Reg15tered Clwity No: 1182099
Centro Familiar Vida Nueva Londres
Trustees, Report and Accounts
30 November 2022

CONTENTS
PAGE
Legal and Adminislralive Details
Trustees, Report
Independent Examiners, Report
Statement of Fitw)Ci81 A¢tivitieg
Balance Sheet
io
Notes to the Accounts

REFEREFICE AND ADMINISTRATIVE DETAILS OF THE
CHARITY. ITS TRUSTEFS.ANDADVISERS FOR THE
,YEAR ENDED 30- IYOVEMBER 2022.
Trustees
l. Jose Rodrigo Aguiar Iklgado
i Carlos Fabian Real V¢la%o
3. Maritra Elizabeth Stacey Castro (Chair)
Charity rwstered Number
Date of ¢harRtable regtstratlon
1182099
IPJ02J2019
PriDeip*l O￿let '
I l A￿kI￿d Gardens
SE19 DU
Independent eX¥ll￿nerS
NF F?nancial Solutions Ltd- Clo Good to give
Bankers
HSBC BaDkPLC

TRUSTEES. REPORT
FOR THE YEAR ENDED 30TH NOVEMBER 2022
Structur4 governanee and man8gement
The 3 Trustees are..
01.jose Rodrigo Aguiar Delgado
02. Carlos Fabian Real V¢l&sco
03. Marit72 EIi73bdh Stacey Ca5tr0 (Chair)
New Trustee5 are appointed by the existing Board of TTUStees on the basls of their
cxpcrtise and involvement in funhering the mtssion and vision of thc charity. The Board
of Trustees have a variety of experience including Chribtian ministy and church
administration. financial management. fundraising. education skills. Thc Board is
accountable lo the Charity Commission for the careful use of charitable and other publi
funds provided in a vaTietyof fomis. and for the achiev￿¢nI of appropriate perfomiance
standards in servic¢ delivery. The Board of Ttusiees meets ai leasi quarterly to oversee the
vision and strategies of the Charity.
Th¢ Trustees r¢maiD committed to advancing the Christian religion and providing
recrcational facilities and leisureactivities for members of the communiry such as youth,
elderly, infimi or disabled or suffering from social OT financial hardship. The main
objcclive is to improve the lif¢ of the public.
Governing document
Centro Familiar Vida Nueva Londre5 is chari18ble oTganI￿tiOD registered on 18 F¢bnwy 2019. The
Lharity is govcrncd by itll Memorandum and Articles of Asso¢iation in¢orpor4tcd on 8 June 2018 ay
am¢nd¢d by sp¢¢ialr¢solution r¢gisi¢r¢d at Compani¢s House on 28 January 2019.
Recruitment and appointment of trustees
Thc mcmbers of the General Trustee Board are trustees for the purposes of charity law. New
truste¢s may b¢appointed by r¢solwion of a me¢ting of the trwtees.
Much of the charity's work focuses uwjn the promotion of the Christian religion and the
running and mainlcnance ofits places of worship.
The CJeneral Trustee Board 8e¢k8 to ensure th￿ the n¢c4t8 ofthis group arc appropriately
reflected through the diverslty of the tnLStcc body. To enhance the potential pool of
trustces. the charity has. through selective advertisingand networking with voluntary
organization5 active in the sector. soughi to ideniify those who would be willing to
bccome members of the charity and ￿ their own experience to assist the charity.

TRUSTEESI REPORT, .
FOR.THE YEAR ENDED 30- NOVEMBER'2022.,
Rlsk Management
The trnstees actively review th¢ major risks which the charity faces on a regular basis and
b¢li¢ve that maintaining the free reserves stak4 combined with the amiual review ofthe.
controls over key financial systems carried out on anamiual basis will provide sufficient.,
r¢sourccs in thc event of adverse conditions. The trustees have also examined other
operational and business risks which they fa¢¢ and confm that th¢y have ￿tabIlls￿ed
systems to mitigate the signifi¢ant.risk8.'
Publlc Benellt
The charity acknowledges its requirement to demonstrate cl¢arly that it must have
charitable purposcs or aims, thatare for the public bencfit. Dctails of how,the charity bas
achieved this ar¢ providcd in thc Trustccs report. The Tr￿teeS confirni that they have
paid due regard to the Charity Commission Buidance on public benefit before decidin8
what activities the clwity should undertake.
Objectlves and actlvltles
To advance the Christian religion and provide recreational facilities for.Seisure activities
for the membets of thecommunity such as the youth, elderly. infimi or disabl¢(L or
suffering from social or finanFial hardship wxth theobject of improving thc lif¢.of tho,
public.
FinancAal revlew
The Trustees have prepared the accounting policies for Victory Outreach West London in
accordance with therequirements of the applicable SORPs and of best accountin8 practice.
Plans for future perlods
The Charity plans to develop vaTiOUS fundrdising strategy to include mass m￿ket1Trg. Besides
community outr¢a¢halld cvellts, the ¢harity is aiming to achieve its targets tbrougb
securing donations from willing individuals, A development board may be created to help
include other avenues of fijndraising to be includcd in the yearly

