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2025-03-31-accounts

Prayer Center Church of God

Charity Commission Reg No 1150914 Company House Reg No 0820 5677

Report & Financial Statements

31st March 2025

Coker Isah & Co. Chartered Certified Accountants

Prayer Center Church of God

INDEX

Page
Charity details 1
Trustees' Reports 2 - 4
Independent Examiners Report 5
Statement of Financial Activities 6
Balance Sheet 7
Notes to Financial Activities 8- 9
Detail Statement of Financial Activities 10

Page 1 Prayer Center Church of God

Charity Details

Charity Commission Reg No 1150914

MANAGEMENT COMMITTEES

Trustees S Balogun P F Amodeni V Olajugba S Oluwamodede Secretary M Balogun

Charity Commission Reg No 1150914 Companu House Reg No 8205677 Registered Office 108 Marston Avenue & Place of Worship Dageham RM10 7LJ

Independent Examiner

James Coker MBA FCCA Coker Isah & Co. Chartered Certified Accountants 74 Church Road Crystal Palace London SE19 2EZ

Bankers

Nat West P O Box 35 10 Southwaek ST London SE1 1TJ

Page 2 Prayer Center Church of God

Trustees' report for the year ended 31 March 2021

The trustees present their report together with the financial statements of the charity for the year ended 31 March 2021 . The financial statements have been prepared in accordance with the accounting policies set out on page 7 and comply with the charity's trust deed and applicable law.

Mission statement

EMPOWERING people from every walk of life become the BEST in all that God has called to be Walking in faith and ADVANCING into their God-given destiny

Trustees

The trustees named on page 1 have served throughout the year. Appointment of trustees is governed by the Trust Deed of the charity. The Board of trustees is authorised to appoint new trustees to fill vacancies arising through resignation or death of an existing trustee.

Investments powers

The Trust Deed authorises the trustees to make and hold investments using the general funds of the charity, but no such investments are presently held.

Constitution, objects and policies

The principal activity of the organization was that of providing advancement of Christian faith,including the relief of people in conditions of hardship or distress to benefitthe community at large,specifically through:.The advancement of Chritsian faith

.The relief of persons who are in condition of hardship,distress or who are aged

.The relief of poverty

. Supporting other charity that respondto disasteres all over the world

The objects and policies of the charitable trust ensure the charity carries out activities that are in line with its purposes. The charity continues to seek additional donations to carry on running the organistion. The Trustees are responsible for the day to day running of the charity.

Development, activities and achievements

The trustees consider that the performance of the charity this year has been satisfactory and boosted by by the continued support of members during the year.

The charity continues to extend the love of God through serving and the number of those served continue to increase. Some of the activities and sevices provided during the year are as follows:

. Safe places of worship and teachings for Christians and the community through various programmes such as workshops, evangelism, music and media

. Youth focussed services and events for youths and youth adults, to support their spiritual and phsical wellbeing, developing new skills and awareness in readiness for living independently and responsible as adults within the society.

Financial review

Funds available are sufficient to permit the Trust to continue in operation in the medium term, given the continued support of the members. If this support is not continued in the longer term, further financial support would need to be sought to ensure the trust can continue to vary out its activities

pg3 Prayer Center Church of God

Trustees' report for the year ended 31 March 2021

Risk Management

The trustees actively review the major risk which the charity faces on a regular basis and believe that maintaining reserves at current levels, combined with an annual review of the controls over key financial systems, will ensure the charity has sufficient resources in the event of adverse conditions. The trustees have also examined other operational and business risks faced by the charity and confirm that they have established systems to mitigate the significant risks.

Future Developments

The charity successfully carried out all planned activities has increased during the year under review and the trustees are seeking to extend the charity's activities within the community and are pursuing a number of activities towards the next report year. We will continue to promote the spiritual and physical aspects of our purposes more effectively by appointing new ministers and pastors to support the work of the charity.

Reserve policy

It is the policy of the charity to maintain unrestricted funds at a level which provides sufficient funds to cover management and administration and support costs. Unrestricted funds are maintained at least at this level throughout the year.

Statement of trustees' responsibilities

Law applicable to charities in England Wales requires the trustees to prepare financial statements for each financial year which give a true and fair view of the charity's financial activities during the year and of its financial position at the end of the year. In preparing these financial statements, the trustees are required to:

a) Select suitable accounting policies and apply them consistently;

b) Make judgments and estimates that are reasonable and prudent;

c) state whether applicable accounting standards and statements of recommended practice have been followed, subject to any departures disclosed and explained in the financial statements;

d) prepare the financial statements on a going concern basis unless it is inappropriate to presume that the charity will continue in operation.

The trustees are responsible for keeping accounting records which disclose with reasonable accuracy at any time the financial position of the charity and enable them to ensure that the financial statements comply with the charities Act 2011. They are also responsible for safeguarding the assets of the charity and hence for taking reasonable steps for the prevention and detection of fraud and other irregularities.

Approval

This project was approved by the trustees on 10/09/2025 and signed on their behalf

Signed S Balogun Trustee

Page 4 Prayer Center Church of God

Independent Examiner's Report on the Accounts

Report the trustees and members of Prayer Center Church of God

The accounts for the year ended 31 March 2021 Set out in pages 5-8

Respective responsibilities of the trustees and examiner

As the trustees you are responsible for the preparation of the accounts, you consider that an audit

is not required under section 144 of the Charities Act 2011 and does not apply, and that

independent examination is needed

It is my responsibility to

Basis of independent examiner's report

My examination was carried out in accordance with the General Directions given by the Charity Commissioners .

