REGISTERED COMPANY fiuMBER: 01854266 (EngI•￿d Wales)
REGISTERED CHARrrY NUMBER: 290441
FOR THE YEAR ENDED 31 MARCH 21r25
Lygon HoiLS¢
50 Lond￿ Rthl
BrrAnky
Kent
BKI 3PA

ror the yeArtnded 31 MAreh 2015
Reference a•d admillotrxtive d¢tsi
Rep)rt of the ¢TUSt
2 to 5
Report of the Ind¢p￿dent audi¢or8
6 kn 8
Statem¢xt of financial activil
B4la•¢¢ $heet
10
Notes to the ¢aJb statrment
12
Notes to the fJnanci*l st*temettts
13 to 19
Detailed gtstemei¢ of fillaudal adivitys
20 ts> 21

for the *led 31 M*r¢b 2•25
TrusrEES
MTS A M (re5]g￿d 13.625)
D A Woc41
J C Cowl¢y
P McLany
REG￿TERED OFFICE
NWI OAY
01854266 (Ftyndand Wales)
NUMBER
NUMBER
AUDrroRS
LY8￿
BRI 3RA
Page I

c￿￿DEN COMMUNITY LAW CEhTRE
r the year e*ded 31 Mar¢h 2025
The tswstees who are also directors of the thity tr the pUrIK￿ of the c￿n￿>¥￿]eS Act 2006, preseni tber report with
the financial statements of the charity fijr ts yw 31 March 2025. The tru&ees have ￿ the wjvisions of
accounts in ac¢(Kdance with the FinarKiai ReiK*tilJ8 St2ttdard 4ylicable illthe UK attd Republic of Ireland (Fils 102)
(effective l J8lluary 2019).
Objectivw and aims
The c￿lty,3 objects and its principal activty continues to ￿ that of fr* ace¢ssibk lega] advice
rq)resentation to the li￿1 co]mnutiity in the i￿N￿)ll ￿[Ough of carnde￿ The cjmriry IAS the general al￿ of improving
the quality of life for the residents th tFKJse ID the wider uea who art on IsThv by w(YknDg tovffirds its PTincipal
activity, aryL iuwoying rigtsts and 4c¢¢s5 of rigbts by the commW.
(i}
Targd of need ￿14] welkn law wJvi¢¢ with h1￿qualty sttvices of Salaried
staff and volw]teer5"
Eneourag¢ participation iti governance of the law centre by kKal re5idellts:
(ui) I>1he￿ possiTrJle to bring test cases that are c4Mble of bringtng aknut widespre*1 ¢hanges to residents, right4
(iv) Fmproviug Yesid¢nts' ktM)wl* of their rigbts th￿lon ardExsIKy wcrfk
SwifKallt ac*ivit
The Law Centre helped over 2.￿0 people ￿ (￿lled over 31X> ttew ￿eS tn the area of In￿11gr4tiO
7ploymew aL¥J welfare benefit&
As a lead menth￿ of the Call¥Jen Advice we collthirak with &lviee servtce Colleag￿$ in the London
Borough of Camden and gurrounding areas to eJJsure the strategic t￿rd]￿li(￿ ard delivery of advices ÈO Str￿&then the
resiliejwx of resident
Publlc beaeflt
The TnLoees consider that the objectlves attd aims of the cballty dewibgj 4iKive. enable it to tneet its obligations to the
Charity Cowmission to d¢liv¢r a¥J aod a5si&antt to the kxal community in CauthL
NANc￿L RE￿Ew
W4n¢ial ptssitio
The principal fuDding s(Mrn of the Law Centre cTh]tinue to be the IAJnthm Borouts of Camdo] and the Legal A¥J
Agency.
The tAW Centre h&8 continued effo￿ to secur¢ fi￿d3 and d¢v¢lop Proje￿ &8 expanding access to jtt4iee vidin)5
of domestic abuse and for Fvl¢ from BAME COllllllUDities and tackliDg ￿ObleMS &*rti8ttd with ho]nelessness.
Fullding for dome#ic abw •Avice services was provided by the tA)n(kn B(￿ougb of Camden through its Violence
Ag8UlSt Women aTrd Girls IVAWG) prograrnll￿. Profe5SiODai Iy] Servi￿ providpj by salari￿1 volunteer
The Centre's gross for this year It￿0￿￿ WLS £640,989 8gairnt £633,IM)I, &d expendkthre from £i04.467 to £493,465.
This resulted in ￿t incoming resour¢¢s of £136522 COMP￿ with £139.536 in th¢ prev￿U5 year. At the end restricted
fimds ¥dllOUnted to £nil (2023 £ndl while uDTestr￿ funds wbicb wer¢ £783,430 & the previo￿ yth have
1llcre￿ed to a bakn of £919.952.
Reserves poli¢y
It 15 the policy of the Law Cemre that utwestricted fitnds which ￿ve thsignated for a specific use should be
maintained at a level equivaieut to twelve tnonths. expenditure. The tru51ees Consider that reseryes at this level will
aJStr¢ that ￿ the event of a $igoifi¢allt drop fimdin& will ￿ abk to Conrn￿ the Law C¢utre's current ￿tiVItieS
whtle consideration is given to ways in which Jjditional fjJTrJs may be rais&L Thi5 level of resetwes been mAintained
througiy)ut the yvdf.

