# **LGK in the Community** 


# **AGM/Board meeting, Friday 30[th] October 2020** 




## **A enda g** 

1. Welcome, Apologies 


2. Minutes from last meeting/last AGM 

3. Matter Arising 

4. Annual Report /Adoption of Annual report 

5. Annual Accounts /Adoption of Annual accounts 

6. Kathrine House Hospice 

7. 

   - Sponsorship programme 

8. 2020/2021 programme 

9. AOB 

10. 2020/21 meetings 11/12/20, 19/03/21, 09/07/21, 29/10/21 AGM/board meeting 



Annual Report 2020
L4K
11

## **LGK’s Mission Statement** 


 **“LGK in the community aims to use food as a vehicle to assist the needy. We aim to run a series of projects and fundraisers to assist people suffering from serious chronic and life threatening illnesses.** 

 **We aim to work with young people and the community at large to address wellbeing, health inequalities, food poverty and social cohesion. We also aim to explore record, preserve and share the individual and collective heritage of groups and individuals”.** 



## **Values** 

- ❑ **Engaging** - Engaging new people into maintaining a healthy diet and addressing malnutrition through the LGK scheme 

- ❑ **Opportunities** – creating opportunities for the less fortunate to become self efficient. 

- ❑ **Quality** - Increasing the quality emergency food aid in the city 

- ❑ **Including** - Making Food programmes inclusive of Age, Race, Gender, Ethnicity and ability 

- ❑ **Promoting** - Promoting and Advertising healthy lifestyles and healthy diets 

- ❑ **Health** - Reducing health inequalities and promoting well-being 



2019-2020 Projects
L4K
. ￿ATrU
T*
Pantheo
. 291i4orou Stro
Ili¢osti Cypvus
DIGITAL
DISHES OF CHANGE

## **1. Festive food bank- December 22[nd] & 27[th,] 2018** 



~~▪~~ ~~**Pre XMAS food bank in partnership with**~~ **Frankfurt Christmas Markets, UCAN, Holford Drive Sport Hub & Birmingham City Council, The Children's Trust December 2019** ▪ **Festive food bank programme fed in excess of 2000 needy people in 2019** ▪ **Over 300 children received presents for Xmas as part of our scheme** 







## **2. Season 7, Taverna May – July 2020** 

|||
|---|---|
||**2. Season 7,**<br>**Taverna May – July 2020**|
||Raffles<br>Amount raised<br>Various raffles<br>£1,206<br>Totals<br>Amount<br>Drivers<br>£2,175.60<br>Deliveries<br>£1,498<br>Kleftiko<br>£951<br>Just Giving page<br>£342<br>Cash donations<br>£357<br>2020 Fundriasing Campaign total<br>£6,529<br>**_Funds breakdown_**<br>Mason family<br>£2,000<br>LGK flood improvements<br>£1500<br>2021 start up pot<br>£1000<br>Volunteer expenses pot<br>£500<br>~~Mason family reserves~~<br>~~£1500?~~|
||<br><br>Accorns Gazeebos<br>£200|





## **3. ‘Queens of Amathus’ documentary Cyprus Premiere** 




- **Successful documentary  launch event on 26[th] of January 2020 at the Pantheon Cinema, Nicosia, Cyprus** 

- **Over 6 TV interviews on mainstream Cyprus channels.** 

- **Over 250 quests at Launch**  **Further offer for Cyprus tour sponsored by cineplex** 

- **Broadcasting offer from RIK TV**  **Launched under the Auspice of Diaspora Commsioner Mr Photis Photiou** 







## **Dishes of Change/Dishes in the Cupboard Commonwealth Food school** 





- Dawn/Vanessa 

- Conversion of programme due to lockdown 

- Dishes in the Cupboard scheme run in August 2020 

- Follow on Scheme launched as part of Black History Month 

- Doing Things differently programme at the magnet centre 

- Erdington Food bank programme  (Fotoulla/Leah) 

- www.learn-lgk.org 



## **Future projects: 2020/2021** 

- **Season 8-Taverna pop up May 2020– June 2020** 

- **Dishes of Change programme** 

- **Digital Dishes in the Cupboard** 

- **Learning Management Platform** 

- **Family Support programme** 

- **Athlete food journeys** 

- **International Queens of Amathus Documentary 2020-2023 launch on International Women’s day 08/03/23** 

- **Charity farm venture with Linking Environment with Farming, LEAF** 

- **Vehicle application for upgrade or additional** 



- **Potential of Cyprus arm to the charity.** 



## **LGK Operating Model** 


**----- Start of picture text -----**<br>
Directors<br>Liliana Mala<br>Fr Theodoros Pritesh Pattni? Joy Hazel<br>(Chair)<br>Committee<br>Fotoulla Lydras Yogesh Gupta<br>members<br>Workforce<br>managed by CEO<br>Paid<br>CEO Panikos  Volunteers<br>LGK  Secretary Project<br>Panayiotou Poole x 6 Mervyn Jayakody<br>personnel<br>**----- End of picture text -----**<br>




Adoption of Annual Report 2019/20
¥p

Annual Accounts 20 19/20

## **Annual Accounts 1[st] Nov 2019- 31[st] October 2020** 

## ~~ Opening balance @ 01/11/2019 -~~ 

~~**£ 23,719**~~ 

##  Income total 01/11/19-31/10/20 £45,020. 

> **Source of** _**£** 41203.84_ **Amount £ income** 

**BCC Grant** 6100 

**Doing Things Differently grant** 18,756 **Heritage Lottery Fund 3180 Taverna  funds Season 7 not including just giving** 6187 **Books/premiere tickets** 2897 **Donations 7900** 

## **Sources of Income 2019/20** 



## **Expenditure: 1[st] Nov 2019 – 31[st] Oct 2020** 

#  Expenditure total during period: 

£41,911.11p 

#  Expenditure breakdown 

- Queens of Amathus: 

£19,763 

- Petrol Expenses: 

£279.15p 

- Vehicle costs: 

£1194.49 

- Taverna costs: 

£3,184 

- Donation to Mason fam: 

   - £2000 

- Dishes of Change programme: 

£15,066.21p 

- Food bank vouchers: 

   - £250 

- Legal Insurance: 

- Website hosting: 

- £56 

£118.26 



Adoption of annual accounts
2019120

## **Katherine House Hos ice p** 

- £3000 raised in season 6 for Art support programme for bereavement services and end of life care. 

- Needs one million to remain open as been hit hard by C- 19 

- Will our funds help towards keeping the site open or will they close despite any further efforts? 

- In September they had raised 47k do we know what they have raised so far and what the timeline is to reach a million. 

- Fr Theo Sponsored walk programme to raise money for the hospice 

 PR campaign 



SKB S onsorshi Pro osal 2020 21 p p p / 

- Sponsor a meal scheme within business establishments 

- Charity yearly on-costs donation £5000 

- Meal in need programme set dates per year 

- Staff volunteer hours agreed banking system throughout the year 

- Charity tins in all SKB venues/events 

- Agreed promotion of LGK taverna nights season 8 

- Joint gala annual dinner celebrating community heroes as part of annual fundraisings schedule in addition to donation agreement. 

- To be reviewed on an annual basis 



## **LGK Proposed Operating Model 2020/21** 


**----- Start of picture text -----**<br>
Board of<br>Trustees<br>Liliana Mala<br>Fr Theodoros Yogesh Gupta   Joy Hazel<br>(Chair)<br>Fotoulla Lydras<br>Committee<br>members<br>Vacant<br>Vacant<br>Workforce<br>managed by CEO<br>Leah Taylor<br>CEO Panikos  Volunteers  PR Xenia  Secretary admin<br>Family<br>Panayiotou Poole x 6 Karagiannis Mervyn Jayakody<br>Outreach<br>**----- End of picture text -----**<br>




## **S ecial resolutions p** 

- Proposal for Vice Chair Position if someone would like to volunteer themselves or recommendations from the board. 

- It is proposed that we take on Mervyn Jayakody one day a month in addition to his secretarial role and minute taking, to file and organise the LGK accounts and key documents. This will be paid at a rate of £80 and claimed as volunteer expenses. 

