EMPOWERED
COMMITTED CHRISTIAN
MINISTERIES
ANNUAL REPORT & FINANCIAL STATEMENTS
YEAR ENDING 31 DECEMBER 2025
Registered Charity Number 1150253

EMPOWERED COMMITTED CHRISTIAN MINISTRIES
FINANCIAL STATEMENTS
YEAR ENDING 31 DECEMBER 2025
CONTENTS
PAGES
Officers and profèssional advisers
Report of the trustees
3to7
Report of the Independent Examiner
Statement of financial activities
B8lance sheet
10
Cash flows statement
Notes to the financial statements
12to18
Page 1

EMPOWERED COMMITTED CHRISTIAN MINISTRIES
OFFICERS AND PROFESSIONAL ADVISERS
The Board of Trustees
W. J. Beah {Chairman)
M. C. Lhotel-Nzelu
M. Essiet
Registered Office
13 Gifford Avenue
Manchester
M9 6JH
Independent Examiner
Edwige Fomo CGMA
EFK & CO Consulting Ltd
1 Egremont Avenue
Manchester
England
M20 1GS
Banker
Na￿est Bank PIC
60 Portland Stre8t
Manchester
M14QT
Pag6 2

EMPOWERED COMMITTED CHRISTIAN MINISTRIES
REPORT OF THE TRUSTEES
YEAR ENDING 31 DECEMBER 2025
The Tiustees present their report together th4th the finanoal statements of the charity for the year ended 31 DecemlEr
2025. The finanaal ststefflents have been prepared in accoidance wtth the accounting policies Set out on pages 12 to
13 and comrAy wth the Charity's Trust Deed and ap￿ICable law
These financial statements comply wth the Charits"e5 Act 2011, the Articles of Assouation, and Accounting and Reporting
by Charities.. Statement of Recommended Practice appli￿￿e to Charities preparing their acLount$ in a¢cordan¢e wth
the Financial Reporting Standards apFlicalAe In the UK and Republic of Ireland IFRS1021 ICharikn85 SORP IFRS1021
and the ch8rith.es Act 20111.
OBJECTIVES AND ACTIVITIES
The obieth.vtss of ECCM are for th& b&nefft of th6 puLIic.
It exists to..
l. To a(fvanTr the Christian faf(h in a￿OrdanCe wth the statement of fakth in sud) ways and In such parts of the United
lfjngdorn or the ￿%)r1d as the trustees from bme to time may think fit
2. To relieve-health and fi'nancial hartship and to promote and preserve sound body and soul by tha prOv￿10n of fund$,
goods or sÈrvle88 of any kind, including through the provision of counselling and suppoit in such parts of the united
kingdorn 01 the world as the truste&s from tirn8 to ts'rne may think fit
3. To advance education in such ways and in such parts ol the United Kingdom or the worfd as the trusteeg from tsme to
time rn8y think fit.
ECCM Statement of Faith
We believe in God, the Father almvJhty, crèator of heaven and earth. We b81iev8 In J98us Christ, His only Son, our Lord.
He was conceived bythe tower ol the Holy Spirf( and was born of the virgin Mary We bellwe 8uffered under Pontiu
Pilate. was ¢ru¢ilied, died, aTKI was buried lor our sins. We believe He descended to hell and rose again on the third
day. We believe He ascended into hèavèn and Is $8ated at the right hand of the Father where He will Come ag￿n to
judge the I1￿n9 and tho d&*(J. We bdiev8 in the Holy Spirit and the Holy Church of God wryth the communion of the
saints. the forgivenes8 of sins. the resurrection of the body. and the lrfe everlasting. Amen.
STRUCTURE, GOVERNANCE AND MANAGEMENT
ECCM is a charitable TrLtst constituted by a Trust D88d. The chanty 1$ governed by the TIu6tees listed on page 2.
New Trust?es are app￿￿t￿d by the existing Board of Trustees based on their experts$e and involvement in furthering thè
and vision ofthe Charity.
Th8 Board of Trustéès has a variety of èxpèriènce including Chiistian ministry, legal and commercial bL￿inesS skn"119. Thè
Board rs aecountatle to the Chanty CoMrnis￿on for the (2reful use of charEtaNé and other putrjic funt* provided in a variety
ol lomis, and for the ￿hievement ol appropriate performan￿ stsndards in SèNlCÈ dèbvery. The Board of TrLL8tees meets
quarterfy to oversee the vision and stratejes of the charity.
Wth the growth of activits.es of the TTUSt an .ever-increa$ing level of expertise is requirad on a day-to-day ba98 and an
estaNished managementteam ￿ in ￿ace that is eapable of running the affaitg of the Charity. The trustees listsd on page
2, are in charga of th$ day-to-day managèm8nt matters and are 8¢covntsble to the trustee6. They are not paid by th8
charty. This 18 reviewed annualty and might change in accordance wth èveragè 8arning8 and the charity'8 funds
availatAe
Pagè3

