APOSTLES.
coIYriNIJATION
CHUHCH
INTERINATIONAL IJK
TRIJSTEES IIEPORT AND
AccoiJiYrs
9023
Kaxton Advisory
3a Pinn•r Road
arrow
.)liddlewx
11A1 4L44

APOSTLF3' CONTINUATION CHURCH IKfERNATIONAL UK
REPORT OF THE TRUSTEES FOR THE YEAR EIYDED 31ST DECEMBER 2023
The trustees of the charity present their rew)rt with the flnancial statements of the charity for the year
ended 3 1st December 2023. The trustee5 have adopted the provisions of the Statement of Recommended
Practice (SORP) 'Accounting and Reporting by Clwities, issued in January 2021.
REFERENCE AND ADMINISTRATIVE DETAILS
Registered Charity Number
1063549
Registered office
35 Pinner Road
Harrow
Middl&8ex
HAI 4ES
Trustees
Rev. Bi5mark Opoku-saryjong
Mrs Rose Anokye
Pastor Opoku Kwaku Amoah
Mrs Catherine Opoku Sarpong
Rev. Osei Opoku Yeboah
Pastor Kwasi Owusu
Pastor Samuel Francis Collins
ChairnwA
Trustee
TnL8tee
TnLStee
Independent Examiners
Kaxton Advisory Ltd
Suite 6
The Generator Business Centre
Surrey
CR4 3FH
Bankers
Lloyds TSB
286-288 Station Road
Town Centre
Harrow
Middlesex
HAI 2EB

STRUCTURE, GOVERNANCE AND MANAGEMENT
Governing document
The charity is controlled by its governing documeni the Constitution and constitutes a charity, as d¢fmed
by the Charities Act 2011.
Membershfip of trustee board:
The trustees of the chaTity are also voluntary trustees for the purposes of charity law and under the
charity's Constitution are known Ls members of the Tnwees Board.
Inductlon and tralnlng of trustees
All tn￿te¢S are familiar with the practical WO￿ of the church and have undatakcn training to support
their role.
Organlsatlonal structure
The Trustee Board meets quarterly and a quarterly branch feedback report is given at each meetAng. The
Branch Pastor has the responsibility for the day to day owational management of the church supported
by the Assistant Pastor elected by the branch.
Rlsk management
The Trustees have a duty to identify and review the risks to which the charity is exposed and to ensure
appropriate controls are in place to provide reasonable assurance against fraud and ettor.
Internal control risks are minimised by the implementstion of procedures for authorisation of all
transactions and projects. Procedures and risk &ssessments are in place to ensure compliance with Health
and Safety of volunteers; members. children; and visitors to the church.
OBJECTIVES AND ACTIVITIES
Thc charity's objccts and its principal aclivity werc:
l. To advance the Christian faith in accordance with statement of beliefs appearing in the scheduled
hereto in London and in such other parts of the United Kingdom or the world.
2. To rclicvc pcrsons who arc in conditions of ncol or hardship, arc clderly or SICK to train Pastors and
to relieve the distress caused thereby in [￿ndOn and such other parts of the United Kingdom or the
world.
3. To promote and fulfil Such other charitsble purposes beneficial to the community in London and in
such otber parts of the United Kingdom or the wortd.

ACHIEVEMENf AND PERFORMANCE
Charitsble aetlvltles
The results for the year and fman¢ial position of the c}￿lty are as shown in the annexed financial
statements.
The main areas of charitable activity are tailored to meet the wirnents of the church and throughout
the year the church's headquarters based in HaTrow continued to prnvide a quality and caring service for
members and the community and their families. The church under its charitable ffsponsibilities of
advancing the Christian faith has increased membership over this period at the Harrow branch. Other
four branches have ent¢red a tenancy at will agreemenL
FINANCIAL REVIEW
Reserves poliey
The trustees review the reserves of the charity annually and acknowledged that the level of funding at
present will put the Church in a position where it would not resort to its reserves to run the charity. When
we consider the growth in numbers and donation receipts policy implemented as recommended in the
truske board, the trustees are confident that the church should be in a position to sustain itself more
effectively. It is the tnistees, policy to generally maintain reserves at a low level and to apply donation
receipts to fLmding its activities. The tntstees resolved to transfer Net Assets and reserves comprising
cash balance and fixed assets to Lewisham who are no longer part of the group.
Prlnclpal funding sources
At present the majority of the church's funding continues to come from the tithes and collection of alms
and the special appeal of priority needs.
Funding for each branch's ministy activities comes from the branch finance. The church fmance
committcc was responsible for thc financial planDing during thc ycar. Thc church was ablc to raisc
£301,104 as against expeDS¢S of £248,937 within the year resulting in a surplus of £52,167.

