Chartty ReglstraUon Number: 1142769
Company Registration Number '. 07597348
EVANGELICAL PRESBrrERIAN CHURCH. GHANA
A COMPANY UMrrED BY GUARANTEE
TRUSTEES. REPORT
AND
FINANCIAL STAIEMEiirs
FOR THE YW ENDEO
31 MMICH 2025

EVANGELICAL PRESBYfERIAN CHURCH. GHANA
LEGAL AND ADMINISTRATIVE INFORMATION
FOR THE YEAR ENDED 31 MARCH 2025
SUSIE AMA Y5EKPO Ichalrpersonl
PHIUP SEWOR BUAKUMA
ANNI AYIOA
ANTHONY AZANU
AKONEFA MENKA
GEORGE GA
Charlty Numb•r
1142769
Comp•Thy Numb•r
07597348
R•gl•t•r•d omc•
14 BRUNEL CLOSE
LOND014
SE19 3AE
AKONEFA MENKA

EVANGELICAL PRESBYTERIAN CHURCH. GHANA
CONTENTS
FOR THE YEAR ENDED 31 MARCH 2025
IbJstee5' Rq)ort
ststement of Financial Activitl•s
Balance Sheet
Notes to the Fln•nclal Statements

EVANGELICAL PRESBYfERIAN CHURCH. GHANA
TRUSTEES. REPORT
FOR THE YEAR ENDED 31 MARCH 2025
The trustees present their annual report and financlal stètements for the year ended 31 March 2025.
Trust••s' report and flfi*mcl•l statwnMts
The tru5tee5 who are also dlrectors of the charity for the purptsses Of the Compan￿5 P£t 2006. present their report
wlth the flnanclal statsmÈnts of the charlty for th• year ended 31 March 2025. The tru5tee5 have adopted the
pmv151ons of Accounting and Reportln9 by Charities- Statement of Recommended Prnctlce applicable to charities
preparln9 t￿[r accounts in accor¢lante wtth the financial Reportlng Stsndard appllcable in the UK and Rtrpubllc of
Ireland IFRS 1021 leffethve I january 20191.
OBJECTIVES AND AcnvrnEs
jecttvfjs and alms
al Pollcle5 and Oblertlves
Thé objKts of the Charlty to ￿ c•rrled out for F*Jbllc Benefft afe".-
11 The advancement of th• Chrtstlan f41th w(Yldwlde In •ccord•n¢e wlth the doctflnes set out In the 5tstement of falth
contalned In Schedule
21 the rdlef of poverty
Each year our trustee5 our oblectOv•s and •ctl¥ltles to ensure they contlnue to refiert our alms. In caryylng out
th15 revlew the tntstees have considered the Charlty Commi5s1on's genernl guidance on Publlc Benefit In pèrtlcular Its
supplementary publlc guld•nc• on the •dv•ncement of rellgim for wblic benefft.
bl Strat¢gle5 for Khlevlng obl•¢tlves
The churrh hos adopted th• followlrvj strntegles for athlevlry the above otyecths..
OirJ•nlsatlon of semlnars In th* thurch tMIth provffi 5peakw5 and mlnlstws of f•lth to gukle membtts In varlous
asp•¢ts of the Chrlsuan f•lth
Support for other ¢h4rltle5 Chrtstlan events
Settlng up dlfferent Intemal departm¢nts to mlnlster to the memb*r5 and outslders In v•r1￿$ ouiTeach•s and famlly
rk events and youth artlvltles to affect our commw)lty K#)slilvely
Slgnlllant •thltl•*
Sunday Servke
Communlty outr•ach events
Provlslon of welfare support for members
Openlng of new brnn¢l*s
Publk b•n•fft
The charfty has contlnue(I to provlde bèr*efft¥to the publlc In the mamer describe below.
l. Organ151ng Sunday Ser4lc¢ fry rellglous W￿rShIp and teKhlng
2. Organlslng Communlty outreath event5 and Evangdlsm
3. Provlslon of welfare supportfor mtmbeF5
4. Openlng of new branches for spreadlng the g¢x)d news of Jews Chr15t
ACHIEVEMENT AND PERPOftI4AIKE
ChaTlt•ble actlvltles
General CharIta￿e purpoxs
The preventlon or rellef of poverty
Overseas ald

