ChaTity [clOn number. 1111223 Jesus The Messiah Ministy Annual Report and Financial Ststements fcr the Year Ended 31 July 2024 BBK Accountants BMM Ltd 4a Roman Road East l.lam London E63R
Jesus The Messiah Ministry Contents (continued) Trustees. ReFK)rt I to2 Ststement of TTUStrts' RestSibIlIti Independent Examinefs Report ststement of Financial Adivities Balance Sheet Notes to the Financial Statements 7t015
Jesus The Messiah Ministry Tntees, Report The Irnstees present the annual report tO8ethet with the fela1 stat¢ments of the ch8n.ty for the year ended 31 July 2024. Objective8 and a¢tlvlti¢8 Public benef Worship seTvices, Bible Studies, Prayer Meelings. Home Cell Groups. Counsellings. Youth Fellowskll'p, Children Ministy. Senior Citizens Fellowsbip. Couples Fellowskn'p The trustees confirm that they have cornpli with the requrnents of sccts'on 17 of the chariti Act 2011 to have due regard to the publi¢ benefit 8dance published by the Charity Cotill0n for England and Wales. Rderence and AdmlDlJtrtlve Det Charity RestratiOn Numkn: 1111223 Princip Office.. Westbourne Park Baptsst Church Porchester Road Paddinston Londi W2 5DX Independent Examiner.. BBK Acu)untants Bb4fM Ltd 48 Roman Ro F.ast Ham London E6 3RX Truitee$ and offlcen The trustees and offiLYfs 8¢rvin8 during the Ye 8Th1 since the year ¢1 were as follows". Trustees: Delfina Elefante E Marquez M Marqu R Early Structure gVernall¢e and nwiageDXnt FInancI Instrunknts Objectives axdpo&cie$ The clwity's activities exwjse it to a number of fuwKi21 risks including credit risK cash flow risk and liquidity risk. The of fmancial denvxtlves is governed by the ch8rity's tx)licies approved by the bo8Td of kn15t¢¢s. which provide written PTin¢iples on the use of fancIal derivatives to th¢se risks. The Glwity docs not use d¢rivative financial instruments for st£culative purp)S. Page I
Jesus The Messiah Ministry Trustees, Report (contsnlled) C4shJlow nik The charity's activities exp)se it pnm8rily to the financial nsks of changes in foreign CUTrency exchange rates and int¢r¢st rntes. The charity foreign exchange foTward ¢ontr&ts ond inter&8t rate swap ci)ntracts to hedge these eXsUre5. Interest bearing and liabilitie5 are held at fix rate to ensure catsinty of cash flows. Creeht mk The charity's principal f]nancial a&8ets are bank balanc%s a1 c&sh. trade and other receiv&ble4 and mvestments. The charity's credit risk is primanly atttibutable to its trade receivables. The amounts presented in the balance sheet are net of allowances f(r doubtfijl re1Vabl. An allow8nce for impairment is made where there is an identified loss event which. bad on previous exe is evidence of 8 raluction in the r¢wverability of the cash flow& The credit risk on liquid fimds and derivative fllIancl instruments is limited because the c<)unteryarties are banks with lll'gh cretht-ratings Ignal by international ¢redit-rating agenci&8. The charity has no sigwficant concentralion of eredit nsK with CXFrf)sure spread over a Ie numb¢r of counterparties and a)stom¢rs. Liqxidity rilk In order to maintain liquidity to ensure that sutTicient funds are available for ongoing 0rati$ 8nd fijture developments. the ch8Tity a mixture of long-terni and short-tern] debt fmance Further delails regarth'ng liquith'ty risk can be found m the Ststement of acrA)uniin8 p)Iici&g in the fm8ncial statements. Thc 8nnll rewt was apprnved by the trustees of the charity on IS .2Cand SI on its by.. Tfvsle¢ Page 2
Jesus The Messiah Ministry ststement ofTrustees' Responsli )fiities The trustees are responsible for prq)aTing the trustees, reFK)rt and the fin8nci81 statements in rdance with the United Kingdom Accounting Standards (United Kingdom Generally Accepted ACtulln8 Practice) and applicable law and regulatioTr8. The law 8pplicabl¢ to charities requires the trustees to prepare fancial stst¢ments for each finan¢iAI year wbich ve a true and fair view of the state of affair5 of the charity and of the incoming rU[GeS and apph'cation of resources of the chanty for that p1(L In preparin8 these financial stat¢m¢nt& the trustees are requwaa to". select suitsbEe aCCountg poli¢i¢s and then apply them ¢{lsten1]y. observe