TRINrrY PRESBYfERIAN CHURCH OF GHANA
LONDON CONGREGATION
TRUSTEES. REPORT & FINANCIAL STATEMENTS
FOR THE YEAR ENDED
31 DECEMBER 2025
Charity Number: 1093453

TRINITY PRESB)￿ERlAN CHURCH OF GHANA
LONDON CONGREGATION
FINANCIAL sfATEMENTS FOR THE YEAR
31 DECEMBER 2025
COWEWS
Page
Charty infomiation
Trustees & Presbyters ReF()rt
Statement of financial activities
Balance sheet
Notes to the financlal statements
8-14
Treasurer's ststement
15
Independent examiner's rep)rt
15

TRINITY PRESBYfERIAN CHURCH OF GHANA, LONDON CONGREGATION
CHARtrY INFORMATION
Trustees
Mr David Osei - Ofori
Mr Emmanuel Apau Danso
Ms Beatrice Naa Bersah Mettle- Nunoo
Ms Lydia Yaa Amoafo
Ms Felicity Asanlewaa
Ms Rebecca Asanlewa Darko
Mrs Doris Owusu
Mr Francis Kofi Kaley
Mr Eric Kwame Nkansah
Mr Wiafe Osei - Bonsu
Mr Prince Kwame Osei - Tutu
(Senior Presbyter)
{Session Clerk)
{Treasurerl
Other Session Members
Rev Dr Victor Okoe Abbey
Rev David Asante Akuffo
Mr Kwaku Amoako
Dr Danielle Ankrah - Anobah
Ms Doreen Boaleng
Ms Linda Koranleng Oduro
(Left 7th September 20251
(Left 11th October 20251
(Joined 11th October 20251
Reglstered Office
Trinity Presbyterian Church of Ghana
London Congregation
South Lee Christian Centre
Baring Road
London SE12 OPW
Principal Bankers
Barclays Bank PIC
Croydon Business Centre
POBox3
1 North End
Croydon
Surrey CR9 1 UF
Charity Registration No.
1093453
Accountants
Peter Kwakwa FCCA
CHARTERED CERTIFIED ACCOUNTANT
55 Barville Close
Sl. Norbert Road
London SE4 2LN

TRINITY PRESBYTERIAN CHURCH OF GHANA. LONDON CONGREGATION
TRUSTEES REPORT FOR THE YEAR ENDED 31 DECEMBER 2025
The Trustees of the Church present their report togetherwith the finanaal statements for the
year ended 31 December 2025. The Trustees have adopted the prowsions ol the Accounting
and Repo￿"n9 Charitias guid8 Issued in 2005 and the Statement ol Recomrnended Pracbce
ISORPI in preparing the Annual Report and Financial Statement ol the Church.
The Trustees are elected from the congregation by the enb're rnembership of tha Church through
a secret ballot. They serve for a period of four years and are eligible for re-gleclion for another
four year term. The Trustees control and manage the day to day activities of the Church.
GOVERNANCE AND INTERNAL CONTROL
The Trustees meet oneè 8 mor)th. to d15euss all re5trvant matters. When required, an emergency
meeting can be c211ed outside these scheduled meetings. They have considered whether there
are any major risks that the Church may currently be exposed to and, thus far. are of the opinion
that none exist. They consider that good financial control and monitoring within the Truslfjes and
the entire congregation would seNe to mitlgate any such risk.
OBJECTIVES
The objectives of the Church is to advance religion in accordance with the Christian Faith by
means of education and training, the relief of poverty and religiQUS 8(*wties.
PUBLIC BENEFtT STATEhYENT
Trinity Presbyterian Church of Ghana. London congregth.on is a registered charity in the UK
Legally, all charities must carry OLrt charitable purposes for public benefit. The adv8ncemenl of
religion is a recognised charitable purpose. The Trustees refer to the Charits'es Commission's
guidan￿ on provision ol Public Benefit as best guide and practi￿ to follow.
The Trustees are ol the opinion that one way the public can benefit is by tnaking the Church
facilities available to the people who can make use of them to their benefit We have the￿lOre
welcomed requests frorn various organisations to make use of our facilib'es at minimal or no
cost
The Church premises and ils fary1￿"e8 are also pul al the disposal of Baring Primary School, the
Io(*l primary school.
The Church takes ivs responsibility as a charity seriousty.
The Church also helped to promote social well-being by supporting the activities of Somè
charits'es.
It also seeks to be as indusive as possible in its wgrk and aims tts réath out to people of all ages
from different ethnic and cultur81 backgrounds.