TRUSTEES, REPORT
TH
FOR THE YEAR ENDED 30 NOVEMBER 2022
Statement of Board of Trustees, responsibilities
The Board of Trustees are responsible for preparing the Annual Rep)rt and the financial
statements in accordancewith applicable law and United Kingdom Generally Accepted
Accounting Practice.
Charity law applicable to charities in Englandiwales requires the Board of Tn￿tee8 to
prepare financial statementsfor each financial year which gives a true and fair view of tbe
state of affairs of the CharÈty and of the surplus ordeficit of the Charity for that period. In
preparing those financial ststements the B(wd of Trust¢48 have:
Selec1￿ suitable accounting wlicies and applied them ￿￿81stentIy,
Made judgments and estimates that are re&sonable and prudent.
Stst¢d whether applicable accounting standards have been followed, subject to
any material dep8rturesdi8closed and explained in the financial statements. and
Prepared the financial statements on a going concern basis (unless it is
inappropriate to presume that thecharity will continue in operation).
The Board of Trustees h&8 overall Tesw)nsibility for ensuring that the Charity an
appropriate system of controls, fuwicial and otherwise. They are also responsible for
keeping proper accounting record8 which disclose with reasonable accuracy at any time
the ftnancial position of th¢ Charity and enable them to ensure that the financial
statements comply with the Charities Act 1993. They are also responsible safeguarding
the ￿setS of the Charityand hence for taking rea￿nable steps for the detection and
pr¢v¢ntion of frdud and other irregularities.
The Board of Trustees is responsible for the masntenanc¢ and integTity of the corporate
and fllMn¢ial inf0m￿tiOn. Legislation in the United Kingdom governing the preparation at
dissemination of financial statements may differ from legislation in other jurisdictions.
Statement of disclosure of infom2tion to independent examiner
We. as the Trustees of the Charity who held otTi¢e at the date of approval of these financial
statements as Set out on page 2 each conflrni. so far &s we are aware. that:
There is no relevant infoTmation of whicb the Charity's independent examiner are
unaware
We have tsken all ihe st¢ps that we ought to have taken as Trnstees in order to make
ourselves aware of any relevantinfonnalion and to establish that the chartty's
independent examiner are aware ofthat infotrnation.

TRusfEES' REPORT . ,
FOR TIIE YEAR,ENDED 30TII NOVEI4IBER 2022
Independent Examlner
Thc Charity's indyth ¢&•niMT. NF Lldclo G<￿1 lo GI￿ U(L has
indiotcd thcirwillingncssio offcr I1￿MSelVeS forappoinlmenL
This r9￿ was awrov.cd by ihe TnLslas a￿1 signcd ￿ iheir behalfbr..
larilza Ellzabeth Slatoy Castro (Chalr)
Dale: 21- 09 - 2D23

