(Registered Ch*ritv No-11526261
JOHANE MASOWE-CHISHANU
APOSTLES (1931)
Trustees, Report and Financial Statements for the year
ended 31 October 2025

CONTENTS
PAGE
Legal and Administrative Details of the Chariti,, its "I"rustees &
Adi'isors
Trustees, Report
Independent Examiner's Report to ihe Financial Statements
Statement of Financial Activ'ities
Balance Sheet
Notes to thc F inancial Stalements
io

REFERENCE AND ADMINISTRATIVE DETAILS OF THE CHARITY. ITS TRUSTEES
AND ADVI.SEILS FOR THE YEAR ENDED 31 OCTOBER 2025
Trustees
Taleni Masuku
2. FungTisai Agyn¢5 Mu¢h¢nj¢
3. Tap1￿,a Gudo
4. Zanele Marshona
5. Tamira Mundandi
6. Nobuhlc R¢giina Tafadzwa Ndhlovu
Charity registered Number
11526?6
Date of charitable registrntion
2WJune2013
Principal office addrt5S
25 Park Vale
Kenningjion
ASHFORD
Kenl
TN24 9NH
Independent Examlner
A¢¢ouniin8 Assisi Ltd CIO Good io Giv¢ Ltd
Bankers
Barclays bank

TRUSTEES. REPORT
FOR THE YEAR ENDED31 OCTOBER 2025
The Board of Trusiees, who are the Iwstees for charit). law puryNises, submit their annual rerx)rt and the
financial statement of Johane MaSo￿.e-chIshanU Aposiles {1931) for ihe year ended J l Ociober 2025.
The Board of Trusiees confirnis thai the annual reTX)rt and financial ststements of the Charity comply
with ciirrent siatutory requiretnents. the requirements of the Charity's governing document and the
provisions of ihe Charities SORP IFRS 102).
Strueture. governance and rnanagtrntnt
The 6 Trustees are:
Talent Masuku
ungisai Agnes Muchenje
Tapiwa Gudo
Zanele Maishona
Tamira Mundandi
Nobuhle Regina Tafadzwa Ndhlovu
The Trustees play a primary role in ensuring g(￿ governa￿e and functioning of ihe foundation. The
Board's role. functions and responsibilities arc quiie clearl>, defined.
Th¢ Charity ¢urr¢ntly has a strong team of Advisory Ix)ard memlKrs in the UK who hav¢ h¢lp¢d to
secure financial support and contribute io the fulure planning of ihe organisation.
GovernlnE do¢umtnl:
Johan¢ Masow¢-Chishanu Apos¢les I19i I I Charity is a membership asso¢iaiion governed b>. its
ConsiilU(ion dated *8 April ?013. 1-he Charil}" Was r¢8lStered as a Chariiy (No. 1152626) Wlth ih¢
Charity Commission on 27th June 2013.
The Charity does noi employ any staff but is run by a knard of Trusiees within the bjuidance ol'th¢
Constitution. Trustees are apwTrinled by Church membership in accordance with the Constitution and
do not ￿(eive any salary or paym¢nl.
The Charity comprises local Chiirch ConbrebTations. known as Sow'es. to allow membetship to attend
relibFIOUS <1Lliviiies and churLh services in differeni localiiies SULh &$ in K￿lering. I laifield. Brislol,
Dcrby and Birrningham. Th¢ r¢ligious activitl¢s and I￿81 Sunda) church 5crvi¢¢s ar¢ att¢nd¢d b!"
LhurLh members and also nonachurch members who are willing 10 receive the word of God and
spiriiual healing.
Rerruitment 4nd gppoinlment of irusltts:
Th¢ charity is gov¢rn¢d by a board of try￿1¢¢5. This is to ¢n5ur¢ that th¢ board h85 th¢ skills and
experience reqiiired io ol'ersee the managiemenl of ihe charii). and its operdlions. The Charil!,
trustees are respollsible for general control and managemeni of the charil}'. The trustees give their
time freely and receive no remuneration or other financial benefits.
All ne￿. trusiees receive a planned induaion progrdmme before taking up their place on the board.
This includes an explanation of their roles and r¢S￿nSibIlitieS. an introductiot] lo other trustees, an
oi'erview of recent activities and an explanation of broad fomiat and process.

