EMPOWERED
COMMITTED CHRISTIAN
MINISTERIES
ANNUAL REPORT & FINANCIAL STATEMENTS
YEAR ENDING 31 DECEMBER 2022
Registered Charity Number 1150253

EMPOWERED COMMITTED CHRISTIAN MINISTRIES
FINANCIAL STATEMENTS
YEAR ENDING 31 DECEMBER 2022
CONTENTS
PAGES
Officers and professional advisers
Report of the trustees
3to7
Report of the Independent Examiner
Statement of financial activities
Balan￿ sheet
10
Cash flows statement
Notes to the financial statements
12to18
Pagè 1

EMPOWERED COMMirrED CHRISTIAN MINISTRIES
OFFICERS AND PROFESSIONAL ADVISERS
The Board of Trustees
W. J. Baah (Chaimian)
M. C. Lhotel-Nzelu
D. Page
M. Essiet
Registered Office
13 Gifford Avenue
Manchester
M9 6JH
Independent Examiner
Edwige Fomo CGMA
EFK & CO Consutting Ltd
132-134 Great Ancoats
Manchester
England
M4 6DE
Banker
Natwest Bank PIC
60 Portland Street
Manchester
M14QT
Page 2

EMPOWERED COMMirrED CHRISTIAN MINISTRIES
REPORT OF THE TRUSTEES
YEAR ENDING 31 DECEMBER 2022
The Trustees present thair repK)rt together Ihe finanual statements ofthe chaity for the ye81 ended 31 Decem1￿1
2022. rhe finanu81 staternents have been ¥K8pa¥8d in accoFthn¢e ￿1th the accou1￿"ng poliues set out OH pages 12 to
13 and comF4y WTth the Charty's Trust Deed and apr￿.{xtdÈ law.
Thesefinanaal statements comFty ￿7th the chanb.es Act 2011, the Attidès of Assoaaton, and Ac(x)unting and Reporting
by Charthes." Statement of Recommended P¥aclice aprlicatle to Chanties pTeparing thwr accounts in accordance with
the Financral ReporDng Stsndard5 apFli¢atrJe in thè UK and RepuNic of Irelarbd IFRS1021 (Charits"e$ SORP IFRS1021
and the Charibes Act 20111.
OBJECTIVES AND ACTIVITIES
The oty'ectives of ECCM are f￿ the benefft ofthe wtAic.
It exists to..
1. To athar*ce the Christian faith in aco)Tdance the ststemenl of fath in 5uth ways and in such parts oflhe Un
lfjngdorn or Ihè vA)rtd as the trustees from b.mè to time may think fft
2. To relieve heatth and financial hardship and to promotè and preserve Sound tM)dy and soul by the provision of funds,
gooth or Sérvi￿ of any kind. indudit¥J through the provi8ion of LY)unsdling and support in such parts of the united
kingdorn 01 the world as the trustees frorn to b.me may Ihink fft
3. To advance educa*"on in such Wdys and in such parts of thè Unrted King(kJm or the worfd as the trustees from time to
time may t￿nkfiL
ECCM Statement of Faith
We beAieve &)d, the Father almtghty. creator of h&wen an(1 oarth. We believe in Jesus Christ His only Son, our Lord.
Hè was conceived by the tA)wer ol the Hoty Split and ￿d8 l)om ofthe Mary. We believe He 5uffefèd undèr Pontius
late, was erucffied, (tied. and vos burièd loi our sirts. We ￿eve H& descended to hell and rose again tsn th6 third
day. We b￿l￿e He ascended into heaven and is seated at the right hand of thè Father where He wll come again to
judgo th6 living and the dead. W8 bdi•v• in the Hoty SriF4t and the Ho)y Church of God ¥wth the communion of th8
saints. the forgiveness of81r￿. the resuir*dion clthe and the lrfe everfasb"ng. Aman.
STRUCTURE, GOVERNANCE AND MANAGEMENT
ECCM is a Charits￿e Tr￿t COr￿tut&d ty a Tntst Deed. The chartty Ès g(Nemèd ty the Trustees listed on page 2.
New Trustees are aFprAnted tp/ the ￿5￿"nY BO8￿ crf TTrJ8kn based on their exFeth and irNofvernent in furthering the
rnissi￿ and vison of the chaiity.
The Board ofTrust8es has a variety ofexFertence indudrwj christ.an ministy, legal and ￿mmeri￿al business sknlL%. The
Board B arthunts￿e to the Chanty Commission for the ￿￿ul use of tharitstrA& and other putlic funth provided in a variety
of fonn$. and fcy the &hievement of aFpropriate [￿lo[M￿Ce stsndards in SeN1￿ delNery. The Board of Tr￿e$S meets
quarterfy to ovetsee the viwon aTrJ stratwes ofthe tha￿.
wrth the growth of activities of the Trusi an ev8r4ncrèasirKJ level rf expeiise is required on a daY-t￿daY basis and an
established management team is in F4aceth* is capaLle of mnningthe affaiTS ofthe Charity. Thetru8tees listed on pag8
2, arè in tharge of day-ttrday rnanagernent rnattets and are accountst4e to the trustees. They ar8 not paid by th
charty. This is r8view8d annuaty and mi9ht change in ac¢oitsn(* ¥Mth average earnings and the charty's fvnds
availa￿e.
Page3