REYORT OF TFtE TRusfEES
r the year e*ded 31 March 2025
ID 2023 tDJstc￿ approvol the fortnation and registrati(m of Nthth we￿ LoTxlon Law Centre5 (NWLLC) Company
No 13903795. a holding company which will LITrentty iticlwde thidiary charlties the Brent Law Centre
(012940￿) and Camden Coullnimity IAW Centre (018542(O) as tnertax The NIWLLC w&s ¥Jwved as a register&J
chaTity uniler nutt)ber 1199935.
becomes the sole tnember of Catndeu Cottullimity IAW Centre. As W of tlwe cb¥% the Brent Ccrfllmuoity L4w
Fo]kJwillg a legal aid CCI£ secured ￿ legal aid ID Immi￿1(¥4 benefits public law
vtht¢h ￿t￿men¢ed September 2024. tll Noveml*r 2(r24 the Aid Agency approved the novatioll of tl
STRUCTURE, GOVERNANCE AI¥D ￿AGEMENT
Governing doeumeot
The charity is Cl￿trOlled by its governiDg • deed of gxXibJtes a limited company, limited by
contnTr*ute a sutn not exceeding £1 ID ts event of cOm￿Y lying w)und w). The compaDy is bound by its
￿￿￿TalIdU[ll alld artKles of association.
In th¢ 185t year trustees 4wved the fontiati￿ and T¢￿ti￿ of North West London law Centres (NWLLC) und
Compally No 13903795, a holdiug c4)mpally wtiich will currentty I￿[Ude 5thidiry clwilie5 the Brent CoTDmunity Law
Centrc (0129409)) a￿1 Camden Comtnunity taw Centre (01854266) as The NWLLC Tras approyed as a
register¢d ¢harity under num￿ 1199935.
As part of this change meJub¢rs of the law Ce5ttr¢ approved govertmnce *) tTr* gO￿rn￿￿ (k)cun￿t 50 that NWLLC
bec{￿¢$ the sole Jn¢Ènk of Camden C(xnmunlly Law C¢ntye.
OrgaDsatioDal struthre
The conyally is wntrolled by 8 board of direcrfft5 (tru4ees) who are indepubjetll and ￿e1ve tKJ Yer(knmeTrtion for their
illvolvement. Day to day rnanagement is delegated to the Dire￿. Sean Caollng.
The Directors and Tru5t¢es of the taw larry (xrt an At]nual Revk*V of the Law C¢ntr¥s servic¢, provisio
finances and strat¢gic appri)a¢ts in th¢ course of awroving the t2w C¢ntres trffee yearrolling Business Plan.
Illdu¢tlon and trainiDg of n¢F trustees
New Ttustees ￿dergO and orientation day to ￿llef the￿ the Iwl (A)lig&ioDS under ¢hm and coTDpw law, d
Key maua¥emeDt remuNeratio
During th¢ year key mallagement were remuDerated ￿&(￿￿) {2024: £36,lJJ]k

