Charity Number: 1165420
WORD OF LIFE CHURCH LONDON
REPORT & INCOME AND EXPENDITURE STATEMENTS
FOR THE YEAR ENDED 30 APRIL 2024

WORD OF LIFE CHURCH LONDON
Reports and Accounts
Contents
Page
Administrative Delwls
Independent Examiner's report
Trustees Report
Slalemenl of Financial Activities
Balance Sheet
Notes to the Accounts

WORD OF LIFE CHURCH LONDON
ADMINISTRATIVE DETAILS OF THE CHARITY AND ITS TRUSTEES
CHARITY NUMBER:
1165420
Board of Trustees
Kai Ngegba
Mary Scoll
Atta Asante Brobbey
Principal office address
The Chartwell Building
Ground Floor
6145 Paulet Road, London
SE5 9HW
Accountants
Nuama & Co Ltd
102 Slreatham Lane
London
SW16 6NR
Bankers
Lloyds Bank plc
Na￿est Bank plc

WORD OF UFE CHURCH LONDON
Report of Trustees
The trustees present their report and accounts for the year ended 30 April 2024
The Trustees have adopted the provisions of the Statement of Recommended Practice (SORPI
'Accounling and Reporting by Charities {Revised 20051 in preparing the annual reF)Ort and fingncial
statements of the charity.
Objective of the charity as laid down by the Trust Deed
The Core objects of the charity continue lo be..
To establish churches, ministries and community events
To organise conventions, conferences and seminars
To carry out missionary a¢livilies and
To promote festivals, celebrations and exhibitions.
REVIEW OF ACTIVITIES AND FUTURE DEVELOPMENTS
THE FINANCIAL STATEMENTS
The statement of financial activit￿S is sel out on page 6 of the financial slalemenls.
Income Generation
The main source of income is from lilhes, offerings and donations from members.
Investm&nt Policy
At present the Trustees have decided to leave all surplus funds in the account with their principal
bankers.
Fundraising Activities
The charity ielies solely on contributions from ils members. The charty does not employ any
professional fundraising bodies.
Restrlcted Funds
There are restricted funds operated by the charity. The restricted funds are soley for the purchase
of church own building
All other funds are available for use al the discretion of the Trustees

WOIID OF UFE CHURCH LONIMIN
Reserves Policy
The Trustees have decided lo spend as much money as possible on furthering the core objects
of the charity whilst maintaining sufficient cash funds Io énsure the sustainability of the charity.
To achieve this. the Trustees have decided lo maintain an amount in the bank account to cover
al least a minimum of three months of normal expenditure in addition to any known additional
expendrture.
Rgview of charity activities
The charity has continued to undertake aclivfties in line with its objedivos arKS has seen growth
in giving lo ils work.
Govemance and Internal Control
Appointment of Twslees are done by the existing Trustees with consullalion ol the view of the
chur¢h members as to trUs￿Orth1nesS of each person.
Risk Assessment
The Trustees consider the key operational. financial and slalegic risks that may heve a bearing
on the aclivies of the charity. Suitable management information is available to the Trustees on a
regular basis lo monitor these risks and allow any mitigating action lo be taken lo address them.
Trustees, Responsibilities
Charity law requires the Trustees to prepare financial Statements for each financial year which
give true and fair view of the slate of affairs of the charily and of ils financial activities for the yaer.
In preparartng those financial statements, the Trustees are requlre to..
1 select suitable accounting policies and apply them consislantly.,
2 make judgements and estimates that are reasonable and prudent.,
3 stste whether applicable accounting standards and statements of recommended practice
have been followed, subject lo any departures disclosed and explained in the
financial statements..
4 prepare the financial statements on the going concern basis unless it is inappropriate
lo assume that the charity will nol continue in operation.
The Trustees are reponsible for keeping accounting and financial records which disclose with
reasonable a¢¢uracy al any time the financial position of the charity and lo enable them lo
ensure that the finanGial slalemenls comply with the Charities Acts 1993. They are also
responsible for safeguading the assesls of the charity and hence for taking reasonable steps for
the prevention and detection of fru8d or other irregularities.

