Registered number
1041376
CELESTIAL CHURCH OF CHRIST (7th YEAR PARISH)
Trustees, Report and Financial Statement
Report and Accounts
29-Jun-21

Regtstered number
1041376
CELESTIAL CHURCH OF CHRIST (7th YEAR PARISH)
Report and accounts
Contsnts
Pago
Charity Information
Trustees, Report
Statement of Trustees responsibiltties
Independent Examiners report
Statement of Financial ActiVit￿S
Balance sheet
Notes/Schedule to the financial ststements

Registsred number
1041376
CELESTIAL CHURCH OF CHRIST (7th YEAR PARISH)
Charity Infonnation
Contact Details of Charity is
Mrs Adesola Alo (Trustee)
Mill Haven
Mill Road
Aveley, Essex
RM15 4SR
07946499467
b d 18181
ahoo.co.uk
Accountants
GKI Associates Ltd
31 River Road
Barking
E55ex
IGII ODA
Banke
Barclays Bank
Solicitors
Rgglstered office
776A Romhrd Road
London
E12 6BU
Charity number
1041376

CELESTIAL CHURCH OF CHRIST (7th YEAR PARISH)
Reglstered number:
Trustou. Report
1041376
The Trustees present their report and accounts forthe yearended 29th June 2021.
Trustses
The foliowlng t￿r$on$ served as T￿￿ee& dulhig Ihe year.
Mrs Adelola Alo
Mfs Mufjrat Abdul
Mr Amlnu Ibr•heem Su
T￿￿t¥9$. re8p0￿1bIlltl
The Trustees are respM$tt>18 for Fyepartry the rep(Kt and acccAmts In ac4)ydance aprlkable kny
and regutations.
select suitsble accounting Folicies and appty them consistenty,
make judgements and estimates Ihat are reasonable and prLtht
prepare the accounts on the 90ing bas￿ unless it ts ￿apprO￿th to presume that
Chwlty Will conttnue in business.
The TTUStees are responsibkn for kwing adequate rewds that are suTrient to shs)w
explain the Chari¥s tran&%tions and disclose tmih reasonable accufacy at any time the firbanci81
FosI￿n of the charity and enable lo ensure that the compty wilh the Charity Lxmmission
ACL They are also responslbie for safeguardKw the assets of Ihe and l*nce for takir¥g
Dl•¢lo•urn ot Infonnatlon tt> audlto
Each person who wa5 a T￿￿tee at the time this report was approved confirms that:
80 far 8$ he is awe, Ihere is no relevant audft infmthn Ihe Gharty examirw 15
unaware", and
he has taken gl Ihe steps that he wht to taken as a Truslee ffi ￿der to Make hlmself
aware of any Rlevant audit InfLymati￿ a)d to estr￿1$h that the cw examnw is aware of
that infOrn￿n.
This report was approved by the board of Tnstees
and Signed ¢)n its behalf
Trustee

CELESTIAL CHURCH OF CHRIST (Tth YEAR PARISH)
Statemont of Trusteas Responsibililies
The Charlties Act requlres the Board of Trustee5 to prepafe financlal 5tatement5 for each
financial year which gwe è true and fair view of the stste of affairs of the charity as at the end of
the financlal year end of the surplus or deficit of the d￿rity. In preparing those financial
statements the Board ts required to:
select suitable aocounling pofKies and tr*n appty them omsistenty.
make ILtrJpm?nts and e5timatss that are reascmatrk and prudent
prepare the accounts on the going concwn basis unle55 it is inapprowiate tr) presume
th* the charity will ¢ontinue to operate.
stste whether applicable accounting standards and Statements of recommended
practice have been followed, Subject to any material departures di5cl<>sed and
explained in the financial statements.
The Trustees are also re5pon%ble for maintsining adequate accounting records which disclose
with reasonable accurary at any time the financtal posltion of the Charity and which are sufficient
to show and explain the Charity's transactions and enable them to ensute that the financial
statements comply with regulations made under the Charities Act. They are also responsible for
safeguarding the assets of the Charity and hence for reasonable steps for the prevention
and detertion of fraud and other irregularltie
This Trustees responstbilities was approved by the board of TTUStees on And
si
nedoni
behalf bv:
Mr8 Ad
Trustee
la Alo

