CHARITY NUMBER: 1082083
HOUSE OF HOPE CALVARY CHRISTIAN CENTRE
TRUSTEES, ANNUAL REPORT AND FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025

HOUSE OF HOPE CALVARY CHRISTIAN CENTRE
TRUSTEES, ANNUAL REPORT AND ACCOUNTS
FOR THE YEAR ENDED 31 MARCH 2025
CONTENTS
Pages
Trustees, Annual Report
2-6
Independent Examiner's Report
Re￿iptS and Payment Accounts
Statement of Assets and Liabilities
Notes to the Financial Statements
10-11

HOUSE OF HOPE CALVARY CHRISTIAN CENTRE
TRUSTEES, ANNUAL REPORT AND ACCOUNTS
FOR THE YEAR ENDED 31 MARCH 2025
REFERENCE AND ADMINISTRATION DETAILS:
CHARITY NAME:
House of Hope Calvary Christian Centre
REGISTERED CHARITY NO:
1082083
TRUSTEES:
Rev Olufemi Oyewusi Babatola (Chair)
Christiana Adanri
Temitope Awolaja
Taiyelolu Oyinlola
Oyedeji Ishola
CHURCH TREASURER:
Mrs C.0. Adanri
PRINCIPAL ADDRESS:
56 Hartville Road
Plumstead
London
SE18 1DQ
BANKERS..
Barclays Bank PLC
INDEPENDENT EXAMINER:
Chaweevan Williams FCCA
Chartered Certified Accountant
Verdant Accountants Ltd
20-22 Wenlock road
London
N17GU
STRUCTURE, GOVERNANCE AND MANAGEMENT
The Charitable Organisation was registered on 18 August 2000 and is govemed by
Constitution.

HOUSE OF HOPE CALVARY CHRISTIAN CENTRE
TRUSTEES, ANNUAL REPORT
FOR THE PERIOD 01 APRIL 2024 to 31 MARCH 2025 (continued)
The Church Trustees present their annual report and the accounts for the period 12 months
from 01 April 2024 to 31 Mar 2025.
OBJECTIVES AND ACTIVITIES
OBJECTIVES
The objective of this charity is to advance the Christian Faith for the benefit of the public by the
pronouncement of the gospel of Jesus Christ and the provision of religion services to the public
in accordance with the statements of belief of the House of Hope Calvary Christian Centre.
PRINCIPAL ACTIVITIES
The church operated as a Charitable Organisation offering religious seminars and
administration in the period under review.
The Church is governed by the Board of Trustees that is responsible for policies, strategies,
activities and setting out the administrative structure for running the Charity.
The Trustees continued to meet during the year and reviewed the strategy for the church going
forward.
Works for the refurbishment of the church have progressed with just a few left to be completed
in the coming year. The delay was due to a response because of an inspection action which
was outstanding and should be remedied soon. It is good to note that external works to improve
the security of the church building was commissioned and completed during the year. This has
reduced further anti-social behaviour since then.
The spiritual focus of the Church has continued to be based on a 4-stage model which the Lord
gave to us few years ago.
The stages are".
1. Growth
2. Consolidation I strengthening I structure (putting things in pla￿ to sustain the healthy
growth)
3. Maturity (Spiritually and emotionally)
4. Release (Sending people on missions and other release)
We are currently in between stages two & three to promote healthy and sustainable growth.
There has been more focus on being healthy and mature in this season.
We continue to have our services in a hybrid model with both physical and online attendan￿ on
zoom. Weekday meetings are held online only as this is enabling more brethren to attend as
they do not have to travel physically to attend these meetings.

