CALVARY BELIEVERS MINISTRIES INTERNATIONAL
TRUSTEES, REPORT AND FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025
JSA & ASSOCIATES
CHALLENGF HOUSE
616 MITCHAM ROAD
CROYDON
CR03AA
CHARITY REGISTRATION NUMBER 1059080

CALVARY BELIEVERS MINISTRIES IIYTERNATIONAL
CONTENTS
PAGE
Legal and administrative information
Trustees report
Independent Accountant's report
Statement of Financial Activilies
Balance Sheet
Notes t"orming part of the financial statements
9-10

CALVAR Y BELIEVERS MINISTRIES INTERNATIONAL
TRUSTEES:
Rev. Elizabeih Tetteh
Harriet Am lo-Agyei
Seth R Dodoo
George K Agyei
REGISTERED OFFICE
68 Riverdale Road
Erith
Kent
DA8 IPX
BANKERS:
National Westminster Bank
Brixlon Branch
ACCOUIYTANTS:
JSA & ASSOCIATES
ACCOUNTANTS
Lhalleng)e House
616 Mitchaill Road
CRO 3AA

CALVARY BELIEVERS MtNISTRIES IIYTERNATIONAL
TRUSTEES, REPORT
Thc irustecs have pleasure in subniilling Iheir report and dLcountq for tlie pcriod ended
31 MdrLh 2025. 'Ihe I InanLldl statemei)Is havL becn prlpured in dLLurd<in¢c with the
accounlinb tK)IiLIL'S SLI oul on l)agc 8. Lomply wilh thL Stsi¢RILiil ol RLLommLndcd Practice
and appliidblc law.
Constitulion Ob'eetives of the O
Anisation Princl al Activities and Or
anisAtlon of our work
The Mii)islry is Li)nstilUL.d uiidcr a trusi dL"cd and is rcgislcrLd with IhL Ch<irity ('ommissiun.
Thc objLctlVLS of th¢ ChurLh as 5Ct oul in IhL [k"Ll￿allOn ol-I rust are..
Il'l'hL udvanLLmLnl ()I' the c.hris11<￿ I,diili in ihu LlnilLd Kiiigdom and abroad.
b) I'l)L riliLI'()r PLr%()n% wh() drL in Londition ol. ncLd. Iiiwd%hip (Ir di%lrn'%s
in (he LlnilLd Kingdi)In or ahri)dd.
Tli¥ prinLiP¥il u¢tivilics ofihe ¢hiirLh ure C'.hrislian wor%hip And ii)volvemenl ot
vuri(ius mini%lriLs and minislLTh Ot rLlig>ion lo propagJatL' Chri%lian iLnLbL8. rclicf of
TK)verty. provi%iun ofuvLr%L&% thill Imd d%%i4lancL to ViLtims ol- latninL.
'l-hL LhurLh hu4 iK'cn involvud in christi<￿ program%. IhL.S¢' iirL' dcsigned tv incrc&sL C.hristi¢Ui
&w¢￿￿nC.￿S and ihe.%PlL'ud ol'thc go%p¢.l of our I,ord J¢%iis ('hrist.
Future Develo
ment
'rhL ChurLh will LonLinuL lo l()LUS il% a¢tiviliLS to m¥il IhL objLLtIVL5 01. (he'l rust.
Review of financial
osition
Th¢ nLt incrL'a%e in ￿'SOurc¥.5 lor IhL pLriod amouniLd to £().409

CALVARY BELIEVERS MINISTRIES INTERNATIONAL
TRUSTEES, REPORT
continued
Statement of Trustees, Res
onsibilities
The Churilius Act wquires the'l'ru5tccs to prep￿C finanLl¢il 51k1￿'ment.I for cach finanLidl ycar. which
givc a trne (￿d fd. ir viLw ot th¢ staiL ol'dltairs ofihc Org￿1$￿11￿n ku)d ol. thL %urplu% ()r dcliLit of the
organisation for that peri(￿. In prL'paring th()￿ finanLidl statcmenl%. thc trusiL'e% arc rcquLsILd 14)..
elect suitablL aLLounting policic.s and then iipply them Lon%istcnily:
MèthL' judgLments' aJ)d ¢stimatC5 that are reasundblc and pnJd¢nl'
StalL whether appliLablL ￿countIng stsnd¢wds and stal¢ments' of recommended prd¢tice have
been followed. subject Lo any dLPartur¢'s di.sclosed and cxplaincd in IhL finanLidl slatcmenls-
Prepa￿ th¢ fiiidncial gl<ilem¢n15 on the going concLri) bd%i.4 unle$8 it is inapprLTrpri<ltL to
p￿SuML Ih(il thL Urg>￿1￿all0n will Lonliiiue in op¥r<ilion.
1.he Tru%t¢es ure rc5ponsible for kceping pri)pcr ii¢counting rccords, which dis¢lo%e wilh rc&￿tIable
aLLuracy ui any time the linancial rM)silion of th¢ Organi%ation and lo endbl¢ them to cn%urc thal the
rIn¢￿Lia] stJlLm¥nls L(Imply with IhL ('hdrili¢s ALI. 'I'hLy arL' uls11 rL.%P()n8ihlL ltir.%alcgu(wdin¥ ihL
ussL'l% ol. IIIL ()rgJaiii%aii()n aiid h¥nLL li)r tskiiiLJ rL'(LM)n<ibl¢ stups Ivr IhL prL'vLntion and dLluLiifin ol.
Irnud <ll)d ()IhLI' irr¢biiil(IriliLS.
Accountants
'I'hL' UL'wunlanLs, Mc.$8rs. JSA & ASSOCIA'I'I.:%.. huvc cxprL'%SLd their willingnc58 to.sluy in ()11 ICL.
roval
This r¢port tipprovLd by Ihc board ol. lrnglLL5 {￿d signLd ()1) ils bLhall-
by=
George K Agyei
l)aicd.. O

