FAITH SALVATION MIRACLE
CHURCH
(FSMC)
TRUSTEES REPORT AND ACCOUNTS
ST
31 MARCH 2024
71A BEULAH ROAD
THORNTON HEATH
CR7 8JG

AI'I'II SALVA'I"I()N NqIRAC.'I.Tr: I'IIIIRC'II
RF.PORT OTr "fHF. TRIISTEE.S FOR THF. I'F.AR F.N'DF,D 31 NIARC'H 2U23.
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A. STRUCTURE, GOVERNANCE AND MANAGEMENT
a> CJovernin2 (locumeiil
Tlic Lliarily is iOlltI-ollLcI b). ils iioi'LriiiiigJ (IoLLIIIILiiI. tlIL C.'()Ii%liliil ic>ii aiid LuiistiliilLS a
ch;i¥ily. .1% (li linLd by Ihe Q'li'iriliL'S ALI ?0 I I.
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c) lii(liicti(pn 4111(I traiiiing of ti'usleo
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(t) Oi'Li#nisdtinnal struL tiirc.
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B. OBJECTIVES AND ACTIVITIES
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in 5IIL li othil'1Tr1< It% ol- Ilic Unilcd Kiiig)dc)iii 01- tIIL iiyoI'Id,

C. ACHIEVEMENT AND PERFORMANCE
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b) Principal fuiidiii% snu rce
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E. FUTURE DEVELOPMENTS
'I'ar
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F. STATEMENT OF TRUSTEES RESPONSIBILITIES
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11. INDI,"PLNDf,Ni' Tr-XA.NllINI'R.
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INI)Tr:I)I,:NDI,'ry'I' ￿:xA￿lINfr:R,s REPC)RT
'ro "I'iiF I'RIISI'I,'I,:(i 01,- F"Al'l'll S,11,V2I'1"IC)Y Illllil("l.b' ('.1111 RC'II.
We report on tho accounts of the ChLirrh for the year ended 31 MARCH. 2024 wliich comprise the
Stalement of Financial Activities, the Balan￿ Sheet and related notes sel out on pages 10 to 13.
This report is tnade solely lo the Lliurch Council (Trusleesl in accordance with Section 145 of the Charitl8S
Act 2011 . Our work havc been undeilaken so Ihat we might stale lo the charily % Iluslees Iho%e matters
th21 we are ro.quired lo 812lp If) Ihp.m In an Indp.pendent Fxaminer'.4 rpp(xt and foi no olher puiw8e. To Ihe
fullosl exleiil pertnitled by law, we do nol accept or assume responsibility to anyone other than Ihe Chuich
and the Chltrch's Iruslees for oui examiiialion work.
Respectlve responslbllitles of Trustees and Examlner
The ChurLlI's Iiustee.% are responsible for the preparatioii of the accounts. They consider that an audit is
not required lor this year (Linder Section 144 of the Lharilies Act 2011 Ilhe Lharilies Aclll and that an
indepeiidenl exaniiiialion is needed.
11 is oui responsibility to:
Exan)ine Ihe accounts (under Section 145 of the Charities Acll..
To follow the procedure% laid down in the General Directions given by the Charity Commissioner
(under Section 14515llbl ol the Charities Act).. and
To stale whether paitticular matteTS have ojme lo our attention.
Basis of Independent Examiner's report
Oiir oxaminr11i()n was carried out in accordance with the Gcneial Directions given by Ihe Chdrily
C0117511ISSlOli(Ir.
An examination includes ti review of the accounting rec()rds kept by the Church and a comparisoii of the
acc,ounl8 pre8eiiled wilh Ihoove records.11 also inclLidLhs c,onpiide.iation ol any iinusual Ilpms or dis¢lo'tiures in
the accounls, and seeking explanalions from you as trustees concerning any such mallers.
The proceduip,s underlakEin do not provide all the evidenLe Ihal would be required In an audit, and
consequently no opinion is given as lo whether Ihe accounts pic*sonl a 'lrue and fair, view aiid the report is
liinited lo Ihose mdlleTS sel out in Ilio slalemtinl below.
Independent Examinor's statement
In corineLlion with our examinalion, no matter has come to our allenlion-
1. which gives us reasoriable cause to believe that In any material Tespect the requireinents
lo keep accAiunting records in accordance with Section 130 of the Charilies Act., and
to piLpare accounts which aLLord wilh the accounting records and comply wilh the accounting
I"equii"pinenls ol the Charities Act
Have not been mel., or
2. To which, in our opinion, attention should be drawii in order lo enable a proper underslanding of the
accouiits lo be reached.
EMMANUEL NTIM, MSC. FCCA
X-star Management Services Limlted
53 Saxvllle Road
Orplngton
Kent
BR5 3AN
Dated: 0710612024