INDEPENDENT EXAMINER'S REPORT
FOR THE YEAR ENDED 30TII NOVEMBER 2022
INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES OF MEETING poINr NtlNISTIUES
I re[￿ on the financial sthtenKnts of the clurity for the y¢ar enW 3￿ Nov¢mber 2022 which COmPTise the
St4*mcnt ofFinancial Activities and Balance S1￿ct with aswiate nota
This report is made solely to the chari¢￿S Trustees. as a in accordance with sertion 145 of the Charities Act
2011 and regulations nwle under section 154 of thai ACL My work ba5 been UDdert8ket) so tbat J mighi stale to the
cbarity's Tr￿Ste¢S th￿¢ matter8 I am required to state ￿ them ID an In(kpendent ¢xamiDePs rep)rt and for no other
PU4)0se. To thefullest ext¢nt perniitted by law. I do not acc4rt or assuuK t¢sponsibility io anyone oth¢r than the
charity and the clwlty's Trust¢¢5 as a body. for tny examination wo
RESPEcfIvE RESPONSIBILITIES OF TRUSTEES AND EXAMINER
The charity's Tntste￿ ¥e teSW)n￿b]e for th¢ P￿Parth of the finaticial aThl they C(￿S1&r that an audit is
notrequir¢d for this year under section 14412) of tk ChaTilieS Act 2011 (th¢ Art) and that an independ¢JTrt
examination is n¢¢ded
It is my responslbility to:
Examin¢ the accounts (under Sectiott 145 of the Cbarities Act).
To follow the laid down in th¢ Gena41 DIrertio￿ given by the collu￿onerS (under
Section145{5Xb) of the Cknties Act): and
To state whetherparti¢ul4rmattcr5 hav¢ come to myatt¢ntion.
Bgsis of IndeptDdeHt Examine￿$ report
My exatnination was C￿rIed out in accordance with the General Directions given by the Charity Commissioners. An
examIn￿10n includes 8 review of the accouminB records keo by ihe Grouplcharity and a comparison of the
accounts presented with those records. It 4150 includes cotL8ideratÈon of any unusual items or dI￿10S￿re5 in the
aCCo￿t5 and Seeklngexplanatii￿ from you as concerniug any such tnattus. The PTIKedures underthk¢n do
not provid¢ all the ￿idence that would be required in an audiL and consequently no opinion is given as to wbcther
the accounts present a .tn￿ and fair. view and th¢ Tel￿1 is limited to those matters set out in the ststemem below.
Baslg of Independent Ei*othieVi report
In connxtion with my eXamI￿tio￿ no matter bas come ￿ my attention:
whi¢h gives me reasonable cause to b¢li¢v¢ that in w material respect the requirn¢nts:
to keep acco¥Jnting records ID accordance with sethion 130 of th¢ ACL and
to pryre financial swemthts which ￿0rd with the accouttiing records and c(ryly with the a￿Ount￿n8
Tequirements of the Aa have not been rneL OT
2. to wkn'¢ty iti my opinioo atteotion sbould b¢ dTawn in order to ¢n•bl¢ * EropeT urM*r￿8 of the fi[w￿la1
Slatements to be reached.
B K. A. C. S. Rodrigo ( B5c Accountanry. MBA. ACASL. FFAIFIPA)
Oll behalf of NF FIn￿￿la1 Solutioffjs Ltsl
Dat¢d:
21 September 2023

STATEMENT OF FINANCIAL ACTIVITIES
FOR THE YLIR ENDED 30TH NOVEMBER 2022
Income and Expenditure Account
Total Fund5
Total
Fullds
2020121
2021122
0211
1122
Note
Incomlng resources
GeneTal offerings
Gift Aid
52,079
663
52,079
55J13
Total Incoming resource$
52,742
52.742
55,213
Resources expended
Goyernance costs
51,209
900
51,209
9(K>
42.243
984
Tolgl Rtsources expended
52,109
52.109
43,227
Movement In tot*1 fllnd for the year,
Net Income l (eIpendilure}
633
633
11,985
Fund balan¢¢ broughi forward
20.485
20,485
8.500
Fund balance carried forv4T4rd
21,118
21,118
20,485

STATEMENT OF FINANCIAL ACTIVITIES
FOR THE YEAR ENDED 30TH NOVEMBER 2022
Balance Sheet
th
as at 30 November 2022
202An2
2021122
2020111
2020ni
XED ASSETS
Tangible assets
l J16
1.645
cUB￿NT ASSETS
C4$h at bank aDd in hand
20299
20299
18,960
18,960
CURRETrrr LIABILMES
Cr¢dilors;
arnounts falling due within on¢y¢ar
497
NET CUIUiENT
I9￿03
IV40
NET ASSETS
20385
CHARITY FUNDS
Untestric*d funds
Restricted fiwds
21.118
20.485
TOTAL FUNDS
21,118
20.485
The fmancial slat
ents approved by the Trustees on $i￿d on their behalf. by:
Maritza Elizabeth Stacey Castro (Chair)
The note5 on pages 9 10 10 forni part of these financial statement
Ic

