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2022-04-18-accounts

Registered Charity Number 1124518

RESURRECTION POWER AND LIVING BREAD MINISTRIES INTERNATIONAL- EDGWARE

Report and Accounts

18 April 2022

RESURRECTION POWER AND LIVING BREAD MINISTRIES INTL - EDGWARE Report and accounts Contents

Page
Charity information 1
Trustees' report 2
Statement of Trustees' Responsibilities 7
Accountants' report 8
Statement of Financial Activities 9
Balance sheet 11
Notes to the accounts 12

RESURRECTION POWER AND LIVING BREAD MINISTRIES INTL - EDGWARE Company Information

Board Of Trustees

Rt Rev Akwasi Asare Bediako Rev Richard Owusu Mr Daniel Kobina Buckman Mr Eric Boakye Agyemang

Accountants

Arthur Godsons & Associates Chartered Certified Accountants. Hayes Middlesex UB4 8QY

Bankers

HSBC P O Box 27 101-103 Station Road Edgware Middlesex HA8 7JJ

Registered office

960 CAPABILITY GREEN LUTON LU1 3PE

Registered number 1124518

1

RESURRECTION POWER AND LIVING BREAD MINISTRIES INTL - EDGWARE The report of the trustees

The trustees present their report and accounts for the year ended 18 April 2022

Name, registered office and constitution of the charity

The full name of the charity is Resurrection Power and Living Bread Ministries International, Edgware.

The charity was formed as an unincorporated charity.

Its registered charity number is : 1124518

The registered office is : 960 Capability Green, Luton, LU1 3PE

The telephone number is : 2088481050

The Objects of the Charity and how it is attempting to achieve the objectives

The Edgware branch of the Resurrection Power and Living Bread Ministries International

is committed to enabling as many people as possible as possible, come to the knowledge of the gospel of Jesus Christ and consequently apply their knowledge of the ways and principles of Christ in all areas of their lives; including their spiritual, physical and emotional wellbeing asd part of the community.

OBJECTIVES AND ACHIEVEMENTS

Resurrection Power and Living Bread Ministries International (REPLIB) maintains an overview of prayer and worship throughout our services and focus on suggestions as to how our services can involve the various groups and societies that live within the church community. We put faith into practice through the study of scripture, prayer, and music. The principal activity we carry out is holding services. With the assistance of the ministers and deacons, we hold a variety of services during the week and on weekends all year round to meet the needs of all, ensuring that all members; both young and old benefit from our range of services; which are normally held using two languages of which English is additional. We are keen to provide a very intimate and reflective environment for worship in all our branches and provide the opportunities for people to engage in more outgoing worship such as that provided on our live social media pages including that provided for the youth in our branches. Beyond these examples and activities, the pastors and ministers engage daily with the congregation e.g., when visiting people who are sick or in hospital, when counselling those experiencing pain, loss hardship, or other difficulties, when leading bereavement support groups and ministering to the home bound. The COVID 19 pandemic, brought a shift in the way we normally carry out our activities.

All our services had to move fully online for the greater part of the year, and no one could meet the other in person. Though it has been particularly challenging we continued to engage in online services for both services i.e., English and vernacular for our children,

youth, and adult.

We continue to face challenges from the impact of COVID 19 from the time government

2

allowed churches to open. Our meeting place was still closed by our landlord due to renovations and this made it difficult for our members to return to services when we eventually started meeting in July 2021

Our services have however continued though numbers are low and we continue to meet the needs of our members in our weekly meetings

Children`s Ministry

Our children's ministry creates the environment for the children to openly acknowledge the Love of God for them and learn to live by the principles of Christ. Every Sunday service, they study the Word of God and praise and worship Him. We also entreat them to live good Christian manners and behaviour as our Lord Jesus Christ said, allow the Children to come unto me for such are the kingdom of God. The Bible also commands us in Proverbs 22:6 to teach the children the way they should go and when they grow they would not depart from it. Currently we encourage them to learn hard at school and home and not to be lazy in petty household chores. The children's department launched their own music team (Living Voices), and they have grown from strength to strength ministering in songs in church. This has encouraged the children to build in confidence and realise their talents positively. Food and snacks are provided for them every Sunday.

