## **(CHARITY NO. 1075866)** 

## **Pastor’s Report** 

**Scripture: “But also for this very reason, giving all diligence, add to your faith virtue, to virtue knowledge, to knowledge self-control, to self-control perseverance, to perseverance godliness, to godliness brotherly kindness, and to brotherly kindness love. For if these things are yours and abound, you will be neither barren nor unfruitful in the knowledge of our Lord Jesus Christ.” II Peter 1:5-8 NKJV** 

It is with great pleasure & gratitude to God that I present this report for the year 2024 to the church under the vision of bringing God’s people to a place of growth, establishing their purpose and sending them out into the world. 

It is evident that God continued to bless us throughout the year from January to December 2024. 

The following activities took place in 2024: Sunday Morning Service, Children Church, Life Kids Special, Bible Study, Bright Hour, Wednesday Prayer Meeting, Synergy Youth, Monthly Prayer Night, Monthly Revival Night, Sunday Morning Prayer. Life Ladies & Life Warriors met occasionally. 

We ended the year with Prayer and Fasting, so we took a break in January 2024. 

The theme for the year 2024 was the Year of Double Harvest and the theme for Revival Nights was the Spirit of Elijah. 

In March Life ladies led the service on Mothering Sunday. 

We had an Easter service and the Walk of Witness with Soho churches on Good Friday. 

Early April we started our Zoom Bible study fortnightly. At the beginning of May some of the leadership team went to the AoG Conference in Harrogate. The leadership team also attended other AoG events such the Area Days & Zone meetings. 

In June Life Warriors led a powerful Sunday Service on Father’s Day. And we ended the month with 2 weeks of Prayer and Fasting 



Life community church continued to support missionaries. 

In July 2024, we had the wedding of Grigor Angelov and Maria Dimitrova. 

In summer it was great to send Synergy Youth to Limitless Youth Camp. 

End of August we had a baptismal Service. 

Early December we did 2 days Prayer and Fasting. 

During this year we saw people getting saved. 

We ended the year with the hampers donation to women’s refuge, Nativity Service, Christmas Service and Cross Over Service. 

## **Vision** 

## **The growth stage of the vision** 

This stage of the vision involves God’s people undergoing spiritual and physical development through nurturing, training, equipping and building spiritual capacity. 

## **The establish stage of the vision** 

God’s people being rooted, manifesting spiritual and physical gifts, being unshakable in their faith. 

## **The send out stage of the vision** 

By this stage of the vision people are already empowered and activated to be sent out to evangelise, go on missions, win souls, mentor and start home cell groups. 

## **PUBLIC BENEFIT REPORT FOR JANUARY – DECEMBER 2024** 

Quoting directly from our governing document, Model constitution with trust deed for local assemblies of God adopted by Life Community Church (in fellowship with Assemblies of God): 

“the objects of the church are for the benefit of the public: 

(a) to advance the Christian faith in accordance with the Statement in such ways and in such parts of the United Kingdom or the world as the Church Council from time to time may think fit; 

(b) to relieve sickness and financial hardship and to promote and preserve good health by the provision of funds, goods or services of any kind including through the provision of counselling or support in such parts of the United Kingdom or the world as the Church Council from time to time think fit; and 

(c) to advance education in such ways and in such parts of the United Kingdom or the world as the Church council from time to time may think fit.” 



The following is a summary of the main activities undertaken in order to carry out the charity’s objects for public benefit. 

The notation (a, b, c) indicates which of the above objects each activity relates to. 

## **1. REGULAR ACTIVITIES** 

## **1.1 The following activities took place regularly at the church building and were open to the public, although some activities were obviously targeted at specific sections of the community.** 

- Sunday morning Services (communal praise & worship with music, Bible teaching, Communion, prayer) (a) 

- Sunday morning youth discussion of Bible life application and life issues for ages 11-18 (a) 

- Sunday morning Children’s church (praise, Bible teaching with music, style & activities appropriate for ages 3-11) (a) 

- Mondays – Bible study on Zoom Fortnightly(a) 

- Wednesdays – Refreshments and interactive afternoon Church service with music, communal praise & worship, Bible teaching and prayer, particularly suited to seniors (a) 

