MARANATHA MINISTRIES
Report and Accounts
31 March 2025

MARANATHA MINISTRIES
Report and accounts
Contents
Page
Charfty Infomiation
Trustees Report
Independent Examiners, Report
statement of Flnancial Activities
Balance sheet
Notss to the accounts

MARANATHA MINISTRIES
Charfty Informatlon
Trustees
Eleanor Erskine
Mrs Constance Mmieh
Ms Dorothy Bray
Secretary
Ms Dorothy Bray
Accountsnts
Ephraman & Co
Chartered Certified Accountsnts
4 South Walk
Kent
BR4 9JA
Bankors
Barclays Bank PIC
Reglstered Office
Grafton Square
Clapham Common
London
SW4 ODE
Charfty Number
1053084

MARANATHA MINISTRIES
Trustees. Report
The trustees present thelr report and accounts for Ihe perlod ended 31 March 2025
ObJ•ctlv•s and Actlvltles of tho Charlty
Tha oblectlves of the Charfty as set out In the Declaratbn of Trust are:
a) the advancement of (he Chrfstian Faith In the Unlt8d Kingdom and abroad
b) the relief of persons w¢)0 are In condltions of need, hardship or distress or who are
aged or slck, in the United Kingdom or abroad.
The princlpal activitles of the church are Chrfstian worship and Involvement of varlous
ministries and ministers of religion in propagating Chrfstlan tenets to members (arKI non-
members) of the Minlstry at various meetlngs.
To achieve these objectives, the Church was involved in Christian outreach prograrnmes
designed to increase Christian awareness and spread the gospel of our Lord Jesus
A¢hlevem•nts and P•rfomianco of th• Charfty
Maranatha Minislries continued its efforts in the preaching of the gospel and increased
avRreness of the Chrlstlan falth In and around the communlty the church Is sltuated, Many
people were mlnlstered lo durlng the year by way of prayer, counsellng, and offered help
and support as befitting as possible. Evangelistic outreach was heightened and the
pleasing thing is thal many people in the community were reached with the simple
message of the gospel. Distributlon of leaflets and tracts was done and th8 response has
been very encouraging indeed. We have seen people visit us In our serrfices from time to
time and our prayer Is that visitors come In will stsy to become potential memberJ of
the church.
Future Development and other relatsd actlvltlas
For future developments and other relaled activitles, the Church wlll continue to focus ts
advitles lo meet the objectlves of the charfty as prescrfbed above. There would be more
emphasis on evangellstic outreach. Worship. Misslons and 8550 carry out a bullding
projecL
Independent Examlnern
Ephraman & Co have expressed thelr willingness to remaln In office as Independent
Examlnars
Approval
This report was approved by the board on 18 November 2025.
Dorothy Bray
Trustee

MARANATHA MINISTRIES
Independant Examlner• Report
Indépendent Examlner's roport to the trustse• of Maranatha Mlnlstrles
We report on th8 Flnancl81 Statements for the year anded 31 March 2025 88t out on pag88 4 to 7.
R•Ap•ctlv• r•Jpon•lbllltl•• of tru•tee• and •xamln•r
The charltys trustees are r8sponslble for the preparatlon ol th8 arxounls. The ch8rltY8 tru8t688
consld8r that an audlt Is not requlred for Ihls year under seGtlon 144 of the Charltles Act 2011 (the
Charitl8s Act) and that an Indépendent examlnatlon Is needed.
It Is my r8sponslb115ty to:
Examlne the 8ccounts under s8Ctlon 145 of tho Charltle8 Act,
To follow the procedures181d down In the general Dlrectlons glv8n by the Charfty Comml8slon
(under sectlon 145(S)(b) of the Charltles Act), and
Bas1• of Indop•nd•nt •xamln•rf• •tat•m•nt
My examlnatlon was carrled out In accordance YAth general Dlr8LXlons glven by the Charity
Commlsslon. An ex8mlnatlon Includes 8 revlew of the accountlng records kept by the charity and 8
comparlson of Ihe accounts pr8s8nled wlth those records. It also Includos conslderatlon of any
unusual Items or dlsclosures In the accounts. and seeklng explanatlons from the trustees concerning
8ny such matters. The procedures undertaken do not provlde 811 tha evldence thal would be requlred
in an audit, and cons8quenUy no oplnion 18 given as to whethor th8 accounts present a 'true and fairf
and the report Is Ilmited to those mattars set ¢)ut In the statement below.
Ind•p•nd•nt •xamlA•rfs •tat•m•nt
In connectlon wlth my examlnatlon. no matter has come to my attentlon..
1) whlch glves ma reasonable cause to befi8va that In. any materlal respect, th8 requlr8ments:
to keep accountlng records In 8ccordance with section 130 of the Charltles Act;
to prepare accounts whlch accord ￿th the accounlln9 records and comply wlth the accountong
requlrem8nts of the Charltles Act have not been met", or
1) lo whlch, In my oplnlon, attentlon Should be drawn In order to enable a proper underslanding of
th8 accounts to be reached.
Afari E. Banwell FCCA
Ephrarnan & Co
Chartered Certifled Ac￿ntsnts
4 South Walk
BR4 9JA
02 December 2025