EMPOWERED COMMITTED CHRISTIAN MINISTRIES
REPORT OF THE TRUSTEES
YEAR ENDING 31 DECEMBER 2025
STRUCTURE, GOVERNANCE AND MANAGEMENT (Continued)
The Trustees remain committed to advanang lJ)e Christian folth.
Trustee Induction and Training
There ara no spècffic policies and procedur85 forthe inductionltraining of trustees. However they are inducted accordng
to individual requirements.
A copy ofthe Charty8 Trust Deèd is supJied. along with thè chartys pdicwds and proeèdure8 and copies of recent board
rneÈb"ng minute8 and accounts. Individua1 TIu8t8es role61responsibilities ale negotiated with all the trustèes so that their
roles complement 88ch ott)er. The Tru8tees make stratsgic decisions based on the finknaal posth'on of the church.
PUBLIC BENEFIT
The Trustees have paid due iegard to the Charity Commission's guidance on public bènefit in deciding the acts"vib"es
undertaken by the Charity in the ytrar. The Trustees are satslied thatthe informats.on provided in the report and a￿oUnts
meets the public benefit iepotbng requiremants.
ACHIEVEMENTS AND PERFORMANCE
The year 2025 w88 a year of ¢ontinued growth for ETHpowered Committed ChrK8tian Ministries IECCMI. ECCM was
predominantty focused on stability and ensuring continuou8 improvement in all aspects of its operations which included
its ¢haritab18 actNits"e$. youth empoweiment and strong ¢ornThunity engagement.
To this end. planned a¢tNiti8s warè condu¢t8d to support tht achievement of the operattonal goal8. Thesè were..
Supportlor deprNed communities in Afnca
2. Youth EmFy)werment Program
3. Relationship Courtselling
4. Church Leadership Conlbrènce
5. Ordination of Bishop, Pastois. Ministers and Evangelists
ECCM'S d8facto a¢tiviti88 weie maintained as is. These were..
l. Weekjy prayers
2. Sunday service
3. Counselling
ECCM engaged in various community support acttvites in deliv81ing relief Itèms and rendering service? lo vuln6ra￿e
chuieh member8 and the Community at large. Thèse were..
Distribution gf food parce
2. Support prayers
Page4

