HOPE MINISTRIES- LONDON
CHARITY NO: 1141321
FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 DECEMBER 2024

HOPE MIN
. LONt¥JN
DE
MBER
TRUMES
Maxine Gowdle
Noel LaY4rence
Frantz 818ekman
CH*JiifYiiuMBER
1141321 IRwstered in England & wa￿5)
P￿￿OpAl0FF1cE
&7Turtle Road
Norbury
Lond
SW16 5QN
ACCOUNTAI￿s
MTP Aecountln8 ServI￿s Ltd
180 Foxley Lane
Purlev
Surrev
CR83NF
JANKEftS
Na￿eSt
45 Fulham Broadwty
London
SW6 IAG
Page2

PE MINrrRI
S-LOt4
310E
BER2024
INDEX
p•y
infomiation
Tru5teeAnnual Report
Independent Examin￿,5 Report
Statement Examlnees Report
4toS
Balanteshpet
Notes ¢0 theAccounts
7t08

HOPE MIPII
TRusfEE5 ANNUAL REpoRr
TheTrustee55ubmittheir financial st*ement5fLYtheyearended 31 December 2024.
LEGALSTATUS
ope Ministfles- London i58overned bya eonstitution and is a RegSstered ChaFity- The address
1$ 6-7 Turle RLRO. I40r￿ry, LondoFF,SW16 5QN
08JÈcr
The objert ofthe Charity15 to pr￿Ote Christian rell8lon ￿thIn the Vnited finddom and
other part5 of theworld. a5the Trusrees see fit.
TheTru51ees have ihe powerto collecr, accept and Issue appeals for donaih%)sandto do all thin8S
that further rhe attainment of the ob]ectsof the chur¢h. They Inay alsoln¥est money. real and
personal property End be at Ilberyto borrow as rÈ4ulred by ￿w.
CHARWS AcnvmESAt4DAOIIEVEMENTS DURINGTHE YEAR
To womote Christian falth through..
¥legularSeM￿S
RegularSundtySthoolteachin8
8ible StudyClas5es
Activitiesthat focus on looking HfteTyoun8 people
The Churth holds regular conferences for different a8È8roups of ihecon8regatbn and Ilèises
wlth local churehes inthe UKhndthroughtyJt the worWJ.
RESERVESPOLICY
Hope MInistr￿S London i$80in8 throu8h a period olchan8e and its reserye policy is Intended to
e£l￿at￿, as faras 15 rea50fiably practical, for unftreseen cirtumstancesand emergencies in order
toensure that it can continue itschristièn obpttive5 fora minimum period. (see notes to the
accounts. Note71
GI￿ AlDu￿m5
RÉVIEWOF MAIORIUSK
The tharity is covered for buikli*Band publ￿ liability insurance reviewed 4nnualty-
DECLARATlOt4
I declare In my c3paclty ofTrusiee.that.. ThÈTrusteÈshave appr¢)ved the rewrraboveand
leaf and have auihorised me ro sign on their behalf.
. MRS M. GOWDIE 25. April 2025
Pa8e 2

PÉNDENTE
141TRI
MINERS REPORT
TIIE MAN
We report wthe attounts of the charity forthe year en&d 31 Decemb￿ 2024 whith are attached
ReSpect￿e rw0n￿bIllllQs Df tru5teeand exarnlneTS
Asthe Charivs management coNmitteÈ, you ar* re5pon51ble forthÈpreparatlon ofthe accouffls.,
you considerthatthe audit requ1￿Mentof section 43121 olthe Charities Aci 1993 ItheAttI does not
apply. It is our responsibilityto state. cn the basis of procedures specified in the General ￿rectionS
8iven bythe Charty Commissioners under section 43171 of the A¢1, whether particularmatter5 have
IL7cometo our attentlon.
Bastsof IndependertteurnlMrfsr¢port
Ourexèmination was carried out in acCOrdan￿WIth Gener81 Ditectionsgfven bythe Charity
Commlssloners. An examination Indudes è re¥￿W of Ehe accouniinB record5 kept bythe Charity and
a comparlson of the accounts preserted wthth05e record5. Italso in¢ludescon5ideration olanv
unusual items ordlsclosures in rhe accounts and seekin8 èxplanations fromyou as trustees
concerningany Such mattws. The procedures undertaken do not providè all the evtdeneethatwould
be requlred in an audlt, and consequently ¥Ye do not express an audltopinion on the vlew Èiven bv
the aCc￿n
It)dependentwmlrtee5Statement
I Which 8lves reasonablecauseto belie￿that Snany m&teiial respertthe requiremeots.,
-tts keep accounting reeords in accordatstÈ with sectlon 41 ofthe Act.. and
-to prepare actOUAtswhich accord with the accou4)tin8 re¢ord5 aTrJ tocomp
%wth the accounting requirements of the Act
have not been met,. or
2 to which in ouroplnlon.,8ttention should drèwn in order toenable a wo
undersrondlng ofthe accountsto be reached.
Shrl Poran FCCA FAIA
180 Foxley lar
Purley
Surrev
CR8 INF
Page 3