the rnethS a1 principles in the chan'ti SORP. mak¢ judgements and estimates that are re&g)nable aDd PTudent'. state whether applicable acrA)untin8 Standerds have followc4 subject to any m&terAal &p8rtures disclosed and explained in the fmanci81 statements. and prepare the financial statements on the going wnLtrn basis unl¢&3 it is inappropriate to presume that the charity will cA)ntinue in business. The trustees are responsible for keeping proper Unting that dilOse with reawnable 8cLuracy any time tbe financial positi(fA of the charity and enable them to ensure that the fgnCIal sthtements comply with the Ch8ritses Act 2011. the Charities (A¢¢ounts and Rcports) Regulahons 2(K)8, and the provisions of the constitution. 'fhe trustees are also responsible for saf¢8uarthn8 thc &wts of the tharity and ben for tskitig re&8onabl¢ steps for the prevention and delectson of fraud and otheT ifTegu18ritses. The trnstees are responsible for the Maintenan and integnty of the cory)orate and financial lliforniation included on the charitsble L%)mpany's web&te. LelatiOn governm8 the preparatioD and dissemination of financiAI ststenwlts may differ from lesla1)n in otlKr Jurisdiction& Approv by the trustees of the rjwity on / . .z.fand SA8oed on its belwlf by: Page 3
Jesus Tbe Messiah Ministry Independent Examiner's Report to the trustees of Jesus The Messiah Ministry I report to the lrnstees on my ex8mination of the )Unts of Jesus The Ms18b for the year ended 31 Juty 2024. Re8pon$ibilitse# and of Yep)rt As the charity trllSte of Jesus The m81h Ministy you aze Yes)&ble f4x the preparation of the a)Unts in accordance with the requircments of the CP1$ Act 2011 ('the Act.). I rq)ort in respect of my examination of the Jesus The Mesgi8h Mim'sty's accounts CaTried out under section 145 of the 2011 Act and in carrying out my examination I have followal all the applicable Directions given by the Charity Commission under section 145(5Xb) of the Act. Independent ex&nner.% 8¢aleDxnt I hav¢ Complet my examinatson. I confjrm that no material matters ve ¢ome to my attention in connection with the examination giving me cae to klieve that ID any In8terial accounting records were not kept in T[ct of Jes The Messiah Ministy required by wtion 130 of the Act. or 2. the aUnts th not accord with those recL)nls", or 3. the accounts do not Gornply with the accounting requirem¢nts concerning the forn] and content of accounts set out in the Charities (AcUllts and Reports) Regulations 21X)8 othcr than 8ny rcqurnent that the accounts ve a 'true and fair view, which is nol a matter (x>nsidered as part of an independent examination. I have no conccrns and have ¢om¢ acro&8 no other matters in COnntiOn with the vAaminatifm to which attention should be drawn m this report in order to enable a proper understandmg of the a¢unts to be reached. BBK AcLxJuntants BMM Ltd BBK Aco)untants BMM Ltd 4a Roman Road East Ham London E6 3RX Ic/41.?.o).f Pagr 4
Jesus The Messiah Ministry Statement of FAnancial Activities for the Year Ended 31 July 2024 Total 2024 Note Tncome and Endowments from: Donations and legacies Total incom¢ 71,173 71.173 71,173 Expendlture 0. Raising fimds Charitable activities (47.717) 22,348 (47.717) 22.348 Total expenditure N¢t 70.065 1.108 1.108 Net movement in fiJDds 1.108 Re¢oD¢IUatloD of funds Total funds brought forward Total funds carried fopNard 20,397 20.397 13 21.505 UDreytrl¢ted fund$ 21.505 Total 2023 Note IDcome and Endowments fronk" Donations and legaci¢s 'TotaI income 79,734 79,734 79.734 79.734 ExpeDdlture on: R'SIng funds Chantsble activities (48.054) 26.110 (48.054) 26.110 Total expenditure (74.164) 74,164 Net itiCL)rne 5.570 5,570 Net movement in funds 5,570 5,570 Re¢on¢lllatiOD of fund# Total funds brought forward Total fijnds ned forward 14.827 14.827 13 20,397 20.397 All of the ch8rity's activities derive from continuing OFa(W during the above two wiod& The funds breakdown 2023 is shown in note 13. The notes on page5 7 to 15 forni an Illte part of the financial staternents. Page 5
