COMPANY REGISTRATION NUMBER: 08063260
CHARrrY REGISTRATION NUMBER: 1147718
Living Faith Church
Company Limited by Guarantee
Unaudited Financial Statements
31 May 2024
MArrocKS GRINDLEY
Chartered Accountants
18 Mulberry Avenue
Turnstone Business Park
Widnes
Cheshire
WA8 OWN

Livlng Faith Church
Company Limitod by Guarants•
Financial Statemonts
Yoar ended 31 May 2024
Pag?
Trustees, annual report (incorporating the directo¢s report)
Independent examinerfs report to the truslees
Statement of financial activities (including income and
expenditure account)
Statement of financial posth'on
Notes to the financial statsments
The following pages do not fonn part of th• financial statsmonts
Detailed statement of financial activities
Notes to the detailed statement of financial actNitres
17

Llvlng Faith Church
Company Limit•d by Guarants•
TrUSt￿s. Annual R•port (Incorporating the Dirnctorfs Report
Year •nd•d 31 May 2024
The truslees, who are also the directors for the purposes of company law, present their report and the
unaudited financial ststements of the chartty for the year &nded 31 May 2024.
Refer•nee and admlnlstrativ• d•tails
R•gist•r•d eh•rlty n*m•
Living Faith Church
Charty r•glstration numb•r
1147718
Company r•glstr•tloTr numb•r 08053260
Prlncipal offl¢• and r•gisl•r•d Living Faith Church
25 Church Street
Orrell
gan
WN5 8TG
Th• trust••s
Mrs R Houghton
Ms L Swadkn'ns
Ms H Swadkins
Mr l Aspinall
Bishop S L Evans
(Appointed 8 January 2024)
Ind•p•ndent •xamlner
Mr G Mattocks FCA
18 Mulberry Avenue
Tumstone Business Park
dngs
Cheshire
WA8 OWN
Slruotur•, goveman¢t and manag•m•nt
The main governing dc¢ument of the charity is the trust deed dated 1st May 2012. The trustees are
appointed to control and manage the charity by the society of the Living Faith Church.

Living Faith Church
Company Llmltod by Guaranteo
Trusts•S' Annual Report (Incorporating tho Direetorfs R•port) (¢￿tInUed}
Year onded 31 May 2024
Obj•¢tiv•s and aotlvttl•s
The Charity's objectives are to advance the Chris￿an faf(h in accordance with the ststement of beliets.
The first objective of Living Faith Church involves preaching, teaching, and compassion ministrios
induding promoting healing of various kinds into the church and community.
The charity continues to run traditional Christian prayer and worship meetings on Sundays, and at
varying times durirKJ the week through multiple hom8 groups. We also offer online services weekly and
have established a Youtube Chanel, Facebook and Instagram accounts lo holp wrth these broadcasts.
We conduct other Christian SeN1￿ such as baptisms, funerals. and marriages.
We are also involved in seNing the wider community and offers various initiatives to that end, for
example.. An after school club. Youth Meetings, Parents and Tcxydlers, Coffee Morning. Various Charity
events, Food Bank, Arts and Crafts. In addition, the charity offets help and care in practical ways such
as at lit￿S providirsg tharitsble financk91 donations, fijmlture. fr￿￿, and other essential needs to
vulnerable people throughout the community. During the 18St year Ouf weekly food panty has grown
into an important resource for people within the local community. Further afield there are close links with
other churches and ministries in the United Kingdom such as Church8s Together. The church has also
developed active links with intemational ministers, churches. and missionary organisations. During the
last yearwe also hosted and had significant dialoguewith an Important Muslim cleric from Algeria. Imam
YOu￿f leads a Peace inibalNe which is recconised by the UN and Bishop Steven enrJ)uraged him to
contsnue his work for tolerance and peace in the wodd.
The Lead Pastor, Bishop Or. Steven Evans, continues as the presiding bishop of The International
Charismatic Church Ne￿ork {TICCNI. He oversees the training of ministers, ordinations, church
policies, appointments, and over the years has been the guest speaker at dozens of intem8tional
conferences. Lost year again we hosted a TICCN Conferen￿ the culminab'on of the week saw a visit to
the chaFel that hosted the Welsh Revival of 1904. He is also the Dlrector of New Life Blble College
Europe.
How our *etlvltl•s d•llv•r publle b•n•fft
The charity has continued to benefit from the work of AssocÉate Pastor Mikah Evans who is the Manager
of the Connect Center whtch is the CommLsnity building owned by the church. She has brought rnore
people from the Community into the Center and has been promoting the group and the varying
opportunities that our facility has. The trustees have been deligmed in her diligent work and enthusiasm
for people and her awareness of the importance that a well run Center ran make for the community. In
particular she has welcomed volunteers from a diverse cross-section of our community and netsyorked
with an array of funders to ensure that we not only grow but thrive in these difficult times. We continue
to have a Cafe ft)r the local community on the first Sunday ofevery month. We are aware of great needs
within the ￿mmunity and it was felt that this would allthv us to better c4)mmunicate with people who
otherwise wouldn't att8nd church. This buffet style service is aimed al the local community and has
made a great impact into several peoples lives. In addition, our recently increased number of skilled
volunteers albws us lo now operate a Cafe for community use during the week on Thursdays which
also has the Food Bank open at the same time.
We also run various vduntary groups that diredly benefit the wider comrnunty. for example: An after
school club. Parents and Toddlers. Coffee Morning, Various Charity event5, Concerts, Food Bank, Arts
and Crafts and Counsglllng services.
In addibon to the above, the charity offers help and care in practical ways such as at times providing
chaT1t8b￿ financial donations, fumiture, food, and olher essential needs lo vulnerable p￿pIe throughout
the community.

