GLORIOUS MINISTRIES FOR ALL NATIONS
Charit No: 1143477
TRUSTEES, REPORT AND FINANCIAL STATEMENTS
31 DECEMBER 2025
PRIMF. & CO
AnCOUNTANTS & MANAiiEMENT CONSULTAN"rs
64 WILLOUGHBY LANF
LONDON
N17 0,8P

GLORIOUS MINISTRIES FOR ALL NATIONS
CONTENTS
PAGE
Charity details l Trustees and Advisers
Trustees Report
2&3
Independent Examiner Report
Statement of Financial ACti￿rtieS
Balance Sheet
Notes to the Accounts
7t09

GLORIOUS MINISTRIES FOR ALL NATIONS
Charit Details and Trustees
Charl
1143477
Trustees
Rev Augustine Nosaye
Mrs G. Davis
Mr Phillipe Ibe
Rev. Kevin Ogbonna Edeh
Secreta
Re
istered Office
Flat 22 Fleetheld House
Birken Head Street
VIC1H 8BP
Accountant¥
Prime & Co
(Accountants & Management Consultants}
64 Willoughby Lane
London
N170SP
Bankers
Barclays Bank PIC

GLORIOUS MINISTRIES FOR ALL NATIONS
Trustees, Re rt for the ear ended 31 De￿mber 2025
The Trustees are delighlgd lo subrnrt their report and a(xounts forthe ￿or ende(131 Der*mber2025
Thè Financial siaiements have been prepared in accordance with the accounting policies Set out on pages
7 and 8 alld compty With the Slaiemenl of Recomrnended PractLse ISORP20051, and any applicable la*.
Trustees
The Trustees named on page I have seryed throwheul It￿ year. Atwinknent of Trustees LS governed by the
Trusi Deed of the charrty The 8oard ofTtuslees is aulhorised to apwinl nt* Twstees lo fiN
vacantie5 arising through re51gnalion tr death of an existing Trusiee.
Investment Powers
The Trustee5 have the aulhonty b8slowJ on thern by the Trust Deed to make and hohl inve5trneni$ using the
charrty's funtl, bul no such inve51rneni are presentty hebj.
Constitution, Obj'ective5 and Princip81 ActNit*5
Th& objectives and prillopal actwities are to promote the Chnslian faith through worshipping and Bible $ludws and
a150 10 3551st Individuals and young peop￿ through Ihe prOv￿￿n of recreatKJnal and ￿lsUre time activrties provKled in
in the Inieresi of 50aal weware designed lo Improve their condition5 of life. provde Support actMlie5 which help to
develop their skills. capaolies and capabilrttsto enab* them lo pattiopate In society as mature and responsible
indiwiduaLs lo aa5 a5 8 ￿SOUrce foi young people lo Ihe age of 19 In LoThJon the charitres aims to provide advice
and a551slanTr and organising prLpJf8mme5 of physical education and other actwities.
We aim lo rÈ51ore family valws and change lives Ihrough weekty serrnofis arkd te8thing on Sunday mornmg$
and weekty Bible Study and Prayer meetings
De¥trlopm8llt, a¢bvltle5 and a¢h1￿ments in thÈ year
The Trustees are pleased to report thar the charity was successful Iii helpinÈ 50rne of our young
people In the yeai under review Trainers piovidin9 necessary training In different areas of usefulne551o young peopk.
Young people were encourage lo part￿pate In drama$
Rlsk Management
The Trustees have assessed the Tnajor risk5 towhich the Charity is exposed. parti£ularfythose relating to the
operation and finance and a￿ satisfied with the risk management Systems in place to mitigate anyiisk
exposure.
Future Developmfynts
The frusiee5 aims lo Increase the activit*$ of th? Charity year In year out.
The Trustees sepk to extend these artivilie5 and are pu¥suin¥ a numberof proyamme5 toenable this to
happen. The charity Will continue io fixus its acti¥Aties to meetsts set objecrives.

GLORIOUS MINISTRIES FOR ALL NATIONS
Trustees, Re
ort for the
ear ended 31 December 2025
ReseTho Policy
111$ Ihe Oi¢y ollhe Charity to m¥ifjlain unrestrcted at a leyd Ewovpdes suffiuer4 ffiJnds to ¢y)ver
management and administrau￿ ￿ suprtst Costs. U￿eStn¢t*J1 knd5 expecbj to te m•ntanal al a
Ihroughwi Ihtr year.
tem
The charIt￿SA(1 requiresthe Trusiees tD prepare finantial statements foreath financialyearwhichgNesa
true and fairviewof the state otaffaiT5 01 the char￿3￿d of the surplusordÈficit at theend olthe Year.
In preparin8 thefinancial statements, the TrustEes are reqviredto-.
5electsuitable atcouniing p￿￿*$and apptyihem consisiehtty..
Makejudgments and estimalesthat are reasonab￿ and prudefjt-.
Statewhether applicab￿ accouniing Standards and st•iernenis ol1￿0MMended pr3rt*efvave b*n
followed. subieci to any departures disck)5ed andexplaineo in the financial statemeDts-.
Prepare the finanti31 siatemenis on 3 8thng concern basis unless It￿ inawopro*to presume
that the charitywill continue in tsynes5.
The Trustee5 are TespDnsible lor keeping 3tt0untin8 recordswh￿h￿IscknÈ with ieasonble Jccvrxy at •nv
lime the financial pOsit￿Tr of the charityand to enabletthechatttyto ensure thaithe finanaal SEatementscompty
with the CharitiesActs 1993.
They are 315D responsible forsafe8vardin8 thEa55etso1 Ihecharityand hence1a￿nE reasonable 5tepsfor the
prevention and deiection ol fraud and OlheT irre8ukrrtie
rhis reportWES 8Pkwoved by the Brwd ofTrustees ￿lhe...
.. *xI on th•r ￿haNb￿.
Rev Awu$ii
Tru51e6