sTATEmE￿r OF TRUSTEES IIESPONSIBILITIES
The trustee5 are respowible forpryarlng the fllwicial Statem￿ in aCcor￿￿Eth applicable law and
United KiDgdom Generally Accepted Accounting Practic£ (UK GAAP).
Charity law requires the InL8tees to prepar¢ fmencial statem¢Dts for each financial year. Under that law
th¢ trustees have elected kn pw the fwancial statem¢llts io aC￿rdall¢e with the United Kingdom
Generally Accepted Accounting Practice (United Kingdom Accounting St￿ards aDd applicable IAW).
Th¢ financial Stst¢M￿ are requred by Jaw to Si￿ a tn￿ and fair view of the state of affairs of the
cIwAtable company ond of the sury)lus or deficit of the cknitsble compally for tbat period In preparing
those fJDancial statements, the1n￿tea4 are r4uired to
select suitable accounting poli¢i¢s and then apply them COD8iskntI
prepare the financial statements on the going concern basi8 unless it 18 inappropriate to pTrsume
that the Ch￿l￿ble company will ￿nIInue in busine88.
The Inistees are responsible for keeping proper accounting TecoTds which disc1(￿ with reasonable
accurnty at ally the frncial pogition of the clwitable wany and to ¢Dabl¢ th¢m to ensute that
the fuwicial statements comply with the Ch￿ltieS Act 2011. They are a]so rwibk for safeguardin8
the assets of the clmrity and Iwnce tor taknng re&wnable step8 for th¢ pr¢vention and detection of fraud
and other irr¢8ulariti¢s.
sTATEME￿r AS TO DISCLOSURE OF INFORMATION TO INDEPENDENT EXAMINERS
So far ay the trustees are aw￿, there 18 no relevant Inforn￿tion of wbicb the charity'8 independent
examiners are unawar4 and each trustee has taken all the steps that they ought to have taken a8 a trustee
in Order to make them aware of any ex8mination infonnation and to establith that the clwity's
independent examiner8 are aware of that Anformtho
INDEPENDE￿ EK4MtNERS
The independent examiners. Kaxton Advisory Lt&. will be Propos￿ for rwpointm¢nt at the
ON BEHALF OF ThE BOARD:
Rev. Bi8madt Opoku-Sarpon8
29th October 2024

INDEPENDENT EXAMINER'S REPORT TO THE CHURCH COUNCIL OF THE
APOSTLES, CONTINUATION CHURCH l￿fERNATIONAL
I report on the accounts of the Church for the year ended 3 1st D¢¢emb¢r 2023 which
comprise the Statement of Financial Activities, the Balance Sheet and relatsd notes set out on
pages 10 to 13
This report is made solely to the Trustees Board in accordance with Section 145 of the
Charities Act 2011. My work has been undertaken so that I might state to the charity's
trnstees those matters l am required to state to them in an Independent Examiner's report and
for no other purpose. To th¢ full¢st extent pennitted by law, I do not accept or assume
responsibility to anyone other than the Church and the Church's trustees for my examination
work.
Respeetlve responslbllltles of Trustees And Examlner
Th¢ Church's trustees are responsible for the preparatlOD of the accounts. They consider that
an audit is not required for this ycaT (under Section 144 of thc Charities Act 2011 (the
Charities Act)) and tbal an independent examination is needed.
It is my responsibility to:
Examine the accounts (under Section 145 of the Charities Act);
To follow the procedures laid down in the General Directions given by the Charity
Commissioner (under Section 145(5)(b) of the Charities A¢t); and
To t>tate whether particular matters have come to my attention.
Bas18 of Independent Examlner'8 report
My examination was carried out in accordance with the General Directions 8iven by the
Charity Commissioner.
An examination includes a review of the accounting records k¢pt by the Church and a
comparison of thc accounts presented with thosc records. It also includc$ consideration of any
unusual items or disclosures in the accounts and seekin8 explanations from you as tn￿teeS
Concerning any such matters.
The procedures undertaken do not provide all the evidence that would be required in an audit,
and consequently no opinion is given as to whether the accounts present a 'tnie and fair, vicw
and thc report is limited to thosc matters set out in the.statement below.