Living Falth Church
Company Limited by Guarantse
Trustees, Annual Report {Ineorporating the Dire¢torfs Report) (conUnu•d)
Year ended 31 May 2024
Aehhv•m•nts and perforniano•
The charity has continued lo be a hub for the local community, distributing fcx)d and practical supplies
and being open for peoplg wh8n times gol really tough and they had nowhere else to turn. The previous
highlighted examples continue to show how important this work is, for example the old lady who was
only eating toast fDr a week, as she had been unable to leave home. Once we found out we sel about
making soups and providing her with sevgral healthy meals and someone to talk with. She felt she was
a nuisance to everyone but she was told by the church that she is a blessing. Mik8h was able to arrange
for soup to be made from vegetable donations that were given lo the church.
Bishop Steven has ¢ontinued to support many ministers within TICCN (The Inlemational Christian
Church Netsvorkl and beyond. This year he hosted the intemational conf8rence, the keynote speaker
was Bishop Michale Fleming and ministers and volunteers spent 4 days of fellowship and discussing
the work of TICCN. Alongside preaching on Sundays and Wednesdays he has continued to prtsyuce
several pamphlets and books. He is also singing and rgcording vaiious songs that wll used to reach
people with a m8ssage of hope and love.
Associate Pastor Ruth Horton is an award winning kcal schoolteacher and has a passion for twple
and a tremendous ability to teach. She has continued to bring enthusiasm and a seTiOUS SPiritU8
comrnitsnenl into the new role and the trustees are delighted with her work.
Finan¢l•l r•vi•w
The financial results for the period under review show an overall SUTplus of £17.867, which has been in
linewith TrL¢Stees' expectstions. The Trustees fe&1 that, gNen the same economic conditions, the Church
should again show a small surplus at the conclusion of the next financial peri¢JY.
Plans for futur• p•riods
We plan to continue to ￿ach our community as we have been doing and to also facilitate an expanding
range of servKes.
Our online web actThiiti8s are growing and we hope lo continue to develop these to improve our
connections with people on a l¢knl and intem8tional level.
Small ¢omp•ny provisions
This report has been prepared in accordanc* with the provisions applrcable to companies entiued to the
small ojmpanies exemption.
18 /I'/zpLS
The tnjstaes, annual report was approved on .. . ... ... ...... .......... and Sign￿ on behaw of the ￿8rd of
trustses by..
Bis170p S L Evans
Tiuslee

