Charity Number: 1165420
WORD OF LIFE CHURCH LONDON
REPORT & INCOME AND EXPENDITURE STATEMENTS
FOR THE YEAR ENDED 30 APRIL 2025

WORD OF UFE CHURC41 LONDON
Reports and Accounts
Contents
Page
Administrative Details
Independent Examiner's rèport
TnJ$tees Report
Statèment of Financial Activiti&s
Balan¢e Sheet
Notes lo the Accounts

WORD OF UFE CHURCH LOND(h
ADMINISTRATIVE DETAILS OF THE CHARITY AND ITS TRUSTEES
CHARITY NUMBER:
1165420
Board of Trustees
Kai Ngegba
Mary Scott
Atta Asanle Brobbey
Principal office address
The Charlwell Building
Ground Floor
61-65 Paulet Road, London
SE5 9HW
Accountants
Nuama & Co Ltd
102 Strealham Lan
London
SW166NR
Bankers
Lloyds Bank plc
Natwesl Bank plc

WORD OF LIFE CHURCH LONIKIN
Rtport of Trustees
The trustees presant their rèport and gwunts for the ygar ended 30 April 2025
The Trustees have adopted the provisions of the Statement ol Recornmended Praoti¢e ISORPI
'Accountillg and Reporting by Charities (Revised 20051 in preparing thè annual report and financial
Statements of the ¢hartly.
Objectivè of the charity as lald down by the Trust Deed
The Core objects of the charity continue to ba..
To establish thurches, ministries and commL+nity events
To organi5e conventions, conferences and seminars
To ¢arry out missionary activities and
To promote festwals, celebrations and exhibldons.
REVIEW OF ACTIVITIES AND FUTURE DEVELOPMENTS
THE FINANCIAL STATEMENTS
The statemènt of finan¢ial activitiès is set out (>n page 6 of the financial statements.
In¢ome Generation
The main SLiurce of income is from tithes, offerings and donations frorn rnembers.
Invo$tment Poli¢y
At prgsent thè Trustees have decided to leave all surplus funds in the account with th&r prln¢ipal
bankers.
Fundraising Actlvltles
The charity rèlies solely on contributions Irom its m6mbers. The charity does not employ any
piofessional fundraising bodies.
Rastrlcted Funds
There are rastricted funds operated by the charity. The restricted funds are soley for the purchase
of church own building
All other funds are available for use at the diserelion of thè Trustees

WORD OF LIFE CHURCH LONDON
Reserv88 Policy
The Trustees have decided to spend as much money as possible on furthering the core objècts
of the charity whilst maintaining guffi¢ient cssh fund5 to ensure the sustainability of the charity.
To achieve this, the Trustees have decided to maintain an amount in the bank account lo cover
at least a minimum of three months of normal expenditure in addition lo any known addltional
expenditure.
R&view of ¢harity activiti•s
The charity has continued to undertake activities in line with tts objectives and has seen growth
in gwing to its work.
Governance and Internal Control
Appointment of Trustees are done by the existing Trustees with ci)nsullalion of the view of the
church members as to truS￿rth1neSS of each pèrson.
Risk Assèssment
The Trustees consider the key operational, finan¢lal and ststegic risks that May have a bearing
on the activies ol the charity. Suitable management infc>rmation is av8ilable to the Trustees on a
regular basis to monitor these risks and allow any miligatlng action lo be taken to address Ih8ri7.
Trustees, Responslbllltles
Charity law r8quires tha Trustees lo prepare financial ststements for each financlal year vthich
give true and fair view of the slate of affairs of the charity and of its financial activllles lor the yaer.
In pr•pararing those financlal statem¢nt8. the Trustees arè require to:
1 select suitable accoLJnting policies and appty them consistandy,
2 tllake judgements and estimates that are reasonable and prudent.,
3 state whether applicable accounting standards and statements of recommended practice
have been followed, subject to any departures disclosed and explained in the
financial statem&nts'
4 prepare the financial statements on the going concern basig unless It Is inappropnate
lo assume that the charity wll not continue in operation.
The Trustees are reponsible ft)r keeping aooounting and fi'nancial records which disclose wth
reasonable 8ccuracy at any lime the financial position of the charity and to enable thèrr lo
ensure that the financial sialements comply wllh the Charities Acts 1993. They are also
responsible for safeguading the assesls of the charity and hence for taking reasonable steps lor
the prevention and detection of fruad or other irregularities.