CAMDKN COMhfbThlTY LAW CENfRE
REPORT OF THE TRUSTELS
for tht ye*r eAded 31 Marek 21n5
STRucfuRE, GOVERNANCE AIYD MANAGEMEIYT
Rlqk DMDagement
An of this is the considetation of the ¢balkng¢s rth that ts law C¢Jth will ￿ tsciDg attd the strategies
Sh￿lld any of those risk3 rn4teTith.
introthction of GDPR and the Data Prot¢dion A¢t 2018. As a dath ojtkuoilff, tbis b8s necwitated a review of all
the risk of legal action focused on 5howitig that ￿￿ste SYSten￿ in Pla￿ to el￿￿¢ that ad￿ alld legal work
provided by the Law Celltre ￿et ¢riteFAa laid ¢knvD by the taw &*iety t£x¢el Pr￿1¢¢ fvtwement
Lottery Fund and the City Bridge TtusL Profes5iotial Indon￿ry cover is now line with Legal Aid requiTrrnts.
A rriew of the office Ittsuran￿ and [Danag￿ sySta￿S wys also considered aDd Tnonitored on all ￿E0[n8 b&gis to:.
al minimise detrimental fjnancial ￿tipL£t to accidents ￿ LKher unforese¢D evellts ti*lL fire, flood C￿ loss of
data aul.
b) filld best value formotry.
FiJaociaL monitoring and reF￿¢]￿E systems are n￿nItO￿A ￿gulaTlY jTrtem￿Y "aThd ¢•. Regular weekly
. dwks by staff aud O￿thIY repo￿ to Trusttts Lmforeseen fin￿la1 contingencies. The organi5JtiOU 15 also
subj'ect to annual audit iIWN)D as port of th¢ Law Society L£xcel arfTe41itthon ￿MplI8￿ and by an independent
STATEMEIYT OF TRUSTELS. RESPONSIBILfTtFS
The ts7JStees (Ftho are also the direetors of Camden C(MJ]munity Law Cth for th¢ purp(Fs¢s of c<)mpany law)
r¢spousible for pr¢p￿ the Repon of ￿￿treS s￿1 the fiDwKial statements in ￿OrdanCe with applicable law and
United KiDgdom Accounting Staryjards (United Kingthtn GeneT41ty A¢¢¢tKed A¢counting Prwi¢e).
of the state of affairs of the Ch￿ilable cryy and of the i￿O￿l￿g re50Wfts and application of r¢s(N]r¢es, iticludiDg
select suitable accounting policies and then aM)ty them cons￿tell￿.
observe the Meth￿ a[￿ prinGiples in the Charity SOBP.
. make judgements and &stiD]ates that are r¢8sott4ble and pntskn¢
pr¢pare the financial statrrn￿ts on the going ci)ttcern basis UD1￿5 1¢ is I￿te to presuw¢ tha¢ the charitable
company will witinu¢ in IM￿lneS￿
The trustees resp)nsible for keeping ￿￿￿￿titig which (li￿￿$e with re&soDable ¥curacy at any time
the fioartcial rA)siÈion of the ¢P￿itable company attd to ethle t1￿ to fflsute that the financial statements comply witb
th¢ Companies Act 2006. Th¢y are also rtsp)nsible for safrguardillg the assets of t￿ cI￿l￿bI¢ wmpany and hence for
taking reasonable steps for th¢ prevention and ￿10￿ of frahKI and other ir(egularities.
there is no televant audit inforu￿¢1oD of which the charitable companys lltiditi￿ are unaware; and
the In￿e¢S baye taken all steps that they ougttt to have tskeD to rnake tr￿n￿elveS aware of any relevant audit
inforni￿10￿ and to establish that the auditors aware of that illfornktio

REPORT OF THE TRusfEES
for th¢ yw ended 31 Mareh 2025
AiIDITORS
.g.¢L
itsEaalfty'.
Page 5

