FINANCIAL STATEMEKfs AND TRUSIEES REFX)RT
YEAR ENDED I APIUL 2025
DOMINION CHRISTIAN
CENTRE
Financial Accounts
And Trustees Report
1•t April 2025
l )I'C
Charity No. 1078438

DOMINION CIIRISTIAN CENIBE
FINANc￿L STATEMENfs AND TRUSTEFS REPORT
YEAR ENDF.D I APRIL 2025
ADORESS
tkminion Chri81i￿ Centre
Unil 2
Maskill Estste
29 &dder Street
London
E16 4ST
REGISTERED CHARrrY NUMBER
1078438
TRUSTEES
Mrs E8hla VcThl88
MrTunli A￿b.
Pastor Johnson P￿XIa
Mr Clu01
PASTOR AND MINISTER4KHARQE
Pastor th)hnson Powla
BANKERS
Barcla￿ B￿k Pl¢
Accountants
TL Fir81 Aco>Jntanb ￿MI&l
Chwter&J C8rtfffftY l£wnlants
1 Copars C¢pe R￿d
B6ckenham
London
BR31NB

FtNANCtAL STATEMENTS AND TRUSIEES REPORT
YEAR ENDED I APRtL 2025
TRUSTEES REPORT
ststus and adrninistration
The Charity is constituted by a Consti￿tim axl registe￿j with the Charity CThnmIss￿nels under
charity numtei1078438.
The constituti￿ has LEen aff£nded in subsequent yws. the latest amendment beirHJ in December
2002.
Charltsble Objects
The Objects of the Charity are the aJvanceM￿l of..
The Christian religion through but not exdusively the kyoifjsiin of servtis, religK)us education
classes, seminars arKI crusajes.
Musical education of thildren and YWNJ wsons in the m of greater London, through the
pKovision of trainirKJ f&ilrties.
Within these Obpcts, the Chty Iso has pemialent eThlownRnts and un*ndowed trust frJnds
hekl for special purwses in vrith ac4UiSit*)nldeveWMt of a rernianent pl￿ of
worship.
Board Pollcy
The Charity provides infomi*KJn, cont*, hdps, 17)unselling and financial supwrt for charity
members and the community at large.
11 is our policy lo provide a buildu￿ wth V￿K￿s f&ilit*s to fxmtributs to the communÉty.
Review of aciivltles and achievern•nts
In tfE year 202412025, have seen t￿mendouS change and improvement in the way the charity is
run. The r￿u¢￿'on in the net incomirwJ resources was due to global financial crisis and the impact on
Gharitsble org￿l$al￿)ns as DCCIDSM. We have been abk to achEve more on objectives of
the charity than the previous years.
Flnan¢lal actlviUes and resulis
The nel incoming resource for the year amounted to £113.918 of whKh SO￿ 10% was althated lo
mission workslfrjnding.
Investrnent pows, pollcy and perfonnance
The trustees, investment pjwers a￿ govemed by Constituti￿ of the tharity.
ReseNes
Unrestricted funds amounted to £ 23,304 The ty)* has rAInbn￿l to ensure that the expenditure is
ftKused on the smooth running oftr* chanty to meet daily needs of fulfilling the objectives.
Risk Management
The Trustees examine the major risks that the Ministy e&h finar￿1￿ year when preparing and
updating the stratsgic plan. The charity has develoFed systems10 monitor and (x)ntrol these risks to
mitigate any imm thal Ihey may have on the (Kganisation in the future.

DOMINION CHRISTIAN CETrtnlE
FINANc￿L STATEfvfENfs AND TRUSTEES REtK)RT
YEAR ENDED I APRtL 2025
Accounting and re￿Irting responsibilitses
The Charib'es Act1993 requires the Tnjstees of the Charity to prepare financial statements for each
financial year whith give a twe and fair wew of the Charity's financial acb'vities during the year and of
its financial p)sition at the end of Ihe yew.
In preparing the financial statements, the Trustees shoukl folbw tEsl prthe and
Seleci SLiilable accounting p)licies and apply them consistendy.,
Make judgements and estimates that are re￿nable and prLKlentr,
Follow applicable aco)unb'ng standards and the Chariks SORP, discbsing and explaining any
departures in the financial statements. and
Prepare the financial statements on ts going CI￿CeM basis unless it is inappropriate to
assume that the Charity will continue in operat￿.
The Trustees are reSpX)nsit￿ for kwffJ xcounting records, wfv￿h are such as to disdose, with
reasonable accuracy, the financial position of ￿ Charity at the b'me, and to enable them as trUSt￿S to
ensure that the financial statements compty %￿th chanty law. The TnJsl&s are also responsible for
safeguarding the Charity's assets, and hen￿ for takJ'NJ reasonatAe sleps for the preventi(￿ and
detection of fraud and other iffegularities.
Approv&J by the
ard of Trustees of tl'vine Sdution MinistrEs
on...
.. and signed ts L*half by:
ChairnRn

