ReEiStcred Ch#rih. No: 1102347
Comp8llle5 Hou$c No- 04934500
WORD FOUNTAIN
CHRISTIAN MINISTRIES
LIMITED
Trustees, Report and Accounts
For the Year Ended 31 October 2025

CONTENTS
PAGE
Legal and Administrative Dctai]8
TTU8tees' Report
Independent Examiners. Report
Profit and Loss
Sthtement of Financial Activities
Balance Sheet
io
11
Notes to the Accounts
12
21page

REFERENCE AND ADMINISTIL4TIVE DETAILS OF THE CHARITY, ITS
TRUSTELS AND ADVISERS FOR THE YEAR ENDED 31 o￿oBER 2025
John Folonuw Durodolo
Catlwine Rae R&
M8ry Adepegba
Modupe Oluwatoyin Adefala
Olabode Adedjyo Adefala
Dlrects
Mary Adepe8b•
Modup¢ Oluwatoyin Ad¢fala
01gbod¢ Adedayo Adefala
Th¢ Directors are also Trt￿l￿$ of the
charity; Dot 411 Tn￿te¢S sery¢ as Dire¢tor5
of the Charithble company.
D•te of Charltsble Re8tstrAdon
2e F¢brnary 21))4
PrlneipAI •ffle•
Word Fountain CtiTiStiaD Ministri¢s
Rear Hall
73 Hollow Way
Cowley
OXFORD
OX4 2ND
Independent exAmlnen
Accountin8 Assist Cjo Good to Give
Chartered Certified AcCoUnt￿ts
7 Bell yart Lonthw WC2A 2JR
B*nkers
Lloyd8 pl¢.
25 Greshom StteeL London EC2V 7HN
31page

TRusfEES' REPORT
FOR THE YEAR EIYDED 31 OCTOBER 21125
The Board of Trustw who are the trustees for ¢hartty law purposes. submit their annual
report and th¢ fittatt¢ial slatements of Word Fountain Chrisiian Ministries Limited for the
year ended 31 October 2025. The Board of Trustees ¢onfirnk8 that th¢ gnnual report and
financial ststements of th¢ Charity comply with ¢urreni Statutory r¢quir¢m¢nts. the
requirements of the Charitys goveming document and the provisions of the Ststemcnt of
Recommended Prncti¢e (SORP)'Accoun¢in8 and Rwrting by Charities (FRS 102).
Strutthrey governance •nd man*iement
The 5 Trustees are..
John Folorunso DurodoiA
Caiherine Rae Ross
Mary Adepegba
Modup¢ Oluwatoyin Adefal*
Ol•bode Adedayo Adefala
Governlng Document:
WORD FOLfNTAIN CHRisfiAN MtNJSTRIES LIM￿ED is a charitable incorporated
organisation re8lSt¢red as a ¢h8rity on 26th February 2004 and registered #s a company on
16¢h October 2003 as amended by resolution by 8ih February 2004. Th¢ Charity is 8ov¢rned
by its constitution adopted on 26th FebTuary 2004.
Objeedvu and A¢¢lvltl
Word Fountstn Christian Ministries is commilled to spreadin8 the Go$￿1 of Jesus Christ
servin8 ihe spiritual and practical of individuals fomilie8. Our objectives include:
Promoting Christian faith through worship seryi¢es, discipleship pro8r8m8.
and outreach activities.
Providing Pastornl care, courk8ellin& and 8UPPOrt for individuals fomilies.
Engaging ID ch￿itable activities. includin8 fi)od distributio￿ ￿mmunity
welfare projects. and educational initiatives.
Supportin8 youth d¢v¢lopment pro8fdms to nurture the n¢xt 8eneraiioD In
faith ond leadership.
Achlevements and PerfoTm*Dee
Dwing the finan¢iai y¢ar. the ministry Unde￿ various programs to fulfil its mission..
Worshlp and Dtselpleshlp
Held regular Sunday s¢ryices and mid-week Bible S￿dY session5. with an in¢Thse in
attendance and onliDe en8a8¢AJKllt at our thr¢e assemblies in Swilldo￿ North Oxford
and Cowl¢y.
41page