CELESTIAL CHURCH OF CHRIST Inh YEAR PARISHI
Accountants R•port
fortheyearended 291h Junp 2021
We reportontheffinanaal ststements oftheCharftyfortr* year erKled 29thJune 202L are set(wrt onthÈ an#Èxed page
The CharttiesTrusteesare resrtffjslble forthe preparati￿ of the Finamial statemen￿The Trusteesare Satisfied thatthe audlt
requlrementof sethors 144lllof the ch4rityesA￿ 2011 lthe ￿tI does rKrt apply. ￿ there is no requirement ir¢the 8tr4eming doojment
orconstitution ofthe ch4rttyforthÈ ¢¢x*lutbngofan audlL asa ccwuerKe, the Tw5t&s havt eletted thatthefinanoal ststernerrt5 be
subjertto independertÈxamtrtabon.
H8￿nEsatIsfted ourseivesth*the thartty is rMrt5ubiettto audil￿ Is dfjglble Ir*knndentexaminaiKxi It is tyjr respon51bllty to
al examlnethe accounts undersecbtin 145 oFtheAtt
bl Tofollowthe prr￿edureS lald down In the gerthl dtreciic
glven by the CharityCcmmi5sion UnderseCt*￿ 145(SMb)oFthÈAct
and;
cl To state whetlw partigJl8Tmatters hwe tome to ourattention.
88&L* ofoplnlon and ofwork und•rt*An
we conduLted (xjr examination In a¢CL¥dan￿ with the general diredions wen by the charrty cornrni&5ionÈrs for ETh8land and Wales in
relation to the condurtlng of an independent e￿￿1r￿0fft. referred to above. An independeftt examinatlon sndudes a re￿eW of the
countlng records kept by the Ltharrty and of the a(JJ)untirrf systems employed by tharity and a comparisoTr of thp finawal ststements
presented with those rwJryl& It also indudÈs te￿SIdera160r¢ of any item5 or disdosures in the firoTroal staternents. and seeking
¢xpl•natioft from the Trustees cOn￿mi￿ suth matter> purwjse ofthe txamination isto e5tsbli5h a5 far as p0￿ble th* there have
been Th) breaches of the charitie5 le8islati<)n afKI that￿ fina￿al statementsrAJrnptywith the SORP. a test bwi5 of eVNIen￿ relevant
to the amounts and disclosure5 in thefinan(iHI $14tement
In our oplnlon. ex￿pt forthe p0￿b￿ effect5 of the M￿tterde￿i￿ ift￿ bassfor qvafthed ownion seth￿1 ofour reporL thefinancial
ststernents.. • give a true 3nd fair vthv of the state of the Owritse5 ofFair5 a5 at 29th 2021 of the tharities Fir￿Th￿l acijvityfor
the yearthen ended based ￿ the Informati￿ prrydtded.
Basis for Qualffiod Oplnlon
In vlew of our examination, main maiterttbat ¢ameto our aitenfjon whlth8t¥es usrea5cnable ￿usetts belie4e that all requirements
have been met or adheted to. was that while CoThjuthr￿ wr review of accounts. we wEr2 ￿$trIcted to the arnount of annual bank
statements prcNlded. The rea50n w¥en by the treawrv that it wa5 due tts an of the COVID effert and as suth onlv
ststements frorn the 4th of Jan￿ary 2021to the 29th ofjune 2021 lapFwox 6mcthl WEre prcNideil. andtrea5urerwent on furtheito Sav
rLO aCt￿ltIeS took platr prior to the dates pthided. We h￿e not cwried (Krt an audit or ffj othw rewew and consequenlty we do not
expressany opInb￿ orsthe5e account&
We are independent of the tharity in accordarKe the ethriJl rwuirerneFrts that are relevant to OLsr preparation of the finanual
5tstements in the UL induding the FRC5 EthKJl Stsndatd. and h*e fulfilled ryjr other ethiral re5POn5ibiltbes in accordan￿ vAth
these requirements. We believe the *idefi￿ have obtsir*d 15 5uffioent aryl approprtate tr) prtr4ide a basis for our qualified
oplnlon.
M12023
Assooates Ltd
31 IITver Road
8arking
E55ex
IGII OOA
WA4