TRUSTEES. REPORT
FOR THE YEAR ENDED31 OCTOBER 2025
Risk Management:
We are committed io a policy of identifying, monitoring and managing the risks that might adverselv
affeci the aciivilies in which M'e a￿ involved. In ihis conieyi. risk is defined as ihe poieniial io fail io
achieve charity. objcctivcs and for loss, financial and rcputaiional, inherent in the cnvironment in
which wc opcratc in thc natur¢ of the trdnsaaions undcrtakcn.
The principal risk of the charity has been its dependence on voluntsry income. TNstees have initiated
various proccsses to rnitlgTat¢ such risk, so that ihc charity has sufficient r¢s¢rv¢ in th¢ ¢v¢nt of
adverse condition(s).
The tru%i¢o hav¢ also ¢xaniin¢d oih¢r 0￿raIlOn#l busine*g risks which they face and ¢oJJfirni tl)at
Ihey have iaken steps io miiigaie (he significani risk's.
Publie Bentllt:
Th¢ Trust<¢s have ¢omplied wi¢h ihe duty in S¢¢iion 4 of the Charities A¢t 2011 and have paid due
regard io public benefit when preparing this reix)rt. 'l-he benefii provided to the public is consistent
with the aims of the charity in UK.
Objeetlves and aetli'ities:
JM-CA {1931) Charii>' is ¢ommitt¢d io enabling &$ many ￿0P1¢ as possible io worship at our ¢hur¢h
and to become part ofour Johane Masowe•Chishanu Aposiles11911) (or JM-CA119311) coinmunity.
maintainingF an oi'eTvieM' of worship ihroughout the Church and InakingF su&g?esiion5 on how our
s¢rvic¢s Can involvc in view. of ih¢ di￿'¢r$I1y of lh¢ ¢ommunilv giroups ihai liv¢ within our ¢l)ur¢h
Our serTrice5 and worship put faith into praclice through prdyer. preaching and singing. In particular
we try to help OTdinary people lo live oul iheir faith as part of our JM-C A 11931) cornmunily through..
Worship and Prdyer: learning about the Go5￿1 and developing their knowledge and trust in
Jesus.
Faniil J values, support and encouragement.
Missionary and oulreach programme.
The principal activities in the period were:
Preaching and spreading the word of God to the memtKrs and non-rnembers in the UK and
abroad.
Fulfilling goals a5 set out by the Holv Spirit.
Teachinbj and encourdgsing the adherence to the Ten Commandments.
EncouragFing Cothoperalion. fellowship and unity amongsi memtejs of the Church and the
conimunities.
Facilitaling and encournging self-help projects.
Financial revieM':
The largest contribution io Ihe charity for ihe year came from general offerings.