EMPOWERED COMMITTED CHRISTIAN MINISTRIES
REPORT OF THE TRUSTEES
YEAR ENDING 31 DECEMBER 2025
ACHIEVEMENTS AND PERFORMANCE Icontinued)
Staff and volunteers
During this year the charity paid foi the setvices of some peo￿e, such as tnechanics for Vans repairs, Accountant for
th8 bookkeèping and gift aid proe88sing. Al other areas of the churchlchaiity ale essenbally filled by voluntee18 Imthout
whom the charity could not function.
FINANCIAL REVIEW
The Trustees have prepafed the accounting policies for Empowered Committed Chrtgtian Mlnlstries in accordance with
the requirements of the SORP and of best accounting practice.
Review of the year
The Trustees report a period of reduction in income. The baseline income has down up to £35,04912024.' £47,0¥21. The
costs wa8 maintained at the same level to £34,80312024". £34,5011 and were contained within budget due to stiong
financial management and good cost control.
Income and Expenditure
ECCM relies on voluntary income as its principal Source of lundlng. Total donation and legacies, induding Gift hid
amounted to £35,04912024 £43,840)
Tithés ree6ived from church members amounted to £5,289 12024". £S,0941 which constitutes 15% 12024". 14.hl of all
voluntary income.. Offerings & Pledge donations (including Gift ￿dI totalled £14,98612024'. £23,179) which accounts for
an extra 43Qh 12024". 53%) of voluntary income., £3,497 funding in this ye81 for Thanksgiving is12024". £3,252) ièpresonts
10%12024.' 7%1 ol voluntary incomè, gifts & donat.ons paid into the Churth tAnk accounts £11,27712024."11,3151.
Th9 Costs of raising fijnds amounted to £7,66612024." £2,709), and the costs ol fund generating aCtivi￿e$ werè £3,600
12024. £3,600).
Governance
The £75012024.. £6001'governan¢e' costs indudè thè costs Assoaated with independent examination of the accounts.
Surplus
Th6 total incoming resources exceeded the resourcxs expended In the period tyi £24812024.. £9,339) and thi8 is held as
unr6Strictad fun(b.
Balance Sheet
Th8 Balancè Sheèt as at 31st Decembef 2025 was stronu ensuring that the Charity has the assets reguired to deliver its
¢ommitments to the cornmunty.
Included in Fixed assets are Motor Vehides 8nd PA 8y8tems valued ￿9.293[2O23.' £30,298).
Page5

EMPOWERED COMMITTED CHRISTIAN MINISTRIES
REPORT OF THE TRUSTEES
YEAR ENDING 31 DECEMBER 2025
FINANCIAL REVIEW {Contlnued)
Reserves policy
Thè Trustees have adopted a reserves policy which they COn￿der appropriate, to ensure the continuing athlty of ECCM
me8t its objectNes and oNigab"ons. The policy ￿$¢ seeks to maintsin an acc8PtaNe ratso betweèn the free reserves and
the level of unrastricted cash expenditure.
'Free reserve$' are represented by thè unrestri¢ted funds less the tangl￿& fixed 8888ts. 'Unrestri¢t8d cash expenditura,
represents the operating costs for the y6ai lèss th& ohaigè for d￿re¢latiOn.
The Charity does not intend to aceumulate significant reserv8s bjt depends upon th? ongoing Support of its donors to
rneet future costs. In order to be prydènt the charty aims to 1958we 2 Years of Operat￿onal costs at any one tme.. this
would cover the charity In the event of unforeseen Èxpenditure.
Risk policy
The Trusletrs eonduct an on-going revlew of major risks a8 part of its regular monitoring and re￿r￿ng. Internal risks are
minimb8ed bi the implementston of pioceduie8 in régard to good practice child protection sx)liries. flre safety and health
and safety inspèctrons where the Chaity's activitiès operate. Financial risks are minimised by the implementath.on of
procedures for th8 authorBation of all transactions on a regular basi$.
PLANS FOR FUTURE PERIODS
We aim to build on our good work and a¢hiev8fnents of th8 previous yèar. In 2026, we to consolidatè our efforts to
foster our presence in our immediate community.
Looking ahead
In 2026 plans to ¢onth"nue its strong focus on the lollowng areas..
Extend our charitaNe actvthes to local car8 needs and faulities by donating to such e*s￿l$hMentS as deemed fea￿￿e
by trustees and thurch leadership.
We $eekto rnove into our permanent premises to give us thè space we need to grow expon8nts"ally.
We se8ktts perform the fo11owng èvents lor the year 2026".
Wornen ¢onfÈrénce
2. Men Conference
Leadership Conference
4. Marriage Conforence
5. Improve our online presence tt)rough swal netsvorks and wEb8(fa
Page6