Independent Examiner's statement
In connLction with my examination, no matter has comc to my attcnlion..
l. WhiLh gives me redsonable cause co belicvc thai in any material respect thc requirements
J _- to keep accouiiting records in accordance with Section 130 of tlie Charities Act ;and
lo prepare aLcount5 which accord wilh the accounting records and comply with the
accoui)ling rcquircmcnts of ihe Charilics Act
have not been iiiet; or
2. to ivhich, in my opinion, attention should be drawn in order to enable a proper
undeistanding of the account5 to be reached.
KAXTON ADVISORY LTD
SUITE 6
THE GENERATOR BUSINESS CENTRE
SURKLY
CR4 3rii
Kaxton
Advisory
Slgned:.
Ji

APOSTLES CONTINUATION CHURCH INTERNATIONAL UK
CONSOLIDATED STATEMENT OF FINANCIAL ACTIVITIES
FOR THE YEAR ENDED 31ST DECEMBER 2023
2023
2022
General Restrkted
Funds
Funds
Totsl
Total
Note
INCOMING RESOURCE
Voluntsry Income
Investment Income
289,104
12,000
289,104
12,000
263,484
11,600
301,104
301.104
275,084
RESOURCE8 EXPENDED
Charitable Activiti8sIManagernent
and Admlnlstratlon
248,937
248,937
188,956
Total Rosourc•s Expend8d
248.937
188.956
Net Incomlng Ro8ourc88
S2,167
52,167
86,128
Net Mov•m•nt In Funds
52,167
52,167
86.128
Balance Brought Forward
698,513
698.513
612,385
Transfers
Balance Carrled Fornard
(135,481
615,200
135,481
615.200
698,513

AposfLES CONTINUATION CHURCH IpifERNATIONAL UK
CONSOUDATED BALANCE SHEET AS AT31sf DECEMBER 2023
2022
NON CURRENT A88Ef8
162,041
154.801
CURREKf ASSErs
Catsh at 8ank and In Hand
455,155
548,706
CURRENT UA81LrnE8
Cfodttor8 Am¢yJntfalNThJ du8 wlthln 1
2,994
NET CURREprr A88Ef8
454139
343,712
NET ASSErs
115300
698,513
FUNDS
812.38S
86.128
ACCUMULATED FUND8
615300
898￿13
- g?/./4425
And Jknd ￿ Its belKglf
IMSnlster
ncha
(TrnaAnr)

NOTES TO THE FINANCIAL STATEMENTS:
I. ACCOUNTING POLICIES
The financtal statements have been prepar￿ in accordance with applicable accounting
standards and the Charities SORP.
Bgsls of Accounting:
The financial statements have been prepared under the historical cost convention except
for the valuation of investment &8sets, which are show at market value. The financial
statements include all transactions. assets and liabilities for which the Church Council is
responsible in law. They do not include the accounts of church groups that owe their main
affiliation to another body nor those that are infornial gatherings of church members.
Incomlng Resources:
All illcoming resources are included in the ststement of financial activities when the charity
is entitled to the income and the amounl can be quantified with reasonable accuracy. The
following specific policies are applied to particular categories of income.
Voluntary Income is received by way of collection of alm& tithes, special appeal for fiukds.
donations and gifts and is included in full in the statement of fmancial activities when
receivable. Grants where entitlement is not conditional on the delivery of specific
perfornrdnce by the charity ar¢ recogniz￿ when the charity becomes unconditionally
entitled to the granL
Donated services and facilities are included at the value to the charity where this Can be
quantified. The value of services provided by volunteers not been include
Gifts donated for resale are included as incoming resources within the activities for
generating funds when they are sold.
Income from investment is included in the year in which it is receivable.
Resourees Expended:
Expenditure is recognized on the acCn￿l b&8is as a liability is incurred. Expenditure
included any VAT which cannot be fully recovered and is rep)rted as part of the
expenditure to wbich it relates.
Costs of generating funds comprise the Costs associated with attracting voluntary income
and costs of trading for fundraising purposes including the clwity's shop.
Charitable expenditure comprises of those costs incurred by the charity in the delivery of
its activities and services for its beneficiaries. It includes both costs that can be allocated
directly to such activities and those costs of an indirect nature necessary to support them.
Governance costs are those costs incurred in support of expenditure on the objects of the
ctwity and include project managemenL

