Create Space London
Trustees, Report and Accounts
For the Period Ending 29 March 2024
Registered company number: 08846726
Registered Charity number: 1166043
Registered office:
Malicar Mill. Welsh Newton,
Monmouth, NP25 5RN

Create Space London
Trustees. Report for the year ended 29 March 2024
Introduction
The Directors, henceforth referred to as Trustees, present their report and the financial statements of
Create Space London Ireferred to as the"Charrtf in the remainder of this report) for the period ended
29 March 2024. The financial statements have been prepared in accordance with the accounting
policies and comply with the CharitiesAct 2011. the Ststement of Recommended Practice: Accounting
and Reporting by Charities {SORPI effective l January 2015 and applicable UK Accounting Standards
(UK GAAPI.
Chalrfs Report
Create Space London ICSLI has continued to experience much change during this past year. Several
Trustees have been appointed and worked hard to bring much needed robust and efficient
management to enable CSL to move forwar(I with its plans for the future. This process however
created considerable tensions between CSL'S managers and Trustees and despite a successful day-
long meetin& which was instrumental in setting achievable goa15 for CSL. unfortunately several
Trustees ￿Signed soon afterwards for a variety of reasons. but most cited high levels of frustration
and their lack of personal time that they felt was needed to support CSL effectively. Our priority was
to recruit at least two newTrustees who will be able to provide the level of support and direttion that
CSL needs. l am 8lad to report that Angela Turner and Mithael Lawrence have been appolnted as
Trustees.
Despite the difficulties that have been experienced. the CSL managementteam has continued to work
hard in ensuring that the Charity has supported the interests and various activities of its members.
which has been particularly impressNe given the lack of ￿sOurCeS together with all the practical and
financial challenges that have been experienced.
Our focus is to establish a secure financial position for the Charity, and it is encouraging to see that a
small financial surplus lof £6,567) has been achieved in 2023124. Work 15 now in hand to ensure that
this progress is maintained.
Our Public Benefft
Create Space London ICSLI provides affordable space. open access workshops and communal facilities
for creative (professionals and hobbyists alike) and encourage5 people to pursue their creative and
entrepreneurial ambitions in an affordable, supportive and energising environment.
Our alms include:
• Education lof all type5 and at all levels) in the fields of the visual. creative and applied arts, design
and technology.
The provision of studios, workshops, galleries and other places Whe￿ art and innovation may be
practised. created or exhibtted.

Create Space London
Trustees. Report for the year ended 29 March 2024
The provision of facilities for the education and the Practi￿ of art and design In an inclusive,
inspiring, inviting community environment.
CSL provide5 training in various skills, inductions and safety training in uslng equipment and teaches
industry-led processes to members in areas, such as ceramics, screen printing and general fabrication.
We intend to develop further new and engaging course5 to aid our member5, creative prO￿SSeS.
CSL offers studios and all-inclusive workspace5 at "lower-than-markev prices to individuals and
cornpanies working in the creative sector. Careful consideration has been paid to enable those who
have a low income to enjoy the Same opportunities as others so that the broadest range of people
have the opportunity to develop their creative skills.
The shared facilities of the Charity have both dirert and indirect benefrts. Creative engagement
enriches the lives of participants. The environment is inclusive. supportive, educational and
developmental. sharing expensive machinery. equipment and resources. These artivities create a
social capital that engages a loyal community. In turn. this community share5 and promotes a common
identity which attracts people of all ages. contributing to the quality of life of the people in the
Boroughs of Barnet and Brent and surrounding areas.
Achievements and Perforniance
CSL has experienced a significant change this year in respect of our sites. Our site in Wembley was
given 28 days. notice to quit at the end of 2023 due to planning permission being granted to the
developer. This meant that CSL wa5 left with just one remaining site in Mill Hill until in February 2024.
a new site in Hammersmtth was found.
During this report period, work was undertaken in Mill Hill, to maximise the use of this site by
subdividing larger spaces and undertaking muth needed maintenance. Additionallyi our storage
ontainers on this Slte were organised to aid the development of future srtes and minimise issues that
may be caused by the105s of our Mill Hill site.
Commissioning our new site in Hammersmith required much work to configure the space to suit our
purposes and to maximise studio spa￿.
During thi5 period, CSL worked towards create a more professional approach to the administration of
the organisation. This was partially achieved through the appointment of three new Trustees and the
experience of these individuals meant that more efficient ways of working were established. This
allowed budgets to be formed and justified in terms of construction. and more informed ways of
making decisions throughout.
During this period, work was undertaken to rectify various issues caused by the closure of our site in
Willesden in 2022. CSL was presented with a claim from the owners of the site which our management
felt was unjustified. Fortunately, our insurers agreed that this was an insurable event and appointed
Markel Law to represent CSL. We have been infonned that a negotiated settlement is currently being
agreed.