EMPOWERED COMMITTED CHRISTIAN MINISTRIES
REPORT OF THE TRUSTEES
YEAR ENDING 31 DECEMBER 2022
STRUCTURE. GOVERNANCE AND MANAGEMENT(Continued)
The Trustees rernan cx)mmrtted lo athanang the Chrisb"an fwth.
Trustee Induction and Training
There are no specrfic F¥)lic¢es and Proceduresforthe indU￿or￿(raInIng oftrustsÈs. Howevef. they are inducted according
to individual requirernents.
A copy of the Charit￿$ TfU8tDéed is 8uwAiÈd. ￿Ong V*Tth the tharity& rdicies and pror£dures 8nd copies of iec8nt board
meetng minutès and ac￿unts. Indvidual Trustees. [￿￿￿9￿￿￿S7￿X"1￿"eS ar• negotialed all thetr￿tee8 $0 that their
roles cornF4ernenl each 9th81. Tha Ttuste6s make stiatw'c based on thefinancial p)srts'on of the thur¢h.
PUBLIC BENEFIT
The Trustees have paid due regard to the Chaitty Commlgsion's gu¥Jance on pUl￿1C benefit in deel¢*ng the activities
undertaken ty the Chanty in the year. The Trustee5 are satsfied that the 1nforrnab.on wovided In the report and accounts
meets the public benefit rèrM)rting fequirernents.
ACHIEVEMENTS AND PERFORMANCE
The ye8r 2022 wa5 a year of continued growth foi Empo*tred Cornmrited chttsb.an Miristries IECCMI. ECCM was
preth)minanUy fows8d on S￿￿"Ity and ensuring COEth"nuous improvement in 811 aspécts of rts OFeratsorffj which included
its charitatAe activ￿"&s, ycth emp)wermert( and strong communrty engagement
To this end. ￿an￿e￿ aL￿v￿e$ were cOnd￿ted to SUFPOrt the a¢￿"evement ofthe opera1ional goals. These were..
Supportfor deprived ry)rnmunits"e5 in Africa
2. Youth Conference
Married an¢J &ntye Conference
4. Church Lea(ler8hip Symposium
ECCM'6 defacto ao*"vities were Mainl￿Ded as is. These %%ere'.
Weekjy prayers
2. Sunday seryice
3. Counselling
ECCM engaged in various communty SUFV)rt thities in ddivering Idief iterrts and rendering servi￿$ to vulneraLle
church members and thè community at large. Th*e were..
Oistribution of food paicels
2. Support prayers
Pagè4

