GOD'S BRIDE MINISTRIES
Reglslered Charty Number.. 1164536
REPORT OF THE TRUSTEES
AND FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 JULY 2025
Tru$t••J'. Sl•f8n Brown. Daml Ariyo, James Thompson
Awunlanls.. Ronzl Accountants Ltd. 305A WeWlnqb¢xough Road. NorthamW. NN14EW
Registered Addreis.. 43 Lea Hlll Road. Blm)Inyham, 820 2AS

REPORT OF THE TRUSTEES
The Tru51ees piesenl their iepoTI will) Ilie financial slatemenls ol God's Bride Ministries lor
the year ended 31 July 20?5 The Trtlslppg liAve ador)l￿d the prnvi8ions ol the Slalement of
Recommended Practice ISORPI IFRS 1021 'Accounling and Reporting by Charities,
effective from l Janiiary 201 Q
Reference and Administrative Detalls
Registered Charlty Number.. 1164536
Principal Address.. 43 Lea Hill Road. Birmingham, B20 2AS
Trustees.. Slefan Brown. Demi Ariyo, Jame$ Thomps¢)n
Accountants: Ronzl Accounlanls Ltd, 305A Welllngborough Road. Nctrrthampton. NN1 4EW
STRUCTURE, GOVERNANCE AND MANAGEMENT
Governlng Document
God's Bride Ministries 15 a registered Charity governed by ils constilulion, adopted 17 Juno
2015 as amended on 29 October 2015, and registered in England and Wales undei charty
number 1164536.
Natur8 of tho Mlnlstry
God's Bride Ministries is a faith-based ministry rooled'in the Christian faith. Our primary
activity Is the raising of fijnds through the generosity of OUT $UPPOrters, members and
pari5hiDner5. The ministry receives voluntary donations. tithes, and offerings from indiwduals
who share our vision, and uses these resources to fund chartsble programmes that serve
the community and advance the Christian faith.
We believe that generosity is an act of worship. and we are gratefvl to every supporter.
member and parishioner who has gwen faithfully lo support this work.
Trustee Recrultmont
Trustee5 are appointed in accordance wlh the Charity's constitution and are inducted into
their governance responsibilib'es on appointment The toard meets regularly lo rewew the
charity's activities and finan￿S and to ensure the ministry remains true to its charitable
objects.
OBJECTIVES AND ACTIWTIES
The objects of God's Bride Ministries ara to advance the Christian faith for the b8nefft of thè
public, and to serve individuals and communities through edur2tion, the arts, and social
action.
During the year tre ministy pursued its obje¢ls through the followng programme areas:
GBM Muslc Programme- music education and tuition for young people
GBM Educatlon Programmo
youth developmenL community building and
educational outreach
GBM Mèdla Productlon - content creation, broadcast, and digitsl media
Communlty Events and AcU¥l￿e8- community 9alherings, schools outreach,
weltsre. and cultural programming
ACHIEVEMENT AND PERFORMANCE
A Year of Contlnued Growth
The year ended 31 July 2025 was a year ol continued growth for God'5 Bride Ministries.
Total income reached £191.903
more than double the prior year
reflecting the growng