The structure we have is to promote healthy growth, conversations, and contributions and to get
to where God wants us to be. By God's gra￿ we look forward to starting weekly meetings in
2029.
As we continue to live stream our services, we are looking at our digital strategy to increase our
presence on social media but with a difference so as to reach out more to the community.
Despite the difficult and challenging economic te￿ain due to cost-of-living crisis etc, income in
total from tithes and offering and gift aid increased by 20h from £70,428 in 2023-24 to £71,721 in
2024-25. There was a 700k decrease in expenditure from £159.423 in 2023-24 to £47.177 in
2024-25.
We continue to dream and look fopward to all that God is doing and will do in and through His
Church.
Reserves
The Board of Trustees considers that there are sufficient reserves held at the year end to
mitigate any downturn in future income. Both positive movements in income and expenditure
have contributed to a net increase of £24,545 to the resep4es in 2024-25.
The total unrestricted reserve at year end was £155,396 which is an increase of £24,544 from
the period previous (£130,850).
It is also good to note that the church has continued to remain debt free this year.
Trustees also consider that the Charity has adequate resources to continue in operation for the
near future.
We thank God for what he has done for us. what he is doing and what the future holds. To God
be all the Glory.
TRUSTEES, RESPONSIBILITIES
The Trustees are responsible for preparing the Trustees, Report and Financial Statements in
accordance with applicable law and regulations.
In preparing these financial ststements. the trustees are required to..
a) select suitable accounting policies and then apply them consistently.
b) observe the methods and principles in the Charities SORP,
c) make judgements and accounting estimates that are reasonable and prudent;
d) state whether applicable accounting standards have been followed, subject to any material
departures disclosed and explained in the financial statements" and
e) prepare the financial statements on the going concem basis unless it is inappropriate to
presume that the Church will continue in operation.

that the financial St8teff￿nts cornpty ¥￿th the Chaiities Ads 2011. They are also reSpo￿Ne
for safeguarding the assets of the Chanty and hence f¢x tsking reasonaNe *s for the
prevention and detedion of fraud end otlw irregularthes.
Aoproved by the Board ofTnkn on Lt- e i- giij
prs￿ned By: Rev Olufemi (￿U51 Babatola (Chair)
On behalfof TfUSt8es of of Hope C*vary Christlaft Centre

INDEPENDENT EXAMINER'S REPORT
Independent Examiner's Report to the trustees of The House of Hope Calvary Christian
Centre Charity no. 1082083.
I report to the trustees on my examination of the accounts of the above charity for the year
ended 31 March 2025.
Responsibilities and basis of report
The charity's trustees are responsible for the preparation of the accounts in accordance with
the requirements of the Charities Act 2011 (Ihe Act,).
I report in respect of my examination of the above charity's accounts carried out under
section 145 of the 2011 Act and in carrying out my examination, I have followed the
applicable Directions given by the Charity Commission under section 145(5)(b) of the Act.
Independent examinerfs statement
(11
I have completed my examination. I confirm that no material matters have come
to my attention which in connection with the examination which gives me cause to
believe that in, any material respect..
the accounting records were not kept in accordan￿ with section 130 of the
Charities Act" or
the accounts do not accord with the accounting records.
(2) I have no concems and have come across no other matters in connection with the
examination to which attention should be drawn in this report in order to enable a proper
understanding of the accounts to be reached.
Chaweevan Williams FCCA
Chartered Certified Accountant
Verdant Accountants Limited
20-22 Wenlock Road,
London Nl 7GU
Date: 29 January 2026

HOUSE OF HOPE CALVARY CHRISTIAN cwfRE
RECEIPTS ANO PAYIIENTS ACCOUNTS
FOR THE YEAR ENDED 31 IdARCH 2Q25
Toi81
Unresutted
F￿
Fund5
Y•ar Ended
31 IAar 2025
31 Mar 2024
RECFJprs
Grft M (fax Refimd)
56,135
13.572
1014
$4.661
14.118
1.649
Tlxai R•ce•pts
71.721
70.428
PAYIEKrs
12.600
1427
1180
581
2.702
3.789
3.700
Rent & R*
Gtfts
Light. Heal and Water
Tltrbe of Tths
3.$90
&052
47.171
4.321
S.313
45297
-114.127
Purchas• of Fixed Assets
otal Payffjeiits
47.1n
-159.424
Net &Jrplwl(Delklt> oft AGKvkkn)
24644
Cash fuNts last year bm
la0￿62
219,848
Cash funds thi5 per￿d eff
15S.398
130.852

