CIwAty reg.no.1146177
Ultimak Power Assembty
Report and Accounts
For the year ended 31 Juty 2025

Ultimate Power Assembty
A¢¢ountsnts Report for Ib¢ ye*r ended 31 Juty 2025
We report on the Accounting of Ultimate Power Assembly Trust for th¢ yw ended
31 July 2024 which are set on pag¢s 3 to 7.
The charity trustees are responsible for the preparation of the accounts. The trnstees
considered that an audit is not required for this year under section 144(2) of the
chatities Act 2011 and an independent examination is needed.
It is our responsibility to
Examine the accounts under section 145 of the 2011 Act.
To follow the procedures laid down in the general direction5 given by the
charity Commission und¢r section 145(5) (b) of the 2011 Act.
To state whether porticul8r n]atteTs have corne to my allention.
ID connection with our ¢samiti*tion, no matter has eome to our attention, Ivhieb
gives us re&sonable cause to believe that any material respect the rquir¢m¢nt.
To keep accoutrting records in the accounting year and comply with secli<>n
130 of the 2011 Act.
To prepare accounts records and comply with the accounting requir¢ments of
the 2011 Act.
We have not carried out an audit or any other review. and CODs¢qu¢ntly we do not
express any opinion on these accounls.
S.A.Akwafo & Co
Chartered Certified Accountant.
25 Austen Clo
IA>ndon SE28 8AY
I f ( ti(￿1.6......

Ultimate Power Agsembty
Statement of Finan¢ial Activit￿8 for Ihe ytsr ended 31 Juty 2025
Not¢s
2025
2024
Incoming resources
67,620
58,468
Gift Aid recovery
81,589
73,(M)8
Direct chaTitable expenses
Gro&8 Inc4)ming Resources
52,976
45,646
Administrative expenses
Other operating income
(16,222) (40,693)
36,754
4,953
Exceptional iterns:
Profit on diswsal of langibl¢ f￿¢0 &s%ts
Profit on the disposal of investments
Income from investments
Int￿eSt receivable
Interest payable
,401
Net incoming resources
36.754
6J54
T&x on profit <)n ordinary activities
36,754
6,354

Ultimate Power Ilssembty
Balanee Sheet as at 31 Juty 2025
Notes
2025
2024
Fixed Assets
Tangible &8sets
255,390
8218
255.390
8,218
Current assets
Debtors
Deposit
Cash at bank and in Iw
192,000
4J03
885
885
196.303
Creditors: amounts falling due
within on¢ year
(500)
(500)
Net current assets
385
195.803
Total &ssets less current liabilities
255,775
204,021
Creditors: amounts falling due
after more than one year
(75,IMI)
(60,000)
Net assets
180,775
144,021
Aceumulat¢d Funds
Income and expenditure account 8
180,775
144,021
180.775
144.021
Approved by the c1)a1rn￿ of the TnLStees on IE and signed on its
behalf .
Solomon David Igimah
Chairnian of the TTr￿.

timate Power Assembty
Not¢s to th¢ Accounts for Ib¢ year ended 31 Juty 2025
l. Accounting Policies
Accounting conversion
The accounts bave been prepared under th¢ historical cost conversion and in
accordance with the Fillallcial Rewting Standard for Smaller Entities
(effective April 2008).
tncoming resources repr¢s¢nts donations, tithes, offerings received from
church rnembers and visitors and Gift Aid from HM ChaTities.
2. IncomiDg r¢wllr¢es
2025
2024
Planned Giving: Donation& Tithes
Tax recovered Gift Aid
41851
58,468
56,820
24,769
73,008
2.055
D¢preciation of owned fixed a&8ets
2025
2024
3. Tuation
UK corporation tsx
4. Taugibl¢ Fixed Assets Building
Equiprnent
Total
Cost
At l August 2024
Additions
250,0(X)
25,389
4,770
275,389
4,770
At 31 July 2025
250,IKX)
30.159
280,159
Depre¢iation
At l August 2024
Charge for the year
17,171
2,598
17,171
7.598
5,000
At 31 July 2025
19,769
24,769
Net book valu¢
At 31 July 2025
245,1XKI
10,390
255,390
At 31 July 2024
8218
8,218