Jesus The Messiah Ministry (Registration number: 1111223) Balance Sheet as at 31 July 2024 2024 2023 Note Flxed assets Tangible assets io 417 555 Current aJ8e Cash at bank and in hand 11 23,899 22.498 credIra. Amounts falling due whlthi one year 12 2.811 2,656 Net current aJ•ets 21.088 19.842 Net *•tI 21,505 20.397 Fund• of the charlty. ITDre8trlcted IneoDX fwid• Unrestricted funds 21.505 20,397 Total fuD 13 21.505 20.397 cial statements on pages 5 to 15 were approved by the trustees, a1 auth(ffised for issue on .. 8Dd s18nl on their behalf by: quez The notes on pages 7 to 15 form an mtegral part of the fncial statemen Pagt 6
Jesus The Messiah Ministry Notss to the Financial Statements for the Year Ended 31 July 2024 l Accounting licieS Statenwit of eomplianee Thc financial statements have been preprnl in cOrdCe with the second dition of the Ch8Tities Statement of Recommended Practice in Octok 2019. the Fin8ncial Retx>rting Standard applicable in the United Kingdom and Republic of Ireland IFRS 102) and the Charities Ad 2011. Basls of preparntlon Jesus The Messiah Ministy meets the defmiticm of a public benefit entity under FRS 102. The accounts (financial statements) have been prepared under the historical cost convention with items recogjised at cost or transaction value unless otherwise ststed in the relev8Dt note(s) to the* accoun Golng ¢on¢ern The trustees consider that there are no material unL%lntIeS about the charity's ability to ¢ctinUe as a going on¢Th. In¢ome And endowments Voluntary incorne including donation4 th legacies and grants that provide eore funding or are of a general naiure is reeognised when the charity h&s entitlement to the Ixne. it is probable that the income will be ¢eived and the amount can be measured with wfficient reliabjlity. Donations hnd legaeies 8re recogmsed on a [C[Vable basis when teceipt is probable and the amount can be reliably measured. Expendlture All expenth'ture is recognised ortt the is a legal or ¢onstru¢tive oblig10 to that expenth'ttwe, it is probable settlement is qu]l and the amount can be rne&qed reliably. All cosL8 allocated to the applicabl¢ expenthture heading that a88re8ate similar costs to thal category. Where costs cannol be directly attribut to particular headin8s they have been all(Kated on a basis c4)nsistenl with the use of resourtts. with L%ntral staff costs allocated on the basis of time spenL and dqeCl8t1on charges allocated on the tIOn of the &t'S use. Other support L¥)sts are allated based on the of &aff a)sts. Raisingfund These are cosis incwTed in attracting voluntsry income. the management of inveslments and those incurred in trading activities thal Taise funds. Support ¢osts Support costs include centr81 functiffls and have been all(Kated to activity cost Categories on a basis Consistent WLth the use of resources. for example. allocatin8 property costs by floor area& or per Capi stsff o)sts by the time spent and other Lx)sts by thew usage. Govern4n¢e ¢osts Thes¢ inclu(k the costs attTibutable to the clwity's compliance with constitutional and statutory requirements, in¢ludmg autht. strategic man8gemart 8j trustees mectsngs and reitnFAwseAI rxp&)s Page 7
Jesus The Messiah Ministry Notes to the Financial Statements for the Year Ended 31 July 2024 (continued) Taxatlon The charity is consider&J to pa&$ the tests %t out in P8r8graph I Schedule 6 of the Finance Act 2010 and therefore it mects the defmition of a charitable wmpany for UK ¢on)oratton tax puryx)ses. Accordingly, the charity is potentially exempt from taxation respect of inc(¢ or capitsl gains received within categories covered by Chapter 3 Part I l of the CoTp)ration Tax Act 2010 or Se£ts'on 256 of the T&xation of Chargeable Gains Act 1992. to the extent that gJGh iDLX)me or gams are apphed ex¢lu8ivety to ¢haritsble PUTP)ses. Tanglble fixed a8setJ ]ndividual fixed assets costing £O.