HOUSE OF HOPE CALVARY CHRISTIAN CEKfRE
STATEMENT OF ASSEfs AND UABILMES
FOR THE YEAR ENDED 31 MARCH 2025
Tiyf*L
*4•t31 Mw2024
Il¢tss A•at3111¥202S
8.252
149.144
123.558
eu￿dtr
1250.730
1278.049
11447
Told FIK•d A•wts
Approved by the Board ofTntstees on X? ￿ (- XL
Signed By: Rev Olufemi Babatola
Chalr
Mrs C O Adanri
¢hurch Treasurnr

HOUSE OF HOPE CALVARY CHRISTIAN CENTRE
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025
1. ACCOUNTING POLICIES
Basis of accountin
The Financial Statements have been prepared under the historical cost convention and in
accordance with applicable accounting standards and the requirements of the Charities Act
2011 using the Receipts and Payments basis.
Cash Flow
The accounts do not include a Cash Flow Statement because the
organisation as a small reporting entity is exempt from the requirement to
prepare such statement under the Financial Reporting Standard l-CashFIow
Standard.
Tan
ible Fixed Assets
Depreciation is provided on all tangible fixed assets at rates calculated to write off the
difference between cost and it's expected residual value over its estimated useful life as
follows..
Office equipment
Fixtures, Furniture & Fittings
Musical Equipment
Motor Vehicle
Building
-15 % Straight Line
-100A Straight Line
-15 % Straight Line
-150k Straight Line
-5 % Straight Line
2 FUNDS
All funds in the period are Unrestricted.
3 COLLECTION & VOLUNTARY OFFERINGS
Collection from tithes, and voluntary offering accounted for the whole of Total Income.
4 TAX RECLAIM (GIFT AID)
£13,572 Gift Aid Tax has been claimed in the year under review (2024 £14,118).
5 SURPLUSI(DEFICIT) OF INCOME OVER EXPENDITURE
The accounting year ended 31 March 2025. income ex￿eded expenditure by £24,544
(2023 Deficit £88,996).
No Depreciation charge included in year ended 31 March 2025 & 2024 as the Church
accounts using Receipts & Payment Basis.
io

HOUSE OF HOPE CALVARY CHRISTIAN CENTRE
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025 (continued)
6. GOING CONCERN
All the Charity operations are classed as continuing.
7. FIXED ASSETS
FurnI￿re
and
Office
Musical
Buildlng Fittings Equiprnent Equipment Total
1,365,959
4.111
24.330
3,277 1,397,677
Cost
Balan
P£qusibons
Disposalsmrite Offs
Balante
Date
0110412024
3110312025
1.365.959
4.111
24,330
3.277 1.397,677
cumulated Depreaalion
Balance
Disposalslwrite Offs
Charge for the Year
Balance
0110412024
87,910
4.111
11,883
489 104.393
27.319
115.229
3.650
15.533
492
31,460
981 135,853
3110312025
Net Book Value
Net Book Value
3110312025
3110312024
1.250,730
1.278.049
8.798
12,447
2.296 1.261,824
2.788 1.293,284
li

CHARITY NUMBER: 1082083
HOUSE OF HOPE CALVARY CHRISTIAN CENTRE
TRUSTEES, ANNUAL REPORT AND FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025

HOUSE OF HOPE CALVARY CHRISTIAN CENTRE
TRUSTEES, ANNUAL REPORT AND ACCOUNTS
FOR THE YEAR ENDED 31 MARCH 2025
CONTENTS
Pages
Trustees, Annual Report
2-6
Independent Examiner's Report
Re￿iptS and Payment Accounts
Statement of Assets and Liabilities
Notes to the Financial Statements
10-11

HOUSE OF HOPE CALVARY CHRISTIAN CENTRE
TRUSTEES, ANNUAL REPORT AND ACCOUNTS
FOR THE YEAR ENDED 31 MARCH 2025
REFERENCE AND ADMINISTRATION DETAILS:
CHARITY NAME:
House of Hope Calvary Christian Centre
REGISTERED CHARITY NO:
1082083
TRUSTEES:
Rev Olufemi Oyewusi Babatola (Chair)
Christiana Adanri
Temitope Awolaja
Taiyelolu Oyinlola
Oyedeji Ishola
CHURCH TREASURER:
Mrs C.0. Adanri
PRINCIPAL ADDRESS:
56 Hartville Road
Plumstead
London
SE18 1DQ
BANKERS..
Barclays Bank PLC
INDEPENDENT EXAMINER:
Chaweevan Williams FCCA
Chartered Certified Accountant
Verdant Accountants Ltd
20-22 Wenlock road
London
N17GU
STRUCTURE, GOVERNANCE AND MANAGEMENT
The Charitable Organisation was registered on 18 August 2000 and is govemed by
Constitution.

