SWORD OF THE SPIRIT EVANGELICAL OUTREACH
Charity REG.No:1081609
TRUSTEES. REPORT AND ACCOUNTS FOR
THE YEAR ENDED 31ST OCTOBER 2025
MOSES-BOLE&CO
Chartered Certified Forensic Accountants
Certified Professional Accountants l Tax Advlsers
& Business Chartered Management Consultants

SWORD OF THE SPIRIT EVANGELICAL OUTREACH
Charity REG.No:1081609
TRUSTEES. REPORT AND ACCOUNTS FOR
THE YEAR ENDED 31ST OCTOBER 2025
OSES-BOLE&CO
Chartered Certified Forensic Accountants
Certified Professional Accountants l Tax Advisers
& Business Chartered Management Consultsnts

SWORD OF THE SPIRIT EVANGELICAL OUTREACH
CONTENT
Trustees and AdvlseT5
Trustees. Report
Indgpendent Examlner"s Report b) the Tru5teas
Statement of Flnanclal Activlties
Balance sheet
Notes forniing part of the Flnanclal Statement
7t017

SWORD OF THE SPIRIT EVANGELICAL OUTREACH
LEGAL AND ADMINISTATIVE INFORMATION
Genaral overseer: Rev (Mrs) Adekunle
Trustees:
Rev (Mrs) Adekunle - Chairperson
M Aiyegbusi - Chairperson
Mr Bayo David Rufai
Mr Lanre Olotu
J. Johnson
Registered Office:
305A Sprowston Mews
Forest Gate
London E7 9AE
Minister In Charge:
Rev.(Mrs) Adekunle
Charity No
1081609
Bankers
Lloyds TSB
Accountants
MOSES-8OLE&CO
Charter•d Certifièd Foren$i¢ Accountsnts
CertlfIod PrOf￿810nal A¢¢ountants l Tax Advi¥ers
& B￿lI￿S Chartered Managom•nt Consultsnts
39 SL Brelades Court
Balmas Road
London N1 STW

SWORD OF THE SPIRIT EVANGELICAL OtrrREACH
TRUSTEES REPORT FOR THE YEAR 31 OCTOBER 2025
The Trustees have the pleasure in subm￿1ng their report and accounts for the year ended
31 st October 2025. The financial statements have been prepared in accordance
with the accounting policies set out on pages 7 to 10. and comply with the statement of
Recommended Practi￿ (SORP), issued 16th July 2014, and the
Charity Act 2011, and applicable law.
Ob eetive and Activities
The principal objective of the Charity is the advancement olthe Christian faith worldwid¢
and the Telief of poverty
The Tn￿ee8 are delighted to rqM)rt that the Church continues to flourish spiritually by
minister[[￿ to its community in the UL The church is groviing in membership and is
expanding its outreach to the community.
Structure Governance Mana
ement
Constitution
The Charty is constituted under a Trust Deed and Charity registration
Number 1081609 on the ￿ntral register of the Charity Commission of England and Wales.
Method of A
ointment or Election of Trustees
The management of the charrty is the responsibility of the Trustees, who are elected and co-
Opted under Ihe tems of the Trust Deed
anisational Structure and DeciSion￿akin
The church is organized so that the trustees meet regularly to manage its affairs. One Minister
who manage the daY-t￿daY administration of the church, and volunteers
Achievement and Perforniance
Sword of the Spirit Evangelical Outreach ISSEOI organised and with BIG success celebrated
the annual conference In september 2025. Othe annual conferences which were SSEO
women of faith and Mother Eunice Parent Awareness Scheme.
Our youth went on community outreach on quarterly basis and integrated with the other
youth in the community.
SSEO organised a day retreat to ALL Nation Christian College at Wale. It was very successful
with a lot of activities for both young and old members.
During the year we went on the community Evangelism and gave the people in the
community food and drink
Future Develo
mentsthe
The Church will continue to explore various ways of spreading the Gospel of Christ effectively.
The Charity is also looking to grow in membership and continue to develop its members.

Revlew of Financial Position
The net ino)ming resources for the year amounted to £5,853 Iyr 2024 £19,460).
All these have been Un￿Stric￿ reserves. and no fund is allottwj to restricted projects.
Risk Pollcy
The Trustees have assessed the major risks to which the Charity is exposed, particularly tho:
lating to the operations and finance. and are satisfied with the risk rnanag￿ent system
In pla￿ to mitigate any risk exposure.
Reserve Policy
The trustees have estsblished a policy whereby the unrestricted funds not committed or
Invested in tangible fixed assets (the free reserves] held by the church should be 3 months
Of annual expenditure.
We are confident that with every precaution taken and akn ￿nSidering the pace of grob*th in
Charity's operations and finances,
we would be able to sustain the current activities of the church in the event of a significant
decrease in funding.
Prfncipal Fundlng
This is provided mainly through voluntary tithes and offerings by the church members
Realisable pledges are also taken for S￿IfiC projects
The Trustees during the year undef review were."
Rev (Mrs) Adekunle,
Mary Aiyegbusi- Chairperson
David Rufai
Stephen Olotu
Jack Johnson
Approval
This report was approved by the Board of Tn￿tee8 on Date...... 161
SecretarylChaim)an".
-.Signature...

