CHRIST HOPE OF GLORY
MINISTRIES
(CHOGM)
6Christ in You, the Hope of Glory,
TRUSTEES REPORT AND ACCOUNTS
31°. JULY 2024
Christ Hope of Glory Ministries
Pure Office Suit 23 Midshires House, Midshires Business Park, Smeaton
Close, Aylesbury, England, HP19 8HL

C.'IIRIST IIOPF. OF GLORY ￿]INIsTRIF.5
ST
R&=POR"I" OTr "fi4E 'I'RIISI'EES b-OR TIIF. YEAR EIYDED 31 JIII.Y 2024.
Tlie tru4tLC% Ot" tliL chariiy prcscnt ilicir rcport with tlie financial statemLnl.% of thc
cliai'ily l()r iliL yL'ar L'iidL'd 31- July.20?4. TIIL. Iru%lLL"% liavL adoplL'd ihL prc>vi%i()ns or
IIIL. SlalLinLnl ()I' IIL'LOIMtnL"ndLd l)racliLe IS()III') 'ALLounling¥ lind Ileportin& by
C'li¢iritiLS' i5SUL'd in Mill'LlI 2005.
RTr:FFRF.NC'.F. AND ADMINISTRATIVF. DF.TAII.S
Rekiislei"ed C'harity Number
1.500.78
Rc%istcrcd olTice
Pui-L' Ol'l ILL
Siiil ?.l M id%liirLs F-IousL
M iclsliii'L'S Ilii%iiiLs51)<irk
SIiiL'cltiiii L"'10sc
AylL'sbury
I Ipi L) xi11.
'iistecs
P41%1(11' l)r. DoniiniL Aniin
M% Ji).%LpliinL' I ILni)Lli
Scil()IllL'y Aild¢inLy
Tni%lcL' (C'li<ii nnanl
Tru%lL
I"ru.%lL'L'
Indepen(lent Tr'Yamincr%
X-siar Maiia¥>L'lll¥ni %LrviLL'S LiinitLd
5.1 %dxvillL' IIi)iid
Oi'i)i ngFI()n. KL'nl
BII5 3AN
Ilankers
Sum-up
ZEN
Cashplus
CAF

STRUCTURE, GOVERNANCE AND MANAGEMENT
• Governing (locument
I"he charity is ¢onlrollL'd by its governing documcnl. thc Constitulion (ind Loiistilulcs a
cliarity, as dctined by thc Charitics Act 2011.
Illembership of truslee board.
Tlic Iru%teL4 ()f IliL' charity arc also N'oluiilary trustcc% for tliL purposL'S of cliarity law
aiid under the Lliiirity'% Con4titulion dre known a5 iiiLIMbep• l)I"IhL Tru%lee% Board.
In(luction and training of trustees
All irustcLs arL Iiiinili¢ir wilh the pracliLal work ol. IhL Lhurcli an(1 have undLrtakLn
IrJiningF to support tliLii' rolc.
• ()rganisational structure
ThL Tni%lL'L Fliiard iii¢Ll% qudrtLrly. aiid a qil¢lrtcrly brJncl) li"cclback rLport is given al
L'<lLli InL'Lting. ThL 13rdnLlI PJ4lc)r lias IhL' rL'%p()nsibi l ily for thL (lay-lo-day i)PL'f£lticinal
In<in<i&vLinL'nl c)1" IIIL Lhurcl) suppc)rtLd by thc A.4%i%tcini P¢15tor LILYIL'd by ihL branLI).
• Risk managemcnl
TIIL. Tru%lLL'4 hai'L ¢1 dilly li) idLnlily ancl rLviLw Ihc risk.s Ic) wliiLlI tIiL LliJrily 1.4 L.xP()￿.d
Iiicl i() L'n4iirL ilPI)I'()pfi¢ilc conlrc)l% drL iii pl¢lLL Ic) prc)viclL' rca%c)n4ihlL i¢%%urdnLL' abiainst
¢iiid ¢ind Qrror.
Iiilcrniil coiitrol ri%k% arc ininijiiiscd by thL iniplcinciitalion ot" procL'durc8 for
IILiIII()I'i.%(Iti¢)ii c)r all ii-aii%<iLlion% 41nd pr()jLLt%. Prc)LedurL% ¢iiid ri%k a%SLS.4lllints arL' in
plilLL Ic) Lnsurc c()InpliiinLL' with I ILJlili ¢ind SafLly C)I' Vi)lunlL'L'￿; mLinbLr%' Lhildrcn:
ind vi%ilc)rs tc) IhL Ll)iircli.
. OBJECTIVES AND ACTIVITIES
AC'IIITr'VTr:MI,:N'l'fi b'OR 2023 124- C'hrist Iloi)e of c.lory ]4qinistry
Maintsined the virtual meetings for prayers.
Caried on with the monthly payment for the church bus which is being used foi church
activities.
Had a youth summit to meet with all the young people in the church on ways to use
social media to grow the Ghurch.
The Youth carried on helping lo manage the kids, services virtually. Kids service has
been split into two different classes for services to be age appropriate.

