Charity Number: 1034870
CHRIST GOSPEL CHURCH INTERNATIONAL
INCOME AND EXPENDITURE STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2023

CHRIST GOSPEL CHURCH INTERNATIONAL
Reports and Accounts
Contents
Page
Adminislralive De18i15
Independent Examinerfs reF)Ort
Trustees Report
Slalemenl of Financial Activities
Balance Sheet
Notes lo the Accounts

CHRIST GOSPEL CHURCH INTERNATIONAL
ADMINISTRATIVE DETAILS OF THE CHARITY AND ITS TRUSTEES
Board of Trustees
Mrs Tolulope Omorere
Emmanuel Obigba
Vida Anyanwu
James Obi
Pamela Omorere
Principal office address
28-32 Ellingfort Road
Hackney
London
E8 3PA
Accountants
Nuama & Co
Chartered Certified Accountants
102 Milcham Lane
London
SW16 6NR
Bankers
Barclays Bank pl¢
22 The Mall Slratford
London
E151XJ

INDEPENOENT EXAMINER'S REPORT TO THE TRUSTEES OF CHRIST GOSPEL CHURCH INTERNATIONAL
I report on the 8ccounts Df GOSPEL RESTORATION CHURCH for the year ended 31 hllarch 2023,
which are set out below..
Rèsp¢¢tive responslbilitles of trustees and oxamlnor
As thè eharitls trustees you arè responsible for the prepafstion of the accounts, you considèr that the aL¢dit requirem8nt
of section 439121 of thè charities Act 1993 Ith8 Act) does not apply. 11 is my responsibility lo state, on tha basis of
procedur&s specrfied of the General Directions given by the Charity Cornmissioners given undèr 58Ction 43171 Ibl C>f thè
Acts, whethor particular matters have come to my attention.
Basi$ of Independent examIno￿ts report
My axamination was carried out in 8c¢ord8nce with the General Dlrecb'(>ns given by the Charity commi8SK)ners.
An examination includes the review ol awounling records kept by the charity and a eomparison Df the accounts
presented with h05e records. It also indudes consideralion ol any unusual Itgms or disclosures in the accounts, and
seeking explanations from you as trustees ¢on¢erning any such matters.
The procedures undertaken do not provide all the eMdenc8 that will be required In an audit, and consequentty I do not
express an audit opinion on the view givgn by the accounts.
Independent examineVs statèment
In connection with my examination, no matter has come to my attention..
11 Wh￿h 9ives me feasonable cause lo b¢ligve that in any material respect the r￿uIrementS of
'To keep accounting records in accordance wth section 41 of the Acts, and
'To prepare accounts which accord with the accountsng records and tts comply wth the accountin9 ￿qUITe[￿entS ol the
Act.
Have not been met..
21 To which, in my opinion, atttrnlion should drawn in order to enable a prtsper understanding rlf the accounts lo be
reached.
DATE. Ibl I |* >a-
Nuama & Co
Chartered Certrfied Accounts
102 Mitcham Lane
London
SW166NR

CHRIST GOSPEL CHURCH INTERNATIONAL
Report of Trustees
The trustees present their report and accounts for the year ended 31 March 2023
The Trustees have adopted the provisions of the Slalemenl of Recommended Practi￿ ISORPI
Accounting and Reporting by Charitie5 (Revised 20051 in pieparing the annual report and financial
statements of the ¢harily.
Objective ol the charity as laid down by th8 Trust Deed
The Core objects of the chaiity continue lo be..
To establish churches, minisliies and community events
To organise conventions, conferences and seminars
To carry out missionary activrtie5 2nd
To promote festiva15, celebrations and exhibitions.
REVIEW OF ACTIVITIES AND FUTURE DEVELOPMENTS
The slalement of financial activities is sel out on page 7 of the financial slalemenls. A snapshot of the
financial results is set out below..
Income Generation
The main Sour￿ of income is from tithes, offerings and donations from members and from the gift aid system.
Investment Policy
Al present the Trusl*s have decided lo leave 811 surplus funds in the account with their principal
bankers.
Fundraising Activitie$
The charity relies solely on contribulions from f(s members and gift aid. The charty does not employ any
professional fundraising bod￿$.
Restricted Funds
There are no restricted funds operated by the Charity. All funds are available for use at the discretion
of the Trustees.