MOSES
BOLE&CO
INDEPENDENT EXAMINER'S REPORTTO THE TRusfEES OF
SWORD OF THE SPIRIT EVANGELICAL OUTREACH - SSEO
I report on the accounts of the charlty for the year ended 31 October 2022, which are set out below
and notes to the financial statements on pages 7 to 17
Respective responslbilitles of Trustees and Examiners
As the Charivs Trustees, you are responsible for the preparation of the accounts- you
consider that an audit 15 not required for this year (under section 144121 of the Charity Act
2011lthe 2011 act) and that an independent examination is needed. It is my responsibility to
Examine the account (under section 145 of the Act):
follow the procedures laid down in the General Direttions given by the Charity..
Commission (under section 14515) Ibl of the 2011 Act and
State whether particular matter5 have come to my attention.
Basls of Independent Examinerfs report
My examination was carried out in accordance wlth the general directions given by the
Charity Commission. An examination includes review of the accounting records kept by the
Charity and a comparison of the accounts presented wrth those records.
It also includes consideration of any unusual items or disclosures in the accounts, and seeking
explanations from you as the Tnjstees concerning any such matters.
The procedures undertaken do notprovide all theevidence that would be required in an audit
and consequently no opinion is given as to whether the accounts present a "true and falr
vie￿, and the report is limited to those matters set out in the Statement below.
Independent Examinerfs Statements
In connection with the examination. no matter has come to my attention:_
l) Which give me reasonable cause to believe that in any materlal respect the
requirements
To keep accounting records in attordance with sertion 130 of the 2011 Act,.
To prepare accounts which accord with the accounting records and to
complywith the accounting requirements ofthe 2011 Att have not been met
or
21 To which. in my opinion, attention should be drawn in order to enable a proper
understanding of the accounts to be ￿ached
Moses O E Igunnubole. BA (HONSJ FAI4 FCPA FF4 CPF
MOSES-BOLE&CO
FIC CA T...
Chartered Certified ForensicAccountants
Certified Public AccountLTnts/faxAdvisers
And Business Churtered Management Consulton
DA TE.. 2q_ 07-2026

SWORD OF THE SPIRrr EVANGEUCAL OLrrREACH STATEMENT OF
FINANCIAL ACTIVITIES FOR THE YEAR ENDED 31ST OCTOBER 2025
R&strKtsJ EThJow.
ment
PU￿SS
Prior
y8ar
Funds
Nots3 UnrestrKbJ
Funds
T¢)tal
Funds
FuThls
Incomlng r•Murc
In¢ome and endomnts from:
Donations ar¥J legacig8
Other In¢omo'.
Profit frc¥n asset dl8posal
Total
34.071.07
34,071.07
27.157
22.096
49,253
34.071.07
34.071.07
xp•ndltur• onz
Diract Cost
Support Cos1
Governane• Cc4t
Total
2.213 82
36,￿ 20
7S0C
39,924.02
2,213.82
36.960.20
750.00
39.92&02
1,SS2
27.492
750
29.794
N•t mov•m•nt In fund•
6W2.95
1,862.9S
t9A60
R•¢onclll•tlon of lund
Total funds brought forward
Pn'or YearAdiuslm•nl r•gar¢liry A88•tdMwl
Total fund• ￿￿1•{1 fopwanl
218,719.06
3.157.88
206,708.13
21LI.719.08 198,269
3.157.98
206.708.13
216.719

ALANcE5NE￿ AS AT JISYQCTOBER 2ty
Totsl
Last
Y•ar
FLa¥J5
Fund5 Ftw
Fund¥
Flx•d •s9ets
T8nglble gssets
207.084.07
207.084.07
207.OB4.07
207.OB4.07
193230
193230
Current
Debto¥s & Prnp8yments
Cash al bank gnd In hand
Tolal ¢)JfMI wels
11500.00
5.683
18,183
2.499.C6
99.08
2,499.r
2 499.06
¢￿dIt￿S. 8mowts ￿1kn9 dug hilPin ¢)ng
1875.11)
2.875.
1.645
Net rJJTTerrf 8sseWOi8t4tt188)
375.94
375.94
16.538
,Th.13
2(E.7LIB.13
2(￿.768
CredRo￿. arnounts faifir6 after w ygor
Pro￿0n$ for fAbi
5.951
206.7￿13
206,70&13
215.719
Funds of the Charlty
Unrestricted fijnds
Revaluation ￿Sen
Totsl fvnd$
,708.13
2(￿,708.13
215.719
106.708.13
208.708.13
215.719
Slgned by one orhvo trust888 on ljehafof 41 fv tnLst&&'
17).
Prinl Name:
Rtrd. Mfk¥LC ¥HIGT - i . Pff>EKu A LE

SWORD OF THE SPIRIT EVANGELICAL OUTREACH NOTE TO THE
ACCOUNTS FOR THE YEAR ENDED 31STOCTOBER 2025
Not• 1 B•$ls *)• pr•yrntio
1.1 Bas1• of aceountlng
These 8¢counts have been prepared under the historical cost convention rtems recognised
at cost or Iransathon value unless otherwise stsled in the relevant notelsl to these accounts.
The accounts have been prepared in acCc*tsn￿ with the Financial Reporting Standard applicable
in the UK and Republic of Inland (FRS1021 issued on 16 July 2014 and wth lh8 Ch8rttles Act 2011
8nd the Chanty conslilutes a public benefit as defined by FRSI02.
1.2 Ooln9 ¢OnC•rn
Conslderlng tho Stead lèvel of Incomlng r•sour¢•s andm•mborsh* number th• Chartty Is
a goln9 ¢oncem wllh no any known unforns88n ￿￿uMstanc•
1.3 Chang• ol •ccountlng poIIcy
The accounts present a true and fair aNt the accwnting Fdicies adopted are th￿ OLrtlined in
the not6 With no change in policy
1.4 Ch•ng•• to aee•untlng ••tlmat••
No change8 to accounting estsmatss have In the repthng p￿10d (3.46 FRS 102 SORPI.
1.$ Mat•rf•l Prior y••r •rYorn
No materi81 prior year adjustments have be•n identified in Ihe reFthng peric¥J {3.47 FRS 102 SORP).

