Rcgistcrcd
n7817D70
Chariiy Number 1146216
Livin% Chri¥l¢an C.'¢ntrc Limited
Report gnd Accounts
For the Period from l Novtmber 2022 10 31 October 2023

Trust*es' Annual Report forth* perfod fmm i No¥effl￿ 2021 to 31 (klob¢r 2023
Charity Name.. F¢wJntsED Chrklhn Cenlrn
Other Name: Lmrrf sPrf￿ Chrlstlan Centre Uml
The trustèes consists of one Th*mber who is a directorof the companyfor Compan￿5 Act 2W6,
present their report with the financial statemenis ol the charity lor the period ended JI Ouober
2023. The tfust*es havè adopied the provisKJnsof the staiement of Recommended PraCt￿e ISORPI
and Accounlirya and fte￿rtI￿ by chartties i551￿ In March 2CI)5.
Reg15te￿ Charity Number. 1146216
Re51Sted tompany Number. 07817070 IEn8laNI and Wale51
Charitvs Principal addr￿ arrfl companvs Re8iMered Office:
71 Creek￿de. London SE8 30W
Name ofTruste*s who mJnwd the d1arltyfrt￿.
Trustees Naffle
MrAloysius Chukwudi Chukwukwue
chal￿e￿On
Ms Audrey AJnaklhe
Secfetary
Namt of ¢TUStees lor the tharlty:
Ms Audrey C. Amakihe
Mr Aloysius Chukwudi Chukwuk
The charity isgo¥Èmtd ty Trum Oeed& d￿rIty i5tonst1t￿ed bya chairpeTr)n and one tnjmee
mtmbers.
Trustee's selectk>n m•thods:
The trustees are appointed in accordante with pofKY, or8anisat*)n and rules of the tharity.
Membtts ofthe church are qualified to be inths a￿ eli8ible io appty.
08JÉcfivESAND AcnvmES
To advance the Chri￿lan faith in acCo￿anCe with the ststement of beliEts in sth ways and in such
parts of the United Kingdom from lime to time as the irustees deem fit. Evan8elism in London South
East and surroundings aNI the prwlamation ofihe word of God thffj￿h ihe medium ol te￿ViSIOn.
To provide counsellir% lo married coupfe5 and courtin8 couple&

SUMMARYOF ACTMnES
a. To provide Sar￿d Spa￿ for personal prayer5 and contemplat￿Tr.
b. To conducl pastoral work includingvisitlng the sick and bereaved.
c. To provide re8vlar public worship in the tommunityopen to all.
d. Promoiing the whote mi55ion olthe thurth thro￿ artNilies foryouth. senh)r titiiens and
Special need groups.
To promote emw)**rn)enfs advocacyand entournge mernbers io contribute their ski115 t
the benefrt of the community.
ACHIEVEMEi¥fSAND PERFORMANCE
The church hasopened its doors to thec0mfflur￿tyfo1 Wedne5drfs Pfayer5 in the evenin& This
has enabled the youth who were at roamin8 about aThJ en8aginB in unyKiable actNities to
come and listen to the word of God. There is always breakfast dub in artlon during ihat period
and this is open to the 8eneral public on Sunday5 and Wednesdays.
The trustees outlined their tommr(ment to enable as many people as possible to wotshlp and
bttome part ofthe community in Charlton and Greenwich catchment areas and south London.
Flnan¢lal Re¥lew
The trustees decided to plough back ihe re5eThesof the charity to enable the O￿anIS1t10Th
provide more actN4ties to ihe community and Ihe public In 8eneral.
Si8ned on behawof chariVs Trustee&
Full name: MrAloysius Chukwudi Chukwukwue.
Chalrman.

Liwin% Spriny Chriyliary ceDt￿ Limiled
Mryhttrtd numbrr: 078160711
Dirtdon, Rtport
l.i)r thv PLriLKI from l Novemtrtr2022 kn 31 (kI0￿r 2023
The l)irttiors present IKrniih ihciT Tewrt l08eilKrwith finaTKial ststemrnts forthe
iod from l November 2022 10 31 Octobtr 2023
Prineip*l Aetlvitiu:
Livingi Sprin8s Christitin Centre Lhmiied is a PTiVllccompany limited by guaTaniee.
The company's principal ￿lI¥11Y during ￿ yw w&sthe tffoyision olclwrth ministry
services.
Direetors
The lollowing peT50ns served as direckn3 durin8￿ peri(d:
Mr Aloysius Chukwudi
Smail company prvvisions
This rerxTrrt has been preparcd in a¢c(brdat￿£ with ihe provisions in Part 15 ofthe
Companies Aci 2006 applicabl¢ to cOmk￿lc5 subjeci w th¢ Small comF•nitt' Tegirne.
This rel￿ was appToved by ¢m g July 2024 and siBY*d on its Eehalf.
Ms Audrey C. Amakihe
Secretary