- Wednesday evening prayer meeting with music and praise & worship (a) 

- Friday evening youth group for social activities, praise with music and Bible teaching suitable for ages 11-18.  Free transport home provided for those who need it (a) 

- Monthly day of prayer and fasting (a) 

- Monthly night of prayer (a) 

- Monthly Revival Night (a) 

- Sunday morning intercessory prayer before the morning service 9:30am10:45am (a) 

## **1.2 The following activities took place regularly at different venues and were targeted at various sections of the community.** 

- Joint services and prayer meetings with other local churches (a) 

- Walk of Witness along Soho Road with other local churches (a) 

- “Connect groups” in different venues (a) 

- Regular financial support to departments of the Assemblies of God including the following departments: Social Concern, Youth, Children, Church Planting and training college (a & b) 

- Regular financial support to missionaries and outreach work in several different countries (a, b & c) 

- Church website advertising activities and providing links to further useful relevant information and services (a) 

## **2. ADDITIONAL ACTIVITIES** 

## **2.1 The following activities took place at the church building on different occasions through the year and were open to the public, although some activities were obviously targeted at specific sections of the community.** 



- Dedications of babies and children and baptisms (a) 

- Events (including special Sunday services) especially suitable for visitors, including healing services (a) 

- Pastoral counselling and prayer (a) 

- Assemblies of God regional ministers’ prayer breakfasts and National conference(a) 

- Musical/dramatic Christmas presentation (a) 

- Social events for social inclusion e.g. communal meals, youth group socials, ladies’ socials and men socials (a & b) 

- Conferences targeted at different people e.g. youth leaders, men, women, children leaders, disabled (a, b & c) 

- Wedding (a, b & c) 

- Discounted use of rooms for hire to charities (b) 

- Emergency donations of food (b) 

## **2.2 The following activities took place at different venues on different occasions through the year and were targeted at various sections of the community.** 

o Pastoral visits to the sick, pastoral counselling & prayer (a) 

## **REPORT OF THE TRUSTEES AND CHURCH COUNCIL FOR THE YEAR ENDED 31ST DECEMBER 2024** 

ACTIVITIES REVIEW 

The financial results are set out in the enclosed accounts. The principal activity throughout the year under review was that of the advancement of the Christian faith and the extension of the Kingdom of God. 

## **From the Treasury** 

## Unrestricted funds 

- Commitment fund 

- General fund 

- Reserve 

## Restricted funds 

- Bright Hour 

- Building 

- Community outreach 

- Children 

- Prayer 

- Revival 

- Men 

- Missions 



- Transport 

- Women – Youth 

## Other Information 

- 10% given to Missions 

- Fund money stays with fund 

- GASDS has brought in an extra £2,000. 