TRUSTEES, REPORT
FOR THE YEAR ENDED31 OCTOBER 2025
The Charity currently aims to designate ihe iotal fund received less eX￿nSeS for the main objeciive of
the charity.
Total incom¢ for th¢ ycar incr¢as¢d to £1 14.2iO {2024= £8? 648). an incrcasc of £31,582, drive
primarily bv higher voluniarv donations and offerings from church mem￿[S. Totsl expenditure
aniounted to £107,753 (2024- £77,4)8), resuliing in a net surplus for (he }'ear of £6,477 (2024..
£5,210).
Reserves policy:
The Trustees aim io maintain free reserves equivaleni io approxim￿e[W three monihs of operaiing
costs to ensure the charitj. can continue its aaiviti¢s in the event of an unexpected shortfall in income
or unlor¢5¢¢n ex￿nditur¢. At lh¢ !'¢ar Cnd. Un￿strICt￿ r¢s¢rv¢s stood ai £?7,i40120?4.. £?0,86i).
which the-l'rustees consider to be ai an adequate and appropriaie level.
Plans for fllture perlods:
To ¢ontinue to fa¢ilitate
S¢rvi¢es- Wornhip by pulling faiih into pra¢ii¢¢ ihrough pr85'¢r. p￿Ching and singin&J and (o
help ordinar). rKople to li&e oul their faith as parl of our JM-CA. I19)1) coinmunily. Ibl
Worship and Prayer- leamin¥ abou¢ ihe Gospel and (¢) KnO￿.7¢d￿?¢ d¢velopingJ und¢rsiai)ding
and trust in Jesus. the missionat), and outreach progrdninies.
To providL pastornl care for elders in Ihe church. families and communities.
To hold fund raisinb? aciiviiies for susiainabilii). (some operaiional costs) and property
acquisitions such a5 idenlifyinLJ and purchasing our own Church buildings.
To acquire our own premi5¢s as a Headquarters and relevant church activities. wilh the view
of havinb? M'orship cenires in our re5￿ClIve regions.
Siliement of Bo#rd of Tru5tees' responsibilities
The Board of Tru5ttts are responsible for preparing the Annual RerK>rt and the financial Statements in
accordance with applicable law and United Kingdom Generally Accepted Accounting Practice.
Charity law applicable to charities in EnglaviVWal¢s requjres lh¢ Board of Trust¢￿ lo pr¢pare
rinancial Statements for each financial year which give5 a true and fair view of the state of affairs of
the Chdril!, and of the surplus or deficit of the ch￿ilY for that period. In preparinb those finanLial
stat¢m¢nls th¢ Board of Trust¢¢s hav¢..
Selected suitable accounting ￿)1]cIeS and applied them consistently,
Mad¢ judgm¢nts and ¢stimat¢s that r¢asonabl¢ and prud¢nt,
Staled whether applicable accounling siandards ha¥e been followed. subjecl to any malerial
departUTes disclosed and explained in the flnancial statements- and
Prepared ihe financial staiements on a going concem basis (unless it is inappropriate lo
presume thai the Charity will continue in 0￿￿tiOn).
The Board of T￿￿teeS h&$ overall resw)nsibility for ensuring that ihe Charity has an appropriate
system of controls. financial and otherwise. They are also reswnsible for keeping proper accounting

TRUSTEES, REPORT
FOR THE YEAR ENDED31 OCTOBER 2025
records which disclose with reasonable accurdcv ai any lime ihe financial pisition of the Charitv and
enable them to ensure that the financial slxtements cornpl)" with the Charities Act ?01 l. They are also
responsible for safeguarding the asset5 of the Charilv and hence for taking reasonable sleps for the
detection and prevention of fraud and other irregulariiies.
The Bi)drd of Triistees 15 responsible for the maintenance and iniegritj. of ihe corpordte and financial
information. Legislation in the United Kingdoni goveming ihe preparation and disseminaTion of
rinancial 5tstements may differ from legislation in oiher jurisdictions.
Statement ol disclosure of information lo independent txamimtr
W¢, as the T￿sle¢S of lh¢ Charily who h¢ld office al th¢ date of approval of th¢5¢ fjnancial stat¢rn¢nts
as set oui on page 2 each confirni, so far as we are aware, that:
Ther¢ is no relevani infomiaiion of which ih¢ Chari1> s inde]Kndent examiner ar¢ unaware:
and we haie taken all the steps that we oughi io have ¢akcn as Trustees in order ro ii)ake
ourselves awar¢ of any r¢l¢vani infom)ation and io esthblish thai th¢ Charily's ind¢pei)d¢nl
exaJniner is aware of (hat informaiion.
This report was approved by the Trustees on and 5i&yned on iheir behalf b).:
Name
Signllure.........................
1110612026

