INCOME AND EXPENDrruRE
Prepared for
MIRACLE TEMPLE ASSEMBLIES OF GOD CHURCH
CHARITY NUMBER 1159256
FOR PERIOD
1ST JANUARY 2025 TO 31ST DECEMBER 2025

MIRACLE TEMPLE ASSEMBLIES OF GOD CHURCH
CHURCH INFORMATION
Charity Number
1159256
Trustees
Rev Nana-sei Tweretwie
Mr. win￿nt Agyei Kusi
Mr. Philip Lutterodt
Ms. Martha Twumwaa
Registered Office
68 Warren Way
Glabe Fann
Milton Keynes
MK17 8TZ
Examiners
Trackrecords Management Services Limited
Unit 7 Cochran Close
Crownhill
Milton Keynes
MK8 OAJ

MIRACLE TEMPLE ASSEMBLIES OF GOD CHURCH
FOR THE YEAR ENDED 31 DECEMBER 2025
REPORTS
The Trustees presents their report and financial statements for the year ended
31 st December 2025
Objects ofthe Charity
The objects of the Church ststed below have been set up to primarilly benefit the public:
(a) to advance the Christian faith in several ways and in different parts of the United
Kingdom or the world as the Church Board from time to time may think fit
(b) to relieve sickness and financial hardship and to promote and preserve good health by
the provision of funds, goods or services of any kind including the provision of counselling
and support in such parts of the United Kingdom or the world as the Church Board from
time to time think frt" and.
(c) to advan￿ education in such ways and in such parts of the United Kingdom or the
world as the Church Board from time to time may think fit especially in parts of the UK
where its users are drawn from, in particular in the advancement of education, the
furtheran￿ of health and the relief of povety, distress and sickness among children
women and others who are disadvantaged and the underprivileged.
Activities of the Charity
When planning the activities of the church for the year, the church board takes into
account the the charities commission guidance on public benefit and, in particular, the
specific guidan￿ on chartties for the advan￿ment of religion. In particular the church
board tries to enable ordinary people to INe out their faith as part of our church through the
following activities.
(a) Teaching from the Bible
(b) Worship, preaching and prayer
(c) Provision of Pastoral care available for everyone living wtthin the area
(d) Evangelism outreach to the general communty
(e) Food Bank
(Q Visiting Hospitals

MJRACLE TEMPLE ASSEMBLIES OF GOD CHURCH
FOR THE YEAR ENDED 31 DECEMBER 2025
Achievements and Performance
Te8Ghing From The Bible
We offer a range of SeNi￿S during the week and over the course of the year that all
members as well as the community find both beneficial and spiritual ftalfilling. For example,
we offer Monday evening Bible studies, which is very interactive. This gives everyone
opportunities to engage in leaning more from the scriptures and also to ask questions
on areas that require explanations.
This has been found to be very encouraging and effective and church both church
members and the community have found and continue to find this activity very usefvl.
Worship, Preaching and Prayer
Our Friday half night prayer service provides an intimate and reflective environment for
worship and prayer.
This year we have been successful in encouraging more families into our church and have
encouraged christians from other churches to participate in this activtty.
Pastoral Care
We engage in pastoral care for church members who cannot make it to church due to
illness. We have a dedicated team of volunteers who visit all who are sick or unable to get
out for any other reason to keep them in touch wtth church lrfe. Spiritual guidan￿ is also
gtven to church members of anyone who needs it.
Evangelism
Helping to win more souls for the church is an integral part of our farth. We engaged in this
activity by distribution tracks within our local community.
This activÈty helped to raise awareness of Jesus and our church.
Food Bank
We offer food assistan￿ to people wÉthin the Milton Keynes Community who are in need
Vistiing Hospitals
We offer pastoral care to both non church and church members who have been
admitted to hospitals

MIRACLE TEMPLE ASSEMBLIES OF GOD CHURCH
FOR THE YEAR ENDED 31 DECEMBER 2025
Financial Review of the Charity
The Charity's results for the year and its financial position at the end of the year are
fully disclosed in the attached financial statements. The total income for the year
amounted to £277,146.58
We are very grateful to all church members who have generously given financially
and all help offered in the last years to keep the church going.
Tangible fixed assets for use by the charity
The church obtained a leasehold property in 2017.
Committee of Members, responsibilities
The charity law requires the comrnittee of members to prepare financial statements for
each financial year, which give a true view of the financial activities of the charity and of its
financial position at the end of that period. In preparing those financtal statements, the
committee of members is required:
a) Select suitable accounting policies and apply them consistently;
b) Make judgements and estimates that are reasonable and prudent.
c) State whether the policies adopted are in accordan￿ with applicable accounting
standards and statements of recommended accounting practices, subject to any
material departures disclosed and explained in the financial statements,.
d) Prepare financial statements on a going con￿rn basis unless tt is inappropriate to
assume that the charity will continue in operation.
The committee of members is responsible for keeping proper accounting records, whiGh
discloses with reasonable accuracy at any time, the financial position of the tharity and to
enable them to ensure that the financial statements comply wth Charities Act. They ar6
also responsible for safeguarding the assets of the charity and hence for taking
reasonable steps for the prevention and detectton of fraud and other irregularities.