TRINITY PRESBYfERIAN CHURCH OF GHANA, LONDON CONGREGATION
TRUSTEES REPORT FOR THE YEAR ENDED 31 DECEMBER 2025- conWnu•(I
FINANCIAL REVIEW
The main SOU￿ of funds for the Church are voluntary contributions through Offertories. Tithes,
Thanksgiving and Annual Harvests during Sunday servi￿s. Details ol the Church's Financial
Activits"es for the year and the state ol affairs as at 31 Detsmber 2025 are set on pagès 5 to 13
The Church had a surplus of £74,019 from ordinary acts'vities,12024'. £62,429 5urplusl.
RESERVES
The Church needs to have sufficient reserves to cover known liabilities and contingenciès,
absorb any losses and to take advantage of thanges and opportunities. The Trustees provlde
for this by putting aside a portion of our current Un￿strICted income as a reserve against fvtur6
un￿rtain￿"es.
Having considered the source ol incorne, mainly, from donations and contribuh.ons by the
congregation, and the extent to which expenditure is cornmitted. rt is the policy ol the Trustees lo
rnaintain the unrestricted reserves to a level approximating six months of forthcoming
unavoidable operational expenditure,
In deading upon the ￿SerVe polig, the Trustees were guided by.
Likely income in future yea￿. tsking into account the reliability of each income
source and the prospect foi opening up nèw sources.
Any future needs or opportunities not likely to be mel out of income
Likely expenditure in ILrture years on the basis of planned activity
Taking into account the need to cover.
Usual running costs
Surplus funds to cover unforeseen expenditure
Propety repairs and maintenance
Planned development
Total funds held as at 31 De￿mber 2025 was £612.533 12024 £527.5081. These funds
induded £63,000 designated for the building of a gallery 8nd £171.158 belonging to groups
within the Church. The Trustees airn to continuously build up thè tyserve in the coming years.

TRINITY PRESBYfERIAN CHURCH OF GHANA. LONDON CONGREGATION
TRUSTEES REPORT FOR THE YEAR ENDED 31 DECEMBER 2025- ¢ontinu•d
ACHIEVEhTENTS AND PERFORMANCE
Events durfng th• Y•ar
- A Get- Together Dinner Dan¢8 and a Seaside Trip
- welfa￿ Outreach- Christmas pièsènts and Food hampers for all members.
Heritage Sunday- The collgrègab.on celebrated our shared heritage.
Donation to a Children's H05pice- Delmelza South East London
- We will be donating approximatsly Six boxes of dry food items lin¢luding tins, cans and ￿realS
lo Lswisham Food Bank to support members ofthe community who are èxperienang food
Insecunty
Our auditonum wa8 rnade available to 8 local $¢hool for their annual prom. fostering
connection parents in the local community.
Our mini bus was provided to a local forest s¢hool lo support educational aciivities focused on
forest learning and 6nvironmèntal preservation for parents and children.
Propèrty Maintenance and Repairs
Roof - Work- Inth"81 roof r8m8di81 work5 were undartaken to address water ingress at the
orner5 of the Church. A comprehensive roof survey has been wtnpleted. Further ne￿$sary
work will be scheduled upon receipt and review of conlr8Ctors' Cost estimated.
- Gas Safety and Leak Resolutton- A gas leak was discovered in the basement which warè
addressed by the UK Power Nelworks. Repairs We￿ carried out and a comprehensive Gas
Safety Checks whith comfifmed the system was lully operational and free from leaks Annual
Safety checks wll be carried out annually going fo￿ard.
New Heatin9 Systems and Future Cooling Plans - A new heating systèm has been
installed. The Propety Committee and Session are considering installing a c¢x)ling system to
support the Church durring the wamier surnmer months.
- Man$0 Fltt¢d B•throom- A le8k from the bathoom into the kitchen was identified. Quotes
frorn various contractors were obtained. A contractor was ¢hos&n and the bathroom has been
refurbished to a high standard
Other Important Milestones
Flre Inspectlon Report- In accordance with the Fire Inspection Report, the Church Initiated a
comprehensive decluttering exerase to ensure full compliance with Fire Safety Regulations. The
work is not completed yet but plans have been made to ensure that the declLJtteiing is completed
in the summer of 2026
- Land Tltle ReglstsYs- A review of the Tide Registers for both the Church and the Manse
have been conducted. The Land Registry was consultecl via the official Land Registry Portal.
and the records for both properties were thoroughly examined. The verification proce55 confirms
that all details on the Title Register are accurate, Up-t￿ate, and intact with no diserepanaes or
issues identified. This ensures that the legal ownership, boundaries, and iegisteredv interests
lor both properties remain valid and fully compliant wth current land registrabon ￿quIreMents.
- C8rtifrcat• of Sponsorship ICOSI- Our Church holds a valid Sponsored License for the
COS. which is ca￿fUllY managed and safeguarded by the leadership, specifically the Senior
Presbyter and Clerk of Session, to ensure lull compliance with all regulatory requirèments. Vve
can confirm that the li￿nse remains valid and well-administered, and we are Committed to
contsnuing its protection.

