Living Bread Fellowship
Church
Report and Accounts
Year ended 31 May 2021
Stewardship
A£tNe8enerosity
1 Lamb$ Passaoe. London ÉC1Y
•A4YHL3ZF*
2410212022
COMPANIES HOUSE
214

LMNG BREAD FELLOW8HIP CHURCH
COMPANY INFORMATION
FOR THE YEAR ENDED 31 IAAY 2021
E F￿h)n
A Luiz do Prwjo Lopes (resNJned 2 Nov 2020)
AArrnijos Hurtado
Smlth (appointed 27 Nov 20201
K•y Slaff
AAtr￿ Flho (Pastor)
Gov•mlng l)o¢um•n¢
1A8￿￿nd￿rn and ArfK18s of Asso¢iation dated
28th May 2012
Compny Rfjlstratlon Numb•r
08086107
Charity R•gistth Numb•r
1151320
Prfn¢lpal Addr•ss & R•qlsteMd Olll¢•
116 Bram* Road
North Kensington
LoThJon
W10 6SU
Ind•p•nd•nt Examk
Rajani FCIE
StvwArdship
1 Lwnb's Pass
EC1Y 8A8
S•lloltor5
)thw Collins So1￿1101$ LLP
124 Edmund Street
Bim)ingham
B3 2ES
Bank•rs
HSBC Bank pk
P*g•
Company Infonnation
Trustees, Annual Report
Independant Examlnerfs ReFKxt
Stat￿lent of Financ&g1 Actsv1ti8S
Balance Sheet
Notes to the A¢¢<xmts
24
8-10

UVING BREAD FELLOWSHIP CHURCH
TRU8TEES' ANNUAL IIEPORT
(INCORPORATING DIRECTORS. REPORT)
FOR ThE YEAR ENDED 31 MAY 2021
The trustees, *lK) are the charit￿S director5 for the purposes of wnpany Iw. have pknure in submitting
the Report and Accounts for the y*r.
ob￿ats gf th• ¢harity
The chaiity is a charitable company and is gover￿d by ts m1K*￿uM arlK48s of a$s￿l8￿CA.
The obiecls of the charity, as set out in the goveming d(￿ment are to advance th8 Christian faiih in
accordance with the Slatoment ol Beliets in Hounsltr#. London arml in such othei of the Uniled
'ngdom and the worfd as the Trustees may from Ilme to t*me think fiL
The Gharity seeks to fuffil the above obpdNes by deffl￿ the Chiistian laith in action by ¢Jperating
as a thurch in London.
8ummary afth• ¢haiitys main a¢livikn and a¢hl•v•m•nts
To further the abovo obp¢ts aml Wismin. Ihe tharitys main rthli￿ and *ievements were as folhyts:
. We continued with the Weekty 5eThice I gatswlngs on Saturdass from June 2019 to March 2020 as
normal, however fr￿ Marth to September. the churth had to ck)se due to COV￿.19 govemmental
regulations. During this period dhj continue with vrnekly servK*$ hold virtualty Ort￿r through live or pre
uploaded Mdeos. These ser¥ices are in Portsjguese languagg, *ith translation to English. The memberfs
attendance was stable duFing the pgrnd frc¥n Jurft 2019 lo March 2020. On 121h Septsmber 2020 the
chuTth ro-opened and ￿(￿1 again in October 2020. The18adership and the cperational team have t¥)th
been thDring to keep all church members safe and have folkl￿d Infe¢t￿ wrtrol prcthdures. The church
attendance has decreased during the parKtemic, **iith coubj bè ￿￿Se of the worry wlth contaminat￿n.,
also the ¢hurth had to bo ￿mIt￿ In numbers so as to keep a dislance of 2 metres beiwoon bubbled
groups.
- We continue wth the Youth Monthty ser#ice tmth the purpose of feachlng OLrt to Ihe Y￿th and wider
communty. These servi￿$ aro in English language. at tmes a guest speaker.
- Durlng 201912020 we continued to offerlrun speaal seThKes such as: Thankswing (first seNke of the
year), Family Celebration. Motherfs Day. H(p￿ due lo the CovKI.19 go¥enrntal regulatiwts. Fatsfs
Day Celebration, Baptism and Christmas Celebration wvro cancelled.