- AoG 3% 

- Income has increased by £10,309.24 

- Expenditure increased by £30,242.51 

- NI government grant saved us £5,000 this year 

- Salaries have been increasing in line with minimum wage 

- Pension employer contribution is 3% 

- Transport raised £9,285.32 for new minibus 



## **INCOME AND EXPENDITURE SHEETS 2020- 2024** 

|**INCOME**<br>**code**<br>**Description**<br>IN01<br>Gift Aid<br>IN02<br>Tithes/Offerings<br>IN03<br>Other Offerings<br>IN04<br>Tax Recovered<br>IN05<br>Payments<br>IN06<br>Grants<br>IN07<br>Premises Hire<br>IN08<br>Interest<br>IN09<br>Refunds<br>IN10<br>Charity Donations<br>**EXPENDITURE**<br>EX01 Salaries<br>EX02 HMRC<br>EX03 Ministry Expenses<br>EX04 Additional Ministry Fees<br>EX05 Working Expenses<br>EX06 Office Supplies<br>EX07 Capital Expenditure<br>EX08 Church Utilities<br>EX10 Training<br>EX11 Resources<br>EX12 Missionary Support<br>EX13 Catering Supplies<br>EX14 Gifts<br>EX15 Social Activities/ Outings<br>EX16 Transport<br>EX17 Special Events/Publicity<br>EX18 Bank/Legal<br>EX19 Hospitality<br>EX20 AoG subs<br>Ex21<br>Pension<br>**Totals**|**2020**<br>**2021**<br>**2022**|**2023**<br>**2024**|
|---|---|---|
||52177.00<br>46116.00<br>50855.21 <br>26315.00<br>23312.00<br>34191.83 <br>4274.00<br>8108.00<br>6204.84<br>13967.00<br>11794.00<br>14530.67 <br>693.00<br>778.00<br>2231.90<br>776.00<br>0.00<br>0.00<br>1800.00<br>825.00<br>4000.00<br>19.00<br>2.00<br>74.10<br>305.00<br>1962.00<br>-925.00<br>1950.00<br>0.00<br>0.00|45958.16<br>52908.89<br> 28792.74<br>24146.42<br>5931.25<br>8508.95<br> 13351.57<br>16438.73<br>3551.00<br>2472.81<br>0.00<br>1200.00<br>2990.00<br>3600.00<br>562.41<br>717.28<br>0.00<br>753.29<br>500.00<br>1200.00|
||**102276**<br>**92897** **111,163.55**|**101,637.13** **111,946.37**|
||35555.00<br>35480.00<br>39295.75<br>4968.00<br>5088.00<br>6412.19<br>1488.00<br>1261.00<br>1491.77<br>200.00<br>769.00<br>807.85<br>3264.00<br>3436.00<br>2192.16<br>1482.00<br>2087.00<br>3081.49<br>-24.00<br>13.00<br>1731.52<br>13336.00<br>13357.00<br>13265.04<br>120.00<br>50.00<br>1585.00<br>315.00<br>259.00<br>394.17<br>6338.00<br>6235.00<br>7596.00<br>208.00<br>889.00<br>1814.25<br>1241.00<br>2568.00<br>4524.59<br>353.00<br>930.00<br>3497.35<br>1776.00<br>1471.00<br>3209.54<br>312.00<br>0.00<br>100.00<br>3222.00<br>3123.00<br>2233.13<br>0.00<br>29.00<br>203.22<br>2576.00<br>2489.00<br>2781.08<br>11648.00<br>13026.00<br>7086.34|33463.82<br>36623.63<br>3533.81<br>2121.89<br>1338.65<br>2094.85<br>269.10<br>104.40<br>5553.18<br>6825.20<br>3175.53<br>3731.77<br>2289.92<br>26356.09<br>12084.12<br>18000.60<br>4814.02<br>2571.08<br>94.03<br>1009.54<br>5886.40<br>6790.00<br>2016.77<br>1279.46<br>1288.54<br>2089.39<br>4787.45<br>5326.38<br>2170.90<br>1919.16<br>0.00<br>0.00<br>4864.17<br>1296.43<br>973.46<br>434.63<br>2559.29<br>2543.77<br>2838.08<br>3125.48|
||**88,378.00** **92,560.00** **103,302.44**|**94001.24**<br>**124,243.75**|





## **TRUSTEES AND CHURCH COUNCIL MEMBERS** 

The trustees and church council during the year were as follows: 

Robert Tsatsu Dadeboe 

53 Elbow Street, Cradley Heath. B64 6JP 

Patsie Joan Loretta Maynard 

77 Maxwell Avenue, Handsworth, Birmingham. B20 3TX 

Warayidzo Mudunge 84 Glyn Farm Road, B32 1NP 

Simbai Lydia Kafesu 15 Batfield Close, Birmingham, B42 1EL 

## Matthew Bond 

122 Melbourne Avenue, Birmingham. B19 2HX 

Mary Hamer 

128 Preston Road, Winson Green, Birmingham. B18 4PJ 

Sylvia Joseph-Salman 

130 Brantley Road, Wilton, Birmingham. B6 7DP 

Dorcas Dadeboe 

53 Elbow Street, Cradley Heath, Birmingham. B64 6JP 

## **Statement by Trustees** 

The trustees of Life Community Church had regard to the public benefit when planning the activities of the charity during 2024. 