As well as regular services, we enable our community to celebrate and thank God at the milestones of the journey through life. Through child dedications we thank God for the gift of

life, in marriage public vows are exchanged with God's blessings and through funeral services friends and family express their grief and give thanks for the life which is now complete in this world and to commend the departed soul into God's keeping. We have celebrated 5

child dedications and supported the people in our church community who lost loved ones in their family.

THE PRAYER TOWER GROUP

The Prayer Tower is doing tremendously well. This is indeed the spiritual powerhouse of the church. The members meet on Saturdays to pray and intercede for the church and the nation.

MUSIC DEPARTMENT

The music team has improved in numbers and spiritual strength. They meet every two weeks to practice songs and pray to strengthen the team; this has reflected well in worship during church services and meetings. The music team also organised the church's first carols' night, it was phenomenal and exciting. It brought the children and adults together, and we plan to continue this every year.

WELFARE DEPARTMENT

The welfare department is entrusted with the general well being of the members and beyond. They visit hospitals and organise weddings, funerals, games as well as sporting activities. The welfare department was able to visit all new mothers at their respective homes and at hospitals; they also supported members who were in difficult situations as a result of the current recessionary climate in UK.

VOLUNTEERS

3

We would like to thank all the volunteers who work so hard to make our church the lively and vibrant community it is, and all the other members of Resurrection power and Living Bread Ministries International Edgware Branch for their valuable contribution to our ministry and for keeping the church running.

Specific changes in fixed assets

Changes in fixed assets are shown in detail in the notes to the accounts. There were no acquisitions of equipments.

Availability and adequacy of assets of each of the funds

The Board of Trustees is satisfied that the Charity's assets are available and adequate to fulfil its obligations.

Policies on reserves, investment policies and investment performance

The trustees have resolved to establish reserves policy of maintaining unrestricted funds - free reserves of the Charity at a level which equates to approximately 5% of the anticipated expenditure for the following year.

Effectiveness of fundraising policies

The charity relies on grant aid from the donors identified in the accounts , whose support is valued. There have been no major other fundraising activities.

Some financials and reserves

Total incoming funds for the year amounted to £94,613

and the total expenditure also amounted to £103,190 leaving a net deficit of £8,577. Total Funds (both Restricted and Unrestricted) as at the end of the year stood at £173,304. The Trustees have put in place measures to counter any reoccurrence of the deficit in the future. All none essential expenditures are to be cut off and the members are being encouraged to support the work of the Charity as much as they are able.

The Charity's grant making policies

This is not applicable to activities of the charity as no grants are made.

4

The major risks to which the charity is exposed and reviews and systems to mitigate risks

The trustees identify the major risks to which the charity is exposed each financial year when preparing and updating a strategic plan, in particular those related to the operations and finances of the charity. The trustees then review any major risks which have been identified, and establish systems to mitigate those risks. The charity is satisfied that the systems are in place to mitigate their Legal Status exposure to the major risks which have been so identified and reviewed.

1. Financial

The charity is open to the usual financial risks of any organisation, and the charity has introduced controls to minimise these risks, such as two signatures being required for payments from the bank account. In addition, the accounts are regularly explained to members of the charity and are open The members of the Board of Trustees of the Charity during the year ended for member's inspection at any time. 18th April 2012

2. Other

Work with children and vulnerable adults is open to risks . The policy is that client's visits and counselling is done in pairs, as is children's' work.

New workers and volunteers are vetted and any problems discussed .

Legal Status

The charity is an unincorporated charity governed by a written constitution adopted by its members. There are no restrictions in the governing document on the operation of the charity or on its investment powers , other than those imposed by general charity law.