EMPOWERED COMMITTED CHRISTIAN MINISTRIES
REPORT OF THE TRUSTEES
YEAR ENDING 31 DECEMBER 2025
TRUSTEES. RESPONSIBILITIES
Charity Law requires the truste&s to prepare finan￿al ststements for each financial yearwhich ￿ve a true and fair view
ol the state of 8ff8irs of the charty and of its finan￿al activities for that year together wth its assets and liatilitie6 at the
end of the year, adequately dEstinguishlng any material, special tru8t or other restricted fund of the challty. In preparing
thos8 financial statements, the (arectors ara requir8d to".
al sele¢t sultal￿e a¢¢ounling poI￿leS and then ap￿Y them eonsistenty,.
bl make judgments and estimates that are reaSona￿e and prudent..
¢1 stste whether the poli￿88 adopted are in aceoidance with the appropriate SORP on accounts.ng by charit.ès and the
Accounting R8gulation8 and wth applica￿e accounting Standards Subje￿ to any material dèparturès disdosed and
ex[￿alne￿ in the financial statements,. and
dl prepare the finanaal ststements on the going concèrn basis unles6 it is inappropriate to assurne that the charity Vwill
contr'nue in its activitie8.
The tiuslee8 are re8PDnsible for keetxng proper accounting records which disclose Mith reasonable accuracy at any time
the financial Fosition of th@ charty and to enable them to ensure th&tthe finan￿al statements cOM￿Y wth the Statements
of Recommended Practice and the regulatio￿ made under section of the Chailtles Act 2011.
They are also responsiblé for safeguarding the assets of the charity and hence for ta￿ng reaSona￿e stsps for the
prevention and detection ol fraud and irreoularityes. Th8 trust88s have thè powar to invost in such ks6ts as thay s80 fit
0£
aoo
TTU8tÈé...-... .. ...
Name of Tru8tee.........
RELATED PARTIES
A summary of transactions ¥Mth related pafties is set out in nots 14 of the finanaal stat8rn8nts.
Thè Trustèès dèdare that they have approved the trustees, report above
Signed on behaK of the charty's Trustees
Signed by
M. C. LhotekNzelu
Date ". 04tr August 2026
Page7

EMPOWERED COMMITTED CHRISTIAN MINISTRIES
INDEPENDENT EXAMINER'S REPORT TO THE
TRUSTEES OF ECCM
YEAR ENDING 31 DECEMBER 2025
I report on the accounts of the charty for the year ended 31 DeceM￿r 2025 W1￿ch are set out on psge8 9 to 18
RESPECTIVE RESPONSIBILITIES OF THE TRUSTEES AND THE EXAMINER
Thè chartys trustees are respon&trAa for tha prèparation of th8 accounts. The charity's tiustsès consider that an audit
15 not r8quir8d for this year under section 144121 of the Charities Act 2011 (the 2011 Act) and that an indep8ndent
oxarninatioll 18 needed.
It is my resw)nsitility to..
examSne the accounts undèr section 145 olthe 2011 Act,
to follow the procedur85 laid dDwn in tha g•neral Directons gN8n by the Charity Commi%sion (under 88etion
14515llbl of the 2011 Act. and
to ststa whèthèr p8￿cular matters have ￿me to my attention.
BASIS OF INDEPENDENT EXAMINER'S STATEMENT
My examination vras cairied OLrt in accordance vrtth general Directions given by the Chaity Commission. An examlnation
indudes a review of the aeeounting records kept by the eharty and a comyarison of the accounts presented Mfjth those
re¢oid8. It also include$ ¢onsiderth"on of any unusual iterns or dis¢losureg in the accounts, and seeknng •X￿ana1.0nS
from you as the Iruslees con￿rning any Such rnattèrs. The pro(%dures undertaken do not providè all the evidence that
would be required in an audit, and consequently no or4nion 18 gNen as to whèther the accounts present 8 true and lair,
view and the report 13 limitèd to those mattars set out in thè statement bdow
INDEPENDENT EXAMINER'S STATEMENT
I confirm that l am qualrfied to undertake the examination because l am a member of ACIE. In connect.on wth my
èxamination. no mattor has come to my attention..
1. which gives me reasonab18 cause to believè that in, any materlal re$pec( the roouirements..
to keep acoounts.ng records in accordan¢e V￿th 88thon 130 of thè 2011 Act,. and
to prepare ac¢ounts whieh accord wth tha accounting ièeords and comKAy wth the aecountina requiraments of
the 2011 Act
have not been met,. OT
2. to whieh, in ry opnion, attention Should be drawn in order to enatAe 8 proper understanding of the accounts to be
Teacb*d.
Datè.. 04th August 2026
Edwge Fomo CGMA
Ind&pendent Examiner
EFK & CO Consulting Ltd
1 Egremont Avenue
Manchester
England
M46DE
Page8