TRUSTEESI REPORT
FOR THE YEAR ENDED 31 ocfoBER 2•25
Conthicted prnyer retreat& f&qting progtams. and discipleship training sessions to
de¢pen Spiri￿al wwth.
Comrnunlty Outreaeb *ttd So¢lAI Impact
Organised food distribution initiatives benefiting over 500 individuais in need.
Engaged with local and national organis￿iOnS like Oxford food hub and His Church
to PTovid¢ assi8tance ￿ the hom¢le$5 artd vuin¢Tabl¢ bThUPS.
Faciliiat¢d moDth long l¢achin8 and emw)w¢rnient in the arw of family. finance and
fitness in addition to offering 8uidaDce and support Program to StrU88lin8 individuals
and families.
Youth And Chlldreth's Mthlstry
Expanded th¢ youth fellowship, with mcntying and skill-building sessions.
Hosted sprin8 ¥nd slimme.r yoiith events and edu¢atioDal w0￿5￿opS to empower
yoiin8 people spiri￿￿11Y and academi￿llY through its Family Ar￿ Community Link
Project.
Delivered holiday a¢tivities in spring And sUD￿¢r for over 120 children and youths
and seryes as A member of Fast Oxfotd Youth Par¢n¢rship and Oxfordshire Youth
Orgoni$ation.
Work¢d with Aylesbury Youth Club, London Metropolitsn Fornm arrfl other
miDistries to provide ment0￿1p to youths.
Mluloni and Ev•Dg¢llM
Conducted local and iniern8tional rnission trips to 4>read the Gospel and Support
underprivileged communities.
Supported national or8anisaliotis such •s Care for the Family and IDternation81
Minislet5
Fellowship to r￿h famili¢s nations beyond our T￿h.
SIpa8e

TRUSTEES, REPORT
FOR THE YEAR ENDED 31 OCTOBER 2025
Fthandal Revlew
The ministry maintsined fin￿¢1&1 stability during the year. supported by tithe4 offerin8s. and
donations. Key financial hi8hli8bts include..
Total Income: £104,905
Tot￿ Eipendltllre: £93.141
Surpluy for the year £l1.764
Rtservu It y￿r-E￿o. £187.483
During th¢ year. the charity receiv￿ a ¢Jnewoff domtion of £3.IXJ) from Bethel Gospel
Church upon its ¢essation &8 a charity. This has been treated as restricted income and is
reflected tn th¢ r¢styictd funds balance al year end.
Funds were ailoc4ted effi¢ieDdy to ministy progr•ins. community outreach, aDd operational
osts.
Reserves Polley
Th¢ Trustees have agreed that it is prud¢nt to maintain reserv¢s at 8 l¢v¢l sufficient to cover
atl¢as¢ six months of operational costs to ensure the ministy can continue its activities in the
eveni of unfores¢¢n circumstances. The reserves ar¢ r¢viewed annually to reflect th¢
¢h&ngin8 needs and commithKDts of the ministy. sU￿lUs funds are designated for Ojture
projects, community outrwh, and infr4slrnthwe impTovements. The restric￿￿ funds ar¢ for
projects.
Strncthre, Gov¢rnAAc4 M*nigement
WFCM operntes under o Bogrd of Tnwtees TespoDsible for straie8ic over8ighL 8overnance.
and ¢ompliAnc¢ with Charitsble regulatioD& Thc Board meets re8ululy to ¢nsur¢ effective
manag¢meni of resources and alignm¢nt with the ministy's mission.
The charity is 8ovemed by 4 Board of Ttuste¢s, some of whom also serve as Dirwtors of the
charitable company.
PIAni for the FutUTe
Lwking ahead, Word Fountain Chrimian Ministries aim8 to:
Expand outreach programs to reach mor¢ indiviththls in need.
Develop new di8itsJ evangelism strate￿.¢8 to enhance online minisiry presenrL.
Str¢o8th¢n partnershi￿ with louL M4tiODal and int¢rnitionJl OT8anisations for
gre41er community impact.
EDhance youth progTwns leadersbip trnining to equip fvture Christian leaders.
61page