REPORT OF THE INDEPENDEiYf AUDITORS TO THE MEMBERS OF
CAMDEN COPtlMUNrrY LAW CENTRK
Oplllloll
We have ?￿lted thp financial of CallKkn Cotullt￿1ty Law Cekn (the 'clwitabie company) ts the year
ended 31 Marth 2025 whicb ¢ompri8¢ th¢ Stat¢ll￿t of fitJau¢ial activitie& the Bal8JJce the C&8h flow statement
aDd Thotes to tbe financial statements. inch¥JiDg a of significatti ￿cO￿ting wJiici&s. The fit￿lat reportiDg
fraraewoTk that b&s Eten applied in their wepaiatiLfL i8 applicable law ￿ Unitd Kingdom Accoutittng Stattdards
In our ￿7￿10￿ tbe fitwicial stateme￿.
give a true and fair Yiew of the stste of the charitable compttys affai￿ 4$ 4t 31 Marrh 2025 a]￿ of its incoming
resouTW and appliGdtion of resourc￿, i￿lUdIng its incLKne exwidifrwE for th year then ended.
Basis for oplAIo
We ¢[￿1u(ted our audit in ac£oTdance with lntrrnati(x￿i StandaTth on Auditing (UK) {ISAs (UK)) 2nd 4)plicable law.
Our re4X￿S1￿1l1tieS utth tlM)se standards are descril*d in tb¢ Alldit0￿, ttStrfJn&bilities for the audit of the
fjnallciai Secti¢￿ of our reporL We are iWent of the char&tsble company in a¥cordanre with th¢ ethi
Awiirements that are r¢l¢vaDt to a￿lt of th¢ fiDancial ID th¢ UL suc1￿lIng FRCS Ethi￿[ Standar
and we have fidfill￿ OLW other ethical re4￿[bIllI1es ￿ ￿rdan￿ with tkn rqllue￿ts. We ￿lIeve that the audit
evidence we bave obtained t$ thient and aiwri4xi* to provide a basis frour Opi￿I￿
Cl)ndu￿1)D8 r¢l*tl*g to goi￿ eon¢¢rn
In aud￿ng the f￿all¢la1 statem￿ts. we have Concl￿ that ￿ trustees, w of ttr¢ going concan b￿lS of acci)unting in
the prewation of th¢ fjnauciai statan¢Thts is aiyroiYi*.
BLsed ott the work bave perforn¢(L we have not idkmtified any Materi￿ uncertainties relating ro evellts or Co1￿1t10￿S
th4 individualty or collectively, njay c&8t significant doubt on the tharitabk company's abilty to continue ￿ a going
for a period of at le&st tw¢lve moDths frotn the financial *atLin￿ts are authorised for i&sue.
Our resTK)DsfiJililie5 aud the res￿￿1b￿lit[CS of the trThst¢es with TesF*a to 9)ing coLcern are de￿1￿ io th¢ relevant
se¢tions of this reporL
Other llkformatkntt
The tn￿ are responsible for the othet 1DfoEmatio￿ The other inr0rnk￿ cotwises the iofoTuJation included in the
explicitly stat￿1 ill our repor¢ we do Dot expr￿ any fonD of as9JfdDtt concl￿10￿ thereoL
In COTW¢¢tiim with audti of the finan¢ial st8tem¢nt% (AW resFrfJnsibiiiry 15 to tead the other itrform￿oll ￿ in doing
so, consider whether the other i￿orDIation is materially I￿]s[ent with the fjnanoial Stste￿ents or our knowledge
obtayned iu the alldit or otheThvise app¢ars to Jllatmlly If identify swh material incojksistencies or
apparellt material MI￿￿tements. we are trquired to detenlline ￿ this gives rise to a materia] rni5slatement ￿ the
fil￿)ela1 srateme#ts thems01v￿ IE b&sed ott wort we haye [￿1)r[￿￿ we conclude there is a nmterial
misststement of this other inforlnatiw we are required to report that facL W¢ bave llothiug to rewrt in this regariL
Opinions OD other ￿￿tter8 prescril￿d by the Compnies Aet 2￿6
In OUT opinion, based on the work undeth iu the courye of the audit..
- the inform*ion giveu iu the Report of the tn￿tee$ for the fi￿¢741 Y￿ br which the financial stateme1￿ ate
ared is cotL4iStent with the financial *ateD￿ aDd
. the Report of the Iruste¢s bas I￿n ￿epared in ￿ee with 4ylvJble legal requi￿.
Page 6