EMPOWERED COMMITTED CHRISTIAN MINISTRIES
STATEMENT OF FINANCIAL ACTIVITIES
(INCLUDING AN INCOME AND EXPENDITURE ACCOUNT)
YEAR ENDING 31 DECEMBER 2025
ur￿$￿￿ted
Funjs
R￿s￿ted
Fu￿5
Total
Total
2024
INCOMNQ RESOURCES
re5wces trom gereratst¥J thts..
Dorot#)rs
,049
43,84U
TOTPLINCOMNG RESOURCES
RESOURCES EXPEIIDED
Chaiitatrle PdM'IEs
&Wern￿￿e Costs
7KI
TOT￿ RESOURCES EXPENDED
34,W3
34,￿1
NETIOUTGOINGIIINCOMNG
RESOURCES BEFORÉTR￿SFERS
246
TR￿1$PERs
Gross Transfer tre￿￿en FuTrJs
NET I￿VEMENT IN FUNDS
246
Total FU￿ts Brow Fonmard
TOT￿ FUMDS CNRRIED FORWARD
1%1,335
1S),581
1￿,558
1￿.681
14Q9*
15q3
The charty has no recognis8d gains or loss6s oth6r than the results for the year as set out above.
Page9

EMPOWERED COMMITTED CHRISTIAN MINISTRIES
STATEMENT OF FINANCIAL POSITION
31 DECEMBER 2025
ECCM
2026
ECCM
2024
Ntsté
FIXED ASSETS
Tangitle fixed assets
29.293
29,293
30,298
30,298
CURRENT P2SETS
Debtors
10
9,OLK)
118,207
125.207
C*h at bank and in hanol
11
114,382
123.362
CREDITORS: knuntsf2111ng due
vAthln year
12
1,300
CURRENT ￿gET8
122.812
123.￿J7
TOTAL Jk8SETS LESS CURRENT LIPBIUTIES
161,906
154,2(
CREDITORS.. knounts falllng due
after rTrxe than one ￿01
13
1.324
3,870
NET ￿$£T5
160.581
150.33S
FUNDS OF THE CHPRITY
Restricted incoma Funds
Unre51ricted hcome Funds
15a
15b
160.581
150,335
160.681
150,335
These financlal statements
ère approved by the twstees on 04th August 2028 and signèd on their behdf by..
M. C. Lhotel-Nzelu ................. Trustee
M. Essiet........
Trustee
Page10