- Pastor Luiz, Pastor Cristiana and Pastor Mary have been actI￿ty o)ntsibuting lo the thurch aGtivibes. As
mentioned in the InfOnnat￿ tab. Lulz resigned in NoVWnt￿r 2020 and Andres has been appointed chair
since his departure.
. We contlnued to offerlNn weekly servK6s on SatUTday5, pr￿r and Intercess￿n meetbngs on Tuesdays
and Bible studies OTTr Wed•,' al nwetiws via zwn durirKJ the kI￿down period.
- LBFC implemont*J the ¢ell vision with the aim lo reach ￿Jl lo more people and lo off8r the community
an opportunity to hear the G)swl. This is lo be run by leaders. They were tra￿￿d by Pr Luiz and Pr
Cristiana on hcA¥ to W the c*ll groups and will have their supporL H￿￿￿Ver duè to the pandeml this
was currenty on hokl.
. Chiklren Mini$ty has gr(r*fft. We have the rjildren Mil￿ t&wler and f(YJT teacher5 that are (X)r￿nitI0d
to foltuw their calling lo serrfe in the Chiklren's Ministy.
- Regukr visits to a group of elderty ¢hur¢h ff*mbefS to provide spiritual and practical support, e.g..
Prayers. acw>anying them lo app￿￿trywts. hairdressino are on hokl due to the pandemic.
Howevtt, the Pastorts offèr phone conversthn to ensure It*y are fine.
Page 2

UVING BREAD FELLOWSHIP CHURCH
TRU8TEE8' ANNUAL REPORT eorrtlnu•d
Summary ol th• ¢haiitys main a¢ti¥￿ and arthl•v•ments ¢ontlnu•d
- Regular vssils to familtes that are in ne&1 of prayer5. o)unseWng aThJ financial support are (yJrrentty oft
hold due to the Pandern￿. HcA¥ever. the pasth (xJrttnu8 offeriry supwt by phona conversation and
prayers lo those in need.
Overall. Liwng Bread Fetk7*%hp Church is sl*Jle. The CIHJrch is proxtiva in encouraging membe￿ 10
serve In the congregation and lo devekjp in their calling.
During the Lqst year. churd) leadership m*tings have L*en hekj rogulaty arrfl Trustees meetings havo
been held quartety, via'zoom, during thg pandoml¢.
Many of the charitls &livlbes are underlaken by volunteers the charity not operate eff8cltvely
without Ihoir efforts.
In planning ￿ xts¥i￿$ Ihe Truste¢s trAve apphed the guidance on Publ￿ benefft issued by the Charity
CommissTran.
Stru¢tur•, Gw•rnanM and Manag•m•nt
Responsibility for setting poh'cy and for making operaling decisNYts regts with the tDJSt￿ who meat
regularty tr) Monitc￿ Ihg activlb6s of the charity. trustees are recnjited and app)into0 by th8 church's
SpKilual Leadershfip.
Plans for th• lutUT•
The key slfalegies for the church remain the same. The rt*iectsve of Llving Bread Fellcwsh¥) Church is to
ncentrate their effort in strengthening the church in Engknd, through lead•rship training. which aims at
generating strong leaders to wnpact this generation through th8 Gospd of Jesus Chrl$t
The aims for next year are..
To have all leaders embraang the church cell and b• l•ading a cell group.
2. To conclude the ¢dl Nrysk)n training to all **K) ate in¥oè4ed ￿ tt18 Chikken Ministry arKI hav
them leading ￿11 groups V￿th children wa Zoom
3. To offer adVar￿ed training to church le*rs.
4. To have ordinaTrx of deacons.
5. To re¢ruit more TfU$tees for the thurch.
To change the ¢harity stnthre fll￿ that of a Imited to a Charllable Incorporaled
Organtsation {ClO}.
Flnanclal rwi•w
During th6 y￿r incune was aknN)st urK*aryd at £36,109 (2020: £35,937), expendllure decreased by
£5,182. 10 £29,624. As a result the charity has reported a surplus of £6.485 12020." £1,130) and the
chanty's net assets increased by the STh •Th)un( to £45.939. Net assets incluth unrestrkted tash of
£41,843.