Living Faith Church
Company Limit•d by Guarantee
Indep•ndent Examina¢s Report to the Trustees of Llvlng Faith Church
Year ended 31 May 2024
I report to tha trustees on my examination of the financial statements of Living Faith Church Ilhe chariv)
for the year ended 31 May 2024.
R•sponslblllll•s and ￿$1S of r•port
As the trustees of the company land also its directors for thè purposes of company lawl you are
responsible for the preparation of the financial stalemgnts in accordance WFth the requirements of Ihe
Companies Act 2006 {'the 20Ci8 Acti.
Having satisfied myself that the accounts of the company are not required lo be audited under Part 16
of the 2006 Act and are eliglble for independent examination, I report in respect of my examination of
tho charty's accoijnts as carried out Lbnder section 145 of the Charities Act 2011 Ilhe 2011 Act,). In
carrying out rny examination I have followed the Directions given by the Charity Commisslon under
section 14515}Ib) of the 2011 Act
Ind•p•nd•nt •xamin•Vs slat•m•nt
I have completed my examination. I confim that no matters have to my attentlon in connection
with the examination giving me cause to believe..
ac￿Ul?￿ng records were not kept in respect of the charity as requir&Y by seclion 386 of the
20C6 ACL or
the financial ststements do nol accord with those records" or
the flnanclal statements do nol comply with the accounting requirements of section 396 of the
20C6 Acl other than any requirement that the accounts give a 'tru8 and faiff which is not
a matter considered as part of an independent gxamination,. or
the financial statements have not b88n prepared in accordance with the methods and
principles of the Statement of Recomrrended Practic* for accounting and reporting by
charities applicable to charities preparing their aLtounts in accoTdance with the Financial
Reporting Standard applicable in the UK and Republ￿ of Ireland {FRS 102}.
I have no concerr¢s and have come across no other matters in o)nneclion with the examination to which
atten￿￿ should be drawn in this report in order to enab￿ a proper understanding of the accounts lo be
reached.
Mr G Mattocks FCA
Inde￿ndent Examiner
18 Mulbery Avenue
Turnstone Business Park
Wldnes
Cheshire
WA80
iJ/2i2C

Living Faith Church
Company Llmitod by Guarantse
Stat•m•nt of Financial Aclivitios
(includlng income and expenditure account)
Y•ar ended 31 May 2024
2024
Restricted
fvnds Total funds Total fvnds
2023
Unrestricted
fvnds
Incom• and •ndowrn•nts
Donations and legacies
Tol•l in¢om•
84,049
16,797
100.846
59,950
84,049
16,797
100,846
59,950
Expenditur•
Expenditure on charitable activities
Total •xp•ndl¢ur•
66,182
66.182
16.797
82.979
57,329
57.329
16,797
82,979
N•t Ineom• and net mov•m•nt In fvnd$
17.867
17,867
2.621
R•Mnclllallon of funds
Total fvnds brought fO￿ard
Total funds earrwd forward
223,639
241,506
223,639
241,606
221,018
223,639
The statement of financial activities includes all gains and losses recognised in the year.
All income and expenditure derive from continuing actÉvities.
Th• n¢t•6 on ￿9•5 7 to 14 forni part of th•se Ilnan¢lal staternen

Living Faith Church
Company Limit•d by Guarantee
Statemont 01 Financial Position
31 May 2024
2024
2023
Flx•d ass•ts
Tangible fixed assets
12
188,370
188,818
Cuvr•nt ass•ts
Debtors
Cash al bank and In hand
13
9,602
46.265
4,977
32,258
66,767
37,235
Cr•dltors: amounts falllnq du• within oh• y￿r
Not ourr•nt ass•ts
14
2,631
2,414
63,136
241,606
241,608
34.821
Total ass•ts l•ss ¢ufTent Ilabllhl•s
223.639
N•t ass•ts
223.639
Funds of t￿ ¢harlty
Unrestricted funds
241,608
241,506
223,639
223,639
Tol#l eharlty luftds
17
For the year ending 31 May 2024 the charity was entitled to exemptlon from audtt under section 477 of
the Companies Act 2006 relating to small companies.
Directors, responsibilities..
The members have not required the company lo obtain an audlt of financial statements for the
year in question in accordan￿ with section 476..
The directors acknowledge their responsibilities forcomptying with the requlrements ofthe Act wtth
respect to accounting records and the preparation of financial statements.
These financial statements have t*en prepared in accordance with the provisions applicab￿ to
ompan￿8 subject to the small companies. regim8.
These financial statements were approved by the board of trustees and auth￿Ised for issue on
..13./£7.oaLS and are signed on behalf of the b08rd by:
Bishop S L Evans
Tnjstee
Th* n•te¥ t)n pages 7 to 14 fmn part of th•s• fI￿n¢la1 ststem•nts.