REPORT OF TIIE INDEPENDENf ALT, IITORS TO THE MEMBERS OF
M4tt¢n which we •re rquired to re￿rt by ¢x¢eirtb)n
Ln the light of the knowledge alld utklersranding of the cljaritsble C{￿ ol obtsined in the COUTse of
We have nothillg to report in respttt of the fi)lkniryg matta5 where the Conwries Act 2006 rwDre5 U5 to to you
ic in our opinioD:
bratwh¢s not Visit￿ by us. or
. certain disclosures of trusQeg remuneration by law ar¢ not ma¢k' or
wt ￿ve not received all the Illfon￿ ￿ explaTllti￿ we requtre fff our wdil" or
Respoffjiblliths of trustees
As expiain¢d moT¢ thlly ￿ the Statement of trustre4 re$w)￿bilitieS the In￿l¢eS {wkn ar¢ a150 th¢ direc￿ of the
charitable ojtnpany for the purposes of eonwany law) are resp)ns71 Jle for the pwardtioD of the 6Dallciai Éatem¢uts and
for king ￿1Sfied that they give a true and fair vi¢w. a￿1 for iDt¢rnal o￿trol as the deterniine is necesaary
In preparing the financkal the trustees are for o&w the L4witable Conwall￿5 abiity to
con¢inue as a going concm disclosintt &$ ¥pIi(¥bk, TDatter5 related to goirg concern •xl Thsing going concern
basis of accounting Un￿%$ th¢ trust¢¢5 eitlKr interwj to I￿￿ldate the chaTitable LX)mpally or to ce&8e operation4 or have
no realistic aIte¥native bth to do so.
Our respoDsibi]ities for the alldit of tkn f￿￿￿¢111 statements
Our objectives are to reasonable assur￿ aiKXrt whether the fillmcial sÈate2nents as a W￿1¢ are free from
nmterial misstatemai4 Whe¢1￿ to fraud ￿ error. •MI to RetMWt tsf th¢ indep￿dent audit(>rs that itKludes our
opinion. Re4sotthl¢ assurance is a higb level of ￿￿rat￿Ce, IArt is D)t a that an audit con¢h￿ted tn accordan
¢¢OD(ADiC decisions of u5¢r5 taken on the b&sis of these financial statements.
tn identifying and ass¢s5ing risks of mI&Sts￿ in tcyct of It￿l￿dIllg fraud ¥nd error, we
onsideTed the following:
. the nats]re of the iDdLW. control environment and b￿SinesS ￿fOrm￿.
atements and any pthentiai i]ull￿ of frawL
Ow wocedures to resp(*yJ to risk in¢lwle tbe following:
misstathent dlle io fraud or e￿Or.
. addressing the rtsk of fi7lld and m tEr0￿h overrid¢ of LM)rth>]s. testing the appropria*ws of journal4
a&wsing whether the j￿dgernents DMde in Dlaking xcountitig estitnw are iDdKative of a wt¢Diial bi&s,' and ¢valuatiffjg
th¢ busine&s raiionale of any signifiw)t ¢raos&tions that are unusual or thJtsKk the nOTrnal C￿rst of buSi[￿ss.
A fiwther description of our resp)Dsibilities for the a￿lIt of the fioancial is I(￿ated on the FI[M￿jaI Reporting
Coun¢il's websit¢ at www.fr¢.Org.uVauditor5TespJnsi￿il1tte￿ This (ksuitrtiOD forms part of our Repon of the

IIEPORT OF THE INDEPENDEKf AUDrroRS TO THE MEMBERS OF
Uye of our report
This rem is made solely to the ¢F￿rAtible cow)ty m¢mb*& a5 a I￿Y, ID with Chapkr 3 of Part 16 of
the Companies Act 21M)6. OUT audit wort Iws b¢¢n so that we Mig￿ st*e to the cbaritsble wtupanys
mbers those nJatteTS w¢ gr¢ r¢qllired to sw¢ to ￿ ill an a]ditors' at￿ for no other purp)s¢. To the fullest
Ricky Hutson B& FCCA ACA {SenÈor Stabjtory Auditor)
forand on Ixhalf of Berringets tLP
J Stthtory A￿ltorS
Lygon Houge
50 IA)tbJon Road
Kent
BRI 3RA

(INCORPORATING AN INCOME ANO EXPEINDfTURE ACCOUIYT)
r the year ¢mdcd 31 Mar¢h 2n5
25
2024
Total
INCOME AND
Donatii)Ds and legacies
liJ32
liJ32
76,428
CIAariéable Actlvllies
Legal advi¢¢
211J33
067
551.675
27A
27.590
4.898
Total
429J56
211J33
633,001
EXPETrIDITURE ON
Charitable activittes
Legal advic¢
Support costs
165J78
127156
211333
37&611
127W6
367,159
126.306
Totsl
2￿134
211J33
493.465
LYET ThCOME
136W2
13A522
139.536
Tr8Dsfers betweei hnlls
16
(6WM))
Net mDYemeDt in fujmb
J96Jll
(6Q(W)
136J22
139,536
RECONCILIATION OF
Totsl fimd8 brougbt forvr
783430
643.894
TOTAL FUNDS CARRJED
FORWAIU)
479,952
919952
783.430

BALANCE SHEKr
31 M*reh 2025
2025
Totsl
2024
fimds
Notes
FIXED A&SETS
Tan￿1)le
2J20
WoTk in pro
Detrtors
Casb at bank
12
13
IW24
44916
449222
86,824
169274
662,280
W16
9J22 4UiMNJ
062
I,Q40062
9l8J78
14
23.030)
(12WD)
(135.952)
477.632
917,632
782.426
TOT AL ASSETS LESS
479952
919,952
783,430
I¥ET ASSETS
479952
919,952
783.430
16
General fimd
stsff and Premises CoDtiDgency Furmj
479952
283,430
500,000
919,952
783.430
919,9S2
783,430
Th¢ form part of thes¢ financial statth))a
Page 10