(K) or more are initially corded at cosL le&8 any subsequent accumulated depreciation and subscquenl accunLulated llnpamllent loss¢s. Depreelatlon and amortlut Depreciation is provided on tanble rd a&sets as to write off the cost or valuatioo less any estimated Tesidual value, ovff their ewted useful economic life as follows". Casb and eMb equlvaknts Cash and cash equivalents comprise cash on hand and Call deposit4 and other short-terni highly liquid invesiments thal are readily convertible to 8 known amount of cash and are sjbject to an insi8mficant risk of ch8nge in value. Borrowln£i Interest-bean'ng borrowings are initialty recorded at fair value, net of tr8ntion o)8ts. Interest-beann8 borrowmgs are subsequently ¢Ti at amortised cosl with the d]fferenL% between the pro, net of transaction costs, and the amount due on rajemption bein8 re£owd as a char8e to the Statement of Financial Activits'es over the Feri(KJ of the relevant botrowing. tnterest expense AS recogw8q on the basis of the effective interesi method and is includ in interest payable and sjmdar ¢harges. BorroTrin8s are cla&8ified &8 CUTrent liabilities unle&8 the charity bas an un(%)nditional ri8ht to defer xttlement of the liabih'ty for at least iwclvc months after thc rwting date. Fund strueture Unrestricted income funds are general fdS that are available for use at the trustees d1Ction in furtherance of the objectives of the charity. FIDandal In11ents clasSei0 Financial &8setS 8nd fmancial liabiliti are recowd when the charity becomes a paty to the contractual provisions of the instnllnent. Fin8ncial h'abilities and eqwty insttuments are classifieAI ac(y)rding to the gJbstanL% of the CA>ntractuai arrdngements entered into. An equity in8tnmient is any ¢ontract that evid(s a res1thl intffest in the assets of the chaTity after deductin8 all of its liabditscs. Page 8
Jesus Tbe Messiah Ministry Notes to the Financial Statements for the Year Ended 31 July 2024 (continued) All fu}cIal &ssets and liabilities are initialty measjral at transaction price (including transaction ¢osts), except for those fmallcial a clas8tfied as at fgir value through profit or 10&8. which are initially mwured at fair value (w.Ch is nornialty the transaction price excluding transaction costs). unle&s the arrangelllent constitutes a financing transaction. If an aAngement constitut¢s a fmancing transaction. the financi81 at or fmancial liability is Me&Sed at the present value of the firture payments dyJntI at a market rate of inter¢st for a similar debt instrumenL Financial assets and liabilities are onty off*t in the ststement of fll)ancial position whaL 8nd only when there ¢xists a legalty enforceable right to set off the amounts and the charity intsnds either to settle on a net basis. or to realise the a&set alld settle the hability simult8neousty. Financial assets are derecOgned when and only when a) the contractual rights to the c&th flows fn)m the financial asset expire or are settl¢& b) the chan'ty transfers to another party substsntially 811 of the risks and vards of OWnersp of the finan¢wl asseL or c) the Charity. dwite having retaineAI YA)DK. but not all. significant risks and rewar(ts of ownersbip, has transferrnl ntrol of th¢ a&%et to another party. Financial liabilitics are dcrewla onty the obli8ati(m specificd in the coThtrt is dIbarged. cancelled or expires. Page 9
Jesus The Messiah Ministry Notes to the Financial Statements tor the Year Ended" 31 July 2024 (continued) Debt lKftrunts D¢bt instruments which med the followmg conditions are subwuently measura] at amortised ¢st using the effective interest method: (a) The (xJntra¢tual return to the holder is (i) a amount", (li) a Fx)sitive fixed rate or a SitiVe Vlable rate. or (ill) a combination of a FKwtive or a negative f1 rnte and a wsitiv¢ vatiable rate. (b) The contract may provide for r¢payznents of the principal or th¢ return to the holder (but not Ix)th) to be linked to a single relevant observable index of general price mfiation of the c in which the debt instrument is denomin8te¢L provided wch links are not levera8e4L (c) The COntrt may provi& for a detrnlable variati of the return to the holder during the life of the instrument. provided that (i) the new rate satisfi&s co310n (a) and the variation is not Contingent on events other than (l) a change of a contractual vaTiable rate" (2) to protect the holder against clit deterioration of the isSL. (3) changes in levies applied by a central bank or lSing from changes in relevant taxation or law. or (li) the new rate is a market rate of interest and satileS ¢onth"tioD (a). (d) Ther¢ is no contractual provision that could. by its terni& result in the holder losing the principal 8mount or any interest attributable to the cutrent penod or prior peri¢yJ& (e) ContraGthal provisions that petmit the i&8uer to prepay a debt instrument or pern)it the holder to put it back to the issuer before maturity are not contingent on future events. other than to prot1 the holder agamst the credit deteri¢xation of the i&suer or a ¢hang¢ in control of the issuer. or to protect the holder or issuer against ch8nges in levies aM)lied by a central bank or arising fr( chaD8¢3 in rclev8nt t&xati(n or law. (D ContractU81 provisions mey t*rniit the extension of the terni of the debt instrument, provided th8t the retum to the holder and any other contractual provisions applicable during the extended tenn satisfy the nditionS of para8raphs (a) to (c). Debt instnllnents that are cla&8ifial payable or receivable within one year on initial reco8tion ond wkn'th meet the above conth'tions are Measu at the undiscount&l amount of the casb or other considerats'on expect to be paid or received, net of impairmenL With the exception of some hedn8 instruments. other debt i[truMents not meekn8 these conditions are me&8ured at fair value through profit or lo&s. Commitments to make and receive IoaDS which meet the conditions nntion &tx)vc are MeasUd at cost (which may be nil) le&8 impainnent. Investments in nonOnVertIble preference shares and non-puttable ordinary or prefetenL% shares (where th8ttS are publicly traded or their fair value is reliably me&gJrable) are meawr&l at fair value through profit or loss. Where fair value cannot be measured reliably, investmts are measuroj at ¢ost less impairnient. Investments in subsidiaries and 8&g)ciates are meawr&l at cost impainnent. For investmarts in subsith'8ri¢s acquired for considerntion includtng the issue of thares qUal]ll8 for merger relief. o)st is me&8ured by reference to the nommal value of the shares Ued plus fair value of other nsideratIon. Any prejnium 18 ignored. Page 10
Jesus The Messiah Ministry Notes to the Financial Statements for the YeAr Ended 31 July 2024 (continued) The charity uses deTiV8tive financial inslnunents to TlUC¢ exposure to forei exclwige risk 8nd intetEst rate movements. 'fhe charity does noi hold or issuc derivative ruw181 instivments for sulative pu4x)ses. Derivatives are initialty recogDisd * fair value at the date a derivative contract is entered into and are sub%equentty reme&sura] to their fair value at each reFIng date. The resulting gain or loss is rogniSed in statement of flllancial actsvities inunaiately ullI the derivatt've is designated md effectsve &s a heAl8ing instrument. in which event the timing of the re¢ogmtion in statement of fman¢1 adivities deF¢nds on the nature of the hedge relationship. The best evidence of fair value is a quthl price f an identscal &%*t in an actt've n)arket. When quoted prices are unavai18ble. the price of a recent tr8nsacti(n for an identi¢d a&Yet provides evidence of fair value as lon8 as there has not been a signJfi¢8nt change in economic circumstances or a SI)fICant 18pse of time sin¢¢ the transaction took place. If the market is not active and recent transactions of an identical &wt on th¢ir own ar¢ not a good estimate of fair value. the fair value is &stimafrd by a valuation technique. 2 Incon from donxtloni and lryxlel UDr¢gtrlcled fuDd8 General TotAI fund8 Donatilms 8nd le8aci¢s' Donations from inth'viduals Gift aid reclaimed 58,729 12.444 58.729 12,444 Total for 2024 71,173 71,173 Totll for 2023 79,734 79.734 3 Expendhure on r4lslnz fimds 8) Costs of tradlng aetfvltk$ Total fvnds General N(•te Costs of goods ld Totsl for 2024 2.836 2.836 2.836 2.836 Total for 2023 2.861 2.861 Pagell
jes The Messiah Ministry Notes to the Financial Statements for the Year Ended 31 July 2024 (continued") b) Investment nwiagennt costs iJnrestricted fuDdi Genernl TotAI fundi Note All(Kated support costs 1.140 1,140 Total for 2024 1.140 1,140 Total for 2023 1,140 TotAI 4 Eipendhure OD cbarltable a¢tlvttk• Unrtstrkted fun Genernl Total funds Note Governonce Sts 22.348 22,348 TO¢ for 2023 26.110 Total expendltu 5 Any118 of yvernAnce and support cojts Govern4nce eosts fuDd Gener81 Totsl Dd8 Depreciatson. amortisation and other simi18r costs Other govem8nGe $1S Total for 2024 138 22210 138 22210 22.348 22.348 Total for 2023 26.110 26.110 6 Net iD¢omiDgloutgoing resources Net incoming resourc for the year include". P88e 12