GLORIOUS MINISTRIES FOR ALL NATIONS
Inde
endent Examiner'$ Re
ort to the Trust
Glorious Ministries For All NatlOll5.
es and Member5 of
We report on the financial staternents of the Charty for the year en(Jed 31 December 2025
which are sei out below, and note5 to the financial staietnents on pa8es 7 to 9.
Res
8-tive Re$
onsibili
$ of Trustees and Examlner
As rhe Trustees. you are responsible for Ihe preparation ol rhe accounts-,
vou consider that an audit is not required for thi5 year l under section 43121 of the Charity
Act 1993 Ithe Act) and that independent examination is needed.
examine the account dnder sectson 4313Mal of the Art
to follow the procedure513id down in the General Directions 8iver. by the Charity
Commission (under section 43171 Ibl of the Act.. and
to state whether particular matter5 have come to our atEention.
Ba818 Qf Inde
end nt Examine￿$ Re
ort
Our examination was carried out in 8ccordance with the Gerieral Directions given by the Charity
Commissioners. An examination includes review of rhe èccouniing record5 kepi
by the Trustees and a iomparison ol tho accounts pre5enied with those records. It also includes
consideration of any unusual Items or disdosures In Ihe accounts aYKI. seeknng explanations from
you as the Trustees concerniftg any such matters. The procedures undertaken do not provide
all the evidence that would be required in an audit and conseouently we 00 not express an audit
opinion on the view given by the accounts.
Inde
ndent Exarninees Stat•rnent
In accordance with the examination, no matter has come to our attention..
which gives us reasonab￿ cause to beI￿Ve that in any rnaterial respect that the r4uirernents
to koep accountsng records In accordan￿ with section 41 of the Act". and
to prepare acr.ounrs which agree with the accounting record5 and to comply with the
accounting reouiiements of the Act have not been met or
to which, in our opinion. attention Should be drawn in order to enable a proper
under5tandinE of the accounts to be reached.
Name..
Evbns Ohonba,. MAAT
Signature...................

GLORIOUS MINISTRIES FOR ALL NATIONS
STATEMENT
F FINANCIAL ACTIWTIES FOR THE YEAR
ÉNDED 31 DECEMBER 2025
stn
tthied UnTt5trithL£Ègd
Fund
Fund
Fund
Z024
Z024
Note5
Fund
2025
INCOMING RESOURCES
Offerings. Iiknes. donations, gifts etc
Total Incomln9 Re¥0¥
29.740
29.740
28.665
28.665
RESOURCES EXPENDED=
Chantsble Exrendilure
26.579
23.925
3.1Tr)
Totsl Rp$our¢•8 Exk*nd•d
26.579
23.92S
3.1
Net Movemeni in Funds
Funds brought fc*watd
Total Fvnds Carried Forwaid
3.161
-45.645
-42.484
4.740
-50.385
45.64S
-3.1
5.248
2.148
2,14B
1,648
There were no recognised gains u knsses fOrthe￿ olherthan IhrEe inc&Jded in

GLORIOUS MINISTRIES FOR ALL NATIONS
Unrestrict
202S
restrtcted Restricted
2024
2024
BALANCE SHEET
AT
T DECEMBER 2025
2Q25
NOTES
FIXED ASSET
Tangible Fixed A55ets
1,929
1,856
RENT ASSETS
Prepayment and accrued income
Bank & Cash
137
137
Cr8dltors.' IAmounts lalling due within ore yearl..
Creditors & Ac¢fual$
Awua15 & defered Income
5LKI
450
5LJJ
406
42,359
450
-312
45,040
Nel CUTrenl A55etsllLiabililiesl
LONG-TERM LOAN
Totsl Assets Le55 ￿&bIlItIeS
40,836
43.497
ACCUMULATED FUND
Surply$ ordeficitforlhe year
Funds Bffiwd
Tot31 FJnd5 Carried Forward
3.161
-45.645
42.484
15fMII
2.148
1.648
4,740
-50.385
45.645
13.1001
5,248
2.148
Approved by the Board of frustees
and suned on their behalf by
Rev Augus
Ine ND3a
Trustee Ivlefflb