SWORD OF THE SPIRIT EVANGELICAL OUTREACH NOTE TO THE ACCOUNTS
CONTINUED
FOR THE YEAR ENDED 31ST OCTOBER 2025
Motg 2
Z1 RECONCILIATION ￿TH PItEVIOUS GÈNERALLY ACCEPTED AccovKnNG
PRACTICE
The￿ k8 no change in 8Ctountiog polKy tn this
2.2 INCOAIE
This standard list of 8¢xx)uniing poTr(*s has teer+ applEd by the dwnty &xc*pt fgr Ihose I¥￿ed No or
'Nla" Where a drfferent or add￿0￿￿ has been ad¢)pted then thr4 ts <*tsikd in the box b8kJw.
R•¢OH￿I*ll)n of Incom•
These aFB induded Mi the Statwnent ol Finanoal ALtivrW ISOFAI wh8n.'
. Ihe charity bec4xnes enbued to the resourc
. it is mor8 likely than notthat the trv5t8es wll rec4Ne the resour￿5,. and
. ttte m¢)netary value Ixn ￿ ￿￿a￿Are￿ wrth suffK*nt rulHb￿ty.
Offsettlng
There has been no offsetting of *sets li*"lrt*s. ￿ ruyne ejpnse
Grants and donatlo
Grants and donations are only induded in lh8 SOFA when the ge￿ ir*fft rec£gn11#￿ (4iteria are
met15.10 to 5.12 FRS 102 SORPI.
In the case of perfO[man￿ reL81&* grants, in(XX￿ rnust onty be rELxwJn￿ed to the ext8ntthat the
chanty has provbjed the goods or a5 enlrfemer*t to th8 grant onty octu￿ wh8n the
perforrnar￿ re￿tad condttiws rnet15.16 FRS 102 SORPI.
L¢gaci•8
Th* 1$ no legacy r￿￿ed duriThJ thi$ pwwyj.
fjov•rnment grants
No government grant was recewed durrg IhLs
Tax r•¢lalms on donations and 91ft*
Grft re(eNats￿ Ind￿ in inwme when th8r8 K8 a valiy decjara1K￿ frtyn the donfx Any Grft
amount recxjvered on a donab.on rs consKfered to be part of Ihat 9ft and is tyeatsd 88 8n addition
to Ihe 5arne fund a$ tt* ￿1￿81 dona*on unkss the donor OT the fern￿ ofthe aFpeal hawe wIf￿d
otherwise
Th￿ is not appliratse
There no donated goc¢J.
Donat•d soThlco4 and f*ellltl
Donated servKe5 and f8¢ilitss ar8 Ip Ihe SOFAwhen att￿ vahJè ofthe gth to tho
¢harity provided the value ofthe gift ￿ b8 rrwur*J r84atty.
Oonated serwces and farililE5 that are ¢>)rtsurrkd unrnedkatety ar8 recoan￿ as ino)m8 wth an
8quIv8￿nl amount reccgnLsed as an expe￿ under the apwowale in the SOFA.
Th8 ¢harty has inrJJThl exwTrJiture ￿ $upwtc#sts.
Voluhl••r h￿P
The value of any voluntary help rece￿*d is not in Ihe att￿nts but i8 descri*d in the
trusiees, annual mporL

Not aptyKable durtng Ihis period.
Trthes 8nd offeriNJ r￿e1Ved frorTh m8mber6 are in the nabjre ar8 as Don8)ons.
an¢ Legac
Insurance daims arg only included in SOFA **en the genefJ Sic¢￿ re¢L¥JnitwJn uiteria are
met15.10 to 5.12 FRS 102 SORPI aThJ as an item dother in(xMne in the SOF
Iiiv•stment galms and 10*$08
Thi5 Includes any ￿alised or unt88lts•Y gains ¢v k￿eS on the sth ofin¥estrnerts arkl any gwn or
kJ58 ￿Ults.ng from r￿￿ul￿g ￿￿eStsments b) ma￿&1 value at Ihe eTrJ of the year.
2.3 EXPENDITURE AND LIABILITIES
Llablllty re¢oynltlon
Lthilrtts are recegnk8ed %th8re It is more likety Ihan not that lh￿ a ￿1 or corBtrucDv8 obligation
cwnrnitbng th8 thanty to pay out resources and ttE arn￿￿t ofthe otyYJab'on ¢an be measurwj with
reasoryab￿ certainty.
supp￿ c4sts have bEen allocatsd beknn govemance (thts and other sJpporL Govemance ￿8t8
comprts8 all costs invofvmg publi¢ accountability ofkn chanty aryj ts rmip14an￿ ￿ r8gukqtK)ft and
good practir*.
Support Costs include central frJnctKJrts and have been albc8led io (xxt catwrEs on a bags
consistent wth the use of resourLw, ￿kx2￿"rg prcperty Costs by fkKJT area5. or p8rcaprta. staff
o)st$ by tine spent aTra other (￿sts by u8age.
Orants wlth p•rforn?an¢• conditlons
Th8 Chanty is not awardiro grant to any ￿ganis01￿Jn
Where there a￿ no conditions attaching lo grant that enables thè donor charity to ￿allS1￿1￿
avoYJ thts ccthrnthn( alobilty for￿ fvy ￿￿ling ¢JblYJaticn must be r￿ThL￿.
R•dundaney ¢ost
Th8 charty made no r8duThYaw during the rep￿ ￿￿K￿.
No material Item of deferr•J tnwne has be￿ in(J￿ in ts accounts.
Crodltovs
The charity has L¥editors whwth are ftknured ai sethM￿8￿Wts any tradedw)unts
Provislons for Ilablllti
A liabil￿ty mtsasured on r6ccgn￿M at it8 hthri¢al cost and tsn sub58quenty rne8su￿d atthe
best estynate ol the arTr)unt T4uirwJ to ¥¢ttk Ihe oblvJation alts wrbng dat6
Basle flrban¢lal instrnments
The charty accourts for bas￿ finanual irthrnents on Trcc#3nrf￿n a5 per pa￿3raph 10.7 FRS
102 SORP. Subwuent measurerr*nt i% as per patagrath 11.17 to 11.19. FRS 102 SORP.