- Increase Leah’s contract to 2 days per week till then end of February 2021 



202 1 awaits
rAo/f£i

REGISTERED COMPANI. NUhlBF.R: 10418907 (F.ngl&nd and lTrales}
REGISTERED CHARITY NUMBER: J182273
REPORT OF THE TRUSTEES AND
UNAIIDITED FIP4Af4CIAL ST.4TEMENTS
FOR THE YEAR EYDED 31 ocfoBER 2020
FOR
LGK Ir4 THE COMMUNtTY
(A cof*lPANI' LI￿lITED Btr. GUARANTEE)
Mi¥hael Triliou Ltd
Chartered Certified Accou[￿nts
wW￿.￿1rh￿¢Itl170U.CoT
Salisburn" House
l High StrLL
Potters Bar
Hertfordihire
EN6 5.4S

LGK IN THE COMMIINIT
CO.NTENTS OF THE FL%A.%CI.4L ST.4TE.MENTS
FOR THE YE.4R ENDED 31 ocfoBER 2020
Page
Report of the Trystees
Statement of Finan¢iAI A¢tiTrities
Statemenl ofFlna*cig1 Posltlo
Notes to the FiTr•nri41 St￿terne￿¢s
8 to 14

LGK IN THE COMhlilNITY OiEGI.SIERED NUMBER.. 10418W7)
REPORT OF THE TRLISTEES
FOR THE YE.4R ENDED 31 ocfoBER 2020
The trustee5 who are also director5 of Ihe chariiy for the purw)sts of IIK Companies Act £(M)6. pre5enl their report wilh Ihe fiiiancial
tLmLnl% of Ihl Lhuritv for thl >Lar LndLMI 31 (k-Iu￿-r !O?O. ThL ITUStccs h￿i'L &dvplLd thu piiTr%'l%lOnb of AcLvunlin¥ ttiid RLPOrting
by Chariiies." Siatemeni of Recommende11 Prnciice appliiable io charities prepaTing iheir accounts in accordance wilh rhe Financial
Reporting Standard applicable in the UK aDd Republii of Ireland (FRS 1021 (effective l January 2019).
OBJECTII'ES AND ACTIVITIES
Ubjectlwes #nd alms
Visioii
To brin&T ¢ommunilies Closer together by Ikvel¢)pintr a shared understandine of (he rol¢ different group5 and individuals have had in
shapinR loday'b society.
Ilsslon
To protllote cohesion belween and ￿'1th1￿ cornmunities. at a neighbourhood level aTrd globally. by hi¥hlighting the historic
coniribuiion8 made by a variety of communiries
To work Ivith young PLopIL and thc Lommunil¥ ai largL ID adi-rcss ￿'Cl]￿lrtg. htrdlth Intquajitics, food w)vcrty and soLia] eohcsi(Trn
To us¢ th¢'arts', Cul￿re. 'sport' and other tools io engage Thith people.
Alm
To explore, record, preserve and share the indivithial and ¢olleciive heriiage of groups and indivjduals_ To dei'elop iniiiatiwes io
improvc pcopli'5 wcIIFKin8.
Objectives
The preventio￿ and ￿lief of poverty for the public benefit in Birmingham by providing donaiions of food for local food banks.
Th¢ adYan¢¢ment ot education t<￿ th¢ piibli¢ b¢n¢fii in Btmiin?ham proNiding workshops relaiing io healthy eating and nuiritlQl).
cook]"ng on a budget and healih and safety procedures in rhe handling alld preparation of f(x)d.
For the public b¢nefii 10 promoie the relief of elderly people resideni in Bim)ingham by providing a befriending service and group
opportulllties for social conlact a￿d interaction designed to relieve social isolation and lowliness.
Signific4ni artilrytles
Tu ddvanve the eduLation for the publiL I￿17erIl in all aspecis of Ihe iuliure. art%, wellbeing, heriuge and SOLidl hisiory, including
those tliat are disadi'antaged fro]n different racial group5 in ihe Il'est Klidlands and globally. In so doing promotiriii the cohesion
between and within such groups.
Delivering htalihy cooked ftKd arourbd the cily using a vehicle as a ￿rtable kitchen. The vehicle 15 a150 used lo collecl and dislTibule
fuvd for the fuud bank elemeni of the organi5ation.Th¢ vehicle is lo ￿ owned bv the chaiiry. LGK. All the fuiidin¥ and dunatiDTL%
received will be applied for the charirable puryx)ses only. Fofyj may be prepared in ihe kir¢ben tacilLty provided (ree oi charge by the
charity's supporlers at their residencts or othtr %enu¢s where an event is organiA.
Teaching how to C(M)k healthy meals for the COMM￿lty io promoie good health as well as the organisaiion of food banks ￿Ph]ch will
%i%t %ome of the needy LOmmuniti￿ in the Lily a% ￿.¥11 a% Ihe LMTruntry.
Grantm#kitsg
Th¢ Trust¢¢s consider applications re￿IVed for grdni and approve on the merirs and obje¢iiv¢s for whi¢h such ￿allts niay be us¢d
Page I

LGK IN THE COMhlilNITY OiEGI.SIERED NUMBER.. 10418W7)
REPORT OF THE TRLISTEES
FOR THE YE.4R ENDED 31 ocfoBER 2020
OBJECTIVES AND .4cTl￿.ITllES
Volunteer5
Thc vulu¢ vtr s￿r¥I¢l5 PTO%'idLd bv vvlunlicri JS llvt In¢urpurJic¢J in th￿bL finthnLial .%tatLmcnts. HvwknVLf. puy]nLnt* mthdL to Lovlr
the volunieers. actual expenses which are included ill the fmancial stsiemenis.
ACHIEVEMENT AND PERFOILMANCE
Charltable artii'itles
Prukiding toud b*nk.% and LduLAtion in ￿pL￿1 olhLalthy diLt%_ UDtrJni*".ng i%'ini_% in ordir lu rdi%c lund
for the charity which is used to hf Ip thost in need of nutritional educarion and adequaie fo(￿ PrO￿ls1On.
Deliverin&y healthy ¢ooked fos)d around the ¢ity usinbT a v¢hi¢le as a portable kitchen. The vehiele is also used io ¢oll¢¢t and distribut¢
food lor the f￿d bat& eleLllenl olihe orRanisalion.
Teaching how io cth)k healihy meals for the Comm￿1¢Y io promoie gTh)d healih as well as the organisaiion offoL)d banks whi¢h will
assisi some of the needy communities in tht cily as well as ihe country.
Fundralslng attffivltles
Organising Powup Tavcrna and ￿rVirtg hcalthy meals to gcn(YAtc donaiions_
Publishing and selling iKH)k relating to the evolution of Gttek Cypriot cuisine into British %￿Iety.
FINAIYCIAL REVIEW
Principal funding Sou￿e
The lulure ofchanly'5 services Is dependeni on ¢oniinued SUPPKJrt from staiuiory sources and Income from grants and donations.
which are esseThiial for the maintenance and expansion of seTh'ic£s to mtet the increasing demand.
The Charity provides ￿SentIal services and d¢ve10t￿ unique training projects that help lo profilelmeet the need5 of the public and is
supported in pan by LoLal Authority, Big Lottery Fund ¥nd Heriiage Louern Fund. Although such fundiiig LontiniJ¢s, demand for
proj¢cts, s¢rvic¢s, and an ill¢T¢ase in Core LOSIS ¢onsid¢Tabl)' ouN-¢iglis the funding provided bv ihese sourc¢s, to rh¢ ¢xi¢nt that the
ChaIity has to continually look for funding froin other orÈani5aiion& chatit#ble alld ¢OryK)rate bodie% and ind]"vidual dollors.
Wilh the adveni of Covid-19 and lis effecis on the corporaie and oiher organisaiions fi￿dIng ¢hariiy, Ihe in¢i)me and grants
TeLeivable in future may ￿ adveThely impxted.
Reserves poliry
The Board Jf Trustee8 1% re%wnsible for deLiding how io ini'e%i Ihe ch￿1[￿.5 ￿erve%. The appropriaie level of reserv￿ is esidblislied
through an annual review. of Ihe C.harifv's requiretnents atMI slated in the financial report. The Treasurer is responsible for prop)sing
to the Board the balance of Lash on deposit #nd ini.eblmen￿ and acts the Board's Instruitions.
Taking ITito account the iinyacl on fulure grants and donation5 receivable. Ihe Iruslees have io limit the charity's abliviiies within
the r¢4erYe% a￿ailable.
Going concer
The accounts have been prepared on a going concem basi5.
The Iru%te¥% are h(Trwever of material unLertainiieN ihat La.%t doubi on the Lh￿Ily's abilily tu L￿ntinue a guing LunLern. As
with mosi organisaiions, Ihese material uncerLainiitE art in relaiion to the ongoing CoN'id-19 virus outbreak which has had an impact
on the operatioiis. donors. suppliers. trngtees and i.oluniee]¥. The trusiees haN'e (where appn)piiatel ulilibed the gtanits and bejiefits
available from the organisations and goi'¢rnment and are taking all the Eieps they ¢an to prot¢ci the fiJwr¢ of the charity.
Page 2