EMPOWERED COMMITTED CHRISTIAN MINISTRIES
CASH FLOWS STATEMENT
YEAR ENDING 31 DECEMBER 2025
2028
2024
Cash flo￿ frorn operating activi*ig¥
Net cash spent
9,340
Aljustnwènts to Cash from nonwcash ite
Depreciation
(Profftl on disposals of Assets
9.784
14,5071
S,$23
10,353
125501
17,143
Working capital adjustTrwnts
Decfeasellincreasel in stocbs
Oecreasellinereasel in detrtors
IncreasellDecreasel in creditors
11,0(K)I
700
15501
Net cash flows frorn OFerating actNrfcies
4,973
16.843
C#sh flDV*E trom inv8stin9 *ivity¢$
Interest receDied from savings
Purchase oftargib16 fix￿ Pssets
NW Cash flows from In￿lir0 actMIss
14,2721
14,2721
12201
12201
Cash flowts from fiTh￿¢Ing aGtlvltkn$
ddition of Loan during the pericd
12,5461
12,9271
N8t cash flows from financirg actwities
12.5461
12,9271
Net Idecreaselhnerèase In ¢ash and cash equivalents
Cash and c&h eqU￿18n15 at 1 January
11.8451
16,947
116.
99,259
Cash and cash equvalents at 31 Decemt*r
114,361
116,X
Page11

EMPOWERED COMMITTED CHRISTIAN MINISTRIES
NOTES TO THE FINANCIAL STATEMENTS
YEAR ENDING 31 DECEMBER 2025
ACCOUNTING POUCIES
statement of Compllance
The financial statements have been prepared in a¢¢ordancevAth FRS 102.°The Financial Reporbng Standard ap￿ica￿e
in th8 UK and the Republic Of Ireland. the Statement of Reeommended Practice applicablè to charibes preparing théir
accounts in ac(fjrdance ￿1th the Financial re[￿)￿ng Stsndard ap￿]Calle in the UK and Republic of Ireland IFRS 1021
Icharities SORP IFRS 102118nd the Charities Act 2011.
Incoming Resources
Donations & Leg8aes
Donation8 and gifts are generally only recognlsad when received by or on behalf of thè charity. In exceptiona1 oxses
Ythgre an amount is signifi¢ant, gifts are fecognK%èd as income when the ¢h8rity Is notified of a ￿MMItMent to make
donation and the trustees 8re virtualty certain tt)ey Mill re¢Èive the resouictrs and the monetary valuè can be measured
th sufficiènt reliability.
Incom8 tgx
Income tsx re(x>vèrable on gift aid donations Is fecognisèd on a recewatle basiB.
Grants
Grants to the charity are accounted for as soon as charity is nots.fied of its lègal entiuemènt and thè arnount du8.
Income from thantable 8ctivki&s
l incorne from events and activities is recognised when due.
Income trom ftjnd generating actlwt￿s
Income r8I8Èd by spec4al fund raising 8V8nts, and trading activib"e$ are awounted for in thè period in which the Charity Is
ent￿ed to receipt.
Re50urce$ Expended
Resources expended are induded in the Statement of Financial Activities on an accrual8 basis.
LTrrocl Charilable EXp￿dItur&
Diieclly attributai48 eXpen￿tUre has be8n allocated to the appropriats fund. Vvhere Costs have bew shared the
expenditure has b8èn allocated to funds on the basis of their estimated consumpb'on of expen¥es.
Govemance
Thes6 costs include the Costs of governancÈ arrangements whi¢h relate to the g8n8ral running of the Charity ag OPP(6ed
to the direct rn8nagement functio￿ inherent generating funds and in charitatAe acbvities. Thls include8 guch Items as
Inde￿ndent exarnination, legal a(fviee foi trustèes and co¥ls as60ciated wth ¢onth"tutional and Statutory requirements.
Induding trustee's m9eb"ngs.
Volunteers and d¢)nated servicts and facili￿e$
The value of 6ervicg8 provided by volunteers is not incoipor8ted into th958 financial ststamonts.
Fixed Assets
TangiNe fixed assets for u8È by the Charity are capta￿sed if they ean be used for more than one year. and e(6t * least
£500. They are valued at cost, or ff gift•d, at the value to the charity on receipt.
Depreciation is calculated on the wsts or valuation of the asset8 at the ratè of 25% P024'. 250AI using the straight line
method.
Page12

