Charity Number: 1015693
Agape Christian Fellowship Trust
Finaneial Statements
For the Year Eoded
31 December 2023
Augvstus & Co
Chartered Certified Accountants

e ChrAstian Fellowshi
Trnst
Index
Contents
l*gal and Administrntive Details
24
Trustees Rewrt
IJHlependent Examinerfs Report
Statement of Financial Activities
Balance Sheet
8-10
Notes to Accounts

e Christiall Felloiyshi
l and Administrntive Details
Trustees
Mrs J Dizon
Mrs Myla Castro
Mrs Estratyn Murchison
Bankers
Barclays Bank PIC
Stratford Branch
737 Barking Road
London E13 9PL
Independent Examiner
A A B0af￿B[ew￿ FCCA MBA
Chartered Certified Accountant
374 LEY Street
Ilford
Essex IGI 4AE
Re8lStered Address
Emmanuel Hall
16-24 Francis Street
Strarford
London E15 IJG
Charity Number:
1015693

Cbristian Fellowsbi
Trust
Report of the Tnistees
The trustees submit their annual report together with the financial statements for the year ended 31
December 2023. The financial statements have been prepared in accordanc¢ with the accounting
policies set out in note I to the accounts and comply with the charity's trust deed. the Charities Act
2011 and Accounting and Reporting by Charities: Statement of Recommended Practice applicable to
harttics preparing their accounts in accordance ivith the Financial Reporting Stsndard applicable in
the UK and Republic of Ireland published on 161071I4.
Governing Document
It is governed by a trust deed dated 10 November 1992. It was registered as a charity on I l December
1992.
Objectives
Th¢ obj¢ctivcs of th¢ fellowship aT¢:
the advancement of the Christian faith in the United Kingdom and abroad and in particular tn
the thater London area as a Chri5ttan Church by any lawful and proper means including (but
not by way of limitation) the worship of GO￿ th¢ preaching and proclamation of the Christian
Gospel. thc teaching of Christian doctrinc and principles. the instruction. edifjcation and
pastoral care of children.
the relief of peTsons who are in conditions of need. hardship or distres% or who are aged or
sick in the United Kingdom and abroad.
Review of Activities
The fmanciaI position of the fellowship at the end of the ffflancial year is as detailed in the attached
financial statements. The charity received income of £233.176 during the year.
Trustees
The following served as trustees during the year:
Mrs J. Dizon
Mrs Myla Castm
Mrs Estralyn Murchison
The following were trustees at th¢ time the financial statements were signed.
Mrs J. Dizon
Mrs Myla Castro
Mrs Estralyn Murchison

Christian Fellinvshi Trust
Trustee SelectioD Method
Trustees are appointed by resolution of the existing trustee body.
Activities and Achievements During the Year
Agape Christian Fellowship and our outreaches hold regular meetings during the weeL We gather every Sunday
in the East. in the West London campus. in Milton Keynes. aDd in Philippines for corporate worship. We commit
ourselves to be part of a Discovery Gmup 2nd to groiv together in loving Grf througb the skndy of His Word
and other Cbristian resources.
We are continuously providing 5pirituaL emotii)nal and fllMncial 5UPtx)rt to meet the needs of an individual or
families who are in difficulties.
We now also bave our online ministy offering prayer and support especlally to tbose ujjable to go to our site.
Our BibIe school ￿IniSty. International Bible Institute London is an ongoing trdining ministy aiming to equip
our local cburcb workers as well as workers from other churches in the United Kingdom. Singapor4 Thailand
and Philippines.
During the year, Agape CODtinued its Mini5ty to the EldeT5 and its partDetship witb a ￿l￿]sty in Bohol, in
MiDdanao, and Without Borders Prayer Centre in ClaTL PhilippIll￿.
In November 2023. Bless U Homes Without Borders Thaiknd officially became our paTther in the ministy in
reachints out. feeding the needy. teaching the chitdren to learn English. a[￿ teaching adults. community skills
s￿h as cooking. baking. making shamp)o. soap and other cleaning detergen
The fellowship continues to provide not only financial support, Chri&ian resources and materials but most
importantly spiritual support to our njissionaries all over the worl
The fellowship continues to support its buildintr
¥ project. The church members and donors from all over the
world believe with us and continue to sow seeds through their faithful givin¥F
The Hospitality Ministy was able to reach out to more people in need and regularly giving donation5 to the
Food Bank. In December 2023 we distributed boxes of foo(L toiletrie& clothing. and gifts duri￿ Christma5
Holidays. W¢ are blessed we were able to reach out and serve the community. and are blessed that our you
people and adults have faithMly committed themselves in this miDistty.
R￿erVeS Policy
The organisation has set up a building fund with the view to purC1￿sing its own propety in the future.
At 31 December 2023 there w&s f￿ unrestricted reserves of £5.587 which will be used in the
furtherance of the charity's objectives.
Love Gifts and MissioL8
The organisation has limited funds but airns to provide support and a5SiStance to people in Deed in
accordance with its objectives.
Review of Major Risks
The major risk facing th¢ organisation is r￿u¢¢d cOn￿gation. The trustees and the ministy team are
¢ndeavouting to addr¢ss this.
Plans for the Future
Our future plan 15 to extend the WO￿ we are doitits in reathing out to serve and do more for the people and the
community.

