COMPANY REGISTRATION NUMBER: CE008837
Word Of Life Celebration Centre
Financial Statements
28 February 2025
CHARITY REGISTRATION NUMBER: 1168912
RM ACCOUNTANCY SERVICES
Chartered Accountants & certified accountant
Castle Cavendlsh Wort(s
Nottingham
NG7 5PN

Word Of Llfe Celebratlon Centre
Financlal Statements
Year ended 28 February 2025
Page
Ref8renc8 and administrative details
Trustees, Report
Trustees, responsibilities statement
Independent auditorfs report to the members
Statement of finanGial aGtivlties
Income and exPer￿LtUre account
Balance sh8Ot
Notes to the accounts
8-11
Thè following pages do not fomi part of the financial statements
Detalled statement of financial activiti8S
12

Word Of Life Celebration Centre
REFERENCE AND ADMINISTRATIVE DEfAILS
Year ended 28 February 2025
Th8 trustees, who are a150 th8 diroctors for the purposes of company law, present their report and the
financial slatemonts of thg charity for Iho year endgd 28 FebNary 2025.
Reference and admlnlstratlve d&talls
Reglstsred charlty namg
Word Of Life Celebration C6ntr8
Charlty roglstratlon numbor
1168912
Company regl$tratlon number CE008637
Prlnclpal offlco
23 Frobisher Gardells
Nottingham
Nottinghamthire
NGS 6Er
The trustees
The ￿￿Ste¢S who S¢￿ed the charity during the period were ag follows:
Dr Charles DanNin
Mr Mark Joseph
Mr Paullne Josaph
Dr Ser8h Ak&lola
Mr Grac8 Wanjlru Mbugua
Independent Exarnlner
RM Aceounl'ancy Services
Cbartered Accoutttants & ¢¢rtifi¢d accouThtant
Castle C&v¢ndisb Works
Nottingham
NG7 5PN

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Word Of Llfe Celebratlon Centre
Independent Auditorfs Report to the Members of Word Of Llfe Celebratlon
Centre
Year ended 28 February 2025
I report to the twstee on my 9xamin811on of the awounts of Word Of Llfe Celebrallon Centre for the
ye8r ended 28 February 2Q25.
Rèsponsibilities and basis of report
As tho charity Iruslee of Word Of Life Celebration Contre you are responsible for the preparation of
the accounts in accordan¢o with thg requirements of the Charities Act 2011 ('Ihe Act,).
I report in respect of My examination of the Word Of Life Celebration Cenlre's aocounts carried out
under section 145 of the 2011 Act and In carrying out my examination I have followed all th6
applicable Direotlons glven by the Charlty Commission under section 145(51(b} of th8 Act.
Indapèndènt 8xaminérfs slatément
I have comp18t8d my 8xamination. I confirm that no rnat8rlal mattérs have come to my allention In
connection with the examination giving me cau88 lo believ8 that in any matarlal respact:
1. accounting records w8r6 not kapt In respect of Word Of Llfe Colobratlon Centra as raqulrad by
so￿l0n 130 of tha Acl; or
2. th8 accounts do not accord wlth thosa r8cords', or
3. tha accounts do not comply wlth the accounllng requir8mènts conceming the form and content of
accounts set out In the Charfties (Accounts and Reports) Regulallons 2008 other than any
requirement that the accounts give a 'true and fair view, whlch Is not a matter consldered as part of an
Independent examlnatton.
I have no concerns and have come across no other matters in connethn with the examination lo
which attention should be drawn in this report in order lo engble a proper understanding of the
accounts to be reached.
RM ACCOUWANCY SERVICES
Charterad Accountants & carllflad accountant
Castle Cavendlsh Works
Nottingham
NG7 SPN
Our audit was ￿Mpleted on.....,.............,.... and our opinion was expressed atthal dale,

Word Of Life Celebration Centre
Statement of Flnancial Actlvltles
Year ended 28 February 2025
2025
Unrestrlcted
funds Total lunds Total funds
2024
Note
Income and endowm8nt8
Donatlons and lègaclés
Total In¢om•
38,454
38,454
38,454
38,454
38,458
38,458
Expendlture
Fundraising Iradlng,, cost of goods sold and other
costs
34.502
34,502
10.613
10,613
Total expenditur8
34,502
34,502
Net Income and net movement In funds
3.952
3,952
27.845
R￿On¢111a¢lon of funds
Total funds brought forward
Total funds carrlad forward
115,578
119.530
115,578
119,530
87.733
115,578
The statement of flnanclal acllvltles Inciudes all galns and losses recognlsed In the year.
All income and expenditure derlve from contlnulng actlvtttes.
The notas on pagos 11 to 17 fomi part of thèsè finanelal statamènts.