Living Faith Church
Company Limlt•d by Guarant•0
Notes to th• Flnancial Statements
Year •nd•d 31 May 2024
G•n•ral Inlormatlon
The charity is a public ￿nefft entity and a private company limited by guarantee, registered in
England and Wales and a registered charity in England and Wales. The address of the registered
office is Living Faith Church, 25 Church Street. Orrell, Wgan, VVN5 8TG.
8tat•ment ol ¢gmpllanc•
These finar￿181 statements have been prepared in compliance with FRS 102, The Financial
Repoiting Standard applicable in the UK and the Republ￿ of Ireland,. the Stslemenl of
Recommended Practi¢% applicable to charities preparing their accounts in accordance with the
Financial Reporting Standard appllcable in the UK and Republic of Ireland IFRS 1021 (Charities
SORP IFRS 10211 and the Companies Act 2006.
A￿OUntIng polici•s
Basls ol Pr0￿ratIon
The financial statements have been prepared on the historical cost basis, as mcrfJifi8d by the
revaluation of ￿rtain financial assets and liabilities and investment properties measured al fair
value through incorrE or expendibjre.
The financial statements are prepared in sterling. which is the functional currency of the entity.
Golng conc•rn
There are no material uncertainties about the charFty's abilty to continue.
Judg•m•nt5 and k•y sour¢•s of •stlmatlon uno•rtalThty
The preparation of the financial statements requires management lo make judgements, estimates
and assumptions that affect the amounts reported. These estimat8s and judgements are
continualty revrewed and are based on experiencg and other factors, inctuding ex￿ctatIOnS of
future events that are believed to be reasonab￿ under the circumstances.
Fund a¢Muntlng
Unrestrlcted ￿ndS are avaiL9ble for use at the discretion of the trustees to further any of the
charity's purposes.
Designated funds are unrestricted funds eannarked by the tnJ$lees for Part￿Ular future project or
commitment.
Restricted fvnds are subjected to restrictions on their expenditure declared by the donor or through
the terms of an appeal, and fall into one of tsvo Su￿asses.. restricled income funds or endowment
fvnds.

Living Faith Church
Company Limited by Guaranto0
Not•s to the Financlal Stat•m•nts I¢<￿￿￿￿¥d}
Yoar gndgd 31 May 2024
Accounting polrcitis (conllnu
Inwnlng r•sour¢•s
l incoming resources are induded in the statement of financial activities when entitlement has
passed to the charty: it is probable that the economic benefits associated with the transaction will
flow lo the charity and the amount can be reliably measured. The following speciffc Folicies are
applied to particutar categories of incom&'.
incorne from donations or grants is recognised when there is evidence of entitlement to the
gift, receipt is probable and its amount can be measured reliably.
legacy income is recognised when receipt is probable and entiuement És estsblished.
income from donated goods is measured at the fair value of the goods unless this is
impractical to measure reliabty, In which case the value is derived from tho cost to the donor
or the estimated rgsafe value. Donated facilities and services are recognised in the accounts
when received rf the value ba reliab￿ m8asured. No amoursts are included for the
contribution of general volunteers.
income from contracts for the supply of seNices is recognised with the dglivery of the
contracted service. This is classified as unrestricted funds unless there is a conlraclual
requirement for il to be spent on a particular purpose and retumed if unspenL in which case
il may be regarded as restricted.
R•sour¢•s ¢xpended
Expenditure is reccyJnised on an accruals basis as a liability is incurred. Expenditure inGludes any
VAT which cannot be fulty recover&J. and is classified under headings of the 5tatsm8nt of financial
activities to which it relates".
8XP8nditure on raising fijnds includes the costs of all fvrKlraising actNilies, events, non-
charitable trading activities. and the sale of donated gC￿￿s.
eX￿ndItUre on tharitable activities includos all costs incurred by 8 charity in undertaking
activit￿S that fvrther its charilable aims for the benefit of its benefiuaries, including those
support costs and costs relating to the governance of the charity apportioned to charitable
aclivilies.
other expenditure includes all expenditure that is neither related to raising funds for the charity
nor part of its eX￿ndit￿re on charitable activities.
Al costs are allocated to expenditure ￿tegOrieS reflecting the use of the resource. Direct costs
attribulable to a single actNity are allocated direclty to that actwity. Shared costs are apportioned
befv￿en the activities they contribute to on a reasonable. justifiable and consistent basis.
Tanglbl• as$•ts
All fixed assets are initialty recorded at cost.