CELESTIAL CHURCH OF CHRIST {7th YEAR PARISH)
Statement of Flnancial Activities
for the year ended 29th June 2021
unrestric￿ Totsl
Fund
2021
Total
2020
Incoming Resourcfjs
Incoming Resources from generated Funds:
Voluntary Income . rrthes & Offering
voluntary Income: Offering
HMRC Charities
22,136
22.136
29,099
12,794
12.794
21.653
Total In¢omlng Resource5
34,930
50,752
Resources Expended
Charitable activities .'S/O CCC
Gift and Donations
Other charitable purposes
management & Adminni5tration costs
51x1
500
1,200
35.430
35,430
51,139
Total R•sourceg Used
35.930
35,430
52.339
Exceptional items..
profit I loss on the disposal of tangible fixed assets
profit I loss on the disposal of investments"
Not In¢omingllOuigolngl Resources
(1.000>
{1.IX)01
-1,587

CELESTIAL CHURCH OF CHRIST17th YEAR PARISH)
B•lance Sh•et
a> at 29th Juno 2021
Flx•d a¥gets
Curr•ntas¥ets
Debtors
Cash * bar* and kn haThl
3255
3255
1,689
Cf•ditor4: amou￿ fallng du• wlthln
one y•ar
Net¢unont a••et• I Ilabifrtie
Total a*th$1••g ¢mnt liabifrfkn•
3255
Cr•dltorn: amounts du• aft•r
mor• than one y•ar
10
NotA8Mts i Lts￿l￿e•
3255
1.689
Funds
Unrestricted Funds
Restrlcted Fur
Total unvg•lTlcted Funds
3255
The Finandal stat￿ent wue approved by the board and ￿ed on its behalf by.
Trustee
Appr￿d by theTrustee5 on the 18109n3

CELESTIAL CHURCH OF CHRIST (7th YEAR PARISH)
Notes to the Accounts
for the year ended 29th June 2021
1 Ac¢ountlng pollct08
Basis of preparation
The accounts have been prepared under the hi%tori¢al cost conventK)n and in accordance the
Financial Reporbng Standard for Smaller Entities {effective Apnl 2008).
1 Incoming Resources
Income from the tithes and offerings. is included in incoming resources when these a
receivable.
Investment incomfr
Investment income consists of Net interest re￿iVed during the year and accounted for as un-
restricted fund.
1 Resources Exp8ndod
Resources expended are included in the staternent of financial arttvities on an accrual basis,
inclusive VAT which cannot be recovered. Certain expenditure is attributable to specific
activities and has been included in those cost categories.
1 Tangible Fi¥edAssets and Deprnciation
There are no tangible Fixed asset depreciable at the moment
Dopreclatlon
Depreciation is provided at rates olculated to write off the cost or valuation of fixed assets less
their estimated resldual value overtheir experted useful live5 on the following basis..
No depreciable assets
2021
2 Donalions & slmilar incoming resour￿5
Tithes & Offering
22.136
HMRC Charities
12,794
34,930
2021
3 Grants in furtherance of chaiity obiecthres
Charitable Activities.. _ Slo CCC
500
51KJ
4 Actlvhles in Furtherance of charity obigcllve
2021
Special alms
Evangelism
5 Management & Admln Costs
2021
Wages & Salary incl 5heperds stipends
Utilities
22.093
1,342

Rates (Council)
Telephone & Fax
Admin and Office
Bank Charges
Insurance Iclose Moyakl
Transport & Cab
Sundry
576
1.394
1.427
200
5,829
35,429
6 Net In¢omlngl{Outyolng) Resourus
X121
JJ99
19991
8 Cash at Bank and In Hand
20
Comm Acct Statement-1
Comm Acct Statement -2
Comm Acct Statement -3
70979S89
1237.94
868.23
475.73
9)77W21
Business Prem Acct- 1
Business Prem Acct- 2
410.72
262.83
3255.45