laithfulness and generosity of our supportery. mefflbers 8nd parishioners We are deeply
grateful lo all who gave so generoiisly th18 year
GBM Muslc Programmo
The GBM Music Progrgmme eonlinvod ID grow durfng thè y••r, provlding Mu￿¢ •dts¢8b'on
and luilion io yoiinq people and Invèsting In the nexl generation of artlsls.
GBM Education Programm•
The GBM Education Progrnmm• supported youth developmonl, •(lucatKJnal outreach and
conimunity building durlng the yèar, delivering Kllvltle• that Inv?81 In the potential ol ycwng
In our community.
GBM M•dl• Productlon
GBM Media Producb"on ¢onkn'nued to develop the mlnislry'$ content and communi¢atAxs.
prc*Jucing material that shores our message and celebrate¥ the work of our communrty.
Communlty Ev•nts and Actlvltlos
The ministry delNered a programme of community events, schools outreach, and weffare
act1vitses during the year. These activities serve as both a direct charitable purpose
bringing people together and supporting those in need- and as a plaffom for inspiring
generosity and support for the ministry's wider Wofk.
FINANCIAL REVIEW
Financial Summary
The ministy 9eneraled a surplus of £4,753 for the year ended 31 July 2025, on total income
of £191,903. Total expenditure was £187,150. covering programme delivery, staffing,
marketiThJ, and govemance costs.
Nel liablities at 31 July 2025 stand at £2,040. reduced from net liabilities of £6.792 at 31 Juty
2024. The balance sheet comprises computer equipment1£2,2201 and cash at bank {£9851.
Creditors of £15.754 al the prior year end were transferred to Symphony Collective during
the year as part of the entity separation.
2025 £
2024 e
Donation6 and Vduntary In¢ome
Totsl Incom•
191,903
81,198
191.903
81,198
Totsl Expenditure
1187,ISOI
172,0)71
Surplu• for th• Year
4,753
9.161
l income received during the year was unrestricted and avallable lor general charitable
use. The ministy's income comprises voluntary donats'on8 from supporters, members and
parishioner8, together with Gift At'd reclaimed from HMRC.
Reserves Pollcy
The Iruslees aim lo mainlain free reserves sufficlenl lo sustsin Ihe ministry's cor8 activilio8.
The reserves policy will be reviewed durin9 the coming year as th8 ministry's income
¢ontsnues lo grow.

Golng Conc•rn
The Iru51ee5 Bie satisfied Ihal the ministry h89 adequate resources lo continue operating lor
the foreqeeable liilure. supported by the continued commitment of 119 donors, members and
parishioners. The accounts have been prepared on 8 golng conGorn ba81$.
Looklno Ahead
In the coming year the minlsty vlll conllnu• lo grN rt• programm• of nwjilc éduca￿.
youlh developmenl. mèdla productlon. •nd eommunlty •ctivttl••. We Mmain ¢￿M￿ted to
being faithful steward¥ of évèry gift onlruil•d to u•.

STATEMENT OF TRUSTEES, RESPONSIBILITIES
Tl)? Trii8lp?9 grg rp4poii8ihle prèi)Aring Ihè R8poil ol th8 TIu91oB8 and th8 financ131
slalpiiipiils Iii ai'.LoiiIAliie willi Bpi)Iir.ablft18w ai)d United KingduiTI Accounting Standardy
IUI)Ilpil Kii)gdiiii) tsen?rally Accopled AccoLJnling Praclicel
Tli@ 8pp11cable lo ch8riliey In England 8nd Wale5. the Ch8iilies Act 2011 thè Chafily
IAI L l)111)18 aiiLI Reports1 Regulalions 3008 and the provisions of the Trust Deed require the
Triif41pp8 lo prpparp fin8nc1al slatempnl8 for each financial yèar which give a Ifue and laif
view ol the stale of affair3 01 the oha111y and ol the Incoming re50urces ancl application of
ie50urce5. Including the Income and expenditure, lor Ihal pèriod.
In preparing those financial slalemen15 the Truslpps are rerjuired lo
select suitable accounliiig policies and Ilieii 8pply Ihem consistently,
ObSer￿e the melliods ai)d priiiciple5 ln I￿)e Cl)arily SORP.
make iudgemei)Is and e%liinale5 Ilial are reasonable and prudent.
prepare Ihg 111)aiicial slalemenls on the going concern basis unless It Is inappropriate
to presume Ihal 11)e cl)arily wll continue in business.
The TriJ51ees are responsible lor keeplng proper accounting recoids and for Safeguarding
the assels of the chaiity and hence for taking reasonable step8 for tha prevention and
(Jeteclioii of fraud and olher irregularities.
Statemènt ot Disclo$ur•• to th• Indèpondent Ex¥mln•r
In so '.ar as the Twstges are aware al the limo of approving the Trust￿$, annual report..
There is no relevant inlomalion of whiGh the independent examiner 1$ unaware..
The Trustees have each taken all steps they are obliged to take to make themselves
aware of any re5evanl Information and lo establish that the independent examiner 18
aware of that informathon.
Approved by order of the board of Iwstees on t l 0 S 2
behalf by.
and signed on its
Slefan Brc)w
Trustee
Demi Ar
yo. Trusteè
James Thompson, Trustee

INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES OF
GOD'S BRIDE MINISTRIES
I report to the Iiiislees on my examination ol the financial slalements of God's Bride
Ministries Ilhe charilyl for the year ended 31 July 2025.
Responsibilities and Basis of Roport
As the trustees of the charity you are responsible lor the preparation of the financial
statements in accordance wilh the requirements ol thè Charities Act 2011 (the 2011 Acti.
I report In respe¢l of my examination of the charity's financial slalements carried out under
section 145 of the 2011 Act In carrying out my examination I have followed all the applicable
Directions given by the Charity Commission under section 1451Sllbl ol the 2011 Act.
Independent Exarniner's Statement
l Mave completed rny examination. I confirm that no matters have come lo my attention in
connection with the examination giving me cause to believe that in any material ￿spect..
accounting records were not kept in rospgcl of tho charity as required by Section 130
Df the 2011 A¢t'. or
Ihe financial statements do not accord with those records., or
the financial stalemenls do not comply wth the applicable requiram&nts conceming
the form and ¢onlenl of accounts sel out in the Charitie5 (Accounts and Reports)
RegLJlalions 2008 other than any requirement that the accounts give a 'lrue and fair
view. which is not a matter considered as part of an independent examination.
I have po concem5 and have come across no other matters in connection with the
examination to which attention should be drawn in thi$ report in order lo enable a proper
understanding of the financial stalemonls to be reathed.
Oladapo Sulaimon FCCA
Ronzl Accounlanls Ltd
305A Wellingborough Road
Northampton, NN14EW
Dale.. 0810412026

R•glbl•r•d Chwty numb•r.' 1164536
God'8 Brkjo Mlnl$lrl88
GOD'S BRIDE MINISTRIES
REPORT OF THE TRUSTEES AND FINANCIAL STATEMENTS
FOR THE YEAR 31 JULY 2025

Fwth•yYw31 W2025
Contents
Pag•
Exam￿￿9 Report
Statement d Financial
Statem•nt cl ￿￿￿¢4*1 Posili
Note5
&7

God'• Brld• Mlnl•trl••
R•port Ind Amnli
FDr th• y••r 31 Juty 2025
R•gl•t•r•d Cmrfty Numb•r
1164538
Tr￿t••&
St•l4n Brown
Deml A￿yO
James T￿)Mp￿
Acct￿ntIr￿¥
RONZL ACCOUNTANTS LTD
3C&4 ￿LLINGBoROuGH ROAO
NORTHAMPTON
NN14EW
R•gl•t•r•d Addr•••
43 Loa Hill Road
BIRMINGHAM
B20 Z4S

God's Brid& m1n18t￿•#
Ilepoil aiid 4ccounti
Fof Ilie yejr 31 July 202$
INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES OF GOD'S BRIDE
MINISTRIES
I f?PQrt to the Ifuglegs on my •xgmln•llon ol th• fl￿nC￿l •lplemenl• of G(Kl'• Brth Mlnlstrles (the
charity) IOT the year end•1 31 July 2025.
R￿pOn11b1II1l•• and B••l• ol R•port
As thè trustees of charity you are responsible for tha pryrabon of the financial 810t•M￿t$ in
accordanct wth the requlroments ol the Charits•¥ Act 2011 Ithe 2011 Act).
I report In r•sp•ct ol my g¥•rninatlon of the charity's financfjal stalgments carri8d out under 8eclion
145 of thts 2011 Act. In carrying Out my examinats'on I have folltswed all Ihe 8ppli¢able DirectK)n$ gNen
by thè Charity Commission under seralon 14515llbl 01 ￿ 2011 Act.
p•nd•nl ExamIn•￿$ Ststsm•nt
I h8ve compl&t•d my exarninatiw. I confrrm that no mattèrs have corne to my attention in ¢onnedio
wth examination g'ving me cause lo bglleve that in any materfal respe¢t'.
accounting records r*ol kept in ￿$p￿r of the charity as r￿uir￿j ty 5ecb'M 130 01 the
2011 Act,. or
the finanrial stat•monts do not thxord th088 rath$', or
the frnanoal ststements do not compty vAth the arplicable ￿qUIreMents cotxeming the fomi
and wntent ol accounts Set out in the Charities (Accounts and Raportsl Regulations 2008
gther than any requi￿rnent that the accounts ￿ve a'lrue and fair view, whi¢h 1$ not a matter
considered as part of an independent examination.
I have no cgn¢ems and have ￿rne across no other matters In ¢onne¢tion the examination to
whith attèntion should be dr￿￿ in this rnport in ordér to ¢n8blo • prO￿r und8rstanding of the
￿nar￿181 5taternènts to b& reathed.
Oladapo Sulaimon FCCA
Ronzl Accx)untants Ltd
3￿ Wdlingborough Road, N¢*th•mwrn, NN14EW