MIRACLE TEMPLE ASSEMBLIES OF GOD CHURCH
FOR THE YEAR ENDED 31 DECEMBER 2025
Examiners
A resolution to appoint Messer Traclffecords Management servI￿s Ltd as examiners for
the ensuring year has been proposed and agreed at the annual gener31 meeting in
accordance wlth the Charities Act.
Approval
The report was approved by the committee of rnembers on the 20th Feb 2025 and
signed on its behalf
Rev Nana Sei Tweretwie

MIRACLE TEMPLE ASSEMBUES OF GOD CHURCH
FOR THE YEAR ENDED 31 DECEMBER 2025
Examiners Report
We have examined the financial statements in this report, which have been prepared
following the accounting policies, set out in the report.
Respective responsibilities of trustees and examiner5
As described in report. the trustees of the Miracle Temple Assemblies of God are
responsible for the preparation of financial statements. It is our responsibilities to fom an
independent opinion, based on our examination, on the statements and to report our
opinion to you.
Basis of opinion
We conducted our examination in accordance wtth standards charity accounting and
independent examination. The examination is on test basis, of the evidence relevant to the
arnount of disclosures in the financial statements.
It includes an assessment of the significant estimates and judgements made by the
committee of the members in preparation of the financial statements and whether the
accounting policies are appropriate to the charitys circumstance, consistèntly applied and
adequately disclosed.
We planned and performed examination of the documents to obtain all the information and
explanations which we considered necessary in order to provide us with sufficient
eviden￿ to give reasonable assurance that the financial statements are free form
material misststements, whether caused by fraud or other irregularities or error. In
forming our opinion, we also evaluated the overall adequacy of the presentation of the
infomation in the statements.
Opinion
In our opinion the financial statements give a fair view of the state of the charities affairs at
31 December 2025 and of its surplus for the period ended and have properly prepared in
accordan￿ with regulations of Charities Act

MIRACLE TEMPLE ASSEMBLIES OF GOD CHURCH
FOR THE YEAR ENDED 31st DECEMBER 2025
Date:
20th Feb 2025
TRACKRECORDS MANAGEMENT SERVICES LIMITED
UNIT 7 COCHRAN CLOSE
CROWNHILL
MILTON KEYNES
MK8 OAJ

MIRACLE TEMPLE ASSEMBLIES OF GOD CHURCH
FOR PERIOD 1stJanuary 2025 to 31st DECEMBER 2025
Income & Expenditure
2025
2024
Unrestricted Funds Unrestricted Funds
INCOME
Total Offering
Tithes
Gift Aid
other income
Food Bank
Fundraising
Departmental Offering
Welfare Dues
Bedford Church Offering
Building Fund Contrtbution
Sunday School Books
Sunday School Fundraising
Total Income
133,008.32
72,431.26
39,507.79
4,255.59
0.00
495.00
4.704.62
925.00
21,404.00
0.00
200.00
215.00
277,146.58
115,524.30
78,851.21
40,831.3P,
23,725.21
50.00
18,751.33
3,058.30
1,075.00
13,883.00
200.00
467.00
980.00
297,396.72
EXPENDITURE
Pastoral Expenses
Church Mortgage, Rate & Service Charge
Mission Expenses
Welfare Support
Departmental Expenses
Motor Expenses
Donation, Gifts & Food Bank Expenses
Depreciation & Equipment Expensed
Premises Expenses
Fuel EKpenses
Mortgage Loan Interest
Refreshments
Gift Aid Recovery Expense
General Expenses (Various Purchase)
Stationery & Postage
Training
Website Maintenance
Administrator Fees & Software
Advertising & Media Department
Travel
Insurance Expenses
Subscriptions
Bank Fees
Legal Expenses
72,096.86
4,985.02
69,782,78
10,833.15
10,599.28
7,576.29
10,645.00
1,691.68
14,257.25
11,666.90
6,257.36
4,168.89
2,500.00
6,903.33
2,625.28
4,450.00
64,879.57
3,523.61
45,374.55
4,627.10
12,648.86
20,622.52
1,640.00
3,949.80
19,810.73
13,720.86
8,271.55
4,191.85
2,500.00
36,443.15
2,888.30
1,000.00
410.00
3,651.13
17,867.42
6,691.73
6,011.92
5,284.13
117.37
0.00
286,132.15
11,264.57
4,045.61
0.00
6,657.17
5,599.56
5,092.33
20.33
650.00
263,104.07
14,042.51
NET PROFIT