CASH FLOW ￿ATE￿I￿N[
for the yeareDde4131 2011
2024
Cash flows from operating artlvities
Izwig
47,754
(2WiS)
47,754
Ca5b tIows frow investiug aetivit
Pur￿￿ of tsngTri Jle fixed assets
Interest rexeived
{lJ33)
275
{1.302)
4.898
Net casb wivided by inv¢5tiDg activities
25.757
3,596
Change in casb and eash equivalents
the reporting perf(
C￿h a•d 475h rquivalents at the
bepning of the rep)rth% perknd
QW158)
51,350
610.930
Casb #Ad eqmfvakmts at the elld of
the rep(trrtlllg period
449J22
662280
Page li"

NOTES TO THE CASH FtA)w sfATEMEI¥T
kl)r theY￿r endtd 31 Marcb 2025
RECONCILIATION OF NET INCOME TO NET CASH FLOW FROM OPERATING ACTIVITIES
21125
2024
Net ineorne for the reportimg perthe state￿￿¢ of fllM#ci*l
14522
139,536
Adjustm¢uts for:
Deprecialioll charges
tnterest received
tucrease in work tn wjgr
Increase in debtors
517
127Jg)}
{19,7(Kl)
(31S642)
{11922)
2278
(4,898)
(iJ99)
(l43.201)
55,438
Net cash (llsed illyprovthj by operatSDAs
(238J151
47.754
ANALYSIS OF CHANGLS IN NET FUNDS
At1.4.24
C&8b flow
At 31.3.2S
Net cash
(213,058)
449222
(213.D58)
449222
Total
{2I3,058}
449222
Page 12

for the yur eAded 31 2•25
ACCOUNTING POLlCtEs
BasLq of prep*riD8 tke fi￿ndal statemats
The stskments of the thuitsble c¥￿. is a ENthh"c Ixnefft enttty under FRS 102, bave been
prepared iD accorda1￿¢ with th¢ Clwili¢s SORP (FRS 102)'Accovrtn8 and Repthting by Ch8rities.' StstemenÉ
of Recommended Practirz applicable 10 charities tsir vKouJts in a¢¢ord8nc¢ with th¢ Financial
Rewttug Standard appliiabk ill th¢ UK R¢pub]ir of tr¢]Erd (FRS 1021 (effective l January 2019Y,
Fitwicial Standard 102 Tr Financial R¢wrtiDg th¢ UK aud Republic of
Irelalld, and the Cotllpa￿1ts Acl 2011$. The fi￿atI¢l￿ Stslem￿ts l]ave i*en we[￿d undeT the historical cost
Critid accountillg jodzeme•ts l￿d key smrtts of ¢slimatho utt¢r¢thty
In the applicatioti of the chry's &coullting p)iiciffj the Tr￿SteeS ate re4Ullrd to D]ake J￿AgeMent& e5till￿teS
and assumptions ab(￿1 the ca￿Y[￿8 am(Kmt of a55¢ts and liabilit]&s that are not readily apparent from other
are reco￿ed in the peri(xl in which the estitt)* is revis&l where 1he revision affects onty that perio& or ID tbe
of revision and ￿￿jre p￿5 where the revision affects Erf)th turrert 8ttd fvture pers(K&.
[tt¢o￿e
All ujcome is rwllls￿j in the StskrneTtt of Finati¢ial Aetivitits IHYX the chtrity b&$ ￿titlern￿￿ to the fimd4 it
is [￿b¥ble that the ill¢ome wtll b¢ receiv￿ and the amouDt can be reliabty.
Expe•dithr¢ ' .
Liabilities are recogt]ised as expellditt￿e &s WOD as.thue 15 a leg1 COn51n￿lIve obligation couunitting the
charity to that expwjditure, it is PTDbable tbot a traosfer of exOn0n￿ be￿fitS will be required it) settlement and
theamryJDt of the obligati'on can ￿ me&suted teiiabty. Expenditure ￿ fjCCOLUJted for on a¢¢Tuais basTS and has
been classified under h¢adiDgs that ag￿egatE all rost ￿lated to the category. Where costs Cat￿0t be directy
attnl)utrd to pthiadar headings they have tten aiiLKatrA to ￿￿ltieS on a ba515 Consistent with the use of
resources.
Tangible r￿ed
Depreciation is pn)vidtiA at ts folk)wing Tates in ￿der to write eath asset over its ¢stin￿ted usefi
life.
Fixtures and fittings
Computer equipment
rh* on cost
Work in progr¢55
Work in progress is ot the ￿10t whw Outc￿ of of servi¢es ¢an be estitnat¢d
.Ji
teliabty. W(rt in w)wss compriK8 of legal servitts provided by ref￿￿ce to the stage of wletion at the end
of the reporting perio
T*iation
The charity is exeIDPt from tsx on Its clwitsble activiti
R¢5trirtEd funts cao onty be used fv partiad8r restri¢t¢d purposes wittAtnthe objects of the dwity. liestri¢tions
arise when specified by th¢ doll(K OT are nised for IxrtiCLth rE5tr1d￿ pwposes.
Furttw explatlltion ofthe uattw¢ aDd putFW Of each fi￿￿ is inclu&d in the Th)te5 to the Snallcial statements.
Pellsioll costs and other post-retirerne•t t¢8¢fits
The charitable CODwany operates a defmed contributi(n Fllsion Y¢￿me. CotitributiOnS payable to tbe ch￿1t&ble
coMpan￿S r￿SlOn scheme are cbarged to th¢ state1De￿ of FiDancid Acuvities in the period to which they relate.
Pag¢ 13
continued..