CHRIST GOSPEL CHURCH INTERNATIONAL
Reseryes Policy
The Trustees have decided to spend as much money as poBsible on furthering the core objects
of the charity whilst maintaining suffiGient cash funds to ensure the sustainability of the charity.
Review of charity activities
The charity has continued lo undertake activities in line with rts objectives and has seen growth
in giving lo its work.
Governance and Internal Control
Appoinlmenl of Trustees are done by the existing Trustees with consullalion of the view of the
chLsreh members as lo Irustworthine5s of each person.
Risk Assessment
The Trustees consider the key operational, financial and 51ategic risks Ihal may have a bearino
on the a¢livies of the Charity. Suitable management information is available lo the Trustees on a
regular basis lo monitor these risks and allow any mrtigating adion lo be taken to address them.
Trustèes, Responslbllities
Charity law requires the Trustees to prepare financial statements for each financial year which
give true and fair view of the slate of affairs of the charity and o* rts gfinancial activities for the yaer.
In prepararing thoso financial statements, the Trustees are require to:
1 select surtable accounting policies and apply them consistanlly,
2 make judgements and estimates that are reasonable and prudent,.
3 slate whether applicable accounting standards and slemenls ol recommened praclie
have been followed, subject to any departures disclosed and explained in the
financial slalemenls..
4 prepare the financial slalemenls on the going concern basis unless il is inappropriate
to assume that thè ¢harily will continue in operation.
The Trustees are reponsible for keeping accounting and financial records which disclose with
reasonable accuracy al any lime the financial position of the charity and lo enable them lo
ensure that the financial statements comploy with the Charities Acts 1993. They are also
responsible for safeguading the assesls of the charity and hence for taking reasonable steps for
the prevention and detection of fruad or other irregularities.
The report was approved by the Board on the 30 June 2022 and signed on ils behave by
MTS Tolulope Omorere
Trustee Chairperson

CHRIST GOSPEL CHURCH INTERNATIONAL
STATEMENT OF FINANCIAL ACTIVITIES
{INCOME AND EXPENDITURE ACCOUNTSI
FOR THE YEAR ENDED 31 MARCH 2023
UNRESTRICTED
FUNDS
UNRESTRICTED
FUNDS
2023
2022
NOTE
INCOMING RESOURCES
Tithes. gift aid and similar income resources
138.154
89,924
TOTAL INCOMING RESOUCES
138,1 $4
89,924
RESOURCES EXPENDED
Charrtable activities
Governance costs
90,167
41,855
65,556
11.346
TOTAL RESOURCES EXPENDED
132,022
76,902
MOVEMENT IN TOTAL FUNDS FOR THE YEAR-
NET INCOMEIEXPENDITUREI FOR THE YEAR
6,132
13,022
TOTAL FUNDSAS AT 1 APRIL 2022
45,501
32.479
TOTAL FUNDS AS AT 31 MARCH 2023
51.633
45,501

CHRIST GOSPEL CHURCH INTERNATIONAL
BALANCE SHEET
AS AT 31 March 2023
Notes
2023
2022
FIXED ASSETS
TANGIBLE FIXED ASSETS
2,000
3,000
3,000
CURRENT ASSETS
Deposits and Cash 81 Bank
50,033
50,033
42,901
42,901
LIABILITIES
Creditors.. Amounts lalling due within one year
4001
14001
Net current assets
49,633
42,501
TOTAL ASSETS LESS CURRENT LIABILITIES
51,633
45,501
CHARITY FUNDS
Unreslricled fLJnds
51,633
45.501
TOTAL FUNDSIIDEFICITSI
51,633
45,501
We approvo these accounts which comprise the Receipts & Pay7nents, Statements
of Assèts & Liabilities and related notes. We acknowledge our responsibility for the
accounts, including the appropriateness of the accounting basis as set oul in note
1, and for providing 811 the information and explanations necessary lor their
compilalK)n.
Trustee
Dated
Trustea
Dated
On behalf of the Charity