TRUSTEES, REPORT
FOR THE YEAR ENDED 3) OCTOBER 2025
Con¢luglon
Th¢ Tru8t¢¢s ¢xpress gratitude to our members. donors. volunteers, and partners for their
unwaverin8 SUPPOrt. With faith and ¢oollnithieoi. we ¢ontinu¢ io WO￿ towards fulfilling our
mi8sioD of shaTiD8 th¢ lov¢ of Christ and servin8 oufc<¥mmunity effectively.
Independent El￿nIner.
The Charity's independenl exwnin¢r. Anum Hassw FCCA of A¢¢ountin8 A$$ist Ltd Clo
Good to Give Lts4. have indicated their willingness to offer them￿1V￿ for appointment.
The Ttusiees acknowledge their r¢sN)nsibiliti¢s for complying with the requirernents of the
Charities Act 2011 with respect to accountin8 re¢otds and the preparaiion of fMw)¢iil
slalements.
This rep)rt was approved by the Tn￿1￿8 on ond si8rKd on their behalf by.
N•me.
Slgn*tsr¢...
D•le...
71 Page

INDEPENDENT EXAMINER'S REPORT
FOR THE YEAR ENDED 31 OCTOBER 2025
INDEPEND￿ EKIMINER'S REPORTTO ThE TRusfEES OF WORD Fo￿AIN
CHRJSTIAN MINisfRILS LIMITED
I report on th¢ finwial ststernents of the cbviry for the year erknd 3]0￿ 2025 whi¢h comprisc
the Statement of Financiwl Aetivities end Bthnc¢ Sh¢¢1 with associate ￿)1¢5.
This rep(*t is nud¢ 3ol¢ly to the tharitys Tnrn as a btyjy, in K¢ordan¢¢ with s¢rtion 145 of the
Chariiies Ad 2011 and regul¥tion5 Under seetion 154 of thai Au. My WO￿ has be¢n undcrtaken
so that l rnigh¢ sw¢ tc* th¢ ¢baritYs Tn￿te¢S thos¢ znAtt¢rs l r¢quir¢d to $thte ￿ them iti an
indepettdent examinefs rwrt and for no purpose. To the fijllest exlenl p¢rnitt¢d by law. I do
not ateept or usume responsibility to Anyone othcr than the chtrity at)d the ¢h8rity¥ TTUStee¥ as
body. for my wAAmin￿l0￿ work.
RFSPECTIVE RESPONSIBILITIL8 OFTRUSTEES AND EXAMINER
Th¢ elwitys Tnutees are T¢spDnsibl¢ for the Pre￿￿￿ of the financial slatemertis, d
coL%ider that ￿ audit is not required for this year under seaion 144(2) of the ch￿Ille$ Aei 2011 (the
A¢¢) and th•¢ an indewdent exominolion is n¢ethd
li is my responsibility to-.
Examine tbe acc(AWts (uT#Jer s￿til?0 145 of the Ch￿iti￿ Act):
To follow the pr￿edureS llid down in the GeneTa] Directions 8iven by the Charity
commissior￿ (uThler Seaion 145(SXb) of the Clwitses A￿). and
To state w￿ther parti￿1•r mat*rs have corne io my ¥lt¢nli¢)n.
Baits of IDdepeident Ex￿￿1￿¢r,• report
My examin*ion was c￿rIed out in •¢wrd**e with Genernl Dir¢etions given by the athrity
Cornmissioners. An ¢x8rniMtion includes a T¢Vi¢W of the iceounting records kept by the
GrouplDistrici and a Comp￿ryI o(Ihe a¢￿Unts w¢%nt¢d with those records. It 3150 includes
consideration of any wiu5ual items or disclosures in the a¢ewnts and seekin8 ¢xplanations from you
45 trustxs conceming s￿h matters. Tr proceduT¢S undertaken th) noi provide all Ihe evidence
that would be required in an audit. Ind Cottsequenily no opinion is 8iven as lo wh¢ther the ￿CoUnt$
PTes¢nt a 'true and fair. view and the r¢port is limiied io those mat¢¢rs sd w in rhe sla¢￿ent below.
Independent ElAtt￿ller'S
In connection with my ex*nin8ticffl, no matter come io my Ittention:
l) whi¢h 8ives me r¢uonabl¢ caw to believe thii in any Material r¢spttt the rwuiremenls..
• tts keep •ttouniing record5 in accor￿ with section 130 of the Aer; athj
to pr¢parc fu￿￿¢111 sthi¢m¢nts whi¢h act￿ with ihe i¢counting re¢orth and eomply
with th¢ awountin8 requiTemenls of the A
have not be¢n m¢( or
2) io which, iD my Opinio￿ attetstion slk)uld b¢ in orderto embl¢ ¥ pr0perunderrt￿￿inS
of th¢ finaTKial 5taiements to ￿ ff8¢hed
S*n¢d:
D*t¢d: 0810712026
Anum Has$•N. FCCA
On behalf of Accouniing Assisi L
81 Page