WORD OF LIFE CHURCH LONDON
TRUSTEES STATEMENT
The Trustees present their report and accounts lor the year ended 30th Aprtl 2024. Thè Tr8ulees have
adopted the provisions of the slelemenl of recommedded practi￿ ISORP) Accounting and Reporting by
Charitie5 IRevised 20051 in preparing the annual report and financial statements of the Charity.
The objective of the church as laid down by the Trust Deed , we continued our evangelistic activities lo enhance
growth and expansion of World of Lile ChurGh vision and mission. Evangelistic handouts and flyers weremade
uring Saturdays embarked ona personal wlnessing and sharing of flyers in the communitie5 such as Brixton
Camberwell and Elephant & Castle areas. We also visit market places, shopping cenlres including street
evangelism lo spread the good news of the Gospel and the love of Christ.
As the core objectives of the charity continue lo be.. To establish churches, ministries and ¢ommunity events,
to organise ¢onventions, conferences and seminars, lo carry out missionary activities and lo promote leslivals
celebrations and exhibi(ions. We 8150 o¥ganised special programmes during the year where people were
invited lo worship with us
During the year the leadership decided to reorganise every department of the church for increase in church
growth in align wth our mission and vision.
During the period under review, the objective of the church was to demonslrale the love of God Ihhrough sharing
the Gospel whilst continuing lo impact the community through the provision of services like,. After School Clubs,
Music Lessons. Library and IT Literacy, preparing hol and cold foods, counselling for the youth and other
bcal inilialives to fight gang crime and shooting among the youth. All these with the aim of promoting
community Cohesion and p￿VentIng of Crime.
In the past year, we have organised various church programmes in and outside the church mostly in the South
of London, notably Brixton, Elephant & Cast￿, East Street, C8￿be￿ell and Peckham. We also visit the lube
stations and market places to win souls for Christ and for outreach programmes.
We also organised our yearly flagship programmes during the year. These programmes are well attended 85
we invite people from far and near to come and withness the love of God.
The programmes are..
Fire Conference
Enough is Enough Conferen￿,
Shiloh COnfe￿nce and
End of Yaer Conference lo thank God for what He has done for us during the year.
We also continued with our much Foved early morning broa¢asl programme:_ Commanding Your Morning"
which is beamed across most of the social media mediums. It has been very encouraging as more and more
people lune in listening across the world.
Our goal is very simple, that is lo demonstrate the love of God through sharing the Gospel whilst
continuing lo spread the Word of God Ihroughtoul the community.
Word of Lrfe Church has various departments wich all work in collabration lo enchance the spiritual, physical
and edu¢alionlal advancement of the church undertaken by the head p8slor and his team of ministers. The
church organise training workshops foi volunteers and trustees of the church to be abreal with morden
development in society to enable them carry out their duties effective￿. The Trustees and volunteers work
eareslly to support the senior Pastor lo fulfil the divine calling place upon the church, to leach and educate the
rnembers about oui Lord and Saviour Jesus Christ.
The children department is growing from slrenghl lo slrenght due lo competent trained and qu81ified childcare
workers. The children learn about God and society in general.

The Church is thankful for all the hard work of the senior Pasler, all the trustees, urshes, volunteers and the
church members lor the lifting the name of G(xl higher during the pertod under review.
Finalty all praise and honour belongs lo Almighl God.
The report was approved by the Board on the 21 February 2025 and signed on its behave by
Kai Ngeba
Trusleweharm8