EMPOWERED COMMITTED CHRISTIAN MINISTRIES
NOTES TO THE FINANCIAL STATEMENTS
YEAR ENDING 31 DECEMBER 2025
1.ACCOUNTING POLICIES (Continued
Currènt Asset$
Arnounis owing to the chanty at 31 Decern￿r 2025 in respectof income are shown as debtots less provision for amounts
that may prov8 uncollactable.
Fund5
Funds hdd by the tharity are either".
Unrgslrldfjd genoralfunds
These are funds that ¢an be used in accordan(* vAth the ¢haritable objects atthe discretion of thè trust￿.
Rg8lrict8d fiJrKYs
These are fvnds that can onty be used for parb¢ular restri¢ted puipose8 withln thè obj'ects of the charity.
R88trictions arise when spealied by the donor or Mthen fund5 ar8 raised for particular restricted purposes.
Further eX￿anatiOrn of th8 nature and purpose of each fund 19 Indutjed In the notes to the financial ststements.
Page13

EMPOWERED COMMITTED CHRISTIAN MINISTRIES
NOTES TO THE FINANCIAL STATEMENTS
YEAR ENDING 31 DECEMBER 2025
INCOMING RESOURCES
Urrestricbj
RaStr￿ted
Totsl
FLrds
F￿}15
2tr26
29 Donationsand leoa¢lo$
0￿.￿g5 & dormtons
Gts Chwckts & ￿lsIr166
10,175
11.315
3.r2
11.277
3.497
11.277
1497
4289
TttanksgNing
Tftss
Tax Refi
9,543
1&Q)4
2b Other Trading Incon*
Trath'ng Sales
TOTPL INCOMING RESOURCES
Many volunteers give freely of théir time in the Bervicg of our Lord for the charity, the value of which is unquantrffi8tAe.
3.COSTS OF CHARITABLE ACTIVITIES BY FUND TYPE
Lknrestridè
Restricted
Total
Funds
FuTNJs
2025
2024
34,501
t8 ol Di￿1 Charitabi¢Actl￿l1e8
34.803
34803
34.￿)1
4.COSTS OF CHARITABLE ACTIVITIES BY ACTlVlry fipE
Supp)rt
C(xts
u￿ertaken
Totsl
Total
Directly
2025
2024
Cr6ts crfGeneratkng Vokntary I￿O￿e
Costs of Fund GerEratI￿ ACt￿lti8S
Cost$ of A¢tiwties
2.7Cg
&6
15.8ff2
24,419
7.675
10,384
23,637
34803
28,192
34,501
P89814

EMPOWERED COMMITTED CHRISTIAN MINISTRIES
NOTES TO THE FINANCIAL STATEMENTS
YEAR ENDING 31 DECEMBER 2025
6.COSTS OF CHARITABLE ACTIVITIES BY HEADINGS
Unrestricted
Restricted
Total
Total
Funds
FuThJs
2024
Repairs & Maintenarce cost
P￿1888 costs
Z535
2,636
276
Admin costs
276
Audit & A¢cOunta￿Y f*s
AdMink8traI￿Tr and inSuTrr￿8 c05t5
1,626
4,957
9.784
2.3
EKert8 Costs
4.957
9.784
Depreciation Costs
Rert Costs
10.353
P8Stor Alowa￿tr
3,6C
Trthes paid
Vehlcles cc6ts
4.144
822
181
SuLxontia¢tors
1.2Q)
34.803
34W3
34,501
6.GOVERNANCE
Unrestri¢t8d
Total
Total
Funds
2025
2024
Ir￿ependent examinerfs fee
750
750
750
600
7.NET OUTGOING RESOURCES FOR THE YEAR
Total
Total
This is stated aftèr charging
2026
2024
hdependent examiners fee
Depreciation of assets
760
•.784
10.353
Page15