Religitius aC￿￿ties
The tW5tee5 hove declded that at p￿ert. funds &)rJJld be retslned In 8ank5 and Bulldlng Socletles. Any change In
5u¢h banklng atTangement should be agreed by the board. far as posslble. frjnds will be retsined inlnterest
bearing accounts.
FINANCIAL REVIEW
The Commlsslon requires ch•riknes to detemiine and eX￿41n thdr pollcy for reserves. The trust••s have revlewed It5
free reserve policy and h•¥e turned its entire free unwestricted fund into an emeryency fund to el￿ble E P Church to
meet its Obligatior￿ In event of a shorthll in Income or sudden upturn in expenditure.
Furthennore the trustees meet quarterty to revlew thelr resex¥e level. If the value of the reserves falls below a level
unacceptable to the tTU5tees. then approprlate Jttion wlll be taken immedl•tely to rtthfy the sltuauon.
sThucruflo. rJOVtRIlAMCE AND MAMAGEMEKr
The charlty Is controlled by Its govemlng documen( o deed of tru* and Car￿tItuteS a limlte*J COM￿ny. Ilmlted by
guarnntee. •s d￿ned by the Companl•s 2006.
IPustees' are aPFdnt•d by • resolutlon of eXis￿n9 trustees and COvQPted und•r th• terms of the IFust D••d. Each
trustee 15 requlred to assent to the doctrinal basls of the trust.
0ry4nls•tlon•l stnKtsr•
The church Is organlsed so that the tnJst•es meet regul•rty to m•na9• Its •ffaI￿. The day to day admln15tratlon of the
church Is managed by the trustees.
The charlty Is o memb•r of th• E P Chuwrh whlch h•s Its h￿d9￿rterS In Ho. Itit• Il•glon In Ghana.The Charlty's
relatlonshlp headquarter5 15 gov*med by an 'AgTeernent for C¢)mmon Purpos•s'. Under the Common Purposes
4rnem•nt. the charSty hos agmd to make an annual Contributlon to Ho. headquarters.
The trust•es, tAho are •150 the dlwectors for the purpose of ctynpany law, and who served durlng rhe year and up to
th• date of ￿9n•turn of the flnanclal statements wer•..
SUSIE AMA TSEKPO (Chairp*￿nI
PHILIP SEWOR 8UAKUMA
ANNI AYIDA
ANThONY AZANU
AXONEFA MENKA
GEORGE GATI
The trust*es. who are also the dirertOf5 of Charlty For Evangellcal Presbytertan Church. Ghana for the purpose of
company law. are responsible for preparlng the Itustees. Report the financl•l statements In accordance wlth
appllcable law ond United Kingdom kcounting Stsnd•rd5 (United Kfingdom Generalty Accepted Accountlng Prncttcel.
Compony Law wuires the trustee5 to pwyre flnanclal statements for each flnanclal year which glve a true and falr
view of the stste of affarr5 of the charlty and of the incoming I￿￿>U￿e5 and applICa￿On of resources. induding the
income arKI expendlture. of the charitsble company for that year.
In preparlng these finandal ststernents. the tru5tee5 are requlred to".
P¥2of9

• select sultsble accounting pdlcles and then apply them Con￿Sle￿￿.
observe the methods and principles in the CharfitTres SORP:
make judgements and estimates that are reasonable and prudent
state whether applicable UK Accountrng Stsndards have been followed. subject to any materfal departures
disclosed and explained Trn the financlal statements.. and
prepare the finandal statements on the gdng concem bas15 unle55 It Is Inapproprtate to PTr5ume that the charlty
will continue in operation.
The trustees re5pon5ible for keepÉng adequate accountSng records that dixlose wSth reasonabl• attur•cy at any
time the financlal position of the charfty and enable them to ensu￿ that the flnancial statements comply with the
Comp4nles kt 2006. They ère also responsible for ￿fegUardIng the assets of thé ¢h•rity and hence for taklng
reasonable steps for thè preventlon and detertton of fraud and other Irregularlto￿.
Thls report was apprvved by the trustees arKI 51gr￿d on 115 behir ty.
SUSIE AMA TSEKPO
Date '.
s-/oi/26