EMPOWERED COMMirrED CHRISTIAN MINISTRIES
REPORT OF THE TRUSTEES
YEAR ENDING 31 DECEMBER 2022
ACHIEVEMENTS AND PERFORMANCE (Continued)
Staff and volunteers
DuriHg this year the charty KBid ft>r the seThices of some ￿ts￿e, such as mechanicsfor Vans repairs, A¢countsTrt for
the bo0kkee￿ng aryj gift aid woceswng. Al other areas of the Chur{*￿CharIty are essent"3lly filled by volunteers wthout
whom the charity Could notfijnth'on.
FINANCIAL REVIEW
The Trustees have prepared the 8c¢ounb"ng polc#es for Ernpowere(I Committed Chrislan Ministlles in accordance w1h
the r6quir&ments of th8 SORP and of best accounting practKe.
Revlew of the year
The Trustees arè FAeased tts report a period of strong financial grihvth. The L*seline income has g)ne up to £46.100
12021.. £37,254). The Costs went down lo £21,312 12021.. £23.4181 and were contained N%ithin budget due to strong
financi￿ management and good cost contrd.
Income and Expenditure
ECCM relies on voluntsry income as rts prinupal souice d fun(Srag. Totl donation and legacies, indu(thng Gift Aid,
amounted lo £46,1￿l202l." £37.2541
Tithes received fiorn church members amounted to £13,19512021'. £10,980} which constitutes 29%12021.' 29°Al of all
voluntsry income. Offerings & Pledge donations lincluding Grft ￿dI totslled £30.50412021". £24,117) which accounts for
an extra 66%12021". 65.hl of vduntary income. £2,400funding in this year for ThanksgNing is12021". £2,1371 ieprÈsènts
5Q/012￿1.. 6%) of vduntary ino)me.
The costs of iatsing fijnds amounted to £1,70512￿21'. £1.6391. and the c08t# of fund genèrab.ng activites were £1,171
12021.. £1.492}.
Govemance
The £5CQ12021." £5001 'govèrnanee' costs indude the C￿ asso(xated *ith independent examinab'on ofthe acwunls.
Surplus
The totsl ino)ming resources exceeded thè resources expended in the wriod £24,78812021' £13,836) and this is
held as unrestricted funds.
Balance Sheet
The Balance She&l as at 31st D8cember 2022 Sfds strong ertsuring that thè chaiity has the assets required to deliver its
commitments to the ¢ommunEty.
Induded in Fixed assets are Motor Veh'des and PA systenB valw(t £8.126 (2021" £11.760).
Page5

EMPOWERED COMMITTED CHRISTIAN MINISTRIES
REPORT OF THE TRUSTEES
YEAR ENDING 31 DECEMBER 2022
FINANCIAL REVIEW (Conlinued)
Reserves policy
The Trustee8 have 8doOed 8 reseTve$ policy which they ￿￿ider aPPTOPfiate. to erK¥urÈ thè conlinuinu atility ol ECCM
mèet its objècbves anfl 0￿￿4gaI1on$. The policy also seèks to maintsin an acceptable tatio tr*ts¥een the free reserves and
the level of Unrest￿Cted cash expendituTe.
'Free reserves. are fepresented ty the unrth.cted fund5 less the tsrvJiLle ftted assets. 'Unrestricted cash expendI￿re.
r8wès8nts Ihè 0￿18b"n9 costs forth• y•ar lass th• Chargg for depr8c4ation.
The Charity (k)es not intend to accumulate stgnfficant reseNes Ixrt dgrxnds utM)n the ongoing SuP￿rt of donor8 to
meet future wsts. In order to be prudent the ¢haIFty aim5 to reserve 2 Years of operatronal costs at any one 15rne.' this
would cover the charrty in the èvènt of unfOr￿&n expenthjre.
Risk policy
The Trustees conduct an on-going review of major risks as part of its regular morutoring and reForting. Intemal nsks ale
minimised by the imilamentation of procedures in regard to good practice child protection ￿￿￿e5, firè safety and health
and safety inspècbons where the Charty's activil*es operate. Finanaa risks are nynimisèd by the imFlementation of
procedures for the aut￿ri￿a￿"oTr of al trans8clions on a iegular basr&.
PLANS FOR FUTURE PERIODS
We aim to build on our good VK*rk and achievemènts of the wewous year. In 2023. we atm b) con801idate our efforts to
foster our pre8en¢tr in ouc imrned'ate cornmunrty.
Looking ahead
In 2023 plans to continue lis strong focus on the bekjw areas..
Extend our charitabl8 acbvrhes to I￿1 cale atyj faciltbes ty thI￿1ng to such estat4ishments as deemed feaS1￿e
by th8 trLBtees and ehurch leaders￿p.
W& seekto move into our pèrmanent prernr6es to gNe us thè space y￿ need to grow exFonentially.
We seekto perform the fdlowng events for the year 2023-
Women conference
Men conference
Loadership Conferen￿Marriage Conference
Imwove our online ptesenee thiough so￿al and **LÉrte
Page6

