## **Christ Evangelical Church** 

Year ended 31 March 2022 

## **1)  Direct Charitable Expenditure** 

|**1)  Direct Charitable Expenditure**||
|---|---|
|Akwadum Project|20789|
|Total|20789|
|**2)  Management and Administration**||
|Bank Charges|0|
|Insurance|1500|
|Accountancy|200|
|Telephone and Internet|1250|
|Repairs and Renewal|4595|
|Heat and Light|8591|
|Miscellaneous|3200|
|Travel Transport|3520|
|Water Rate|3100|
|Printing, Postage and Stationery|700|
|Heath and Safety|150|
|Total|26806|





## **Christ Evangelical Church** 

|**Balance Sheet**||
|---|---|
|As at 31 March 2022||
|**Fixed Assets**||
|Tangible assets|0|
|**Current Assets**||
|Cash at bank and in hand|350|
|**Creditors due within 1 year**|5595|
|**Net Current Assets**|-5245|
|**Creditors due after more than 1 year**|0|
|Net Assets|-5245|
|**Untestricted Funds**|-5245|
|**Approved by Reverend Gregory Korsah**||



On behalf of Trustees on 



## **Christ Evangelical Church** 

## **Financial Activities** 

for the year ended 31 March 2022 

|**Incoming Resources**|**Note**|£|
|---|---|---|
|Tithes and Offering||45405|
|Special Offering||0|
|Total||45405|
|**Resources Expended**|||
|Direct Charitable Expenditure|1|20789|
|Management and Administration|2|26806|
|Total||47595|
|**Net Incoming Resources**||-2190|