ristl¥ll Fellowsh
Uow A¢ttvliits defThwr public benefil
Our a¢liYiiI￿ and iyho we ￿ ro serve ￿E¥S (k5¢tilKdin our oiyeLaivesaod ac6vliies. All (
haritable athiviti&% f(KUS Oll Il%se 0￿￿1¥¢5 lo fithour rtwilable puryosts fotik ￿bIl¢ knEfit.
ststethMtofTrystee¢ RttpowThllitA
ccord0￿% wilh appliL7ble lawand Unired Ki￿d0th AC￿￿X￿11￿8 standa￿ (United Kitigd
GèA*fdUy Acccpiaj Ac&x)uDting Practicel
The 1awappli￿bk io di8rities in E￿18{￿1 & Waley requitts In￿ tr) pffP8￿ finanrial
a*m¢Jts foT ¢ach finW￿41 y¢ar which &iYe a 8nd fairryi¢wof the*Eeof affairn of th¢ clwity
andofihe in¢omin8 resources Jnd appliMiion of r¢soure¢s ofthe dwily fisrtkni Fwiod. Jn
th¢$¢ firrJrHaal statanez4 the Irwe¢s ate required lo:
a) ￿leCtsuI￿￿d¢ PDlicies aTMI atoly th¢rnLmil￿nr1y:
b) obserye tfEd PFlnc5ples in thG Char<11￿ SORP.
cl tnake jfvnts th& Ra50nable 8oJ prndeDi:
d) state 4Jp1t￿b]e aLYountin8 slllndards Imvc been folknved. to •Ly
de￿vr¢S diselosed alldcxplaincd in the fiwicill sts*men￿.
e) pr¢p¥rr the ftswicial 8fatew¢nts on th¢ going b&%15 li IJ i]W0￿&t
preswne that the¢t0Tity will corAinv¢ in oraatioo
The are responsii le for kcrping proper￿{￿)￿nting￿C0rth tt￿1 dlsclose with reoscffpMe
dcy at aoy time the financial p)sitton of the cb8rity 4r*lenobl¢ them ￿ eTr4ure tb81 the tTJ)3n¢iat
siatfments wnjpl). R?th theC1HrIti￿ Ad 2011. the applicth Chfjrilic5 (Affj)un15 and Rew)
K¢gulation& tt￿[￿VisiOnS of Ihc In￿ de¢d They a￿ also r￿p￿Bibl¢ for safEg￿dIngt￿e asscts
char'tty taknngpJsonable st¢P5 for th¢ preventionartd defteti￿ of fiaud and oth¢r
ltr rusi¢es arg resp)ll*lAe forllK UbaintcMKcend ofth¢¢han"ty the fllmncial
lAf0t￿atiOn 00 ik Charf￿5 W￿1￿ L¢gi¥lAiTon in th¢ UDtl¢d Kir0d￿j EoYerninK ikn
and di58emination of knnoial ￿er￿Ctits k8￿l&tiOn iD Lther jurisdidlons.
IDd¢pE4d¢nf E￿￿1￿CT
lThe tNs*¢s inteod s&kiog the EsISti￿ gc¢OUn￿ Inde￿￿tell exomiwon of the
orwisaliDn'$ accoimts ID IlK> following yts.
De¢knUoo
I drElar4 in my catjacity of¢hrity If￿*¢. thaL"
bave aullxirised m¢w th¢irbEl41f.
rs Myl& C&fLTo
Positiop.. Truste¢
DAled: 16 OdobeTW24

