THE LORDE CHOSEN CHARISIA4TIC
MPANY LIMITED BY GUARANTEE
AL MINISTRIE
Com
R Istration N mber
05578120
land
Wales
Cha
Num
1111927
Re rt of theTnrteg8 and Unaudited Flnancial Slatements
Perlod of Accou
End Oa
31
h 2024

THE LORD'S CHOSEN CHARISMATIC REvfvAL MINISTRIES
COMPANY LIMITED BY GUARANTEE
Contents of the Financial Statements
F r thg Porlod Ended 31 March 2024
CONTENTS
PAGE
M8M￿r￿ of the Board and PrirfeBsional advisara
Tntstw Annual Rgport
2&3
Raporta of th& Indgpondent oxamln
statem•nt of flnanclal a¢tlvit19S
Balance Sheet
Noto8 to the Flnanclal Statements
7t012

THE LORD.
CHOSEN CHARISMATIC REVIVAL MINISTRIES
COMPANY LIMITED BY GUARANTEE
the Boanl and P
ional
For tho P•riod Ended 31 March 2024
R•glstsred Gharity name
THE LORD'S CHOSEN
CHARISMATIC REVIVAL
MINISTRIES
Charity Numbor
C¢xnpany Raglstratlon Number
05678120 IErvJland and W4168)
Roglster•d Office
3 Herringham Road
Charlton
London
SE7 8NJ
8oard of Trutyte09
Pa8tor Lazarus Muok•
Mrs J¢)y Muoka
Ison Iweka Odunze
Charf•s G8orye Oforybu
Accountsnts
T. T . ACCOUNTANCY SERVICES
UNIT 19. NICE BUSINESS PARK
SYLVAN GROVE
LONDON
SE15 1PD
TEL 02039741266
Page 1

THEL
RD
CHOSEN CHARISMATIC REVIVAL MIN
COMPANY LIMITED BY GUARANTEE
Trustees Annual Re
For tho Period Endod 31 March 2024
The Tru$t¢es. who are also dITe(lO￿ for the purpose of etyYwany1ow, have
pleasure in presenting their report and the {Jnaudi￿ financial statwnènts of the
charity for the year ended 31 March 2024.
REFERENCE AND ADMINISTRATION DEfAILS
Reference and admini5tralion details are shown in the Schedu￿ of m8mbets of the
board and professional afviSe￿ on p8ge 1 of finsncial statem8nts.
TRUSTEES
The Trustse8 who garvad the charlty durfng tho pgriod were as follows:
P88tor Lazaru8 Muoka
Joy Muoka
Wilson Iweka O(Junze
Char￿$ George Ofoegbu
STRUCTURE, GOVERNANCE AND MANAGEMENT
The charity was incorporated as a company Iimrted by guaranloe on 29 September
2005 and is governed by an Arti¢le and fvkmorarKJum of Assocj'alion.
Appointment of Tru$lo8s w8r& initialty by recommendatKJn of the ekleTS of thg
Church and approved by the church mBrnt*rs. Athfttes organlsed In lurtheranca
of the objeGtives include regular Sunday churth 8er¥lw. rnlkJlou$ Conventions,
8emlnar8 and troining w0￿$hOp$.
OBJECTIVES AND ACTMTIES
The main objectives of the charity are the advancement of christr'an faith. the rell8f
of $i¢kness, poverty and the adv8ric*ment of educattin in acco￿anCe with
Christian prinopb$.
ACHIEVEMENTS AND PERFORPAANCE
The church started in 2CrtM as o f•lbwship of • f•w people vtho m8t at the home of the
members. The number grew and soon rented a p￿rnIseS for the Sunday Servi￿$.
To the glory of God. the church has now established and is growing stronger in tho
Lord with manrfeslalion of God's mirack on her n*n*)ers and everyone who ￿rneS
into contact with God of Chosen. The church has been Incorporat￿ as a company
limited by guarantee and obtained a charitable status.
Page 2