INDEPENDENT ACCOUNTANTS, REPORT TO THE
TRUSTEES OF CALVARY BELIEVERS MINISTRIES INTERNATIONAL
Wc ekamined thL financial %tslLmcnt ofcdlvary Bclievers Ministries Interndtional
for the yedr ended 31 Mar¢h 2025 scl oul on 6 lu 10. 'I'hcqc finaneidl statements have bcen
prL'parLd und¢r thL I lisioriLuI Cost Convention ￿]d thL acLouniin¥ policii's sct out on pagc 9.
Respective Responsibilities of Trustees and Independent Aecountants
'I"hc I ru5fres respiiisibilitlL.% fi)r prL'parinuv tlie"I ruslccs, RcrM)rl and IliL finanLiul 8thlumLnls in
accordèiiiLL ￿'1th appliLdblc Ic2W clnd UnitLd Kiiibd()Fn ALLiiuntiiig SiyJ]dards ar¢ scl out in the
SIttiL'tncnt of Tru%lLL'S fL'%txinsihililic.4 on page 4 5.
WL have been appoinlLd independLni aLLounlanlanls und¢r SL'Llion 43 of Ihe ChariliL% Act 1993
d report in aLLordance with regulaliun.% M(￿l. undLr S¢Llii)n 44 01. Ihal ALI.
Our r¢sponsibility is lo uxaminL tlIL financial 51atcmeiit8 in a¢cordanLL wilh relLvani r¢gulalory
rL'quirL'mLnis' 411)d under Lliiit¥d King)d()m ALLiiunlinb> %tui)dard.%.
We rekid oihL'r ii)r()m]dliun c()nliiinLd in thi 'l'ruslLes' R¢port und I,inancial %idtcments. and L(>llsidLfL.d
ihfti it is consisleni with thL cxttminL'd linancilll .%tdt¢menls.
JSA & ASSOCIATF.S
ALLounldnis
C.hiillLiigL. I Inu%L
(J16 Mi(¢h&m Ilowl
CIIII .IAA

CALVARY BELIEVERS MINISTRIES INTERNATIONAL
STATEMENT OF FINANCIAL ACTIVITIES
FOR YEAR ENDED 31 MARCH 2025
Notes
Unrestricted Restricted
Funds
Funds
Total
Total
2024
Incoming Resources
Activities in furtherance of the Church's objects
Tithes and Offering
Bank interest received
G ift aid
Other income
Total Ineoming Resources
34,997
1,549
8.556
1,840
46,942
34,997
1,549
8.556
1,840
46,942
32.991
1.549
8,606
340
43,486
Resources Expended
Cost of generating funds
Cost of Activities in furtherance
of objectives
28,477
28,477
18,422
Charitable Expenditure
Management & Administratioii
9,056
9,056
8,969
Total resource expended
37.533
37,533
27J91
Net Movement in funds for the year
Prior Year Adjustments
Total funds brought fonvard
Total funds carried forward
9,409
(1,228)
151,518
9.409
(1,228)
151,518
16.095
221
135,202
159 699
159,699
151518
There were no ￿COgniSed gains or losses for the Deriod other than those included in the Statemeni
of Financial Activitie5
The notes on page 9 to l O fomi part of these financial statements.

