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2024-03-31-accounts

LOND.ON SPARK Statement of Flnanclal Actlvfitles (Incorpratlng Income & Expenditure Account} for the Year ended 31 March 2024 Notes 2024 2023 Unrestrkted Funds Resiilcted Funds Total Fund5 TotaiFunds INCOMING RESOURCES Incom1ng￿5ourceS trOmg￿er•IeafvnC1s.' Donatlons and LegaC￿S Incoming ￿$OurCes1rDm¢kn8rItats[e act￿llieS Other Income 523 523 22,000 545 22.000 35.176 378 Total Incomlngiesources 907 22.000 22,907 36.099 RESOURCESEXPENDED Cosiofgener8Trngrunds.' Costs 0tgeneratlngvo￿ntarylnC0n 4.088 4,088 2,350 MI 2,350 38,431 4,088 4.088 ChaNtsweActMtle& 2.486 16.733 19,219 Totalresources expended 6.574 16,733 23.307 40,781 TOTAL RESOUACES EXPENDED 6.574 16,733 23,307 40,781 Netloutgolnglllncomlng resources belorttransfers Funds Transferacrc6slunds 15.6671 5267 14001 14.6821 NeiioutEolngiiin¢omlng resoU￿e$ 15,6671 5267 14001 14,6821 Otherrecogni5ed gains and loses Galnslllosesl on Investmerit assets NET MOVEMENT IN FUNDS 15.6671 5,267 14001 14.6821 Fund balarKesat iAprll2023 13,854 9.368 4.486 196 Fund balances at 31 March2024 19.521 14.635 4.886 4,486

LONDON SPARK Balance Sheet as at 31 March 2024 ￿"￿#¥*.¥". Notes 2024 2023 FIXED ASSETS Tangible Assets Investments CURRENT ASSETS Stocks Debtors Cash at bank and in hand 0.49 401 0.49 401 CREDITORS Amounis fallingdue within one year 14,8861 {4.887J CURRENT ASSETS 4.886 4.486 NET ASSETS 4.886 4,486 FUNDS Unrestiicted Restricted 19,521 14,635 13,854 9.368 4,886 4,486