Continued the dad's "day of cooking for the family tradition" for the church in August. All
church dads cooked and Prepared a feast for their wives and childTen.
Took a family break vacation for Couples in the church - July 26 - 3 August to Kent.
3 of the members of the Youth church went to the University.
.In person services resumed fully at a New Place in Watford as well as in Aylesbury. the
church currently holds a joint service in Watford every four months
Maintained the youth services meetings online via zoom.
OUR TARGETS 2023124
Maintain the youth engagement with the church even when they are on University
Campus.
We at getting another venue in Aylesbury to maintain the congregants that live in
Aylesbury.
Train even more young people to use instruments.
Help other families to set up family time in building Christian homes.
Implement youth ideas for the Watford Branch and to have youth in person services.
Get more families to make the trip to the holy land- Israel whenever there peace in
Israel.
'INANC:IAI. REVIEW
'I"lic rc.4uli.8 for ihc ye<if K?nd ilie tinancial position ot.lhc chariiy arc as .%hown in thc iinnexcd
findiicial sl¢ilL'inL'nl%. ThL lotal iiiLoiningTr rLwurcL% lor 2()?4 wa.4 £478.()61 LoinparL'd wilh
£2.3172? jii ?()?23. Tlii4 is a %ig5ni l iLanl inLfL'asL in ihL' inL()Iningi rL'%ciufLL% wIIiLli mLan% ihal
IhL C'liariiy was ablL to iiiLL>l its c)bligiations and inLrL'asLII il.% rL'sL'rvL's.
Reserves i)olicy
TIIL. charity is kLL'pinbi an appri)prialL' IL'VL'I c)I"rLsLfvL'% l() pr<itL'cI ilsL'I fag¢lii)%l aiiy unl()rLsLen
LVLnluJliliL'% %iJLli C'QVI I)-19. which 1% Liirrently h41ViligJ il% loll ()ii iIiL I InanLL% of ino%l
Lharitics across 11)0 gil{)bc.
Prin¢ii)al fundin% sources
Al prL%c'ni ihL Indjiirily i)r IhL' LhurLh's fundin&¥ conlinuLS to LC)InL fri)In IhL liihLs and
¢c)IILxtion ol"dlins and anniial harvL"sl to support all il5 prinLipal aLliviliL's.