WORD OF LIFE CHURCH LONDON
TRUSTEES STATEMENT
The Trustees present their report and accounts for the year ènded 30 April 2025. The Trsutee$ have
adopted the provisions of the stelement of recommedded PractiTr ISORPI Accounting and Reporting by
Charities (Revised 20051 in preparing the annual reFQrt and financial Statements of the Charity.
The objective of the church as laid down by the Trust Deed , we continued our evangelistic acttvities to enhance
orowth and expansion of Worfd ol Lrfe Church vision and mission. Evangelistic handouts and flyers w$remade
during Saturdays èmbarked ona personal witnessing and sharing of flyer5 In the cornmunities such as Brixton
Camberwell and Elephant & Castle areas. We also visit market plaTrs, shtspping centre5 including street
vangelism to Spread the good news of the Gospel atm1 the love ol Christ.
As the ¢ore objectives ol the charity continue lo be". To establish churches, ministries and community events.
to organise ¢onventions, conferences and seminars, to carry out missionary activities and lo promote feStiV￿S
celebrations and exhibllion5. We also organise(S special programmes during the year where people were
invited lo worship with us.
During the year the leadershlp decided to reorganisè every department of tha ¢hurch for increase in church
growth in align wilh our mission and Msion.
During period under review, the objective of the chur¢h was to demonstrate the love of God thhrough sh8ring
the Gospel whilst continuing lo irnpact the community throuoh the provision tsf services like", After School Cltjbs,
Music Lessons. Library and IT Literacy, préparing hot and cold foods, counselling for the youth and other
local initiBtives lo fight gang crime and shooting among the youth. All these with the aim of promoting
communty cohesion and preventing of crime.
In the past year, we have organised various church programmes in and outside the ¢hurch mostly in the South
of London, notably Brixton, Elephant & Castl8, East Street, Camberwell and Peckham. We also visit the tube
stations and market pl8eès lo win souls for Christ and for outreach programmes.
We also organised our yearly flagship programmes during the year. These progr8mmes are well attended as
Wg Invlte people Irom far and ntrar to come and wthness the k)ve of God.
The piogrammes arfj..
Fire Conferenca
Enough is Enough Confer&n¢e,
Shiloh Conference and
End of Yaer conferen￿ lo thank God for what He has done lor us during the year.
W8 also continLJèd with our mueh loved earfy moming broadcast programme .
'Commandlng Your Morning"
which Is beamed across rnost of the soryal media mediums. 11 has been very encouraging as more and more
people tun8 in listening aeross the workl.
Our 9oal is very simple, that is to demonstrate ihe love of God through shariro the Gospel whtlst
c¢inlinuing to spread th6 Word of God ihroughtoul the communty.
Wor(S of Life Church has various departments wich all work in collabratltsn lo ench8ncÈ the spiritual. physical
and educationlal advancetnenl of the church undertaken by thè head pastor and his team of ministers. The
church organise training workshops for volunteer5 and trustees ol the church to be 8breat with morden
development in society to enable them carry out Ihair duties effectively. Thè TrLJStees and volunteers work
earestly tts support the senior P85tor to fulfil the divine calling placg upon the church, to teach and educate the
members about our Lord and Saviour Je5U5 Christ.
The children departrnent Is growing from stienght to strenght due to competent trained and qualified ¢hildcare
workers. The children leam about God and society In general.

Tha Church is thankful for all the hard work of the senior Paster, all the Iruslees, urshes, volunteers and the
church members for the lifting the name of God higher during the period under review.
FSnally 811 praise and honour belon9S to Almighl God.
The report was approved by the Board on the 3 March 2026 and slgned on its behave by
Kai Ngeba
Trustee Chairman