Ultimale Power A55embty
Noles to the Aceounts for tbe year ended 31 Juty 2025 (ConL)
5. Debtors
2025
2024
Other Debtors
6. Credito￿. amounts falling due within one year
2025
2024
Corporation Tax
Other creditors
500
500
500
500
7. Creditors: amounls falling due after on¢ y¢ar
2025
2024
75,000
60,000
75.000
60,000
8. llleome and expendithre a¢¢ount (summary)
2025
At I Au8USt 2024
Prior year adjustll￿ntS
144,021
At l Augitst 2024
Profit for th¢ yvdr
144,021
36,754
At 31 Juty 2025
180,775

Ultim*te Power Assembly
FiDancial Statement for the Ye4r ended 31 July 2025
Net Income for the Year
Add: Depreciation
36.754
44,352
Less: Capital Allowances
Add: Net Income Blfwd
38,884
Capital AlloJvanee8 Computation
Building
General Pool
Claim
B/fwd
Additions
8,941
250.000
13,771
2,468
W.D.A. 18Yo
3,0(K)
5,468
W.D.V cjfwd
247,000
11,303

TNstee< Annual Report forthe period from l A¥ust 2024 to 31 July 2025
Charity Name. Ulllmate Po*KrAssembly
The trustees consists of one member who is a direttor of the company for Companies Act 2(M)6,
present their report with the finan¢ial ststements of the charlty for the period ended 31 Juty 2025.
The trustees have adopted the provisions of the ststement of Recornmended PractKe (SORPI and
Accounting and Reporting by charities is5￿1 in March 2(X)S.
Registered Charity Number. 1146177
Resisted company Number 06327039 (England and Wales)
Charitys Principal address and companvs Registered Office..
Unit 2>26 Penarth Centre, Penarth Street, London SE15 ITR.
Name of Trustees who managed the tharty were:
Trurtees Name
Office
Mr David Solomon Igimah
chairperson
Mrs OrEngiyeofori FyTrSwJney
secretary
Name of other trustee members for the charity.
Mr Isaac Alexander Adegboyega
Description of the tharWsTn
The charty is governed tyTru5t Deed& The charity is constituted by a chairperson aThl two trustee
members.
TNrtee'$ selertlon methods.
The trustees are appolnted in accordance with the policy. or8anisation and rule5 of the tharity.
Members of the church who are qualified to be trustees a￿ eligible to appty.
OWECTIVES AND ACTWMES
l. To advance the Christian faith in accordance with the statement of beliefs in such ways and in
such parts of the United Kingdom from time to tirne as the trnstees deem fit.
2. To promote emFfftm*nt, self-advocacy and entourage members to contribute their skills to the
benefft of the widercommunity.
3. To provide counsellin8 to married couples.
SUMMARY OF AcfiviTIES
a. To promote the whole mission of the church through arti¥ities for youth. senior cttizens and
special need group5.

b. To provide regular publlc worshlp In the community open to alf members.
c. To provide sacred Spa￿ for personal prayers and contemplation.
d. To condurt pastoral work including visiting the sick and the bereaved.
e. To undertake outreach in the community every Friday in partnership with Te5CO.
f. To conduct breakfast meetlngs and welfare counsellin8 every first Saturday of the month.
8. Tuesday5 and Thursdays prayer meetings activity in church auditorium and on Z(M)m.
ACHIEVEMENTS AND PERFORMAN
The church has opened its doors to the community for Tuesdavs, Sundavs and Thursdals
prdyers in the community. This ha5 enabled the youth who were at first roaming about and
engaging in unsociable actNities to come and listen to the word of God. The church orgonises
food bank and good morning breakfast at the last weekend of every month. The church
organi5es online leadership trainin8 for Pastors and elders. The church organrses regular
marriage and singles seminars for members.
The trustees outlined their commitment to enable a5 many Fwle as Kxmible to w0￿h}P and
become part of ihe community In Southwark catchment a￿4 and south East London.
Flnanclal Revlew
The trustees have decided not pay salarie5 to any member but rather plough back the reserves
of the charity to enable it embark on attivities in the community and the publio At the moment
most of the trust income is used to pay for rent at the rneeting venue. The amount r￿1Ved as
Gift Aid for the period was E13.969.
Ultimate Power Assembly ha5 a 5y5tem in place that allows the vulnerable, the bereaved, the
slcl the aged and unemployed within the congregation acce55 some form of support such as
food, clothing and money. Every Christmas period we glve out hand packs. clothes and sleeping
bag5 to the homeless as part of church artivity- The church is actively negotiatln8 to buy a
permanent Pla￿ of worship.
Signed on behalf of chaiity Trustee
Signature....
Full name: Mr Solomon l)avid 18imah.