| 1. To advance the Christian | Religion for the benefit ofthe | Religion for the benefit ofthe | Religion for the benefit ofthe | public | public | ||||
|---|---|---|---|---|---|---|---|---|---|
| 2. The prevention or relief |
of poverty or | financial hardship |
anywhere | ||||||
| Summary ofthe objects charity set out in its governing document |
ofthe | in the world by providing or assisting in the provision ofeducation, training, healthcare projects and all the necessary support designed to enable individuals to generate a sustainable income and be self sufficient. |
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| During the year under review, the charity made various donations | to very | ||||||||
| poor areas ofGhana to support | the provision | ofclean water | and | ||||||
| educational facilities. |
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| For educational purposes, the charity provided books, printed |
handouts, | ||||||||
| CDs and face to face preaching | and lecturing | in communities | around | ||||||
| Watford and London. Some ofthe materials |
were also sent to | Ghana. | |||||||
| Summary | ofthe main | ||||||||
| activities undertaken | for | the | |||||||
| public benefit in relation | to | ||||||||
| these objects (include | within | ||||||||
| this section the statutory | |||||||||
| declaration | that trustees | have | |||||||
| had regard | tothe guidance | ||||||||
| issued by | the Charity | ||||||||
| Commission on public |
|||||||||
| benefit) |
| ACTIVE AI'vlBASSADORS OF CHRIST INTERNATIONAL | ACTIVE AI'vlBASSADORS OF CHRIST INTERNATIONAL | ACTIVE AI'vlBASSADORS OF CHRIST INTERNATIONAL | ACTIVE AI'vlBASSADORS OF CHRIST INTERNATIONAL | MIMISTR | MIMISTR | Chanty | No | ||||
|---|---|---|---|---|---|---|---|---|---|---|---|
| Annual accounts for the |
(if any) eriod |
1150230 | CC | 7a | |||||||
| Period end | |||||||||||
| Period start date | 01-Aug-21 | To | date | 31-Jul-22 | |||||||
| Recommended | Details of own | e | Unrestricted | Restricted income | Endowment | Total this | Total last | ||||
| categories by activity |
analysis | fundsf | funds | funds F |
year | year | |||||
| Incoming resources (Note 3) |
F01 | F02 | F03 | F04 | F05 | ||||||
| Incoming resources from generated funds |
Tithes &offerin s | 111,669 | 111,669 | 67,398 | |||||||
| Interest received | Buildin fund |
sot | 10 | ||||||||
| Actvities for generating funds |
Buildin fund |
802 | |||||||||
| Donations | 22,100 | 22,100 | 8,519 | ||||||||
| Incoming resources from | |||||||||||
| charitable activities |
|||||||||||
| Other incoming resources |
Giff Aid claims | sos | 27,684 | 27,684 | |||||||
| Totalincoming resources |
sos | 161,456 | 161,456 | 75,927 | |||||||
| Resources expended | (Notes 4-8) | ||||||||||
| Costs ofGenerating Funds |
|||||||||||
| Costs ofgenerating voluntary income |
Admin ex s | S07 | 153,423 | 153,423 | 106,246 | ||||||
| Fuudiaising trading costs |
808 | ||||||||||
| Investment management costs |
Suu | ||||||||||
| Charitable activities |
810 | ||||||||||
| Governance costs |
811 | ||||||||||
| Other resources expended | S12 | ||||||||||
| Total resources expended | sm | 153,423 | 153,423 | 106,246 | |||||||
| Net incomingl(outgoing) resources before transfers |
st4 | 8,033 | 8,033 | 30,319 | |||||||
| Gross transfers between funds |
815 | ||||||||||
| Net( ncomi ngy(outgoing) resources befom other recognised gains((lossesj |
st0 | 8,033 | 8,033 | 30,319 | |||||||
| Other recognised gains/(losses) |
|||||||||||
| Gains and losses on revaluation offixed assets |
|||||||||||
| for the charity's own use |
S17 | ||||||||||
| Gains and losses on investment assets |
S18 | ||||||||||
| Net | movementin funds |
siu | 8,033 | 8,033 | 30,319 | ||||||
| Prior year adjustment Total funds brought forward |
820 | 123,255 | 123,255 | 153,574 | |||||||
| Total funds canted forward | s21 | 131,288 | 131,288 | 123,255 |
| ~ a |
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|---|---|---|---|---|---|---|---|---|---|
| Restricted | |||||||||
| 4 | Unrestricted | income | Endowment | Total last | |||||
| z | funds K |
funds f |
funds E |
Total this year F |
year E |
||||
| Fixed assets | F01 | F02 | F03 | F04 | F05 | ||||
| Tangible assets | (Note 9) | 801 | |||||||
| 802 | |||||||||
| (Note 10) | 803 | ||||||||
| Total fixed assets | |||||||||
| Current assets | |||||||||
| Stock and work in | progress | 805 | |||||||
| Debtors | (Note 11) | 806 | |||||||
| (Short term) investments Cash at bank and in hand |
807 808 |
95,885 | 35,403 | 131,288 | 123,255 | ||||
| Total current assets | 809 | 95,885 | 35,403 | 131,288 | 123,255 | ||||
| Creditors: amounts falling due within |
|||||||||
| one year (Note 12) |
810 | ||||||||
| Net current assets/(liabilities) | 8« | 95,885 | 35,403 | 131,288 | 123,255 | ||||
| Total assets less current liabi%ties | 812 | 123,255 | |||||||
| Creditors: amounts falling due after |
|||||||||
| one year | (Note 12) | 813 | |||||||
| Provisions for liabilities and charges |
814 | ||||||||
| Net assets | 815 | 95,885 | 35,403 | 131,288 | 123,255 | ||||
| Funds ofthe Charity Unrestricted funds |
816 | 95,885 | 95,885 | 87,856 | |||||
| 817 | |||||||||
| Restricted income | funds (Note 13) | 818 | 35,403 | 35,403 | 35,399 | ||||
| Endowment funds |
(Note 13) | 819 | |||||||
| Total funds | 820 | 95,885 | 35,403 | 131,288 | 123,255 | ||||
| Signed by one or lwo the trustees |
trustees on behalf ofail |
Signature | Print Name | Date of a roval |
|||||
| gabert | rfr | W~~or | ROBERT ADOMA MENSAH | 16/02/2023 |