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2025-06-30-accounts

CHARITY NO, 1105389

THE LIGHT OF THE WORLD HOLY GHOST CHURCH OF GOD

COMPANY REGISTRATION NUMBER 06143236

REPORTS & ACCOUNTS FOR THE YEAR ENEDED

|

30 JUNE 2025

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CHARITY NO, 11053489

THE LIGHT OF THE WORLD HOLY GHOST CHURCH OF GOD

CONTENTS:

PAGES Organisation Information 3 Trustees Report 4&5 Accountants Report 6 Income & Expenditure Statement 7 Balance Sheet 8&9 Notes to the Accounts 10&11

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CHARITY NO. 1105389

THE LIGHT OF THE WORLD HOLY GHOST CHURCH OF GOD

ORGANISATION INFORMATION

TRUSTEES

MR JONATHAN WILSON MR BODE HAASTRUP MRS TATENDA LINDA JAMES MRS ABIMBOLA HAASTRUP MR OLALEKAN ADERIBIGBE MR PAUL ADEREMI

SECRETARY MR PAUL ADEREM| REGISTERED OFFICE 41 DOVER ROAD NORTHFLEET KENT DA11 90G ACCOUNTANTS EUCHRISS & CO | 18A CHURCH STREET DAGENHAM RM10 9UR BANKERS NATWEST BANK PLC WOOLWICH BRANCH 1-7 POWIS STREET WOOLWICH LONDON SE18 6LE

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CHARITY NO. 1105389

THE LIGHT OF THE WORLD HOLY GHOST CHURCH OF GOD

TRUSTEES REPORT CONT'D

Future Projects:

  1. Developing relationship with other charitable organisation and any like minded groups within the borough to enhance the objectives of the charity.

  2. Reaching out to the youth by providing a resource centre equiped with facilities such as video games, computer, books, cassettes and CDs/DVDs and other educational materials. This will also enrich the congregants and visitors.

  3. Having awakening programmes, seminars and other like activities within our borough

Approval: The board of trustees approved this report and account on the 23rd February 2026 and is signed on its behalf by: Wi? Bode Heastrut Director/Trustee

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CHARITY NO. 1105389

EUCHRISS & CO. (ACCOUNTANTS & TAX ADVISORS)

23 February 2026

18a Church Street Dagenham RM10 9UR

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CHARITY NO. 1105389

THE LIGHT OF THE WORLD HOLY GHOST CHURCH OF GOD INCOME AND EXPENSE STATEMENT FOR PERIOD ENDED 30 JUNE 2025 GENERAL 2025 2024 FUND: Notes £ £ INCOMING RESOURCES: Collections at all services - Tithes & Offerings 19,473 23,314 Donation - Building Fund 12,972 5,116 TOTAL INCOMING RESOURCES 32,445 28,430 RESOURCES USED Insurance 1,536 1,401 Ministry & Services 2,260 2,100 Printing, Postages & Stationaries 814 824 Travels & Transportation 3,413 3,111 General Office Administration 485 550 Bank Charges 143 114 Accountancy Fee 500 500 Light & Heat 5,811 3,723 Interest on finance 11,127 7,356 TOTAL RESOURCES USED 26,089 19,679 NET INCOMING/(OUTGOING) RESOURCES 6,356 8,752 BALANCE BROUGHT FORWARD AT BEGINNING OF YEA 204,984 196,232 BALANCES CARRIED FORWARD AT END OF YEAR 211,340 204,984

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CHARITY NO, 1105389

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THE LIGHT OF THE WORLD HOLY GHOST
CHURCH OF GOD
BALANCE SHEET AS AT 30 JUNE 2024
Notes
2025 2024
£ £
FIXED ASSETS 5 __425,001_ __ 425001
CURRENT ASSETS
Debtors & Prepayments 34,005 34,005
Cash at bank and in hand 2,284 2,464
36,289 36,469
LIABILITIES: AMOUNT FALLING DUE WITHIN
ONE YEAR
Creditors 3 18,163 18,163
NET CURRENT LIABILITY 18,126 18,306
TOTAL ASSETS LESS CURRENT LIABILITY 443,127 443,307
LIABILITIES: AMOUNTFALLING DUE AFTER
MORE THAN ONE YEAR
Creditor 4 231,787 238,324
211,340 204,984
FUNDS:
Unrestricted Funds 211,340 204,984
Restricted Funds - -
211,340 204,984
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CHARITY NO. 1105389

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CHARITY NO. 1105389

THE LIGHT OF THE WORLD HOLY GHOST CHURCH OF GOD NOTES TO THE ACCOUNTS FOR PERIOD ENDED 30 JUNE 2025

  1. Accounting Policies

  2. 1.1 Basis of preparation of accounts The accounts are prepared under the historical cost convention and incorporate the result of the principal activity which is described in the trustees report. The charity has taken advantage of the exemption in the Financial Reporting Standard 1 (F.R.S. 1) from the requirement to produce a cashflow statement on the ground that itis a small company.

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2. Net Movement in Funds
The net movement in fund is stated after charging:-
Accountants Fee £
200
3. Creditors: Amounts falling due within one year.
Members Account
Loan 5772
Account (NatWest Bank Plc) 11891
Accountancy Fee
500
18163
————————X——
4. Creditors: Amounts falling due after more than one year.
Members' Account
Loan 132274
Account (NatWest Bank Pic) 99513
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132274
99513
Nha ordinal
231,787
—————_————
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CHABIT EN) LIO4 tery

THE LIGHT OF THE WORLD HOLY GHOST CHURCH OF GOD NOTES TO THE ACCOUNTS FOR PERIOD ENDED 30 JUNE 2028 Continue 5. Tangible Fixed Assets Equipments & Bullding Fittings Tota COST: £ g B/F at 01/07/24 425,000.00 9,578.98 424,572.96 Additions p é - C/F at 30/06/25 425,000 00 9,578 92 474A 572% DEPRECIATION: B/F at 01/07/24 - 9,577.98 9,577.92 Charged for the year a - P a ee C/F at 30/06/25 - 9577 92 9577 F NET BOOK VALUE: At 30/06/25 425,000.00 1.00 425,001.00 At 30/06/24 425,000.00 1.00 4251 Fixed Assets are depreciated over their useful life using the straight line method at the following rates: Equipments & Fittings 15% Building O%

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