INDEPENDENT EXAMINER"S REPORT
FOR THE YEAR ENDED 31° OCTOBER 2025
INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES OF JOHANE MASOW
CHISHANU APOSTLES {1931).
I report on the financial statements of the chariiy for the y&qr ended i l Oetober 2025 which eornprise
Ihe Slatemeni ofFinancial Activities and Balance Sheei wtih associate notes.
This report is mad¢ 501¢ly to th¢ charity's Tru5ttts. as a IMKIY. in accordanc¢ wilh scction 145 of th¢
Chariiies Aci *OI l and regulations made under seciion 154 of ihai Aa. M!. ￿'ork has been undertaken
so that I migyht stat¢ io ihc ch8rit} s Trustc¢s thos¢ mattcrs l am rcquir¢d to statc to thcni in an
independent exsmiinerfs r¢port and for no oih¢r purpos¢. To ihe fullest ¢xl¢nt t￿rnIll1¢d by law. I do
not accept or assume responsibilit). io an)'one oiher ihan ihe chariry, and ihe charity's Trustees as a
body, for my exawnination work.
RESPECTIVE RESPOiYSIBILITIESOF TRUSTEES AND EXAMIIYER
Th¢ charity's Trusi¢¢s ar¢ r¢S￿nsIble for the pr¢pgraiion of ihe fLnan¢ial $￿teMents, and ih¢y
consider that an audit is noi required for this vear under section 144(21 of ihe Chariiies Act 2011 (the
Act) dnd that an independenl examinalion is needed.
li is my responsibility to..
Exainine ihe accounts (under Section 145 of ihe Charities Act):
To follow the procedures laid down in ihe General Directions given by the Charity
Commissioncrs lund¢r Se¢iion 14515Kbl of the Charilies A¢tl: and
To State whL¢her partiLulaT matters have coni¢ to my attenlion.
Basis of Independent Examiner's report
My examination was carried out in accordance wilh the General Direciions byiven by ihe Charity
Conimissioners. An examination includes a review ofthe accountingp records kepi bj the Charit>, and
a compari50n of ihe accounts presenled wiih those records. li also includes consideration of any
unusual iiems or disclosures in the accounts and seekinbtr explanations froni you as trustees concerninb
any such matters. The proLedures undenaken do noi provide all the evidence ihai would be required in
an audit. and oons¢qu¢ntlY no opinion 15 giv¢n as lo wh¢th¢r lh¢ accounts pr¢s¢nt a 'tru¢ and fair
view and the rew)rt is limited io those matters set out in the sthiement below.
Indepertdertt Exgrniner's 5tstememt
In connection with my examination. no matter has come to my attenlion-
l ) whiLh bwives me reasonable cause io ￿lIeVe Ihai in any maierial respeLi the requirements..
to keep accouniing records in accordance wilh seciion 130 ofthe Aci.. and
to prepare financial s(a(emen(s thhich accord wilh ihe accountinb¥ records and comply
with lh¢ accounting rcquircmcnts of ih¢ Ad hav¢ not been mct- or
2) to which. in my opinion. aiiention should be drdwn in order to enable a proper UnderS￿nding
of th¢ financial stat¢m¢nt5 to ￿ ￿a¢h¢d.
Signe(l..
Dalcd.. 1710612026
An￿￿1 HA4¥an. F'CCA
On behalf ol-Accounting Assist Ltd

STATEMENT OF FINANCIAL ACTIVITIES
(Ineorporating ineome and exptndiiurt aeeount)
FOR THE YEAR ENDED31 OCTOBER 2025
Unrestricted Restricted
Total
Funds
Total Funds
2025
2025
2025
2024
Notes
Income and endowments
Donations and legacies
114.099
114.099
82.581
Other Income
67
Total income and eThdowments
114J30
114,230
82,648
Expenditure
Direct charitable expenditure
104,753
104.753
74,938
Govemance costs
3.000
2.500
Total e%penditure
107.753
107.753
77.438
Movement in total fund for the J'ear- N¢1
ineome l {expenditurel For the year
6,477
477
5,210
Fund balance brought forward
20.863
20.863
15,653
Fund balance carried forward
27J40
27J40
20,863

BALANCF. SHF.F.T
AS AT 31 OCTOBER 2025
2025
2025
2024
2024
Noie
FIXED ASSETS
Tangible asseis
CURRF.NT ASSF,TS
Debtors
Cash ai bank
29,989
29,989
23,363
23.363
CRF,DITORS: amounts
falling? due within one year
2.649
NET CURRENT ASSETS
27J40
20,863
TOTAL ASSETS LESS CURRENT LIABILITIES
27J40
20.803
NET ASSETS
27J40
20,863
CHARITY FUNDS
Unrestricted funds
Restricted funds
27J40
20,863
TOTAL FUNDS
27J40
20,863
The financial statemenls were approved by the T[￿slee5 and signed on their behalf. by..
Tamira Mundandi
Signature.........................
1110612026
The note5 on pages l O- l i forni part of these financial statements