LIVINC. SPRINGS CIIRISTIAN CEPlniF. LiYrrED.
AccouKfANT% REPORT ON TIIE UliALDrrED FIYA.YCIAL
.STATF.MF.m TO THE DIRECTOFLS OF LIVIYG SPRI.WGS CHRisnx
CE%TRF. LI.YITF.D
In ￿CordanCe the engagemerf Ictter gii'en to aThJ in order to y(w io fulfil
your duties under the Companics Aa 2W). we hai'¢ conwiled the fIr￿￿la1
ststem¢nts of the comrAny MthRch comtffi5c the Profil aThl Loss Act(Mrt ￿ Balatte
Shed and the rela*d noies from the a¢￿￿ting ff£4rd5 infornwim
cxplanatio￿% you havc glven to U5.
The rep)rt is mwle to thc TnLstres of the compnv as a iKxI)'. in ￿r￿a￿e wryth th¢
lemis of our en8agem¢ni. Ow has been undenaken might COmPRle the
financial stalements that hab'e en8a8ed io compil¢. reFrtTrn to the T￿￿ttS th*
have done so. and ￿m)se matters ha%'e agreed to swe w thun in this
rewrt and no other PUTFK)se. To th¢ fullest extrni rwmittd by law.. do noi xcept
or resFo￿$1bl[ity to an)'one otr*r than the Company aThl ComrAny"s Direaors
or Trustees. as a I￿Y. for our work or for this r¢EKyTL
You have acknowledge on the balar￿c shed as ai 31 (ktokn 20?3.
your duty io ensure thai the company h&$ kept proFer accouniing rewrds and to
prepare financial swemcnts thai gtve a tru¢ and fair iiew. uThJer the Companies Aci
2006. You consider the compan>. is exemN from thc MiuioTh' requirement for an
audit for the y¢ar.
We hai'e nol carried an awjit or any other review. and do
express any opiniort on these accounts.
S.A. Akwafo & Co.
{Chartered Certified Accounlanl }
D*e:

Lill￿￿ **prinRI Chriitian c'ent￿ l.imiied
Slaiem¢rtl of Financial Athiviti¢s for ihe ￿￿¢￿1 from l Novcmbcr 2022 to 31 (kiobrr
2023
Notes
2023
2022
Ineoming rcsources
41.920
16.515
Dir¢ci ¢haritsbl¢ ex￿SeS
16818)
Gross Pmfil
25.102
15,515
Distribution (osts
Administrative exrrtnses
Other o￿T￿lIng incom¢
28.802
18,541
(3.700)
(3.026}
Exe¢pliona] items:
Profit on diswsai of tsngible fixed ￿Ls
PTolit on the dis￿saI of invesknents
Income from investhients
Interest rcceivable
In*rc51 payabl¢
Net incomin8 resources
(3.7￿)
(3.026)
Tax on pn)fii on ordinary activilies
ine0m1￿% re50ur¢es
{3,7W)
(3,026)

Lii'iiiR %prin%5 C.'hri8tiaM Ctntre Limited
B414n¢f Shetl *s at 31 October 2023
]¥oles
2023
2022
Fixed Ai8ets
l anbijblL assets
501
626
501
626
Current assets
l)¥btor5
(￿h ai bank and in hand
5,410
9.266
5.410
9.266
Creditors: amounts falling due
wiihin on¢ year
(450)
(731)
Ncl currenl a&8ets
8,535
Total assets less ¢urrent liabiliti¢s
5.461
9,161
Creditors.. amounts falling du¢
aller mor¢ ihan one y¢4r
Nct assets
5.461
9.161
Aceumulxted F￿￿￿5
Income and expenditure ￿COUn¢ 8
5,461
9,161
5.461
9.161
The di￿rIorS are satisfied that the company 15 enliiled io exempiion from the
requiremcnl to obtsin an audit under section 477 of thc Companic5 Act 2006.
Members have not required the company lo obtain an audtl in accordance with section
476 ofth¢ Companics Act.
Thc dÉrc¢tors acknowl¢dg¢ their reswnsibililies for eomplying wilh th¢ requirLm¢nls
of ihL Companies Aci 21M)6 wilh respeci to accountin¥ record5 and the PTcparalion of
accounts.
"lkne accounts have been prepared in accordance with ihc provision5 in Part 15 of the
Companics Act 2006 applicable lo companies subjeci io lh¢ small companies. regiime.
Ap
vcd by the board on
July 2024
Al()ysius C.Chukwukwu¢
Director

Tithei)tl¢rin¥
ift.4hl IIIIRC IlwÈiies
41.7()5
ify.$1.s
41.79.5
12.$
16.51.5
Iso
41.9?0
16.671
2023
2022
3. Tax*iio
L,'k co1&￿110￿
4. TaDzible FiIed Assets
F4uipmcni
Tuthl
Cosi
Ai l November 2022
3,752
3.752
Ai 311kn0kn 2023
3.752
3,752
Depreciation
Al l Nov￿ber 2022
Charge for the year
3,126
125
3,126
125
At 31 Octokn 2023
3251
3,251
et book vxlut
At 31 u¢l0￿'T 2023
501
501
5.Debtors
2023
2022

Li>in% Spring$ I"hri4lian Cenlve ljlljllted
Note$ ¢0 thc Ac£ount4 for ihe pcriod from l Novcmbtr 2022 to 31 Oetober2023
6. Crtdilors: amounts falling du¢ within onc y¢aT
2023
2022
Corwrniii)n 'fllx
OihLr ¢rL￿tIOrs
450
1.731
450
1.731
7. Credilors.. amounts fdiin8 due After one year
2023
2022
Other creditors
8. Income and expendiiure account
2023
At l November 2022
Prior year adJ￿stMen
9.161
At l Novem￿r 2023
ProliLIIL055) for the year
9.161
(3.7(N))
At 31 October 2023
5.461

Livinbl %pring Christian Centrc l.imiied
Exwises fur ihc year Lnded 31 Octo￿r 2023
2023
2022
DIRI:.C'I' F.XPENSLS
Rent
N1usicians
TV I".vangelism
14.818
16,818
AI)MINISTRA'fivF. EXPENSES
Salaries
TiihL of Tith¢s
Mntor F.xpenses
Phone
Scrvicc Charges
Admini.¥lrative Expenses
WLllare
Repairs
Accountancy Fees
I lonornrium
l)rolissional services
14.9
780
13.91)0
1,337
678
189
2.040
4.349
4.940
450
5(M)
1,637
450
350
?8.802
18,541