Independont Examln•rfs Rgport to the Tru¥tees
We r&port on the accounts of Word of Life Church London for the year ended 30 April 2025 as set out on
pages 6 10 10.
Respective responsibllitie5 of Iruste8s and •xamingr
The charitys trustees are responsible for the preparation of the accounts. The ¢harills trustees
consider that an audit 15 not required for this year lund6r Section 144121 of the Charities Act 2011
Ith8 2011 Act) and that an independent examination is required.
Having salified ourselves that the charity is not subject to audit undor cLynpany law and is eligible
for independent examination, it is my responsibility lo..
1 6xamine the accounts under Section 145 of the 2011 Act
2 to follow the procedures laid down in the Gèneral Directlon$ gwen by the Charity
Commission (under Se¢lion 145151161 of Ihe 2011 Acil.. and to slate ￿ether particular
matters have come to our attent￿n.
Basis of the Independent Examinerfs Rèport
Our èxamination was carried out in accordance wth the General Directions given by th& Charity
Cornmission. An examination includes o rewew of the accounting records kept by the charlly and a
comparision ol the accounts, and seeking explanations from you as trustees Concerning any such
matters. The procedurès undertaken do not provlde all the evidence that would be requred in an
udit, and consequently no opinion is given as lo whether the accounts present a 'lrue and lair view,
and the rewt is limited to those maiters set out in the statements below.
Indepond•nt Examin•rfs Statem¢nt
In examination of the accounts, no maller has come lo our attentiL)n.'
which gives us reasonable cause to beligva that, in any mal&ri81 respect the
requiretnents to keep accounting records in accordancè wth section 386 and 387 01 the
Companies Act 2006,. and to prepare accounts which accord with the accounting records
comply with the accountin9 requirements of Section 394 and 395 01 the Corrpanies Ael 2006-
and with Ihe methods and principles of the Aecountiry and Reporting by Charities,.
Statement of Recommended Practice applicable to chaiities preparing their 3ccounts in
ac￿rdanCe wth the Financial Reporting Siandard applicable in the UK and Republic of
Ireland IFRS1021 leffeclive 1 January 20151 have not been met., or
lo vA)ich. in our opinion, attents'on should bg drawn in order to enable a prop¢r understanding
of the accounts lo be reached.
Yaw Nuama
(Senior A¢¢ountantl
for and on bèhalf of
Nuama & Co Limitéd
Chartered Certified Accountsnls
102 Mitcham Lane
London
SW16 6NR

WORD OF UFE CHURCH LONIKIN
STATEMENT OF FINANCIAL ACTIVITIES
(INCOME AND EXPENDITURE ACCOUNTS)
FOR THE YEAR ENDED 30 Aprll 2024
UNRESTRICTED
FUNOS
UNRESTRICTED
FUNDS
2025
2024
NOTE
INCOMING RESOURCES
Tithes. offerings and similar income resources
Investrnenl income
292.745
409,425
TOTAL INCOMING RESOUCES
292,745
409,425
RESOURCES EXPENDED
Charitable activities
Governance costs
198.521
128.$46
224,157
113,803
TOTAL RESOURCES EXPENDED
327,067
337,960
MOVEMENT IN TOTAL FUNDS FOR THE YEAR-
NET INCOMEIEXPENDITUREI FOR THE YEAR
{34.3221
71.465
TOTAL FUNDS AS AT 30 April 2024
375,266
303,801
TOTAL FUNDS AS AT 1 May 2025
340,944
375,266

WORD OF LIFE CHURCH LONDON
BALANCE SHEET
AS AT 30 April 2025
Notes
202S
2024
FIXED ASSETS
TANGIBLE FIXED ASSETS
90,224
90,224
86,370
86,370
CURRENT ASSETS
Deposits and Cash at Bank
262,236
262,236
308,805
308.805
LIABILITIES
Creditors.. Ammounts falling due within one year
3,0011
3,0001
Net current assets
259,235
305,805
TOTAL ASSETS LESS CURRENT LIABILITIES
349,459
392,175
Creditors.. amounts f811ing due after more than
one year
16.7161
115,0591
CHARITY FUNDS
Unreslricled funds
342,743
377,116
TOTAL FUNDSIIDEFICITSI
342.743
377.116
We approve these accounts which ¢omprise the Receipts & Paymènts. Slalgmenls of Assets
& Liabilities and related notes. We acknowledge our responsibility for the acGounts, including
the appropriateness of the aceounling basis as sel OLJt in note 1, and for providing all the
information and explanations necessary for their compilation.
J/3/2
Truste
Dated
Trustee
Dated
On behalf of the Charlty

