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2025-10-31-accounts

PHILADELPHIA COVENANT KEEPERS

FINANCIAL STATEMENTS

FOR THE YEAR ENDED 31ST OCTOBER 2025

CHARITY NUMBER: 1160488

FLAT 31 WEALDSTONE COURT

32 BROOK AVENUE

WEMBLEY

HA9 8PQ

INDEX

Page
Trustees’Report 2–3
Receipts andPaymentsAccount 4
Statement of Assets and Liabilities 5
Notes to theFinancialStatements 6

PHILADELPHIA COVENANT KEEPERS

TRUSTEES’ REPORT

YEAR ENDED 31ST OCTOBER 2025

The trustees are pleased to present their report for the year ended 31st October 2025 for the charity, Philadelphia Covenant Keepers, charity number 1160488.

TRUSTEES

The Trustees of the charity are:

PRINCIPAL ADDRESS

Flat 31 Wealdstone Court 32 Brook Avenue Wembley HA9 8PQ

STRUCTURE, GOVERNANCE AND MANAGEMENT

The Charity governing document is a CIO – Foundation Constitution registered on 13th February 2015. The Charity is governed by a board on which the trustees are represented. It meets regularly to review, plan activities and monitor the financial position.

OBJECTIVES AND ACTIVITIES

The objects of the organisation are first to advance the Christian Religion for public benefit. The trustees confirm that they have had due regard to the guidance issued by the Charity Commission on public benefit before deciding what activities the charity should undertake.

ACHIEVEMENTS AND PERFORMANCE

The organisation continued to hold meetings during the year in which individuals were equipped and educated on the principles and doctrines of the Christian faith. The organisation also continued its activities within the community and sought to provide opportunities for individuals to participate in Christian worship, teaching, fellowship and related activities.

FINANCIAL REVIEW

The charity's total income for the year ended 31st October 2025 was £5,870 and total expenditure was £5,615 resulting in a net surplus of £255 for the year.

The trustees consider that the charity remains in a satisfactory financial position and that expenditure has been managed in accordance with its charitable objectives.

PLANS FOR THE FUTURE

The church intends to continue to hold its regular meetings, conferences and other activities in furtherance of its charitable objectives.

RESERVE POLICY

It is the policy of the Charity to maintain unrestricted funds at approximately three months of unrestricted expenditure. This provides sufficient funds to cover emergency expenditure that may arise from time to time.

RISK MANAGEMENT

The charity has assessed the major risks to which it is exposed, in particular those related to its operations and finances, and the trustees are satisfied that appropriate systems are in place to mitigate exposure to major risks.

TRUSTEE RESPONSIBILITIES

Under the Charities Act 2011, the trustees are required to prepare a statement of accounts for each accounting year which gives a true and fair view of the state of the charity. They are required to:

  1. Select suitable accounting policies and apply them consistently.

  2. Make judgements and estimates that are reasonable and prudent.

  3. State whether the applicable accounting standards have been followed.

  4. Prepare financial statements on an ongoing basis.

They are responsible for keeping proper records which disclose with reasonable accuracy the finances of the charity at any time and to ensure that such accounts comply with the Charities Act 2011. They also have a responsibility to safeguard the assets of the charity and to take reasonable steps to detect fraud or other irregularities.

Approved by the Trustees and signed on their behalf:

Noah Mushet_______ Trustee

Date: 25[th] August 2026_____

PHILADELPHIA COVENANT KEEPERS

RECEIPTS AND PAYMENTS ACCOUNT

FOR THE YEAR ENDED 31ST OCTOBER 2025

1. Receipts & Payments Account (General Purpose Fund)

Income Receipts 2025 2024
£
Tithes and Offerings /Donations and other income 6,5104987
Total Receipts 6,510 4987

Direct Charitable Expenditure

Direct Charitable Expenditure
Direct Charitable Expenditure £
Admin services 1,025 915
Hall HireRent 1000 900
Conference/Study Seminar costs 1265 890
Transport 540420
Speakers expenses 560 600
Stationary 380 240
Professional fees 255120
Mission 815 750
Online training supplies 430780
Subtotal Direct Charitable Expenditure 6,273 5,615

Other Expenditure

Other Expenditure
Other Expenditure **£ **
Equipment, instruments: Projector 255 0
Total Payments 255 0

Net Receipts/(Payments) for the Year

£
Total Receipts 6,510 4,987
Total Payments 6,273 5,615
NetReceipts (Payments)fortheYear 6,5104,987
Cash Funds brought forward 237 375
Cash funds at the end ofthe year 865 628

PHILADELPHIA COVENANT KEEPERS

STATEMENT OF ASSETS AND LIABILITIES

AT 31ST OCTOBER 2025

2. Statement of Assets and Liabilities

Monetary Assets – Unrestricted Funds

Monetary Assets – Unrestricted Funds
2025 2024
£ £
Cash at hand and in bank 865 628
Total Cash Funds 865 628

The closing cash figure of £865 is calculated from the supplied opening cash of £628 plus the 2025 net surplus of £237.

Assets Retained for the Charity's Own Use

Assets Retained for the Charity's Own Use
Non-monetary Assets £
Online Instruments 255 570
Equipment 0 692
Total Non-monetaryAssets 1,517 1,262

Liabilities

Liabilities
Liabilities £
Bookkeeping 250
Total Liabilities 250

The accounts were approved by the trustees and signed on their behalf by:

Pastor Noah Mushet

______ Signature

Date: __25/08/2026__

PHILADELPHIA COVENANT KEEPERS

NOTES TO THE FINANCIAL STATEMENTS

FOR THE YEAR ENDED 31ST OCTOBER 2025

ACCOUNTING POLICIES

Basis of Accounting

These accounts have been prepared on the receipts and payments basis, with income and expenditure recognised when received or paid. Non-monetary assets are shown at estimated value where appropriate.

Funds

The CIO has a general unrestricted fund which receives voluntary donations and other income generated in connection with its charitable activities.

Public Benefit

The charity acknowledges its requirement to demonstrate clearly that it has charitable purposes or aims for the public benefit. Details of how this is achieved are provided in the Trustees’ Report. The trustees confirm that they have had due regard to the Charity Commission guidance on public benefit before deciding what activities the charity should undertake.

Financial Summary

For the year ended 31st October 2025 £
Total income 6,510
Totalexpenditure 6,273
Net surplus 237