2.4 ASSETS
TanglbJ• fixod ￿￿•ts for us• by ¢hwlty
Thes8 are Capitarts￿ can be used for than 0￿ ￿. at laast
They are valu8d at co
The depreck8kn rates and m•thod$ a￿ ift 14.
Intsn9lbl• Ilx•d au•ts
The charty ha$ no inlangibb fixed a$88ts, that is. non-rrnw assèts that do not phy5
$ub5tan¢8 but am ￿enI￿able and are eontrow by the chanty through tsJ5tody orJ8gAI TrJhts. Th
amortisabon rates and methc*Js u$8d a￿ d￿d0$$d appltsb*.
They are Wdlued at cost
H•rltag•
¢harty h8$ no h8n* a$80ts, Ihal B, non4ll￿ry with htsiorlc. arllsbc. sr*ntir
technological. geophysral or environrnental qualit￿5 Ihat are hekl ar*J maintained princapolty fortsr
contribution to knowl* 8nd cuttum Tho ¢Jépr8C4atK•n ratss w*thod8 ustsa 88 L*6cbs¢d (n
note 16 is not applicable during IhKB perr•J but rfaVai￿kn thoy ar¥ ￿lUe￿ at co¥¢
Inv•stm•nt•
Fixed assat inv6strnents li quot8d 5horfrs. tsaded bond8 and ¥imil*r irN8strrnnts ore valwl at inibgl
81 ¢051 and Sub8w￿n1ty at fair v8lu• I1￿1rMa￿0t value) at Iho yoaf •nd. The same treatmènt is
8pplied to unlis*•d Investrn8nts unkn• falr￿lu0 cannot ly• mo¥•u￿ case rt
m•aSUr￿ At Ca81 kn im￿1￿￿nt.
Investrn8nts hèk4 for rtsakn or p8TrJing their sak• End cash ￿ e4sh Wth a m•tuity dat•
of kx$ than 1 year are treatsd a6 ￿rr•rtt agrel ￿￿•trnanth
Stocks held for 85 part of non-charitable tr* ar• m￿ured ot ce4t or r•t
reallsabkn valu•.
Geod8 or $er¥u8 wovhJ8d 48 P•rt of a tharrtab￿ ocb¥*ty ar• at rf roalWk• valu•
b88ed on the ￿r¥I¢* potenlial pro¥￿ed by rtems of slcth.
Work in prtsar￿ k• v8lu•d at cost * arry kx8 thgt Vs to ocojr on lh• eth>tract.
D•btov•
tor8 Ilncluding tr&*è d¢btorJ anL1 loans rec•Nab*l 8rn measu￿1 on inthl rec4Anibw at
sott￿ment amount aft•r 8ny discounts or 8d¥ancsd by the ¢harty. SubwueTrty. b)ty
8r8 Trw•sured at Ihe orotlw cor*Klornlk)n oxy*L*8d lo ￿ rBwrt•J.
Cyvr•nt a•••t inv••tm•nts
The cA8rtty has no investrmnts whTeh ft holy8 for or p8ThYir¥ tr*r 8Bl• and cash •nd cp8h
equi¥al8nts wth a maturty t10ts than ¢ne J*r. Th8se IrKI￿j& on depxrt and
equNalenls %Mth a maturty dale of thath one y•Ar hefvJ for inve8ts)Wffl purF4)tsB ratkn than to
meet Short term ¢8sh commitments 14U dw.
Th•y Are valts•d •t lair ex¢•pt wh•r¢ Thy qLi811fy •8 ba•t
POUCIE8 ADoFfED ADDITIONAL TO 011 DIIIVERE•IT FROM TNoJe A8ove
Therg 18 no any other poli￿ *pied.

SWORD OF THE SPIRIT EVANGEUCAL OUTREACH 140TE TO THE ACCOUNTS
CONTINUED
FOR THE YEAR ENDED 31ST ¢XTOBER 2025
N•t• 3
Prfor
year
Funds
Fund$
Fur
DM8tions 8rn1 gifta- TNhBs aTrl
Total
34,071.07
34.071.07
31071.07
¥071.07
27.157
27,157
Proft on A%sot
TOTAL 114CQII
J4,071.07
¥071.07
49.203

SWORD OF THE SPIRIT EVANGELICAL OUTREACH
Charity REG.No.'1081609
TRUSTEES. REPORT AND ACCOUNTS FOR
THE YEAR ENDED 31ST OCTOBER 2025
OSES-BOLE&CO
Chartered Certified Forensic Accountants
Certified Professional Accountants l Tax Advisers
& Business Chartered Management Consultants

SWORD OF THE SPIRIT EVANGELICAL OUTREACH
Charity REG.No:1081609
TRUSTEES. REPORT AND ACCOUNTS FOR
THE YEAR ENDED 31ST OCTOBER 2025
OSES-BOLE&CO
Chartered Certified Forensic Accountsnts
Certified Professional Accountants l Tax Advlsers
& Business Chartered Management Consultants

SWORD OF THE SPIRIT EVANGELICAL OUTREACH
CONTENT
Trustees and Advlsgrs
Trustegs. Report
Independent Examlner's Report to tha Truslees
statsment of Financial Actlvllles
8alanc• sheet
Notes fomilng part of the Flnanclal Statement
7t017

SWORD OF THE SPIRIT EVANGELICAL OUTREACH
LEGAL AND ADMINISTATIVE INFORMATION
Genaral overseer: Rev (Mrs) Adekunle
Trustees:
Rev (Mrs) Adekunle - Chairperson
Aiyegbusi - Chairperson
Mr Bayo David Rufai
Mr Lanre Olotu
J. Johnson
Registered Office:
305A Sprowston Mews
Forest Gate
London E7 9AE
Minister In Charge:
Rev.(Mrs) Adekunle
Charity No
1081609
Bankers
Lloyds TSB
Accountants
MOSES-BOLE&CO
Chartered Cgrtifiod For•n$ic Accountsrrts
C•rtillgd Professional Accountsnts l Tax Advisers
& 8UsIn￿ Charter¢(l Manag•ment Con$ultants
39 SL Brelados Court
Balmes Road
London N15TW

SWORD OF THE SPIRIT EVANGELICAL OUTrEACH
TRUSTEES REPORT FOR THE YEAR 31 OCTOBER 2025
The Trustees have the pleasure in submitting their report and accounts for the year ended
31st October 2025. The financial statements have been prepared in accordan
with the accounting policies set out on pages 7 to 10, and comply with the statement of
Recommended Practice (SORP). issued 16th July 2014, and the
Charrty Act 2011, and applicable law.
Ob ective and Activities
The principal objective of the Charity is the advancement of the Christian faith worldwide
and the relief of poverty
The are delighted to rep)rt that the Church continues to flourish spIritL￿11Y by
ministering to its community in the UK. The churcb is growing in rnembership and is
expanding its outreach to the conllnunity.
Structure Governance Mana
Constitutlon
The Charity is constrtuted under a Trust Deed and Charty registrats'on
Number 1081609 on the ￿ntral register of the Charity Commission of England and Wales.
Method of A
ointment or Election of Trustees
The management of the charity is the responsibility of the Trustees, who are elected and co-
Opted under the terms of the Trust Deed
anisational Structure and Decislon-makin
The church is organized so that the trustees meet regularly to manage its affairs. One Minister
who manage the day-ti>day administration of the church, and two volunteers
Achievement and Performance
Sword of the Spirit Evangelical Outreach ISSEO) organised and with BIG success celebrated
the annual conference in September 2025. Othe annual conferences which were SSEO
women of fatth and Mother Eunice Parent Awareness Scheme.
Our youth went on community outreach on quarterly basis and integrated with the other
youth in the community.
SSEO organised a day retreat to ALL Nation Christian Colle8e at Wale. It was very successful
with a lot of activities for both young and old members.
During the year we went on the community Evangelism and gave the people in the
community food and drink
Future Develo
mentsthe
The Church will continue to explore various ways of spreading the Gospel of Christ effectively.
The Charity is also looking to grow in membership and continue to develop rts members.