EMPOWERED COMMirrED CHRISTIAN MINISTRIES
REPORT OF THE TRUSTEES
YEAR ENDING 31 DECEMBER 2022
TRUSTEES. RESPONSIBILITIES
Charity Law requires the tllJStees to prepare finanaal ststsments for eaL* financial yeafwhich give a true and fair view
the stste of affaiTS of the charity and of ts fjnanual adivfaes for that year together ￿￿th its assets and liat4lities al the
end of the yèar, adequately distinguishing any matellal, Speci￿ tDJst or other re8th.cted fund of the charty. In tKepari
those finan¢ial ststaments, the director8 are reqtllred to..
al select suitsNe a￿unting wliaes and then aptty them consv6tenVy".
bl rnak6 judgments and esbmates that are ieasonaLlè and prudent.,
¢1 state whether the poliii8s adok*èd are in accordan￿ ￿1th the appropriatè SORP on acwunling ty Charities and the
Accounb"ng Regulatiorts and wEh awicatle ac¢ounling stsndarth sutyect to any material departur89 dkgclosed and
explained in thè financial ststements,. and
dl prèpare the finanual statements on the going C0￿M basis Ltnless it is inappropnate to assume that thè ¢harity wll
conthnue in its ath"wb"es.
The trustees are respongtrje for keerlng proper a(thunting records￿l¢h thsdose reasonalA* accuracy at any time
the finanual p)srtion ofthe charity and to enatAe thém to Èrtsure thatthe financial staternents comtty with thè Ststèm8nts
of Recommended Practice and the re9ulat.olls rnade undef seclion of the charib.es Act 2011.
They are also TesponwNe for safeguarth'ng the assets of the chaTrty hence for ts￿ing ￿aSonaL￿e steps for the
provèrtt.on and dètacb.on of fraud and irregvlarrb8s. The truth l)avo thè powerto inv8stin such Assets as they See fit
D3tè_...
Trustee_.
Narne of Trustee.........................................................
RELATED PARTIES
A summary oftrartsa¢tiorts wth related part￿ is set oul in note 14 rfthe finanryal ststements.
The Trustees dedafè that thèy have approved the trustees, reF￿rt at*)ve
Signed on behdl of the cl￿rIty'S Tr￿lee$
&gn
Iliams. J. Beah (chai￿nan)
Dats.. 15th June 2023
Page7