LGK IN THE COMhlilNITY OiEGI.SIERED NUMBER.. 10418W7)
REPORT OF THE TRLISTEES
FOR THE YE.4R ENDED 31 ocfoBER 2020
FINANCIAL RE%'IEW
Reviem of transactions fillancial perfortDance alld funds
As shuwn In thL SlutLmLnl of FinanLial .4itivitiL.% Ipa¥o -.} totsl fur thL PLri￿ tv 31 Oc'lobLr 20?0 t)mounlLd Iv £45,2918rtd
expenditure in ihe funherance of charitable aciivities iotalled £4?.05.3.The Chariry resulied in a Nei resources surplus of £2,938.
FUTURE PLAD4S
In lighi of Il)e current economical climate the organis81ion will review its business plan l 0￿￿TiOnal model ILI help it ensure
u.%tJJndbility and will niakL any LhangL% llLLdLd_ It rLmallLS ￿￿1￿mIll￿d to %upporting ihi primary bLnLIILiafiLS of our actiVillLs and
seTr'ices and will aim to coniinue deliver* of a progrdmme of key actii'iiits and associated berk'ices.
The organisatli)n plans to ¢ontinue workijig stral¢El￿]lY to help a¢hi¢v¢ our obje¢tiV¢S.
STRUCTURE. C.OWERN.4NCE AND mANAGE￿]ENT
Govtrning d(*ument
The iharily Is Lontrolled by its gowerning dLKumenL a deed of imsi. and constitutes a limited eompany, limiied bj guarantee. as
defined by the Coinpanies Act 2(K)6.
Recruitment artd #ppointment (trf new trustees
EveTr person who w'ishes to be a Member and a tn]stee a5 such. shall deliver to Ihe ConirAny an application for membership in su¢h
ftsrnj as the Directors requLre executed by that pet30n.
Ar Ihe nexi m¢eiing of Ihe Direciors after the re¢eipi of any applicaiion for membership. the applicaiion shall be considered by ihe
Dircctors who shall dLLidc upon thc admission or rcjc¢tion of thc appIl￿t.
Org&nisationxl strlltture
ie Chdrity has u Nlanagernent CoThniiltee of up 10 Six mtmbet5 who Tneel ie¥ulurly and ait re%ponsible for Etrategic direction dnd
policj. of the charity. Ai prc5eTit the comrnillee ha5 six Mern￿rs from a varie￿. of i￿¢￿"ground5 relevant lo the w'ork of the charity.
The LL)mmitte¢ is made up tsf the truste¢s.
A scheme of delegation is in place and day io day responsibility for the provision of services rest with the trnsiees.. The tnjstees are
re%pon4ible for en%uring that the Charity deliver¥ the services 4)eeilied and that key performance indicators are met.
Induction training of new trustee5
New trustee5 Teceive a CoTnprthen51￿c induction package. wrth infoTTnation c0venn￿ the dutif5 of a trustee. a Iru5tee job descriptio
and s¢rYi¢e ag￿ernent. an ollilin¢ of IhL Vlsion. mission and implernenraiion of Ihe Charit￿,$ seThi¢e>. the lai¢st Rep)rt and.4¢c(iiints,
Lurreni budget and latest ￿nage￿ne￿I
Trngtees are ¢nctsurag¢d to make use of the iraining and ¢oN(eten¢e opwrtUnLti&* provided by the NVC.O Jnd other bodies.
Rlsk JnanagemeNt
ie ttu4tte¥ havt d duty tv identify and ￿Tr)eW the ii5ks to which the charity i% exwTrsed and to tn%ure appiopriate contrulg are i
place 10 provide reasonable assurance agaijjsi fraud and error.
REFERENCE AND ADf*llP41STRATIVE DET.411S
Reglstered Companv number
10418907 IEngland and Wale81
Re2istered Ch*ritv number
I S2273
Page 3

LGK IN THE COMhlilNITY OiEGI.SIERED NUMBER.. 10418W7)
REPORT OF THE TRLISTEES
FOR THE YE.4R ENDED 31 ocfoBER 2020
Registered offire
Nash Dom Community Hub
Sun SiruLt
Wal411
WSI 4AL
Trustee5
Mr% L Malla Lii'il Sir¥￿t
Mr P Polvviou Civil SeTh'ant
Ms J Hazell Civil Servant
Mrs F L)rras Twstee (appointed 14.11.19)
Mr Y K Gupta Trustee lappoinled 14.11.19)
This re￿Jll has been prepared irt accordance wiih ihe S￿la1 provisions of Part 15 of Ihe Comronies A¢1 21M)6 relaiing to small
companies.
Approved by order of rhe board of irnsiees on 27 July l atyj signed OD lis behalf by..
Mrs L Malla- TrustLc
Page 4

LGK IN THE COMMIINIT
gTATEfvIENT OF FI.*￿￿clAL.4cTI￿ITIEs
FOR THE YE.4R ENDED 31 ocfoBER 2020
2020
Total
fund5
?019
Total
fund5
Unresiri¢ted
fund
Resiricted
funds
Nvlc
INCOMEAND ENI)OII'MENTS FRO￿[
Donation% and le￿cle)
464
40,827
44.291
50.1434
LXPENDI'I'LIRb Oly
Raisit)g futids"
168
168
168
CharAtable aetlvltles
Taverna Pop Up evenis
Queens Of A Trmthus ProjeLt
19.680
21J85
19.6811
21 J115
21.616
24J58
Other
Total
1,626
47,768
42.453
43.1153
NET INCOMEI(EXPENDITURE)
11.6261
2.238
3.066
RECONCILIATION OF FUNDS
Total funds brought forward
2.1172
I￿26
2&8911
25,832
T(yfAL FUNDS C.4RRIED FORWARD
2X.XY%
The notes foTh part of these financial statements
Page 5

LGK IN THE COMhlilNITY OiEGI.SIERED NUMBER.. 10418W7)
STATEMENT OF FLNA.%CI.4L POSITION
31 ocfoBER 2020
21120
Total
fund5
2019
Total
fund5
Unresiri¢ted
fund
Resiricted
funds
Nvlc
FIXED ASSETS
Tangible as>ets
3,658
3.658
4.147%
CURRETr￿ ASSETS
Debitsrs
Cdsh al bank
337
23.6x3
24.0?0
21.542
21.542
q36
28.1178
CREDITORS
Ainount5 falling due within one year
io
(fdM)I
{61101
IYET CURREIYT ASSETS
5,936
24.U2U
TOTAL ASSETS LISS CURRENT
LIABILITIES
S936
25,20
31,136
28,898
r4ET ASSETS
FL"NDS
Unr¢strictLd funds
Restyi¢ied funds
TOTAL Fuf4DS
2.()72
26.826
25.200
The chariiable companv ib entitled io exemption from audit under Section 477 of the Companies Act 2QOh for the year ended 31
O¢iob¢r 2020.
The members have Dot required the compmy lo obtain an alldii of its financial statements for the year ended 31 Octobtr 2020 in
aL¢ordan¢e with SeLiion 476 of the Ctsnipanies Act £(K)6.
The Iruste¢s acknowledge their ￿ponsibilitieS tor
ensuring ihal the charitable company kttps attounling [L￿rdS Ihat comply wilh Seciions 386 and 387 of the Companies Aci
200() dThd
preparing financial siaiemenL8 whi¢h gil'e a true and fair Vie￿ of the siaie of affairs of rhe charitable company as ai ihe end of
each financial year and of ils surplus or deficii for each financial )'ear in accordance with the requirements of Seciions 394
and 395 and ￿'hIch oiherwise complv ￿1th the requireTnen¢s ot the Compani&s AEI 21KI6 r¢laling lo financial stateTpents, so
far as applicable to Ihe eharithble Company.
(bl
The notes foTh part of these financial statements
Page 6
continued...