EMPOWERED COMMITTED CHRISTIAN MINISTRIES
NOTES TO THE FINANCIAL STATEMENTS
YEAR ENDING 31 DECEMBER 2025
INFORMATION REGARDING TRUSTEES AND EMPLOYEES
The charty trustèes were not paid or received any other beneffts from eM￿Oyment the Trust in the year12025'.
£nill neither were they reimbursed expen$e8 duiing the yaar12024.' £nil1. The key rnanagernent personnèl of the Tru8t,
compiisè the trustees. and senlor managementteam. The total employ88 benefits of th8 88nior management personnal
of thè Trust werè £nil12024'. £nill.
FIXED ASSETS
2026
Total
Cost
at 1 DecernL*r 2025
$3,429
8,779
14.5071
57,701
63.429
Lkjitions
DBp)sa
* 31 DecemtrEr 202S
14.S071
5T,701
Depreciation
at 1 DecemtEr 20
Ctrorge for year
Dkswsals
at 31 December 2025
23,131
9,784
14,S071
2&408
21131
14.507)
Not Book Valu• at 31 D•oen*)er 2025
29,293
29,293
at 31 De¢enknr 2024
37.881
37.881
10. DEBTORS
2026
2(￿4
Acerued income
g.OiX)
9,000
9.WO
11. CASH AT BANK & IN HAND
2026
21Y24
Current Account
114,362
114,362
118.207
116,207
Page16

EMPOWERED COMMITTED CHRISTIAN MINISTRIES
NOTES TO THE FINANCIAL STATEMENTS
YEAR ENDING 31 DECEMBER 2025
12. CREDITORS: Amounts falllng due within ong year
2026
2￿24
Accruats and deferred income
1,300
1,300
The bank loan arKI oth•r loans, Credit Cards & Overdrafts are secured by a fixed and float'ng charge over all the as8ets
of the Charity.
13. CREDITORS: Amounts falling due After one year
2025
2024
Bank Iton$
1.324
1,324
3,870
3,870
14. RELATED PARTY TRANSACTIONS
During thè yaar. thè trust paid a total of £3,600 to pastor J Bèah as allowanea12024'. £3,600)
15. RECONCILIATION OF MOVEMENTS IN FUNDS
Transfers
Between
Balance at
Mov8m?nt in Resourc•s
Balan￿ at
31-Dec-24
Incoming
OLrtgoing
FuThJs
31-Dec-25
1Sa. Restrt6ted Funds
Natk)nal Lottery &art
15b. Unrestricted Fund6
Genaral Funcl
19),335
35,049
134,8031
1 fl),581
15L>,335
134,8031
IN).581
16. ANALYSIS OF NET ASSETS BY FUND
Tangible
Flxed
Not Current
Cr•dltors
$9ts1
DLre alter
tssets
(Llabilitiesl
Ofte Ye
TOTAL
Ra5tri¢t•d Funds
Unre$tri¢ted Funds
29,293
29.293
121,288
121.288
1￿,581
1￿.581
P8ge17

EMPOWERED COMMITTED CHRISTIAN MINISTRIES
NOTES TO THE FINANCIAL STATEMENTS
YEAR ENDING 31 DECEMBER 2025
17. OPERATING LEASE COMMITMENTS
Lands and Building
Lease which expirtss
within ona y8ar
8.400
8,400
18. CONTINGENCIES
The Trustee5 have Confirmed that ihere were no contsngent liatrmlthes which should be di8clo8ed on 31 December 2025.
19. GOING CONCERN
The TIu6tees consider that there ale no material uncèrtainties about the Trust'8 ability to Continue ag a wing ¢on(*in.
Page18