**Signed** _Robert Dadeboe_ 

**Name** Rev. Robert Tsatsu Dadeboe 

**Date** 23[rd] June 2025 

On behalf of Life Community Church 



LIFE COMMUNITY CHURCH
407 LODGE ROAD
HOCKLEY
BIRMINGHAM
B18 5PW
Registered Charity. 1075866
STATEMENT OF ACCOUNT
AND
INDEPENDENT EXAMINATION REPORT
FOR THE YEAR ENDED 31ST DECEMBER 2024
Luke Silver
Accountancy & Taxatlon Servlces
25 Ellicombe Close
Minehead
Somerset
TA24 6DQ
Mobile: 07710 456376
E-mail: luke-silver
uresilver.or

Independent Examiner's Report on the Accounts
Accruals Accounts
Report to thè trusteeslmembers of Llfe Community Church
Reglstered Charity Number 1075866
On the accounts for Ihe y•ar endad 3161 December 2024
Set out on the following pages
Respectlve responsibilities of trustees and examiner
The charity's trustees are responsible for the preparation of the accounts. The charity's
trustees consider that an audit is not required for this year under section 144{2) of the
Charities Act 2011 (the 2011 Act) and that an independent examination is needed.
It is my responsibility to..
examine the accounts under section 145 of the 2011 Acl;
follow th8 procedures laid down in the General Directions given by Ihe Charity Commission
under section 145(5)(b) of the 2011 Act- and
state whether particular matters have come to my attention.
Basis of indepgndent examlner's ￿port
My examination was carried out in accordanc8 With the General Directions given by the
Charity Commissioners. An examination includes a review of the accounting records k8Pt by
the charity and 8 comparison of the accounts presented with those records. It also includes
consideration of any unusual items or disclosures in the accounts, 8nd seeking explanations
from you as trustees conceming any such matters. The procedures undertaken do not
provide all the evidence th8t would be required in an audit, and consequently no opinion is
given as to whether the accounts present a ttrue and fair vi8W' and the report is limited lo
those matters sel out in the statement below.
Independent examIne￿S statement
In connection with my examination, no matter has come to my attention:
{1) which gives me reasonable cause to believe that in any material respect the requirem8nts
To keep accounting records in accordance with section 130 of th6 2011 Act" and
To prepare accounts which accord with the accounting records and to comply with
the accounting requirements of the 2011 Act
Have not been met., or
(2} to which, in my opinion, attention should be drawn in order to enable a proper
understsnding of the accounts to be ￿aGhed.
Slgned L A Sl￿er
Date: 26 February 2025
Luke Sifver. HNC Business & Financ8
Accountancy Praditioner
25 Ellicombe Close, Minehead, Somerset. TA24 6DQ

Independent Examiners Report to the Trustees and Church Council
Introduction
Thank you for submitting the accounts for independent examination. They have been well
maintained and the treasurer and others responsible are to be commended for Iheir hard
work.
Charity Law and Flnanclal Regulatlons
The independent exarnination has been carried out in accordance with the Charities
(Accounts and Reports} Regulations 1995 {Stalutory Instruments No 27241 and the
Accounting by Charities Statement of Recommended Practice (SORP).
Signing of A¢counts
I sh811 be obliged if you will please forward a copy of the signature page for my records after
the accourFts have been signed by a representative appointed by the Trustees and Church
Council. A spare copy is enclosed.
Conclusion
There are no other matters I feel need to be brought to your attention.
Please do nol hesltate to contacl me for further clarification or for furlher 8SSiStance.
Luke Silver
Date: 26 February 2025

