychologist, psychotherapist, career coach and nutrition therapist. We also offered individual support on employability for Polish residents of Hounslow. This service was supported by London Borough of Hounslow, Brent as well as The National Lottery Community Fund. 

## Contact details: 

Email anna@londonspark.org.uk; tel. 07984 711311 https://www.facebook.com/londonspark.org.uk; www.londonspark.org.uk 

London Spark, charity number 1165809 480 London Road, TW7 4RL, London, http://www.londonspark.org.uk/; https://www.facebook.com/londonspark.org.uk/ 



LONDON SPARK Statement of Finanaal Artivities (Incorprating Income & ExpendI￿re
Account) for the Year ended 31 March 2021
20
Funds
Fund5
Total Funds
Totol Funds
INCOMING RESOUR(SS
InmmAngresourcesfrorn generutedfvnds"
Donations and Legacles
Incoming re￿urcesfrOM tharitsble acb
Investment incoffle
Grant irKome ICovi(k191
Totsl incoming re50Urtes
L116
1.116
29.736
9,540
14.618
29.736
9.950
9,950
40.802
1.685 .
25,843
11.066
29.736
RESOURCES EXPENDED
Costs oAgenerotingfvnds.'
Costs of generatlng¥oluntary
4.228
4,228
4.228
2.626
4,228
32.542
4,347
28,583
IYwritobleActivlUes.'
29,915
Total re5C￿r￿S expended
29.915
36.769
32,930
ToTALRESOuR￿ EXPENDED
6.854
29.915
36,769
32,930
Nei loutgoiThgllinrominE re50urcts bek*etransFers
FundsTransferacrossluNIs
4212
11801
4.032
17,0881
Net loutg4ynzlllncorning
Other rec(yni5ed g7insand Ii)ses
Galns/lk)sesl on irNesimentassets
4212
11801
4,032
17,088J
NET MOVEMENf IN FUM)S
4.212
11801
4.032
17,Q881
Fund balances at l April 2020
769
769
7,857
Fund balances ai 31 Marth 2021
4,981
4W2
769

LONDON SPARK Balance Sheet as at 31 March 2021
Notes
2021
2020
FIXED ASSErs
Tangible Assets
Investments
CURRENT ASSErs
Stocks
Debtors
Cash at bank and in hand
565
4.237
289
4,802
769
CREDITORS
Amounts fallin8 due within one year
NETCURRENT ASS￿5
4,802
769
NET ASSErs
4.802
769
FUNDS
Unrestricted
Restricted
4,981
796
4.802
796