NOTES TO THE FINANCiAL sfATEMENts. to#tinued
for the y¢•r e•ded 31 Marek IW
DONATIONS LEGACIES
21)25
2024
IlJ32
76.428
Intmt re￿1VIble
I7￿90
4,898
2024
Attivity
211J33
25S734
13&(JXI
230.i95
186280
135.000
L¢gai advice
11067
551,675
Grants rrf¢iv& IticI￿ in the atr#)Ye. are as f01h￿.
2024
for Lond
Cty Bridge TnLSt
The NatiODal Lottery Commuuity Fund
The AeLe&8 to Justice Foundation
DVA Victitnslsurviyors
lll]migrdtioll advice
20.000
49.024
70.129
12262
J39,683
41345 ..
1&143
41.245
49,997
211J33:
230,395
DiJY£t
Co&$
costs (see
no* 6)
Totsis
Legal advice
Support co#s
37&611
IQ166
37A611
127,856
117,69
381777
117,690
504.467
Page 14
continud..

CAMDEN COMMUNITY LAW CEFifRE
for the year ended 31 2025
SUPPORT COSTS
Sull￿rt e05ts
liiJ45
145
117,6
NET INCOMEJ(EXPENDITURE)
2024
145
517
6,013
2278
TRUSTEES RIEMUNERkTION AI¥D BENEFTrs
There were no trwtg¢g re[n￿￿on iy other beueffts for the year 31 Marth 2025 nor for the yfar ended
31 March 2024.
Trus¢¢e8' ext*n8¢8
There were no trust¢¢s' ext￿15¢$ PKI for the Yvar￿&1 31 March 2025 ror tr the ye4rellduJ 31 March 2024.
2025
Wages and salaries
Social sxurity costs
(hber pettsion eosts
322
27336
2&486
310,703
25,232
24,751
37A611
360,686
The average motttbly number of employee5 the year a5 folb
2025
2024
CtrLaritable
Adminisiration
li
No employee5 receiv￿ emoluttmts in exc￿$ of £￿￿.0(￿).
P4ge 15
eontinue(L..

br the ye*r ¢od¢d 31 Marek 2•25
fi￿d$
INCOME AF4D ENDOWMENTS FROM
Donations a[￿ lewies
7fi428
76,428
Charltsble atÉivi¢Y5
Legal advice
321280
230J95
551.675
4.898
4.898
Total
230J95
633.001
EXPEL¥DITURE ON
Charitsb(e aetivities
Legal *lvi
SuFg0rt co&ts
136.764
126J06
230J95
367.159
126.306
Totsl
263.070
230,395
493.465
,YET INCOME
139,536
(l￿,{K)0)
139.536
TrAn$fer5 betweeD thnds
Net movement in
39J36
. I(N),(MNJ
139.536
RECONCILIATION OF FLNDS
Totsl fjmds brought forward
243.894
643.894
283.430
s￿,1
78i.430
Computer
fittiw equipn¢nÈ
Totals
CO%T
At l AFil 2024
Additions
I1￿9
2￿692
38221
At 31 March 2025
IIA29
40,054
DEPRECtATION
At l A￿11 2024
Clwge forye4r
llJ29
2S688
517
37217
517
At 31 March 2025
11529
37,734
NKf BOOK VALUE
At 31 Mareb ?025
2J20
2?20
At 31 M￿￿ 2024
1.004
1,004
P8g¢ 16
ntinued...