WORD OF UFE CHURCH LONIKIN
Profil And Loss Account
For the year ended 30 April 2025
2025
2024
In¢om
Tithe & offerings
Gfft Aid
Partnership
Building funds
Total income
280.796
3,393
5,765
2,791
286,144
8,395
5,780
292,745
300,319
Direct Charitable Expanditure
Children mlnislry
Communion & Oil
Hiring of Hall
Honorarium
Missions
Music ministry
Outreach
Welfaro
655
1,451
72,000
29,800
6,350
78,223
8,960
1,082
198,521
119
2,911
81.802
6,600
13.500
81,100
5,442
191,474
Othèr Expenditure
Expense$
Accountants fees
Bank charges
Books
Cleaning
Donations
Depreciation
Insurance
Legal and prof8S5ional
Motor expenses
Rent church house
Repairs & maintenance
Slalionery and printing
Storage
Telephone and fax
Travel and subsistence
Wages and salaries
1,500
2,683
150
885
1,050
33.647
1,500
2,285
809
500
33,647
50
1,500
18.465
28,800
1,280
2,935
1,870
443
299
33,039
477
28.400
2,829
1,680
460
6,883
27,475
128,546
106,995
Total expenditure
327,067
298,469
Surplusl{deficitl fund
34,322
1,850
Fund balance carried forward
34,322
1.850

WORD OF UFE CIIURIXI LONDON
Notes to the ftnancial statements
for the year ended 30 April 2025
1 TANGIBLE FIXED ASSETS
Furnilue, fitting Vehicle
and equipment
Total
2 COST
Al 1 May 2024
Additions
203,359
37,500
17,019
14,146
220,378
51,646
As 30 April 2025
240,859
31,165
272,024
DEPRECIATION
Al 1 May 2024
Charge for the year
130,604
30,244
1,549
3,403
132,153
33,647
As 30 April 2025
160,848
4,952
165.800
NET BOOK VALUE
As 30 April 2025
80,011
10,213
90.224
As 30 April 2024
72,755
13,616
86,371
STATEMENT OF FUNDS
BROUGHT
FORWARD
INCOMING
RESOURCES CARRIED
EXPENDITUREIFORWARD
RESOURCES
Unrestricted funds
Restricted funds
General funds
232,228
144,838
232,228
147,629
37,1141
342,743
2,791
289.955
292,746
{327,069)
327,069
377,066

IVORD OF UFE CHURUI LONDON
Notes to the Accounts
for the year ended 30 April 2025
1 ACCOUNTING POLICIES
Bas1$ of 8c¢ounting
Th8 finan¢i818t8teternents are p￿pared in accordan¢• with applicable a¢¢ounting standards
using the Historical C051 Convention.
The financial statelements reflgct Ihe ￿quIrementS of the revised S181etnenl of Recomrnended
Practs"¢e 'Accountlng for Chantle5' ISORPI The Charity compliéd wth b881 practice al the lime
of ￿parIng these accoun15.
Tangible Fixed Assèts
fixed èssets are capitalised. Th* charge for depreciation is calculalgd lo write off th¢ cost of
IhÈ fixed assets overtheir useful lives on the followin9 ba565'.
Eouipment
20% on the redueing balance
GENERAL
Th058 Accounts have beÈn prepar&d on the receipts and p8yments ba8[8 and in accordan￿ with
appli¢able Accounting Standards and the Charitabl& SORP. Islat8mènl of Recommended Practice
on knounknng by Charities).
Ir￿0￿
Incotne is accounted for on a¢Cr￿al8 basis, except for donation5, which are credited when r8eeived
These represent5 grfts. donations, lithes, offerings, pledges and bank interest given lo the Charity
during th& year.
2 ¢haritab16 Donations & Glfts to Misslons
These represent arrK)unts given to various individuals, organi5ation8 and olher charllable Iru51s.
Honorarium to visiting speakers and r6mlttar￿8s for missionary work.
Expendlture
l expenditu￿ is accounted for on an a¢¢rual8 basis.
Resources $xp¢nd6d on ¢haritsble aclmtses comprise all the resources applied by the charity in
undeerkaling its work to meet its charilable objective8. Thése costs indud$ the direct Costs of
the Gharitable aclivllles ￿th those supwrt costs incurred thai enable these activities lo be
undertaken.
Ex￿ndrtUre on govemance costs are the costs In¢urr8d by the Charity to operate and to generate
the information requir8¢t for public accountstNlity.
Fund$
The charfvs funds are unrestricted and are availa￿e for use at the dISt￿tIOn of th& Boar(l of
Trustees.
Board of Trustoès R•munera￿On ond expanses
No r8muneraiion direcyy or indir8cUy out of the funds wa5 paid or payabla to any of the
Trustees for their duties as trustee5.
10