FINANCIAL STATEMENTS TRUSIEES REPORT
YEAR ENDED I APRtL ?025
ACCOUNTANTS, AND INDEPENDENT EXAMINER'S REPORT
I report to the trustees on my examinab'on of ts al￿nts of ts th)minion Christsn Centre for the
year ended 01 April ￿25.
Responsibilities and basis of rep
As the charity's tnjstees, you are reStKMsib￿ for the preparatiM of the accounts in accordance with
the ￿￿1￿ments of the Charities Act 2011 rthe Acri. I report in resFrft of my examination of the
Trust's accounts carried oul under section 145 of the 2011 Acl and in carrying out my examination, I
have followed all the applicable Directi¢￿5 given by the Charity Commission under se￿10n 14515)Ib} of
the Act
Independent examinees statem
l am qualffied to undertake the examination by beirKJ a qualtw member of the Chartered AsscKiatKJn
of Certified Accounlanls IACCAI and Fellow of the A￿lation IFCCAI.
I have completed my examination. I confimi that rn material matters have o)me to my attention in
connection with the examination (other than thal d￿￿JOSed below") which gives me cause to believe
that in, any material resFect
. the accounting ￿CordS were not kepl in accordance Y￿th ￿t￿)n 130 of the Charib'es Act,. or
. the accounts did not accord with the accounting rerords,. or
. the &counts did not o)mF4y the applicable requirements a)nceming the fonn and conlenl of
counts set out in the Charities (Accounts and Rep￿ts) Regulations 2Crf)8 other than any requirenEnt
that the accounts give a and fairf y￿W whth is not a matter considered as part of an independent
examination.
I have no con￿M$ a
wbich attention sho
lo be reached.
ave come &ross no other matters in COnn￿lI0n wth the examination to
drawn in this rerA)rt in Lyder to en*)k a proper understsnding of the ac(xunls
Dr Olu Olasode FCC
Chartered Certrfied Accou
TL First Accountsnts Li
TL Flrst Limlted
nt

FINANCIAL STATEMwfs AND TRUSTEES REPORT
YEAR ENDED I APRIL 2025
STATEMENT OF FINANCIAL
ACTIVITIES
2025
2025
2025
2024
NOTE RESTRICTE UNRESTRICTE TOTAL TOTAL
INCOMING RESOURCES
Incoming resources
generated funds..
Other Ir￿￿ming resources
113.918
15
113,918 110,760
15
TOTAL INCOMING RESOURCES
113,933 113,933 110,760
RESOURCES EXPENDED
Cost of generating funds:
Charitable Acb'wties
Govemance Costs
62,610
51,329
62,610 78,205
51,329 45,762
TOTAL RESOURCES
EXPENDED
113,939 113,939 123,967
NEf INCOMEIEXPENDrruRE FOR
THE YEAR BEFORE TRANSFER
13
Net Movements in Funds
(6}
{6) {13,207
Total Funds Brought Forward
2,722
23,310
26,032 39,239
Totsl Funds Carried Forwdrd
2,722
26,026 2,632

tK)MINION CttRISTIAN CENfRE
FINANCIAL STATE.MENTS AND IRUSTEES RElf)RT
YEAR F,NDED I APRIL 2025
NOTE
BALANCE SHEET
2025
2024
Fixad Assets
Tangible Assets
Investments
20.311
132
20,425
132
CURRENT ASSErs
Debtors
Cash & Bank
3.869
1,714
3.869
credit￿ . falling due within one ye
NET CURRENT ASSErs
76
Creditors.. due over one ye
NET ASSETS
INCOME FUNDS
Resthcied
Unrestricted
26.026
2,722
2,722
23,310
For the year ended 1 April 2025 ts o)mpany was entsued to exempti¢)n under Section 477 of the
Companies Act 2C(6. No Mbers have requir&J ts cx)mpany to obtain an audit of its ￿COUnts for the
year in question in accordan￿ wdh Section 476. Tr trustees thow￿e their resFonsibility ts..
i). Ensuring the company keeps ￿nting r￿[d$ whth coM￿Y ￿'On 386 and 387.
li}. Preparing accounts which give a true ¥KI fair VEW ofthe state of affairs of the company as al the end
of rts surplus and deficrt for the fin￿￿al w in &Xthan￿ ￿1th section 394 and 395, and Ithich
olherwse comF4y the requirements of the CoMpan￿S Act relating to accounts so far as
appI￿able lo the company.
Approved by the Trustees on.... .. .
.. soned on their behair
These accounts are prepar&J in &0)rdan￿ *ith the SORP 2CQ5.
All incoming resources and resour￿ eX[￿ded (kftve from continuing *ivities.
CHAIRMAN
TREASURER