Jesus The Messiah Ministry Notes to the Financi Statements for the Year Ended 31 July 2024 (continued) 2024 2023 i)epreciation of red. a&8ets 138 185 7 Trn8teei remuneratlon and expeMeJ No tDJstees. >[ any PernS conn¢¢tal with th have e1Ved any Temullffatiffl from the ¢harity duTing the year. No trustees have receiv 8ny other benefits from the dwity duting the year. 8 Staff ¢osts The 888re8ate payroll co*8 were &8 follows.. 2024 2023 Stsff costs durlng the yearwere: Wages and sa)leS 43,741 44.053 Page 13
Jesus Tbe Messiah Ministry Notes to the Financial Statements for the Year Ended 31 July 2024 (continued) 9 Taxatk•n The charity is a r¢SterOI ¢h2rity and is therefore exanpt from taxatio 10 Tangible tsed Furniure and tqulpnxnt Total Colt At l Au8u 2023 13.449 13.449 At 31 July 2024 13.449 13.449 Depl*tIon At l August 2023 Charge for the year At 31 July 2024 12.894 138 12.894 138 13.032 13,032 Net book value At 31 July 2024 417 417 At 31 July 2023 555 555 11 Cwb and cuh equfvalents 2024 2023 Cash at bank 23.899 22.498 12 Credlton: amounts t1 due wlthln oue year 2024 2023 Other t8xation and 181 secunty Other creditors Accruals 531 1,140 1.140 656 1,140 2,811 2.656 13 Fun Balanee at I Augus¢ 2023 IDeonylng Balanee at 31 July 2024 esptnded Unrejtrieted funds Genal 20.397 71.173 70.(kn5 21.505 Page 14
Jesus Tbe Messiah Ministry Notes to the Financial" Ststements for the Year Ended 31 July 2024 (continued) ID¢omiDg Resour expended Balance at 31 July 2023 August 2022 Unre8trlcted GenLYal 14,827 79.734 4,164 20,397 14 AnAlyJli of nel a88ets between funds Unmtrkted funds GeDernl Totsl funds Vdt 31 July 2024 Tangible fed assets CunEnt assets turrent liabilities 417 23,899 2.811 417 23.899 2,811 Total net 8ssels 21.505 21.505 Unrestrkted funds Gener*1 Tot41 fiind$ at 31 July 2023 T8ngible fixed aSts Cunrnt assets Cunrnt liabilities 555 22.498 2.656 555 22.498 2.656 Total net &8SCts 20.397 20.397 15 Analy8lJ of net fund• At l Augu 2023 At 31 July 2024 Cash at bank and in hand 22.498 22.498 Net debt 22,498 At l Augwt 2022 22,498 At 31 July 2023 Cash at bank and in hand 15.935 15,935 Net debt 15.935 15,935 16 Rdated party Page 15
Jesus Tbe Messiah Ministry Statement ofwmancial ActsVIts by fund for the Year Ended 31 Jul"y 2024 Totsl Total Unrestricted Unrestrlctsd Funds FuDds 2024 2023 Income and Endowments from: Donations and legacies 71,173 79.734 Total income 79.734 Expendlture on: Rsing funds Charitable actsvities (47.717) 22.348 (48,054) 26,110 Total expenditure Net income 70.065 74.164 1.108 5.570 Net tnovement ID funds 1.108 5.570 RecoDcillatlon of fvDd# Totsl funds brought forward Total funds caTTied foTw8rd 20.397 14.827 21,505 This page d(S not forni part of the ststutLry fiDan¢ial statements. Page 16
Jesus The Messiah Ministry Detailed Statement orrlnancial Activrties for the Year Ended 31 July 2024 Totsl 2024 Total 2023 Income and Endoivments froDL' Dollations and legacies (analysa] below) Total income 71.1?3 79.734 71.173 79,734 EipeDdltur¢ on: Raising fimds (analysed below) Charitsble activities (analysfyl below) (47.717) 22.348 (48.054) 26.110 Total expenditure Net income 1.108 5,570 Net movement iti fimds 1,108 5.570 RDellIAtIon of fvndi Total funds brou8bt forward Total funds carried foTh¥ard 20,397 14,827 21.505 20.397 This pa8e does not forn) part of the Ststyl fL¢la1 statements. Pag¢ 17
Jesus The Messiah Ministry Detailed Ststement of Fmancial Actsvities for the Yr Ended 31 July 2014 (continued) Total 2023 Total 2024 Appeals and donations Gth Ala t&x teGlaim 58.729 12.444 71.173 65.623 14,111 79.734 Raisingfunds Wages and salsTie8 Staff pensions (DefmeAI contribution) . h¢e I Accountancy fees (43.741) (2,836) 1,140 (47.717) (44.053) (2.861) 1.140 (48.054 Ch4rit4ble ad1vleS Rent Health and safety Love ft$ Publicity I tffinting Repairs and ren¢wals Telephone and fax Office exp Licenc£ (x)pyrigbts of SL)ngs Motor expenses Missions exF¢nses Bank charges t)ewlation of fLXtures and fithngs (11.538) (11,484) (13) (319) (697) (37) (970) (193) (298) (1,858) (9.703) (353) 185 (456) (735) (27) (722) (384) (315) (1.993) (5,718) (322) 138 22.348 26.110 This page do¢s not forni part of the statytory fmancial sialements. Page 18