Agape Christian Fellowship Trust
Independent Eiaminer's Report to the Trustee5 of Agape Christian Fejloivship Trust
I report to th¢ trustees on my examinatson of th¢ fmancia] statements of Agape Christian Fellowship
Trust ('the charity,) for the year ended 31 December 2023 ivhich comprise the Ststement of Financial
Activities. the Balance Sheet and related notes.
This report is made solely to the charity's trustees, &s a body. in accordance with section 145 of the
Charities Act 2011. My has been undertaken so that I might state to the charity's trustees those
matters I am required to stste to them in this report and for no other purpose. To the fullest extent
pennitted by law, I do not accepi or &ssume resy)nsibility to anyone other than the charity and the
charity's trustees as a body, for my worL for this rcFK>rL or for the opinions I have fonned.
Responsibiliti￿ and basis of report
As the trustees of the charity you are responsible for the preparation of the fInancial statements in
accordance with the requirements of the Charities Act 2011 ('the Act,).
I report in respect of my examination of the charity's financial statements Carried out under section
145 of the Act and in carying out my examillation I have followed all the applicable Directions given
by the Charity Commission under ￿¢tion l45{5)(b) of the Act.
An independent examination does nol involve gathering all the evidcnce that ivould be required in an
audit and consequently does not cover all the matters that an auditor considers in giving their opinion
on the financial statements. The planning and conduct of an audit goes beyond the limited assurance
that an independent examination can provide. Consequently I express no opinion as to ivhether the
financial statements present a 'true and fair. view and my rcw)rt is limited to those specific matters set
out in the independent examiner's statement.
Independent examiner's statement
If the charity's gross income exceeds £250.(KJO your e￿Mine[ must be a member of a b￿Y listed in
section 145 of the 2011. The income was below this threshold. I confirni that I am quaIified to
undertake the examitiation because I am a member of ACCA which is one of thc listed bodies.
I have completed my eLqmination. I confwm that no n￿terIal matters have come to my attention in
CO[￿eCtion with thc cxamination giving mc cau5¢ to bclicvc that in any matcrial r¢sp¢ct:
accounting records were not kept in respect of the charity as required by section 130 of the
ACL or
> the fllwicial statements do not accord with those records" or
> the fllmncial statements do not compty with the applicable requirements concerning the form
and content of accounts set out in the Charities (Accounts and Reports) Regulations 2008
other than any requirement that the accounts give a 'true and fair vielv which is not a matter
considered as part of an independent ¢Lqmination.
I have no concerns and have come across no other matters in connection with the examination to which
attention should be drawn in this report in ordcr to ¢nabl¢ a proper understanding of thc financial
statements
o be reached.
A A Boafo-Brewu (FCCA MBA)
374 Ley Street
Ilford
Essex IGI 4AE
Augustus & Co
D2ted.L￿ctOber 2024

AGAPE Christian Fellowshlp Trust
Statement of Finaneial Aetivities
Year Ended 31 December 2023
Note
Unrestricted Restricted
Total
2023
Total
2022
lllcome from:
Volulltary Income: donations
Bank interest rcc¢iv¢d
Total
231.914
[32
232.046
1.130
233,044
132
233.176
189,267
1.130
189.267
Expenditure on:
Cbaritsble activities
Total
255,805
255.805
255,805
255.805
L89,133
189,133
Net Movements in funds
23.759
1,130
22,629
134
Transfer of funds
Reconciliation of fill￿s.
Total funds brought forward at 0110112023
50.007
58.996
109.003
108,869
Tota] fimds carried forward at 3111212023
26248
60.126
86.374
109,003
Th¢ notes on pages 8 to 10 forni part of these financia] statements.

ACAP£ Cbri$118# Feuowshlp Trthsl
ljaknaee Shte¢ 1131 D￿¢￿berlIll3
2023
IzedAssets
Twible knsets
soi
CUrr￿t Assds
850
C&th at batth aAd
61743
69J47
87ffi53
Crtditors: f4MIDg du•
4551
3h34
61713
85.102
TLKal assets less¢wrent liabilitb#5
86J74
lo9.1￿3
el 85s¢15
86J74
109
Repr￿￿ted hy:
io
io
00.126
58990
50.o¢ri
86J74
d $i￿d 4)n its behalf b
y1¥ ca￿
(Trust￿)
Th¢ I￿$ on py 8t010 fomi patof these fina￿19]

AGAPE Christian Fellowship Trnst
Notes To Accounts
Year Ended 31 DeeeAnber 2023
l. l. A¢¢ounling eonvention
The fu￿nCIal staternents have been prepared under the historical cost convention
with ite￿￿ recognised at cost or transaclion value unles5 (Aherwise stated in
the relevant notels) to these accowits. The financial statements have been preparal
in accordance with the Statement of RecoDMnended Prdclice: Accounting and
Reporting by Charities prep2ring their accounts in accordance with the Financial
Reporting Standard 4iplicable in the UK and Republic of Ireland (FRS 102)
issued on 16 July 2014 and the Financial Reporting Standard applicable in the
United Kingdom and Republic of Ireland (FRS 102) and ihe Charities Act 201 I.
1. 2. Ineoming Resoure&s
Donations relate to amounts receivable dwing the year.
1.3. Capital Grants
Grants towards fdpital expenditure are credited to a deferred capital grant and
released to Income and Expenditure a¢￿Unt over the exFected lives of the asse
The amount released equals the depreciation charge.
1.4 Restricted Funds
Rstri¢ted ￿ndS ￿e to be used for specific pwses as decided by the trnstees.
Expenditure which meets this criteria is charged to the fun(L
1.5 Unrestricted Fund5
Unrestricted funds donations and other incornillg resourc￿ receivable or gellerated
fDr the objects of the charity without fiwther specified purposes and are available aq general funds.
2. Trustees
The tNstees received no remuneration for their services.
3. yo￿￿tary income
Unrestricted Restrictrd Totsl
Tot21
2023
2022
Tithes
Love Offerings
Others
Donations towards expenses
Mission Offerings
Buildtng Fund Donation
Child Spon50r5hÉp
HM Revenue & Customs Tax Cr￿lts
Tot¥41 lll¢omiDg Resources
162.715
435
2,787
29.332
4,020
162.715
435
2.787
29.332
4,020
1,130
425
32.200
233.044
132,889
10.610
3,373
9,097
2259
45
385
30.609
189267
l.130
425
32200
231.914
1.130