An examination includes a review of the accounting records kept by the charity and a comparison of the accounts

presented with those records .It also includes consideration of any unusual items or disclosures in the

accounts and , seeking explanation from you as trustees concerning any such matters. The procedures undertaken do not provide all the evidence that would be required in an audit and consequently I do not express an audit opinion on the view given by the accounts.

Independent examiner's statement

In connection with my examination ,no matter has come to my attention

have not been met.

(2) to which, in my opinion ,attention should be drawn in order to enable a proper understanding of the accounts to be reached.

Signed

James Coker mba fcca Dated 10/09/2025 Coker Isah & Co.

Chartered Certified Accountants 74 Church Road London SE19 2EZ

Page 5 Prayer Center Church of God Statement of Financial Activities

For the year ended 31 March 2025

8
Incoming resources
Voluntary Sources- Donation
Total incoming resources
Resources Expended
9
Direct Charitable Expenditure:
10
Management Administration
Total Resources Expended
Net Income resources for the year
Profit on disposal of assets
Fund brought forward 1st April 2017
Fund carried forward 31st March 2018
Unrestricted
Fund
2025
£
41543
41543
8810
1662
10472
31071
69070
100141
228812
328953
Unrestricted
Fund
2024
£
43218
43218
57619
14621
72240
-29022
0
-29022
257834
228812

There were no recognised gains or loss for the 2024 & 2025 other than included in the statement of Financial activities

Page 6
Prayer Center Church of God
Balance Sheet
31st March 2025
FIXED ASSETS
4
CURRENT ASSETS
Bank & cash
CREDITORS
Amounts falling due within one year
Accrual & deferred income
5
Net Current Assets
CREDITORS (Long term)
Amount due after more than one year
Loan
ACCUMULATED FUND
Retained Surplus Brought Forward
6
Surplus for the year
Retained surplus CF
2021
£
£
1,669
329,052
329,052
1,768
1,768
327,284
328,953
0
328,953
=
228,812
31,071
259,883
2020
£
648,680
2,494
2,494
773
1,721
650,401
421,589
228,812
257,834
-29,022
228,812
2020
£
648,680
2,494
2,494
773
1,721
650,401
421,589
228,812
257,834
-29,022
228,812
650,401
421,589
228,812
257,834
-29,022
228,812

Approved on 10/ 09/25 and signed on behalf of the Trustee9

By

Signed S Balogun Trustee Member

Page 7

Prayer Center Church of God

Notes to the Financial Statements For the year ended 31 March 2025

1 Accounting policies

1.1 Accounting convention

The financial statements are prepared under historical cost convention and in accordance with The Financial Reporting Standard for Smaller Entities (FRSSE) (effective Jan 2005) and statement of Recommended Practice (SORP 2005) ,and with the Charity Acts 1993

1.2 Incoming Resources

The Income represent the total donation and Income Tax Clamed excluding Value Added Tax , receivable during the year

1.3 Depreciation

Depreciation is provided on tangible Fixed Assets at rate calculated to write off the cost less residual value of each assets over its expected useful life as follows:-

Fixture fitting and equipment 25% reducing balance method Freehold property 25% reducing balance method

1.4 Donation Donation receivable are credited to the Statement of Financial Activities (SOFA)) in the year for the year which they are received.

1.6 Unrestricted Funds

Unrestricted Funds are donations and other incoming resources received or generated for the charitable purposes

1.8 Restricted Funds

Restricted Funds are funds received which can only be used for the specific purpose as laid out by the donor Expenditure which meets this criterion is identified to the fund, together with a fair allocation of overheads costs. During the year there are no restricted fund.

2 Income

The total income of the organization for the year has been derived from its principal activity wholly undertaken in the UK

3 Operating surplus

Operating surplus 2025 2024 Operating surplus is stated after charging £ £ Depreciation of tangible assets 557 63342

Page 8 Prayer Center Church of God

Notes to the Financial Statements

For the year ended 31 March 2025

4
Fixed Assets
Freeholg
Property
Cost
£
01-Apr-24
731,610
Disposal
-731,610
31-Mar-25
0
Depreciation
01-Apr-24
85,156
Charge for the year
0
Disposal
-85,156
31-Mar-25
0
Net Book Values
31-Mar-25
0
31-Mar-24
646,454
5
Creditors amount falling due with one year
Bank loan
Creditor and accrual
Inland Revenue
6
Summary of Assets by Fund
Unrestricted funds
Surplus bf
Surplus for the year
Fixture
Fittings
equipment
£
13,195
13,195
10,969
557
11,526
1,669
2,226
2,025
£
1,768
1,768
2025
228,812
100141
328,953
Total
744,805
-731,610
13,195
96,125
557
96,682
1,669
648,680
2,024
£
773
773
2024
257,834
-29022
228,812

7 Trustees Remuneration

NO trustee was paid under PAYE Schemes

Page 9 Prayer Center Church of God

For the year needed 31 March 2025

Notes to the Financial Statements

8
Total incoming resources
Unrestricted
Fund
2025
£
Voluntary Sources- Donation
41543
Other income
Total incoming resources
41543
9
Direct Charitable Expenditure:
Renr and rates
8648
Loan interest
0
Property repaies & maintenace
117
Telephone
45
Direct Charitable Expenditure:
8810
10
Management & administration Expenditure
Bnak chages
11
General exoensis
99
Accountancy fees
995
Depreciation -frehold property
0
Depreciation F F &E
557
Management & administration
1662
Total resources expended
10472
Net movement in funds for the year
31071
Profit on disposal of assets
69070
100141
FUND BALANCES B/F
228812
FUND BALANCES C\F
328953
Unrestricted
Fund
2024
£
43218
6
43218
8604
48847
123
45
57619
24
102
0
13753
742
14621
72240
-29022
0
-29022
257834
228812