LGK IN THE COMhlilNITY OiEGI.SIERED NUMBER.. 10418W7)
STATEMENT OF FLNA.%CI.4L POSITION- co￿([￿Ued
31 ocfoBER 2020
These finanLial StateM￿t5 have been prepare<l in accordance wilh the provisions Jpplicable to charitable companies subjeLt ts) the
sinall ¢ompani¢5 Tegitn¢.
The financial giatemenis were approved by the Board of Tn￿le¢S and auihorisdl for issue on 27 July 2021 and were signed on its
behalf by..
Mrs L Malla- Truste¢
The notes foTh part of these financial statements
Page 7

LGK IN THE COMMIINIT
'OTES TO THE FLNANCI.4L STATE￿IE.￿Ts
FOR THE YE.4R ENDED 31 ocfoBER 2020
ACCOUNTING POLICIES
Basis of preporing the finonci#I ￿¥tements
The finan¢ial staienienis of ihe Lhjritable company, which is a public ￿ller1[ eniity under FRS 102. have been prepared in
accordaiice with the Ch￿Ill¢S SORP (FRS 10?) 'Accoulliing and Reporting by Charities= Siatement of Reconunended
Praciice applicable to charilies preparing their ac£ount5 in 3rcoidJnce ￿'Ith the Financial Reporting Standard applicable in the
UK and Republic of Ireland IFRS In21 leffe¥iike l January
0191.. Financial Reponing Siandard 102 'The Financial
KLpuning Sldndaid applicabli In thL kLpublic ul Ariland. and thL L(bmpaniLS Act 2UUh. I'hL findnLJdl %lalcmLnl4
have been prepared under the historical cosl cDnTrtnrion.
Going concern
The accoun15 liave been prepared on a 8oinK concern basis.
The trusiees are aware however of material uncerfainii&s thai casi doubl on ihe ¢hariiy's abiliiy to Colllinue as a goirtg
conLtrn. As wilh mosl organisations. these material uncenainiits are in relaiion to the ongoing Covid-lg WITUS ouibreak
which has had an impact ofi the otKraiions. donor5. supplie15. trustees and volunteers.. The trubrees have (where appropiiaiel
uiilised Ihe 8ranis and benefits ai'ailable from the organisaiions and governmeot and are ￿king all ihe sieps they cai) to
prottcl th¢ futuic oEthL charily.
Ineome
All incoine 1.% reco&rni%ed in tlje Staiement ofFindnciJl .Aetii Itie% once the eharity entitlement to ihe funds. it is pmbdble
Ihai Ihe income will be r￿eI￿.ed and Ihe amouni ¢an be mvd>uwd ￿lIably.
Expenditure
Liabilities are recognised as expeThthture as siKbn as there is a legal or consrnctiNe obligation committin8 the charity to that
expendiiuie, il i) probable thal a tiansfer of economic benefits will be required in 5ettlemenl and the ainount ol'the obligation
can be measured reliablv. Expendilure is xcounLed for on an accrua15 basis and has been classified under htading5 that
aggregate all Lost r¢laie(f its the c&tegor)'. Il'here CO>¢$ Lannoi be direLxly attributed to particular kadings ihey have been
allocal¢d io a¢tivities on a basis ¢onsisi¢ni with the us¢ of r¢sourc¢s.
CJfdnt% ofTered ￿UbJeCt lo conditiots which have noi been met dt the ytrarertd date dre noied #s a commiiment but not ￿¢￿￿ed
as expendiwre.
Tangible fixed asset5
Deprtciation 18 proi'ided ai ihe following annual raies in order ro wriie off each assei over lis ¢slimataJ useful life.
Motor vehicles
Compyi¢r equipment
o on r¢ducing balance
2$•/0 on reduciiig balance
Taxation
The chariiy is exempi from corporaiion rax on irs charithble activiries.
Fund accouThting
Unrestricted tLinds can be used in xcordanee wilh ihecharitsble objectives ￿ the discrerion of the rrnstees.
Restricted fund5 can onlN be llsed for part]cular restricted purp￿ withi'Th the objects of the charity. Restrictions arise when
specified by the donor orwhen futmts are raised for partiiular restticted purw)ses.
FuJili¢r ¢APlaI￿li0￿ of ili¢ iJatW¢ aJLd putpox of cacti fvnd i5 LI￿ludCd in th¢ (wt¢5 lo tli¢ fiiiancial 5tai¢in¢nts.
Page 8
continued...

LGK IN THE COMMIINIT
NOTES TO TttE Fl￿A.￿c1.4L sTATE1¥IE￿.TS- CO￿1￿￿￿ed
FOR THE YE.4R ENDED 31 ocfoBER 2020
DONATIONS.4ND LEGACIES
2020
2019
Doiiations
Grants
20,435
18.377
45
Granis received. included in the aix)ve, are as follows:
2020
2019
Heritag¢ Lottery
TdvciD& Pup up
Main Grant
Theos Food Co Ltd
12.720
24356
9,737
24
CHARITABLE ACtIVlTIES COSTS
Grant
runding of
activities
{%ee note
Direct
Costs
Support
costs
41
Totals
Taverna Pop Up events
Queen4 of Amathu4 Project
18J4J
21J85
932
405
19,68
21Jlt
932
GRAINTS PAY ABLE
2020
2019
Taverna Pop Up ¢￿'ents
The roial gyrdnis paid io inslitutions during t￿ year was as follows..
932
2020
2019
DothatLons rnade
Page 9
continued...

LGK IN THE COMMIINIT
NOTES TO TttE Fl￿A.￿c1.4L sTATE1¥IE￿.TS- CO￿1￿￿￿ed
FOR THE YE.4R ENDED 31 ocfoBER 2020
NET INCO￿lE1(EXPENDITLRE)
Nil InLutnLI{LxpLndJluiLI Ib SlJ)tcd aftlr chat81n￿(Creditl￿￿)=
2020
201
Depreiiation- owmed assets
TRUSTEES, REI¥IUP4ERATIOIY AND BEi¥EFITS
There were no Itusiees. iemutleration or oih¢r benefits for Ihe year ended 31 October 2020 nor for the year ended 31 (kiober
2019.
Tru5tees' e%pewse5
There were no trustees, expense5 paid for the yekr en(￿a 31 October 2U20 nor for the yetsr ended 31 (k-tober 2019.
COMPARATII'ES FOR THE STATE￿IENT OF FINANCI.4L ACTIVITIES
Unrestricled
fund
Reslricled
fL￿dS
Tolal
funds
1Tr4COME ALYD ENDOWMENTS FROM
Dondtiuns and legaLies
50,834
50,834
EXPENDITURE ON
Raising funds
168
168
Chari¢abJe gctivitie5
Taverna Pop Up events
Queens ot'Amaihus Project
21,616
24.358
21.616
24J5
Othcr
'I'otal
,768
47.7b
LYET IIYCOME
3.066
RECONCILIATION OF FUNDS
Total funds brought fonvard
2.072
23,76
25,832
TOTAL FUNDS CARRIED FORII'.4RD
Page 10
continued...

LGK IN THE COMMIINIT
NOTES TO TttE Fl￿A.￿c1.4L sTATE1¥IE￿.TS- CO￿1￿￿￿ed
FOR THE YE.4R ENDED 31 ocfoBER 2020
TANGIBLE FIXED ASSETS
Molor
vLhiilLS
Cot]Ipuler
C4UlPItiLTht
Tutal&
COST
Ai l NoVe￿ber2019 and 31 October 2020
DEPRECIATIOP*
Ai l NOVem￿r 2019
Char¥2 for year
Ai 3 l O¢tober 2020
NET BOOK V.4LUE
Ai 3 l O¢tober 2020
Ai 31 October 2019
5.781
.0$5
0.836
904
165
1.069
6.68S
494
659
DEBTORS: AMOUNTS FALLING DUE M'ITHIN ONE YEAR
2020
2019
Prepa)Thents
337
CREDITORS: AMOUYTS FALLING DUE ￿1TH1￿ OP*E YEAR
2112U
2019
ACen￿[S and deferred incorne
600
MOVEMENT IP4 FUNDS
Nct
oltment
in funds
TrtsllJfcrs
betwee
funds
At
At
31.10.20
UNre5tricted fuThd5
Jenernl tund
4072
3,81A
5,936
Restrirted fllnds
FestiTrr Food Bank"
Aniaihii% lo BirtninghaTn
Taverna Pop Up
Queens of Amathus
4J19
1•.626
11.881
{1.055)
.1,264
(9,250
8,844
20.725
26826
].6?6)
2.2.38
25.200
TOTAL FUNDS
Pagell
continued...