The members of the Board of Trustees of the Charity during the year ended 18th April 2020 were:-

Rt Rev Akwasi Asare Bediako

Rev Richard Owusu Mr Daniel Kobina Buckman Mr Eric Boakye Agyemang

The members of the Board of Trustees of the Charity at the date the report and

accounts were approved were:- (As above) R

Bankers

HSBC

P O Box 27 101-103 Station Road Edgware Middlesex HA8 7JJ

5

Auditors and details of their qualifications

Francis Arthur FCCA MSc MBA, Arthur Godsons & Associates Chartered Certified Accountants 126 Fairholme Crescent Hayes Middlesex UB4 8QY

6

Statement of Trustees' Responsibilities

Law applicable to charities in England & Wales requires the Board of trustees to prepare financial statements for each financial year which give a true and fair view of the charity's financial activities during the year and of its financial position at the end of the financial year In preparing those financial statements giving a true and fair view, the Board of trustees should follow best practice and :-

The trustees are also responsible for keeping proper accounting records which disclose with reasonable accuracy the financial position of the charity and which enable them to ascertain the financial position of the charity and enable them to ensure that the financial statements comply with the requirements of applicable law and regulations. They are also responsible for safeguarding the assets of the charity and hence for taking reasonable steps for the prevention and detection of fraud and other irregularities.

This report was approved by the board of trustees on 2 February 2023

Signed

Rev. Richard Owusu Mr Daniel K. Buckman Senior Pastor

Board of Trustees

7

RESURRECTION POWER AND LIVING BREAD MINISTRIES INTL - EDGWARE

Independent Examiner's Report to Trustees of Ressurrection Power and Living Bread Ministries Intl

I report on the accounts of the Trust for the year ended 18/04/2022.

Respective responsibilities of trustees and examiner

The charity’s trustees are responsible for the preparation of the accounts. The charity’s trustees consider that an audit is not required for this year under section 144(2) of the Charities Act 2011 (the 2011Act) and that an independent examination is needed.

It is my responsibility to:

examine the accounts under section 145 of the 2011 Act

• to follow the procedures laid down in the general Directions given by the commission under section 145 (5) (b) of the 2011 Act

• to state whether particular matters have come to my attention

Basis of independent examiner’s report

My examination was carried out in accordance with the general Directions given by the Charity Basis of opinion Commission. An examination includes a review of the accounting records kept by the charity and comparison of the accounts presented with those records. It also includes consideration of any unusual items or disclosures in the accounts, and seeking explanations from you as trustees concerning any such matters. The procedures undertaken do not provide all the evidence that would be required in an audit and consequently no opinion is given as to whether the accounts present a true and fair view and the report is limited to those matters set out in the next state- ment.

Independent examiner’s statement

In connection with my examination, no matter has come to my attention: (1) which gives me reasonable cause to believe that in any material respect the requirements: • to keep accounting records in accordance with section 130 of the 2011 Act and to prepare accounts which accord with the accounting Independent Examiner's Statement, report and opinion records and comply with the accounting requirements of the 2011 Act have not been met or (2) to which, in my opinion, attention should be drawn in order to enable a proper understanding of the accounts to be reached.

Francis Arthur FCCA MSc MBA, Arthur Godsons & Associates Chartered Certified Accountants 2 February 2023

8

RESURRECTION POWER AND LIVING BREAD MINISTRIES INTL - EDGWARE Statement of Financial Activities for the year ended 18 April 2022