Independent Examinerfs Report to the Trustèes
We report on the accounts of Word ol Life Church London for the year ended 30 April 2024 as set out on
pages 6 10 10.
Respective responsibilities of trustees and examlner
The charity's Iruslees are responsible for the preparation of the a￿O￿nIS. The charity's Iruslees
consider that an audit is not required for this year (under Section 144121 of the Charities Act 2011
Ilhe 2011 Act} and that an independent examination is required.
Having salified ourselves that the charity is not subject to audit under company law and is eligible
for independent exarninalion, it is my responsibility lo".
1 examine the accounts under Section 145 of the 2011 Act
2 to follow the procedures laid down in the General Directions given by the Charity
Commission lunder Section 145151161 of the 2011 Acll.. and to stale whether part￿ular
matters have come to our attention.
Basis of the Independent Examiner's Report
Our examination was carried out in aecordance wf(h the General Directions given by the Charity
Commission. An examination includes a review of the accounting records kept by the charity and a
comparision of the accounts, and seeking explanations from you as Iruslees concerning any such
mallers. The procedures undertaken do not provide all the evidence that would be requred in an
audit. and consequently no opinion is given as lo whether the accounts present a'lrue and fair vie
and the report Is limited lo those matters sel out in the statements below.
Independent Examlner's Statement
In examination of the accounts, no matter has come lo our allenlion..
which gives us reasonable cause lo believe that, in any material respeGt the
requirements lo keep accounting records in accordance with section 386 and 387 of the
Companies Act 2006., and lo prepare accounts which accord with the accounting records
comply with the accounting requirements of Seclign 394 and 395 of the Companies Act 2008.,
and with the methods and principles of the Accounting and Reporting by Ch8ritie5',
Slalemenl of Recommended Pra¢liee applicabk to charities prep81ing their accounts in
accordance with the Financial Reporting Standard applicable in the UK and Republic of
Ireland IFRS1021 leffeclive 1 January 20151 have not been mel., or
lo which. in our opinion, attention should be drawn in order to enable a proper understanding
of the accounts to be reached.
Yaw Nuama
Isenior Accounlanll
for and on behalf of
Nuama & Co Limited
Chartered Certified Accountants
102 Milcham Lane
London
SW16 6NR

WORD OF UFE CHURCH LONDON
STATEMENT OF FINANCIAL ACTIVITIES
(INCOME AND EXPENDITURE ACCOUNTS
FOR THE YEAR ENDED 30 April 2024
UNRESTRICTED
FUNDS
UNRESTRICTED
FUNDS
2024
2023
NOTE
INCOMING RESOURCES
Tithes, offerings and similar income resources
Investment income
300,319
409.425
TOTAL INCOMING RESOUCES
300,319
409.425
RESOURCES EXPENDED
Charitable activities
Governance costs
191.474
106,995
224.157
113.803
TOTAL RESOURCES EXPENDED
298,469
337,960
MOVEMENT IN TOTAL FUNDS FOR THE YEAR-
NET INCOMEIEXPENDITUREI FOR THE YEAR
1,850
71,465
TOTAL FUNDS AS AT 30 April 2023
375,266
303.801
TOTAL FUNDS AS AT 1 May 2024
377,116
37S,266

WORD OF LIFE CHURCH LONDON
BALANCE SHEET
AS AT 30 April 2024
Notes
2023
2022
FIXED ASSETS
TANGIBLE FIXED ASSETS
86,370
86,370
82,110
82,110
CURRENT ASSETS
Dep0511s and Cash al Bank
308.805
318,258
318,258
LIABILITIES
Creditors.. Ammounts falling due within one year
3,000
{1,5001
Net current assets
305,805
318,758
TOTAL ASSETS LESS CURRENT LIABILITIES
392.175
398,868
Creditors.. amount5 falling due after more than
one year
115,0591
123,6021
CHARITY FUNDS
Unreslricled funds
377,116
375,266
TOTAL FUNDSIIDEFICITSI
377.116
375,266
We approve these accounts whi¢h comprise the Receipts & Payments, Slalemenls of Assets
& Liabilities and related notes. We acknowledge our responsibility for the accounts. including
the appropriateness ol the acwunlin9 basis as set out in note 1, and for providing all the
informalK)n and explanations necessary for their compilation.
Da
On behalf of the Charlty