LGK IN THE COMMIINIT
NOTES TO TttE Fl￿A.￿c1.4L sTATE1¥IE￿.TS- CO￿1￿￿￿ed
FOR THE YE.4R ENDED 31 ocfoBER 2020
mOvE￿IENT IN FUTrIDS- continued
Nil muvctnLThI in fundb, InLludid Jn thL nboi'L arL followb-.
Incoming
re50urce5
Resources
expermled
Mol'etnenl
in tun&
unre￿ncted funds
Gentral fund
(61￿)
3,864
Restricted funds
FL%IiVi Food Bank
Ainathus to Birniingham
Taverna Pop Up
Queens of Amaihus
(1.0551
Il6il
{21:i191
19.7141
41.44.1)
43.0531
(1.0551
11651
8,844
30J63
10.464
411.827
TOT.4L FUL¥DS
Comp9rative% for movement in funds
Net
movement
in funds
Ai
Al
31.10.19
Unrestricted funds
General fund
2,072
2,072
Restricted funds
Fcsljvi Food Bank
Arnalhu5 to BITrnJll8ha
Taverna Pop Up
{1,4￿)
12?01
4.692
3.066
4,31Y
10,626
11.881
10.846
7,189
23.760
TOTAL FUNDS
Comparniive nei movemeni in funds, in¢luded in the atM)ve are as follows..
Incoming
rcsollrccs
Resources
cxpcndcd
Movement
in
Re5tr1cted funds
Festive FI)￿ Bank
Ainathus to Birmingham
Taverna Pop Up
Qu¢gris ol'Airidihu5
11.4061
1?201
4,692
26.476
(21.1841
24..1581
47.7681
47 7681
50.814
TOTAL FUNDS
Page 12
continued...

LGK IN THE COMMIINIT
NOTES TO TttE Fl￿A.￿c1.4L sTATE1¥IE￿.TS- CO￿1￿￿￿ed
FOR THE YE.4R ENDED 31 ocfoBER 2020
mOvE￿IENT IN FUTrIDS- continued
A curtLnt ycur 12 months and piior yLai 12 monthb ¢UtnbinLd ￿l(lOTh fvllvw>.
et
Trallslers
betw¢e
funds
At
Tnovtwnenl
in funds
At
31.10.20
Unrestrirted funds
General fund
3.864
5,936
Restricted fuDds
Fc%tiwe Food Bank
Amaihus io Bim)ingham
Tawerna Pop Up
Queen5 of Amathus
25
10.846
(2.4611
13851
13,536
9.?5Ql
1.440
5.!(
3.264
19.?501
20,725
3.760
TOTAL FUNDS
A current Ye￿ 12 months dnd prior year 12 month% ¢ombinal net moi'ement in funJ%, In¢lude<l in the ahove are ab follows..
Incoming
resources
Rcsourccs
expeTKJed
Movcmcnt
in fvnd5
Unrestricted funds
General lund
4.464
I(rfK)I
Restri¢ted funds
Fcslive Food Bank
Amalhus to BiTrningham
T9N.￿rna Pop Up
Queens of Amaihlls
{2,4611
13S51
143.1031
44,lJ721
902211
90g?11
12,4611
(3851
56.839
Y,25UI
91.(￿]
96.125
TOTAL FUNDS
Page 13
continued...

LGK IN THE COMMIINIT
NOTES TO TttE Fl￿A.￿c1.4L sTATE1¥IE￿.TS- CO￿1￿￿￿ed
FOR THE YE.4R ENDED 31 ocfoBER 2020
12.
RELATED PARTh. DISCLOSURES
Th¢￿ WLTC tLlatCMI party I18Ti￿ltlo￿s fur Ihc ycar cndLMI 31 1k-tU￿-[ 2020.
Paee 14

This document was deliN'ered using electronic communications and authenticated in
accordance with the registrar's rules relating to electronic forTll, authentication and
tnanncr of delivery under section 1072 of the CoTnpanies Act 2006.

REGISTERED COMPANI. NUhlBF.R: 10418907 (F.ngl&nd and lTrales}
REGISTERED CHARITY NUMBER: J182273
REPORT OF THE TRUSTEES AND
UNAIIDITED FIP4Af4CIAL ST.4TEMENTS
FOR THE YEAR EYDED 31 ocfoBER 2020
FOR
LGK Ir4 THE COMMUNtTY
(A cof*lPANI' LI￿lITED Btr. GUARANTEE)
Mi¥hael Triliou Ltd
Chartered Certified Accou[￿nts
wW￿.￿1rh￿¢Itl170U.CoT
Salisburn" House
l High StrLL
Potters Bar
Hertfordihire
EN6 5.4S

LGK IN THE COMMIINIT
CO.NTENTS OF THE FL%A.%CI.4L ST.4TE.MENTS
FOR THE YE.4R ENDED 31 ocfoBER 2020
Page
Report of the Trystees
Statement of Finan¢iAI A¢tiTrities
Statemenl ofFlna*cig1 Posltlo
Notes to the FiTr•nri41 St￿terne￿¢s
8 to 14

LGK IN THE COMhlilNITY OiEGI.SIERED NUMBER.. 10418W7)
REPORT OF THE TRLISTEES
FOR THE YE.4R ENDED 31 ocfoBER 2020
The trustee5 who are also director5 of Ihe chariiy for the purw)sts of IIK Companies Act £(M)6. pre5enl their report wilh Ihe fiiiancial
tLmLnl% of Ihl Lhuritv for thl >Lar LndLMI 31 (k-Iu￿-r !O?O. ThL ITUStccs h￿i'L &dvplLd thu piiTr%'l%lOnb of AcLvunlin¥ ttiid RLPOrting
by Chariiies." Siatemeni of Recommende11 Prnciice appliiable io charities prepaTing iheir accounts in accordance wilh rhe Financial
Reporting Standard applicable in the UK aDd Republii of Ireland (FRS 1021 (effective l January 2019).
OBJECTII'ES AND ACTIVITIES
Ubjectlwes #nd alms
Visioii
To brin&T ¢ommunilies Closer together by Ikvel¢)pintr a shared understandine of (he rol¢ different group5 and individuals have had in
shapinR loday'b society.
Ilsslon
To protllote cohesion belween and ￿'1th1￿ cornmunities. at a neighbourhood level aTrd globally. by hi¥hlighting the historic
coniribuiion8 made by a variety of communiries
To work Ivith young PLopIL and thc Lommunil¥ ai largL ID adi-rcss ￿'Cl]￿lrtg. htrdlth Intquajitics, food w)vcrty and soLia] eohcsi(Trn
To us¢ th¢'arts', Cul￿re. 'sport' and other tools io engage Thith people.
Alm
To explore, record, preserve and share the indivithial and ¢olleciive heriiage of groups and indivjduals_ To dei'elop iniiiatiwes io
improvc pcopli'5 wcIIFKin8.
Objectives
The preventio￿ and ￿lief of poverty for the public benefit in Birmingham by providing donaiions of food for local food banks.
Th¢ adYan¢¢ment ot education t<￿ th¢ piibli¢ b¢n¢fii in Btmiin?ham proNiding workshops relaiing io healthy eating and nuiritlQl).
cook]"ng on a budget and healih and safety procedures in rhe handling alld preparation of f(x)d.
For the public b¢nefii 10 promoie the relief of elderly people resideni in Bim)ingham by providing a befriending service and group
opportulllties for social conlact a￿d interaction designed to relieve social isolation and lowliness.
Signific4ni artilrytles
Tu ddvanve the eduLation for the publiL I￿17erIl in all aspecis of Ihe iuliure. art%, wellbeing, heriuge and SOLidl hisiory, including
those tliat are disadi'antaged fro]n different racial group5 in ihe Il'est Klidlands and globally. In so doing promotiriii the cohesion
between and within such groups.
Delivering htalihy cooked ftKd arourbd the cily using a vehicle as a ￿rtable kitchen. The vehicle 15 a150 used lo collecl and dislTibule
fuvd for the fuud bank elemeni of the organi5ation.Th¢ vehicle is lo ￿ owned bv the chaiiry. LGK. All the fuiidin¥ and dunatiDTL%
received will be applied for the charirable puryx)ses only. Fofyj may be prepared in ihe kir¢ben tacilLty provided (ree oi charge by the
charity's supporlers at their residencts or othtr %enu¢s where an event is organiA.
Teaching how to C(M)k healthy meals for the COMM￿lty io promoie good health as well as the organisaiion of food banks ￿Ph]ch will
%i%t %ome of the needy LOmmuniti￿ in the Lily a% ￿.¥11 a% Ihe LMTruntry.
Grantm#kitsg
Th¢ Trust¢¢s consider applications re￿IVed for grdni and approve on the merirs and obje¢iiv¢s for whi¢h such ￿allts niay be us¢d
Page I

