CHRIST APOSTOLIC CHURCH CITY OF DAVID
17 PEAR COURT EAST SURREY GROVE
LONDON
SE15 6PF
CHARITY REG. IYUMBER 1126953
FINANCIAL STATFMF.NT8
FOR THE YEAR ENDED 26TH NOVV,MBER 2021

CHRIST APOSTOLIC CHURCH CITY OF DAVID
LEGAL AND ADMINISTRATIVE INFORMATION
USTEES:
Pastoi. 15aac OluwaniyÉ-As'aaju (Chairl
Lady Evangelist Oluwatoyin K. Oluwaniyi-Asaaju (Mi's)
P8Stoi' Joshua Ajuyi
SECRETARY:
Pastor Joshua Ajayi
CHARITY NUMBER:
1126953
RE
IsrERKD orrIC￿.
17 Pearcourt
Ea8t Surrey Grove
London
SE15 6PF
BANKERS:
HSBC BANK PLC
RYE LANE
PECKHAM RYE
LONDON
OUNTA
DANIEL FAMOK & ASSOCIATES
ACCOUNTANTS & FINANCIAL CONSULTANTS
UNIT 209 TUDORLBAf BUSINESS CENTRE
2-8 FOUNTAYNE ROAD,
LONDON
N154QL
COIYTENT:
l. Trustees, Report
2. Ind¢pendeTht examiner's Report
3. Statemeiit of Financial Activities
4. Balance Sheet
5. Notes to the Accounts

CHRisf APOSTOLIC CIIURCH CITY OF DAVID
TRUSTEES, RCI PORT
The Trustees have pl￿Sure in submittillg their report and accounts for year ended 26 November 2021.
The fEnancial stateillents have been prepai'ed in a¢cordance with the wcountiiig p(Trlicies set oui on
pages 6 to 7 aiid comply with St&tement of Recommended Practice (SORP 2015) and the applicable law.
OUTLINE
The Christ Apostolic Chyrch (City ot David) is a Pente￿Sta1 Church founded in London, United Kingdom
in 2007. 11 is open to all nationalities, rdces. ages and sexes with the main objcctive of preachin8 the gospel
of JBSUS CHRTST firstly iji tlie United Kingdom and lo all ov¢r the world.
CoDSttiitfion Ob ectlves of the Charj
etlvltles and O
anl$at(on of Our Work
The charity is constituted under a Trust Deed with registered charity numbèr 1126953.
The objectives of the charity as set out in the Cons¢itution are =_
{1)
TO ADVANCE GENUINB PRACTICE OF THE CHRISTIAN FArrH (IN ACCORDANCE WITH THE
STATEMENTS OF BELIEF) IN SUCH WAYS AND tN SUCH PARTS OF THE UNITED KINGDOM OR
THE WUKLD, SHARtNG THE GOOD NEWS OF JESUS CHRtST WITH COMMUNITIES AROUND
OUR CHURCH, OUR HOME AND WHERE EVER WE GO AS THE TRUSTEES FROM TIME TO TIME
MAY THINK FST.
(2)
TO RELIEVE SICKNESS AND FtNANCIAL HARDSHIP AND TO PROMOTE AND PRESERVE GOOD
HEALTII BY TIIE PROVISJON OF FUND8, FACILITIES, GOODS OR SERVICES OF ANY KIND.
INCLUDTNG THROUGH THE PROVISIUN 01.. COUNSE,LLING TO THF. OPPREggF.D, DEPRESSED,
SUPPRESSED, FRUSTRATED, CONFUSED AND HOPELESS THROUGH SOUND AND PLRVE,NT
PRAYERS SUPPORT tN SUCH PARTS OF THE UNITED KtNGDOM OR THE WORLD AS THE TRUSTEES
FROM TIME TO TIME MAY THtNK FIT. AND
(3)
TO ADVAN￿ EDUCATION tN SUCH WAYS AM) N SUCH PARTS OF THE UNITED KtNDOM OR
THE WORLD AS TRUSTEES FROM TIME TO TIMB MAY THtNK FIT,.
The Church engages in the following activities in order to further these objectives.
a. Holding w¢ekly m¢etillgs which are opcn to the public
b. RUnnI￿g Co￿￿U￿1ty projects
Organising aCt￿V￿tleS and groups
d. Working ¢108¢ly with oth¢i' Ckni5tEan oiganisations
rhe principal activities of th¢ ChuiLh are Christian wvi8hip, Christian outreach pl￿￿'ammES to increase
Christian awareness and to spread the gospel of our Lord Jesus Clwist and the developm¢iit of th¢ whule