Notes
Incoming Resources
Revenue grants,legacies & donations
Total Incoming Resources
Net Incoming Resources available for
charitable applications
Costs of generating voluntary income
Governance
Total Resources expended
Net Incoming Resources before
Transfers
Gross Transfers between funds :-
Net Incoming Resources before revaluations
and investment asset disposals
Net Movement in funds
Total funds brought forward
Additional Funds
Total funds carried forward
Unrestricted
Restricted
Total
Funds
Funds
Funds
2022
2022
2022
£
£
£
94,613
-
94,613
94,613
-
94,613
Prior Period
Total Funds
2021
£
56,886
56,886
94,613
-
94,613
-
56,886
100,097
-
100,097
3,093
-
3,093
39,855
5,707
103,190
-
103,190
-
45,562
(8,577)
-
(8,577)
-
-
-
-
11,324
-
(8,577)
-
(8,577)
-
11,324
(8,577)
-
(8,577)
-
176,825
5,056
181,881
0
0
0
11,324
170,557
0
168,248
5,056
173,304
-
181,881

The net movement in funds referred to above is the net incoming resources as defined in the Statement of Recommended Practice for Accounting and Reporting issued by the Charity Commissioners for England & Wales and is reconciled to the total funds as shown in the Balance Sheet on page 13 as required by the said Statement.

All activities derive from continuing operations.

The notes and schedule to the Statement of Financial Activities on pages 12 to 19 form an integral part of these accounts

9

RESURRECTION POWER AND LIVING BREAD MINISTRIES INTL - EDGWARE Statement of Financial Activities for the year ended 18 April 2022

Statement of Total Recognised Gains and Losses for the year ended 18 April 2022

Statement of Total Recognised Gains and Losses
for the year ended 18 April 2022
Excess of income over expenditure before realisation of assets
Net Movement in funds before taxation
2022
2021
(8,577)
11,324
(8,577)
11,324

There were no recognised gains or losses for the year or the prior year that are not included above,except for the transfer to fund for fixed assets shown.

Movements in revenue and capital funds for the year ended 18 April 2022

Revenue accumulated fund Revenue accumulated fund Unrestricted Restricted Total Last year
Funds Funds Funds Total Funds
2022 2022 2022 2021
£ £ £ £
Accumulated fund brought forward 176,825 5,056 181,881 170,557
Recognised gains and losses (8,577) - (8,577) 11,324
168,248 5,056 173,304 181,881
Additional Funds - - - -
Closing Accumulated fund 168,248 5,056 173,304 181,881
Summary of funds Designated Unrestricted Restricted Total Last year
Funds Funds Funds Funds Total Funds
2022 2022 2022 2022 2021
Revenue funds - 168,248 5,056 173,304 181,881
Total funds - 168,248 5,056 173,304 181,881

The statement of changes in resources applied for fixed assets for Charity use is shown in the notes to the accounts

The notes and schedule to the Statement of Financial Activities on pages 12 to 19 form an integral part of these accounts

10

RESURRECTION POWER AND LIVING BREAD MINISTRIES INTL - EDGWARE Balance Sheet as at 18 April 2022

Notes
Fixed assets
9
Current assets
Satellite churches -Current
investment
Debtors
10
Cash at bank and in hand
Creditors:
amounts due within one year
11
Net current assets
Net assets
satellite
Capital and reserves
Unrestricted revenue reserves
Resources freely available
Restricted revenue reserves
Accumulated Funds
2022
6,829
85,145
27,563
56,067
168,775
(2,300)
166,475
173,304
168,248
168,248
5,056
173,304
2021
7,787
86,660
18,300
69,934
174,894
(800)
174,094
181,881
176,825
176,825
5,056
181,881
2021
7,787
86,660
18,300
69,934
174,894
(800)
174,094
181,881
176,825
176,825
5,056
181,881
181,881
176,825
176,825
5,056
181,881

The Board of Trustees acknowledge their responsibility for ensuring the organisation keeps proper accounting records in accordance with the requirements of the Charities Act 2011 as more fully set out under Trustees` Responsiblities in the Report of the Trustees.