God's Bride Mlnistrles
Reporf Accoiinls
STATEMENT OF FINANCIAL ACTIVITIES
For Ihe yecir 31 July 2025
2025
2024
Total Funds
Total Funds
INCOME AND ENDOWMENTS
Donations Irom Members
Gift Awj IRecoverablel
Total Incom•
85.444
53,735
27,463
81.198
106.459
191,903
DIRECT GOST
G8M Music Progralnrne
Officè 8fid Studig
GBM EdUcat￿n Programmtr
GBM Media pr￿UCtIOn
Community Events and Actwilies
Gener81 ActNity and 0￿rating Cgs1$
Wages, Consulting ond Fundraisin9
Marketing. CommuniGalion$ and Ouireath
Transport and Logisii¢s
Data and mobi￿ Costs
22,485
28.148
9.815
13.925
21.6$4
14,029
55,825
11,438
4.250
14.950
3.478
38.340
400
6.109
2.051
494
5T, Systems ond Equipmenl
ADMINISTRATIVE COST
A¢¢ountan¢y Fee8
Legal and Professional Fees IAllowabl•l
Bank Charges
Payment Gateway Charges
DeprecIat￿n Charg8.' Computer Equiwnent
General Insurance
Sundry Exp&n88s
5.526
2,910
1.247
449
78
660
e80
230
2.230
Total Exp•ndllur•
187,1SO
72,036
8urplu• I ID•ll¢l¢l
4,753
9,102

God's Brlde Minlstrle
Report and Accounis
For Ihv year 31 .lulv 2025
STATEMENT OF FINANCIAL POSITION
2025
Z024
Total Fundi
Total Fund•
FIXED ASSET
Compvler Equipment
2.220
2,220
2.900
2,900
CURRENT ASSET
Cash ai Bank & in Hand
Toial Curreni Asset
985
6,062
6.062
CREDITOR8
Falling dua within one y¢•r
Total Curyènl Lwbilty
115.7541
115.7541
NET ASSEf8 I ILIAeiLTrY)
12,0401
10.7921
Totsl fi>ndB
{2,0401
18.7921