CHRIST APQSTOLIC CHURCH CITY OF DAVID
TRUS'I'ELS, RLI PORT
CONTlTr¥UED
man, spiritually, mentally and physic211y. We have a number of volunteers who assist in helping us achieve
oui. objcetlve5.
Chairman's Report
The previous finan¢ial yeai. 2020 was negatively impacted on ow. attendance du¢ to COVID-19 IDckdown5.
During the ¢oui'sc of the year, the Chui'ch h#s steadily pl.0￿￿ssed spiritually. We have had a TkUTnber of
visitors attending our weekly servi¢e8 and we ¢onlinuc to Pray that they will one day accept J¢¥us Christ
8S their Saviour and Lord. The assembly in eAinbciiv£ll, Peckham is growing, but if we Can woi'k together
we can do all things through Cbi'ist who strengthens us.
The Brothcrhood, Women, Youth and Sunday SchoDI ministries have been encouraged to strive for
excellence.
Each department has submitted their obje¢tiv¢s for the forthcoming year 2022 and we look fojivard to
seeing the frnits of these new visions.
We have been providing counselling services to members of the community. We have also embai'ked on
vai'ious tr&ining pi"ogi8mmes to equip njoi'e church Yolunteers with the relevant counselling skill8 that ivill
help ihem 5¢1ve th¢ cominut]ity bettei..
The ¢huwh is v￿Y keen at developing strong family life in the ¢onllnunity and the nation generally.
To this end, we havc organiscd and conducted a Positive Parenting worshop in the year. The fornm
addressed the issue of coping with chtld upbringing in a fast changing world.
One-to-one personal evangclism is ongoing and it is our desire to the communities of Camberwell.
Peckham and s()i'rounding are8S
Following the end of the COVID-19 pttnd¢mi¢$ itt yJr 2021, the charity pcrfoiTrcd our practical corporate
responsibilities, as a chuirh. by dollating monihly tood contributions to the
"We Can Food Bank and Sacrcd H¢alth in South East London"
Prayers for the sick also continues to be can'ied out wheth¢r by home visit or via the telephone.
Ali ongoing obj¢¢tive of th¢ ¢hai'ity is lo pu]chase its owti pirtnis¢s. Duiiiig the year we went io Yiew
vai'ious potential pla¢¢s of worsjiip, and indeed cam¢ very close to purchasing onE of th¢m but due to
circuinstances beyoiid our CODtrol we w¢ff unable to complete the d￿1.
Future Aims
To continue to d¢Yelop and ittspirc the church's knowledge of God's word;
To sce more souls beii)g saved for tli¢ Kingdom of God,.
To "cndeavour to keep the utiity of the spirit in the bond of peace", Epliesians 4.'3'
To be successful in tlie purehase of our own church building ac¢ommod8tion which CAn be dedicated to
th¢ glory of God. and to do illorc piBcti¢al work withill the local ¢ominwiity and beyond.
This wll includ¢ h¢lping at 2n est&bl&shed soup kitchen, and also contributing 50/0 of fvlld raised from
baking for our Sunday School Davidic KiicheJJ to a local Lh¥rity.

CHRIST APOSTOLIC CHURCH CITY OF DAVID
TRUSTEI ES, REPORT
CONTINUEI D
Achievements and Performance
al Revlew of Activitles
The charity has built on previous developments and successfully ministered to the needs of diverse
social groups both within and outside the church. It provides fortsms for personal development.
equipping members educationally. soci811y, and spiritually. Counselling services are available for
the needy and unemployed, along with ref8rrals when necessary.
The charity offers counselling to community members and has launched training programmes to
equip volunteers with ess8nli81 counselling skllls to serv& belter.
A Youth Church has b88n eslablish8d where teenagers gather on Sunday afternoons in a caring
and sUPPOrtive almospheTe.
The charily continues to fulfil ils mission by ¢￿ating opportunities for holistic development
spiritually, mentally. 2nd physically. Time, ènergy, and resources have been invested inlo activiti@s
and programmés aimed at preventing youth crime, depression, child abus6, and other social vices
that n8gatlV81y impact sociely.
Flnanclal Revlew
Reserves Pollcy
The Trustees have set a policy for unrestricted funds (free reserves) nol committed or
invested in tangible fixed assÉls, to be maintained at a level equivalent to three monlhs,
annual expenditure. This ensures that the charity can continue its activities in the event
of a significant drop in funding.
Risk Poli
The l-rustees have assessed the n]ajor Tisks to which the Charity is exposcd particularly thosc
relating lo the operation and finance and are satisfied witli the risk management systems in place to
itigate the risk exposurc lo the Charity.
Review nf the financial
osltion
The net iiicoming resoiirces for ihe year amounted to a surplus of £6,229 (year 2020 was a deficit
of £335} ￿]d all of which are allocated to the uni'estriGted reseives of tbe Charity.