EVANGELICAL PRESBYfERIAN CHURCH. GHANA
STATEMENT OF FINANCIAL AcfivmES
FOR THE YEAR ENDED 31 MARCH 2025
Ufvr•strk￿ fvndg Tr•tal Fund$ 2025 Total Funds 2024
Income ond •ndowm•nts
from:
Oonabons and leg•cles
158.935
158.935
185.393
Investmen15
14.300
14.300
13.089
oth•r
6.469
6.469
3,612
179.704
179,704
102.094
Ralslng lunds
68.296
68.296
66,153
Chodtable acuvliles
63.652
63.652
69,195
17.662
17.663
13.820
.010
•.610
149,168
Net Income
30,094
52.926
30,0
52.926
R•¢ottclll•tk•Th of fund•:
Total funds brought fO￿ard
583,549
583,549
530.624
613.1143
613,043
583.550
PaJe4of9

EVANGELICAL PRESBYfERIAN CHURCH. GHANA
BALANCE SHEEr
FOR THE YEAR ENDED 31 MARCH 2025
Trt41 Funds 2025
Tot•1 Funds 2024
•rtlvlty
xed assets
Tanglble assets
280.309
280.479
2aO.309
280.479
Current •ss•ts
Cash •t bank 4nd in har
io
337.384
305,405
337,384
305.405
Crtdltors: amounts fallln9 due wlthln
one year
li
4.050
2,336
M•t ¢urr•rt ••Mtsllll•bllltl••)
333.334
303.069
613.fj43
583,548
Pur•d* ae th• Ch•rlty
Unrestrlcted funds
12
613.643
583.549
ReSt￿rted fvhds
12
Endowment fun(Js
12
Tot•1 fuThd•
613.643
583.549
For the year 31 March 2025 the company was entltled to exem{￿Oft from audlt under sectlon 477 of the
Companles Act 2006 relatln9 to small cornpanles.
The memb•rs have not r*qulred the compony to obt•ln an audlt of Its attounts for the year In questlon In
thccordonce wth Se￿On 476.
The trustees acknowledge th•lr resp￿Ibl1￿1eJ fvr complylng wlih the requlrements of th• Companles A¢t 2006 wlth
respectto accOuntlY￿ rtcortls and the prEparatlon of accounts.
These aCCOLFnts have been prepared and dellvered In accordance with the provislon5 4ppllc4ble to companles sublert
to the small companies ￿giMe.
The flnanclal ststem•nts were approved by the trustees on 14 J•nu•ry 2026 •nd slgned on Its behalf by:
SUSIE AMA TSEKPO

EVANGELICAL PRESBYfERIAN CHURCH. GHANA
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025
l. Accountlng Pollcles
The principal accounting policies adopted by the Chaiity. which is a public ber￿ entlty. In the preparatlon of the
accounts are as follov•s.
1.1 Basls of preparatloTh
These accounts have been prepared under the hlstorlcal cost conventlon, as modlfled by the Incluslon of charltable
properties and fixed asset investments and in¥e5tment prDperbes at valua￿On.
These •ccounts have been prepared In accordance wlth "Accountlng and Rewtlng by Charltle5.' Statement of
Recommended Pracdce appllcable to Chan￿e5 prepartng thelr accounts In accordance wlth the ￿nancIal Reportlng
Standard •ppllc•ble In the UK and Aepubllc of IrelaThJ IFRS 1021" leffectlve l J&nuary 20191 (cha￿tIeS SORP IFRS
10211. the Flnanclal Reportlng Standard appllcable In the UK and ftepubllc of Ireland IFRS 1021 and the Charltles Act
2011.
These Kcounts are presented In pour)d5 5terflng and rnunded to the ne•rE5t pound.
1.2 Golng ¢on¢•rn
The Trustees hove prepared financial projectlons. taklng Into ClM)slderntlon the tunent economlc condltlons and
hav•, at the tbm• of approvlng these accounts. • reasonable expectadon that the charlty has adequate resources to
contlnue In operatlonal exlstence for the foreseeable fvturE. Thus they contlnue to adopt the golng concern ba51s of
ouritln9 In prep•rfng the •ccounlS.
2. Income from Donatlons and Legacles
An•ty*l•
Total fund* 1025
Tot•1 fund• 2024
Annual Harvest Incor
3.658
3,658
5.227
Church Annual Due5
8.902
8,902
8.951
Deposlt accourt Int•rnst
Sundry Incom• & Donatlo
Tlthes offe￿￿9 &Thanksglvlng
3.379
22,576
120,420
3.379
22,576
120.420
5,880
22,242
143,093
158.935
158.935
185.393
3. I￿orne from Inv￿rnents
Anatysl*
Totsl fund• 2023
Total fvnds 2024
Rents recefved
14,300
14,300
13,089
14,300
14,3110
13.089
4. Other Incom•
T¢*•1 fvftd* 2023
Ibtal fuThd8 2024
Church Groups Incorr
6.469
6.469
3.612
6A69
3.612
Page6of9