PROFIT AND LO&S ACCOUNT
FOR THE YEAR ENDED 31 OCTOBER 2025
2025
2024
Income (Tithes. Offering & donation5)
Other Income
86.649
16.990
70,986
23212
Interest receivcd
720
Totsl Income
104.705
94.918
Cosi of sales
6,351
Crom profl¢
104.705
88.567
Ow8ting expcDses
95,252
76,2(Kl
Proflt b¢fore ¢*x•tloD
9.453
12.367
Tix on profit on ordinary a¢tivities
Proflt lor the lIn*nd￿ yeAr
9,453
12,367
91Paee

STATEMENT OF FINANCIAL ACnVITILS
FOR THE YEAR ENDED 31 o￿oBER 2025
2025
2025
21125
Total
FuTrd$
2024
Total
Funds
UDre4tr1cted Restrlcted
Notes
Income Rdourees
Tithes and offerings
oth￿ Donatio
GiftAid
Other Income
Bank interest
73.6iX)
73.600
64.007
539
9.709
16.990
1.067
3,540
9,709
16,990
1,067
6.979
23,212
720
Tot•1 Income Rewllrc
3,000
1•4,9QS
94,918
Resourcu Expended
Support costs of
aciivities in
fi￿ther￿nce of the
¢lwity$ objects
24,903
24,903
25,494
Management &
Athninistration
of Charity
68238
68,238
57,056
Totsl Income Expended
93,141
93,141
82,550
N¢t
ImcomlnW(out8olll8)
resources
8,761
3,000
11.764
12J68
Ntt Movemethts In
Fund$
Fund b*l•n¢es Wfwd
Funds b*lin¢es clfwd
8.764
11,764
175.719
187,483
12,368
168,383
180,751
82.964
91,728
92,755
95,755
IOIPage

BALANCE SHEET
AS AT 31 ocfoBER 202S
2025
2025
2024
2024
Notes
Tangible r￿ed asKts
4.768
5,955
4.768
5.955
CurreD¢ •u¢ts
Debtors
Cash at bank and in hand
6.798
177,445
184243
174.298
175,196
Creditors: amounts fallin8
due wiihin one year
1,528
N¢1 ¢urrent usets
182.715
174 796
Totsl assets less current
liobiliti¢s
187,483
180,751
Net Assets
187.483
180.751
Restri¢l¢d Funds
Unrestricted Funds
95,755
91.728
92,755
87,996
Rejtrlcted And UDrestrleted
Fund$
187.483
180.751
The I￿￿t￿$ 8cknowledge th¢ir responsibilities for complyin8 Wlth the requir¢m¢nts of the
Charities Act 2011 with respect to xwting records and the preparntion of financill
statements.
This was approved by th¢ Tn￿1¢¢% oll #nd signed on their behalf by:
N*m¢ .
Slgn8tyr¢.....
111 Page