TRINITY PRESBYfERIAN CHURCH OF GHANA, LONDON CONGREGATION
TRUSTEES REPORT FOR THE YEAR ENDED 31 DECEMBER 2025-continued
Barclays Payment Machine- A Barclays payment machine is now available to *dulitat
electronic glving and other payments. In addition, the Church has adopted 8 Barciays Card lo
minimise the use of cheques and enable secure online Iran58clions. Deposit Cards have also
been issued, allowing 8Uthorised individuals lo make cash deposits at multiple lo¢atlons,
including Post Offices. This provides greater Ilexibilily especially durin9 busy banking p8riods.
Insurance- Insurance arrangetnents will undergo a comprehensive review to ensure th81
coverage is adequate and offers value for money.
STATEMENT OF TRUSTEES RESPONSIBILITIES
The TTUStses are iesponsible for preparing the Trusteés, Annual Report and the financial
st8lem8nts in accoidance with applicable law and applicable Accounting Standards.
L8WS 8ppli¢able lo charities in England and Wale5 require the Trustees to prepare Iinancial
stalerDents for each financial year. This should give a true and lair view ol the charity and ils
incoffling iesources and application of resource5 01 the charity for that year. In preparing these
rin8ncial stslements, the Trustees are reouired to..
Select suitsble accounting policies and 8pply them conslstantly
Observe the methods and principles of the Charili8s SORP
Make judgements and estimates that are reasonable and prudent
state whether applicable UK Accounting Standards have been followed, subject lo
any material departures disclosed and explained in the linanci31 statements
Prepare the financial slalements on the going concern basis unless il is inappropriate
to presume that the eharity will continue in operation
The Trustees are responsible lor keeping proper accounting records which disclose wlh
reasonable aceuracy at any time the financial position ol the charity and enable them to ensure
Ih8t the financial ststements Gomply with the Charities Acl 2011 and the Charity (Accounts and
Reports) Regulation 2008. They are also responsible lor 58feguarding the assets ol the charity.
They are responsible for tsking reasonable step5 for the prevention and detection ol traud and
other if￿g￿larities.
Signed on béhalf of thè Trustees
Mr David Ofori
Senior Pr8sbyter l Trustee
Date..

TRINrrY PRESBYsfERIAN CHURCH OF GHANA-
LONDON CONGREGATION
srATEMENT OF FINANCIAL ACTIvrriES
FOR THE YEAR ENDED 31 DECEMBER 2025
TOTAL
2025
roTAL
G¥*al
Pllnds
Group
Church
INCOMZNG RESOURCES
Incoming resources from generated fundg..
Volunfdry inthrne
Actfvitles for genernting funds
Investsnent IrKx>me
241,055
75,356
1,448
241,055
181,671
197.532
J45,861
I￿,315
Totsl Incomlng rnsources
317.859
106.315
424 174
344125
RESOURCES EXPENDED
Co*s of gerErating funds
Charitsble acbvities..
Ministerial costs
Costs of church attivibe
Grants payable and restricted
dOnatiOr￿ passed on
Govemance costs
South London Di5trirt Set Up Costs Wloff
3,2
3,2
¥451
57,219
175,418
57,219
270,726
49,177
95,308
1,950
6,OS4
1,950
6,054
Total resources expended
339 149
264631
Net incomingl(O￿tg0l￿g) resoyrces
beforn transfers
74.019
11.007
85,025
Net movement In funds
74.019
11.007
85,025
74493
Totsl Resources blfwd l January 2025
304,356
160,151
63,000
527,508
449,015
Total Resources C1fv￿ 30 NOVEMBER 202$ £
378 375 £
171 158 £
63.000 £
612.533 £
527.508
(Nclo ln
IF*le 151
The note5 cn page5 7 to 14 forni part of these finanaal statements