STATEMENT OF FIIYANCIAL ACllVITIES
FOR THE YEAR ENDED 30TH NOVEMBER 2022
Notes to the Accounts
l. A¢¢ounilAg polkks
1.1 Bwls of pttp*rthtt of it*teme
The rUw￿la1 ststern￿ts I￿t been undtt the bIS&)ri￿ cost Conventio￿ with the excepti
of investments which are included at markth valu¢. iti witb the Financial Rwrting
Standard for Smallcr Entities (effethive Aptil 2￿8). The financial statemeuts hav¢ been prepared in
aw)rdanc¢ withthe Ststetnent of ReClKrll￿ Pradice (SORP). 'AccouDtiug and Rewyting by
Chariti¢s' published in 2(K15 gnd JpplI￿￿e &anihTd5.
1.2 Fund ac¢oullliAg
Genernl are unrestiirted which are available for w¢ at the discretion of the Tn￿teS in
furtherance of the gencral objectives of the charity 3nd which have b¢¢n d¢sig4tcd for oth¢r
purposes. Restricted are funds which are to be llqed in Wkth specific restrictioTh8
IM[K￿ by don(yrsor whith have be¢D Taisfyl by the charity f￿ particuiar purtx)ses. The costs of
Taising and administering such fimd8 are clwged agai￿8( the srrtific fiThl. Th¢ aim and use of each
restr￿ted fimd is set ￿lt ID the notes to the financial statemett&
IJ Incoming re50ryr¢
All incoming resourc￿ are inchmled in the Ststemeni of f￿￿￿￿al aaivities when the charity h8S
entitlementto the W certatnty of re£eiN and th¢ anM)unt Can k Meas￿ with sufficient
reliability.
Donaled services or facilitie& which comprise doll￿ service& are includrAt in incom¢ * a
valuationwhicb is all eslitDale of the fu￿￿78] cost IK￿￿¢ by the donor whue s￿h a ￿st is
quaDtifiable and me&surabk. No income is rwis¢d WI￿ th¢r¢ is no fiJ)awial CO￿ iK)rne by 8
third pary. iT￿oMe thx [￿Verable ID ￿lation io [￿e1Ved uth Gift Aid or deeds of
covenant is reeogllisedat the time of thxwio
thataggregate all ￿sts for allocati￿ to activities. Where wsts ￿￿1)01 be directly allributed to
particular acrivttics. they bave be￿ alllxated on a I￿S7$ con%istent with th¢ of the resources.
Support cosls ar¢ those ¢osLs i￿u[Ted directly in suwx)rt ol¢xpenditure on the objects of the clwity
and illclude project management Catlial out at H￿th4uarte￿. Governance cosLs are thos¢ Incurr￿ i
conneruonwitb administsBtion of tbe chJrity gDd compli3￿¢ with cortstiknllionai aDd staiutory
requiremenls. Grants wable Sre cbarged ID the year when the offer is except in those eases
where the offer is CQDditioDal. such iriDg re￿gnIS￿ as expenditure when the Co￿litiOnS
atthching are fidfilicd. Grantsoffered to ¢￿dItiOnS which have JM)t been met at th¢ yur¢nd

'. SIIATEMENT OF FINANCIAL ACTIVITIES
FOR THE YEAR ENDED 30TH NOVEMBER 2022
Not&% to the Accounts
IJ Tlnglble Flxed A6S¢t
Depreciation is provided at the following annual rdtes in order to write off each &8Sei over
its estimatedusefid life.
• Pla￿ and Macbinery
21fA on tedu¢iog balance
1.6 Related Party TransA¢tlons
The￿ vrtre no pym¢nts to Itustccs or conn¢¢*d peThons dwing the year Dor in pT¢Yious yearn.
2 Voluntary Ill￿￿e
2021122
202W21
Donations from Individuals
51079
55.213
Gift Aid
663
Total Income
3 Trnste¢ Exp¢DSes
Ther¢ w¢re no Tr￿ ¢xpenses paid during 2021122.
12

STATEMENT OF FINAY4CIAL ACTIVITIES
FOR THE YEAR ENDED 30TH NOVEMBER 2022
Notes to the Accounts
4 T*nglble fixed Assets
{ Pl*nt & M*chlnery )
Cojt
At l D￿eMb¢r 2021
AI 30 Novcmber 2022
13
3,213
Depreclation
At l December 2021
ChArgc for the year
At JO November 2022
1,568
329
1,897
Net book v#lut
At 30 November 2022
AI 30 November 2021
S Credlton: amounts falllng due wlthln one year
2021122
2020121
Other credits)
497
119
13