The notes on pages 12-15 form part of thes¢ financial statements.
NOTES TO THE FINANCIAL ￿ATEMENr
FOR THE YEAR ENDED 31 o￿oBER 2025
I. ACCOUNTING POLICIES
1.1 B¥ts olprepiradom of IlnAn¢lAI statem¢nts
Th• fittaneiAI st4t•ments hwe been pr¢p*red under the histori￿ cost convention ¥nd
in aCC￿dance with FRS 102 ond the Ch8riti¢s SORP {FRS 102).
1.2 Fund K¢ouDthbg
General fvnds are wwestricted fi￿ds which are 4v8i18ble for use at th¢ discretion of
the Trust¢¢s in fi￿￿e[an¢t of the 8en¢ral obj￿IlY¢S of the charity and whi¢h have not
been designaied for oih¢r purpos¢s.
Ratricted funds funds which 8T¢ io be used in aC￿d8￿Ce with spe¢ifi¢
restri¢tiottg imposed by donoTS or whie.h h#v* h￿.￿ fAigP41 hy ihe. c.h))rity for particular
Purposes. The costs of raisin8 and athninisiering s￿h funds are ¢har8ed 080inst th¢
specific bJnd. The aim and use of ea¢h restricied fimd is $¢1 out in the notes io the
financial st8tcmeDt
IJ ReAtrl¢ted Funds
Re3tri¢ted funds represent income re¢¢iv¢d for specific putposes as d¢terniined by
donors. Dwing the year the cbgrity r¢c¢iv¢d a restricted donation of £3.IXIO from
Bethel Gospel Chuwh, which ceased operating os 8 ¢harity during the yur. Th¢ fvnds
are held as reslTiC￿d and will be appli¢d in I￿oIdInCe with the donofs wishes. At 31
Oclob¢r 2025, the chariry h¢ld total restricted funds of £95,755 (2024: £92.755).
1.4 Ineomln8 reioiirt
All incorning resouT￿S ar¢ included in the Ststsmmt of financial aciiviiies wh¢n th¢
charity has entiilemenl to the fimds, ¢¢￿illty of receipt and the amount wi be
m¢osur¢d with suffi¢ient reliability.
Don8ted serlices or facilities. which comprise don•ted services. are included in
income al a valuation which is an estimate of th¢ financial cost borne by the donor
where such a cost is qu8ntifiable and Measurable. No income is recognised where
there is no fingn¢ig1 cost borne by 4 third party.
tneome tax Tecoverable in relation to donations received und¢r Gift Aid or deeds of
covenant is reco8nised at the time of the donation.
1.5 RuDur¢# expended
Expujditure t5 accounied for on an accTr￿lS basis And has b¢ett included under
expens¢ ¢ategories that a88re8at¢ all costs for allocation lo aclivities. Where costs
cannot be directly 8ttribut¢d to particular activities. they have been allocaied on a
basis consislenl with th¢ use of the resou￿.
121Pa8e

NOTES TO THE FINANCIAL ￿ATEMENT
FOR THE YEAR ENDED 31 0￿0B￿R 2025
Fundraisin8 costs are those incurred in seeking voluntary COnt￿￿Utions and do not
includ¢ the costs of disseminatin8 infom)aiion in support of the charitable activities.
Support Costs are those costs incurred directly in support of expendityre OD the objects
of the charity and include project manag¢ment caTried out at Headquaffcrs.
Govcrnanrx costs are those in¢urTed in conne¢tion with administration of the charity
and Compliance with constitytioDal $thmtOry requirements.
Grants payable are clwged in the yw wh¢n the offer is made ex¢epi in rhosc ¢as¢s
where the offer is condiiiona]. such grants bein8 rxo8nis¢d as ¢xpenditure when the
¢onditions attachin8 are fulfilled. Grants offered subject io conditions whAch have not
been met •¢ Ihc y¢arend are noted as a commitment but not accrued as expenditure.
.6 T*xAtlon
The clwitable funds are exanpt from ￿[pOrntiOn lax. The charity also ￿¢￿1Ved Tental
in¢ome of £16.990 during the period. This hos been treated &5 exempi from
Corporaiion Tax under 8256 CTA 2010 as iDvesthieni incom¢ applied solely for
charitable purposes.
1.7 Deprecl*tloll
Depre¢i•tion has been provided ai the following rnt¢S in QTder IO Write off the assets
on the reducin8 balance of ¢ach asset.
L4nd & buildin8 2%
Plant and machinery 10%
Furniture & fittings 2IyA
Musical equipment 2
131paBe

