ANNUAL
REPORT AND
FINANCIAL
STATEMENT
30 SEPTEMBER, 2025
Christ Chapel International
Churches
Charity Number
1163756

CHRIST CHAPEL INTERNATIONAL CHURCHES
30 SEPTEMBER 2025
Charity No". 1163756
Trustees:
Rev. Mrs. Victoria Joda (Chair Person)
Pastor Mike Olorogun
Pastor Susan Nwanze
Pastor Christine Joda
Tokunbo Coker (deceased December 2024)
Reglstered Address:
6 Cotswold Gardens
Ilford. London
IG2 7DW
Bankern:
National Weslminster Bank PLC
Ilford Branch. 50 Ilford Hill
Essex. IG12AT

CHRIST CHAPEL INTERNATIONAL CHURCHES,
LONDON
30 SEPTEMBER 2025
Thè Trusteès presenl their reporl and financial $18lemenls for the year ended 30
September 2025.
All named tiustees seNed throughout the year undèr review except Mr Coker who pa88ed
onto Glory in DecembeT 2024. The appDinimenl and rotiremenl ol tws188s are g0￿M￿j
by the Charity's Constitution, in whlch trustees 8re also referred to as members of the
M8n8gernent Committee.
Structure, Governance and Management
The Tnjslees are responsib￿ for ensuring that the Charity operates in al•Jnment wllh Its
CharIta￿e obJ"e¢lives. as set out in the Conslilution. They also estsblish pdicies and
pr￿du￿ to guide IMp￿mental￿)n across appropriate levels of Ihe organisation.
Objectives and Policies
The Charity's main objects are..
al The advarK8ment of the Christian Faith
b) The felief of sickness and preseNalion and protection of physical and mental heallh.
c} The thanitmenl of Education Develo¥*nent.
Activities and Achievements
The Trustees are fulty aware of their responslbllltles and consider Ihe Charity's
performance over the past year to be sabsfaclory and aligned wilh ils vision an(1 mission.
A detsiled account is provided in the attached report.
Financial Review & Risk Management
The Trustees are fully aware of their responsibilities. including establishing a reserves
policy, Identifying potenllal risks to tho Charlly, and ensurlng Ils abillty lo meet contractual
and statutory obligations. Appropriate controls hav& been put In place to martage Ihese
risks.

Statement of Trustees, Re8pon8lbllltles
The Twslees are requwEd under Ihe Chavilies Ad 201110 piep8re fin8ncial slalgments lor
ead) financial year th81 give a true arKI fair of the affairs of I￿ Charty a￿1 ils
financial that pgmd.
In waparing these financial stalemgnts. th9 Truslees are gxpeded to".
Seled and ath SLNtabl8 accr￿n11r¥j FdKies Cor￿151e￿ty.
Make reasonat4e and prudent jutsments arKI &8tsmates;
Folbow awlica￿e accounting stsndards, sutrty'8ct to any matsrial departurgs wthich
must LE disdosed and explained in Ihe financial 5talements.' Prepare the fina￿4a￿
statèrrEnts on a going coneem bask8. unless it inappropriate tr) assurr* that the
Charity wil continue in D￿ratiOn.
The Trustees are 4$0 r8sw)sible for.
Kee￿n9 proper accounling rec¢yds that disclose, 7Mth reasonat4e a(xurw at any
time, the finanaal posibon of Ihe Charity and t(¥n￿ wilh reknnt
legislabon and regulations,.
Saleguarding Ihe a￿ts of the Charity:
TakiThJ reag)nai4e steps to prevent 8ThJ detect fraud and other irregjlaribes.
This ferxyi is apwoved by Trustee5 aThJ shjned on thèir behaf.

