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2021-03-31-accounts

Lanre Johnson tharlty for the Year Ended 31¥¢ March 2021 The Trustees who are also directors of t￿ Charity for the purposes of the Companies Act 2006 present thelr report with the unaudited financial statsments of the charity for the year ended 31 March 2021. The Trustees have adopted the provisions of Accounting and Reportlng by Charities: Statement of Recommended Practice applioble to charities preparing their accounts in accordance wlth the Financial ReportirE Standard applicable in the UK and Republic of Ireland (FRS 102). Refe￿n0 and adrnlnlstratlve detsbi Lanre Johnson Chaiity Registration charfty number 1171349 Reglstered company nurnber Prfnclpal office 8938 27 Old GIOu￿ster Street London WCIN 3AX The trustees MrA Banjoko-chair Ms O Banjoko Mr E Blavo- Treasurer Oblectlves and acbvibes The objects of the charity are to advance education by providing scholarships, bursaries and award5 to, and Erants for* young people from disadvantaged backgrounds in pursuance of their studie& Achievements and perf0mla￿e The charity continued to accumulate donations and made a gift of £3,192 to pwi for the school fees of three students attendIr￿ La Grande Academie in Benin. Flnanoal Revlew During the period, the charity received £5.840 in donatiorts. spent £3,192 on Charitable actlvlties and £386 on support costs. This resulted in a surplus of £2.262. Plans for future perlods The charity will aim to identify more charitable work it can do within its objects whlch In tum will generate furtherdonations.

Lanre Johr6on Ch Perfod frtyn l Aprll 2020 to 31 Marth 2021 The trustee￿ annual report was approved on 29 January 2021 and signed on behalf of the board of trustees by: Mr E Blavo Trustee

Lanre Johnson Charity 1171?40 CEuCio538 Nc Annual accounts for the period Apr 2020 P￿1)d stsrt ¢Jate 31103r2021 Section A Statement of financial activities (including summary income and expenditure account) PrIor￿r funds Rttommended ¢atsgorigs ac￿VIty funds Ti*al funds Income (Note 3) F01 F02 F03 F04 F05 S01 3.320 Chartsbleactivths Total Expenditure (Notes 6> Expendltyv• o Raisiry fijnds 5,840 5,840 3.192 3,192 2,711 S10 Oth8r S11 24 2,735 Total S12 3.578 3.578 Net Incomel(expenditure) before tsx for the reporting period Tax payatAe S13 2.262 2.262 585 S14 Net incomel(expenditure) after tax before investment gainsl{losses) Net gainsllh)ssesl ¥e5trnenls S15 62 2.262 585 S16 Net incomel(expenditure) Extraordinary items Transfers between funds l)ther recognised gain￿{105$es). S17 2.262 2.262 585 S18 S19 tharitys owil use ot￿rgaIr61l￿}s$e9I Net m0Ven￿nt In fvnds S21 2,262 585 Reconcifiaitron of funds." Totsl fvTrJs bTwJht fcfft¥ard Total funds carried fonvard 20.4(KJ 20,400 22.662 20,400 19,815 S24

Lanre Johrtsort Chaidy Chanty No 1171349 CE008938 Section B Balance sheet Fixed assets Intangible as8•ts T•ngibl¢ a¥¥ets Heritage assets Investmet)ts F01 {Nots 15 (Note 14 (Not¢ 16) (Nots 17) Current assets {110ty 181 IN¢to 19) (Not• 17A) C8$h •t bonk and In hand (Nots 24) DebtOfS 21,1 i>ne year (Natè 20) 21.11￿> 21.11XJ one year (Note 20) Provitsitiro for liabilities 14 B16 23.*1 23.361 21,1(KJ Funds of the Charity Endowm8rtfunds {Notr 2n Restrlcted Income funds (Not• 27) UnreBIFkted fwKIs B17 B19 22.662 20.4CKI Revaluatlon Teserve Fairvalue reser¥e 20.4CK) Compani•s Act2￿. Date of approval ddlm 29K11r2021 1r201 CC17a (E 29ffj112022