CHIUST APOSTOLIC CIIURCH CXTY OF DAVID
TRUSTEES, REI PORT
CONTINUED
Board of Trustees
Th¢ current members of the board of trustees servlng Ihe charity Ivere .
Pastoi. Isaac Oluwaniyi-Asaaju (Chair)
Lady Evangelist Oluwaloyin K. Oluwaniyi-Asaaju (Mrs)
Pastor Joshua Ajayi
APPROVAL
This i'eport was given approval by the b)3rd of trustees on thc 25th Sepleinber 2025 and
Signed on its behalf by :_
Secretary . Pastor Joshv8 Ajayi

INDEPENDENT EXAMINER'S REPORT
TO'I'HL I'RUSTEES or
CHRISI, APOSTOLIC CH URCH CITY OF DAVID
CHAKI'I'Y KLG. NUMBER 1126953
FOR THE Y£AR ENDED 26'1'H EYOVLMBLR 2021
I repoit on accounts of the Trust for y¢ar etided 26th Noveinber 2021, which aie set out on pages 6 to I I
RESPECTIVE RESPONSI
LITIE
F TRUSTELS AND EXAMJNER
The charity trustees aTe respoiisible lor the p[epL￿ati0n of the accounts.The chai'ity's tt'ustees consider
that an audit is noi required fi)r this year under section 144 (2) of the Charities Act 2011 (the 2011 Act)
aJ]d that an independent examin￿1]0￿ 1$ needed.
It is my responsibility to
examine the accounts under section 145 of the 2011 Act,
follow thc procedures laid down in th¢ geiieral Diirctions given by the Charity Conmiission
undci. section 145 (51 (b) of the 2011 Act. and
state whether particular matters have eome to my attention.
BASIS OF INDEPENDEE4T EXAMINF.RIS RF.PORT
My examination wag carried out in accordanc¢ with the genEral Dii'etti£)n8 given by the Charity
Commisyion. An examination includes a review of the accounting recoi'ds kept by the charity and a
comparison of the accounts presented with those records. It also includes ¢onsider&tion of any unusual
tems oi. disclosures ii) the accounts. and seeking explanations from you as trustees £on¢erning any
such matters.
The procedures uiideriaken do rLOt provide all the evidence that would be required ift an audit and
consequently no opit)ion is given a5 to whetlier the accounts pr¢scnt a'tru¢ and fail vi¢w and the
report is limited to tlios¢ inattei's set out in the $tatemcnt below.
INDEI PENDENT EXAMINER,
STATEMErir
Tn cot]n¢ction with my cxamination, no matter has eome to my attentioii :_
I I which gives me reasonabl¢ ¢ause to b¢lieve that in any mat¢rial Yespcot the req￿l1'¢m¢￿ts'.
* to keep accounting records in accordance with sectiok) 130 of the 2011 Act. and
* to prepare accounts which accord with thr accounling records and comply accounting
requÈretnenls of the 2011 Act have not been met., or
2) t
ich, in
mon, atten
e reached.
should be draw￿ in order to enable a proper understanding of the
cc
MRD.
. FAMAKIN ( Msc, FCA I
DANIEL FAMOK & ASSOCIATES
ACCOUNTANTS & FIIYANCLiL CONsifLTANTS
UNIT 209 TUDORLEAF BUs￿,￿ss CEIYTRE, LONDON
2-b Tr'UUNTAYNE ROAD,
N15 4QL.
25th S¢ptcmb¢r 21125