GLORIOUS MINISTRIES FOR ALL NATIONS
Notes to the Financial Statemen
Accountin
Policies
Principal accounty"n9 poll¢l•s
The financial ststement have been prepared iindei the historical cost convention and in accordan
with the Statement ol Recommended Practice ISORP 20051. applicable accounting stsndards and
the Charities Act 1993.
The Chanty h8s taken advantage of the exemption in the Finanaal Reporb'ng Stsndard
from the requirernent to produce a cashflow statement Gn the ground that it Qualifies as small
charity.
nd•d 31 December 2025
Fixed a899ts and 4epr*claifjon
Tangible fixed assels foi the year by the Charty are skted at cost less depreaalon. ￿1ftell
off on a straight line basis.
Depreryaiion Is provided at rates calculated to ￿te off the rx)sl or valuatK)n of fixed assets".
Furniture. Fitting &
Equipment
Incoming Resources
These are IrKome from Grants, donations. gifts aid et
Charitable Tradin9 Income
Thefe is no income generated from any Charitable trading during this period.
Taxation
The chanty has receivad charitable exempb'on under ￿on 505 of the In￿e and Corporation
Taxes Act 1998
Value Added Tax
VAT
Volue Added Tax Is not recoverable by the Chaiity and a5 such noi included in the
levanl c05t In the Statement of Finanryal Activit*s.
Expendlture
Eypenditure Is included in the financial statement on an accrual basis.
Offering$. tithes, donationsb gifts etc.
Offerings, tsthe5. donatsons gifts etc reC&Vab￿ for the ger￿ra1 purpose of the Charity are
¢￿dited to the St8temenl of Finanrial ActivitEs ISOFAI in the )Ear they are received

GLORIOUS MINISTRIES FOR ALL NATIONS
Notes to the Flnanclal Ststemon18 for tho èar ended 31 De¢èmb¢r 2025
Resources Ex
nded
Resour￿5 expended Include those charrtable expenditure which are those costs incurred
by rhe charily ift rhe deliverance of its activities ènd servile5 lor its beneficiaries.
It Indudes both costs that G3n be albcAted diredty to su¢h a¢b"vites and those cost5 of
an indirect natu￿ necessary to support thern.
Funds Accountfjn
Unrestrlcted General Fund- comprising Fund5 which can be used in accordance with
the charitable objecrs at the dixreiion of the TrustÈe5.
un￿strIct•d Restricted Unrestricter R¢$tri¢te
Funds
Funds
Funds
Fund5
2025
2025
2024
20Z4
umma
of Assets b Fund
Fixed Assets
Cu￿ent Assets
CU￿ntIl?￿lIIt1es
Long-tem Liablity
J.929
94
15001
142 3591
140,8361
1.856
137
14501
145.0401
143,4971
2.148
1.648
2,148
Restricted Funds.
Re51ricted funds are fund5 which can only be used foi the specific Purpose as laKI out by
the donor Expenditu￿ which tneets th15 crrtenon Is Identified lo fund. together with
a fair allocatson of ovetheads cost. There were no restncied fund5 dunng the year
FIXED ASSETS
Fumitur8
Fitbngs &
Equipment
Cost-.
1st January 2025
Additions
3V1212025
9,5
2.466
11,966
D¢pre¢iation-
At l January 2025
Charge for the year
At 31 De￿r￿￿er 2025
2,393
10.037
Net Book Value
At 31 December 2025
1.929
Creditorn and Accru
Accountancy fees
Accruals & Defefred inci*ne
s¢J)
5(Kl

GLORIOUS MINISTRIES FOR ALL NATIONS
Notes to the Financial Stslements for thè year ended 31 December 2025
DETAILED INCOME AND EXPENDITURE ACCOUNT FOR THE
YEAR ENDED 31 DECEMBER 2025
Unrèslricted
Fund
31.12.25
Restricted
Fund
31.12.25
Unrestricted Restricted
Fund
Fund
31.1224
31 12.24
Inc
min
50urcè
Offerings. tithes, donations . gifts etc
Total incoming resourTrs
29.740
29,740
28,665
28,665
Resources Ex
ended
Charitable Ex
enditure
Rent
Visiting Pastor Alowan¢e
An5var- Insurance Scheme
Mission
Youth Program
Staff Adfflin / Project CIFordination
Evangelism Costlin¢l. posters & flyers)
Malenals and Cleaning
Feeding & entertainment
Petrol & Motor Expenses
Printing, postège, 5tat6onerv
Training Expenses
Healing & Lighting
Musician
Bank Charges
Repairs & Maintenance
Gift & Donations lincl. patient cost)
Telephone5, Fax & Internet
Transport & Travelling
Accountancy
Interest on Bank Loan
Equipment Expensed
Depreciation
3,505
4.244
255
402
6.723
665
10.522
500
3,100
1.634
1,026
20
2,181
636
23
2,351
1,150
311
737
196
160
205
577
573
450
1,099
258
350
23,925
1,231
663
2,124
395
947
893
74
500
1.033
2.393
26,579
500
Net Incorning Resources For The Year
Fund Balance BIF
Fund 8alance CIF
3.161
145.6451
142.4841
15001
2.148
1,648
4,740
150.3851
145.6451
13,1001
5,248
2,148