Rev. Richard Owusu Mr. Daniel K. Buckman Senior Pastor

Approved for signature by the Board of Trustees on 2 February 2023

The notes and schedule to the Statement of Financial Activities on pages 12 to 19 form an integral part of these accounts

11

RESURRECTION POWER AND LIVING BREAD MINISTRIES INTL - EDGWARE Notes to the Accounts for the year ended 18 April 2022

1 Accounting policies

Accounts preparation

The financial statements have been prepared in accordance with the Charities Act 2011 and with the Financial Reporting Standards for Smaller Entities and applicable accounting standards, effective April 2008, as modified by the Statement of Recommended Practice for Accounting and Reporting issued by the Charity Commissioners for England & Wales,effective April 2007, adapted to meet the needs of unincorporated organisations.

The organisation has taken advantage of the exemption in Financial Reporting Standard No 1 from the requirement to produce a cash flow statement.

The charity is entirely dependent on continuing grant aid and as a consequence the going concern basis is also dependent on the continuing grant aid.

The particular accounting policies adopted are set out below.

Accounting convention

The financial statements are prepared, on a going concern basis, under the historical cost convention as modified by the revaluation of freehold land and buildings and fixed asset investments

Incoming Resources

Incoming resources are accounted for on a receivable basis deferred as described below where appropriate. Rental income is included in the income and expenditure account net of collection charges on a receivable basis.

Investment Income

Bank interest is included in the income and expenditure account on a receivable basis.

Deferred Income

In accordance with the Statement of Recommended Practice for Accounting and Reporting issued by the Charity Commissioners for England & Wales grants received in advance and specified by the donor as relating to specific accounting periods or alternatively which are subject to conditions which are still to be met are deferred on an accruals basis to the period to which they relate. Such deferrals are shown in the notes to the accounts and the sums involved are included as creditors in the accounts.

Recognition of Liabilities

Liabilities are recognised on the accruals basis in accordance with normal accounting principles, modified where necessary in accordance with the guidance given in the Statement of Recommended Practice for Accounting and Reporting issued by the Charity Commissioners for England & Wales .

Charitable expenditure

Charitable expenditure includes all expenditure directly related to the objects of the charity and comprises the following :-

A ti iti i f th f th h it ' bj ti

12

RESURRECTION POWER AND LIVING BREAD MINISTRIES INTL - EDGWARE Notes to the Accounts for the year ended 18 April 2022

Activities in furtherance of the charity's objectives

The costs of activities in furtherance of the charity's objectives represents the cost of goods and services and ancillary trading costs that have been incurred in charitable activities.

Support costs of activities

Support costs of activities for charitable purposes comprises the salary costs of the Manager and the Associate Manager as they are involved with project development and other project costs. There are a number of costs, including staffing costs, where it is impracticable to allocate these costs between administration and charitable expenditure and the trustees have allocated such costs to management and administration costs.

Management and administration of the charity

Management and administration costs represent expenditure incurred in the management of the charity's assets, organisational administration and compliance with charitable and statutory requirements.

Allocation of costs within types of resources expended

The charity's operating costs include staff costs, rent and other related costs.Such costs are allocated between types of resources expended on the basis of estimates made by the trustees.

Administration expenditure includes all expenditure not directly related to direct charitable activity. In respect of certain items of expenditure it is a matter of judgement as to whether such items are direct charitable expenditure or are administrative, and the trustees have applied what they consider to be reasonable judgements in apportioning such costs.

Fixed Assets and Depreciation

Tangible fixed assets are stated at cost less depreciation. Items of less than £400 are not capitalised.

Depreciation has been provided at the following rates in order to write off the assets (less their expected residual value ) over their estimated useful economic lives.

A regular annual review of the likelihood of asset impairment is undertaken.

Vehicles 20% per annum on cost/written down value Office equipments 20% per annum on cost/written down value Furniture, fixtures & fittings 20% per annum on cost/written down value

13

RESURRECTION POWER AND LIVING BREAD MINISTRIES INTL - EDGWARE Notes to the Accounts for the year ended 18 April 2022

Capital Grants

The board of trustees consider that , in order to comply with the Statement of Recommended Practice for Accounting and Reporting issued by the Charity Commissioners for England & Wales (effective April 2005), grants of a capital nature given for specific purposes and fully utilised in the furtherance of the objects of the charity should be credited to the fixed asset funds after the sums have been properly expended on the restricted purpose. The related asset is shown in the balance sheet at the cost of acquisition or subsequent revaluation.