Independent Examiners Report to the Church Councll
1. Accounting Policies
a) The financial statements have been prepared in accordance with applicable
accounling standards and follow the recommendations in Statement of
Recommended Practice Accounting by Charities (SORP) issued October 2000.
b) There has been no change to the valuation rules since last year. The accounts are
presented in an accruals format.
c) No changes have been made to accounts for previous years.
2. Trustees
Robert Tsatsu Dadeboe re￿iVed £27,872 gross remuneration. Dorcas Dadeboe received
£13,817 gross renumeration. Mary Hamier received £2.326 gross renumeration. This is in
accordance with the Trust Deed under which the charity is constituted. The remuneration is
expenditure incurred in fu5fi11ing the objects of the charity.
3. Expenditure
Independent Examinerfs f68 for the year is £830.
4. Endowmont and Restrlcted Funds
During the year a Building Fund continued as a restricted fund.
5. Investment Assets
The charily does not have any investment assets.
6. Paid Employees
The charity has three paid employees. They are paid salaries to support the further
d8v6lopment of Ihe objects of the charity.
7. Charity Management and Adminlstratlon
The total administrative costs during the year were £3,800.
8. Fixed Assets- Land & Promises
No additional land or buildings were purchased during the year.
9. Fixed Assets- Contents of Premises
The value of the contents is for insurance purpose5 and is a provisional figure.
10. Debtors & Prepayments
There are no debtors for Ihis financial year. The prepayments in the accounts are for the
Building and Contents Insurance, Mini Bus Insurance and Car Park Rént.
11. Credltors & Accruals
There are no accnjals.

LIFE COMMUNITY CHURCH
REPORT OF THE TRUSTEES AND CHURCH COUNCIL
FOR THE YEAR ENDED 31ST DECEMBER 2024
ACTIVITIES REVIEW
The financial results are set out in the enclosed accounts.
The principal activity throughout Ihe year under review was that of the advancement of th8
Christian faith and the extension of the Kingdom of God.
TRUSTEES AND CHURCH COUNCIL MEMBERS
The trustees and church council during the year were as follows-
Robert Tsatsu Dadeboe
53 Elbow Street, Cradley Heath. B64 6JP
Patsle Joan Loretta Maynard
77 Maxwell Avenue, Handsworth, Birmingham, 820 3TX
Warayidzo Mudunge
84 Glyn Farm Road, B32 1 NP
Simbal Lydia Kafesu
15 Batfield Close. Birmingham, 842 1EL
Matthew Bond
122 Melbourne Avenue. Birmingham. B19 2HX
Mary Hamer
128 Preston Road. Winson Green, Birmingham. B18 4PJ
Sylvia Joseph-salman
130 Brantley Road, Wilton. Birmingham. B6 7DP
Dor¢as Dadeboe
53 Elbow Street. Cradley Heath. Birmingham. B64 6JP
STATEMENT
We certify that the books, vouchers and infomation produced to enable the independent
examination of our accounts to be conducted coniain a full and correct record of our financial
transactions and activities to the best of our knowledge and belief.
SIGNED ON BEHALF OF THE TRUSTEES
Please print name-
Date:

Life Community Church
ststernent of Financial Activities
For the pèriod from 01 January 2024 to 31 December 2024
Tthl
Prlor5par
71582.76
12,981.50
6.Llf.81
85.W.26
&072.81
7t7.28
80,682.15
&541.IN)
562A1
ltes fryrg2￿ratiThJ *Jnds
InKesbnentinoJme
1FD)mI￿ resou￿5 fr￿fi tharitatle ath'%itses
Ctherlncoming re50urr2s
T(tsl
71728
12J123.44
7,568.5B
85?68A8 26,557.89
19592.02
111.946A7
13051.57
lo1￿7.12
th5t0fg￿rati￿￿0jnds
Costofgenerating 4clurOxyinrrm•
FuntrdlslT¥Jtr8thr<J oxtofgcrijs sokj andolhèrL*sts
Inwstment rn#n¥JornentCos15
3,125.48
,981W4
3.125.48
71141.71
2W8.08
64XJ223
21,159.78
24203.09
1&488.54
3,76524
74.96
Z11)&69
2.707.33
BV81A3 39N30.61
40291.63
3W.20
4013.02
IW12
15.134.67
7.423.46
4,372AO
9400124
Qhgrreyources used
507ffj5 112.87Z7¥
11Z36&671
7,fj3539
transfws bthen ftmds-l
1P2Z13
22593.14
P1 J75.271 R240.001
23fj1527
Pl615271
17510.87
{17.510.8n
r recwJ¥5•d*lknse¥
r*Ir￿A￿se$ on in￿str[￿tasSets
ins on rtIduatiL￿.￿>gjassets. than'tys use
119M1&09)
7MIA2
(1138&671
7h35A9
2.074,800
1Q.304.11
I685,104.69 2M77A88AO
TclalfiKKls earrkdfcfward
2,654854A9
17.7￿53
2,672,739.02 2W4f04.69
(7 Fetw 3225 4..31 rxM> Pag& 1 of1

