CALVARY BELIEVERS MifslSTRIES INTERNATIONAL
TRUSTEES, REPORT AND FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2024
JSA & ASSOCIATES
CHALLENC.E HOUSE
616 MITCHAM ROAD
CROYDON
CRO 3AA
CHARITY REGISTRATION NUMBER 1059080

CALVARY BELIEVERS MINISTRIES INTERNATIOYAL
CONTENTS
PAGE
Legal and administrative infonnation
Tiuslees report
Independent Accoiintant's I"eport
Statement of Financial Activilics
Balance Slieet
Notes formin¥ part of the financial statements
9-10

CALVARY BELIEVERS MIIIISTRIES INTERNATIONAL
TRUSTEES:
Rev. Elizabeth Tetteh
Harriel Amlo-Agyei
Selh R Dodoo
tieorge K Agyei
RFGISTERED OFFICE
68 Riverdale Road
Erith
Kent
DA8 IPX
BANKF.IIS:
National W¢stmin4ter Bank
Brixton BranLh
ACCOUNTANTS:
JSA & ASS()CIA'fES
AC'C:OUNTANTS
Challen&yL House
616 Mitcham Road
CIIO 3AA

CALIAARI, BELIEVERS MINISTRIES INTERINATIONAL
TRUSTEES, REPORT
Thc trustees have pleasiire in siibmiltiiig tlicir rcport (￿d accounts for the period ended
31 March 2024. Thc Iiiiancial stalenients liave been preparcd In accordancc wilh thc
acLounting policics sct out on Page 8, and comply willi thc Stalcmcnt oL'Rccommcndcd Practicc
and applicable law.
Constitution Ob'ectives of the Or
anisation Princi
al Activities and Or
anisation of our woi"k
Tlic Ministry is conslilulcd undcj. a trusi dc¢d and is rcgistcred with the Cliarily Conimission.
Thc obj¢ctives of tliL Church as sct oiit in thc Dccliif<ilioii ot"Trust arc:
a) Tlie advanccmcnt of. Ihc L Iiri%tian Faith in thc Unilcd Kin&Jduni <ind dbro£ld.
b) Thc rclict, of persons who arc in Londilion of iiccd, hardship or dislrcss
in tlic Unit¢d Kingdom or (Ibroad.
Tli¢ principdl aclivilics of thc Lhurch 14 T¢ Christian worship aiid involvcinciit ol.
vari011s niini51rics and niinislcrs of rcligion 10 propcLgal¢ Cliribtl<in tcncts, rclict. ot.
povcrty. provision ot. c)vcrscas aid tind assistance to vicliins ol. t"oiniiic.
Tlie Lliur¢li lias bccii iiii'olvcd iii Cliristii)11 prograin%, Ihcsc arc dcsigncd lo incrcasc Clirislian
awaMncs% and IhL spfLdd ol" Ihc gospil c)f our Lord Jcsus Christ.
Future Develo
ments
Thc Church will Lonliniic lo focus its ficlivitics lo meet the objectives of thc TrLlSt.
Review of financial
osition
Tlie net incrcasc in rcsourLcs for thc pcriod amoLintcd lo £16,095

CALVARY BELIEVERS MIIIISTRIES INTERN.ITIO_NAL
TRUSTEES, REPORT
Lontinued
Statement of Trustees, Res
onsibilities
The Cliarities Acl requires the TrLiStees to prepare financial statements t-or cacli finanLial year, which
give a tru¢ and lair view ol. th¢ stat¢ ot at-tairs of thc Organisation and ot-the 5Lirplus or dcficit of ihe
organisatioll for th<lt period. In prepariiig those finiincial 51aleEnents, tlie trustees are rcqucstLd to..
Sclccl suildblc accounting poliLics (ind Ihcn &ipply thLm con5iStLntly'
Makc.judgLmcnts dnd cslimates that arc rciison¢iblc and prLidcnt;
Stale whctlier applic<iblc accounting standards and slalemcnls, of recommcndcd prdclicc havc
bccn followcd. subjccl to any dcparlurcs discloscd and explaincd iii thc financial slalcmciits;
Prcp(Irc tlic fin(Incial stdtements on the going conccm basis unlcss Il is inappropriale lo
prcsuiiic tliat ihc Orgdiiisalioii will continiic in opcralion.
Thc Triistccs arL rcsponsible for kecpiiig propcr aLcouiiling rLcord%, ￿,11]Ch di%closL With J'C<15011iiblc
Jccur¢lCy Jl dny tim¢ Ihc finaiicial position of tlic Orgaiii%<ilion dnd to cnablc Ilicin to cnsiirc Ilial Ilic
finanLidl stdtcniLlItS Loinply witli Ilie Ch<irilics ALI. They are a150 rL'spunsiblc for s(IfegLliirding tlic
dsscls of th¢ OrgdlllSJtion and licnLc lor taking rcasonablc stcps for thc prcvcnlion and dclcLtion of
fraud cind othcr irregularitics.
ALLountants
Th¢ acLountants, ML5srs. JSA & ASSOCIAI'ES., Iidvc LxpfL55cd tlicir willingiicss lo stay in offile.
roval
Tliis rcport was dpprovcd by the board of tru5tccs and S1￿cd on its bclialf
by..
George K AgyLi
D¥ltL.d:

INDEPENDENT ACCOUNTANTS, REPORT TO THE
TRUSTEES OF CALVARY BELIEN'ERS MINISTRIES INTERINATIONAL
Wc cxamiiicd the financial slal¢mcnt of c.alvary Bclievers Ministries International
for Ihc ycar cndcd 31 March 2024 set out on pagcs 6 to 10. Tliese Financial statements have b¢¢n
prcpdrcd Lindcr tlic H islorical Cost Convcnlioii (ind the accounting polici¢s sct oiit Oli Piigc 9.
Respective Responsibilities of Trustees and Independent Accountants
Thc Triistees responqibililic5 for preparing the Tru8tces' Rcport and Ihe linanci<il statemeiits in
dccordancc with applicablc laiN' dnd Uiiiled Kingydom Accounting Sidndards dr¢ set out in Ihc
Statciiicnt of i"rLlStees rcspon%ibililics on pagc 4 dnd 5.
We liave bccn appointed as indcpLndcnl aLcoLintantants undcr Section 43 ot. tlic Charilics Act 1993
and rcport in accordancc wilh rcgLilations madc uiidcr Scction 44 of Ihal Act.
Oiir rcspon%ibility is to c￿mine Ihc financial stat¢ments in iiccordaiicc with r¢lcv¢inl rcgul(Itory
rcqiiircni¢nts Jnd undLr Unitcd Kingdom Accoiiiiting StJnddrds.
Wc read ulh¢r inl'ormalion containcd in Ihc I"rustces' Rcport dnd l-. indnL idl Stdlcmcnts. and ¢on%idcrcd
Ihat it IS Lonsislcnl wilh thc CX&imincd fiiiaiiLi<il sldtcnicnts.
JSA & ASSOCIATES
J<4A & Associates
uiie. 4, Ckiallenge House
616 Milcham Road
Croydon, CRO 3AA
ALLount<inls
Clialleng¢ I luusc,
616 Mitcliam Road
CRO 3AA
Datcd .

CALVARY BELIEVERS MIfsISTRIES INTERNATIONAL
STATEMENT OF FINANCI.4L ACTIITITIES
FOR YEAR ENDED 31 MARCH 2024
Notes
Unrestricted Restricted
Funds
Funds
Total
2024
Total
2023
Incoming Resources
Activities in furtherance of the Church's objects
Tithes and Offering
Baiik interest received
Gift aid
Other income
Total InL'oming Resources
32.991
1,549
8,606
-340
43,486
32,991
1.549
8.606
-340
43,486
32,365
8,029
41,045
Resources Expended
Cost of generating funds
C,ost of Actii'ilies in furlheraiice
of objectives
8,422
18,422
27.824
Charitablc Expcnditure
Man¢igienient & Adniiiiislration
8,969
8,969
16,404
Total resource expcnded
27,391
27,-191
44,228
Net Movement in funds for the year
Prior Year Adju%tmcnts
Total funds brought forivJrd
Total funds carried forward
16,095
221
118,886
16,095
221
118,886
(3,183)
(2,463)
124,532
135,202
135,202
118,886
Thcrc wcrc no rccogniscd gains oi. losscs lor Ihc pcriod othcr than thosc included in the Stalcment
of F inancial Activilies
Tlic notcs on pagc 9 to l O toi'in part ot Ihe5c finaiicial 5latcmcnts.