HOUSE OF HOPE CALVARY CHRISTIAN CENTRE
TRUSTEES, ANNUAL REPORT
FOR THE PERIOD 01 APRIL 2024 to 31 MARCH 2025 (continued)
The Church Trustees present their annual report and the accounts for the period 12 months
from 01 April 2024 to 31 Mar 2025.
OBJECTIVES AND ACTIVITIES
OBJECTIVES
The objective of this charity is to advance the Christian Faith for the benefit of the public by the
pronouncement of the gospel of Jesus Christ and the provision of religion services to the public
in accordance with the statements of belief of the House of Hope Calvary Christian Centre.
PRINCIPAL ACTIVITIES
The church operated as a Charitable Organisation offering religious seminars and
administration in the period under review.
The Church is governed by the Board of Trustees that is responsible for policies, strategies,
activities and setting out the administrative structure for running the Charity.
The Trustees continued to meet during the year and reviewed the strategy for the church going
forward.
Works for the refurbishment of the church have progressed with just a few left to be completed
in the coming year. The delay was due to a response because of an inspection action which
was outstanding and should be remedied soon. It is good to note that external works to improve
the security of the church building was commissioned and completed during the year. This has
reduced further anti-social behaviour since then.
The spiritual focus of the Church has continued to be based on a 4-stage model which the Lord
gave to us few years ago.
The stages are".
1. Growth
2. Consolidation I strengthening I structure (putting things in pla￿ to sustain the healthy
growth)
3. Maturity (Spiritually and emotionally)
4. Release (Sending people on missions and other release)
We are currently in between stages two & three to promote healthy and sustainable growth.
There has been more focus on being healthy and mature in this season.
We continue to have our services in a hybrid model with both physical and online attendan￿ on
zoom. Weekday meetings are held online only as this is enabling more brethren to attend as
they do not have to travel physically to attend these meetings.

The structure we have is to promote healthy growth, conversations, and contributions and to get
to where God wants us to be. By God's gra￿ we look forward to starting weekly meetings in
2029.
As we continue to live stream our services, we are looking at our digital strategy to increase our
presence on social media but with a difference so as to reach out more to the community.
Despite the difficult and challenging economic te￿ain due to cost-of-living crisis etc, income in
total from tithes and offering and gift aid increased by 20h from £70,428 in 2023-24 to £71,721 in
2024-25. There was a 700k decrease in expenditure from £159.423 in 2023-24 to £47.177 in
2024-25.
We continue to dream and look fopward to all that God is doing and will do in and through His
Church.
Reserves
The Board of Trustees considers that there are sufficient reserves held at the year end to
mitigate any downturn in future income. Both positive movements in income and expenditure
have contributed to a net increase of £24,545 to the resep4es in 2024-25.
The total unrestricted reserve at year end was £155,396 which is an increase of £24,544 from
the period previous (£130,850).
It is also good to note that the church has continued to remain debt free this year.
Trustees also consider that the Charity has adequate resources to continue in operation for the
near future.
We thank God for what he has done for us. what he is doing and what the future holds. To God
be all the Glory.
TRUSTEES, RESPONSIBILITIES
The Trustees are responsible for preparing the Trustees, Report and Financial Statements in
accordance with applicable law and regulations.
In preparing these financial ststements. the trustees are required to..
a) select suitable accounting policies and then apply them consistently.
b) observe the methods and principles in the Charities SORP,
c) make judgements and accounting estimates that are reasonable and prudent;
d) state whether applicable accounting standards have been followed, subject to any material
departures disclosed and explained in the financial statements" and
e) prepare the financial statements on the going concem basis unless it is inappropriate to
presume that the Church will continue in operation.