LGK IN THE COMhlilNITY OiEGI.SIERED NUMBER.. 10418W7)
REPORT OF THE TRLISTEES
FOR THE YE.4R ENDED 31 ocfoBER 2020
OBJECTIVES AND .4cTl￿.ITllES
Volunteer5
Thc vulu¢ vtr s￿r¥I¢l5 PTO%'idLd bv vvlunlicri JS llvt In¢urpurJic¢J in th￿bL finthnLial .%tatLmcnts. HvwknVLf. puy]nLnt* mthdL to Lovlr
the volunieers. actual expenses which are included ill the fmancial stsiemenis.
ACHIEVEMENT AND PERFOILMANCE
Charltable artii'itles
Prukiding toud b*nk.% and LduLAtion in ￿pL￿1 olhLalthy diLt%_ UDtrJni*".ng i%'ini_% in ordir lu rdi%c lund
for the charity which is used to hf Ip thost in need of nutritional educarion and adequaie fo(￿ PrO￿ls1On.
Deliverin&y healthy ¢ooked fos)d around the ¢ity usinbT a v¢hi¢le as a portable kitchen. The vehiele is also used io ¢oll¢¢t and distribut¢
food lor the f￿d bat& eleLllenl olihe orRanisalion.
Teaching how io cth)k healihy meals for the Comm￿1¢Y io promoie gTh)d healih as well as the organisaiion offoL)d banks whi¢h will
assisi some of the needy communities in tht cily as well as ihe country.
Fundralslng attffivltles
Organising Powup Tavcrna and ￿rVirtg hcalthy meals to gcn(YAtc donaiions_
Publishing and selling iKH)k relating to the evolution of Gttek Cypriot cuisine into British %￿Iety.
FINAIYCIAL REVIEW
Principal funding Sou￿e
The lulure ofchanly'5 services Is dependeni on ¢oniinued SUPPKJrt from staiuiory sources and Income from grants and donations.
which are esseThiial for the maintenance and expansion of seTh'ic£s to mtet the increasing demand.
The Charity provides ￿SentIal services and d¢ve10t￿ unique training projects that help lo profilelmeet the need5 of the public and is
supported in pan by LoLal Authority, Big Lottery Fund ¥nd Heriiage Louern Fund. Although such fundiiig LontiniJ¢s, demand for
proj¢cts, s¢rvic¢s, and an ill¢T¢ase in Core LOSIS ¢onsid¢Tabl)' ouN-¢iglis the funding provided bv ihese sourc¢s, to rh¢ ¢xi¢nt that the
ChaIity has to continually look for funding froin other orÈani5aiion& chatit#ble alld ¢OryK)rate bodie% and ind]"vidual dollors.
Wilh the adveni of Covid-19 and lis effecis on the corporaie and oiher organisaiions fi￿dIng ¢hariiy, Ihe in¢i)me and grants
TeLeivable in future may ￿ adveThely impxted.
Reserves poliry
The Board Jf Trustee8 1% re%wnsible for deLiding how io ini'e%i Ihe ch￿1[￿.5 ￿erve%. The appropriaie level of reserv￿ is esidblislied
through an annual review. of Ihe C.harifv's requiretnents atMI slated in the financial report. The Treasurer is responsible for prop)sing
to the Board the balance of Lash on deposit #nd ini.eblmen￿ and acts the Board's Instruitions.
Taking ITito account the iinyacl on fulure grants and donation5 receivable. Ihe Iruslees have io limit the charity's abliviiies within
the r¢4erYe% a￿ailable.
Going concer
The accounts have been prepared on a going concem basi5.
The Iru%te¥% are h(Trwever of material unLertainiieN ihat La.%t doubi on the Lh￿Ily's abilily tu L￿ntinue a guing LunLern. As
with mosi organisaiions, Ihese material uncerLainiitE art in relaiion to the ongoing CoN'id-19 virus outbreak which has had an impact
on the operatioiis. donors. suppliers. trngtees and i.oluniee]¥. The trusiees haN'e (where appn)piiatel ulilibed the gtanits and bejiefits
available from the organisations and goi'¢rnment and are taking all the Eieps they ¢an to prot¢ci the fiJwr¢ of the charity.
Page 2

LGK IN THE COMhlilNITY OiEGI.SIERED NUMBER.. 10418W7)
REPORT OF THE TRLISTEES
FOR THE YE.4R ENDED 31 ocfoBER 2020
FINANCIAL RE%'IEW
Reviem of transactions fillancial perfortDance alld funds
As shuwn In thL SlutLmLnl of FinanLial .4itivitiL.% Ipa¥o -.} totsl fur thL PLri￿ tv 31 Oc'lobLr 20?0 t)mounlLd Iv £45,2918rtd
expenditure in ihe funherance of charitable aciivities iotalled £4?.05.3.The Chariry resulied in a Nei resources surplus of £2,938.
FUTURE PLAD4S
In lighi of Il)e current economical climate the organis81ion will review its business plan l 0￿￿TiOnal model ILI help it ensure
u.%tJJndbility and will niakL any LhangL% llLLdLd_ It rLmallLS ￿￿1￿mIll￿d to %upporting ihi primary bLnLIILiafiLS of our actiVillLs and
seTr'ices and will aim to coniinue deliver* of a progrdmme of key actii'iiits and associated berk'ices.
The organisatli)n plans to ¢ontinue workijig stral¢El￿]lY to help a¢hi¢v¢ our obje¢tiV¢S.
STRUCTURE. C.OWERN.4NCE AND mANAGE￿]ENT
Govtrning d(*ument
The iharily Is Lontrolled by its gowerning dLKumenL a deed of imsi. and constitutes a limited eompany, limiied bj guarantee. as
defined by the Coinpanies Act 2(K)6.
Recruitment artd #ppointment (trf new trustees
EveTr person who w'ishes to be a Member and a tn]stee a5 such. shall deliver to Ihe ConirAny an application for membership in su¢h
ftsrnj as the Directors requLre executed by that pet30n.
Ar Ihe nexi m¢eiing of Ihe Direciors after the re¢eipi of any applicaiion for membership. the applicaiion shall be considered by ihe
Dircctors who shall dLLidc upon thc admission or rcjc¢tion of thc appIl￿t.
Org&nisationxl strlltture
ie Chdrity has u Nlanagernent CoThniiltee of up 10 Six mtmbet5 who Tneel ie¥ulurly and ait re%ponsible for Etrategic direction dnd
policj. of the charity. Ai prc5eTit the comrnillee ha5 six Mern￿rs from a varie￿. of i￿¢￿"ground5 relevant lo the w'ork of the charity.
The LL)mmitte¢ is made up tsf the truste¢s.
A scheme of delegation is in place and day io day responsibility for the provision of services rest with the trnsiees.. The tnjstees are
re%pon4ible for en%uring that the Charity deliver¥ the services 4)eeilied and that key performance indicators are met.
Induction training of new trustee5
New trustee5 Teceive a CoTnprthen51￿c induction package. wrth infoTTnation c0venn￿ the dutif5 of a trustee. a Iru5tee job descriptio
and s¢rYi¢e ag￿ernent. an ollilin¢ of IhL Vlsion. mission and implernenraiion of Ihe Charit￿,$ seThi¢e>. the lai¢st Rep)rt and.4¢c(iiints,
Lurreni budget and latest ￿nage￿ne￿I
Trngtees are ¢nctsurag¢d to make use of the iraining and ¢oN(eten¢e opwrtUnLti&* provided by the NVC.O Jnd other bodies.
Rlsk JnanagemeNt
ie ttu4tte¥ havt d duty tv identify and ￿Tr)eW the ii5ks to which the charity i% exwTrsed and to tn%ure appiopriate contrulg are i
place 10 provide reasonable assurance agaijjsi fraud and error.
REFERENCE AND ADf*llP41STRATIVE DET.411S
Reglstered Companv number
10418907 IEngland and Wale81
Re2istered Ch*ritv number
I S2273
Page 3

