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2022-07-31-accounts

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.
During the year under review, the charity made various donations to very
poor areas ofGhana to support the provision ofclean water and
educational
facilities.
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
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) 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