Create Space London
Trustees, Report for the year ended 29 March 2024
Finally, regular contacts and meetings have been established between local council and educational
representatives. These contacts will continue to be developed to form and sustain links which it 15
hoped could lead to potential future development opportunities for CSL.
1.6 FINANCIAL REVIEW
Result for the year
For the year ended 29 March 2024 there was a surplu5 Of £6,56712023- deficit £20.0371.
Key Risks and Uncertalntles
As in previou5 years our current premises work under a 'meanwhile' mechanism. The loss of our
Wembley site has ernphasized that CSL needs to increase the number of our sites. By spreading into
more areas. working with more demographics and establishing positive relationship with more
property organisations, the threat to CSL'5 finance5 caused by any single 51te closure can be minimised.
To inform decisions aboLrt sites in the future, a system of analysis ha5 been established. to minimise
risk and allow focus on areas of concern.
CSL'S continuing concern is our weak financial position which hinders our growth. We are aware that
our current site in Mill Hill, and future site in Hammersmith do not allow us to undertake the full range
of activities that the Trustees would like.
Re5er¥e5 Policy
The Trustees are aware of the need to develop a reserves p)licy, and are working on thi5.
Going Concern
The Trustees consider that there are no material uncertainties concerning the Charivs ability to
continue as a going concem.
Plans for CSL'S Future
To establish an increased number of sites. which will Spread our work acfOSS broader
demographic5 and enable us to fulfil our charitable aims. To achieve this, we will work closely
with local counci15 and property mana8in8 agents to source new sites.
To establish better a better system of governance to enable managers and Trustee5 to work
together more effedively.
To implement new and varied classe5 and courses. We plon to start these excitlng new courses
during the next year.
To establish new artist in residency programmes.
To form established research avenues for current creative practitioners.
To host a regLblar Open Studios programme and skills workshops such as. life drawing and craft
markets.

Create Space London
Trustees. Report for the year ended 29, March 2024
To increase the sense of tommunity befv4een our members.
The Trustees, report was approved by the Board ofTrustees on 3 December 2024.
Sign
oseley
Treasurer
3 December 2024
A full list of Tru5tees' is given in the financial statements of the company for the year ended 29 March
2024.
'Trustees of the Charity are also known a5 Directo￿ of the compt7ny.

Create Space London
Financial Statements
forthe year ended
29 March 2024
Reglstered Charity number. 1166043
Company number: 08846726

Create Space
Finan¢Sal statements for the year ended 29 Marrh 2024
coKrENTS
Pages
Directorsnrustees
Independent examinerfs re￿rt
Statement of financial artNities
Balance sheet
Notes to the financial statements
6-13
Dirertors
rustees
Karen Topp Ichairl
Appointed 7 August 2023
Resigned 19 September 2024
Appointed 9 August 2024
Resigned 27 september 2024
Appointed 7 August 2023
Resigned 10 July 2024
Appointed 7 November 2023
Resigned 27 September 2024
App)inted 15 August 2024
Resigned 18 Ottober 2024
Appointed 24 October 2024
Appointed 13 January 2023
Resigned 8 June 2024
Appointed 24 October 2024
Joana 8aptista Duarte
Kathryn BrKk
Katrina Broder (Secretary)
Samuel Cotton
Michael LaW￿nce
Robin M05eley (rreasu￿r)
Lawrence Rose
Angela Tumer
*Trustees of the Charity are also known as Directors of the compt7ny.
The ac¢ompanying Trustees. Report includes the information required
for the Direttors, Report required by company law.