EMPOWERED COMMITTED CHRISTIAN MINISTRIES
INDEPENDENT EXAMINER'S REPORT TO THE
TRUSTEES OF ECCM
YEAR ENDING 31 DECEMBER 2022
I report on the accounts ofihe tharity for the year ended 31 Decém￿1 3)22 vknich are set out on paLses 9 to 18
RESPECTIVE RESPONSIBILITIES OF THE TrUSTEES AND THE EXAMINER
The charty's trustèes are resp)nsI￿e for the weparth.on of the acttjunts. The charity's trustees consider that an audt
is not required for this yeaT under 8e¢b'on 144121 ofthe Chariti&s ACE 2011 (the 2011 Adl and that an ind•wdent
examination 1$ needed.
It 18 my resFQnWtx"Iity to".
sxaminè accounts under section 145 ofthe 2011 kt
to follow the [x￿edureS lad dtswn in the general Direcions gNen by the Charrty Commission luTrJer section
1451Sllbl of the 2011 Ac( and
to state vthethèr parbcular matters have cxjme to my attention.
BASIS OF INDEPENDENT EXAMINER'S STATEMENT
My examination w&8 (*rriÈd out in actordancev+ith general Direc*"ons gvèn ty the Charity Comrr05sion. An examination
indudes a rewew of tr*e accounting reo)rds kept by the tharity and a com￿n80n of the accounts piesented wth those
records. It also includes co1￿lderatiOn of any Unusu￿ items or dBd05ures in the acctsunts. and seeking exF4anation8
from you as the tru8tee8 ¢on(*rning any svch matters. The pro¢odurès undertaken do not provide all the evidence that
would be iequiied in an aud¢ and consequenty no op.nion is given as lo whelhtrr thè acwunts present a Irue and fail.
view and thè report r& limrted to thr6e matter5 Sèt osjt in the ststement bdow
INDEPENDENT EXAMINER'S STATEMENT
I confirm that l arn qualffied to undertake the examination t*Ca￿ l am a memtr*r ot ACIE. In o)nnection wfth my
exarninth'on. no malter has corne to my 8ttenffi"on.'
1. which oives mè tsasonat4e ¢au8e to believa that in. any material res￿¢[ the requirements..
to keep accounb.ng reco¥ds in accordan￿ %%ith 8ecb.on 1>) ofthe 2011 Act and
to pi&pare accounts which accordthith the accounting Fectsrds and comFly wth the acctsunb.ng requiremerfts of
the 2011 Act
have not been meL or
2. to which. In my op"nion, attention should ￿ dfawn in orderto enatle a proFer under8tsnth.ng ofthe accx)unts to be
reached.
Date '. 16° June 2023
Edwryge Fomo CGMA
Independent Examiner
EFK & CO Consulting Ltd
132-134 Great Ancoats
Manchester
England
M46DE
Page8

EMPOWERED COMMITTED CHRISTIAN MINISTRIES
STATEMENT OF FINANCIAL ACTIVITIES
(INCLUDING AN INCOME AND EXPENDITURE ACCOUNT)
YEAR ENDING 31 DECEMBER 2022
Tclal
Furnjs
2022
21Y21
INCOMI￿ RESOURCES
kncoming resources from geneTkn"ng Iwbts..
￿ga¢￿S
hsrTradw i￿0
TOTAL INCOMING RESOURCES
,1Crf)
46,1(X)
37.254
46.11J)
46.1
37,254
RESOURCES EXPENEED
9,812
20,812
.918
Goveman¢è Costs
TOTAL RESOURCES EXPENDED
21.312
21.312
YJ,418
IETIOUTGOl￿￿I￿OmINts
RESOURCES BEFORE TRANSFEPS
24,M
13.
TRANSFERS
oss T Anslert¢tr￿ft Fwd5
NET MOVEMENT IN FLINLK8
Total FuThJs Brow For￿￿1
TOTAL FUNDS CARR￿0 FORWARD
24,7&9
13,836
81.n3
95,$59
120.347
120,347
The ¢harty has no recognised g￿nS or losses other than the rèsults for the year aB sel aLvJve.
Page9

EMPOWERED COMMirrED CHRISTIAN MINISTRIES
STATEMENT OF FINANCIAL POSITION
31 DECEMBER 2022
ECCM
ECCM
2022
2021
Note
FIXED A88ET8
Tangible fixed assets
8.126
8.126
11.761
11.761
CURRENT ASSETS
Debtors
10
9.190
113.115
122.305
8.040
88.833
96,673
Cash at bank and in hand
11
CREDITORS: Amounts talllng due
within one year
12
500
NET CURRENT ASSETS
121,806
96.173
TOTAL ASSETS LESS CURRENT LIA81LmES
129.931
107,934
CREDITORS: Amounts falling due
after more than one year
13
9.584
12,375
NET ASSETS
120,347
95.559
FUNDS OF THE CHARrrY
Restricted Incofllè Funds
14a
Unrestricted Inco￿￿ Funds
14b
120.347
95,559
120,347
95.559
These finanud st8tÈments were approved ty the trustees on 1P June 2023 and signed on th•ir behalf by..
W. J. Beah .................
Trustee
M. Essiet............. ... TEUStee
Page10