that the financial St8teff￿nts cornpty ¥￿th the Chaiities Ads 2011. They are also reSpo￿Ne
for safeguarding the assets of the Chanty and hence f¢x tsking reasonaNe *s for the
prevention and detedion of fraud end otlw irregularthes.
Aoproved by the Board ofTnkn on Lt- e i- giij
prs￿ned By: Rev Olufemi (￿U51 Babatola (Chair)
On behalfof TfUSt8es of of Hope C*vary Christlaft Centre

INDEPENDENT EXAMINER'S REPORT
Independent Examiner's Report to the trustees of The House of Hope Calvary Christian
Centre Charity no. 1082083.
I report to the trustees on my examination of the accounts of the above charity for the year
ended 31 March 2025.
Responsibilities and basis of report
The charity's trustees are responsible for the preparation of the accounts in accordance with
the requirements of the Charities Act 2011 (Ihe Act,).
I report in respect of my examination of the above charity's accounts carried out under
section 145 of the 2011 Act and in carrying out my examination, I have followed the
applicable Directions given by the Charity Commission under section 145(5)(b) of the Act.
Independent examinerfs statement
(11
I have completed my examination. I confirm that no material matters have come
to my attention which in connection with the examination which gives me cause to
believe that in, any material respect..
the accounting records were not kept in accordan￿ with section 130 of the
Charities Act" or
the accounts do not accord with the accounting records.
(2) I have no concems and have come across no other matters in connection with the
examination to which attention should be drawn in this report in order to enable a proper
understanding of the accounts to be reached.
Chaweevan Williams FCCA
Chartered Certified Accountant
Verdant Accountants Limited
20-22 Wenlock Road,
London Nl 7GU
Date: 29 January 2026

HOUSE OF HOPE CALVARY CHRISTIAN cwfRE
RECEIPTS ANO PAYIIENTS ACCOUNTS
FOR THE YEAR ENDED 31 IdARCH 2Q25
Toi81
Unresutted
F￿
Fund5
Y•ar Ended
31 IAar 2025
31 Mar 2024
RECFJprs
Grft M (fax Refimd)
56,135
13.572
1014
$4.661
14.118
1.649
Tlxai R•ce•pts
71.721
70.428
PAYIEKrs
12.600
1427
1180
581
2.702
3.789
3.700
Rent & R*
Gtfts
Light. Heal and Water
Tltrbe of Tths
3.$90
&052
47.171
4.321
S.313
45297
-114.127
Purchas• of Fixed Assets
otal Payffjeiits
47.1n
-159.424
Net &Jrplwl(Delklt> oft AGKvkkn)
24644
Cash fuNts last year bm
la0￿62
219,848
Cash funds thi5 per￿d eff
15S.398
130.852

HOUSE OF HOPE CALVARY CHRISTIAN CEKfRE
STATEMENT OF ASSEfs AND UABILMES
FOR THE YEAR ENDED 31 MARCH 2025
Tiyf*L
*4•t31 Mw2024
Il¢tss A•at3111¥202S
8.252
149.144
123.558
eu￿dtr
1250.730
1278.049
11447
Told FIK•d A•wts
Approved by the Board ofTntstees on X? ￿ (- XL
Signed By: Rev Olufemi Babatola
Chalr
Mrs C O Adanri
¢hurch Treasurnr

HOUSE OF HOPE CALVARY CHRISTIAN CENTRE
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025
1. ACCOUNTING POLICIES
Basis of accountin
The Financial Statements have been prepared under the historical cost convention and in
accordance with applicable accounting standards and the requirements of the Charities Act
2011 using the Receipts and Payments basis.
Cash Flow
The accounts do not include a Cash Flow Statement because the
organisation as a small reporting entity is exempt from the requirement to
prepare such statement under the Financial Reporting Standard l-CashFIow
Standard.
Tan
ible Fixed Assets
Depreciation is provided on all tangible fixed assets at rates calculated to write off the
difference between cost and it's expected residual value over its estimated useful life as
follows..
Office equipment
Fixtures, Furniture & Fittings
Musical Equipment
Motor Vehicle
Building
-15 % Straight Line
-100A Straight Line
-15 % Straight Line
-150k Straight Line
-5 % Straight Line
2 FUNDS
All funds in the period are Unrestricted.
3 COLLECTION & VOLUNTARY OFFERINGS
Collection from tithes, and voluntary offering accounted for the whole of Total Income.
4 TAX RECLAIM (GIFT AID)
£13,572 Gift Aid Tax has been claimed in the year under review (2024 £14,118).
5 SURPLUSI(DEFICIT) OF INCOME OVER EXPENDITURE
The accounting year ended 31 March 2025. income ex￿eded expenditure by £24,544
(2023 Deficit £88,996).
No Depreciation charge included in year ended 31 March 2025 & 2024 as the Church
accounts using Receipts & Payment Basis.
io