LGK IN THE COMhlilNITY OiEGI.SIERED NUMBER.. 10418W7)
REPORT OF THE TRLISTEES
FOR THE YE.4R ENDED 31 ocfoBER 2020
Registered offire
Nash Dom Community Hub
Sun SiruLt
Wal411
WSI 4AL
Trustee5
Mr% L Malla Lii'il Sir¥￿t
Mr P Polvviou Civil SeTh'ant
Ms J Hazell Civil Servant
Mrs F L)rras Twstee (appointed 14.11.19)
Mr Y K Gupta Trustee lappoinled 14.11.19)
This re￿Jll has been prepared irt accordance wiih ihe S￿la1 provisions of Part 15 of Ihe Comronies A¢1 21M)6 relaiing to small
companies.
Approved by order of rhe board of irnsiees on 27 July l atyj signed OD lis behalf by..
Mrs L Malla- TrustLc
Page 4

LGK IN THE COMMIINIT
gTATEfvIENT OF FI.*￿￿clAL.4cTI￿ITIEs
FOR THE YE.4R ENDED 31 ocfoBER 2020
2020
Total
fund5
?019
Total
fund5
Unresiri¢ted
fund
Resiricted
funds
Nvlc
INCOMEAND ENI)OII'MENTS FRO￿[
Donation% and le￿cle)
464
40,827
44.291
50.1434
LXPENDI'I'LIRb Oly
Raisit)g futids"
168
168
168
CharAtable aetlvltles
Taverna Pop Up evenis
Queens Of A Trmthus ProjeLt
19.680
21J85
19.6811
21 J115
21.616
24J58
Other
Total
1,626
47,768
42.453
43.1153
NET INCOMEI(EXPENDITURE)
11.6261
2.238
3.066
RECONCILIATION OF FUNDS
Total funds brought forward
2.1172
I￿26
2&8911
25,832
T(yfAL FUNDS C.4RRIED FORWARD
2X.XY%
The notes foTh part of these financial statements
Page 5

LGK IN THE COMhlilNITY OiEGI.SIERED NUMBER.. 10418W7)
STATEMENT OF FLNA.%CI.4L POSITION
31 ocfoBER 2020
21120
Total
fund5
2019
Total
fund5
Unresiri¢ted
fund
Resiricted
funds
Nvlc
FIXED ASSETS
Tangible as>ets
3,658
3.658
4.147%
CURRETr￿ ASSETS
Debitsrs
Cdsh al bank
337
23.6x3
24.0?0
21.542
21.542
q36
28.1178
CREDITORS
Ainount5 falling due within one year
io
(fdM)I
{61101
IYET CURREIYT ASSETS
5,936
24.U2U
TOTAL ASSETS LISS CURRENT
LIABILITIES
S936
25,20
31,136
28,898
r4ET ASSETS
FL"NDS
Unr¢strictLd funds
Restyi¢ied funds
TOTAL Fuf4DS
2.()72
26.826
25.200
The chariiable companv ib entitled io exemption from audit under Section 477 of the Companies Act 2QOh for the year ended 31
O¢iob¢r 2020.
The members have Dot required the compmy lo obtain an alldii of its financial statements for the year ended 31 Octobtr 2020 in
aL¢ordan¢e with SeLiion 476 of the Ctsnipanies Act £(K)6.
The Iruste¢s acknowledge their ￿ponsibilitieS tor
ensuring ihal the charitable company kttps attounling [L￿rdS Ihat comply wilh Seciions 386 and 387 of the Companies Aci
200() dThd
preparing financial siaiemenL8 whi¢h gil'e a true and fair Vie￿ of the siaie of affairs of rhe charitable company as ai ihe end of
each financial year and of ils surplus or deficii for each financial )'ear in accordance with the requirements of Seciions 394
and 395 and ￿'hIch oiherwise complv ￿1th the requireTnen¢s ot the Compani&s AEI 21KI6 r¢laling lo financial stateTpents, so
far as applicable to Ihe eharithble Company.
(bl
The notes foTh part of these financial statements
Page 6
continued...

LGK IN THE COMhlilNITY OiEGI.SIERED NUMBER.. 10418W7)
STATEMENT OF FLNA.%CI.4L POSITION- co￿([￿Ued
31 ocfoBER 2020
These finanLial StateM￿t5 have been prepare<l in accordance wilh the provisions Jpplicable to charitable companies subjeLt ts) the
sinall ¢ompani¢5 Tegitn¢.
The financial giatemenis were approved by the Board of Tn￿le¢S and auihorisdl for issue on 27 July 2021 and were signed on its
behalf by..
Mrs L Malla- Truste¢
The notes foTh part of these financial statements
Page 7

LGK IN THE COMMIINIT
'OTES TO THE FLNANCI.4L STATE￿IE.￿Ts
FOR THE YE.4R ENDED 31 ocfoBER 2020
ACCOUNTING POLICIES
Basis of preporing the finonci#I ￿¥tements
The finan¢ial staienienis of ihe Lhjritable company, which is a public ￿ller1[ eniity under FRS 102. have been prepared in
accordaiice with the Ch￿Ill¢S SORP (FRS 10?) 'Accoulliing and Reporting by Charities= Siatement of Reconunended
Praciice applicable to charilies preparing their ac£ount5 in 3rcoidJnce ￿'Ith the Financial Reporting Standard applicable in the
UK and Republic of Ireland IFRS In21 leffe¥iike l January
0191.. Financial Reponing Siandard 102 'The Financial
KLpuning Sldndaid applicabli In thL kLpublic ul Ariland. and thL L(bmpaniLS Act 2UUh. I'hL findnLJdl %lalcmLnl4
have been prepared under the historical cosl cDnTrtnrion.
Going concern
The accoun15 liave been prepared on a 8oinK concern basis.
The trusiees are aware however of material uncerfainii&s thai casi doubl on ihe ¢hariiy's abiliiy to Colllinue as a goirtg
conLtrn. As wilh mosl organisations. these material uncenainiits are in relaiion to the ongoing Covid-lg WITUS ouibreak
which has had an impact ofi the otKraiions. donor5. supplie15. trustees and volunteers.. The trubrees have (where appropiiaiel
uiilised Ihe 8ranis and benefits ai'ailable from the organisaiions and governmeot and are ￿king all ihe sieps they cai) to
prottcl th¢ futuic oEthL charily.
Ineome
All incoine 1.% reco&rni%ed in tlje Staiement ofFindnciJl .Aetii Itie% once the eharity entitlement to ihe funds. it is pmbdble
Ihai Ihe income will be r￿eI￿.ed and Ihe amouni ¢an be mvd>uwd ￿lIably.
Expenditure
Liabilities are recognised as expeThthture as siKbn as there is a legal or consrnctiNe obligation committin8 the charity to that
expendiiuie, il i) probable thal a tiansfer of economic benefits will be required in 5ettlemenl and the ainount ol'the obligation
can be measured reliablv. Expendilure is xcounLed for on an accrua15 basis and has been classified under htading5 that
aggregate all Lost r¢laie(f its the c&tegor)'. Il'here CO>¢$ Lannoi be direLxly attributed to particular kadings ihey have been
allocal¢d io a¢tivities on a basis ¢onsisi¢ni with the us¢ of r¢sourc¢s.
CJfdnt% ofTered ￿UbJeCt lo conditiots which have noi been met dt the ytrarertd date dre noied #s a commiiment but not ￿¢￿￿ed
as expendiwre.
Tangible fixed asset5
Deprtciation 18 proi'ided ai ihe following annual raies in order ro wriie off each assei over lis ¢slimataJ useful life.
Motor vehicles
Compyi¢r equipment
o on r¢ducing balance
2$•/0 on reduciiig balance
Taxation
The chariiy is exempi from corporaiion rax on irs charithble activiries.
Fund accouThting
Unrestricted tLinds can be used in xcordanee wilh ihecharitsble objectives ￿ the discrerion of the rrnstees.
Restricted fund5 can onlN be llsed for part]cular restricted purp￿ withi'Th the objects of the charity. Restrictions arise when
specified by the donor orwhen futmts are raised for partiiular restticted purw)ses.
FuJili¢r ¢APlaI￿li0￿ of ili¢ iJatW¢ aJLd putpox of cacti fvnd i5 LI￿ludCd in th¢ (wt¢5 lo tli¢ fiiiancial 5tai¢in¢nts.
Page 8
continued...