The related assets are subject to restrictions by the grant making organisation on their use and disposal, and these restrictions are noted in the fixed asset section of these accounts. The fixed asset fund so created is treated as a restricted fund.

Insofar as this policy relates to Government grants then this is a departure from the Statement of Standard Accounting Practice Number 4 in order to comply with the Statement of Recommended Practice for Accounting and Reporting issued by the Charity Commissioners for England & Wales.

Taxation

As a registered charity, the organisation is exempt from income and corporation tax to the extent that its income and gains are applicable to charitable purposes only. Value Added Tax is not recoverable by the organisation , and is therefore included in the relevant costs in the Statement of Financial Activities

Funds Structure Policy

The charity maintains a general unrestricted fund which represents funds which are expendable at the discretion of the trustees in furtherance of the objects of the charity. Such funds may be held in order to finance both working capital and capital investment.

Restricted funds have been provided to the charity for particular purposes, and it is the policy of the board of trustees to carefully the monitor the application of those funds in accordance with the restrictions placed upon them.

There is no formal policy on the allocation of funds to designated funds.

There is no formal policy of transfer between funds, other than that described under the Capital Grants policy above. Any proposed transfer between funds would be considered on the particular circumstances.

2 Winding up or dissolution of the charity

If upon winding up or dissolution of the charity there remain any assets, after the satisfaction of all debts and liabilities, the assets represented by the accumulated fund shall be transferred to some other charitable body or bodies having similar objects to the charity.

14

RESURRECTION POWER AND LIVING BREAD MINISTRIES INTL - EDGWARE Notes to the Accounts for the year ended 18 April 2022

3 Net Incoming Resources before
This is stated after crediting :-
Revenue Turnover from ordinary activities
Depreciation of owned fixed assets
Rentals under operating leases
Independent Examiner's Remuneration
D preciation of asse s held under finance leases and hire
2022
£
94,613
1,787
-
800
2021
£
56,886
1,946
-
800

Funds belonging to the charity have been used for the purchase of insurance to protect the charity from loss arising from the neglect or defaults of its employees or to indemnify its employees against the consequences of any neglect or default on their part. The sum expended on such insurance was as indicated in the above schedule.

4 Statement that no expenses were paid to trustees or connected persons

No expenses were paid on behalf of Trustees except for re-imbursement of amount expended wholly on behalf of the Charity.

5 Analysis of incoming resources and analysis of management and administration costs

The details required by the Statement of Recommended Practice for Accounting and Reporting issued by the Charity Commissioners for England & Wales (effective April 2007), are shown in the Detailed Schedule to the Statement of Financial Activities on pages 13 to 21

pages 13 to 19.
6
Investment Income
Interest
Interest Receivable
7
Staff Costs and Emoluments
Gross salaries and wages
Employer's National Insurance contributions
Pensions
Motor van expenses & travels
2022
£
-
-
2022
£
13,000
455
1,060
-
2021
£
-
21
2021
£
13,000
460
1,042
-
14,515 14,502

15

RESURRECTION POWER AND LIVING BREAD MINISTRIES INTL - EDGWARE Notes to the Accounts for the year ended 18 April 2022

Numbers of Employees (both full & part-time) 2022 2021
Engaged on charitable activities 4 4
Engaged on management and administration - -
4 4
There were no fees or other remuneration payable to trustees
There were no other employees with emoluments in excess of £50,000 per annum
Members help voluntarily in many ways.
8 Changes in resources applied for Fixed Assets 2022 2021
£ £
Net movement in funds from Statement of Financial Activities 829 -
Resources applied on Fixed Assets for charitable use -
Net movement in funds available for future activities 829 -