EMPOWERED COMMirrED CHRISTIAN MINISTRIES
CASH FLOWS STATEMENT
YEAR ENDING 31 DECEMBER 2022
2022
2021
Cash Ilows from oyratlng actlvlllo$
Net ¢ash SI￿nI
24.788
13,836
Adjustments to cash from nonll¢*sh li•ms
Depreaation
3,834
28,422
3,357
17,193
Working ¢apltal adjustments
De¢rÈasellincreasel in sto¢ks
De¢reasel{incTeasel In debtors
In¢reasellDecreastrl In credrtOTS
{1,1501
75
12501
Nel cash from operating acbvities
27,272
17,018
Cash flows from InVes￿n¥ actlvltles
Interest received from savifigs
Purchase of tangible Assets
Net cash fltr￿S from investing adNth"es
{8.3141
18,3141
Cash flows from flnan¢lng a¢tlvttbs
Addtbon of Loan during the pemd
{2.7901
12,375
Net cash flow5 from financing artmbes
12,7901
12,375
Net IdecreaseWincre8se in cash and cash aqUNalents
C85h and cash equNalents at 1 January
24,482
21.079
88.633
87,554
Cash and cash equivalents at 31 Decerrber
113,115
88.633
Page11

EMPOWERED COMMirrED CHRISTIAN MINISTRIES
NOTES TO THE FINANCIAL STATEMENTS
YEAR ENDING 31 DECEMBER 2022
ACCOUNTING POLICIES
Statement of Compllan¢e
The finanoa statements have been prepared in accx)rtrance FRS 102. Yhe FinancTal ReFX)rbng Standard apF4icable
in the UK and the RepU￿1C of Ireland., the Statement of Recomrnended Prac1ice applicatrle to charities preparing their
8ccounts in aco)rd8nce bvilh the Finanual repvjrb.ng Stsndaid appSicakJe in the UK and Reput4ic of Ireland IFRS 1021
Icharities SORP IFRS 10211 and the Chariti'es Act 2011.
Incoming Resource5
Donations & Legaci6S
Donati￿5 and gifts are generally only re￿gnised %then received ty or on bÈhaLf of thè charity. In eX￿ptIOnal cases
where an amount is significant, gfts are recognBed as income ￿then thè charity i8 notfied of a commitment to make a
donab.on an¢J the trustees are virtualty certain Ihey will receive the resouices and tt)e monetary vajue Can be rne88ured
with sufficaent Teliatility.
Income lax
Income tax recoveratle on gift aid dona*"otts is r8eognised on a receNatle ba*
Grants
Grants to the tharity are accountedfor as sooll as charity B notified of legal entrlèment and the amount due.
Income frorn chant8bl8 8ctivKff&s
l income from events and activitie8 is ￿e￿Inised when dLbe.
Income frn fundgerffjrafing ￿tivft*S
Income raised by speual fund iaising events. and Ira¢*ng aclivib.es ale accounted foi in thè ￿lIOd in which the charity is
èntided to re￿pt.
Resources Expended
Resources expended are indudèd in Ihe Statement of Finan(xat Activits"es on an ac¢rua15 basis.
Direct Ch8rts8b18 Ex￿ndft￿re
Directly attributable expendture has been afiocated to the appropriate lund there costs have bsèn shared the
expenditure has been dlocated to ftJn(Is on the ba￿S of thwr 8sts"mat8d ￿nSUm￿j0n of expenses.
Govemance
These costs include the costs of govemance arrangemènts which relate to the uenèral running of the (*at(ty as opposed
to thè diraLt managementfunctions Ènharèntin generating ftjnth and in ctharitatAe athrties. This includes such items a8
Independent examinab"on. legal ath￿e for trusteès and C(￿ associated *ith conyitubonal antl statutory requirernents.
induding trusteè's meetings.
Volunte8rs and donated serviets and fxilities
The value of services provided by volunteers is not in¢orpoEated into these fingncid staternents.
Fixed Assets
Tangble fixed assets for use by the tharity are caFitalised rfthey ean be used for more one year, and cost at least
£500. They are vaued al cost or rf grfted, atthe y￿Ut to the charity (>n weipt
Depreaation 18 caleulated on the ¢>)sts or valuation of the assets at thè rate of 25%12021." 25%) using the straight line
method.
Pag812