Review of Financlal Position
The net incoming resources for the year amounted to £5.853 Cfr 2024 £19,480).
All these have been unrestricted reserves. and no fund is allotted to restricted projects.
Rlsk Pollcy
The Trustees have assessed the major rlsks to which the Charity is exposed, particularly thoe
relating to the operations and finance. and a￿ Satisfied with the risk management system
In pla￿ to mitigats any risk exposuie.
R8serve Pollcy
The trustees have estsblished a policy whereby the unrestricted funds not committed or
Invested in tangible fixed assets [the fr￿ reserves] held by the chutch should be 3 months
Of annual expenditure.
We are confident that with every pre¢xution taken and also ￿nSidering the pa￿ of growth In
Charitys operations and finan￿s,
we would be able to sustain the current actsVit￿S of the church in the event of a significant
decrease in funding.
Principal Funding
This is provided mainly through voluntary tithes and offerings by the church members
Realisable pledges are also tsken for specific projects
The Trustees during the year under reviw were:
Rèv (Mrs) Adekunle,
Mary Aiyegbusi- Chairperson
David Rufai
Stephen Olotu
Jack Johnson
Approval
This report was approved by the Board ofTwstees on Date...... 161
025......
Secretary/Ch8imian:. ..
..Signature...

BOLE&CO
INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES OF
SWORD OF THE SPIRIT EVANGEUCAL OUTREACH - SSEO
I report on the accounts of the charity for the year ended 31 October 2022, which are set out below
and notes to the financial statements on pages 7 to 17
Respectlve responsibillties of Trustees and Examlners
As the Chariws Trustees. you are responsible for the preparatlon of the accounts,. you
consider that an audit is not required for this year (under settion 14412) of the Chartty Att
2011lthe 2011 act) and that an independent examination 15 needed. It is my responsibility to
Examine the account {under settion 145 of the Act),.
follow the procedures laid down in the General Direttions given by the Charity..
Commission (under settion 145(51 (b) of the 2011 Att and
State whether particular matters have come to my attention.
Basis of Independent Examinerfs report
My examination was carried out in accordance with the general directions given by the
Charity Commission. An examination includes review of the accounting records kept by the
Charity and a comparison of the accounts presented with those records.
It also includes consideration of any unusual items or disclosures in the accounts, and seeking
explanations from you as the Trustees concerning any such matters.
The procedures undertaken do not provide all the evidencethat would be required in an audit
and consequently no opinion is given as to whether the accounts present a "true and fair
vie￿, and the report is limited to those matters set out wn the statement below.
Independent Examinerfs Statements
In connertion with the examination, no matter has come to my attention:_
l) Which give me reasonable cause to believe that in any material respect the
requirements
To keep accounting record5 in accordance with section 130 of the 2011 Act;
To prepare accounts which accord with the accountin8 records and to
complywith theaccountingrequirements of the 2011 Att have not been met
or
2) To which. in my opinion, attention should be drawn in order to enable a proper
understanding of the accounts to be reached
Moses O Elgunnubole, BA IHONSJ FAI4 FCP4 FFA CPF
MOSES-BOLE&CO
A FIC CA T...
Chartered Certified ForensicAccountants
Certified PublicAccountants/TaxAdvisers
And BusinESS Chortered Monogement Consutton
DA TE.. 2q_o7-2026

SWORD OF THE SPIRIT EVANGEUCAL OUTREACH STATEMENT OF
FINANCIAL ACTIVITIES FOR THE YEAR ENDED 31ST OCTOBER 2025
Restiicknj ETrJthv-
Notss Unreth"c46d jno)me
Funds
rnent
Fu
FU￿jS
Prior
T¢)tai
FUJ
Fund$
ltycomthg resowc•s
In¢om8 and endowmonts fyorn."
Donats'ons and legaaes
Othor Income:
Profit from asset disKwI
Total
34,071.07
34,071.07
27,157
34.071.07
34.071.07
Expend•t4Th •)hr
Direct Cost
Support Cost
Govemanco CL
Total
49,253
2.213 82
36,W.20
750.00
39.924.02
2,213.82
36,960.20
750.(h)
39.924.02
1,552
27.4¥2
750
5052.95
S.852.95
Reconclllatlon of fvnds..
Total funds brought forward
Prior Year Adjustrnent regardirMJ Asset di%po8al
Total ￿ndS carrkd forwanl
19,460
216.719.06
3,167.98
206,708.13
21&719.06 196.269
3.157.98
206,708.13 215,719

SWORO OFIHE SPIR￿ EVANGELICAL Otrniwm
8ALAXCE SHE￿￿% AT)IsfocYo8ER
Tolal
Totsi
Fund¥
Funds
F￿d$
Yoar
Flxed •sscts
Tanglble assets
rotal fixyd 8ssrf¥
207.084.07
207.084.07
207.084.07
207.084.07
1WJ230
193230
Detst￿3 & P￿PaY￿erts
Cash at bank 8nd in haThJ
Total cjjrnl assets
12.$00.00
5.883
18,183
2.499.t
1499.06
2.499.Q
1499.06
Credltor¥". fa￿9 dug t* ye
2.875.(¥J
2.87&00
1.645
3f5.91
375.94
16.538
2(fj.70S.13
70&13 209,768
Credtt￿ amounts faltng duo aftw IM
5,951
208.71x13
21S.719
Funds ofthg Clthrfty
Unr•stricted funds
Revaluatron rese
Total funds
2(4708.13
2Cffj.708.13
215.719
206.70B.13
206.70&13
215.719
Signed by one LYIK) trustees on behalfof av tr* ts)xlw'
Slgna
1>8le of4wmval.'
Print N8me."
Rtrd. MfrIIc?A4IGT- I . A-f)EKu A LE