CHRIST APOSTOLIC CHURCH CITY OF DAVID
STATEMENT OF VINANCIAL ACTIVITIEI)
FOR THE YEAR ENDED 26TH NOVEMBER 2021
Notes
Unre5trieted
Funds
Restrleted
Fun
Total
Nov-21
Total
Nov-20
INCOMING RESOURCES
Ineoiiiing Resoupce.ffi'Dni generaledfjinds
Voluntary Iiicome
Investment Income
FIMRC Gift Aid Tax Reclaiins
JpicopJJiiJg Resoillcesfi￿vl Cliaiiluble Aclivi¢i¢.i'
OÈhei- fpicoTri¢ng Rayources
43,873
43,873
3.284
Totsl Incoffting Resource5
43,873
43,873
RESOURCES EXPENDED
12
Chai'iinbleAclivi¢ies
37,264
37,264
3,619
Gove1￿￿11(¥ Lyists
380
380
Total resources exp¢thded
3,619
NET MOVEMETrIT IN FUNDS
6.229
6,229
(335)
RECONCILIATION OF FUIYDS
Total funds brougbt fonvard
13241
(324)
Total funds carrled forward
5,905
324
There were no recognised gains or losses for the year other than those included in the Statement
of Fingn¥ial Aclivilies. All incoming resources and resources expended derive fi'om ¢ontiiiuing
ctivilics.
The note$ on PAges 5 to 8 form part of these &ctounls.

CHIUST APOSTOLIC
HURCH CITY OF DAVID
BALANCE SHEET AS AT 26TH NOVF.MBER 2021
Note5
2021
2020
FIXED ASSETS
Tangible Fixed Assets
CURRF,NT ASSV.TS
D¢btois
Cash at Bank and in Hand
396
1,29S
396
LESS CRILDITORS:
Amounts falling due within one year
NKT CURRENT ASSETS
{4,122}
(2,843)
TOTAL ASSETS LESS LIABILITIES
324
REPRLSENTED BY:
un￿$trI¢{ed Funds
Restricted Funds
5,905
(324)
324
Approved by the Bogrd of T￿Stee5 Dbl the 25th September 1025 and 5tgned on Its behalf by:"
P&sÉor Isaac
lujv&Aly￿ASa8JU (Chair)

CHRIST APOSTOLIC CHURCH CITY OF DAVID
NOTES TO THE FINANCIAL STATEMEN'rs
FOR I YEAR ENDED 26TH NOVEMBER 2021
l. Accouf4TING POLICIES
The financial stalemcnts have been prepared in accordance with the accounting policies set out
in notes lo the accourtts l￿d comply with th¢ chai'ity's governing do¢umcnl, the Chai'ities Act
2011 and Accounting and Repoiting by Charitics: Statement of Recommended Pi'actice (SORP)
applicable to chai'ities ￿'eparIng theii. accounts in accordance with the Financial Reporting
Standard applicable in the UIC and Republic of treland published on 16th July 2014.
1.1 Resourees
Bllildin
Funds
ljicojne Iix)in donations for building are included in voluntary incoming resources of restricted fvnds
on receipt.
Volunta
om
Income from Lithes and offerings Collected are included in voluntary incomEng resources when these
are re¢¢ivable.
Gift Aid Tax Re
ment Clalm
Tax repayments due from HM Revenue & c￿stOmS in respect of members, giving are included in
incoming resources and regtricted for building funds whet) received.
Other Income
These compri5¢5 Qther mI￿ell￿ne0Vs income and are aceounted for in the period in which it is eiilitled.
Income from Charitable Activities
These are chi'istian books and materials strld to church members and all of which are includ¢d in
unreslric¢ed fvnds when ￿e1ved.
Investment Income
Investment Income consist of net interest received during the ye&r and accounted as unrestri¢ted fi]nd.
Cash flow statement
The Chdrily has taken advantage of the exemption sn finanei21 Reporting Standard No l frotJ] the
requiremcnts to produce a c8shfiow statemellt on d)¢ ￿'0￿ndS diat it qualifies as a sinall Charity.
1.2 Re50urce5 expellded
Resources expet)dcd are included in the Stat¢m¢nt of Financial Activities on accrnal bas¢s, inclusive of
any valu¢ added tax {VAT} which ¢at)not be recovfflEd. Certain expenditui'e are atti'ibutable to specific
activities and have b¢¢n includ¢d thos¢ ¢os¢ categories.