Wtrid 01 Llto f*lvl>mllvii Leiilr
IIFO
114,617
5h7$
110,&
It¢Mb •nK*Mnh tilljno duth on• yt•p
riuiY•rkl •*$ll*
2GI
I lo, fG3
tIS,SY8
269,Ilil
¢ttdltér*; Illiount* l&NIii# du• All*r mgr¢
oft•y
tf $.$76
Pund* th• ohlrfty
lJftr•itslclod luThds
115,578
11S,&T
la
¢11,6#
1$ wAro 4pwo￿￿ ty Ih) fflembers of Ih? ¢O￿ttt¢# and aUlI￿rfled ftir IsEue on Ih?
. and are $lonAd an I
r¢harte
company Regislratrn Numljir. ¢EQQ8$37

Word Of Llfe Celebration Centre
Income and expendlture account
Year ended 28 February 2025
2025
Unrestrictad
fiJnd8 Total funds Total funds
2024
Noto
Income and endowm6nts
Donations and legacies
Total Incomè
38.454
38,454
38,454
38,454
38,458
38,458
Expendlturg
Fundralslng tradlng: cost of good8 sold and other
costs
34,502
34.502
34,502
34,502
10,613
10,613
Total expendlture
RETAINED SURPLUS FOR THE FINANCIAL PERIOD
3,952
3,952
27,845
The Income and Expenditure Account includes all galns and losses In the year and therefor8
a statement of total recognised gains and losses has not been prepared.
All of the above amounts relate to continuing activit16S.

Word Of Life Celebration Centre
Notes to the Financial Statoments
Year ended 28 February 2025
Accounting policies
statemonl of ¢ompllancg
Th8 financial statemènts have b￿n prepared ln accordance wllh th8 $8cond gdilion of the
Charftt8s Slalemenl of Recommendod Practice1s8ued In October 2019, the Flnanclal Roporting
Standar(l applicabl& In the United TrQngdom and Republic of Ir61and IFRS 1021 and the Char1ti68
Act2011.
Ba81s of preparatlon
Word Of Llf8 C816bratton Centr8 m88ts th8 d8flnltlon of a publlc b8n8flt 8niliy und8r FRS 102.
The accounts (financial statements) hav8 been prepared und8r the historical cost conventlon with
118ms recognised at cost or transaction valua unlass olharwlsa staled In tha relevant nolg(s} lo
thesa accounts.
Exemptlon from preparlng a ¢ash flow statement
The charlty opted lo early adopl Bullelln 1 publlshed on 2 February 2016 and have therefore not
Included a cash flow slalemenl In these flnandal statements.
Going concgrn
The Irusto6 considered that thsra ar8 no mat6rlal uncartalntles aboLrt the charivs ablllty to
)ntlnu8 as a golng concern.
Ineome and endowments
Voluntary Income Includlng donatlons. glft8, lega¢Ses and grants that provlde core funding or are
of a general nature Is recognlsed when the charlty has entitlement lo the Income, 51 E8 probable
that tho Incomg wlll be recalved and thg amount can be measur&d wlth suffl¢iant roliabillty.
Donations and lega¢ie8
Donations and legacies are re¢ognised on a receivable basis when receipt is probable and the
amount can be reliably measured.
Expendlture
All expenditure is recognised once there is a18g81 or ccnslructive obligation to that expenditure.
it is probable settlement is required and th8 amount can b8 measur@d reliably. All costs are
allocated lo the applicable expenditure heading that aggregate similar costs to that category.
Where c08ts cannot be directly attribut8d to particular heading8 th8y have b8en allocated on a
basis consistent with th8 use of re8ource8, with central staff costs allocated on the basi8 of time
spent, and dopreclatlon charges altocaléd on the portlcn of the asset's usa. Other support costs
are allocated based on the spread of staff costs.
Raising fund5
Thes8 are costs incurr8d in atlractlro voluntary incorna, tha manay8ment of investmants and
those Incurr￿ in trading activities that raisa funds.
Support C<￿ts
Support costs inrlude Celltr￿ fimctions and have been allo¢&t¢d to activity cost catsgories on a
basis ¢onsistenl witli the u8e of rewur¢es, foi. example, allocating property costs by floor aree8,
OT p¢r ￿pita, staff ¢osts by th¢ tirn¢ spent and other costs by their usa8¢.