NOTES TO THE FINANCIAL ￿AT￿mEh￿S. co•thiue
rorth¢ywJr ¢Bded 31 March 2•25
12. WORK IN PROGRESS
2ts25
2024
106024
86,824
13.
DEBTOIL&. AMOUNTS FALLING DUE wrrHIN ONE YEAR
2025
2024
Trade debtors
Otlkr d¢btors
Prqiayments
18,199
134,329
16.746
411,8
1fj620
48(916
169274
CREDITORS: KMOUNfs FALUNG DUE wrriitN ONE YEAR
2W45
2024
19J92
12589
gOJ49
8305
11535
116.112
VAT
iLI,030
135,952
1% LEASING AGREEMEMS
2024
Within one year
B¢tweeu one and five years
41JOO
71J61
41.500
112,760
112,761
154260
16. MOVEMENT tN FUNDS
TratJsfer5
At
31.3.25
At 1.424
Ullre$trirted fwllds
General fund
Stsff and Premises Conting¢tKy Fund
fALO
(6QOW)
479.952
440,000
7￿430
136512
919,952
TOTAL FUNDS
136J22
919,952
Page 17
ftti￿¢d...

NOTES TO THE FINANCIAL sfATEMEM5. eoAtln#td
the y￿r ended 31 Ma￿￿ 2fr25
Net movement iD fund& includoj in the aEffif¢ are as folJowB:
Unrestrieted fMAda
429ffj56
(291134)
136A22
R￿trICt￿ hllds
Cty Bridge TTU5t
The Access to Jllstice Foutthion
DVA vi￿]￿￿SurvIVors
tn]migration thire
12262
139
41345
1&143
(IU62)
(139,683)
{41245}
(1&143)
211J33
(211333)
(51)V67)
136W2
Comparativ¢¥ for tnoveTreDt in funth
Net
Tratts
At
31.3.24
At 1.4.23
ID fimds
funds
Ullre5trictfd faDds
243,894
139J36
- {i(Ks.000}
I￿.000
283,430
500,(
Staff PreEDises C(mtingency Fund
643.894
l39.536
783.430
TOTAL FUIYDS
643.$94
139.536
783,430
Co]Trparative net movement ill iDGlwkd in ￿ ab)ve are as fo]lows:
h￿l￿]ng Resources MovemeÈ]t
pcr¥Jed in fijnds
UArestric¢¢d
General fund
402.606
{263,070)
139,536
Restricted funds
Trust for London
City Bridge Tr￿st
The National Lottery Con]mullity Fund
DVA victim￿s￿1v0rs
Jnrni￿ati0n advice
?0,
49.tr24
70,129
41245
49,997
(20,(NJO)
{49,024)
(70.129)
(41,245)
(49.W7)
0,395
{230.395)
TOTAL FULYDS
633.(K)I
(493,465)
139.536
Pag¢ 18
continued...

ror the year ellded 31 Marek 2•25
17. RELATED PARTY DISCLOSURKS
Page 19

DETAILED ￿ATEMENT OF FINANCIAL ACTIVITIES
for th¢ e*de4131 Martk 2025
2024
INCOME AND ENIK)WMEKfS
Donatwns and lepeies
Donations
IlJ32
7&428
Interestretrivable
27J9•
4.898
Cbarltsbk athlti
211J33
25S734
13S(KIO
230.395
186.280
135,((K)
Legal thic¢
Service i£vel Contrdds
551.675
Total incomi*g raoMrce8
633.IX)I
EXPENDtTtJRE
Cb*ritsble adlvltks
Wages
Social secirity
PeDSiOVS
Volunteer ex￿]se5
Subscriptions & jounJa]s
ProfessioDal insurance
Lex¢el costs
321889
27236
310.703
25.232
24,75 1
8.733
2,132
1,631
lJ15
370.737
Supprft ¢osts
Otber
Rent& ra￿S
Insurallce
Light and heat
Telephone
Prititin& rA)Stage & ststionery
Repairs & niatr*eo2nce
BookkeepiDg
BaDkcbarges
Computff expenses
Cleanlllg
Miscellaneous ¢xpenses
Storag¢
Professional fres
Staff training & expenses
Computer equipment
46.547
148
1,985
4.325
4,519
4.770
1.419
1,678
17.430
2.680
897
2,323
746
3.7(
4,649
S14
1,491
15398
531
91
1,461
29510
517
25,716
2,278
Ill￿5
16,715
Thi5 F4qge d￿$ fornTr part of the *attttory finall¢ial tratements

DETAILED sfATEMEI¥T OF FINANCIAL A￿1VrrIEs
torth¢ y¢4r¢ntsl 31 M*reh 2•25
2025
2024
Goyernallee costs
&145
6.013
5Q4467
493,465
Net inwme
136J22
139.536
Pag¢ 21