EMPOWERED COMMITTED CHRISTIAN MINISTRIES
NOTES TO THE FINANCIAL STATEMENTS
YEAR ENDING 31 DECEMBER 2022
1.ACCOUNTING POUCIES (Continued)
Currènt Assets
Amounts ovAng to the eharity at 31 December 2022 rèsF*Ctof income arè shown as debtots less provision foT amounts
that may prove uncollsctatrAe.
Funds
Funth hdd ty the charity are wther.
UnreslrFd•d general fvnds
These are funds that ean be used in accordance *ilh the charitatAe ot¥"&ts at Ihe ds¢ret"on of thè trustees.
Restrided fvrKIs
These are funds that (an onty ￿ used for particular Feslricted puwes wsihin the objects of the charty
Re$lrithons arise when speufied by the donor oi ￿en ftJn(* ore raised fof parttcular restricted purw)$8s.
FurtheT explanation ofthe n*ura and purp)sè of each fijnd 18 induded in the notes lo the finanaal statem8nts.
Page13

EMPOWERED COMMirrED CHRISTIAN MINISTRIES
NOTES TO THE FINANCIAL STATEMENTS
YEAR ENDING 31 DECEMBER 2022
INCOMING RESOURCES
Total
Total
FL￿$
2022
2a f*)nalK?ns kgxh?s
Offeriws & P￿9& (5onkn
ThanksgNing
Tithes recer48d
Tax Reftjnd
19,
19,684
19,787
2,137
10.
13.195
10,821
46.1(N)
13,195
10,821
46.100
37,254
2b OtherTr•aing Incom•
Trading Sajes
TOTAL INCOMflG RESOURCES
46,1
46,100
37.254
Many volunte8ts give fredy oftheir kn.me in the se￿￿e of our Lord for the charity. the valuè ofwhich is unquants.fia￿e.
3.COSTS OF CHARITA8LE ACTIVITIES BY FUND TYPE
Unre8titted
Funds
Rèstricted
Tot#1
Total
Fund8
2022
2021
21.312
21,312
21.312
21,312
Z3,418
23.418
Costs of Oirect Cfaritabk
4.COSTS OF CHARITABLE ACTIVITIES BY ACTIVIIY TYPE
Support
Costs
Undertaken
Total
Direety
2022
2021
Costs of Gerwatlro Vok•*aryIr￿m8
CostsofFLThS G￿r8br¥
Costs OfctrÉritsb￿ ArlMb95
t.117
1,705
1,492
18,118
21.312
514
1.171
6247
11.&39
7.349
13,963
23,418
Page14

EMPOWERED COMMITTED CHRISTIAN MINISTRIES
NOTES TO THE FINANCIAL STATEMENTS
YEAR ENDING 31 DECEMBER 2022
5.COSTS OF CHARITABLE ACTIVITIES BY HEADINGS
Unrestricted
Re8tri¢ted
Total
Total
Funds
Funds
2022
2021
Premises ¢o$ts
2414
2,414
soo
1282
A￿lIt & AccoulaTwlees
Admiristrah"onaThl ItsLrarre costs
1.415
1.415
245
2.697
Everts Costs
245
Depr8cHbon Costs
Rent Costs
3.634
3.634
8.400
2,900
520
3.357
8.4CQ
P8StorAknarte
Tiife5 paid o
Ve￿C￿ costs
53J
298
451
Sthcortractors
987
2522
21.312
21.312
23,418
6.GOVERNANCE
unrestn.cted
Total
Total
FUTh
2022
21Y21
Independent eXa￿lner¥ fee
5(
500
7.NET OUTGOING RESOURCES FOR THE YEAR
Total
Total
Thi3 is 8tated aftèr charging
2022
2021
Indèpendant exa￿InerfS fee
Depreciation of owned assets
61X*
3.357
Page15