Living Falth Church
Company Limlted by Guarantso
Not•s to th• Financial Statoments (eondnu
Y•ar •nded 31 May 2024
Al￿oUntIng polleles (¢onllnu•dJ
Depr•¢latlon
Depreciation is calculated so as to write off the cost orvaluation of an as$eL less its reshlual value,
over the usefijl ￿n0m￿ life of that assot as follows:
Equipment
25% red￿ng balance
Impairnwit olfix•d ass•ts
A review for indicators of impalm￿t is carried out at each reporting date. with the recoverable
amount being estimated where such indicators exist. ￿ere the carrying value exceeds the
recoverable amounc the asset is impaired accordingly. Pri)r impaimients are also revi9v￿1 for
FX)ssible reversal at each reporting dale.
For the purposes of impainr*nt testing, when it 1$ not Fossible to estimat8 the recoverable amount
of an indwidual asset, an estlmate is made of the recoverable amount of the cash-generating unit
to which the asset belongs. The cash-generating unit is the smallest Identifiab￿ group of assets
that includes th8 asset and g&nerates cash inflows that largely independent of the cash inflows
from other assets or groups of assets.
For impairment testing of goodwill, the goodwill acquired in a business combination is, from tho
acquisition date, allocated to each of the cash-9eneTating ut7its that are expgcled to benefft from
the synergies of the combination, irrespective of whether other assets or liabilities of the charity
are asgigned lo those unlts.
Governm•nt grants
Govemmenl grants are recognised at the fraiT value ofthe asset r8ceived or ￿1vable. Grants are
not recognised until there is reasonable assurance that the charity will comply with the conditions
attaching lo them arsd the grants will be received.
)ere the grant does not impose speclfied fvture perfomiance-related condibons on Ihe recipient.
it is recognised in incomg when the grant proceeds are received or receivable. ￿fvere the grant
d¢xs impose specified future performance-related conditions on the recipient, it19 recognisod in
income only when the performance-related condf(ions have l)een met. N)ere grants received are
prior to satisfying thè revenue recognition criteria. they are recognised as a liability.
Flnanelil Instrum•nts
A financial asset or a financial liability is re￿nised onty when the entity bewmes a paty lo the
contractual provisions of the instrumenL
Bastc financial inslnjments are inilialty recc¥Jnised at the amount receNabl6 or payable including
any related Iransaclion costs, unless the arrangement constitutes a financing transaction, wh8re it
is recognised at Ihe present value of the luture payments diS￿U￿ted at a market rale of interest
for a similar debt instrument.