HOUSE OF HOPE CALVARY CHRISTIAN CENTRE
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025 (continued)
6. GOING CONCERN
All the Charity operations are classed as continuing.
7. FIXED ASSETS
FurnI￿re
and
Office
Musical
Buildlng Fittings Equiprnent Equipment Total
1,365,959
4.111
24.330
3,277 1,397,677
Cost
Balan
P£qusibons
Disposalsmrite Offs
Balante
Date
0110412024
3110312025
1.365.959
4.111
24,330
3.277 1.397,677
cumulated Depreaalion
Balance
Disposalslwrite Offs
Charge for the Year
Balance
0110412024
87,910
4.111
11,883
489 104.393
27.319
115.229
3.650
15.533
492
31,460
981 135,853
3110312025
Net Book Value
Net Book Value
3110312025
3110312024
1.250,730
1.278.049
8.798
12,447
2.296 1.261,824
2.788 1.293,284
li

CHARITY NUMBER: 1082083
HOUSE OF HOPE CALVARY CHRISTIAN CENTRE
TRUSTEES, ANNUAL REPORT AND FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025

HOUSE OF HOPE CALVARY CHRISTIAN CENTRE
TRUSTEES, ANNUAL REPORT AND ACCOUNTS
FOR THE YEAR ENDED 31 MARCH 2025
CONTENTS
Pages
Trustees, Annual Report
2-6
Independent Examiner's Report
Re￿iptS and Payment Accounts
Statement of Assets and Liabilities
Notes to the Financial Statements
10-11

HOUSE OF HOPE CALVARY CHRISTIAN CENTRE
TRUSTEES, ANNUAL REPORT AND ACCOUNTS
FOR THE YEAR ENDED 31 MARCH 2025
REFERENCE AND ADMINISTRATION DETAILS:
CHARITY NAME:
House of Hope Calvary Christian Centre
REGISTERED CHARITY NO:
1082083
TRUSTEES:
Rev Olufemi Oyewusi Babatola (Chair)
Christiana Adanri
Temitope Awolaja
Taiyelolu Oyinlola
Oyedeji Ishola
CHURCH TREASURER:
Mrs C.0. Adanri
PRINCIPAL ADDRESS:
56 Hartville Road
Plumstead
London
SE18 1DQ
BANKERS..
Barclays Bank PLC
INDEPENDENT EXAMINER:
Chaweevan Williams FCCA
Chartered Certified Accountant
Verdant Accountants Ltd
20-22 Wenlock road
London
N17GU
STRUCTURE, GOVERNANCE AND MANAGEMENT
The Charitable Organisation was registered on 18 August 2000 and is govemed by
Constitution.

HOUSE OF HOPE CALVARY CHRISTIAN CENTRE
TRUSTEES, ANNUAL REPORT
FOR THE PERIOD 01 APRIL 2024 to 31 MARCH 2025 (continued)
The Church Trustees present their annual report and the accounts for the period 12 months
from 01 April 2024 to 31 Mar 2025.
OBJECTIVES AND ACTIVITIES
OBJECTIVES
The objective of this charity is to advance the Christian Faith for the benefit of the public by the
pronouncement of the gospel of Jesus Christ and the provision of religion services to the public
in accordance with the statements of belief of the House of Hope Calvary Christian Centre.
PRINCIPAL ACTIVITIES
The church operated as a Charitable Organisation offering religious seminars and
administration in the period under review.
The Church is governed by the Board of Trustees that is responsible for policies, strategies,
activities and setting out the administrative structure for running the Charity.
The Trustees continued to meet during the year and reviewed the strategy for the church going
forward.
Works for the refurbishment of the church have progressed with just a few left to be completed
in the coming year. The delay was due to a response because of an inspection action which
was outstanding and should be remedied soon. It is good to note that external works to improve
the security of the church building was commissioned and completed during the year. This has
reduced further anti-social behaviour since then.
The spiritual focus of the Church has continued to be based on a 4-stage model which the Lord
gave to us few years ago.
The stages are".
1. Growth
2. Consolidation I strengthening I structure (putting things in pla￿ to sustain the healthy
growth)
3. Maturity (Spiritually and emotionally)
4. Release (Sending people on missions and other release)
We are currently in between stages two & three to promote healthy and sustainable growth.
There has been more focus on being healthy and mature in this season.
We continue to have our services in a hybrid model with both physical and online attendan￿ on
zoom. Weekday meetings are held online only as this is enabling more brethren to attend as
they do not have to travel physically to attend these meetings.