TFUNrrY pREsB￿ERIAN CHURCH OF GHANA
LONDON CONGREGATION
BALANCE SHEET AS AT 31 DECEMBER 2025
De￿nI￿ TOTAL
Fund
2025
TOTAI
General
Trated
6raup
Churth
Tangible a￿ets
Investments
635,089
635,089
635,089
635,089
CURRENT ASs￿s
Debtor5
Bank and cash t￿lan￿S
12
13
49,142
49,142
100,670
100,670
63,(M)O
212,812
212,812
CURRENT LIABILTfiES
Creditors payable wthin one year
14
35,776
35,776
36939
CURRENT A55Ers
13,366
100,670
63,000
177,036
TOTAL ASSEfs LESS CURRE1￿ LIABILmES
648,455
100,670
63,(KlO
812,125
Creditors payable after one year
15
199,593
199,593
TOTAL NET ASSETS
448,863
I{￿),670 £
63,000
612,533
s22,￿•
THE FUNDS OF THE CHARTrY
Funds..
eral Unrethcted funds
D&s￿nated Unrethtted funds
17
378,375
378,375
171,158
171,158
Re51ritted funds
16
63,000
63.000
63,000
611533
378,375
17¥158
527,50•
03_
APPROVED by the Church Meeting held on
and signed on its behalf by eeatnce MetUe- Nunty) l Treasurer/ TriLSteel
ISIgna￿re)
Tre notes on pages 7 to 13 forni part of these financial staten*nrs

TrtNrrY PRESBYfERIAN CHURCH OF GHAMA
LONDON CONGREGATION
NOTESTO THE STATEMENT OF FINANCIAL AcfiiiiTIES
FOR THE YEAR ENDED 31 DECEMBER 2025
ACCOVFfflNG POLICIES
Ba$1$ of Accoun￿ts9
The FinarLcial Ststements have tew ￿Epar& In XCDrdance the Ststement of R￿Orn￿ended Practice..
Account1￿ and RewrUn9 by Chartites ISORP 20051 Issued by the tharty CofflmI￿F￿.
The ac(Tuals basis of a￿Untsng has been adopted, and the prirKipal tK£ouniing polioesset out
below are applied con%stentFy.
Fund Accounting
un￿Str￿ted funts are availab￿f￿r ￿ at the of thE Churth in fUrth￿antr (¢ ￿ thariratle
objecbves.
Restricted funds art 9Jbletted to reSirKti0￿ ￿ theirexpendknre Imp)suf by the dwor. 0rcvnta1t￿d
in the tsrms ora grani
Endowrnent runds are funds the ca￿trI dwhich rnust be maintsined., nomklFy onty Income ari¥ng from
invesbnent of the endowtnent mty be erther as restritted or unrethcted funas dependlng on the
purpos& and tsms on which the wdthyment ¥¥as estsb1ls￿a.
Ib
Ic
Tan9ible Flxed Assets
fvjl assets costlng more than £1,0￿) are CaF4rallsed.
t*predatlon i4 provtded on tanglye fixed assets at Ihe folbmng annual rates olculated to wriie orrasse
over Ihelre¥tlmated useful Ilves..
Freeho￿ PropertyPA Chur(h Mathse
Cholr ROLW CoMmun￿n Cups MLsical Instrumwts
EouipmenL Nxtures & Ff05ngs
￿t￿r¥ehi￿e5
50 yea
10% straoht line lovw 10 year51
25% Stra￿ht Ilne lover4 years)
25% 5travJht line lover4 yeatsl
Id
JI VoluntsryGiwng 15 induded in the Financial StsteTnents for th& period in whlth it is ￿(￿v￿J.
Donatron5 ullder GiftAid plLts the IS￿0ted tsx recovery ale Fecoonlsed as Income when the
doDabDn ts received.
LegacEs are accoun￿ for whwi thelr rrf*pt Is certaln and can be property quanttfted.
All other Income ￿ generalFy recognlsed when t15 receivable.
ie
Re6ouK*s F¥pend•l
expwded ￿e recognlsed In the perlod to whkh they are Incurred and indude attributsble
VATwhlth cannot be recovered. Trey are allocated to the partThLar éthvrty to which they relatr.
Govemance crts represent direct expendi￿￿ on the govemance of the Church, I￿￿Ing the W￿uCtIon
and Indepe￿eTht scrubny c¢ these finènoal *aremwts.
s most of the manègement and actiwyy of the Church Is carrled ty volunte2r5, th15 5ntangl￿e costls
nor Included In the flnanclal statefflents a5thls voluntary to the I￿e of the ￿urth Is incabJiiYe
In moneiary terrns.
Taxation
The Church is a re91*e￿d charty vdlhln the meaning of the Ta￿ Acts.
Accordingly il Is exempi raxavon in respett of itKome and capital gain5
ro the extentthat suth income orgain5 are applied to exdvswelytharitsble purwses. proV￿kn for
taxatlon has been math in these financial ststements.