NOTES TO THE FINANCIAL STATEMENT
FOR THE YEAR ENDED31 OCTOBER 2025
ACCOUNTING POLICIES
Basi5 of preparation of financial 5t4tements
The financial siaiements have been prepared under ihe historical cosi convention and in
aLcordance with Financial RetKTrrting Sthndard 102. Ihe Financial Reporting Stsndard
applicabl¢ in th¢ IIK and R¢public of Ir¢land (FRS I O?) and ihc Charitio SORP (FR8 102).
The charity is a public bcncfii eniiry as defined b5. FRS 102.
The financial siaiemenis present all funds of ihe charity as unrestricied unless a donor has
imrK)scd sr¢cific ￿StriCtiOns. Thc accounts havc b¢¢n pr¢par¢d on a conc¢rn basis.
Fund accounting
General ￿ndS are unresiricied funds which are available for use ai ihe discretion of the
Truslc¢s in furth¢ranc¢ of the general objectives of the charit). and which have noi
desigjnatcd for other Purposes.
Restricted funds are funds which ar¢ io be used in accordance with specific restriciions
imp()s¢d bv donors or which have trten raised bl. Ihe charil). for particular purposes. The costs
of raisingT and adminisierinuj such funds are charged against the S￿c]riC fund. The aim and
use of each resiricied fund is sei oui in ihe noies ￿ the financial sthiements.
TTllSlee$ *nd Relaitd Part). Tr*ns*¢iion$
During the year ended 31 Ociober 20?5. cenain trustees and connected parties collected
voliiniary donations from third parties on behaifofih¢ ¢harily. All amounis ¢oll¢ci¢d were
remitted in full ¢0 ihe charity's bank account. No tru51ee or connected party retained any
fund5 or derived any ￿[Sonal benefii from ihese trdnsactions. The total funds reii)itled durin
the year amounted to £16.OS8. broken down as follows:
Name
Relalionship lo Charity
Amount Remitted
T3p1￿a (iudo
Tru51¢c
£11,202
Nobuhlc Rcgina Taradz￿a
Ndhlovu
TrusLee
£1.730
Fungisdi Agn¢s MuLh¢nj
Tn￿￿¢
£625
Zanele Malshona
Trustee
£533
Talcni Masuku
TrusLee
£323
Tamira Mundandi
TrusLee
£200
MuLh¢rtje
R¢laL¢d rYartN" Trus￿ Fungisai
Agn¢s Much¢nj¢l
£1,445
Tot*1
£16.058
101 Page