LGK IN THE COMMIINIT
NOTES TO TttE Fl￿A.￿c1.4L sTATE1¥IE￿.TS- CO￿1￿￿￿ed
FOR THE YE.4R ENDED 31 ocfoBER 2020
DONATIONS.4ND LEGACIES
2020
2019
Doiiations
Grants
20,435
18.377
45
Granis received. included in the aix)ve, are as follows:
2020
2019
Heritag¢ Lottery
TdvciD& Pup up
Main Grant
Theos Food Co Ltd
12.720
24356
9,737
24
CHARITABLE ACtIVlTIES COSTS
Grant
runding of
activities
{%ee note
Direct
Costs
Support
costs
41
Totals
Taverna Pop Up events
Queen4 of Amathu4 Project
18J4J
21J85
932
405
19,68
21Jlt
932
GRAINTS PAY ABLE
2020
2019
Taverna Pop Up ¢￿'ents
The roial gyrdnis paid io inslitutions during t￿ year was as follows..
932
2020
2019
DothatLons rnade
Page 9
continued...

LGK IN THE COMMIINIT
NOTES TO TttE Fl￿A.￿c1.4L sTATE1¥IE￿.TS- CO￿1￿￿￿ed
FOR THE YE.4R ENDED 31 ocfoBER 2020
NET INCO￿lE1(EXPENDITLRE)
Nil InLutnLI{LxpLndJluiLI Ib SlJ)tcd aftlr chat81n￿(Creditl￿￿)=
2020
201
Depreiiation- owmed assets
TRUSTEES, REI¥IUP4ERATIOIY AND BEi¥EFITS
There were no Itusiees. iemutleration or oih¢r benefits for Ihe year ended 31 October 2020 nor for the year ended 31 (kiober
2019.
Tru5tees' e%pewse5
There were no trustees, expense5 paid for the yekr en(￿a 31 October 2U20 nor for the yetsr ended 31 (k-tober 2019.
COMPARATII'ES FOR THE STATE￿IENT OF FINANCI.4L ACTIVITIES
Unrestricled
fund
Reslricled
fL￿dS
Tolal
funds
1Tr4COME ALYD ENDOWMENTS FROM
Dondtiuns and legaLies
50,834
50,834
EXPENDITURE ON
Raising funds
168
168
Chari¢abJe gctivitie5
Taverna Pop Up events
Queens ot'Amaihus Project
21,616
24.358
21.616
24J5
Othcr
'I'otal
,768
47.7b
LYET IIYCOME
3.066
RECONCILIATION OF FUNDS
Total funds brought fonvard
2.072
23,76
25,832
TOTAL FUNDS CARRIED FORII'.4RD
Page 10
continued...

LGK IN THE COMMIINIT
NOTES TO TttE Fl￿A.￿c1.4L sTATE1¥IE￿.TS- CO￿1￿￿￿ed
FOR THE YE.4R ENDED 31 ocfoBER 2020
TANGIBLE FIXED ASSETS
Molor
vLhiilLS
Cot]Ipuler
C4UlPItiLTht
Tutal&
COST
Ai l NoVe￿ber2019 and 31 October 2020
DEPRECIATIOP*
Ai l NOVem￿r 2019
Char¥2 for year
Ai 3 l O¢tober 2020
NET BOOK V.4LUE
Ai 3 l O¢tober 2020
Ai 31 October 2019
5.781
.0$5
0.836
904
165
1.069
6.68S
494
659
DEBTORS: AMOUNTS FALLING DUE M'ITHIN ONE YEAR
2020
2019
Prepa)Thents
337
CREDITORS: AMOUYTS FALLING DUE ￿1TH1￿ OP*E YEAR
2112U
2019
ACen￿[S and deferred incorne
600
MOVEMENT IP4 FUNDS
Nct
oltment
in funds
TrtsllJfcrs
betwee
funds
At
At
31.10.20
UNre5tricted fuThd5
Jenernl tund
4072
3,81A
5,936
Restrirted fllnds
FestiTrr Food Bank"
Aniaihii% lo BirtninghaTn
Taverna Pop Up
Queens of Amathus
4J19
1•.626
11.881
{1.055)
.1,264
(9,250
8,844
20.725
26826
].6?6)
2.2.38
25.200
TOTAL FUNDS
Pagell
continued...

LGK IN THE COMMIINIT
NOTES TO TttE Fl￿A.￿c1.4L sTATE1¥IE￿.TS- CO￿1￿￿￿ed
FOR THE YE.4R ENDED 31 ocfoBER 2020
mOvE￿IENT IN FUTrIDS- continued
Nil muvctnLThI in fundb, InLludid Jn thL nboi'L arL followb-.
Incoming
re50urce5
Resources
expermled
Mol'etnenl
in tun&
unre￿ncted funds
Gentral fund
(61￿)
3,864
Restricted funds
FL%IiVi Food Bank
Ainathus to Birniingham
Taverna Pop Up
Queens of Amaihus
(1.0551
Il6il
{21:i191
19.7141
41.44.1)
43.0531
(1.0551
11651
8,844
30J63
10.464
411.827
TOT.4L FUL¥DS
Comp9rative% for movement in funds
Net
movement
in funds
Ai
Al
31.10.19
Unrestricted funds
General fund
2,072
2,072
Restricted funds
Fcsljvi Food Bank
Arnalhu5 to BITrnJll8ha
Taverna Pop Up
{1,4￿)
12?01
4.692
3.066
4,31Y
10,626
11.881
10.846
7,189
23.760
TOTAL FUNDS
Comparniive nei movemeni in funds, in¢luded in the atM)ve are as follows..
Incoming
rcsollrccs
Resources
cxpcndcd
Movement
in
Re5tr1cted funds
Festive FI)￿ Bank
Ainathus to Birmingham
Taverna Pop Up
Qu¢gris ol'Airidihu5
11.4061
1?201
4,692
26.476
(21.1841
24..1581
47.7681
47 7681
50.814
TOTAL FUNDS
Page 12
continued...

LGK IN THE COMMIINIT
NOTES TO TttE Fl￿A.￿c1.4L sTATE1¥IE￿.TS- CO￿1￿￿￿ed
FOR THE YE.4R ENDED 31 ocfoBER 2020
mOvE￿IENT IN FUTrIDS- continued
A curtLnt ycur 12 months and piior yLai 12 monthb ¢UtnbinLd ￿l(lOTh fvllvw>.
et
Trallslers
betw¢e
funds
At
Tnovtwnenl
in funds
At
31.10.20
Unrestrirted funds
General fund
3.864
5,936
Restricted fuDds
Fc%tiwe Food Bank
Amaihus io Bim)ingham
Tawerna Pop Up
Queen5 of Amathus
25
10.846
(2.4611
13851
13,536
9.?5Ql
1.440
5.!(
3.264
19.?501
20,725
3.760
TOTAL FUNDS
A current Ye￿ 12 months dnd prior year 12 month% ¢ombinal net moi'ement in funJ%, In¢lude<l in the ahove are ab follows..
Incoming
resources
Rcsourccs
expeTKJed
Movcmcnt
in fvnd5
Unrestricted funds
General lund
4.464
I(rfK)I
Restri¢ted funds
Fcslive Food Bank
Amalhus to BiTrningham
T9N.￿rna Pop Up
Queens of Amaihlls
{2,4611
13S51
143.1031
44,lJ721
902211
90g?11
12,4611
(3851
56.839
Y,25UI
91.(￿]
96.125
TOTAL FUNDS
Page 13
continued...

LGK IN THE COMMIINIT
NOTES TO TttE Fl￿A.￿c1.4L sTATE1¥IE￿.TS- CO￿1￿￿￿ed
FOR THE YE.4R ENDED 31 ocfoBER 2020
12.
RELATED PARTh. DISCLOSURES
Th¢￿ WLTC tLlatCMI party I18Ti￿ltlo￿s fur Ihc ycar cndLMI 31 1k-tU￿-[ 2020.
Paee 14

This document was deliN'ered using electronic communications and authenticated in
accordance with the registrar's rules relating to electronic forTll, authentication and
tnanncr of delivery under section 1072 of the CoTnpanies Act 2006.