R•s•r¥•s polhy
The trustees have detenyK￿d that Ihe ch* shoukl avD to ￿reStri￿d cash of no less than £15,000
ond no more than £30,000. The tftBte8s bel*ve thal Ih8se reser4es need lo be held to help 8nsure that
the chanty could continue to ¢Fer*e srrK>)thty should income and I ￿ expenditure vary adv•rsely. Al the
year end the charity held unreStr￿10d cash of £41.843. This 15 slightty mow Ihan requlred by the wlicy
howeveT expenditure is increasing as thaffty beglns to have rnore regular ￿ powin meelings and.
dependin9 on levels of irKome. Ihe charity may need to USO ol its reser¥e>
K•y risks and unMrtainti•s
The Directofs have reviel￿d the risks to a small ¢harity crf)eraiing with few empbyees is exposed.
Approprlate proeedures are in place to vjentsfy. ￿￿)nrtQr and rovw lh￿ risks on a regular basis.
P•Je 3

UVING BREAD FELLOWSHIP CHURCH
TRUSTEES. ANNUAL REPORT ¢•ntihu•d
R•sponslbilill•s ol lJus*••s und•r oompany law
The trustees are responsible for preparing the trustees, annual report and the financial ststem8nts in
accordance wlth applicable Iw and United Ac£ounting Starmlards {Untted lQngdom General
Accepted AccoJntYw PractK*}.
Company law requires the trustees to prepare finan¢ial statements for each financial year which give a true
and fair wew of the state of the affairs of the Charitab￿ coryyny as at the balan￿ sheet date and of its
incoming resources and applicatton of resources, including irmm and expenditur8, for tho financial year.
In preparing these financial statem￿, the tw$tees required to..
1. se*t suitable accounting ￿1C￿S and appty It￿7 o)nsistenty.
2. observe the methc4Js ar¥J princyles in the Charitsos SORP:
3. ma(e judgements and estimates that are roasonable and Prudent
4. stale vthether the applicable accounting stsndards have been folkrA*d. subpct to any matwwl
departures disclosed and explained in the f￿ancb￿l statements,. and
S. prepare tho financial statements on e ￿En9 ¢(K￿M basis unl8$8 it is #wyrowiate to presu￿* that
the charity wll continue in operation.
The truslo9s are responS￿le for keepirwJ propw acctyjnling recaxds that disckjse *ith reasonable accuracy
8t any time the financial positM)n of the charitable ccffj)any and enable them lo ensure that the financial
statements compty with the Companies Act 2CrfA. TW 8re also responsible for saffjguarding the assals
of the charilable company and hence for taking reasryth steps for the prev¢ntion and detection of fraud
and other irr8gulariti85.
Appmval
This rel￿. has been prepwed kn xcaxdanc* *ith Ihe Pr￿1$￿￿ of thg Ccrfnpani8s Act 2LWJ6
relating to small c%¥npani8s. was approved by the Irustees aThJ $iW on their behall by..
Andros Marcejo Amiipx Hurtado
Date.. 18 Febwary 2022

INDEPENDEKf EXAMINERZ REPORT
TO ThE TRUSTEES OF
LMNO BREAD F￿0¥￿&HIp CHURCH
(Ih• Comp•ny?
I report to the c*arity trustees on my examination of the a(￿)Unts of the Company for th8 year ended 31
May 2021 on p8ges 6 to 10 f￿1￿ing, which have been on the basis of the accounting poli¢ies
set out on paggs 8 and 9.
RespMslbllltl•s and basls of ¥•port
As the charitys trustees of the Company (arKI also lis directors ft)r the purposes of cornpany lawl you ar6
reSpOn￿b￿ for the preparation ol the accounts in •xordance thè r￿U￿reMents of the Companies Act
2006 {'the 2006 Acr).