CALVARY BELIEVERS MINISTRIES INTERNATIONAL
BALANCE SHEET
AS AT 11 MARCH 2024
Notes
2024
2023
Fixed Assets
Tangible Assels
2,296
3,062
Current Assets
Cash at baiik and in hand
136,367
118.k86
Current Liabilities
Amoiinls falliiig due witliin one year
400
1.100
INet Current Assets
135,967
117,786
Total Net Assets
138,263
120,848
Funds
Unrestrictcd Fuiids
Reslriclcd Fuiids
Reserves
136,367
118,886
1,896
138,263
1.962
120,848
Approvcd by thc Trustecs on:,...
diid sigiiLd 011 its belilaf by:
Georglc K Agyei
Trustee

CALVARY BELIEVERS MINISTRIES INTERNATIOINAL
NOTES TO THE FINANCIAL STATEMENT
FOR YEAR ENDED 31 MARCH 2024
Accounting Policies
l. Basis of preparation of accounts
ThL' accounts arc prepared uiider Ihc historical cost Loni'enlion and inLludc the i-csults of
the Organisation's opcralions which arc dcscribcd in thc Tn]stces' Report and all ot. wliich aTC
conlinuing.
Tlie accouiils IiaN'¢ bccn prcpai-cd in accordance with the Staleinent of Recommended Practice
for Charity Accoiinls and th¢ Charities Act 2011.
The Org41nisalion has taken advantage of th¢ excmpiion in Financi.?1 Reporting Standc1rd No. I Irom Ihe
reqLiir¢menl lo producL a Laslillow slai¢incnt on the groLiiids that it qualilies as a small Organisation.
1.1 Incoming Resources
Tithes and Offering
Incoine from iiilics and offcring, is included in inconiing resoLirces when tliese are receivable.
Other Income
OihLr Income coinprises incoille from welfare donations & other donLl1ions. il also include gift aid,
Ihesc are Jll decm¢d as unrestricted t"unds.
1.2 Tangible Fixed Assets for use by the Organisation and Depreciation.
Individual tixed a$8ets cosliiig £120 or ni(Ire are capitalised &1 cost.
-I"aii¥ible fixed asset.s for use by Ilie Church are staled at cosi less depreciation.
Depreciation is proN'ided ai rates Cl6 Iculal¢d lo writc otl Ihc cost or valuation ot. tixed asscts,
less theii. estiiiialed rcsidual valuc, ovcr th¢ir cxpLLled uselul lives on Ilic lollowing basis..
Equipment, Fixttires & Fillings
20/0 per anniim
Motor Veliicle
20 /0 per anniiin
The Organisation lias taken advantage of the ¢x¢mplion in Fin(Incial Reporting Siaiidard No. I from thc
reqiiircinent tc) produce a cashtlow slalement on the grounds Ihal it Lllliilities as a sinall entity.
1.3 Value Added Tax
Value Added Tax is not recoverable by the Organisation, and as such is inLluded in the relevaiit
costs in the Statement of Financial Activities.

1.4 Resourccs expended
Resources expcndcd arc inLliidcd iii the StaiLin6nl of Financial activilics on an accnials basis. Ccrtain
costs havc b¢cn apporlioncd belwccn Cost of Acliiiilies in Fiirlherance of Objeclives and Managcment and
Adininistration on the bases consistcnt wilh thc usc of thosc resoLirccs.
1.5 Funds Accounting
Funds lield by thc Charity:
Unrestricted gcncral fund coinpnsing funds which can be used in accordJn¢c willi Ihc charitablc
objccl8 at the discretion of tlie Iruslees.
Reslricted tiinds which were raised for parliciilar restricted piirposes and can only be used for those
particiilar resli'icled piirposes within Ihe objects of the Chiirch.
2. Cost of Activities in furtherance of objectives
Unrestricted
Restricted
Total
2023
Rcnt
Kids SLinday Scliool
Instruiiiciitals & Equipincnt
Miiiislrati()ii Costs
Bcach I'rip & Aniiual Dinner
Donaiilioiis & Missionary Costs
Training & Conlcrciices
Food and Drinks
9,513
1,806
9,513
1,806
7,425
1,979
12,720
2,595
2,293
850
93.
430
18,422
2,595
2,293
850
5,700
430
18,422 27 824
3. Management and Administration
Unrestricted
Restricted
Total
2023
Printing, Postatgc & Staionery
Bank Cliarges & iiiterest
Insurance
Books glid Subscriptions
Repairs & Maintcnance
Salary & Allowances
Depreciation
Hardship fund and gifts
Accountancy & Legal Fces
Sundry Expenses
397
397
166
572
667
6,250
766
667
6.250
766
12,775
1,100
400
489
8,969
400
489
8,969 16,404
10