C. STATEMENT OF TRUSTEES RESPONSIBILITIES
-l-IIL Ii'11slLL% 'iic TL%p<iii%ihlL Ii)r i)rLI)'ii-iiii¥ Ili¢ l jii'lilLldil %liil¢'i)ILiiI% iii ilLL()rcl:InLL' ii'iIII
4lPI?liiiil)l¢ l(IIN' Ill)cl I Ii)ilLcI [% jii%Y{l(Iiii ( iLIILfiillv AILLI)ILII ALLI)Iiiiliiig l)r:ic IiLL { I IK
(IAAI)
('liili'ilv Iilll, I'liiiii IliL IIu%liL% It) i)rLIKII-L liiiilllLicil .%liiliiiiLiil% li)I' L41111 liii-liiL i¢il VL41r.
IliiilLI- Iliiil l¢lll' IIIL Iriis11¢s 11'ii'L LILLILCI Ici i)l-Ll)iifi IIiL liii:IiiLi:Il %l:IlLIIILiII% iii
4ILLI)I'ililllL¥ i¥'iil) IIIL I liiilLII li iliLb(l()iii ( iciicrrtil Iv ALiil)ILII ALI"c)Iiiil iliL? l)r:ILliii' (I li) jlL{I
K ii141Llciiii AiLI)Iiiil jii£> %lilllcl'ii'cl% 'iiid ¢ll)175iL411?IL lilll,). 'I'IIL liii'iiiiliil %lcilLII)Lllt% iirc
.1 Irul &iiiil 14iif i'iLIK' ()I' IIIL %l:Ilc' i)I' .1 I"I".iirs 4>1" IIIL Lliarildil)IL
L()11)l)'Iii}'
Iticl ()I' Ilic .%iii-i)lii% i)i' clLIiLiI c>1" Il)L' Lli41ri1'ihlL LI)1111)¢lll), fi>r 117411 1?Lri()cl. In
)I'LPill'il}L IIic)SL I Iii'lllL'.i411 %l*ilLIIILiII.%. IIIL Irii%lLL% 4ifL fL'CltiirLcI I()
Illi l %iiil411?l¥ &lL Ll)IiiIIiiiL I)iil IL IL% 411111 IIILI) 411)i)ly il)Llll LC)ii%i%IL iiilv:
'IIL Ii'ii.%lLI % ;II'L I'L%iiiiii%ihli l(11- k'L¥I)i111
'I'IIL'V IllL
11. 41'l'A'I'I,: NI I.: N'I- A% -I'() l)I.%('I.(I%I IRI,; ()I.' I N I."C)Rll,I'l'l()Ni I'()
I,: INI)I,:I>I,'￿I1l..Y.l' I,:NAfiiiiYI.'R.
()N 111,: I l ill.li {)1. I'l I I,. 111),,I111)=
?I,i)X 111?4

INDEPF.NDENT EXAMINER'l> REPORT
TO TFIE TRIISTEE.S OF C'IIRIST IIOPF. OF GLORY MINISTRIFS.
We report on the accounts of the Church for Ihe year ended 31" July. 2024 whith comprise the Statement
of Financial Aclivilies. the Balance Sheet and relaled noles set out on pages 10 10 11.
This rew)rt is made sdely lo Ihe Church CouDcII (Tyusleesl in accorthnce v4ith Sectwjn 145 of ihe Charitles
Act 2011. Oui woik have been undertaken so that we might state to Ihe charity's trustees Ihose matters
that we are required to stale to them in an Ir￿epe[¥JenI Examiner's report and for no other purpose. To the
fullest extent pemitted by law, we do not accept or assulne responsibilily lo anyone other than the Church
and the Church's Irustees for our examinalion work.
Respective responsibilit*s of Trustees and Examiner
The Church's Iiuslees are resw)nsible for the pTepaiation of the accDunls. They consider that an audit is
not iequired for Ihis yeai (under Section 144 of the Charilies Act 2011 (the Charilies Actll and that an
independent examination is needed.
11 is our responsibility lo-.
Examine Ihe accounts (under Sect*)n 145 of the Charities Acl):
To follow the proGeduies laid down In the General Di￿110n5 glven by the Charity Commissioner
(under Section 14515llbl of the Charilies Act),. and
To slate whether parliGular mallevs have come lo our attention.
Basis of Independent Examinerfs report:
Our examii)alion was cA4rried out in aceoTdance wilh th8 General Directions given by Ihe Charity
Commissioner.
An examinaiion includgs a review of &counting records kept by the Church and a comparison of the
accoun15 piesenled with those records. 11 also includes consideration of any unusual ilems or disclosures in
Ihe accounts. and seeking explanalions from you as truslees concerning any such m(IUep4.
The procedures undertBken do not provide all the evidence that would be required in an audil, and
consequenuy no opinion is given as to whelher Ihe accounts present a 'tsue and fair view and the report is
limited lo those matters sel out in the statement below.
Independent Examiner's statement
In connection wilh our examination, no matter has come lo our altenlion..
1. Which gives us reasonable Gause to believe that in any material respect Ihe requiiements-.
lo keep accounling recoids in accordance wilh Section 130 01 Ihe ChaTlties Act: and
lo prepare ac(x)unls which accord with the accounting recDTds and comply with the accrwnliro
requirements of the Charities Act
Have not been m81., or
2. To which, in our opinion. allenlion should be drawn in order to enable a proper undersianding of the
8ccounls lo be reached.
EMMANUEL NTIM, MS¢. FCCA
X-star Management Services Limiled
53 Saxville Road
Orpington
Kent
8R5 3AN
x.srAR IrfANAseHYrtt'SÉiiVTCES UMIrn>
038•Mvlll• R￿d, OrplDwoh. i(Mi, BR5 3AP•
¢)fnr•.'0168ge33934 Tol..079320?4018:
hAu
usl 202