E LORD.
CHOSEN CHARISMATIC
MPANY LIMITED BY GUARANTEE
TTUStees Annual Ro
For the Perlod Endod 31 March 2024
RESPONSIBILITIES OF THE TRUSTEES
The Trustees Iwho are aL80 the directors ofthe Lord's Chosen CharisnHtic RevNal
Ministries for the purpose of comp8ny lawl, a￿ responsible for preparing the Tfustee5
Annual Report and thg Fin8ncial Statement in accordance wth aPpI￿able law and
United Kingdorn Ac£ounting Standards (United Kingdom Generalty A(xeOab
A¢￿UntIng PraGtiGg).
Company law requires the Trustees to prepare Finanu81 Statement Wh￿ give true
and fair view of the state of affairs of the Charitab￿ company and of the incoming and
appIl￿ble of resources, induding the In￿Me and expendiiures of the tharitable
company for thal period.
In Preparing these Financol Statemerts. the Tfustees are requwed to..
Select suitable accounting policies and 8ppty Ihern ¢ionsistentty'.
Observo th• methods and principles in the ¢harit008 SORP,.
Make judgments and ostimates that are reasonable and prLKlent'.
Prepar¢ the finanual ststsments on a going con￿rn basls it ig inappropriate
lo assum8 that the Charty will contwiue in operation.
Tho Trustees are regponsibl8 for keeping proFer o¢Gounting r￿)rdS that dlsclose wilh
re8sonable accuracy at any time the finanryal powtion of the tharty eryny and
8nsure that the Financial State￿￿nI compty with the Comp8ny Act and Charitab
Act 1993. The trustee5 are also responsible for safeguarding assets of the charity and
henc6 taking rgasonable Steps for the prevention and detection of fraud and other irregularrt*8.
ACCOUNTANTS
A resolution to appoint T T Accountsncy Servw as Accountants for the
ensuring year will bè proposed at the Annu81 Gener41 Nknlin9.
CHARLES GEORGE OFOEGBU
WILSON IWEKA ODUNZE
Autori$gd Slgnatories
Pago 3

THE LO
D'S CHOSEN CHARISAIATIC R
COMPANY LIMITED BY GUARANTEE
Re
rts ofthe indg
ndent examiner
For the Perlod Ended 31 IAirch 2024
I report on the accounts of the tharty for the ￿ar ended 31 March 2024 s& oui on
pages6to11
RESPECTIVE RESPONSIBILITIES OF TRUSTEES AND INDEPENDENT EXAM114ER
As the charitys Iiustees you are iesponsible for the preparation of the acccounts, you
cOnS￿eT that the audit rgquirgmenl of section 43{2) of the Charitie5 A(* 1993 (the Act), as
amended by $.28 of the Chariti8s Act 2006 does not apply. It is my res[KJnS￿lIIty to."
examine accounts u￿1 sectKJn 43 of the Act as alr￿nded. to follow procedures
spe¢*fied in the General Directions grven by the Challty CommiSs￿nerS utwjer
sedion 43171{bl of the ArA as amended. and to state wheter particular matters have
to my attention.
BASIS OF INDEPENDENT EXAMINER'S STATEMENT
My examination was carr*d out in accordance with the General Direct￿nS given by
the Charrties Commissioners. An examinab.on includes a revw of the aecounting
records kept by tha charity and in ¢orrYris￿n of the accounts Prasent￿ wrth those
records. 11 also include8 considerat￿n of any unusual items or dthures in the
accounts, and seeking exp18natK)ns fr¢)m you as trustees concerning any $u¢h mattw5.
The procedures undertaken do not prov•Je all the evKlenc* that would be rg4uired in
an audit, and consequentty I do not express an audit opinion on the view gNen by the
aGcounts.
INDEPENDENT EXAMINER'S STATEMENT
In connection wf(h my examinat￿n, no motter has corrn to my attentlon..
11 whth gThi8s me reasonabkg caus• to bolwe that in any matèrial the
requlrements..
+ to keep accounting iecords in accordance whh sedion 41 of the ACL and
• to p￿pare accounts which accord wrth the ac£ounting records and to ￿Mpty with
the accountin9 requirerrEnl¥ of the Att have not Ixen mel, or
2) to whlch, in ry opinion, atsTrt￿n shoukl be drawn in order to enable a proper
unders
unts to be re
THOMA
AT
Accountant
r. T. ACCOUNTANCY SERVICES
UNIT 19, NICE BUSINESS PARK
1945 SYLVAN GROVE
LONDON
SE15 1PD
Page 4