CIIRIST APOSTOLIC CHURCH CITY OF DAVID
NOTES TO THE FINANC.IAL STATFMFNTS
CONTINUED
FOR THE Yfi AR EII'DED 26TII NOVEMBER 2021
1.3 Tangible Fixed Assets for use by the eharlty And Deprecixtlon
Tangible fixed assets for use by the Charity are slated at cost less depreciation.
Depi'eciation is calculated to wi'ite off the cost les8 e8timated re8idual value of fixcd assets. ovei.
theii. estimated useful lives on the following basis..
Computers. Equipment, Furnitur¢ & Fittings
250/ts per ann￿m.
Musical Equipments & Instruments
25Q/o per attnum.
Unrestricted Restricted nre5tricted
Fund
Fund
Fund
Nov-21
Nov-21
Nov-20
2. CHARITABLE ACTIVITIES
Pastor41 Allowances
Evangelism & Ovei's¢as Missions
Honoi'aria and gifts
Hall Rental, Storage and Service Chayges
Donation8 to Othei. Charities
Mcmbcrs, Welfare, Support & Benevolence
Printing, Postage and Stationery
Travelling & Mutur EKpLnses
Advert, Publicity & Medid Costs
Insurance P￿MiuMS
Eleclricily, heating and Water
Chui'ch Materials & Consumables
Volunte¢rs' & Workers, Expenses
Equipments R¢pair & Renewals
Depreciation of fixed assets
Telephone & fax
450
1,905
3,560
15,600
190
3,185
195
63
480
1,325
800
116
4,130
403
3.342
,520
2,779
840
37.264
3,619
The nll reportlng of activities in the previvus year 2020 Ivas due to lockdowns from Covid-19 paMd¢mics.
3. GOVERNANCE COSTS
2021
2020
Bookkeeping and Accountancy
38
380

CHRIST APOSTOLIC CHURCH CITY OF DAVtD
NOTES TO THE FINANCIAL STATEMF.NTS
C0Tr4TINUED
UR 'I'HE YEAR ENDLD 26'fH NOVEMBER 2021
4. NET IVIOVEMENT ILY FUtYDS FOR THE YEAR
2021
2020
The net movemen¢ io tsnds foi. the year is stat¢d after
chargillg -_
Depi'eciation of tangible fixed assets- for u,se by the charity
Accountancy fce
3,342
380
5. TRUSTEES, REMUNERATION
No Trustee has had cxpenses reimburse41 in the year.
There is no staff whose emoluments exceed¢d £60,000 durit)g the year
6. TANGIBLE FIXED ASSETS
UIPMF.NT & COMPUTERS
TOTAL
2021
TOTAL
2020
IN
TRUMENTS
UIP & FURN
COST
AS At 27th November 2020
Additions during the year
As At 26th Novcinber 2021
3.653
6,550
Ilb,2113
3,817
4.3(Ml
8,117
7,469
10,850
18.319
7,469
7,469
DFPRFCIATION
As At 27th November 2020
Charge for the yeai.
As At 26th Novcmber 2021
2.723
1,870
4,S93
2.227
1,472
3,699
4.950
3,342
8,291
4,110
R4
4.950
NBV At 26th Iyovember 2021
2.S19
NBV At 26th November 2020
930
7. DEBTORS: AMOUIYT FALLING DUE WI'I'HIN IYR
2021
2020
Security Rent Deposit
io

CHRIST AP08TOI.IC CHURCH CITY OF DAVID
NOTES TO TIIE FINANCIAL STATEMENTS
CON'I'IINUED
FOR THE YEAR ENDFD 26TH NOVEMBER 2021
. CREDITORS:AMOUNT FALLING DUE WII'HIIY IYR
2021
2020
Sundiy Creditors
Acciuals
4,138
380
4,518
4.138
4,138
9. UNRESTRICTED FUND
F THE CHARtTY
Unrestrlcted
Fund
Total
2021
Balance A5 At 27th Noveniber 2020
Movement in the funds foi. the yeai.
Balance As Ai 27th November 2021
{324)
6,229
5,905
335
(324
Buildin
Funds
Total
2021
10. RESTRICTED FUNDS
Balan¢¢ As At 27th November 2020
Movement in the funds foi. the year
Balance As At 27th Novemb¢r 2021
11. ANAL YSIS OF NET ASSETS BETWEEN FULYDS
Unrestricted
Funds
Restricted
Funds
Total
2021
Tangible fixed assets
Net Cun'ent Asse18
10,027
(4,122)
5,905
10,027
(4,122)
5,905
ij