MIRACLE TEMPLE ASSEMBLIES OF GOD CHURCH
FOR PERIOD 1st January 2025 to 31st DECEMBER 2025
CONTINUING OPERATIONS=
None of the Churches actiwtRes were ac4uired or discontinued during the above financial
period
STATEMENT OF TOTAL RECOGNISED GAINS AND LOSSES
There were no recognised gains or losses in the above financial period other than the results
for the period and, accordingly no statement Df total recognised gains and losses has been
prepared.
l approve the above accounts and confinn that I have made available all
necessary information for their preparation
Rev Nana Sei Tweretwte
ACCOUNTANTS REPORT
We have prepared the above accounts without c8nw.ng out an audit
and fron7 infom?ation from Miracle Temple Assemblies of God s books and reGords
and explanations suppplied fo us.
Trackrecords Management Services Limited
Unit 7 Cochran Close
Crownhill
Milton Keynes
MK8 OAJ

MIRACLE TEMPLE ASSEMBLIES OF GOD CHURCH
BALANCE SHEET
AS AT 31st DECEMBER 2025
2025
2024
Notes
FIXED ASSETS
Tangible assets
344,382
343,776
CURRENT ASSETS
Debtors
Llyods Bank
Bedford Church
Commercial Instsnt Access Account
2,927
3,470
150
6,546
2404
7,944
10,348
CREDITORS
Amounts falling due
70,252
87,490
Net Cu￿ent Assets/ (Liabilities)
Total Assets Less Current Liabilities
-63,705
280.677
-77,142
266,634
NET ASSETS / (LIABILITIES)
280,677
266,634
CAPITAL & RESERVES
Profit and loss account
Profit and loss reseNe
14,043
266,635
280,677
11,265
255,369
266,634
In approving these financial statements as the Trustee of the Charity, I hereby confirm that
these accounts have been prepared in accordance with the provisions applicable to the
Chariti
sAct
..Trustee
ana Sei Tweretwie
Rev
oz
The financial statements were approved by the board of Trustees ........................2026

MIRACLE TEMPLE ASSEMBLIES OF GOD CHURCH
BALANCE SHEET
AS AT 31st DECEMBER 2025
NOTES TO THE FINANCIAL STATEMENTS
1. ACCOUNTING POLICIES
a) Basis of accounting
The financial statements have been prepared under the historical Cost convention.
b) Income
InGome represents various financial donations received to fund the operations of the
church
c) Depreciation
Depreciation is provided on tangible assets at rates calculated to write off the cost of each
asset over tts expected useful lrfe.
The rates used on a reducing balan￿ are as follows:
Equipment, Fixtures & Fittings
250/0 Straight line
2. INCOME
The income and profft for the year is all attributed to the compan5rfs principal actNty and
all seNt￿$ have been provided to the UnÈted Kingdom market and some donations have
been made to Ghana as aid.
PENSIONS
The Church operates a pension scheme through Scottish Widow
3. OPERATING PROFrr
The operating profit is stated after charging:
2025
Depreciation of tangible f￿ed assets
Pastors remuneration included
Pastors pension contributions
299
53,417
1,498
55,215
4. TAX ON ORDINARY ACTIVITIES
This represents corporation tax @OO/o based on profit for the year on ordinary activities

MIRACLE TEMPLE ASSEMBLIES OF GOD CHURCH
BALANCE SHEET
AS AT 31st DECEMBER 2025
NOTES TO THE FINANCIAL STATEMENTS
5. TANGIBLE FIXED ASSErs
Cost
344,681
31 st December 2025 Additions
At 31st De￿rnber 2025
344.681
Depreciation
Charge for the year
299
At 31st December 2025
299
Net Book Value @ 31st December 2025
344,382
6. Debtors
Debtors
7. CREDITORS-Amounts falling due more than 1 year
Church Members Loan Account
Church Members Loan for Church Building
Bank Loan
70,252
70,252