EMPOWERED COMMITTED CHRISTIAN MINISTRIES
NOTES TO THE FINANCIAL STATEMENTS
YEAR ENDING 31 DECEMBER 2022
INFORMATION REGARDING TRUSTEES AND EMPLOYEES
The charty tru8tees weie Th)t paid or rece¢ved any othei benefits ffom employrnent ¥Mth the Trust in the year12022."
£nill neither were they reimbursed expenses during the ye8r12021.' £nill. The key management personnel of theTrusL
comprise the truste*. and senior management team. The b)tsl em￿oyee beneffts of the senior management personnel
of the Trust weie £n1112￿21." £nill.
FIXED ASSETS
2022
T(*al
Cost
at 1 Decantjer 2022
18,170
18.170
Add￿OnS
Dtsposals
at 31 Dèeerrber 2022
18.170
18.170
Depreciation
at 1 Deeember 2022
6.410
3,634
6,410
3,634
Cherge for year
Otspo$81s
at 31 Decen￿er 2022
10.044
10,044
Net BookValu• at31 DgG¢rnb•r2022
8,126
8.126
at31 De¢¢mber 2021
11,761
11.761
10. DEBTORS
2022
2￿1
crued ineon
5.950
3340
9.190
5,000
3.040
8.040
Other Debtors
11. CASH ATBANK & IN HAND
2022
2021
Current Account
113.115
113.116
88,633
88,833
Page16

EMPOWERED COMMITTED CHRISTIAN MINISTRIES
NOTES TO THE FINANCIAL STATEMENTS
YEAR ENDING 31 DECEMBER 2022
12. CREDITORS: Amounts falling due within one year
2022
2021
PLeruals and d8f8Trèd incorr
soo
600
500
The bank loan and other loans. Cre(*t Cards & Overdrafts are seLured a fixed and loating charg8 over all the assets
oflhe tharity.
13. CREDITORS: Amounts falling due After one year
2022
2021
Bank loans
9,S84
12,375
12,375
14. RELATED PARTY TRANSACTIONS
During the year. the trust ￿ld a total of £2.9￿t0 pastor J Beah as allowance121X21' £nill
15. RECONCILIATION OF MOVEMENTS IN FUNDS
Transfers
Balan¢% *
M¢v•m•nt in Resour¢o$
knttsnlng
Outgoing
Befyveen
Balance at
31-Dec-21
Funds
314)ec-22
14a. R•stricted Funds
National Lottèry Grant
14b. Unrtrstricted Funds
Gener81 Fund
Designated Fund
95,559
46.11)0
121.3121
120.347
95,559
46.100
121,3121
120,347
16. ANALYSIS OF NET ASSETS BY FUND
Tangible
Fixed
Net Current
Cr¢dOtors
Assetsl
(Liabililiesl
Due after
A$$ets
One Year
TOTAL
Restricted Funds
UnrestrKtsd Funds
8,126
8,126
112,221
112.￿1
120,347
120.347
Pagè17

EMPOWERED COMMirrED CHRISTIAN MINISTRIES
NOTES TO THE FINANCIAL STATEMENTS
YEAR ENDING 31 DECEMBER 2022
17. OPERATING LEASE COMMITMENTS
Lands and Building
Lease v4hich expires
within one >*ar
8,400
8.400
18. CONTINGENCIES
The Trustees have confiméd that there were no contingent liatrA"1￿.es vA)ich should ￿ disdosed on 31 December 2022.
19. GOING CONCERN
The Trustees ¢or*idef thatthere are r¢0 material uncertainties about the Twsfs aiN"lity to conb.nue as a g(4ng concern.
Page18