TRINITY PRESBYFERWI CHURCH OF GHANA
LONDON CONGREGATION
NOTES TO THE STATEMEiif OF FINANCIALACnVTIIES- Contlnue
FOR THE VEAR ENDED 31 DECEMBER 2025
Fur
TOTAL
2025
Groups
Church
VOLUNTARY It4COME
es and Offerings..
General ColleGtions
Music Sundav
58,832
58,832
S5.819
103,264
59,139
1,312
lQ3,264
59,139
1,312
87,786
31,428
680
98
Gift¥id- Tax refurwj
Svndnes
mn Bwks and Stutymaten￿¥
Anniveisay Cloth
Spec￿1 Offenngs 8nd don8bon$
Tharth Offor￿9
525
525
17,983
17,983
21,721
241 055 E
241055
J*.$32
ACTIVITIES FOR GENEUTING FUNDS
(hurch lerrings
Fund raising events..
Harvett
Gmup Funds
2,406
2,329
72,950
72,950
106,315
70.070
Il￿.315
75356£
106 315 £
181671 L
145&
INVESTME14TINCOME
Bank interest
Loya￿¥ Reward
Bad¢ Rebate
1,274
1,274
1,119
610
174
174
COSTS OF GENERATING FUNDS
Costof fund ra￿ng evenrs
HaNestexpenditsJre
3,200
3,200
2.431
TOTAL
202$
Group
Churth
MINISTERIAL COSTS
Dlstrtcr assessment cr&s
Other ￿stArt Expet
Europe Presb5tery
MinisierslPreachers wenses
wa￿- Cathchl
40,748
4,020
40,74B
4,020
36,527
2.100
I2.￿0
150
12.30D
Iso
10,550
57219 £
57219 É

TIUNrrY PRE5BYfERIAN CHURCH OF GHANA
LONDON CONGREGATION
io
NOTES TO THE STATEMENTOF FINANCtALAcfIviTIES- contlnued
FOR THE YEAR ENDED 31 DECEMBER 2025
rtds
Church
2025
Group
COSTS OF CIIURCH AaiVnlES
(hurth co*..
rtgage serv￿All
Irsuran
Watrr pte5
Bardaycard Commerdal
BuIldIn￿ refurbEhment& malntenan
Elthcty
Gas
Clèaning
Intyumentallst expenses
MedKI ￿p￿rt
Salarfe5 for Ad￿nIStra￿On (Indl￿ed In Note 111
Natlonal Insurènts & pay as You Eam
Interest NtyPAYE
Conferentr Expe
urch Vlgts and General W4fare
Junloryouth expenses
Gr￿ Tearn Expenses
Communion Expenses
16,195
5,629
16.195
5,629
21,404
5,351
29.883
5,787
4,885
8,559
29,883
5,787
4,885
8,559
5,600
17,350
6,869
6,094
9,826
4.6
2,452
185
1452
185
2,939
14,870
14,870
9,304
3,324
1,139
1,139
536
95 183 ￿697
M•lag￿ntand Adnmn￿atiOn'.
Pothge & Statthery
Mctor &Travd Expenses
Tekphone expe
Computyng expenses
Bank charge5
aan Committr*
Rentsi ¢fequipment
Rxed A%ers Under El,WO
arm and C
Sundry expen
4,702
12,610
7,154
2,371
2,341
4,702
12,610
7,154
1371
Z.341
1,632
2,￿0
6,840
2,549
loo
5,548
9,757
9,757
2,279
814
2,279
814
7,ns
808
pro9￿￿￿.
S￿￿lIty exFenses
Group expenses
5,751
5,751
95,308
8.890
sz.
95.3
101 059
Other ewenses
L(￿/(pro￿l on dlspwl of ranglbk 3$5et
Depredadon and AM0￿sa￿D￿
AnNI￿rsary a
Annlver5ary concert
Dinner Dènce
Other Ann￿ersary Exper6es
27,200
27,200
I2￿)
21,200
1,065
3,741
3.741
232&5
175 418 £
95308£