Word Of Life Celebration Centre
Notes to the Flnanclal Statements (¢ontlmu•d)
Year ended 28 February 2025
Accountlng pollcla8 (continugd)
Goveman¢e Costs
These include the cosis attributable tc the charlty complian(x wllh (>)nstltutional and slalulory
reqU1￿Ments, Including audit. strategic management and Iruslee's meeting5 and reirnbuT5ed
expenses.
Taxation
The oharlty Is considered to pass the tasts sel out in paragraph 1 schedule 6 of the financ8 act
2010 and Iherafore it meets th8 deflnltion of a charltable company for UK corporallon lax
purpcses. Accordlngly, the charlly Is potenllally exempl from taxallon In respect of income or
capital gains re¢elved wlthln ¢ategorfes ¢overed by chapter 3 part 11 of the corporalion lax a¢1
2010 or sectlon 256 of the taxallon of chargeable galns act 1992, to the extenl that such Income
or gains are applled exclusively to charitsble purposes,
Cash and cash equivalents
Cash and ¢ash equivalents comprise cash on hand and call dep08its, and other short-temi
highly liquld invesbnenls that are r8adity convertible lo a known amount of cash and are subject
to an Inslgnlflcant rlsk Of change In value.
12

Word Of Life Celebration Centre
Notes to the Flnanclal Statements (conthJu8d)
Year ended 28 February 2025
Donatlons and lega¢les
Unreslricled Total Funds Unreslrlctad Total Funds
Funds
2025
Funds
2024
Donatlons
Appeals and donation8
36,578
36,578
36,983
36,983
Sponsorshlp
Interest Income
1,876
38,454
Expendlture on charllable actlvltlas by fund typo
1,876
38,454
1,475
1,475
38,458
38,458
Unrestricted Total Funds Unreslrl¢tgd Totsl Funds
Funds
2025
Funds
2024
Cost of goods sold and other costs
34,502
34,502
10,613
10,613
Staff costs
No salades or wages have been paid to employees. Including the members of the commttlee,
during the year.
Trustee remuneration and expenses
The amol￿t expellse5 waived by the lrnstee durllig th¢ year totJll¢d £Nil {2024- £Nil).
Tangiblo fixed asset8
Land and Fbciures and
bulldlng$
fittings
Computer
equlpment
Total
Cosl
At 1 March 2024
Additions
2,365
9,395
3,332
3,586
6,918
5,687
243,739
249,426
230,758
230,758
At 28 February 2025
Depreclatlon
Al 1 March 2024
Chargè for the yaar
At 28 Fobruary 2025
Carrylng amount
At 28 February 2025
At 29 February 2024
11,750
166
2,937
46
1,730
212
4,667
3,103
1,776
4,879
230,758
8,647
5,142
244,547
2,189
3,286
5,475
12.

Word Of Life Celebration Centre
Notes to the Flnanclal Statements rcont1￿￿8dJ
Year ended 28 February 2025
Debtors
2025
2024
Cash at bank and In hand
25,026
110,354
Credltors: amounts falllng duè wlthln ona yoar
2025
2024
Accruals and deferred Sn¢omg
420
251
Cr8dllor8'. amoun18 falllng du• aftsr moro than onè year
2025
2024
Bank loans and overdrafts
149,623
10. Analysls of charltabh funds
Unrestrlcled fund5
At
28 Fgbwary
2025
At
1 March 2024
Income Expenditure
General funds
115,578
38,454
(34,502>
119,530
At
29 February 2
024
At
1 March 2023
Income Expenditure
General fvnds
87,733
38,458
110,613}
115,578
12-

Word Of Life Celebration Centre
Management Information
Year ended 28 February 2025
The following pages do not form part of the financial statorngnts.
13-

Word Of Life Celebration Centre
Detailed Statement of Financial Activitles
Year ended 28 February 2025
2025
2024
In¢ome and endowments
Donations and legacies
Appeals and donallons
Inlsresl income
36,578
1,876
38,454
36,983
1,475
38,458
Total Income
38,454
38,458
Expendltura
Expenditure on Charltable actlvltle8
Rent
Rat8s and water
Insurance
Advertlslng
Nolor v@hlcle expanses
Project costs
Logal and professlonal f88S
Telephon8 and fax
Cornput8r axpanses
Rèpalrs and maintenance
Depreclallon
Sundry expenses
Interest on mortgage loan
Accountancy fees
Bank charges
3,400
325
1,718
120
3,740
12,494
777
1,201
4,037
300
1,140
96
3,948
4,667
409
4,519
428
428
212
968
120
34,5D2
10,613
Total expendlture
34,502
10,613
Incom&
3,952
27,845
14-