Havrng satisf￿d myself ItrAt the accounts of Ihe Company are not requirod to b8 audltod Part 16 of
the 20(￿ Act and are eligib￿ for independent examHHl*)n, I re￿¢ in r¢sp8¢t of my exarnina￿n of your
charity's accounts as carried tyjt under seclb)n 145 of the char￿eS kt 2011 (Ihe 2011 Act.). In carrying
out my examination I have fditrwed the Direction5 gN*n by the Charity Comrnission under section 14515)
Ib)ofthe2011 A
I have completod my eXamina￿n. I c(￿fiM1 that matters havo to my attonlTh in ¢Onnectm￿ wtth
the examination giving me cause to bewe..
l. a¢ownllNJ rec¢xds not kept in respect of the CoMp￿Y as required by Secam￿ 386 of 21))6
ACL. or
2. the acc*)unts do not acwd with those records; or
3. the a¢￿)Unts do not c1)m￿Y with the ￿oun￿r￿j requirèments of section 396 of the 20(￿ Act other Ihan
any requirement that the a¢¢ounts give a 'true and fairf vie* wthich is not a matter eonsideiod as part of an
ind8PondéDt èxamination; or
4. the accounts have rK)t been prepared in acciKdarKe V*ith the method5 and principles of the Statament
of Recommended Practie* for acC￿n11ng and reporlina by Charli￿ applrcabb to charities preparing thelr
counts in ￿1rdance with the Financial Reporting Standard appI￿able in UK and Republic of
treland (FRS 102).
I have no concems and have come across no other mattels in conn8Ctiry) with the examination to which
attentKJn SIM￿ld be drawn in this rew)rt In order to enab￿ a proper understanding of the accounts lo ba
reached.
Ajay Rajani FCIE
Stewardshlp
1 Lamb's Passaga
London
EC1Y 8AB
Date.. 21 February 2022

UVING BREAD FELLOWSHIP CHURCH
STATEMENT OF FINANCIAL ACTMTIES
INCLUDING INCOME AND EXPENDrruRE ACCOUNT
FOR ThE YEAR E14DED 31 MAY 2021
Total
Funds
2021
Total
Funds
2020
Funds
Funds
INCOME AND ENDOWPAENTS FROM:
Donations and legacAes
36.109
36,109
35.937
36.109
36 109
35.937
EXPENIXTURE ON:
29.624
29.624
Total ￿p9ndI￿r•
N•t I￿)M*11•xP*nd*tsMj
1,130
N•t mov•m•nt In fund•
6.485
1,130
R￿1)n￿lIad0Tr of fvnds:
Tcrtal fvnds brought foThy￿d
39.454
39,454
38,324
45.939
45.939
39,454
All tnMme and eXPe￿re dwi4r fr(￿ C4)rfwxiry (watio￿. AH of Ihe chwW8 InrJ)me aTh1 eXp￿dit￿re in the
evious yw was also unrestrlctsd.
required by the Ccrfnwies Act 2(￿￿.
Page 6

AS AT 31 IAAY 2021
Tolal
Fund$
2021
Totsl
Funds
2020
FuTrJs
Funds
FIXED A8SErs
Tangiblè fixèd ass•ts
CURRENT A88Ef3
Debtots
Cash ot bank and in hand
47,442
47.442
40.474
CREryTOR3.' Am¢wnl• l•Hing
du• wlthin on• y••r
(1.5031
11,503)
11,tr201
TOTAL Nrf A88ÉTa
FUND BALANCES
Unrestri¢Xed funds
The charitsbk con¥>ony is ontitt¢d to &YempthvTr from PJecaion 47T C¢mpath 2C￿ fr>rth? y•ar ended