SWORD OF THE SPIRIT EVANGELICAL OUTREACH NOTE TO THE
ACCOUNTS FOR THE YEAR ENDED 31 STOCTOBER 2025
Not• 1 Basls of preparatlon
1.1 Ba$ls of accoun￿￿9
These accounts have been prepared underthe historrcal cost eonvenb'on with rtems recognised
al cost or transaction value unless otherwise staled in the r&vanl notelsl lo these accounts.
The arLounts have been prepared in accordance with the Finanoal Repoth"ng Stsndard ap￿[cable
in the UK and Republic of Inland IFRS1021 ISSL*d on 16 July 2014 and ￿th V)e chanb.es Act 2011
and the Charity constitutes a public benefft as defined by FRS1 D2.
1.2 Golng Coftcthi
Consl(lenng the ste0dlevW of incoming rnsources andmembe￿hiP numberthe Charity is
a going concern with no any IrnohTr unforeseen c1￿Um$&nce
1.3 Chang0 of 4e¢ountlng polley
The accounts present a InJe and fair v¢ew and the a￿oUnting poliues s*)pted are those outlined in
the note with no charue in policy
1A Chang•s to a¢c•untlng estinwt•s
No changes to accounts.ng e8tin*tes have OCCU￿ in the rep)rting pen¢xl (3.46 FRS 102 SORP).
1.5 Materlal prfor y•ar •rror8
No material prior year adjustments have been identrfied in the rew)rtirKJ ￿rIOd (3.47 FRS 102 SORP}.

SWORD OF THE SPIRIT EVANGEUCAL OUTREACH NOTE TO THE ACCOUNTS
CONTINUED
FOR THE YEAR ENDED 31ST OCTOBER 2025
a¢¢ounttng Wkl•s
Not• 2
2.1 RECONCILIATION wrrH PREVIOUS GEIIEIIALLY ACCEPTtD AccouimNO
PRACTICE
There change li accOunt￿g pow in thi5 ￿[1)d
2.2 INCOME
This standard list ofatrJ)unlJng pc4w has t¢eTr appw ty Ihe charity excw for those No OT
"N18'. Where a dffterenl or 8ddthonal p)b"cy has been aJDptsd tr*n detsiled in Ihe b)x bettrw.
Recognltlon of In¢¢Mn•
Thes8 are Induded in the Ststemenl of FMian¢ial Acbvitw (SOFA) wl*n'.
. the ¢hanty becornes enbU8d to the resour￿".
. more likely than not that lh8 trustees will racefve the reS￿r￿. aThJ
. the mnetary value can be measw&J ¥trith suffwxnt reSabihty.
Therè has been no offseiting of a58ets and wdrties. orincune and
Orants and rfonatknis
Grants and donatrons 8re ooty Ind￿ in thè SoFAkn the ￿al irteffie recogn￿tion (tsia a
met15.10 to 5.12 FRS 102 SORPI.
ln the case of perfomMrKe re￿ted grar)ts. income mltst onty ￿ Te(yJgnL%ed to th8 extent that the
Charity has prov*d*l the specffj*d gocth or selvres as entiI8merf to the grant onty o(Eurs when the
performance fyhted ￿nd￿"on$ a￿ w15.16 FRS 1tr2 SORP).
L•9aeies
There is no legacy rgxi¥ed during WKXJ
No governm8ntgr8nt was rece+v¢d Ihis peric¥J.
Tax re¢lalm• donati￿ and gllts
Gift Aid rocewabk 18 ind￿￿e￿ in inCfNne when theTr is a v41*l dedaratx)n frr¥n lh8 do[￿r. Any Grfl
Aid arnount re￿wer8d on a donation is ojnshyered to t¢ part of thatgfftaThd i5 trèated as an addith?n
to thg same fund as the inrfk?l ¢Jonation unkss tl* donor or tho tem￿ ofts 8FWI ha￿ S￿
otsrwis8.
Thi% 1$ not applicab
Donatod 9oods
There Is no dona￿ gxhl.
Don•t8d 5¢rvlc•s and fa¢lllth•
Donated services and faulrtvès are indud&J in the SOFA when at valu8 of tho grftto the
charity prowded the v8lue ofthe grft can ￿ measU￿j reliaW.
Donated servw and fac￿￿5 thai are Nnmedwtety awe recognLs&J as moJTr* wth an
eouivalent amount r8ctynis8d as an expense urthr Ihe aF¥)ropria* l*•Jfflg ￿ the SOFA
Support costs
Ths charty h8$ inottted eXp•ndI￿re on SUFWt ccffjts.
Volunt•w h•lp
The value of any voluntsry help $ not indth in the ac£tyJrts 15 4&5c*bed in t
truste88' annual reF#