Create Space London
Independent Examiner'5 Report- 29 March 2024
Report to the Trustees of Create Space London on the financial statements of the Charitable Companv
I'the Company") for the year ended 29 March 2024 set out on pages 4 to 13.
Responslblllttes and basls of report
I report to the Charity's Trustses on my examination of the accounts of the Company for the year ended 29 March 2024.
A5 the Trustees of the Company a150 the directors of the Cofflpany forthe pvrposes of company lawl, you are
responsible for the prepaTation of the aCc￿nts in accordance with the requirements of the Companies Act 20061.the
2006 A¢t"l.
Having satisfied myself that the accounts of the Company are not required to be audited under Part 16 of the 2CKJ6 Act
and are eligible for independent exarnination. I report In respect of my examination of your charl￿5 aCCOUnt5 as carrted
out under section 145 of the CharttiesAct 2011 Ilhe 2011 Act"). In carrying out my examination I have followed the
Oirection3 given by the CharFty Commission under sertion 145151 Ibl of the 2011 ACL
Independent examlnerfs statement
I have completed my examination. I confirm that no materk31 matters have come to my attentlon in connection wlth the
examination giving me cause to believe that in. any material ￿spect=
l. accounting records were not kept sn respect of the Company as required by section 386 of the 2CQ6 Act.. or
2. the a¢¢ounts do not accord wtrh those records.. or
3. the accounts do not compty with the accounting requirements of se￿10￿ 396 of the 2006 Acl other than any
requirement that the accounts give a 'true and fairview which is not a matter £onsidered as part of an
independent examination,. or
4. the accounts have not been prepared In accordance wlth the methods and pttnclples of the Statement of
Recommended Practice for accounting and reporting by charities lapplicable to charities preparing their accounts
in accordance with the Financial Reporting Stsndard applicab￿ in the UK and Republic of Ireland IFRS 10211.
I have no concerns and hav* come across no oiher matters in mnnection wrth the exarninatron to which attention
should be drawn in this report in order to enable a pioper understsnding of the account5 to be reached.
SiRned- DA EATON
3 December 2024
David A Eaton FCA
Eaton & Co
Chartered Acco￿ntants and Consultants
The Cedars. School Lane. Great Barton. Bury St EdmutKl3 &Jffolk IP312RQ

Create Space london
Staternent of Flnanclal Artivities linduding income and expendityre account)
For the period ended 29 March 2024
Yearended 29 Marth 2024
Year ended 29 Marth 2023
Unyestrkted
Total
Funds
Totsl
FLEfkds
ds
Note
Ihcome from..
Actiwties for generatingfund$
Interest
116.446
116.446
117.632
117,632
T¢)tal income
116.450
116.450
117.632
117.632
Expend￿Ure on=
Charitable activitles
109.883
109.883
137.669
137.669
Total expendiiuve
109.883
137.669
137.669
Net Ihcome and net ￿￿ernent fundsfr
theyear
6567
6567
120.037)
120.03n
Reconuliation of fund
Total bro￿ht forward
3567
3.567
23.604
23.604
Total f¥nts ¢aIr￿
10.134
3567
3,567
All of the above re>Jlt5 are derived from continuireathityes. Thwe were M othw recogrrised gainsor losses duliw the
year.
Page 4

Create Space London
Balance Sheet
For the period ended 29 March 2024
29 Man* 2024
29 Marth 2023
Note
Fkned awtr.
Tangible 055et5
5.116
1,993
5.116
Current asse
Debtors
Cash at bank and in hand
3.915
14.197
23.495
24.495
18.112
Liablllti•s:
Creditors.. arnounts fallthe due v*thin oTreyear
io
16?54
19.661
Net current liabilities
8.141
11.5491
Total net llabllltEes
10.134
3.567
The fundsofthe tharity:
Unrestricted funds
li
10,134
3.567
Total tharlty fvb
10.134
3,567
The Dlre¢tors are satisfied that the company is entitkd to exemplK)D from the requirement to obtsin an audit
under section 477 of the Companie5 Art 2￿6.
The Members have not required the company to obtain an audtt in accordance with sectmin 476 of the Act.
The Directors acknowledge their ￿sponsIbl1ittes for comp￿Ing with the requirements of the Companies Aci 2006
with respect to accounting records and the p￿paratIOn of acC￿nts.
The accounts have been prepared and delivered in accordance wtth the speual prov7sions applirJble to
companies subject to the small cornpanie5 fegime.
The accounts were approved by the Board ofTfUStees on 3 December 2
Si8ne
.. ACTURNER
SEL
Angela Turner
Trustee
Create Space London
3 December 2024
Robin Moselev
Treasurer
Create Space London
3 December 2024
Q)mpany Registered No.. 08846726
Page 5