TRINITY PRESBYfERtAN CHURCH OF GHANA
LONDON CONGREGATION
NOTES TO THE STATEMEfff OF FINANCZAL ACIIVITIES- Continued
FOR THE YEAR ENDED 31 DECEMBER 2025
Urtr•rtrfrt•dF￿nd1
D*natqd TOTAL
2025
Group
chU￿h
DofiATtONS
ouwdon81ions
1,950
1,950
2,682
GOVERNANCE COSTS
tndependent Exaffllner
Tiainino costs
Acwuniing Serwc
Lega5 Fees
1,500
2,054
1.500
2,054
1,200
2,5
5,182
io
EMPLOYMENT ¢OSts
Wage5 and salaries
Empl¢yeFs r41C
10,500
10,500
12600 £
NO emrloyee rec4ved emoluments of more than £60,000
Durlng the year, the Trusthad manyvoluntarystaff
salarfes have been pa￿ toTru*ees du￿ng the year.

Il-- ll Tl I I
oc)c>

TRINTfY PRESBYTERV411 CHURCH OF GItANA
LONDON CONGREGATION
13
NOTESTOTHE STATEME1￿ OF FINANCIALAcrr4tTIES- contlnued
FOR THE YEAR ENDED 31 DECEMBER 2025
TOTAL
2025
TOTAL
Funds
Gmup
Ch¥￿h
13
BAP4K A14D CASH OALANCES
Bardays Pwmlum
BarcL3ys thrrent
Card Wallet
Group funds
Bèrchytsrd Comrnerdal
42,763
6,379
105,763
6,379
93,489
6,446
100,669
100,669
72,597
49142 £
100 669 £
212 811 £
14
CVRKENT LZABILITIES
oEat0￿ payable wlthln one year..
Loans- MOr￿age fram earclays Bank Hc < i￿{￿ote I
Mlnlster5 Allowan
NI I PAYE
Indepertdenr Examlner
Barc*￿r￿ Comm￿thI
33,000
1,200
33,0
1,20U
33,￿0
2.739
i.￿0
1,50D
76
1,5
35776£
The mort9a92 fmm Barclays Bank Hc balan￿ of £33,WO 12023-. £33,000) In cunpnt IbblI￿e$ represents
the thE Prtnclwl payable one year.
15
LONG TERM LIABILITIES
edltors payable after more than one year..
LI￿ns- Mortgage froffl &rdays Bank PIC > iyr
232,593
Mortgage &rClè￿ Bank Hc < iyr matudty (note I 133,0001
232,593
133,OWI
279,375
133,1)(K)I
199 593 £
199 593 É
Tho mortgaoe Iw from Bèrchys ts secured on the thurch *ernlse$ and the (hurth Manse.
16
RESTRICTED FUNDS RECLASWIED AS DE516NA 1 6
Thesefunds ￿*Ichtrt￿ £53,￿0 weremlleLtsd at Harvestand FU￿ Raising Events for the purrx)se of buIld￿g è gallery In tr
Church bulkJlN4 at 48 ￿n9 Road, London SE12 OPW. The more approprfate descrlpuon have been ￿ignthd Funds
berause It wa5 So￿ty de￿gnated forth* PUWÈ.