AGAPE ChristiaD F¢llowship Trnst
Notes to Accounts
YeAr Ended 31 December 2023
4. Ch2ritable actiVAties
Un-restricted R&stiicted
Fund
Fund
Total
2023
Total
2022
Sajarics
Ernployefs National Insurance
Rcnt Payablc
93,269
2.897
42257
310
1.186
10.380
6.462
901
11,723
4.313
1.087
519
1.800
3.841
39.474
1.582
17.757
5.419
4,087
3,301
2.567
673
255,805
93.269
2.897
42.257
310
1.186
10380
6,462
901
11,723
4.313
1.087
519
1,800
3.841
39.474
1.582
17.757
5.419
4.087
3JOI
1567
673
2ii.805
85.686
2.215
37.687
683
1.019
8,674
4,096
972
638
8.465
i.oos
389
1,648
3.551
13,137
1.104
1.760
Insuran¢e
Missions
Light & Heat
House Keeping & Maintenance
Repaio Maint¢nance & ClcaDing
StThall Music Equipment & Expenses
Printin& Postage & Stationery
Telepholl
Pensions
Motor Expenses
Travclling Expcnses
Hospitality
Love Gifts and Don8ti(Y
General Expenses
Subscriptions and Publications
GOV￿¢¢ Costs (per note 5)
Depreciation on Motor Vehicles
Depreciation on Furnitur¢ and Equipment
2J56
3,159
2.567
189.133
All the £189.133 in 2022 ivas charged to unrestricted fimds.
5. GoYern*nte cost
Unwreslr)d￿ Restricted
Fund
FutKi
Total
2023
Totsl
2022
Bank Charges
Credii Card Charges
Legal and Professional
Inder￿t Examinerfs Fees
773
543
420
1.560
3,301
778
543
420
1,560
3JOI
738
441
420
1,560
3.159
6. Staff Costs
2023
2022
Salaries
Employerfs National Insurance
Pension5
93269
2.897
1.800
97.966
8),686
2215
1.648
89,549
No employee earned in excess of£60.1)(X)
Averdge head count in thc ycar

AGAPE Chiistian Feuowsblp Trnst
N(bÉe$ To Accounts
YearEnded 31 December 2023
7. Ftted Assets
FiKtur¢5 &
T￿1
VehKk
C05t
At l Jatwary 2023
77274
25.670
102.944
At 31 December 2023
77274
25.670
102.944
Dw¢ci*ion
At l January 2023
Chttrge forthe ye
i.134
2J67
79.043
673
At 31 December2023
74,582
7,701
82283
Net B￿k Valu¢.'
Ai 31 Detemb¢r 2023
At 31 Decemkn 2022
17.969
20,536
3365
23.901
8. Debtors
8iO
Prepairynents
Otkr tkbtors
1021
3,733
850
9. CrtditO￿ AJDouBts f•llin¥ dlltiwithiTr one yt*r
2023
2022
Paye & N￿Lon21 InsuTrn£¢
CthrCredÉtoJs
lJ81
333
1.920
3.634
1.871
1551
Ilb. Rutricted fllnds
•tJJa
31 Decetllbet
2023
2023
llKommg ￿tgoIng
R¢v¢nue
Wall of Faith
58,142
59.272
51996
1,130
60.126
is conm￿tted iiill be used forlhe s￿ Xtivty in fojknv￿gYar.
11. AMafyTis ofllet &ssets between f￿￿￿5
R¢stri¢tcd FuDds
UDf¢strKkd FUMLS
(￿.126
5.587
65.713
>.l26
26.248
8&374
20.661
20.661
IZ Relited prty trallsi¢tion$
Ther¢ th*s no related rArty traDsathi¢m thTh8 the )ur.
10