CALVARY BELIEVERS MINISTRIES INTERNATIONAL
BALANCE SHEET
AS AT 31 MARCH 2025
Notes
2025
2024
Fixed Assets
Tangible Assets
2,090
2,296
Current Assets
Cash at bank and in hand
144,145
136.367
Current Liabilities
Amounts talling due within one year
400
400
Net Current Assets
143,745
135,967
Total Net Assets
14.S,83S
138,263
Funds
Unrestricted Funds
Restricted Funds
Reserves
144,145
136.367
1.690
14.S,835
1.896
138,263
Approved by the Trustees on:.............
and sig)ned on its behlaf by".
Gec)rge K Agvei
Trustee

CALVARY BELIEVERS MINISTRIES IIYTERNATIONAL
NOTES TO THE FINANCIAL STATEMENT
FOR YEAR ENDED 31 MARCH 2025
Aceounting Policies
l. Basis of preparation of accounts
The accounL¥ arL prepared undcr ihe historical c05l convention and include the results of
Ihe Organisutiun's op¢ratiofts which are de.%cribed in Ihc-l-ruslees, ReTK)rt and all ol. which are
continuing,.
'rhc accounts have beLll prepared in aLLordancc with the StiiL'ment ot ReLommended Practice
lor C'.hdrily AcL()ulll5 and Ihu Charili¥4 Aci 2011.
'I'hc ()rgani5ation h&s tuken iidvantrdge of the exempti()n in Financial Rcporting Stand￿d No. I from the
r¢'quiremLnt to produLC a ¢&8hn()W 8lalcmcnl on the grounds Ihal il qU4ili1lL% as a Small Organisi1lion.
1.1 Incoming Resource5
Tithes and Offering
Income t.rom tithes and oftering, is included in incoming resources when these are receivable.
Other Income
OiliLr Inu)mL L(Trmprise% illLointy Ir(Iiii w¢llare donations & i)ther donations. it al%0 inLludL gift did.
Ihew. are all dcLined as iinrL'striLtL'd f'und.q.
1.2 Tangible Fixed Assets for use by the Organisation and Dcpreciation.
Individual lixed ￿￿￿¢L$ co%iing £120 or murc arc capitsli%i'd al L().¥l.
'l-anbsiblc fixLd iisycls for u%¢ b}, Ihc L'.hurch arL %talud al L'o%1 1¢.%% dei)rccicilion.
l)¢prL'Liation 1% prDvidL'd al ru(L.4 calLLiliilLd to write <)Il'ihL LClSt or V1( lii(Ili<)n i)I' tixcd i).%%LI%.
lc.ss IhLir L.%timalcd rL"5idual vuluL, ()VLr IIILif LXP¥LILd ilbLlul IIVLS on thL Ivlloi%'in&J biL%i%.'
Eciuipinint. fixluri% & fitliiigs
211'/u annum
Motor VLhiLI¥
2110/u cinnuni
'l-hL ()rgani%alion l)&$ lak¥ii advantdgc ol. (l)c exemption iii l.Ill<inLldl IILPOrting %(cind<ird No. I fron) thL
rLquir¢mLnt to produce a Cil8hficiw sialLincnl on Ihc ground% Ihal il quiililiL.s as a bmdll Lnlily.
1.3 Value Added Tax
Valu¢ Added Tax is not reLovcrabl¢ by the org1￿1%￿1[1￿n. and ils Such 1% inLluded in thL iylevanl
u)sts iii Ihe %ialement of financial ALliviiies.

1.4 Resources expended
RcsourLes ex￿nded arc includcd in thc Stdtemenl ol. l.'inancial aLtivitics on an accruals basis. Certain
co.sts have been apportioTred beiween Cosl of ALlivilies in Furtherance ofobjLLlives und Munugemunl und
Adminislration on ihe bases consislenl with the use of those r¢sources.
1.5 Funds Accounting
Fund% httld by the C.hurily:
UnrL%trictL'cI gTcneTdl liind - eomprising tunds which can be iis¢d in ac¢ordan¢e with the charilahle
objLLls ai ihL diserction ot the Irustc¢s.
Restricled fund8 - which were r1£ iscd for particul{￿ rcstricttid purposes and can only k used for those
partiLular rL8lriLILd purpo%L% within Ihc ubjccls ol-thc C'hurch.
2. Cost of Activities in furtherance of objectives
Unrestricted
Restricted
2025
2024
Rent
Lhildren's Ministry
Instruments & Equipment
Ministration Costs
Beach 'l'rip
Donantions & Missionary Costs
Traininb Sale&7uardinb & Conferences
bood and Drinks
17.963
1,815
232
730
995
5,409
1.333
17.963
1.815
232
730
995
5,409
1,333
9,513
1,806
2,595
2,293
850
935
430
18,422
28,477
28,477
3. Management and Administration
Unrestricted
Restricted
2025
2024
Printing,. Postatge & Staionery
Bank Charges & interest
Insurance
Book.8 and SLibscriptions
Repairs & Mainten<Y)ce
Salary & Allowances
Depreciation
Ac¢ounlancy & Legal Fees
Sundry Expenses
172
172
397
239
200
30
6.950
906
400
239
200
30
6.950
906
400
159
667
6,250
766
400
489
8,969
9,056
10