DOMINION CHIUSTIAN CENIRE
FINANCL4L STATEMF.NTS AND TRUSTEES REK)RT
YI.:AR ENDED I APRIL 2025
NOTES TO THE FINANCIAL STATEMENTS- I APRIL 2024
ACCOUNTING POLICIES
Accountin
These ￿)Unts have trttn dravm up on the basis of a going L7)n￿rn and the financial
stslements prepared under the htstorical cost (J)nvention in XCOrdan￿ with applicable
Standards, Financial Rewrbng St&dards and the Charib'es Acts 1992 & 1993. The
statements comply Vlith test practice and reflect ts requirements of the ￿ViSed
StaterrÈnt of Recommended Prth (SORP} 2 "Accounting for chant￿s.
nition
In
Income and E%¥endilu￿ are recoJnised on an ￿rUal basis. EDnations and legxies
are accounted for as received ar￿ accru￿ only when a value can te establish&J belore
payment is re￿1Ve￿.
G•noral Fund
Revenue grants and other income and exFerKlilure assrriated wth the general
operatKins ofthe charity and ts intemational ￿le￿5 ￿ dealt with in the General Fund,
R•$trict¢d Fund
These comprise donatiLMS, legaues or other income, the use of which has been
specified by Ihe dorK)r. There is currently no reStrIG￿ fvnd.
Endowment Fund
There is currenlly no end0￿￿nt fvrKI.
All fixed assets are capitslised. The charge for dep￿clab.On is calculaled to wrfte off the
cost of the fLxed assets over their u*ful lives on Ihe following bases..
Musical Equiprwtt
Motor Vehicles
Fumiture & fittings
25% on the r&Jucing balan
25% on the r&Jucing balance
25% on the r&Jucing balance
Assets are deprectated time at which are brought into use.

DOMINtON CHRtSTtAN CENfRE
FINANCIAL STATEMENTS AND IRUSTEES REFf)RT
YEAR ENDED I APRIL 2025
2. INCOMING RESOURCES
UNRESTRICTED RESTrICTED DESIGNATED TOTAL TOTAL
FUNDS
FUNDS
FUNDS FUNDS FUNDS
2025
2025
2025
2025
2024
Donations {including
Gift Aid r6roverable)
Grants and Income
from trust
113,918
113,918 110,760
113918
113918 110 760
3. RESOURCES EXPENDED
COST OF GOVERNANCE
OTHER TOTAL TOTAL
CHARITABLE
COSTS RESOURCES
2024
2023
ACTIVITIES
EXPENDED
Dlrocts Costs
Stsff Costs
33 26 438
33 806 26 438
IndSrect Costs
Charitable activltl•3
Offi¢• & Admin
Costs
Depreciation
Charges
28,804 51,767
51.217
51,217 45,612
112
112
150
80 133 97 529
TOTAL
RESOURCES
EXPENDED
610
113939 123967

DOMINION CHRISTIAN CENTRE
FJNANCIAL STATEMENfs AND TRUSTEES REK)RT
YEAR ENDED I APRIL 2025
4. TANGIBLE FIXED ASSErs
Computer &
Musical
Equip
Fumiture &
Fillin95
Motor
Vehicle TOTAL
Building
COST..
At 0110412024
AI 0110412025
19,976
19,976
63,224
63,224
5,750 119 742
5,750 119,742
30,792
DEPRECIATION:
At 0110412024
Charge for the year
At 0110412025
30,671
62,￿5
80
62,985
5,742 99,319
112
5,745 99,431
30,701
NET BOOK VALUE:.
At 0110412025
At 0110412024
91
121
239
319
19,976
8 20,425
6. DEBTORS
2025
2024
Oth8r D&tlo
10