Living Faith Church
Company Limit•d by Guarant••
Notas to the Financial Slatsm•nts {¢onJnu•d)
Y•ar ended 31 May 2024
A¢¢ounllng poll¢i•s (¢onllnu•dJ
D•fin•d contrfbutl¢￿ plans
Contributions to defined contribution plans are Tecognisgd as an exp&nse in the pericxl in which
the related Serv￿ is provided. Prepaid contributions are rewgnised a$ an asset to the extent that
the prepayment will lead to a reduction in ftjture payments or a ￿$h refund.
hen contribLrtions are not expected to be settled wholly within 12 months of the end of the
reporting date in which the employees render the relaled service, the liability 18 measured on a
discounted present value basis. The unwinding of the discount is recognised as an expense in the
period in which it arises.
Limit•d by gu•rant••
The Company 1$ A Company limlled by guarantee having no shale capital.
Donations and logaci•s
Unreslricled
Funds
Restricted Total Funds
Funds
2024
Donatlons
Gifts & donations
84,049
84.049
Grants
Lottery fund
GoVernr￿nt grant Ir￿Me
other grant income
9,750
6,347
700
9,760
6,347
700
84.049
16,797
100,846
Unrestrict&J
Funds
Restricbj Total Funds
Funds
2023
Donatlons
Gifts & donations
59.827
59.827
Grnnts
Lottery fund
Government grant income
other grant income
123
123
59,950
59,950
10

Llvlng Faith Church
Company Limit￿ by Guarantae
Notss to th• Financial Statements f¢onthu
Y￿r endod 31 Paay 2024
Exp•ndltur• on oharltsbl• oQtlvltl•s by fund type
Unrestricted
Funds
Restricled Totsl Funds
Fund$
2024
Direct charitabl& activities
Support costs
84,880
1,302
16,797
81.677
1,302
82,979
66.182
16,797
Unrestricled
Funds
Restrict&1 Total Funds
Funds
2023
Direct charitable activities
Support costs
56.189
1.140
56,189
1,140
57.329
57.329
Exp•nditure on Gharitable actlviti•s by actlvlty typ•
Activities
undertaken
directly
Support Totsl fund5
costs
2024
Total fund
2023
Direct charitable activities
Governanc8 costs
81,677
81,677
1,302
82,979
,189
1,140
1,302
81,677
1.302
57,329
N¢1 in¢om•
Net income is stated after chargingl{creditingl.'
2024
2023
Depreciation of tangible assets
597
Ind•p•nd•nt •xaminatlon f••s
2024
2023
Fees payable to the independent examinei for..
1Trde￿ndent examination of the financial statements
780
10. Staff costs
The average head count of employees during the year was 212023.. 1). The average number of
fvll-lime equivalent employees during the year is analysed as follows..
2024
2023
No.
Number of staff
11

Living Faith Church
Company Limitod by Guarant•0
Not•s to tho Finan¢ial Statom•nts (eontrftu•d)
Year ended 31 May 2024
10. Staff costs (eonthJu•d)
No employee receNed employee benefits of more than £60,000 during the year12023: Nil).
11. Trusts• r•muD•ration and •xpns•s
One of the trustees has been paid remuneration from employment with the charity.
12. Tangibl• fw•d ass•ts
Land and
buildings
Equipment
Totsl
Cost
At 1 Jun• 2023 and 31 May 2024
D•pr•¢lation
At 1 Jijne 2023
Charge for the year
At 31 May 2024
Carrying amount
At 31 May 2024
At 31 May 2023
187,026
12.992
200,018
11.200
448
11.200
11,648
187,026
188,370
188.818
187,026
1,792
13. O•bto
2024
2023
Other debtors
9,502
4,977
14. Cf•dltovs: amounts hlllng du• wlthln on• y•Ar
2024
2023
Accruals and deferred inc4Jme
Social s￿urity and other taxes
2,037
694
1,963
451
2,831
2,414
16. Penslons and oth•r post rntlr•m•nt b•n•fits
D•fin•d ¢ontrfbulion pl4n5
The amount recognised in income or expenditure as an expense in relation to defined contribution
plans was £82612023.. £530).
12