MIRACLE TEMPLE ASSEMBUES OF GOD CHURCH
FOR PERIOD ENDING 31st DECEMBER 2025
Detailed Income & Expenditure
Unrestricted Funds
INCOME
31st Night Offering
Bedford Church - 31st Night Offering
Bedford Church - Harvest Offering
Bedford Church - Other Revenue
Bedford Church - Fundraising
Bedford Offering
Childrens Offering & Fundrasing
Choir Dues, Offering, Fundraising
Donations Received
First Fruit Offering
Friday Offering
Fundraising
Gift Aid
Harvest Offering
Men's Ministry Offering
Other Revenue
Seed Offering
Special Offering
Sunday Offering
Sunday School Books
Sunday School Fundraising
Thanksgiving Offering
Thanksgiving - Bedford Church
Tithes - Bedford Church
Tithes
Welfare Dues
Women's Ministry Offering
Youth Offering & Fundraising
Total Income
1,069.00
400.00
2,285.00
410,00
335.00
8,950.00
1,616.90
1,972.00
185.00
9,180.00
2,643.77
495.00
39,507.79
29,291.20
410.50
4,070.59
20,017.84
522.60
59.677.91
200.00
215.00
10,606.00
150.00
8,874.00
72,431.26
925.00
120.30
584.92
277,146.58
EXPENDITURE
Administrator Fees
3,600.00
3,900.00
140.00
20.33
6.257.36
69,782.78
1,678.45
3.463.43
4,112.86
AOG (3%)
AOG Membership Fees
Bank charges
Mortgage Loan Interest
Missions Expenses
Broadband
Church Bus Expenses
Church Car Expenses

Counal Tax
Electricity & Gas Bill
Fuel
General Expenses
Gift & Donations
Gift Aid Recovery Deductions
Insurance
Legal Expenses
Pastors PAYE
Pastors Pension
Pastors Wages
Premises Expenses
Refreshment
Service Charge
Software For Accounts
Stationery. Printing & Postage
Subscriptions
Sunday School Books
Equipment Expensed
Telephone Bill
Training
Travel
Departmentsl Expenses
Wages & Salary
Welfare Support
Depreciation
4,093.08
5,768.41
11,666.90
15,039.47
8,645.00
2,500.00
5,599.56
650.00
17,181.24
1,498.22
53,417.40
3,120.08
4,168.89
4,985.02
445.61
1,081.67
1.052.33
1.543.61
1,392.73
402.77
4.450.00
6,657.17
4.173.39
5,105.89
4,992.24
298.95
263,104.07
NET PROFIT I LOSS
14.042.51

Depreciation
ui
Desc.
Asset number Cost
Car
FA-0001
2 Mini Buses
FA-0002
2 Chairs
FA-0003
1 Drum
FA-0004
2 Keyboards
FA-0005
1 Base Guitar
FA4J006
1 Bass Speaker
FA-0007
4 Speakers
FA-0008
1 Console set
FA-0009
2 Laptops
FA-0010
2 Computer Sets
FA-0011
4 Television sets
FA-0012
l Office Table
FA-0013
1 Conference table
FA-0014
Vacuum cleaner
FA-0015
Church Mortgage Deposit
FA-0016
Church Mortgage Deposit
FA-0017
Musit21 Instrument
FA-0018
Musiol Instrument
FA-0019
Drums
FA-0020
Keyboard (Bedford)
FA-0021
Keyboard
FA4)022
Purchase of Loud Speaker FA-0023
Camera- 00832
FA-0024
Musical Instrument
FA-0025
Musical Instrument
FA￿026
Musi￿al Instrument
FA-0027
Musirdl Instrument
FA-0028
Musical Instrument
FA4029
Musical Instrument
FAJJ030
Musical Instrument
FA-0031
Musical Instrument
FA-0032
Printer
FA-0033
Drums
FAJJ034
AddÉions
Drums
Building
Total
Additions De
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
o.oo
0.00
0.00
0.00
0.00
0.00
0.00
char
e 25125 NBV-25125
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
o.oo
0.00
0.00
0.00
0.00
D.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00 28,023.00
0.00 119,070.30
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
3.28
9.84
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
110.50
11.75
35.25
0.41
1.22
0.00
0.00
0.00
901.71
283.51
230.52
0.00 196,000.00
298.95 344,382.34
0.00
0.00
0.00
0.00
0.00
0.00
o.oo
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
28.023.00
119.070.30
43.75
40.10
56.87
0.00
0.00
13.12
0.00
0.00
0.00
0.00
0.00
110.50
47.00
1.63
752.77
0.00
514.03
196,000.00
344,681.29
0.00
0.00
0.00
0.00
0.00
0.00
o.oo
FA-0035