FAITH SALVATION MIRACLE CHURCH
STATEMENT OF FINANCIAL ACTIVITIES
FOR THE PERIOD ENDED 31ST MARCH 2024
202
2023
Nole
General
Reslricled
Total
Total
INCOMING RESOURCE
Voluntary Income
Gift Aid Returns
Aclivilies in SLipporl ol Church object,
SLindry receipts
Total
22.287
4.853
22.287
4,853
21,728
6.936
27,140
27,140
28,664
Resources Expended
Charitable Expenditure
Special Collections
BLiildiiig Project
8enevoleiil Fund
Managemenl and Administration
2Jf,406
25,406
28,561
Total
25,406
25,406
28,561
Net Incoming Resources
1,734
1,734
103
Loss on Valuation of Assets
Net Movement in Funds
1,734
1,734
103
8alance Brought Forward
103
103
Transfers
Balance Carried Forward
1,837
1,837
103

FAITH SALVATION MIRACLE CHURCH
BALANCE SHEET AS AT 31ST MARCH 2023
2024
2024
2023
Note
Non-current Assets
Tangible Fixed Assets
Investments
458
Current Assets
Bank and Cash Balance
Prepayments
2,398
727
103
727
Current Liabilities
Creditors falling due within one year
Net Curent Assets
150
150
2,975
Net Assets
2,975
1,138
Funds
Balance blf
SurpluslDefitcit this year
1,138
1,837
2,975
1,035
103
1,138
Name.. Dan
Signature:
el A.Taw•airman)

FAITH SALVATION MIRACLE CHURCH
NOTES TO THE ACCOUNTS - 31ST MARCH 2024
3 RESOURCES EXPENDED
2024
2024
2023
Manament
& Admin
Total Total
Charitable Donation:
Rent & Rates
CoLinril Tax
Depreciation
Waste Disposal
Travel expense
Accountancy Fees
Repairs & Renewals
trumenu Media
Bank Charges
Welfare
Evangelism ExpenseslRetreat
Printing, Postage & otationery
Telephone/ Internet
I Iisui-dnce
Utilities
Vehicle Expenses
General Adniinistration
TOTAL PAYMENTS
14,800
808
101
14,800
808
101
18,150
1,101
332
740
500
500
40
40
75
776
776
5,520
644
644
594
279
3,965
3,493
25,406
279
3,965
3,493
25,406
2,049
28,561
I c)

FAITH SALVATION MIRACLE CHURCH
NOTES TO THE FINANCIAL STATEMENTS - 31ST MARCH 2024
2 Incoming Resources
2024
2023
Genei'al
Restricted
TO'fAL
TOTAL
2a Voluntary Income
General Fund
Tithe
Offering
Harvest
Gifl Aid Returns
22,287
22,287
8,843
8,370
4,515
6,936
4,853
4,853
27,140
27,140
28,664
Building Project
Sundry Donations
Total
27,140
28,664
2d Inventment Income
Church Hall Lettings
Interest, dividend and gains

4. TANGIBLE FIXED ASSETS
Machinery
Musical
Instruments Equipment
Total
COSTIVALUATION
At 1 st April, 2023
Additions
At 31 st March, 2024
867
668
1,535
867
668
1,535
Depreciation.
Balance and C
Charge for the Year
867
567
101
668
1,434
101
1,535
867
Net Book Value
As at 3110312024
As at 3010412023
5. Banklcash Balance
Metro Bank
2,398
2,398