Lffe Communlty Church
Balance Sheet detailed
Asat
3111212024
Asat
3111212023
Flxed asséts
A￿1.. &JildiThJ
NSJ2.. &e4tyral
A4)3'. hth$ical Instrumonts
AW.. S)ftFumishiros
5..
Asofr. Mni &Js
)7: &s t￿lerS
A￿.. Msrdlawl
Ag)9: PA Eqwprnenl
2,483,313.00
25,5CQ,00
4.2￿ 00
17,000,00
17.000.th)
S.￿.0D
24.(￿￿.
8.500.C
16,CpXI.00
a483213.
30.000.tJ)
5t#Jo.
20.CttI.£
20.WO.C(J
7,1)00.U)
30.000.((&
10.lJyJm
20m).C
2,625,313.00
Total Flxed assets
2.601.163.00
Curr•nt assets
CIQ1: HSBC 728811
Gdn2 HSPL S*ings 92881209
3.. KPL Salings
Z05.' PLYJ)unts R￿l￿bI¢
30599.75
37.471.71
24420
32PA)
20.78923
36,7SS.43
24420
1003ffj3
Tot81 Current aststs
71.576.02
59,791.69
N¢t Asset surplus {defi¢it
2,672,739.02
2.685.104.69
Rosorve$
EThsl(d8fidt)todato
2D1'. SlartlTha balancAs
2.. &inslO05seslon inlestrnentassots
112,365.671
1685.104ffj9
7,835.89
2,877,46820
Totsl R•sorves
2,672.739.02
2.685.104.69
Represented by Funds
C*ner#l IUnr&8trdedl
Resthded
2,651,954A9
17.78453
2,672,739x12
1674.800.58
10,304.11
2.685,104.
Trtal
(7 ￿25 4:33 Fynl P￿ 1 d I

LIFE COMMUNITY CHURCH
407 LODGE ROAD
HOCKLEY
BIRMINGHAM
B18 5PW
Registered Charity. 1075866
STATEMENT OF ACCOUNT
AND
INDEPENDENT EXAMINATION REPORT
FOR THE YEAR ENDED 31ST DECEMBER 2024
Luke Silver
Accountancy & Taxatlon Servlces
25 Ellicombe Close
Minehead
Somerset
TA24 6DQ
Mobile: 07710 456376
E-mail: luke-silver
uresilver.or

Independent Examiner's Report on the Accounts
Accruals Accounts
Report to thè trusteeslmembers of Llfe Community Church
Reglstered Charity Number 1075866
On the accounts for Ihe y•ar endad 3161 December 2024
Set out on the following pages
Respectlve responsibilities of trustees and examiner
The charity's trustees are responsible for the preparation of the accounts. The charity's
trustees consider that an audit is not required for this year under section 144{2) of the
Charities Act 2011 (the 2011 Act) and that an independent examination is needed.
It is my responsibility to..
examine the accounts under section 145 of the 2011 Acl;
follow th8 procedures laid down in the General Directions given by Ihe Charity Commission
under section 145(5)(b) of the 2011 Act- and
state whether particular matters have come to my attention.
Basis of indepgndent examlner's ￿port
My examination was carried out in accordanc8 With the General Directions given by the
Charity Commissioners. An examination includes a review of the accounting records k8Pt by
the charity and 8 comparison of the accounts presented with those records. It also includes
consideration of any unusual items or disclosures in the accounts, 8nd seeking explanations
from you as trustees conceming any such matters. The procedures undertaken do not
provide all the evidence th8t would be required in an audit, and consequently no opinion is
given as to whether the accounts present a ttrue and fair vi8W' and the report is limited lo
those matters sel out in the statement below.
Independent examIne￿S statement
In connection with my examination, no matter has come to my attention:
{1) which gives me reasonable cause to believe that in any material respect the requirem8nts
To keep accounting records in accordance with section 130 of th6 2011 Act" and
To prepare accounts which accord with the accounting records and to comply with
the accounting requirements of the 2011 Act
Have not been met., or
(2} to which, in my opinion, attention should be drawn in order to enable a proper
understsnding of the accounts to be ￿aGhed.
Slgned L A Sl￿er
Date: 26 February 2025
Luke Sifver. HNC Business & Financ8
Accountancy Praditioner
25 Ellicombe Close, Minehead, Somerset. TA24 6DQ