5. Expendlture on Ralslng Funds
An•tysls
Total funds 2025
Total fvnd8 2024
Rent & Other Expenses
Stlpend5 and Allowance
)n5iting Mlnister5 Expense5
General Church Expense5
Printlno Post & Reprt4Juc¥on
Website Hostin9 & ￿ Services
Fllght and Travel for Cler9y
Accomm¢xlation & C4terOng
Awards and Appreciatlon5
Bank charye5 and Int•r•st
25.753
25.753
21.192
750
750
3,741
4,350
11,727
6.289
6.289
15.108
15.108
905
905
848
4.251
4.251
7.285
10,608
5.154
4.894
4.894
10.050
io.oso
800
296
296
448
68,296
66.153
Support Costs
60.196
68.296
66,153
6. Expondlture on Charltable Artlvltles
An•ly•l•
Tot•1 fund• 2025
Tbtsl lund• ?014
Welf•r• Support & ExperHes
DOna￿onS to other socletles
50.093
50,093
20,288
2.718
2.718
9,127
61.938
1.714
36,730
9.417
Presbytery
9.127
61.938
1.714
66.435
2.760
Support Cl￿5
63.652
63.632
69.195
7. Support Costs
7btal 2025
Ibt*l 2024
An•ty*l•
Support Co•ts
Gov•rn•nc• Co•ts
Accountancy and le9ol fees
1.714
2,760
1.714
2,760
8. Other Expendltur•
Tot•1 funds 2025
Tot•1 fvnds 2024
An•fyd•
Churth Group Expenses
Soclal Expense5
Church Equlpment Depred4tlc
9.256
9.256
5,901
8.236
8,236
7.692
170
170
227
17.662
17.662
13.820

9. Tanglble Flxed Assets
chU￿h
Bulldlngs Equlpm•fit Cost
9.1 Cost or valuatl¢•
01 April 2024
279.799
8.555
Aldldons
Dlsposals
Revaluation5
Transfer5
At 31 March 2025
279.7
8.555
9.2 D•pY•cl•tlon and ImpalrnMnts
At 01 April 2024
7,875
Charge for the year
170
D15POsals
Rev41uatlons
Tr•rthrs
At 31 March 2025
9.3 N•t Ix)ok ￿1￿•
At 01 Aprll 2024
279.799
680
At 31 March 2025
27•.799
510
10. Cash at bank and In hand
Total lund• 202S
Tot•1 funds 2024
Bank kcount 11383868
Bank ActtsLbnt 11383876
Bank Account 84025568
Bank MM 50822809
count 81698550
Account 43778428
Account 73810992
54.878
30.420
77,198
135,737
27,101
1,815
10.235
46.918
17.186
76.207
131.292
25.slo
1.682
6.610
337.384
305.405
11. Cr•dltors: Amounts falllng due wlthln one year
funds 2015
Ttstsl funds 2024
crued expenses
4.050
2.336
2,336
4.050
P¥8of9

12. Charlty funds
12.1 D¢tslls of materlal funds held and n￿Vern•nts durlng the CURREKf reportlng perfod
Fund
Fund
b•lanc•s
b•l•n
brought
forw•rd
G•ln• and
Fund nmm•s
forward
Unr•strlct•d
fund
530.624
G•n•rnl Fund
52.925
12.2 Detslls of matsrlal funds hold and movomonts durlng the PREVIOUS rnportlng
179.705
149.611
560,718
52.925
Fund
b•￿ne•¥
I￿o￿9ht
fon¥•nl
Pund
bal•nc•s
G•ln• and
n4m
foTh•nl
fundx
General Amd
202.093
149.168
52.925
330.024
530,624