MARANATHA MINISTRIES
Statement of Flnanclal ALtlvltlés
forthe year ondod 31 March 2025
Unrestrlcted Restrlcted
2025
2025
Total
2025
Total
2024
Not•$
Incomlng R•sourc••
Tithes & Offerings
Rentsl Income
107,594
107,594
133,746
166,688
183,976
R•sour¢•• Expend•d
Direct Ch8ritsble Expendiiure
Managernent & Admlnlstratlon
51,246
51.246
46.738
65,041
65.041
179,360
N•t Mov•m•nt In Fund• In th• y•ar
1.847
101,647
4.616
Total Fund8 brought foM*rd
1,210,627
1210,627
1206.011
Totsl Fund• Carrfed forward
1312 274

MARANATHA MINISTRIES
Balance She•t
a• at 31 March 2025
Notfjs
2025
2024
Flxed a88ats
Tanglble assets
1,222,347
1,225,434
Curront assots
Cash at bank and In hand
154,488
59,734
Net ¢urrent a$8ets
154,468
59,734
Total ass•t8 less curr•nt
Ilabllltles
1,376,815
1,285,168
Cr•dltorn: amounts falllng
duo after more than ono
year
(84,641)
(74,541)
N•t a880ts
1312 274
1210 627
Funds
Vnrestrtcted
Total Fund8
1,312.274
1312,274
1,210,827
1210 627
The truste83 aro satlsfied that the company Is entltHed to exemptlon from the requlrement
to obtaln an audlt under secllon 477 of the Companles Act 2006 and that members have
not requlred the company to obtaln an audlt In accordancè wlth sectlon 476 of the Act
The tru8teaG ackno%*ledge thelr r6sponslbllllle8 for complylng vAth Ihe requirements of the
The accounts have been preparèd In accordance wlth the provlslons In Part 15 of the
Companles Act 2006 appllcable to companles subject to the small LZ+mpanies reglme.
Dorothy Bray
Trustee
Approved by Ihe board on 18 November 2025

MARANATHA MINISTRIES
Notos to the Accounts
for th• y•ar •nd•d 31 March 2025
1 Accountlng pollclos
The flnancial statement8 hav8 b88n prepared under the hlstorjcal cost conventlon and In
accordance with the Flnanclal Reportlng Starxlard for Smaller Entltles (effectlve Aprfl
2008). The financial statements have be8n prepared In 8ccordance wlth Slatem8ni ol
Recommended Practlc* {SORP 2005).
Incomlng RosourcaB
Incomlng resources Indude of grants. donaUon3 and glfts, all of whkh are recognlsed on
recelpt basls.
D•preGlatlon
Depreaalion has bean provkled ai the folltr4Ang rates In Ixder to vnite off lh8 assets over
thelr estlmated useful Ilves.
Equlpment
Fumlture and Flttlngs
20% reduclng balance
20% redudng balance
2 Not Mov•mant In funds
2025
2024
This is staled after charglng:
Depreciatlon of owned fixed assets
3.087
4.162
3 Tanglblo fixed assots
Land •nd
t￿lI￿n95
Fyrnlturn &
Flttlngs
Equlpment
Total
Cost
At 1 Aprll 2024
At 31 March 2025
1,210,oIJ)
1.210.000
74,618
74,618
32.156
32.156
1316.774
1316,774
Dopreclatlon
At 1 April 2024
Charge for the year
At 31 March 2025
65202
1.883
67.085
26.138
1,204
27.342
91.340
3,087
94.427
Net book value
At 31 March 2025
1210.000
7￿33
4.814
1,222.347
At 31 March 2024
1,210.O¢J)
9,418
6,018
1.225.434

MARANATHA MINISTRIES
Notss to the Accounts
for the year ended 31 March 2025
4 Cr•dltors: arnount¥ falllng due after on? year
2025
2024
Other creditorsloans
64.541
74.541
S Funds
2025
2024
At 1 April
Nel Movement in funds
1,210.627
101.647
1,206.011
4,616
Al 31 March
1312,274
1,210.627

MARANATHA MINISTRIES
Schedule to Ststement of Flnanclal Actlvltle8
for the yoar ended 31 March 2025
for the information of the trustees only
2025
2024
Incomè
Incorning Resources
166 688
183 976
Dlrect Charltable Expondlturo
Mlnistry Glft
Welfare & Support
Minlstry Expenses & Conferences
Repalrs and malnlenanc6
Other dlrect costs
12,020
1,440
1,694
5,946
1,833
2,592
1,420
14,400
26.191
14,400
29,554
Pastorial Expenses
Transport & Travel
2,594
2,594
Prernlses costs:
Rates
Outside Services -security
Light and heat
Cleaning
1,652
6,044
9,161
2,241
785
16.104
3,658
20,547
Management & Admlnl8tratlon
Telephone and fax
ststlonery and prlntlng
Bank charges
Insurance
Software
Repairs and malntenance
Depreclation
Sundry expenses
Bank Interest Payable
742
656
620
41
897
90
968
105
5,953
3,087
1,078
122,652
3,859
1,077
12,023
129,802
Legal and professional costs:
Accountancy fees
Solicitors fees
Advertlslng and PR
Other legal and professlonal
1,548
156
68
1,860
240
720
2,820
1,772
35,487
153,169