Independent Examiners Report to the Trustees and Church Council
Introduction
Thank you for submitting the accounts for independent examination. They have been well
maintained and the treasurer and others responsible are to be commended for Iheir hard
work.
Charity Law and Flnanclal Regulatlons
The independent exarnination has been carried out in accordance with the Charities
(Accounts and Reports} Regulations 1995 {Stalutory Instruments No 27241 and the
Accounting by Charities Statement of Recommended Practice (SORP).
Signing of A¢counts
I sh811 be obliged if you will please forward a copy of the signature page for my records after
the accourFts have been signed by a representative appointed by the Trustees and Church
Council. A spare copy is enclosed.
Conclusion
There are no other matters I feel need to be brought to your attention.
Please do nol hesltate to contacl me for further clarification or for furlher 8SSiStance.
Luke Silver
Date: 26 February 2025

Independent Examiners Report to the Church Councll
1. Accounting Policies
a) The financial statements have been prepared in accordance with applicable
accounling standards and follow the recommendations in Statement of
Recommended Practice Accounting by Charities (SORP) issued October 2000.
b) There has been no change to the valuation rules since last year. The accounts are
presented in an accruals format.
c) No changes have been made to accounts for previous years.
2. Trustees
Robert Tsatsu Dadeboe re￿iVed £27,872 gross remuneration. Dorcas Dadeboe received
£13,817 gross renumeration. Mary Hamier received £2.326 gross renumeration. This is in
accordance with the Trust Deed under which the charity is constituted. The remuneration is
expenditure incurred in fu5fi11ing the objects of the charity.
3. Expenditure
Independent Examinerfs f68 for the year is £830.
4. Endowmont and Restrlcted Funds
During the year a Building Fund continued as a restricted fund.
5. Investment Assets
The charily does not have any investment assets.
6. Paid Employees
The charity has three paid employees. They are paid salaries to support the further
d8v6lopment of Ihe objects of the charity.
7. Charity Management and Adminlstratlon
The total administrative costs during the year were £3,800.
8. Fixed Assets- Land & Promises
No additional land or buildings were purchased during the year.
9. Fixed Assets- Contents of Premises
The value of the contents is for insurance purpose5 and is a provisional figure.
10. Debtors & Prepayments
There are no debtors for Ihis financial year. The prepayments in the accounts are for the
Building and Contents Insurance, Mini Bus Insurance and Car Park Rént.
11. Credltors & Accruals
There are no accnjals.

LIFE COMMUNITY CHURCH
REPORT OF THE TRUSTEES AND CHURCH COUNCIL
FOR THE YEAR ENDED 31ST DECEMBER 2024
ACTIVITIES REVIEW
The financial results are set out in the enclosed accounts.
The principal activity throughout Ihe year under review was that of the advancement of th8
Christian faith and the extension of the Kingdom of God.
TRUSTEES AND CHURCH COUNCIL MEMBERS
The trustees and church council during the year were as follows-
Robert Tsatsu Dadeboe
53 Elbow Street, Cradley Heath. B64 6JP
Patsle Joan Loretta Maynard
77 Maxwell Avenue, Handsworth, Birmingham, 820 3TX
Warayidzo Mudunge
84 Glyn Farm Road, B32 1 NP
Simbal Lydia Kafesu
15 Batfield Close. Birmingham, 842 1EL
Matthew Bond
122 Melbourne Avenue. Birmingham. B19 2HX
Mary Hamer
128 Preston Road. Winson Green, Birmingham. B18 4PJ
Sylvia Joseph-salman
130 Brantley Road, Wilton. Birmingham. B6 7DP
Dor¢as Dadeboe
53 Elbow Street. Cradley Heath. Birmingham. B64 6JP
STATEMENT
We certify that the books, vouchers and infomation produced to enable the independent
examination of our accounts to be conducted coniain a full and correct record of our financial
transactions and activities to the best of our knowledge and belief.
SIGNED ON BEHALF OF THE TRUSTEES
Please print name-
Date:

Life Community Church
ststernent of Financial Activities
For the pèriod from 01 January 2024 to 31 December 2024
Tthl
Prlor5par
71582.76
12,981.50
6.Llf.81
85.W.26
&072.81
7t7.28
80,682.15
&541.IN)
562A1
ltes fryrg2￿ratiThJ *Jnds
InKesbnentinoJme
1FD)mI￿ resou￿5 fr￿fi tharitatle ath'%itses
Ctherlncoming re50urr2s
T(tsl
71728
12J123.44
7,568.5B
85?68A8 26,557.89
19592.02
111.946A7
13051.57
lo1￿7.12
th5t0fg￿rati￿￿0jnds
Costofgenerating 4clurOxyinrrm•
FuntrdlslT¥Jtr8thr<J oxtofgcrijs sokj andolhèrL*sts
Inwstment rn#n¥JornentCos15
3,125.48
,981W4
3.125.48
71141.71
2W8.08
64XJ223
21,159.78
24203.09
1&488.54
3,76524
74.96
Z11)&69
2.707.33
BV81A3 39N30.61
40291.63
3W.20
4013.02
IW12
15.134.67
7.423.46
4,372AO
9400124
Qhgrreyources used
507ffj5 112.87Z7¥
11Z36&671
7,fj3539
transfws bthen ftmds-l
1P2Z13
22593.14
P1 J75.271 R240.001
23fj1527
Pl615271
17510.87
{17.510.8n
r recwJ¥5•d*lknse¥
r*Ir￿A￿se$ on in￿str[￿tasSets
ins on rtIduatiL￿.￿>gjassets. than'tys use
119M1&09)
7MIA2
(1138&671
7h35A9
2.074,800
1Q.304.11
I685,104.69 2M77A88AO
TclalfiKKls earrkdfcfward
2,654854A9
17.7￿53
2,672,739.02 2W4f04.69
(7 Fetw 3225 4..31 rxM> Pag& 1 of1

Lffe Communlty Church
Balance Sheet detailed
Asat
3111212024
Asat
3111212023
Flxed asséts
A￿1.. &JildiThJ
NSJ2.. &e4tyral
A4)3'. hth$ical Instrumonts
AW.. S)ftFumishiros
5..
Asofr. Mni &Js
)7: &s t￿lerS
A￿.. Msrdlawl
Ag)9: PA Eqwprnenl
2,483,313.00
25,5CQ,00
4.2￿ 00
17,000,00
17.000.th)
S.￿.0D
24.(￿￿.
8.500.C
16,CpXI.00
a483213.
30.000.tJ)
5t#Jo.
20.CttI.£
20.WO.C(J
7,1)00.U)
30.000.((&
10.lJyJm
20m).C
2,625,313.00
Total Flxed assets
2.601.163.00
Curr•nt assets
CIQ1: HSBC 728811
Gdn2 HSPL S*ings 92881209
3.. KPL Salings
Z05.' PLYJ)unts R￿l￿bI¢
30599.75
37.471.71
24420
32PA)
20.78923
36,7SS.43
24420
1003ffj3
Tot81 Current aststs
71.576.02
59,791.69
N¢t Asset surplus {defi¢it
2,672,739.02
2.685.104.69
Rosorve$
EThsl(d8fidt)todato
2D1'. SlartlTha balancAs
2.. &inslO05seslon inlestrnentassots
112,365.671
1685.104ffj9
7,835.89
2,877,46820
Totsl R•sorves
2,672.739.02
2.685.104.69
Represented by Funds
C*ner#l IUnr&8trdedl
Resthded
2,651,954A9
17.78453
2,672,739x12
1674.800.58
10,304.11
2.685,104.
Trtal
(7 ￿25 4:33 Fynl P￿ 1 d I