TRIpirrY PRESBYfER￿N CHURCH OF GHANA
LONDON CONGREGATION
14
NOTES TO ThE STATEMENT OF FINANCIALAciIvifiES- o)ntlnued
FOR ThE YEAR ENDED 31 DECEMBER 2025
17
UNReSTrICTED FiINDS
Incoming
I￿￿01n9
At
sources resou￿¢$ Transfer 31 DÉC 25
iJafv25
GenEral funds
304,3
74,019
378,375
74019 E
18
DESIG14ATED FU140S
Incomlng
Out90ing
resou￿¢% resource5
At
311JEC 25
lJan25
ilding fut￿5
centennial Chjth
PCG TV- u[&r￿e
gaae
Evelyn ￿3h
Grace Brixwn
63,000
25
753
627
1.567
728
1,020
1,201
705
180
393
70S
180
Kwame Adu
Kurur6e Prolert
rnekn Offertory
Welfare Commlltee
2028 Annwersary
c¢rlS Ampolowaa
Church w￿[•
Womens Fellow5hlp
Singlng 8and
360
360
10,669
11,339
720
567
70,329
50
567
67.174
38,398
35,242
io
1,765
20,188
12,472
4,114
5,145
12,464
7,049
io
3,012
20,911
8,905
1,092
4,605
4,988
4,131
635
1,483
2,140
4,777
21,37
11217
5,029
8,536
14.952
6.276
$35
12,183
19,ni
9,160
177
1,214
L500
YAF
BièÈ Study & Prayer Gro
Mens F4kyN*Ip
thI￿ren Serv
Church thoir
Muslc 9Jr￿aY
Nedia
Pre5tyters conferen
PrOf￿r Atse￿￿ Abamfo
Presbytrrwn Church of Gh3na. la￿
Akx Anlm Ann
Akuffo
Ukralne- Appeal
deratorAppeal for Funds
11,975
9.261
628
4,220
1,344
1.275
4,663
628
4,778
1,849
300
100
loo
900
20
160
20
160
961
223 153 £
106 315 £
19
RELATED PARTY
Th*t ¥vas no h￿pIts1￿ e¥pew to anyThsree dudng the year12024-NIII.
In Nots 7, under Admlnlstralve Costs. no Trustee5 were Pa￿ £12024- NIL)
zozd

TRINrrY PRESBYTEIUAN CHURCH OF GHANA
LONDON CONGREGATION
FINANCIALSTATEMENTS YEAR ENDED
31st DECEMBER 2025
TREASURER'S STATEMENT
I have prepared the financial statements on pages 1 to 13 forthe year ended 31.
December 2025.
Date=
<93_ 20,2
INDEPENDENT EXAMINERS'S REPORT ON THE AGCOUNTS
I report to the trustees on my examination ofthe accounts of the above Charity for the
year ended 3181 December 2025, which are set out on pages 1 to 13.
Responsibllities of the Trustees and Basis of Report
As the Charity's Trustees, you are responsible for the preparation of the accounts in
accordance with the requirements of the Charities Act 2011 1'The Act'l.
I report in respect of my ex8min'ation ofthe Charity's accounts carried out undersection
145 of the 2011 Act and in carrying out my examination, I have followed all the
applicable direGtions given by the Charity Commission under section 14515llbl of the
Act.
Independent Examiner's Statement.
The Charity's gross income exceeded £250,000 and l am qualified to undertake the
examination by being a qualified member ofThe Chartered Association of Certified
Accountants.
I have completed my examination. I confirm that no material matters have come to my
attention in connection with my examination which give me cause to believe that. in any
material respect,
1. The Accounting records were not kept in accordance with section 130 of the
Charities Act- or
2. The accounts did not accord with the accounting reGords- or
3. The Accounts did not comply with the applicable requirements concerningthe
form and content of accounts set out in the Charities (Accounts and Reports)
Regulations 2008 otherthan any requirement thatthe accounts give a'true and
fair, view which is not a matter considered as part of an independent
examination.
I have no concerns and have come across no other matters in connection with the
examinatio
ch attention should be dr8wn in this reportto enable a proper
underst
dingof th
accounts to be reached.
Signed..
Peter K
kwa FCCA
CHARTERED CERTIFIED ACCOUNTANT
55 Barville Close
London SE4 2LN
Date...