APOSTLES CONTINUATION CHURCH INTERNATIONAL UK
NOTES TO THE FINANCIAL STATEMENTS - 31ST DECEMBER, 2023
2. INCOMING RESOURCE8
2023
TOTAL
2022
TOTAL
LEEDS
HARROW
8AftKINGS SEVEN SISTERS
Voluntsry Incomo
Ganeral Fund
General Offertng
Tlihe8
Welf8relDonaUon
Thank8glvlng
Harvesvconventlon
Ml¥8lon Fund
Glft Ald Recolved
Orphanage
Othor
26.746
87,626
3.010
5.577
42,076
4.342
14.707
2.421
19.886
20,240
5.221
401
20,931
1,779
1,481
1.060
6.770
19.130
9,975
5.900
3.185
87,047
84,601
10,772
9,822
48,846
11.IJ02
14,707
2.421
19.886
73.708
90.481
7.017
10,395
43,579
9,729
13,971
7,315
7.292
Totsl
186,391
32.522
32,001
38,190
289.104
263,484
Inve8tmenl Incom•
Renl
12,000
12.000
11,600
Total
12,000
12,000
11.600
TOTAL
198,391
32,522
32,001
38,190
301,11M
275,084
10

APOSTLES. CONTINUATION CHURCH INTERNATIONAL UK
NOTES TO THE FINANCIAL STATEMENTS - 31ST DECEMBER, 2023
3. RESOURCES EXPENDED:
2023
TOTAL
2022
TOTAL
LEEDS
HARROW
8ARKINGS
SEVEN SISTERS
Rent
Evangellsm & Mlsslons
Charltable Donatlons
Pastoral Expenses
Tran8POrtation
Insurance
Welfare
Repalr8 & Malntenanca
Instrumenta118t
Telephone & internet
General Expenses
utlllty Blll
Accountancy Fees
pr88b￿ary Expenses
Children & Youth Support
Bank Charges
Depr8cl8tlon
10.300
8,980
33,800
52.880
34.012
8.958
39,742
500
1.828
1.500
23.683
1.541
3.445
15.020
31,S33
1,998
10,487
7,726
29
16,154
46,920
24,917
10,240
42,154
221
2,385
2.563
8.238
3.030
3.398
13.134
10.217
1.996
4.700
2.001
34,012
3,468
9,000
2,000
14,400
14,200
500
2.142
1,828
1,500
15,879
697
2,011
12,723
31,535
499
8,885
7,726
2,400
244
732
97
760
600
702
499
1,210
499
392
15,305
249
12,812
TOTAL
32,127
188,956
11

THE APOSTLES. CONTINUATION CHURCH INTERNATIONAL UK
NOTES TO THE FINANCIAL STATEMENTS- 31ST DECEMBER, 2023
NON CURRENT ASSETS SCHEDULE
NOTE 4
2023
TOTAL
2022
TOTAL
FIXED ASSETS
LEEDS
HARROW
BARKINGS SEVEN SISTERS
Church Bulldlng
Muslcal Equipments
Flxtures and Flttlngs
Mlnl Bu5
Addltlons
89,302
46,731
62,105
89,302
65,393
67,368
89,302
67,211
65,341
6,284
8,700
4,511
4,263
14,150
1,000
31,210
31,210
229,348
8,774
15,150
253,273
236,838
DEPRECIATION
Balance at Start
Charge forthe Year
Balance at Cl￿a
55,017
15,305
70,322
7,531
249
7,780
12,530
600
13,130
75,078
16,154
91,232
69,225
12,812
82,037
NET BOOK VAWE
As at 1st January
As at 31st December
143,121
159.026
1,243
2,620
2,020
158,913
162,041
158,913
154,801

THE APOSTLES, CONTINUATION CHURCH INTERNATIONAL UK
NOTES TO THE FINANCIAL STATEMENTS- 31ST DECEMBER. 2023
NOTE 5
2023
2022
CURAEfff UABIUTIE5
Accrued Accountlng fees
1,996
2,994