THE LORD% CHOSEN CHARI
MATIC REVIVAL MINISTRI
COMPANY LIMrrED BY GUARA
Statemgnt of Financlal Activiti
Incor
oratin
the income and ex
r ended 31 March 2024
ndi
Unrestriwf
Funds
2024
Unrestrfcted
unds
2023
INCOMING RESOURCES
NOTES
Incoming resour￿ from generating funds
Voluntary Income
Other incomè resources
Investmènt incw
TOTAL INCOMING RESOURCES
292,491
541
42
382.630
292,533
382.630
292,533
RESOURCES EXPENDED
Charitable a¢tivf(ies
Governance costs
TOTAL RESOURCES EXPENDED
285,808
6.323
292.131
247,646
5,325
252,971
NET INCOMING {OR OUTGOING)
RESOURCES FOR THE YEAR
90,499
39,562
Tot81 funds brought I0￿3rd (plusldefiut)
39.662
39,433
Totslfunds carrledfoTh￿Td
130.061
78,995
The St8tementofFlnancl•lActlvltles Include allgakns andloss•sln Ih•yearand
therelore astatementoffvfalr•cognlzedgalnsandlosses has notbeenprnparnd.
All of theaboveamounts rnlate to contlnuthgactlvltles
The notes onpagès 7t0 10f0￿part0tIhese Ilnanclal$tatenwnts.

THE LORD'S CHOSEN CHARISMATIC R
COMPANY LIMITED B
GUARANTEE
Balance sheet as at 31
L MINISTRIE
h 2024
2024
2023
NOTES
FIXED ASSErs
Tangibl8 assests
Total Fixed Assets
13.989
13,989
13,724
13,724
CURRENT ASSETS
Debtors and Prepayments
Cash al bank and in hand
Total Curr•nt Assets
10
li
138.373
138.373
66.021
66,021
CREDITORS
Amount falling due within a year
Nel current assets
750
750
137,623
151,612
65,271
78,995
FUNDS
Unreslrictad income￿IabIlItY funds
TOTAL FUNDS
1S1.612
151,612
78.995
78.995
For thg year8nd￿ 31st March 2024 Ihe company w8$ 8nbW to exempt￿ from autht
unders8Ctwi 4T7 of the comp8nbs Act 2QJ6.
The members have notrequffed th8 comp8ny lo obtsin an S￿lit iii &xx)rdm ￿th
section 476 ofthe compan￿8 Act 2006.
The cllrnctorfs acknowbdge thglr responslbHty for L?)mpl￿￿ wtth the r8quTrments ol
th8 Act ￿t￿ respect to 8¢coun&ng records and forlhe preparnt1￿ ofaccounts.
These 8ccounts have been prnp8rnd in aGcord8nce ￿1th the wovisions arvlioble to
companies subi8cl lo sm811 con7panies regime and fft accord8rKe I￿1 the Flnanoal
Re&￿rtIng Standanl for SM8lbrEnlrt￿s (Effethe 2lL￿).
The notes on pages 7 to 10 bmi part oflhese fin8nd81 $18tenwits.
Tre Financ￿1 St•ten7ents was 8pproved by th& 808nlofDirnGtss on Ihe 301h January 2025
SIGNED ON BEHALF OF THE BOARD BY:
CHARLES GEORGE OFOEGBU
WILSON IWEKA ODUNZE
Authorlsed slgnatories
Pago 6