The structure we have is to promote healthy growth, conversations, and contributions and to get
to where God wants us to be. By God's gra￿ we look forward to starting weekly meetings in
2029.
As we continue to live stream our services, we are looking at our digital strategy to increase our
presence on social media but with a difference so as to reach out more to the community.
Despite the difficult and challenging economic te￿ain due to cost-of-living crisis etc, income in
total from tithes and offering and gift aid increased by 20h from £70,428 in 2023-24 to £71,721 in
2024-25. There was a 700k decrease in expenditure from £159.423 in 2023-24 to £47.177 in
2024-25.
We continue to dream and look fopward to all that God is doing and will do in and through His
Church.
Reserves
The Board of Trustees considers that there are sufficient reserves held at the year end to
mitigate any downturn in future income. Both positive movements in income and expenditure
have contributed to a net increase of £24,545 to the resep4es in 2024-25.
The total unrestricted reserve at year end was £155,396 which is an increase of £24,544 from
the period previous (£130,850).
It is also good to note that the church has continued to remain debt free this year.
Trustees also consider that the Charity has adequate resources to continue in operation for the
near future.
We thank God for what he has done for us. what he is doing and what the future holds. To God
be all the Glory.
TRUSTEES, RESPONSIBILITIES
The Trustees are responsible for preparing the Trustees, Report and Financial Statements in
accordance with applicable law and regulations.
In preparing these financial ststements. the trustees are required to..
a) select suitable accounting policies and then apply them consistently.
b) observe the methods and principles in the Charities SORP,
c) make judgements and accounting estimates that are reasonable and prudent;
d) state whether applicable accounting standards have been followed, subject to any material
departures disclosed and explained in the financial statements" and
e) prepare the financial statements on the going concem basis unless it is inappropriate to
presume that the Church will continue in operation.

that the financial St8teff￿nts cornpty ¥￿th the Chaiities Ads 2011. They are also reSpo￿Ne
for safeguarding the assets of the Chanty and hence f¢x tsking reasonaNe *s for the
prevention and detedion of fraud end otlw irregularthes.
Aoproved by the Board ofTnkn on Lt- e i- giij
prs￿ned By: Rev Olufemi (￿U51 Babatola (Chair)
On behalfof TfUSt8es of of Hope C*vary Christlaft Centre

INDEPENDENT EXAMINER'S REPORT
Independent Examiner's Report to the trustees of The House of Hope Calvary Christian
Centre Charity no. 1082083.
I report to the trustees on my examination of the accounts of the above charity for the year
ended 31 March 2025.
Responsibilities and basis of report
The charity's trustees are responsible for the preparation of the accounts in accordance with
the requirements of the Charities Act 2011 (Ihe Act,).
I report in respect of my examination of the above charity's accounts carried out under
section 145 of the 2011 Act and in carrying out my examination, I have followed the
applicable Directions given by the Charity Commission under section 145(5)(b) of the Act.
Independent examinerfs statement
(11
I have completed my examination. I confirm that no material matters have come
to my attention which in connection with the examination which gives me cause to
believe that in, any material respect..
the accounting records were not kept in accordan￿ with section 130 of the
Charities Act" or
the accounts do not accord with the accounting records.
(2) I have no concems and have come across no other matters in connection with the
examination to which attention should be drawn in this report in order to enable a proper
understanding of the accounts to be reached.
Chaweevan Williams FCCA
Chartered Certified Accountant
Verdant Accountants Limited
20-22 Wenlock Road,
London Nl 7GU
Date: 29 January 2026