NOTES TO THE FINANCIAL STATEMENr
FOR THE YEAR ENDED 31 OCTOBER 2025
2. TANGIBLE FIXED ￿￿ET5
Computers &
equlpment
MuskAI
equlpment
Furnlture
& fittlnv
Totsl
Cost
At l November 2024
26.783
19,325
47,300
Addilions
Ai 31 October 2025
26.783
19,325
47,300
DepredAilon
Al l Nv¥¥iil￿L 2024
1,152
.740
16,447
576
41.345
ChArge for the year
Ai 31 O¢tober 2025
607
1.187
1.156
17.023
42.532
Nee book
At 31 Ociober 2025
Ai 31 O¢lob¢r 2024
36
40
2.430
3,037
2,878
5.955
3. DEBTORS
2025
2•24
Trade Debtor8
Oiber Debtors
sis
383
798
Other debtots relate to welfare supportloons ma(k to b¢o¢fi¢iaries dutin8 the year. The
balan¢¢ of £6.798 (2024: £898) represents 8mounts outstanding at th¢ year eniL Movements
during the year were as follows.. op¢ninB balance £898. loans advanced £8,S(K). r¢pgym¢nts
rettived £2.600. closing balance £6,798.
4. CREDITORS
2025
2024
Other Creditors
Other creditors of £1528 r¢pr&8ents amounts accrued but not yet paid at th¢ y¢ar end.
141page

NOTLS TO THE FINANCIAL STATEME
FOR THE YEAR EIWED 31 ocfoBER 2025
Unre¥trleted
Rdtrkted
Total Fundi
At l November 2024
82.964
92,755
175,719
N¢1 Movement in
8.764
11,764
At 31 (ktfjbtr 202S
187 483
6. PRIOR YEAR ADJUSTMENT
The cash al bank And in hand balance ￿ reported in th¢ 2024 financial stst¢rnents was
overst8led by £5,032.
The opening fund balww as at l Novemkn 2024 have be¢n restlted accordtngly. The effe
of this resthtement is os follows:
2024 reported AdJu$tmui 2025 Res¢*ted
Cash at bank and in h8nd
174.298
Net assets
180,751
Fund bolgnces it l NoV￿nber 2024 180.751
(5.032)
(5,032)
{5.032)
169.266
175.719
175,719
1SIPage

NOTES TO THE FINANCIAL STATEME
FOR THE YEAR ENDED 31 ocfoBER 2025
7. DETAILED INCOME AND EXPENDmiRE AccoiJNf FOR THE YEAR ENDED 31
o￿oBER 2025
2•25
2025
2(125
2024
Total
Unr¢strkted Restrltted Total f￿nd
7.1 If¥coMINfj RESOURCLS
Tithes. offerin8 And thanksgiving
Oth¢r DonatioAq
Gift Aid
Rental Ineome
Bank irtterest received
Totxl l#e•mlng Rew¥re
73.6(Kl
539
9.709
16.990
1,061
101.905
73.61KI
3.540
9,709
16,990
1,067
104.905
64,CQ7
6.979
23,212
720
94.918
7.2 Support ewts •f ID
lur¢her•Tr¢¢ of
the Charlty'i objects:
Honor4riwn
Domiiotts & W¢lfgr¢
Purchases
Children. youth
Harves¢ Events
Printin8, post8￿ & sth¢ioo¢ry
Other dir¢¢t eos¢s
Charity & donalions
EVangeli￿V0Utr¢1eh M￿trialS
Ev8n8elism & Miuion
Allnivers￿ & Ev¢nty
Supplies
Member5, welfare and trnining
3.350
4.563
3.350
4.563
6.350
2.357
7.396
701
2,452
2,132
2.048
2,432
2,132
2,048
soo
3,018
5.672
408
3.968
5,432
50
5,432
50
24J•3
24,903
IS,494
7J M*m*ynent
Admthlstrxtlon of Ch•rSty:
Reni of chU￿b hau
Bank ¢har8ei
Subscription & Du
Commission & Fees
TraiiJiDg & sfmiw
INurdnce
Li8ht & heat
Utilities
36.574
21
2.036
250
837
512
8,578
312
36.574
21
2.036
250
837
512
8.578
312
41.072
550
169
486
4224
161Page

Hall hire
5.227
NOTES TO THE FINANCIAL STATEMENr
FOR THE YEAR ENDED 31 OCTOBER 2025
5,227
l J26
7J M*n4gement #nd
Admln151radon of Charlty
(Continu￿)
2025
2025
2025
2024
Unrestrfcted Re¥trltttd
To¢AI
fund
Total
fund
Repairs & mainlenance
Advertising & publicity
Sundry expen5¢S
A¢countsncy fees
D¢pr¢¢i8tion charge
7,542
1.508
1.742
1.912
1,187
68238
7.542
1.508
1.742
1.912
1.187
68,238
1.136
1,217
3.405
500
2,971
57.056
171pa8e