Not appli(8ble during thNs perithj.
Tithes and offerirvj rec&vsd the members are in the nakne of8 grfl are rec¢)3n￿ 8$ Ctr)ftat¥)n*
and Legau8S
S•tthmeot of Insvyanee cl*lms
Insurance daim5 are onty Induded in ts SOFA when the gewal ir￿C￿e ye0)Jn￿on (7iteria a¥8
met15.10 to 5.12 FRS 102 SORPI and ar8 tIld￿ded as an it8m of otsr #l Ihe SOFA
This includes any realis8d or unrÈal*&J 98ins crf bsses OTr the * Of￿Ve5￿*nts any9aTr or
108s results.ng frLYn ￿valu1ThJ investrnenls to markntvalue at the end of the year.
2.3 EXPENDITURE AND LIABILITIES
Llability recognttlon
Liabilittes aro recognis&d it is more rknty than notthat Ihere a ￿al oru)nstructive oblp)abon
mmittmg the charty to payrxrt resources and Ihe arn￿j￿t of Ihe oblwtion can te measured
reasonab￿ cÉrt8inty.
Support Costs have been albcated tetsvn governan￿ costs aThJ othersupport. Governan￿ uJ$ts
ccmpnse all ¢xsts invofvmg publt aco)untabilty ofthe chantyaftd ts 0)mplian￿ ￿ul81i￿n and
90cQ wathce.
Support Costs indude ￿TrtraI functions have teen aNc¢aie(I to athty o)stcat&J(Ytes cfi a bass
si$lentwlh the use ofresouFces. eg at&xaling prcwty cc6ts by fify)r8oa8, wpèr (xixta. staff
Costs by the time SFent and 0￿r tx>sts by th*r usage.
The Chanty is not awarding grant to any organBat#)n
Vvhere there ère no o)ndth"ons 8ttachiThJ to the grant that enabÈs tt%*dor￿rcha[5ty to re￿i￿l￿allY
avokl the commitment a Aabil¢ty for Ihe full ftJThJirrfJ rn￿t t* reco9nised.
Redundancy ¢ost
The charity m￿e no reduTrilancy payments durirq the F*rtsJ.
No mèterial item of deferred In¢{￿e h85 inclth in the acct)unts.
The charity ha$ Ere¢Jit0I5 *thich ar• m&asur8J at SetU8Th￿ amounts kss 8ny trè* dtytounts
Provtslom
A liability B measured on rEctyn￿on at its historKd ojst and Ih•n rn&asuraY at th8
best estirnate of the arnounl reqUI￿d to setde thp c*lyab"on at Iha reporb.ng d*
8aslc Ilnahcial Instruments
The charity accounts for basic financi81 instrumants on inthal rern9Trth1 as Fer paragTaph 10.7 FRS
102 SORP. Subsequent mea5uromenl is as perpaRgrsphs 11.17 to 11.19, FRS 102 SORP.

2.4 ASSETS
Tan9lble r￿ed ass•ts for uso ty ¢harlty
Ttr￿e are ¢aprtalise(l rf ttrw u$8d for more than or* year. ar*1 ¢£6t at wi
They are valued at (*st
Th& d•precth)n rate5 and ft￿h￿ts are dW)¥ed in 14.
Intanglble Ilx•d assets
The chanty has no Intangib￿ &sets, that is. nonth)netsry assets thatdo not have phw'cal
substano bul a￿ kIentirwb￿ and are Ixntrolkn by Ihe ehanty through eu$tody or ￿al TrJhts. The
amortk%ation raips methcth used are d*dosed kn*er• applKabk.
They a￿ valu&Y at cost
Nerltay assets
The olarity has no heritage assets. that is. norHTh)netsry assets ￿ historr. arfislio
techn￿J1¢al. geophysical or envwonmental quats that are hekj and maintstne¢J prirwanyfor their
contributDn to knowknge and ujllure. The *wiatK)Tr rdtes and methcth as di%c*ised in
note 16 ts not appl￿ble durirrtJ thKs but rfaVai1ab￿ th8y valued at cost
Inv￿tments
Fixed asset investrnents in quoted shares. tr*J*l boThJ$ and 5NmiJar investr￿nts are valu•J af initiaty
ai cost an(151Jbsequenty at fair Value (tr￿"r market value) attt* year8r￿. The sarne treaknwi 1$
app118d to unlk8ted investments Unk5sfrd￿ cannot be in case it is
me8$ured 31 cost less imp8iftneTrL
Investrnents hehs for resale or peTrdiro their sale and ¢ash aThJ c¥sh equNalen15 wth a rnabjrity dat•
of Ios8 than 1 year are treated as current asset inveStrr￿ts
Stocks held forsak as part of n0n-tharitab￿ tr•Jè are Measu￿ atthe I￿￿Or cost or not
Tealisable value.
GC￿ts or sejvw provthj a5 Part ofa ¢*afits￿e ar• TrWAved at nèt re8lBabb value
based on the 5erv(ce potential provthj by itwns of stoc*.
WoTk in progress is valual at C05t * anYf0re58e4b￿ h)$5 that i811(* to ￿on Ihe oJntsa(*
Debtors
Debtors Cincluding trade debknrs aThJ ban5 rece￿Ie} are rnttasu￿d on initial wnibon at
settknent arnount after any trade drscounts or aMountafva￿j by thts thaty. Subsequenty, th8y
are rneasured al the cash or oth8r Its*rala￿ eX￿1$d lo be ￿t￿J.
The charity has no investrnents whth it ho&ls fOr￿sa￿ or per￿1r￿￿ their sale and c48h and cash
equiva18nts wih 8 rnalurity date less than or* year. Ttsse indude cash on derM)5it and cash
eqiJivalÈnt8 With a maturity date of *ss than one ￿ar for in¥esbn8nt purpcÉe5 rather than to
meet short lenn cash Comrnthents 8$ they falj d￿.
TW ao valued atfair vatue ext*uther¥* they qualify as tsasK flnartkl
POLICIES ADOPTED ADDITIONAL TO OR DIPF*RENT FROII ThOSE ABOVE
TfErÈ Is no any other polic5es •dcyted.

SWORD OF THE SPIRrr EVANGEUCAL OUTrEACH NOTE TO THE Accoupirs
CONTINUED
FOR THE YEAR ENDED 31ST ocfoBER 2025
Anatysls ol Incvm•
Prfor
Funts
Fwds
Fund
Fun
Oonaiions aTht gffts. Tit￿
Total
Qll*r Incom•
Profft on Assetdispo
TOTAL INCOIAE
34mi.07
4071.07
34,071.07
4071.07
27.1S7
27,157
34.071.07
22.096
49.253
34,071.07
All Incon￿ th• pvlor y•*r 7w4• u*r•*trie