CHRIST GOSPEL CHURCH INTERNATIONAL
Profit And Loss Account
For the year ended 31 March 2023
2023
2022
Income
Gift aid
Tithe & offerin9S
Total income
19,402
118,752
18,959
70.965
138.154
89,924
Expenses Accountants fees
Bookkeeping
Books
Depreciation
Donations
Honorarium
Insuran
Missions
Motor expenses
Music
Rent
Repairs & maintenance
Slalionery and printing
Sundry expenses
Travel and subsistence
Wages and salaries
Welfare
Total expenditure
400
200
2,505
1,000
15,100
7,057
400
200
1,850
1,000
6,588
6,105
1,144
8,845
336
5,442
14,644
97
5,388
4,358
4,882
10,456
5,167
9,099
12.000
20.500
4.450
5,126
7,105
40,25S
7.225
132,022
76,902
Surplusl{deficit)
6,132
13.022
Fund balance blfwd
Fund balance clfwd
45,501
51,633
32,479
45,501

CHRIST GOSPEL CHURCH INTERNATIONAL
Notes to the financial statements
for the year ended 31 March 2023
1 TANGIBLE FIXED ASSETS
Furnitue. fitting
and equipment
Total
2 COST
At 1 April 2022
Additions
5,000
5,000
As 31 March 2023
5,000
5.000
DEPRECIATION
Al 1 April 2022
Charge for the year
2,000
1,000
2,000
1.000
As 31 March 2023
3,000
3,000
NET BOOK VALUE
As 31 March 2023
2,000
2,000
As 31 March 2022
4,000
4,000
STATEMENT OF FUNDS
BROUGHT
FORWARD
INCOMING
RESOURCES CARRIED
RESOURCES EXPENDED
FORWARD
Unrestricted funds
General funds
45,501
45,501
6,132
51,633
138,154
138,154
(132,022)
132,0221
45,501

CHRIST GOSPEL CHURCH INTERNATIONAL
Notes to the Accounts
forthe yearended 31 Ma￿h 2023
1 ACCOUNTING POLICIES
Basis of accounting
The Iinancial slatetemenls arè prepare(J in accordOn￿ with appluble accounb'ng standards
using the Historical Cost Convention.
The financial 5t8teternents refiect the requirements of the reviseu Statement of Recornmended
Praclice"Aceounting for Charities. ISORPI. The Charity complied with best practice at the time
of preparing these accounts.
Tan9lble Fixed A55ets
All fixed as58t$ are capilalised. The charge for depreciation is calculated to wriie off thè cost ol
the fixed assets over th•r useful lives on the following bases".
Equipment
20% on the reduong balan
Motor Vehides 25V¢ on the reducing balance
GENERAL
These Accounts have been prepa￿d on the re￿iptS and payments basis and in aecordance with
appI￿ablE Accounting Standards and the Charitable SORP Istatemenl of Recomrnended Pracbce
on A¢counting by Chariliesl.
Incom•
Income is accounted lor on accru8ls basis, exc8Pt for donations, which a￿ credited when ￿Ce1ved
These represents gifts. donats"ons, tithes. Offe￿ng5. pledges, Gift Aid and bank interest given to the
Charity (Juring the year.
2 Charitable Donations & Gfjfts to Missions
These represent amount5 given lo various individuals, organisats'ons arKJ other charitablè trusts.
Honorarium to wsiting speakers and r8rnittan￿s foi missionary work
Exp6ndllure
All expenditure is accounted for on an 8ccruals basis.
Resour￿$ expended on chari13ble activities comprise all the resour¢e$ applied by the ¢harity in
underkating its work to tneel ils charitable objectives. These costs includè the direct costs of
the charitable activities with those 5UPPOrt costs incurred that enable these activitie5 to be
undertaken.
Eypend5ture on govemance costs are the costs incurt8d by the charity to operate and to generate
the infomiation r8quirÈd for public accountability
Funds
The charivs funds are unrestricted and a￿ available lor use al the discretion of the Board ol
Trustees.
Board of Trustees Remuneration and expenses
No remuneration directly or Indirectty was paid or payable out of the fund5 to any of the
Trustees for their duties as trustees.
10