HOUSE OF HOPE CALVARY CHRISTIAN cwfRE
RECEIPTS ANO PAYIIENTS ACCOUNTS
FOR THE YEAR ENDED 31 IdARCH 2Q25
Toi81
Unresutted
F￿
Fund5
Y•ar Ended
31 IAar 2025
31 Mar 2024
RECFJprs
Grft M (fax Refimd)
56,135
13.572
1014
$4.661
14.118
1.649
Tlxai R•ce•pts
71.721
70.428
PAYIEKrs
12.600
1427
1180
581
2.702
3.789
3.700
Rent & R*
Gtfts
Light. Heal and Water
Tltrbe of Tths
3.$90
&052
47.171
4.321
S.313
45297
-114.127
Purchas• of Fixed Assets
otal Payffjeiits
47.1n
-159.424
Net &Jrplwl(Delklt> oft AGKvkkn)
24644
Cash fuNts last year bm
la0￿62
219,848
Cash funds thi5 per￿d eff
15S.398
130.852

HOUSE OF HOPE CALVARY CHRISTIAN CEKfRE
STATEMENT OF ASSEfs AND UABILMES
FOR THE YEAR ENDED 31 MARCH 2025
Tiyf*L
*4•t31 Mw2024
Il¢tss A•at3111¥202S
8.252
149.144
123.558
eu￿dtr
1250.730
1278.049
11447
Told FIK•d A•wts
Approved by the Board ofTntstees on X? ￿ (- XL
Signed By: Rev Olufemi Babatola
Chalr
Mrs C O Adanri
¢hurch Treasurnr

HOUSE OF HOPE CALVARY CHRISTIAN CENTRE
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025
1. ACCOUNTING POLICIES
Basis of accountin
The Financial Statements have been prepared under the historical cost convention and in
accordance with applicable accounting standards and the requirements of the Charities Act
2011 using the Receipts and Payments basis.
Cash Flow
The accounts do not include a Cash Flow Statement because the
organisation as a small reporting entity is exempt from the requirement to
prepare such statement under the Financial Reporting Standard l-CashFIow
Standard.
Tan
ible Fixed Assets
Depreciation is provided on all tangible fixed assets at rates calculated to write off the
difference between cost and it's expected residual value over its estimated useful life as
follows..
Office equipment
Fixtures, Furniture & Fittings
Musical Equipment
Motor Vehicle
Building
-15 % Straight Line
-100A Straight Line
-15 % Straight Line
-150k Straight Line
-5 % Straight Line
2 FUNDS
All funds in the period are Unrestricted.
3 COLLECTION & VOLUNTARY OFFERINGS
Collection from tithes, and voluntary offering accounted for the whole of Total Income.
4 TAX RECLAIM (GIFT AID)
£13,572 Gift Aid Tax has been claimed in the year under review (2024 £14,118).
5 SURPLUSI(DEFICIT) OF INCOME OVER EXPENDITURE
The accounting year ended 31 March 2025. income ex￿eded expenditure by £24,544
(2023 Deficit £88,996).
No Depreciation charge included in year ended 31 March 2025 & 2024 as the Church
accounts using Receipts & Payment Basis.
io

HOUSE OF HOPE CALVARY CHRISTIAN CENTRE
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025 (continued)
6. GOING CONCERN
All the Charity operations are classed as continuing.
7. FIXED ASSETS
FurnI￿re
and
Office
Musical
Buildlng Fittings Equiprnent Equipment Total
1,365,959
4.111
24.330
3,277 1,397,677
Cost
Balan
P£qusibons
Disposalsmrite Offs
Balante
Date
0110412024
3110312025
1.365.959
4.111
24,330
3.277 1.397,677
cumulated Depreaalion
Balance
Disposalslwrite Offs
Charge for the Year
Balance
0110412024
87,910
4.111
11,883
489 104.393
27.319
115.229
3.650
15.533
492
31,460
981 135,853
3110312025
Net Book Value
Net Book Value
3110312025
3110312024
1.250,730
1.278.049
8.798
12,447
2.296 1.261,824
2.788 1.293,284
li