Create Space London
Notes to the financial Statements
For the period ended 29 March 2024
l Accountin8 Polldes
Create Space London Is a charitable cornpany limr(ed by guarantee and is incorpordted in England and Wales. The
registered O￿l¢e address and p￿nCIpal place of buslness is &) Daws Lane. London. En￿and, NW7 45E.
The principal accountin8 polictes adopted, judBeTnents and key souros of estimatKJn Un￿rtaInty In the preparation of the
nancial statements are as follows=
al 8a5is of prtparation
The financial statements have been prepared in accordance with Accounting and Reporting by a)arities.' Statement of
Recommended Practice ISORPI applicable to ¢harities preparing thelr accounts in occordance with the Financial Reporting
Standard applicable in the UK and Republic of Ireland IFRS 1021 leffectNe l January 20151- (Charities SORP FRS 1021. the
Frnancial Reporting Standard applKable in the UK and Republic of Ireland IFRS 1021 and the Companies Ad 2006.
A55ets and liabilities are initially recognised at histolical cost or tran5actw)n value unless otherwise stated in the relevant
accounting policy or note.
lft applying the financial reporting framework. the TfU5tees have made a number of subjective judgements, for example in
respect of significant accountl48 estimates. Esttmates and judgements are continually evaluated and are based on
historical experience and other tsctors. including expectations of future events that a￿ believed to be reasonable under
the circumstances. The nature of the estimation means the artual outcomes could drffer frorn those estimates. Any
significant estimates and judgements affertfj￿ these financial ststements a￿ detsiled wtlhin the relevant accounting
policv below.
The functional currency is the 8rttish Pound.
bl Publi¢ benefft entity
The charitable company meets the definition of a publK Eenefft entity utxler FRS 102.
¢) GoSng concem
The accounts have been prepared on a going Con￿￿￿ basis.
The Trustees have draw¥b up forecasts which show that, at the current Wl of rental and membership income. they expert
that the Charity will be able to meet its debts as they fall dve.
These expectations ale based on the assurnptKJn that the Charrty will be able to continue its operation5 at its ojrrent two
centres, both of whKh are subject to short-temi letti￿ arrangements.
If for any reason the current expected level of income was not available. the Cywrity would need to seek alternative
sources of income to ensure its continuation a5 a going concern.
The financial statements do not in¢lude the adjusknents whth would if the Charty wa5 unable to contlnue as a
Eoin8 concern.
The Trustses do not Conskler that theie are any s￿r￿S of eStlrnat￿n Ur￿rt31nty at the reporting date that have
sigr*rficant riskof causing a materrdl adjustment to the carryÈn8 amounts of awts and liabilitie5 Wlthin the Trext reporting
period.
Page 6