31 W2021.
Th• mtsmb?rs ha¥? rrot required th• eurpony to otrtsin an audit of its fina￿1 statem1￿ ￿ lh• ye•r ended 31 May 2021
in •C￿ld8￿ce whh Section 476 of the Crynp•nies kt 2C￿ h￿￿¥￿T. in ￿1rdancE wih S•c*on 145 of Ch#ritses Ad
2011, the a￿￿Ur￿ ha¥• bo•n •)oNned by w indBpwKknt •xamw arnj I￿r ww)ort has bo￿ irtc*Jded in these fina[￿1
The dtrecaors {**K* d*TIla￿ trv5*0s for fv wrp¢v$ ol dith l**) **n174*0ts Iheir rnsporribihti¢s
Companies Ad 2006 ond
{bl preparing ststsments a IDJè and lair Vi•4¥ of ltte slato of affaSrs of the elwitable c4Jmpany as at the
end of each ffinarKial yw and of its net W￿dIt￿re for e4th fina￿￿ in •xord*)c* with th
feguirements ot Sectons 394 and 395 and otr*rTh v*ith ihe requirements of the Compani¢$ 2C
r•labng to finanoal sWom8nts. ¥0 f*as appkaljkn to ts rtwifth c•.
The finanaal Stalernents hava l)8en prep¥ed in 4c¢Lyd¥K¢ th? PfDWSth$ of Part 15 of IM cornP￿leS Ad 2f
lat.ng to small eorwTre$.
Armlres Marcelo knlios Hurtado
t>*#.' 16 Fe￿ 2022
Charity numtw. 1151320
The notss on ￿ge5 8 to 10 form partoflhw ac<yx

InfqmMU•n
The charty h a i*aiitablp company l*nrted ty g￿rantee Is I)ctsp￿d kn Vr&gd Wl¢yn. Trgist8r•d
numberdnd rngi51ored Off￿ 4ddrn5S Can be on th• Crn Infm•lb)n pop?.
Ao•ounllno Poll#l•s
T*￿$e finar¥rial Jt*ments be￿ pRP4￿ ITr t￿lh Statemant of R8gJmmerthd PAL*¢*.' ond
Repotljng by char￿¢$ preparing th¢* ac£4Xrtance tAth Ihe FThnLial RewtirvJ St•¥lard •pp*¢*b￿ ¥1 lh• UK and
Reptsb1￿ ol IreLqnd IFRS 1021 fthe Clwths S￿, xth the Rrtb)rtif4 Stsndard applk* in Ihe Llnfted Kirbgdorn and
RepuNic of Ire￿nd C'FRS 10r). theCThnl•s w#h Ihe Charmles Ara 2011. The ch• moets Ihe defihitk)n of*
publi¢l)enefi¢•ntity as sel oul h FRS 102.
going concern ba6k8 is approwla* qnd haby cons*J•red possb* *vtyts tyrJ)rdlkJis th81 easl signirtcanl d￿bt on ￿￿'Ity
ofthe charity to wntinue as a 5oin9 1x￿rn. T￿ In8t¢es ha%¢ made th4$ a￿e$S￿l for a peiiott of 81 iea8t On8 year from the date
of approval of the flnaThual 6tatements. In parth)Jlar th8 tnmlees h•¥0 9)nspJor￿ lh• ¢harfty$ fty•¢a&ts and proj8Ctions And th8
POS84ble shoukl wojecleo aTrJ l or v•ry uMy4¢d•Jty. Th¢ tr￿•tee8 ha¥* t4nclud8d thal Ihr• i8 a
IF￿101￿ ¢On￿n￿e8 to •lopt goty o)ntyrn preparng ts tharK4 #attmwts. m•kir4 thls a$￿$*nO￿t, the trus
Income Indudko kn*sbment Ine4me pj in th• pellod iht ctsf*y be¢tyw to r￿lPt, pffiounl
rEceN4ts￿ can be meam¥￿ ￿¥s¢nablE tertwty. ar￿ rocelpt * wobth. For th• mod part. 1$ gor*4￿ rt¢0gn?sod
when it ts rnrniwed. lfttome 18 onty defeffed Ihe chanty ha6 lo fulm ¢>JndrfthJM b•for• etiti￿d to * Ort*h￿ thedonor
Ihat has fiot been ra(*Jbtred bythe 51Mt d•ie Is th¢b)ded 4$ • debtor.
The charity relkfj5 on ¥olunte•r5 to w ￿J1 mary 41 *$ *(ty¥ths. Ho*e*r. kn aetofdance thè SORP. ￿ vath of th•¥8
Ewnditurn, in¢ludkn9 VAT. l& rethi￿e￿ It is w, rf eathr. wr*n • Wl ora)n$lnth obl*aloft for •
payment aiiw prtythd tw it is Ih•t gelllemert bo Ind th¢ •Tr)Iml ol th¢ thhjatlon can be rn8a8ured
reliabty.