NOTES TO THE FINANCIAL STATF.MENT
FOR THE YEAR ENDED 31 OCTOBER 21125 (Conlinued)
Income and endowments
All in¢omingy r¢sour¢¢s ar¢ includ¢d in th¢ Stat¢m¢nt of finaTtcial wtiviti¢s when th¢ charity
ha5 ¢ntitlcm¢nt to thc funds, ccrtainty of rcccipt and th¢ amount can bc rn¢asur¢d with
sufficient reliability-
Donatcd scrviccs or facilitio, which compris¢ donalcd s¢rviccs, arc includcd in incorn¢ at a
valuation which is an cslimalc of ihc financial cost born¢ b) thc donor whcrc such a cost is
quantifiable and measurable. No income is recognised M'here there is no financial cost bome
by a third party.
Income tax r¢cov¢rable in rclalion to donations r¢¢¢iv¢d under Gift Aid or d¢¢ds of covcnant
15 Tecognised at the lime of the donation.
Expenditure
Expenditure is accounted for on an accruals basis and has been included under expense
¢aiegori¢s thai aggregate all ¢osis for allO￿tion io a¢iivilies. Wh¢re ¢osis cannoi be dir¢¢ily
allributed to particular aclivilies. Ihey have been allocated on a basis con5is¢ent with the use
of the rL'sources.
Fundraising ¢osis are ihose incurred in seeking voluntary ¢ontribu¢ions and do noi includ¢ the
costs ofdissemina¢in&? infornialion in support of the charitsble activities. Support C05t5 are
those costs incurred directl). in support of expendiiure on the objects of the chaTiiy and
inLlude project mana&>emeni carried out ai I leadquarters. Governance costs are ihose incurred
in ¢onn¢clion with adminislraiion of th¢ ¢harit)' and complianc¢ ￿lI1) coi)stitutioi)al and
statutory requirements.
Grants payable charbied in the >'Vdr when the offer is made except in Ihose cases where the
off¢T is conditional. siich gjranls iKing rccognised as cxtKnditurc whcn th¢ condition5
aiiaching are fulfilled. (irants offered subject lo conditions ￿h1¢h have noi been mel at the
yearend are noted as a commilmeni bui nol accrued as expendiiure.
2. INCOME & ENDOWMENTS
2024
Donations and legacies
Other Income
114.099
82.581
67
Total Income
114230
82,648

NOTES TO THE FINANCIAL STATF.MENT
FOR THE YEAR ENDED 31 OCTOBER 21125 (Conlinued)
3. EXPENDITURE
2025
2024
Insurdnce
325
Rent Rates & Water
20.i84
18.654
Bank ChargT
Mission Cosis
844
TTavel & Subsistence
Donations
Governance Costs
80,648
54,924
li9
2.51JO
Love &ijft
Posiag¢
Management Expense5
63
1,550
TotAI Charitable Expenditure
77,438
4. TRAVEL AND SUBSISTENCE
Travel and subsistence costs of£80.6481•024.. £54.924) represeni Ihe laruiesi calegiory ofcharitable
expenditure and aTe directly attributable to the charily's mission of preachiiig and SPTeading> tlie word
of God in eommLiniiies throughout the United Kin8don) and worldthide. in aecordai)te wilh its
constitutional objects.
The tharity operates across eight Congregatio￿ in Dartford. Derby. Bristol. Bimiingham. Portsniouth.
Haifield. Keiterin&J and Readinb. UK iravel LOSIS comprise coach hire for inter-eonbjrebtrational
s¢rvic¢s and Cvcnls. accommodation for niulti-day ga¢h¢rings. and local tran5rA)rlation costs.
Th¢ charity undertook four intemational p￿a¢hIng and pilgrimage trip5 during the >'¢ar a5 follows..
Destination
Period
Members
Trai'elled
Argentina
F.gJ'pt
Switzerland
Easter 2025
19 to ?6 July 20?5
Augus(2025
October 2025
45
Swa7.iland
Total
68
Members contribute towards the cosi of iniernaiional irips through a dewsil payment plan into a
dedicated travel account. Where groups exceed nine membeTS. tral'el is arranged through a travel

NOTES TO THE FINANCIAL STATF.MENT
FOR THE YEAR ENDED 31 OCTOBER 21125 (Conlinued)
ageni to secure group rates. The charity also made regular visirs io its congregation in Ireland for
annual healing pra)'er sessions. baptism services and congregational fello￿ShIp.
Th¢ Trust¢¢s ¢onfimi that all trav¢1 and subsi5tcncc ¢xp¢nditur¢ incurrcd wholly in furthcrancc of
the charity's chariiable objectives.
S. DEBTORS: AMOUIYT FALLING DUE WITHIN ONE YEAR
2025
2024
Other Debtors
6. CREDITORS: AMOUNT FALLING DUE
WITHIN OIYE YEAR
202.$
2024
Governance Cosi
2.649
2,649
7. MOVEMENTS IN FUND
2024
Net Mov¢m¢nts
2025
In F￿ndS
Unrestricted Fund
20.863
6.477
27.340
Net movements on fund. included in the aknve are as follows..
Income
Expenditure
Moi'ement
Resources
in Funds
Unrcstrictcd Funds
114,2)0
107,75J
6,477