CHRIST HOPE OF GLORY MINISTRIES
STATEMENT OF FINANCIAL ACTIVITIES
FOR THE PERIOD ENDED 31ST JULY 2024
2024
2024
2023
Total
Note
General Restricted
Total
INCOMING RESOURCE
Voluntary Income
Gift Aid Returns
Harvest
Investment Income
Totsl
389,471
89.190
389,471
89,190
197.077
20.232
8,095
6,318
231,722
478,661
478,661
Resources Expended
Charitable Expenditure
Special Collections
Building Project
Benevolent Fund
Management and Administration
454,131
454,131
223,742
Total
454,131
454,131
223,742
Net Incoming Resources
24.530
24,530
7,980
Loss on Valuation of Assets
Net Movement in Funds
24,530
24,530
7,980
Balance Brought Forward
22.738
22.738
14.758
Transfers
Balance Carried Forward
47,268
47,268
22,738

CHRIST HOPE OF GLORY MINISTRIES
BALANCE SHEET AS AT 31ST Jul 2024
2024
2024
2023
Note
Non4urrent Assets
TanJc ible Fixed Assets
Investments
74.337
40.566
Current Assets
Bank and Cash Balance
Deposits
Total Ctirrenl Assels..
7,339
12,255
19,594
12.255
13,440
Current Liabilities
Accriicils
Net Ciiienl Assets
Long term Liabiilities:
Bank Loan
Car Loan
Net Assets
600
600
12.540
8,000
10,354
68,523
8.033
43,993
Funds
Genercil FLinds bl
Nel Incoming Resources
43,993
24,530
36,013
7,980
68,523
43,993
N¢ime: Dr Dominic An
Signcltiire:
Dale..

CHRIST HOPE OF GLORY MINISTRIES
BALANCE SHEET AS AT 31ST Jul 2024
2024
2024
2023
Note
Nonlurrent Assets
Tangible Fixed Assets
Investments
74,337
40,566
Current Assets
Bank and Cash Balance
Deposits
Total Current Assets:
885
12.255
13,140
7,339
12,255
19,594
Current Liabilities
Accruals
Net Curent Assets
Long term Liabiilities:
Bank Loan
Car Loan
Net Assets
600
600
12,540
8,000
10,354
68,523
7,534
8,033
43,993
Funds
General Funds bf
Net Incoming Resources
43.993
24,530
36,013
7,980
68,523
43,993
Name.. Dr Dominic Anang
Signature..
Date:

CHRIST HOPE OF GLORY MINISTRIES
5T
NOTES TO THE FINANCIAL STATEMENT- 31 JULY, 2024
I. ACCOUNTING POLICIES
The financial statements have been prepared in accordance with applicable accounting Standards and
the Charities SORP.
The financial statements have been prepared under the historical cost convention except for the
valuation of investment assets, which are shown at market value. The financial statements include all
transactions, assets and liabilities for which the Church Council is responsible in law
Restricted Funds represents donations or grants received for a specific object or invited by the Church
Council for a specific object. The funds may only be expended on the specific object for which they were
given. Any balance remaining unspent at the end of each year must be carried forward as a balance on
that fund.
General Funds (Unrestrirted Funds) are general funds which can be used for Church Council ordinary
purposes.
2. INCOMING RESOURCES
Collections are recognised when made.
Amounts receivable under covenant are recognised only when honoured by the covenanter.
Income tax recoverable on covenanted or gift aid donations is recognised when claimable.
Grants and legacies are accounted for as soon as the church council is notif led of its entitlement. Funds
raised by the fete and sim ilar events are accounted for gross.
3. RESOURCES EXPENDED
Grants and donations are accounted for when paid over, or when awarded. if that award creates a
binding or constructive obligation on the Church Council.
Amounts received specifically for mission are dealt with as restricted funds. All other expenditure is
recognised when it is incurred and is accounted for gross.
4. FIXED ASSETS
Other fixtures. fittings and off ice equipment are stated at cost when incurred.
5. DEPRECIATION
Musical Instruments
250A Straight line on cost
Furniture & Equlpment
20 0/0 Straight line on cost.
Motor Vehicle
20Vo Straight line on cost

CHRIST HOPE OF GLORY MINISTRIES
NOTES TO THE FINANCIAL STATEMENTS- 3110712024
2 Incoming Resources
2024
2023
General
Restricted
TOTAL
TOTAL
2a Voluntsry Income
General Fund
Tithe & Offering
Gift Aid Returns
Social ( NM)
Special Offering
Children
Donations
Harvest
Women Ministries
Sundry Receipt
389,471
89,190
389,471
89.190
261,887
54.498
5,400
478,661
478.661 321,785.00
Bullding Project
Sundry Donations
Total
478,661
478,661
321,785
2c Activities in support of Objects
Fundraising
Walk Up Offering
2d Investment Income
Church Hall Lettings
Interest, dividend and gains
478.662
478,662
321,785

CHRIST HOPE OF GLORY MINISTRIES
NOTES TO THE ACCOUNTS- 3110712024
3 RESOURCES EXPENDED
2024
2023
Management Benevolent
Note & Admin
Fund
Totsl Total
Charltable Donation:
Rent
staff costs
Donations
Professional Fees
TransportlTraveVVehicle
Council Tax
Depreciation
Noblemen
Evangelisml Retreavministry
Supporting Ghana Ministry
ITI Website
Social Events
Training
Welfare
Children's Ministry
Pension
Rainbow Radio Program
Printing, Postage & Stationery
Insurance
Publicity
Bank charges
Women's Ministry
Office Expenses
40,152
18,354
6,000
8,250
17,717
125
26,190
9.155
32,813
195,351
610
25,000
21,064
6,219
5,820
300
2,358
1,224
225
160
400
13.000
23.644
454,131
40.152
18,354
6,000
8,250
17,717
125
26,190
9,155
32,813
195,351
610
25,000
21,064
6,219
5,820
300
2,358
1.224
225
160
400
13.000
23,644
0 454,131
24,548
39,889
15,172
2.150
12.488
124
11,941
9,854
22,973
17,007
205
6,752
6,200
10,502
16.354
940
2,690
1,462
672
1,109
331
10,518
9.861
223.742
10

4. TANGIBLE FIXED ASSETS
Musical
Instruments
Machinery &
Equipment
VAN
Total
COSTNALUATION
At 1 st August, 2023
Additions
At 31 st July, 2024
25,000
53.382
5,931
59,313
6,412
54.623
61,035
84,794
60,554
145,348
25.000
Depreciation:
Balance @ 1 st Aug 2023
Charge for the Year
Balance @ 1 st July 2024
10,000
5,000
15,000
28,995
5,931
34,926
5,826
15.259
21,085
44,821
26.190
71,011
Net Book Value:
As at 3110712024
10,000
24,387
39,950
74.337
As at 3110712023
20,000
18,817
1,125
39,942
5. Banklcash Balance
Sumup
ZEN
Cashplus
CAF
3,385
1,500
4,885
6. Staff costs
Net pay
TaxlNI
Pensions
16,771.00
1.283.00
300.00
18,354.00