Create Space London
Notes to the Flnanclal Statements
For the perlod ended 29 March 2024
dl Income
Income is recognised when the Charity h35 entttlernent to the fijnds. ZTry performance conditions attached to the income
have been rnet. it is probable that the income will be received and that the amunt can be measured reliably.
el Donatlons of grfts. sernryces and facllitles
Donated professional Services and donated facilrties are rec(enlsed as income when the Charity has control over the item
or received the service, any conditions associated wtrh the donation have been rneL the receipt of economic benefit from
the use by the Chaiity of the item is probable and that economic benefit can be measured reliably. In accordance with the
Charities SORP IFRS 1021, volunteer time is not recognised so refer to the Tru51ee5' annual report for more information
about their contfibution.
On receipt. donated gifts. profess*)nal servi￿5 and donated facllities are re￿nised on the basis of the value of the gift to
the Charity which is the amount the Charty would have been willine to pay to obtain services or facilities of eqL5ivalent
econorni¢ benefit on the open market.. a corresponding amount Ès then remgnised in expenditure in the period of receipt.
Fund actounting
Unrestricted funds are donations and other incorning resour￿$ received or 8enerated for the chatitsble pursy)ses.
The￿ are no restricted fund5 in the cuirent year or the Pre¥￿)￿S perhjd.
gl Expendlture and Irrecoverable VAT
Expenditure is recognised once there is a legal or construrtNe obligation to make a payment to a third party. it is probable
that settlernent will be required and the amount of the obligation can be measured reliably. Expenditure is Classified under
the following activity headinES'.
il Ex￿ndItUre on charitsbte activtkne5'.
ill Other expenditure.. this represents those iterns notfalling underany other heading.
Irrecoverable VAT is ¢harEed as a cost aealnst the actiMty for which the expenditure was Incurred.
h} Allocation of support ¢osts
Resources expended are allLKated io the particular activity where the cost relates directly to that actrvity, for example
energy costs. Howevef. the c05t of overall di￿¢110Th and administratK&n of each activity. comprlsÈn8 the saLAry and
overhead costs, is apportioned on the basis of an estimate of stsff time. attributable to each activity.
Governance costs. one ofthe 5UPPOrt costs. are the costs8￿ct8ted with the goveinance ¥rranzements of the Charity.
These c05t5 relate to constitutional and ststutory requirements and include any costs associated with the stiategte
rnanagernent of the Charws actfvrt*s as well as professM)nal fees such a5 independent examination fees.
O Operatln¥ leases
Rentsl charges are charged on a stralght line basis o￿T
11 Realisèd gains and losses
All gains and losses are taken to the Staternentof Financial Activilies as tlw arise. Realised gains and10s5e5 on investments
are calculated as the difference be￿een sales proceeds and their opening carrying value or their purchase value rf
acqutred subsequent to the first day of the ftnantial year. Unrealised gains and losses are calculated 05 the difference
between the fair value at the year end and their carrying value. Realised and unrealised inve5trnent Rains and losses are
combined in the Statement of Financial Activff(ies.
Page 7

Create Space London
Notes to the Financial Statements
For the perlod ended 29 March 2024
kl fanglblefixed assets
Assets over £250 are capitslised at C05t. Assets are reviewed for impairment rfcircurnstsnces indic4te their carrying value
may exceed their net realisable walue and ¥a￿e in use.
Depre¢latIO￿ 45 provided 8t rates calculated to write down the cost of each a$5et to its estimated residual value over its
expected vseful lrfe. Depretiation rates will be deterniined when the first asset purchases are made.
11 Debtors
Trade and other debtors are reo)gTrised atthe Sett￿rnent amount dvè after any trade discount offered. Prepoyrnents are
valued at the amount prepaitl net of any trade discounts due.
ml Cash at bank and in hand
Cash at bank and cash in hand includes cash and short term high￿ 1¥4uid investments with a short maturity of three
rnonths or less from the date of ac9UiSition or opening of the dep05f( OT similèr account. They aTe held to meet short term
cash commitmen15 a5 they fall due.
n) Credttors and provisions
Creditors and provisions are recoenised where the Chaiity has a pre*nt obltgation resulting frorn a past event that will
probably result in the transfer of funds to a third party and the amount due to settle the oblrgation can be measured or
estirnated reliably. Creditois and Provis￿￿5 are normally rec(yanised at iheir5ettlempnt amount after allowing for any
traAp disr.niJnt% Aiip.
ol Financral Instruments
The Charity only has flnancial assets and financial liabilities of a kind that qualify a5 basicflnancial instrurnents. Basi¢
financial instruments are initially recognised at transaction value and subsequently measured at their Settlement Wdlue
with the exception of bawTrk loans which are ￿bseqUe￿￿Y measured at arr￿rtISed cost us5ng the effectNe interest method.
pl Crltl¢al accounting e5tlmate5 and ludgem￿ts
In the application of the charitable company's accounting poli£*s. the Trustees are requlred to make judgements.
estimates and a$5UrnPtions about the carrying arnount of 35sets and liabilities that are not readily apparent from other
source5. The estirnates and a5x>uated a&5umptrons are based on hi5torKal eX￿rIenCe and other factor5 that are
considered to be re￿Vant. Actual results may differ from these estirnates.
The estimates and underlying assumptK*ns are reviewed on an ongoing basis_ Revisions to accounting estimate5 are
recognised in the pertod in which the estimate is rewsed where the revisioo affects On￿ that peri[￿. or in the period of the
revlsion and future periods where the revision affects both current fvtUTe periods.
No critical accounting estirnates were made in the yearto 29 March 202412023- NO￿).
Page 8

