Ch8rity number.. 11755Ql
Eagle Learning Centre
Annual Report and Accounts
for year ending 30 November 2024
Trll
Chair of thL organisation.. SILV¢ SLT8es Ngucm
Secretary-. Sikhululcni Moyo
Treasurer: Nathali¢ .1 ILntchcu
Bankers
Bank: Barclays
Account llumber: 2U813036
Sort code.. 204545
Trustees Report
The trustees of Eagle Learning Centre are pleased to present their annual report and
accounts for the year ending November 2024
The organisation is a community led organisation, working toward5 the advancement of
young people's educatiori. We are a not-for-profit, and a registered Charity established in the
LIK.
The organisation is a not-for-profit organisation working for disadvantaged communitie5 to
access better education, improve their Studies for a successful integration.
objertives of the or8anlsatlon:
Eagle Learning Centre's objectives are..
l. Homework and edu&ition support
2. Positive integration in the UK
3. Better education

4. Supplementary school
1. 260 children and youn8 people benefited from education support
2. 190 children and young people improved their behaviour and social ski115 3. At least
215 children and young people have benefited from our help in the last two years.
4. Between 190 and 260 children and youngsters have improved school attainment and
are better achieving at school
S. Parents and service users are benefitin8 from adult learning, basic English, numeracy
and literacv.
6. At least 300 children and young people have benefited from our help in the last two
years.
7. Between 215 and 445 children and youngsters have improved School attainment and
are better achieving at School
8. Children and young people we have supported have improved thelr school iesults
NFO
During the perlod 202412025 Eagle Learning Centre will focus on the followlng
actSvlties'. • Fl8htlng youth crSmes and anti- social behavlour
• Supplementary school and homework for underachieving chlldren and youn8 people.
More educational workshops for children and young people. • To run
employment workshop5 to create job opportunltie5 and reduce
unemployment amon8 members and young people.
The or8anisation will continue it5 members and volunteers tralnlng to strengthen the
organisation capacity Sn service delivery.
We have increased our fundraising attivitie5 by hirin8 the services of a
profession81 fundralser.
Unrestricted
funds
Restricted funds
Tolal fuilds

leniborsliip
Doiialitsii
3411U
34110
BBC C.hildiin I n Netd
A￿.￿rd (or all
no
00
Total 1￿CO￿ling reSoM￿eS
9500
9500
nditures
Unrestricted
funds
Restricted funds
Totgl funds
Venue cos¢
1.000
1000
Volunteer expenses
200
680
880
TraTr'el expenses
400
400
Drink and refreshment
00
1200
i?00
PublicitylAdvertising
300
300
A¢counting
250
250
Training cost
250
?50
Children activities
1100
1500
Total resources expended
1300
5580
6880
Net in¢ome for the vear
Balance sbeet at 30 November2024
Fixed assetS.......................................................................................4600
Bank and Cash........................................................................... 5620
eurrellt ligbilities................................
Creditors..........................................................................................ONet
assets....................................................................................
Cash..................................-........-...................-.............................................................35
Reserve
unrestricted £ 65(N)
Signed:
Date:1811012025