THE JESUS THE MESSIAH MtKISTRY TRUSTEES REPORT FROM 11 I AUGUST 2023 TO 31 JULY 2024 OBJECTIVES & ACTIVITIES: To advance the Kingdom of the Living God through the teaching and preaching the Gospel of love and salvation of our Lord and Savior Jesus ChrisL to all the peoples of the world regardless of race, colour, nationality and denomination. In order to advance the Christian faith according to the scriptures, we do different activities to reach out to the Filipino community fst and then to other nationalities. The following are the activities and services that we hold in our ministy: We hold our prayer meetings via Zoom every Tuesday evenings and our Bible study sessions also via Zoom every Friday evenings from 9.00-1 Ipm. Every Sunday we gather for our Sunday Worship service from 5:30-9:30pm We reach out to our home county in the Philippines by putting together Mission Projects like Feeding the Poor programs, giving away essential goods like canned food and clothing through sending care package boxes, funding Medical Missions and organizing Conferences. ACHIEVEMENTS AND PERFORMANCE: The following are the activities and achievement we were able to perfonn through the help of God and cooperation and continuous support of all voluntary leaders, workers and members of the JTM Ministy. Theme: 7 Be patienl therefore, brethren, unto the coming of the LoriL Behold, the husbandman waileth for Ihe preclousfr.£ of the earth, and haih long patience for it, until he receive Ihe early and latter raipL 8 Be ye also patienl,. stablish yow hearts."for the comi'ng of Ihe Lord draweth nigh. (James 5..74) JulylAugust 2023 - Mm Family Summer Camp, High Leigh Conference Centre, Lord Stree( H0ddeSdo Hertfordshire, ENI18SG, UK From Monday 30th July to Friday 3th August we had our Family Summer camp held at High Leigh Conference Centre. This was the fwst time after the pandemic that we were able to gather for our summer camp. This camp was attended by families from our church with the intention to encourage and equip our members to
serve the Lord according to their calling and abilities. This summer camp also strengthened community, fellowship, and unity among the attendees, reflecting the biblical characteristics of the Church. We conducted different activities for the equipping of all those who attended like seminars, prayer groups, peer group morning devotions, sport games and a special perforniance nighL October 2023 - Jfmm Braeknell and Slough Outreach Anniversary Thanksgiving Celebration On the Saturday 28th October we celebrated the anniversaries of our Bracknell and Slough Outreaches. Members of our London outreach came and supported this celebration. The Word of God was presented along with a variation of worship songs. and different special perfonnances were also rendered. We are grateful and thankful to God for His goodness and faithfulness to these outreaches November 2023 - Water Baptism On Sunday 19th November we had one member of the congregation who made the decision to be baptised in water. November 2023 - JTMM 18th Y&ar Thanksgiving Anniversary Celebration, Westbourne Park Baptist Churc14 Porchester Roa& W2 5DX, London On Sunday 28th November we joyfully celebrated our 18th anniversary as a church-a testament to God's unwavering goodness and faithfulness. Each of our ministries contributed a heartfelt presentation to mark this special milestone. The celebration opened with a beautiful pageanty number by our Music and Youth ministries. Our Music team lead the congregation in praise and worship to God and we received a powerful message by our Pastora who delivered the Word of God. Our Kids ministy followed with a lively song and dance, while the Dance ministy offered a worshipful tambourine performance. The Women's ministy shared a vibrant celebratory dance, and