Create spa￿ London
Notes to the Financial Statements
For the period ended 29 March 2024
2 Activitieslor generat5ngfvnds
Year ended 29 Marth 2024
Year ended 29 March 2023
UnrestrKted
funds
Total
Funds
Unrestilcted
funds
Total
Funds
Stud50 hires and ancilliary income
Covid grants
116,446
116.446
117.632
117,632
116.446
116.446
117,632
117,632
3. A￿aty￿S of expenditurè on charitable a(tl¥ities
Year ended 29 Marth 2024
Year ended 29 March 2023
Unrestfirted
lunds
Total
Fund5
Unre5trictÈd
funds
Total
Funds
Activities undertaken dirertlv
Staffing and subcontractors
Other direct costs
48.843
49.862
98,70S
11.178
48.843
49.862
98.705
11.178
48,009
77,895
125,904
11.765
48,009
77,895
125.904
11,765
Support Costs Inote 41
J09.883
109.883
137,669
137,669
Durtng the year the Charity had one class of activrty. the hi￿ of artisan spa￿.
4. Anatysls of support costs
Year •)ded 29 Marth 2024
Year ended 29 March 2023
Unrestr4rted
funds
Total
Funds
UnrÈstrirted
nds
Total
Funds
Governance15ee below for analysfjsl
oiher
4.￿0
7.178
4,(M)O
7.178
4,000
7,765
7,765
Tolal
11.178
11.178
11.765
11,765
GoverThance costs are made up of:
AccountaTrcy and financial management
Independent examination
Legal aTrd professional fees
2.IX)O
2.LKSO
2.oc
2.0(X)
2.OLK>
2,OC
4.WO
4.IX)Q
4.OCKI
4.0(X)
Page 9

Create Space London
Notes to the Flnantial Statements
For the period ended 29 March 2024
Year ended
29 March
2024
Yeaf ended
29 March
2023
Net Income for the perlod
Thi$ 15 Stated after charging..
Depreciation
Operating lease rentals=
Property
3,123
8,123
35.090
42,114
Analysis of staff costs, trustee remuneratlon and expenses. and the c05t of key
stsff costs were as follow5..
S¢Jbtontractors
Salaries
Ernployer pension contfibutions
Social secLtrity costs
9.400
40.487
869
11,9131
8.946
38,120
943
48.843
48,009
The charity had two employees in the year12023- Two).
Key ManaRernenl Personnel is made up of two centre mana2er5 both ofwts)m work on a part￿ voluntary basi5.
Salaries and relatsd costs totallinR £41.356 were paid to them during the year12023- £39.0631.
The Charity's Trustees were not paid and dKI not re￿1Ve any benefits from empk)yment with the Charity in the
vear12023 - £Nill. The Trustees did not have any reimbuTse￿￿nt of expen5es12023- Nill. No Charity Trustee
received payment for professsonal or other Servi￿ supplied to the Charity12023- £Nill.
Taxation
The charitable company 15 exempt from Corporation Tax as all its income is charitsble and is applled for tharltable
P￿r￿Se5.
Pa8e 10

Create Space London
Notes to the Financial Statements
For the period ended 29 March 2024
Tangible Flxed Assets
Plant and
equipment
Total
Cost
At the start of the period
Additions during the pericd
Df5posals in period
26,231
26.231
At the end of the period
26,231
26.231
Depreciation
At the start of the per*)d
Charge for the perw)d
Eliminated on disposal
21.115
3,123
21,115
3.123
At the end of the period
24.238
24.238
Net book value
At the end of the ￿rIOd
1,993
1.993
At the beginnlng of the perh?d
5,116
Debtors
29 March
2024
29 March
2023
Deposlts pam4 to landlords
Other debtors
3.915
1,000
3.915
Credttors.. amounts fallln8 duewithin one year
29 March
2024
29 March
2023
Trade creditors
AccTua15
Studio deposits
Othei creditors
9,500
9.195
966
7,431
2,923
16.354
19,661
dge 11