MIMsfRI
ENfoFH
CIAL
FOR THEYEAR EfiD
DE
2024
2013
UIIIIESTrICTED
FUPIDS
REsTricfED
FUNDS
TOTAL
INCOMING RESOURCE5
rithe5 offeiin8S
Backto school
Total IrbwrnlTr8rtswrce5
38,355
38.355
26A24
38,355
38.355
26,424
RCSCAJRCESEXPENDED
Establishment expenses
Administrativeexpen5e5
Finantial and otherexpense5
To¢41 resoureesexpEnded
9.772
31,814
1.014
42,6rJ)
9,772
31,814
1.014
42,6LKI
7,737
20,405
1,171
29,413
Net ltsut8(*In45)nr￿Urnl￿ reso¥r¢es beforetranslqrs
Gro55 tra*￿1$ bÈtween lyn05
Netlou8oln8slllncomln8re50urtts•ftertr8nsfe
142451
142451
129891
142451
142451
12989
Pège 4

t M1141
TATEMENT
FI￿ANa￿ AcfMllES
THEYENk
IDE
2023
LINRE5fRicfED
FLFNDS
RESTRICYED
FUIIDS
TOTAL
ADMINISTRAnVE ÈXPtPlSES
Estsbllshmentexpense5.'
Rent ènd services
Insurance
Church expEnse5
Repairsand mèintenante
5,392
5.392
3,598
145
3,698
296
4,234
146
9,772
4.234
146
9,772
7,737
AdmSnhtraii¥ee4>ervs
Quireach Ministr￿5
Church Social event5
H05Pltalty and ¢aterin8
Telephone
Youth Education
Motor ènd travel expense$
PrfThtin8 and stationery
WtbsileC05ts
Chureh mu5ir costs
Memberin crisis
IL391
1.485
3,791
365
1158
7,182
396
5LK)
5256
11.391
9,961
798
3.598
112
24D
3,791
365
1158
7,18Z
396
S(XJ
5256
29)
78
238
3,820
1,370
31,814
31.814
20.405
Nnan¢lal and0t￿re1Ven$Qs.
84nk Charges
Attountoncy
Oeprttiation
18
834
419
720
294
720
294
1,014
1,014
1,27L
42,6ry)
P28e5

NDOPI
31DE
MBER 2024
UNREsrAicfEO
FUNDS
RE%rnicfED
FUNDS
FIXED A5SErs
Tanl￿e&S$ets
S89
589
CUIIRENT ASSETS
Cush otbonk•ndln
Debtors
40,305
6,914
47,219
46,751
4,419
51,170
6.914
47.219
CVIIREMT ￿￿lmE$
Creditors and accruals
OJAAEP4T ASSETS
47,219
47.219
51,170
TOTALL4SETS LESS CURPEPIT LIABIUTIES
47,808
47.808
52,053
Reserves
47,808
47,808
52,052
We
provetheseattount5 and confirm thatwe have rnade avallaNe all relevant record5and Informarirn lortheirpraparation.
Mfts M. GOWDIE (TRENSURERI
DATE.. 25.Aprll 2025
PaBe 6

E MINI
EST
OECEMBER
I ACCOUNnNG pOL￿E$
Accwniing convention
ThÈsefinancial statements have been prepared undeythe hl#orital costcowention
2 DEPRECIATION
Depreclation 15 calculaied to wrlte off thee05t of thefixed assets overt1rire￿Imate
useful Il¥es on rhefotlowing ènnual ba5es'.
Chvrth fuinityreand eQuip￿enT
25%reduclnB balance
3 114CfthlEANg EXPENOITURI
All incorne and expÈnditure represent5 unre5trKted fund
Improvernents
to prenMse5
Fumrtvre &
Equipment
4 FL¥EDASS
Totsl
At l Jantsary 2023
1.743
t1￿83
13,626
At 31 Deomber 2￿4
1.743
I1￿3
13,626
Depretlathn
At l January 2023
Charge Foriheyeai
At 31 December 2024
1,2
174
11.525
120
11,645
12.743
294
13.037
1392
Net Bookvalue
At 31 Decernber 2023
525
358
At 31 December2024
351
238
589
S CURRÉMf UAYIUTIES
2023
Accruals
Gerteral
Reserve
Restrfcied
Reserve
6 RESERVES
Totsi
At l Janw 2023
Net Incoming Resoufces
At 31 December2024
52,053
142451
47A08
SI￿53
14245
47*08
S5.￿12
12989
51053
Poge 7

ISThIES. LOND014
DECEMBER
7 RESERVE POLKY
11 Isthe viewof the Trustees that it is prudent to set aslde suffictnt fvnd5 that I￿11 allow oll
¢perational coststo be met for a minimum period of t%Yelve month& Thls will pern)it Hopp
London to contk)uè its seMce5 and objectjve5.
Pa8e8