THE LORD'S CHOSEN CHARISMATIC
MPANY LIMITED BY GUAIiANTEE
Notes to the Financial
tements
Year End
1 March 2024
AL MINISTRIES
1 A¢counting pollcles
The pnncipal accounting policies arn $ummarised bel(Ml. The accounting policies
have been applEd consistentty throughout the ￿ar and thè preceding year.
1.1 Basis ol prnparatlon of accounts
These accounts have been prepared under the hislofical ¢*St basis convention 8nd in
aCcOrd8n￿ with applicab￿ United ￿ngdOM Accounting Standards the state￿nI of
RecL)mnknded PraCti￿"A(￿oUrtkn.ng and Repoiting by thantEs' wued n March
2005 {SORP) and the Company Ad 21M.
1.2 Incomlng r•soureas
All incoming resources are inctuded in the statsTh￿nt of financial ac*vths vthen th8
charity is entitlgd to the income and th& amount can be qUantif￿d with oasonab
accuracy. The folltr•ving swofic Pol￿ ar6 appl￿d to partiC￿l8r ealegoms of inoym..
Voluntary In￿rne 18 receiied by way of grants, donations and grts and is induded in
full in the statement of finanaal actNrtw when r￿l¥able. Grants where entsuernnt
Is not cond6tional on the d81ivery of a Spear￿ perfOrn￿n￿ by the ¢hanty, are
recogni88d the charity becomes uncondit*)nalty enliiled to the grant.
Donated seNiCaS and f#eilrties are induded at the value to the charity wthere this can
e quanlffied. The value of servKes prov￿ed by volunteers has not been included.
Gffts donated for rosale are Induded a$ ific¢)ming rosourcm wilhin athitw for
generating fund¥ when they are SOKI.
Income from Invesknènts 15 induded in the in which it is receivab￿.
1.3 Resour¢o8 EX￿nded
ExpenditL¢re is recognised on an accrual basis as a liabilty is incurred. Expendlture
includes any VAT whieh cannot be fvlty recovered. and ￿ rap)rt•d as part of
the expendrture to which it r•lates.
Costs of g8n8r8bng fvnds comprise the créts wih atlrath"wA Nduntsry
Charilauè •xptyidibJre comprises oflkna LY* by the c*anty in th• dlr¥*ry
of its acbvities and SWW￿for ts L￿nef￿1￿. li fA>sts Ihat b&
alk)cat8d dir• to such 8etMIM ar¥J Ilwe of8n irMl*ed [￿lu￿ r￿Bary
10 SUFl￿t Ihem.
Page 7

THE LORD'S CHOSEN CHARI
MATIC REVIVAL
COMPANY LIMITED BY
UARANTEE
tes to the Financial Statements
Y•ar En
ed 31 Idarch
ISTRIES
1.4 Tanglbl• Ilx8d ￿sets and d•w8clknn
over its expected useful lifa 8$ folcth&"
Fixture, fittings and equiwi•nt
Ve￿￿
25%
25%
I￿ In￿tMentS
Currnnt 8Stst irN881ments *• st IhB of cogt ￿ ngt ro91ffjth val￿.
Page 8

THE LORD'S CHOSEN CHARI
MATIC REVIVA
COMPANY LIM
TED BY GUARANTEE
o the Financial Ststements
Continued
Year Ended 31 March 2
INISTRIES
2 VOLUNTARY INCOME
Unre#rfcted
Funds
2024
Funds
2023
Donations
382,089
292.491
382.089
292,491
3 OTHER INCOME RESOURCES UnrMtrlct•d
Funds
2024
Unrnstricled
funds
2023
Other materiais
4 INVESTMENT INCOME
Total
Funds
2024
Total
fund8
2023
Bank Intorost Rocelvabl•
541
42
Page 9