our Bracknell Outreach ministy also blessed us with a special dance number in honour of the occasion. We concluded the celebration with a joyful time of eating fellowship, grateful to God for His continued goodness and faithfulness in and through our church family. December 2023 - JTMM Christmas Service Celebration On Sunday 17th December we held our Christmas celebration service. Our Kids ministy presented a special Christmas dance number and our Music and Youth team rendered a special Christmas worship banner dance to celebrate the birth our Jesus. Our Bracknell outreach sang Filipino Christmas Carols to mark the occasion. We also held our Candle light ceremony as part of our service which represents Jesus being the light of this dark world. We held our Christmas exchange gift and our Pastors also gave away small gifts as a token of appreciation
to the members of the congregation. We ended the service with our eating fellowship where we all had Christhias dinner as a church family. January 2024 - Ongoing Sunday service every week as well as weekly prnyer meetings every Tuesday and weekly Bible studies every Friday via Zoom Febnw 2024- Jfmm True Hearts Day CelebrationlRenewal of vows On Sunday 18th February we held our True Hearts Day Celebration. OUT Children ministy presented a song and a spoken word segment. Our Pastors held a renewal of vows segment where one of our couples renewed their wedding vows to God with the congregation as their withess. That same couple presented a beautiful song number to God to seal their renewal of vows to the Lord and for our last special number we had a special solo song presentstion from one of our sisters in church. March 2024 - Jfmm Mother's Day Celebration On Sunday 10th March we celebrated Mother's Day as a church where we honoured all the Mothers in church and thanked God for their lives. We listened to a powerful message from our Pastora who delivered the Word of God. Our Kid's ministy sang a beautiful song and recited poems about their mothers and all the Mother's in our church rendered a special song number. After all the children in the congregation offered flowers and gifts to their mother's as our Pastors prayed over all the mothers. March 2024 - Palm Sunday Service On Sunday 24th March our Pastors preached a special message commemorating Jesus, triumphal enty into Jerusalem. March 2024 - JTMM Resurrection Sunday Celebration On Sunday 31 st March we celebrated one of the pinnacle of our faith as a Christian - the Resurrection of Jesus Christ. We &gng songs of praise and worship celebrating his resurrection and received a powerful and moving message from our Pastors further declaring that Jesus is alive and what that means for Christians. One of the members of our Kid's ministy sang a solo song declaring King Jesus is alive and rendered a spoken word presentation and our Music and youth team preforn]ed a short but powerful skit on the life and resurrection of Jesus. April 2024 - Ongoing Sunday service every week as well as weeHy prayer rneetings every Tuesday and weekly Bible studies every Friday via Zoom May 2024 - Pentecost Sunday
On Sunday 19 May our Pastors preached a special message commemorating the birth of the church which was the day of PentecosL There was a special altar call where the congregation came to the altar and were prnyed over by our Pastors. June 2024 - Tfmm Father's Day Celebrdtion We celebrnted Father's Day as a church where we had the opportunity to honour all the father's in the congregation. The Kid's honoured their father's by presenting a special song and saying what they were grateful for about their dads. After this all the father's in the congregation presented a song number and after our Pastors prayed over them, all the kids gave flowers and gifts to their dads. July 2024 - Ongoing Sunday service every week as well as weekly prayer meetings every Tuesday and weekly Bible studies every Friday via Zoom Every Tuesday evening, we held Zoom prnyer meetings from 9.00-1 Ipm. Every Friday evenin& we held Zoom Bible studies from 9.00-1 Ipm. Submitted by: EDEL RTO Z. MARQUEZ PASTORtrRUSTEE FOR AND ON BEHALF OF ALL JTMM TRUSTEES