SWORD OF THE SPIRIT EVANGEUCAL OUTREACH NOTE TO THE ACCOUNTS
CONTINUED
FOR THE YEAR ENDED 31ST OCTOBER 2025
Note 4 Analyais of •x••ndltw•
in¢ome Endmw Total
Fund•
Fund$
Fund
P￿Or
DIRECT COST
Gffts & donation
WeWare
H0nryJrari￿￿
Fund
Funth
144.C
272 82
1.797.D)
1213.82
144.00
272.82
1,797.00
2.213.82
169
S63
820
1.552
SUPPORT COST
Repairs. rnaintenarKY aThJ Pkn h
¥ert & Publioty
Pn"nting, Postag& and &41￿)￿ary
Telepho
FilirKJ Fees
Insuran
Lt{En￿ & BU51r￿ R*5
)rnputing, TrAt￿hC￿trTr9 & Sol￿Ere exps.
Hotel. Trdvel & Subskst8n
Cortsvftancy Serv
R•fre5hrnent
8ank Chao8$
DopretsatK)n
sa￿e$ & Wage5
Smart Pension
HMRC- PAYE, NI, ETC
4.260
2,250
1.721
953
125
1,514
1,055
2,880
601
1.730
63
66
673
4,250
537
3.330.
I,0￿.78
454.82
125.
1.213.25
9SO.C
3.330.Ixt
1,rK6.78
125.00
1.213.25
254.99
7.767.18
715.00
7.767.18
715.
192.72
2.124.58
10,414.1Xs
2.C63.e6
2.4&).33
192.72
2.124.58
10.414.LX)
2.C63 e8
2.48U 33
SubsuiptKn5
E*ricty. Gas.Fuel and Oil
Lègal Expenses
Fuel & MrknrEyn8es
1,096
369.19
369.19
I,&Xs.
811.68
4960.20
672
1.156
1.038
1,3￿)
811.68
TOTAL EXPEIIDrruRE
39.f74.02
39.174.02
12

SWORD OF THE SPIRIT EVANGELICAL OUTREACH NOTE TO THE ACCOUNTS
CONTINUED
Note 5
FOR THE YEAR ENDED 31ST OCTOBER 2025
Detalls of certain Items of expèndFtur•
5.1 Fees for examination of the accounts
Please provrde details of the amount pai¢J forany statLrtory extemal Sa￿1nY of acuunts and other
service¥ provided by your independerrt examiner. If nothing wa$ paid please enter'o, in the appropriate
box(esl.
GOVERNANCE COST
Independent examinerfs fees
This Ygar
Last Yéar
250
BoJk-k*ping & Accourrtancy fee8
zso
500.00
500
750.00
750
13

SWORD OF THE SPIRIT EVANGELICAL OLrfREACH NOTE TO THE ACCOUNTS
CONTINUED
FOR THE YEAR ENDED 31ST OCTOBER 2025
Not8 6 fanglbl• flx•d assets
Fre8hokl
machin•ry
land &
& motor
building
hicle
Fix￿1•8
Fittings &
EquiJThnt
Total
Al beginning of ￿ year
Additsons
sposal
Al end ￿ th8 year
191.CO).C
15,29320
7,812.82
198,812.82
15.978 68
206.29320
8,498.30
6.2 D8prpciation and impairmonts
"Basis
Freehold Prok*rty
Motorvehide
Frxtures & Fittrngs
Church EQUw￿￿nt
C(mputer Equip
214,791.5Q
Nfl
20%
25%
25%
20%
StsaTr3ht Lth8
StraNJht
Stsa*Jht Lme
Rate
At beginning of ttje yeai
Disposals
D8pr¢ciaI￿Tr
Imp8in1enl
Tran5fef5' l￿d or Dedulx)
At and ofthe year
5.582.85
5,582.85
2,124.58
2.124.58
7.707.43
6.3 Net book valuo
Net book value al the beginnin9 of Yr.
Nèt book value at tho ernl of the year
6A Impalmwnt z NONE
No descriptk?n ofthe events and C￿￿tanceS that to the roc(4nikn or
reversal of a￿ impaim)ent bss.
7,707.43
191.OLKI.00
206,293.20
2,229.97
790J7
193.229 97
207 084.07
6.5 Revaluatlon
An accounliw of revaluation 15 notadopted during this aLr4JntirvJ FeTr)J."
the effecbve dats oftlK• revaluat&X= NIA
the name of irtyd$nt vafuer. rf aFplicabkn= NIA
the meth¢yJs applied arKI swJnftant as8Lwrykn$= NIA
Ihe carrying arnount that WDUtd have been rociwised W the assets canEd ur%Jer
cost model.
6.6 Other dis¢losurn•
lil Please $tate the amount of borrtrw￿￿j ￿Sts, rfany. capitaffsed in ts tsjnstruthn of taffj*)
fixed assets and the caprtalisat*)n rate used ￿ NIA
lill PJea8e provida the arnDunt of coTrtrat*Jal rtsnmrtrnents forthe ar4ui5thn of tan9Jble fixed
as5ets= NIA
liiil D8tsils ofthe eX￿￿nc￿ Lxnwrw amtyjnts of F*DFety, syantand eqUYr￿tto the
charity has resthcw tide orlhat a￿ as sewrity foy h"ath'lths= NIA

SWORD OF THE SPIRIT EVANGELICAL OUTREACH NOTE TO THE ACCOUNTS
(CONTINUED) FOR THE YEAR ENDED 31ST OCTOBER 2025
Note 7
DebtOf5 & Prepayments
This Year
Last Year
Staff Debtors
Total
12.500
12.500

SWORD OF THE SPIRIT EVANGELICAL OUTREACH NOTE TO THE ACCOUNTS
CONTINUED
Note 8
FOR THE YEAR ENDED 31ST OCTOBER 2025
Cash at bank and Ih hand
This Year
Last Year
Cash at bank on hand
Total
2.499.06
2.499.06
5.683
5.683
16

SWORD OF THE SPIRIT EVANGEUCAL OUTREACH NOTE TO THE ACCOUNTS
CONTINUED) FOR THE YEAR ENDED 31ST OCTOBER 2025
Note 9
Credltors and a¢crnal$
Please complete tru"s note if the chan.ty hgs any creditors or acenjals.
9.1 Ana￿15 of cr•dJtor8
Amounts falling due
Within
More Than
l Year
1 Year
Prior Year
Amounts falling due
Within
More Than
1 Year
1Yea
Other ueditors
Accruals and deferred income
Minibus World
Mortgage Repayable By Instalment
Totsl
21KXI.
1645
3.158
2.793
5,951
I￿75.
1,645
17