God's Bdd• Mlnlstrl••
Report 8nd AccounlB
For the ye•T 31 July 2025
NOTES
1. ACCOUNTING POLICIES
Ba81s ol preporlng the Iln•n¢lal •t•tèm•nts
The financial $iaieTnenis of the charilablt cotDpaDy. which is a public benef11 entity undtr FRS 102. have baen
prepared In accordance Y4ilh th• Chanlies SORP IFRS 1021'Accouniiny Jn¢l FQeportin9 by Chaiilie8 Statement
of Recommended Pr3ciice applicable lo chgrilies prepanr@ their accouth$ In a¢¢ordance with Ihe Finanual
Reporting Standard BppIl￿blq In Ihe UK And Republic of Ireland IFRS 1021 (Èfftrctive 1 Jar)uary 20151., Finanual
Reporting Standard 102 'The Flnancial Report1ng Standard applicabl8 In Ihe VK and Ropublic ol Irgland, and the
Companie8 Act 2006. Tho fin8nci81 $18tsm6nls have been prepared under the hi#iorical c051 convention
God's Bnde Minislne$ Is &n incorpor8led Gharity. registered In England and Wale¥. Thtr charity'l numb•r 8nd
rtgistered offi(* 8ddrèss can b8 lound on the Company Information p89a.
Income
All Income is recognised in Ihe Slatemeni of Finanual Activities on<x Ihtr charity ha• enllllement 10 the fvJnd$. tt is
probab￿ that the income will be received and Ihe amount can be measured reliabty.
Exp8ndltur•
Liabilitie$ are recognised a$ expenditure as soon 8$ there is a legal or ￿nStrUCtiVe oblualion commthing the
thanty to that expenditure, rt Is probable that 8 Ir4n¥fer of economic benefits will be requiréd Sn settlemeni and
Ihe amount of the obligalion can be measured reliably.
Expendilurtr is accounted for on an acwals basi5 and has been dassified under heèdlng8 Ihat aggregate all cost
related 10 the category
ere cost$ cannot be direclty atlribuled to particular headings Ihey b2en 811ocaled lo activitie5 on a basis
nsisienl with the use of resourc&s.
Fund Accountlng
Unrtstricted funds can be used in accordance ￿lIh ts tharSlable oblectlves al Ihe discretion of the twslees.
Crodlto
Creditors of £15.754 8131 July 2024 were Iran$fèrréd to Symphony Co1￿ctIVe during thè year as part of the
separation of the tro enlth8%. Thasé were lagacy oparalional obligations relating to Symphony Colkctiv8's

God's Brlde Mlnl•trb••
Qpport and A¢counl1
For lh¢ yoar 31 July 2020
TANG18LE FIXED ASSETS
Comput•r •nd Egulpm•nt
Colt or Val￿tIOn
At 1st of August 2024
As al 313t of Juty 2025
Depr•¢l•tlon
As •11$t of August 2024
Charg• for thè year
AS at 31st ot July 2025
880
880
NET BOOK VALUE
A¥ *t 31•t of July 2025
2,220


## **Independent examiner's report on the accounts** 

**Section A                        Independent Examiner’s Report** 

Charity Name 

## **Report to the trustees/** Charity Name **Members of GOD’S BRIDE MINISTRIES** 

> **On accounts for the year 31/07/2025 Charity no 1164536 ended (if any)** 

**Set out on pages** 

(remember  to include the page numbers of additional sheets) 

I report to the trustees on my examination of the accounts of the above charity (“the Trust”) for the year ended 30/09/2025 **/ MM / YYYY** . 

**Responsibilities and** As the charity trustees of the Trust, you are responsible for the preparation **basis of report** of the accounts in accordance with the requirements of the Charities Act 2011 (“the Act”). 

I report in respect of my examination of the Trust’s accounts carried out under section 145 of the 2011 Act and in carrying out my examination, I have followed the applicable Directions given by the Charity Commission under section 145(5)(b) of the Act. 

## **Independent examiner's** 

## **statement** 

I have completed my examination.  I confirm that no material matters have come to my attention (other than that disclosed below *) in connection with the examination which gives me cause to believe that in, any material respect: 

- accounting records were not kept in accordance with section 130 of the Act or 

- the accounts do not accord with the accounting records 

I have no concerns and have come across no other matters in connection with the examination to which attention should be drawn in order to enable a proper understanding of the accounts to be reached. 

- _Please delete the words in the brackets if they do not apply._ 



|||||
|---|---|---|---|
|**Signed:**<br>**Name:**<br>**Relevant professional**<br>**qualification(s) or body**<br>**(if any):**<br>**Address:**<br> <br>|OLADAPO SULAIMON FCCA|**Date:**|16/06/2026|
||OLADAPO SULAIMON FCCA|||
|||||
||INSTITUTE OF CERTIFIED CHARTRED ACCOUNTANTS|||
||305A WELLINGBOROUGH ROAD|||
||NORTHAMPTON|||
||NN1 4EW|||



## **IER** 

1 

## **October 2018** 

## **Section B                           Disclosure** 

Only complete if the examiner needs to highlight matters of concern (see CC32, Independent examination of charity accounts: directions and guidance for examiners). 



**Give here brief details of any items that the examiner wishes to disclose** . 

**October 2018** 

**IER** 

2 