16

RESURRECTION POWER AND LIVING BREAD MINISTRIES INTL - EDGWARE Notes to the Accounts for the year ended 18 April 2022

9 Tangible functional fixed assets

Cost or valuation
At 19 April 2021
Additions
At 18 April 2022
Depreciation
At 19 April 2021
Charge for the year
At 18 April 2022
Net book value
At 18 April 2022
At 18 April 2021
Motor van
£
5,580
-
5,580
2,346
649
2,995
2,585
3,234
Office
equipment Total
£
24,264
29,844
829
829
24,264
30,673
19,711
22,057
1,138
1,787
20,849
23,844
5,691
6,829
3,234
7,787

All assets are used for direct charitable purposes and there are no inalienable or historic assets

10 Debtors
Prepaid expenses
Gift aid recovery
Other debtors
11 Satellite Churches
Transfers
11 Creditors: amounts falling due within one year
Bank loans and overdrafts
Other creditors
2022
£
16,300
9,263
2,000
2021
£
16,300
2,000
27,563 18,300
2022
£
85,145
2021
£
86,660
86,660 27,000
2022
£
-
2,300
2021
£
-
800
2,300 800

12 Endowment funds

The Charity had no endowment funds in the year ended 18 April, 2022

17

RESURRECTION POWER AND LIVING BREAD MINISTRIES INTL - ED Schedule to the Statement of Financial Activities for the year ended 18 April 2022

Unrestricted Restricted
Total
Funds
Funds
Funds
2022
2022
2022
£
Grants,Legacies and Donations
Non government and none public bodies
Incoming resources of a revenue nature
Tithes & offerings
41,440
-
41,440
Satellite churches
43,910
-
43,910
Covenant Gift Aid
9,263
-
9,263
Government covid grant
-
0
94,613
-
94,613
Total Grants,Legacies & Donations Received
94,613
0
94,613
Investment Income as detailed in attached schedule
Interest Receivable
-
-
0
Total Incoming Resources
94,613
-
94,613
Charitable expenditure
Costs of generating voluntary income
Head office subscription
16,863
-
16,863
Church rent
11,685
-
11,685
Satellite churches
30,059
-
30,059
Mission house rent
12,000
-
12,000
Church activities
-
-
0
Guest preacher
-
-
0
Gross wages & salary
13,000
-
13,000
Employer`s NI
455
-
455
Pensions
1,060
-
1,060
Conference/training
-
0
Volunteers' costs
1,500
1,500
Training
200
-
200
Music ministry
900
-
900
Travel and subsistence
500
500
Youth/children expenses
989
-
989
Cleanliness, hygiene and sanitizers
-
0
Welfare
6,380
-
6,380
Charitable Donations
-
-
0
Motor van and travel expenses
-
-
0
95,591
-
95,591
Prior Year
Total Funds
2021
£
43,069
3,520
-
10,276
56,865
56,865
21
56,865
1,276
4,831
-
13,000
2,000
-
13,000
460
1,042
-
-
-
-
-
300
600
1,000
400
-
37,909

18

RESURRECTION POWER AND LIVING BREAD MINISTRIES INTL - ED Schedule to the Statement of Financial Activities for the year ended 18 April 2022

Support Costs
Postage, printing and stationery
Bank charges
Equipment expensed
Depreciation
Sundry expenses
Business supplies
Total costs of generating Voluntary income
Governance costs
Independent Examiners' Fee
Other accountancy fees
Insurance
Total expenditure
Unrestricted Restricted
Total
Funds
Funds
Funds
2022
2022
2022
£
-
0
44
44
179
179
1,787
-
1,787
187
187
2,309
2,309
4,506
-
4,506
100,097
-
100,097
-
800
-
800
700
-
700
1,593
1,593
3,093
-
3,093
103,190
-
**103,190 **
Prior Year
Total Funds
2021
£
-
-
-
1,946
-
-
1,946
39,855
800
1,400
3,507
5,707
45,562

19