Create Space London
Notes to the Financial Statements
For the perlod ended 29 March 2024
11 Movements in fvnds
At thestart
Of the
perlod
At the ènd
of the
period
Incoming
resources
Outgoing
resource5
Cuttent ￿riod
Total- unrestrided funds
3.567
116.450
109.883
10.134
Prlor Period
Totsl- unrestTiCted funds
23,604
117.632
137,669
3.567
12 Reconclliatlon of net 4ncorne to net Cash Ilowfrorn operating arti￿￿eS
Yèar ended
29 Maich
2024
Year end
29 March
2023
Net in¢ome for the reportinR per•Jd
Depreciatton chaTges
Disposal oifixed assets
Ilncrea5el Decrease in debtors
(Decrease) Increase tn ¢ieditors
6.S67
3.123
120,0371
8,123
2.5(￿)
13.1151
19.0141
2,915
13,3071
Net ¢a5h provlded by operatiwB acti¥tties
9.298
121.5431
13 Analysis of cash and cash equr¥alents
29 March
2024
29 March
2023
Cash at bank and in hand
23,495
14.197
Total tash and cash equwalents
23,495
14.197
14 tspltal tornmltments
At the balance sheet date. there were no capttal commitments12023- £Nill.
15 Contlngert assets or liabilittes
At the balan￿ shèet date. there were Th) contingent assets or liabiliti"es12023- £Nill.
Page 12

Create Space London
Notes to the Flnanclal Statements
For the period ended 29 March 2024
16 Le8al sta￿$ of the tharity
The Charlty is a cornpany Ilmited by guarantee and has no share captt31. The Company 15 1Th￿rporated in England
and Wale5 registration number 08846726.The liability of each rnem￿r in the event of wtnding up is lirnited to £1.
The regsstered office of the company is 80 Daw5 Lane. London, Unitsd Kingdom, NW7 4SE.
Page 13

Create Space London
Independent Examiner's Report- 29 March 2024
Report to the Trustees of Create Space London on the financial statements ofthe Charitable Company
('the Company") for the yeèr ended 29 Marth 2024 Set out on pages 4 to I
Respo451bllttle5 and basi5 of report
I reportto the Charity's Trustees on my examrmtion of the occounts ofthe Company for the yearended 29 March 2024.
As the Ttustèes of the Company land the directors of the Compaftyfijr the p￿r￿se5 of company lawl, you are
responslble for the preparation of the accounts in accDrdance with the requirements of the Companies Art 20061"the
2006 Act'l.
Having $3tlsfled myself that the at¢ounts of the Company are not required to be audited undei Part 16 of the 2006Act
and are elEBible fo¥ indepèndent exarniThath?n. l ieport in re5pertof my examinatxjn of your tharitvs accounts as carw*d
out under section 145 of the Chafltie5Art 20111.the 2011 Acri. In carrying out rny examlnatk)n I have followed the
Directions 8ivtn by the Charfity cornrn￿h?n under section 14515) Ibl of the 2011 Act.
Independent examh)erfs statement
I have ¢ornpleted my examinatiory. I conlirm thal no material matter$ hove come to my attertrtion In connection with the
examlnation giving me cause to believe that In. ony rnaterial resped..
l. accountiTr8 retords wefe not kÈpt In respect of thè Company a5 required by section 386 of the 21Xt6 ￿ or
2. the aCt(￿rIts do not attord with those record5,' or
3. the acEouots do Thot compty with the atrounting requiremÈTrts tJf sertion 396 01 the 2006 Act otherihan any
requirement that the accounts give a 'true and falr view which is not a matter coftsidered as part ol an
independent examination.. or
4. the accounts have rKJt been prepared In atcordancewlth the method5 and prlnclples of the Statement of
Recommended Practice for accounting and reporting by charities lapplicable to charities preparing t￿1r accounts
In accordance with the Financial Reportir* 5tsThdard app119b￿ in the UK and R*publl¢of Ireland IFRS 10211.
I have ThLI Concerns and have come across Th) other rnattets connection with the Èxamlfiation to which auentlon
Should be drawn its this rtport tn order to enabfe a proper vndeistsndiryd o(the accounts to b8 reached.
51ened.. DA EATON
3 Decembèr 2024
Davhl A Eaton FCA
Eaton & Co
Chartered Accountants and Cot}su￿￿t5
The Ceda15, School Lane. GrÈ0t Barton. Bury Sl Edmunds. &Jffdk IP312RQ