Ihe charty. In tsjlh Ihe ujrrent 8nd the prewliry >t4rthE cJ¥•ntydpJ re¢¢fv¢ arby restrthd fvJKls are donaUon8 th81 rnusl
•¢hvl*es orw*¢lsl.
tt•m¥ puf¢h•s¢d Or donated lor Ihe tttarV8 are capitaf*ed tho c•5101 wrth•s•d rflmb. ty Ihe f•ir¥•lw oldonated
ems, than É5CQ and Ihe txpeded lo bertefrt the ¢hafflty more than on8 acc•untkng perK#J. 16
tharged on a slrapJM lin• basis ￿ 4$ io wr#• th• ¥•lu• of ¢•th ass*1 to tts •stknated ￿&1￿11 ¥due lil any) O¥•T its
l(c4le that the Catryino value may te
pay8bf8 oft the charity8 knL7>me.
Th* ¥*aW8 0$8¢ts 8r#l fin0￿1•1 Wth"IAtes all •5 b•5ic f￿￿[1￿1 in¥trum•m￿ *$ d•fir*d by FR$102. Credttorn and
*btOfS ar•mea$vred althelrexpeded 8etlleThntvab* Inorrnaty Ih•anwJunt of¢•sh thaithe ¢htr* 1¢ p•y or ree•￿1.

FOR THE YEAR PIDED ¥1 2021
h)
YI In 8 malerw adj'tsstrfienl to thè eanyry Val￿ of asaets aThl In the neA1 feporting peip)d.
2020
Dondions al￿b sknl
Int*me tax re¢ovwatrt*
Job Retgntton Schema grart
26,111
5.598
27.LM7
5.531
hwltybl••xpondMw•
2021
2020
Pr¢ptrty rent I￿1
Staff Cosls
(Xher miTrW rxAts
Gh781o speaker8
Phone6 and fommunrAtio
Sm411 olTr¢¢ equw*
5.552
21,481
25S
9,419
21,267
140
260
319
389
275
Costs TrnouFr•d on supppft&*dmth*
1.020
247
1.038
1.031
391
Support ¢osts
T•t•l •¥pv4ltyv•
The lee Payab￿ to th ir*Jeperthl thmin•rfor w•p•rirwJ •TrJ ex•* the •twurAs *•• £1,020 ￿020.. £1.020}', ￿ athjfaofi Ihe
¢hadty pail £63112020.. to S￿￿ardShI> for PV*ToH bureau aTrJ cgxwlarity*¢ryk*s.
2020
The average ￿￿thI1 nwnber of Iha ¥MS 1 (2020.. 11. *frJst of tht L*•iW8 •¢thitles are ¢athed out by
¥O￿nteers.
key managament recew ￿ptyne￿t bor￿ £20.W12020." £21207).
prec4dlr#J ￿Or.

TAnolbl•llx•d •ss•ts
equipmefftt
Tolol
Cost
At 1 JUM 2020
Add￿￿￿n8
At 31 May 2021
819
819
819
819
A(￿mU&￿d depr•¢l*D
At 1 2020
Charge lorthe yoar
At 31 hlay 2021
819
819
819
819
Net book value
At 31 May 2021
At 31 Play 2020
2021
2020
5.598
5,531
Job Retentti￿ Wem•grart
C•Bh al •nd Ih Hand
2020
Cash al bank 1￿Med￿* •¢¢ws
P¢ty ¢asb
41.837
31.571
14
r•dll•rB.' ￿￿11111•8 du•T*lhln •n•y•w
2021
2020
During Ihe ￿aT the Ghlfity rec•i%*l £7,745 (2020.. É9,4611 from rvlthd lwhkh trustees, ar
Except for the rBThbu[son￿￿l ol •yppns¢5 I￿J￿¢d actw as •Jont V* nts expèr￿￿{2￿10.' Eft￿ *w• p•fvJ to.
11 Al•mb•
10