THE LORD'S CHOSEN CHARI
MATIC REVNAL
COMPAKY LIMITED BY GUARANTEE
Notes to
flnanclal Statem
ofthein
JSTRIES
5 COSTS OF CHARITABLE ACTIVITIES BY ACTivFfY TYPE
Unrestricted
Funds
2023
FurKIs
2024
Rent and Rate5
charitab￿ DonalionlHonorarium
Hosprtaltymelfare to morrthrB
Transport and Travelling
Hotel and Accomodation
AdvertiSen￿nI & PromtionTrAi¥sion
Molof Expenses
Tèlephone & Computer IT
Insur8nce & Council tsx others
Utilty and others
L wjhl, Gas and Heats'ng
Pfinbng , Postage and stat￿ne￿3
Equipmant expensed
Subsistence
Repairs & Malntsnanco
Professional Fees
Piotedive dothing
8ank Charges
Other Expenses
64.424
43.130
65,628
24,281
17.777
11.
67,853
23,582
53.744
47,460
10,727
5,815
668
761
1,035
1,325
7,973
2,997
2.655
12.247
3,326
10.176
30.Y34
850
597
642
5.639
247,646
285,808
8 GOVERNANCE COSTS
Unrestricted
Funds
Total
2024
2023
Accountancy Fees
Legal and Professional Fees
Interest payable
Depreciation
Totsi
750
750
3.377
4127
6,323
7 NET INCOMEI(oiTfGOING) RESOURCES FOR THE YEAR
2023
Thls is stated after charging
39,562
Pagg 10

THE LORD'S CHOSEN C
ARFSMATIC REIfflIAL MINISTRIE
COMPANY LIMITED BY GUARANTEE
estot
Fi
temen
Co
l March 2024
rEnd
8 STAFF COSTS AND EMOLUMENTS
2024
2023
Total staff costs were asfollows
Wages and salaries & social security costs
Particularof employees
The average number of empw duringtheyearcaicuiated on the basis ol
Il-time equivalent was nilduringthe year.
No employee received emolument of mO￿than £60,000 duringthe period
9 TANGIBLE FIXED ASSETS
Equlyment Moiorvehlc
FutrifLi&f< a
FlttEngs Total
COST
As at 01.04.2023
Additons
6,370
13.724
4.929
18,653
4,929
11,584
6.370
Deprecatlon
As at 01.04.23
Chargetor the year
As at 31.03.24
Net Book Value
At 31.03.24
1,593
175
2,896
524
8.688
13,989
As at 01.04.23
370
10 DEBTORS
2024
Amount8 oN%*d by group undertakings
and undertaking in which the chartty
has a parts'cipaling Niterest
other debtors
Page 11

THE LORDS CHOSEN CHARISMATIC REVIVAL MINISTRIES
LIMITED BY
UARANTEE
' ¥CIAL STATEMENTS
ial Statements
Continued
Contents of
11 CASH AT BANK AND IN HAND
2024
HSBC a'fr31397087
HSBC a'fr31397095
HSBC a'c-91521519
HSBC Manchester
Cash in Hand
13.403
59.435
58.687
138.373
12 CREDITORS: Amount lalllng T*lthln a y
2v24
Bank Loan and Ovordrafts
A¢¢rual
Creditors
750
750
13 UNRESTRICTED INCOME FUNDS
Bal at
Incorning Outgolng
0110412023 Ro8ourc•• Resour¢
At 31 Mar
2024
39.562 382,630
292.131
130.061
Unrestricted lunds are used forthe dayto day runnlng of the
Iiarily opeidlion.
14 ANALYSIS OF NEf ASSETS BETWEEN FUNDS
Tanglble
Flxed assets
Not curr•rt Totsl
13.989
750-
13239
IS COMPANY LIMITED BY GUARANTEE
The company i8 Ilmited bv ouarantee and therefore has no sharè eapital.
Every member undertakès to eontribute such amount as may be required
but not exceeding £10 to assets of the ctxnpany in the event of a wnding up.
Page 12