WORD OF UFE CHURCH LONDON
Profit And Loss Accounl
For the year ended 30 April 2024
2024
2023
Income
Tithe & offerings
Gift Aid
Gianl
Partnership
Building funds
Total Income
286,144
340,790
15,462
8,395
5,780
16,957
36,216
300.319
409,425
Direct Charitsble Expenditure
Children minislry
Communion & Oil
Hiring of Hall
Honorarium
Light & Healting
Missions
Music ministry
Outreach
Welfare
119
2,911
81,802
6,600
1,490
6,020
65,000
26,050
13,500
81.100
11.544
110,257
350
3,446
224.157
5,442
191,474
other Expenditure
Expenses
Accountants fees
Bank charges
Bookkeepings
Cleaning
Donations
Depreciation
Insurance
Legal and professional
Media
Motor expenses
Renl church house
Stationery and printing
Storage
Telephone and fax
Travel and subsistence
Wages and salaries
1,500
2,285
1,500
2,850
809
500
33,647
50
817
6,100
28,586
142
3,530
10,917
26,400
5,055
2,010
939
10,382
14,575
477
28,400
2,829
1,680
460
6,883
27.475
106.995
113.803
Total expenditure
298,469
337,960
Surplusl{deficitl fund
1,850
71.465
Fund balance carried forward
1,850
71,465

WORD OF UFE CHURCH LONDON
Notes to the financial statements
for the year ended 30 April 2024
1 TANGIBLE FIXED ASSETS
Furnitue, fitting
and equipment
Total
2 COST
At 1 May 2023
Additions
182,470
20,889
182,470
37,908
17,019
As 30 April 2024
203,359
17,019
220,378
DEPRECIATION
Al 1 May 2023
Charge for the year
100,360
30,245
100,360
33,648
3,403
As 30 April 2024
130,605
3,403
134,008
NET BOOK VALUE
As 30 April 2023
72,754
13,616
86,370
As 30 April 2024
82,110
82,110
STATEMENT OF FUNDS
BROUGHT
FORWARD
INCOMING
RESOURCES
RESOURCES CARRIED
EXPENDITUREI FORWARD
Unrestricted funds
Restricted funds
General funds
236,208
139,058
236,208
144,838
(3,930)
377,116
5,780
294,539
300,319
(298,469)
{298,469}
375,266

WORD OF UFE CHURCH LONDON
Notes to the Accounts
for the year ended 30 April 2024
1 ACCOUNTING POLICIES
Bas18 of aceounting
The financial statetements are prepared in accordancs with applicable accounlirYJ stsndards
using the Historical Cost Convention.
The financial stat8t8ments reflect the requirements ol the rev15ed Stalernent ol Recommended
Praclice"Ac¢ounling for Charibes ISORPI. Th8 Charity ¢omplied with bèst pr8Ctice al the time
of preparing these accounts
Tangible Fix8d A¥$ets
All fixed assets are capitalised. The charge for (lep￿latiOn is calcxJl*ed to write off thè cost of
the fixed assets OV8r their useful lives on the following bases..
Equipment
20Wts on the reducing balance
GENERAL
These Accounts have been prepared on the receipts and payments basis and in a¢cord81
applicable Accounting Standards and the Charitable SORP. Islalemenl of Recommended
on Accounting by Chariliesl.
Incomè 15 accounted for on accruals bssig. ex￿pt for donations, whieh ar8 credited when ￿ceIVed
These represents gifts, donations, tithes, offerings, pledges and bank interest given to the
during the year.
These represent amounts given to various individuals, organisations and other charitable injsts.
Honorariurn to visiting speakers and rernittances for Missionary worf(.
Expenditure
All expenditure is accounted for on an a¢¢ruals basis.
Resources expended on charitable actiwties comprise all the resour￿5 applied by the charity in
undeerkating its work lo meet its charitablè objectives. These costs include the diiect costs of
the ch8ritable activities wth those support costs incurred that enab18 these activiti8S to be
undertaken.
Expenditure on govemance costs are the costs incU￿d by the charity to op8rate and to generate
the Information required for public acwuntabilty.
Fund5
The Charity's funds are un￿St￿¢t￿d and are available for use at the discretion of the Board of
Trustees.
8oard of Trnstees Reffluneration and expenses
No remuneratson directly or Indirect5y out of the funds was paid or payable tts any of the
Trustees for their dutses as trustees.
10