REPORT OF THE INDEPENDENT EXAMINER TO THE
MEMBERS OF CHRIST CHAPEL INTERNATIONAL
CHURCHES, LONDON
Re: FINAL ACCOUNTS FOR THE YEAR TO 30 SEPTEMBER 2025
I h8ve examined tr￿ aixwnls ol Christ Ch8pel Intemal￿nèI Churches for the year ende
30 Seplembef 2025. My responsibility is lo cary oul an Independent okimlnation of the
accounts in &Yordanc8 ￿1b the Charitses Ad 2011 and lo rep(Kt my finthwvjs *) th8
Management Commrttee. This gxaminalion Was QJnd¥￿ed with(xJi the nwj lo perfomi a
full ststulory audil. It inthded a review of the ac£tunkn"ng re￿rdS maintained by the
Chanty arMI a C¥)mpariS￿ of Ihe ￿OL￿ts tKesented with those records.
Responsibilitles of the Management Committee
The Managernent Commrttee is responsible for the preparatr•n of the fina￿￿ statements
and for maintaining proper accounting recLYds that disck)se, reasonable xcuracy at
any time, the finantial posib￿ of th8 Charity. They must enswe that the financial
statements c￿FlY wlh the r￿Ul[eMents of S8ckn 43(7) (b) ofthe Charilies Ad 2011.
In addition, the c￿MIttee is resrx)nsiUe frK s8fegLwding the assets of the Charity and
for taking TeasonatAe steps lo prevenl and detect fraud. errc*. or other irregLbLqrities.
Independent Examinerfs Statement
In the ¢CMJrse of my examinati￿, no matter ha5 Lyme to my attention Ihat woukl give me
Teasonable (8use to bekve ihat. Ni ary material respecL"
1.Proper accountyig r6wrds ￿t bwi kepl in a￿dance with Se(aw)n 130 of the
Charities Ad 2011,.
2.The financial stslements do not agree wth the accx)unting I￿OrdS or fail to compty
wtth appl￿ble acowntiNJ r￿U￿reMents., or
3.There is any matter that shtyJhJ be brought to your attention to ensur9 a propr
uNlerstaThJ"ng of the fin8rtbal slatemonts.
Michael Ajibade
Chartered Accountsnt

STATEMENT OF FINANCIAL ACTIVITIES FOR THE YEAR
ENDED 30 SEPTEMBER 2024
202J
2024
Offering & filhes
113.637
117,329
Charitable Giving
5.850
3,985
Interest
6.039
INCOhAE
Expenses Incurred
Rent
18,489
19.089
Pastoral Allowances
42.000
42.000
Seminarslcamp meelir
2.655
Consultsncy and Prof fees
6,000
7.000
Church Expenses
1.251
8.241
Storage
6,528
5.871
Consumat￿eS
1,041
1,997
Benevolence and Donations
6,000
480

219
187
3,757
441
441
kCfi•
615
TOTAL Exiw
21.495
19,334
F￿￿$ fomard
36,T50
21A95

BALANCE SHEET AS AT 70TH Sèptember 2025
2025
2024
Taryible Asse15
1,471
1.912
Current Assets
Bank and Cash Balances
568.101
491.867
Less CreditNs due within 1 year
1.471
1.074
Total Assets
568,101
492.705
REPRESENTED BY
Savings Accwnts
531.351
470.760
Unretri(tsd Fund BalanC￿S
36,750
21.945
These Financi81 Ststements together with Ihe Th)18s lo tho aLxounts were appioved by Ihe
Board of TrLEStees and signed on their behalf on the 7th of Juty 2025.
Namo of Tfustse: Re .
.) Vlctoria Joda SSgned:
Name of
r Mike Ok)rogun Slgngd:

CHRIST CHAPEL INTERNATIONAL CHURCHES,
LONDON
NOTES TO THE ACCOUNTS FOR THE YEAR ENDED
30 SEPTEMBER 2025
(1) Accounting Pollcies
{al These finanual statements have been prepared under the histon"c81 cost twtvention
and in a¢xordarts ap￿aTr￿e &uunling slaThlards aThJ the statements ot
recomrtwded ac(xxtnting wactice.
(bl Incoming Resources are the aTr￿unts deriv8d fftmn th8 chaiitabJ8 &tivilies of the
charity.
(2) Incoming Resources
AJI incoming resources are tndthjed in the StslenEnt of Fnan(ial Activilies when the
Chanty Is legalty entit18d lo the ir#))rr*. These wh*Je tith, offerirvJs, and donat#)ns.
(3) Tanglble Fixed Assets
Tangib￿ fixed assets are hehj for use by the Chwity in fijrtherancfy of its chaiTiatrAe
obj'ecaives. Assets are capitslwl where ts irthidual o)st exc*eds £5￿.
Deweciation is provided as follows."
Fixtures & FittiThJs & Equyiienl 20% reducirKJ balance method
N•t Book Value:
Fixtures. Fith'ngs & Equipment £1,471
(4) Credltors falling due wlthln 1 year
Professional Fees & h£o￿als- £1.471

15) Trust••• and r•l•t•d party ￿n8￿CtIonS
161 Revenue Res•rve Pollcy
ccic