Living Faith Church
Company Limitod by Guarantae
Notss to th• Financial Statsments (eoftJnu•dJ
Yoar ond•d 31 May 2024
16. Gov•rnment grants
The amcrfjnts re¢ognised in the flnancial statements for government grants are as follows:
2024
2023
Recconised In income from donations and legacies."
Govemment grants income
8.347
123
17. Analysls of eharltable funds
Unr¢strlthd funds
At
1 June 2023
At
Income Expendtture 31 May 2024
General funds
223,639
84.049
166.1821
241,606
At
1 Jun8 2022
At
Income Expenditur& 31 May 2023
General funds
221,018
59,950
157.329)
223,839
R•strict•d funds
At
1 June 2023
At
Incom8 Eyndilure 31 May 2024
Buildir7g Fund
16,797
<16,7971
At
1 June 2022
Income Expenditure 31 May 2023
Building Fund
During the year, LNing Faith Church received grants from the following fijndets, in fLFrtherance of
il's charitable actNities'.
National Lottery Awards for All
Wgan Borough Council- Brighter Borough Fund
Wlgan Borough Council - Household Support Fund
gan Borough Council - Community Fund
Forever Manchester
Feeding Britain
13

Living Faith Church
Company Limit•d by Guaranteg
Notes to th• Flnancial Statemgnts f¢oRthu•dJ
Y•ar •ndod 31 May 2024
18. Analysis of not •ss•ts b•twMn lunds
Unrestricted Total Funts
Funds
2024
Tangible fixed assets
Current assets
Creditors less than 1 year
188.370
55,767
12.631)
241,506
188,370
66.767
(2.6311
241,606
N•t ass•ts
Unrestrict￿1 Total Funds
Funds
2()23
Tangible fixed assets
Current assets
Creditors less than 1 year
N•t ass•ts
188,818
37.235
12.4141
223,639
188,818
37,235
12,414}
223,639
19. Flnanolal Instfum•nts
The company currentty holds no financial instfuments.
20. R•lat•d parU•s
Includ￿ in the wages and salaries in the financial stateffEnts Is the an￿Unt of £25,502 which is
the salary of one of the trustees. paid in his role as pastor.
14

Living Falth Church
Company Llmit8d by Guarante•
Manag•m•nt Infonnation
Year ended 31 May 2024
Th• following pag•s do not forni part of th• flninolal stat•m•nt
16

Living Faith Church
Company Llmit•d by Guaranto0
D•tallod Statement of Financial Aetivitias
Year ended 31 May 2024
2024
2023
In¢om• and •ndowm•nts
Donations and legaci•s
Gifts & donations
Lottery fijnd
Govemment grant income
Other grant inco
59,827
9,760
6,347
700
123
100.846
59,950
Totsl Incom•
100,846
59,950
Exp¢ndltuv•
Expendltsre on ¢hartt•bh a¢tJvltles
Purchases
Wages and salaries
Pension costs
Rates and water
Light and heat
Repairs and maintenance
Insurance
Other motorltravel costs
Legal and professional fees
Other office costs
Depreciation
other business cx)sts
Gifts
Resources
13,399
39,602
826
4,829
4h76
1,071
668
1447
1.302
273
448
3,392
726
1.181
2,716
3,875
38
12
3.292
23,565
530
4,542
7.087
324
679
2,142
4,390
324
597
5,390
675
1,492
2,300
Missions
Advertising and promotion
Courses
82,979
57,329
Total exp¢ndrture
82,979
57,329
N•t In¢om•
17,887
2,621
16

Living Faith Church
Company Llmited by Guarant•e
Notss to tho Detailed Statament of Financial Activiti•s
Year ended 31 May 2024
2024
2023
Exp•nditur• on ¢haritabl• a¢tlvttl•s
Dir•¢t ¢harltable activiti•s
Activities undertakon dirg¢Jy
Purchases
Wag8s and salari8S
Pension costs
Rates and water
Light and heat
Repairs and maintenanca
Insur8nce
Other motorltravel costs
Legal and professw)nal fees
Other office costs
Depreciation
Other business costs
Grfis
Resource5
Food
Missions
Advertising and promotlon
Cours&s
13,399
39,502
826
4829
4,476
1,071
3,292
23,565
530
4,542
7,087
324
679
2,142
3,250
324
597
5.390
675
4N47
273
448
3.392
720
1,181
2.716
3.676
38
12
1,492
2,300
81,677
56.189
Gov•rnan¢• ¢osts
Govemance costs- accountancy fees
1,302
1.140
Expèndfture on charltabl• a¢tlvlt1•5
82,979
57,329
17