Registered ChArity No - 1169988
APObTOiIL
EVANGELICAL
CHURCH OF THE
TFQTJS
Trustees, Report and Accounts 31 March
2021

CONTENTS
PAGE
l£gal and Administrative Details
Trustees, Report
Independent Examiners, Report
Statement ofFiDan¢ial A¢tiviti¢s
Balance Sheet
io
Notes tothe Ac¢oiint%
li
IIPage

REFEP£NCE AND ADMINtSTILITIYE DETAIiS OF THE CHARITY. rrs TRUSTEESAND
ADVISERS FOR IIIE YEAR gNDED 31 ￿lARCH 71
Tr¥¥*
Fr•laTamarnSwYwJic£o
l Leonardo Alejandro A8uilarYarnpuezan
3. Luis Humberto PaucarRamos
Chthrity rtgijterrd P4•mbtr
116W¥¥
DAte ofcharitable rry5tration
02 Noi'enther2016
Principsl office addytyx
26 Wesico* Ro￿]
London
QIVIK KYIV
lThd¢peDdeDtuamiDer5
Paty A1cMid￿ ACN(A MSC-CIO
KKMltoGI￿e
Meth) Bank PLC
2IPage

TRUSTELS. REPORT
FOR THE YEAR EF4DED31 hlARCH 2021
The Board of Tru51ee4 aff the tru5tre5 for charity la* putp(6es. submit their annthil r¢port and the
rinancial statements of Apostolic Eian8elid Chutth Of the Name ofjesus for they&w ended 31 March 2020.
Ibe Board ofTnLslees ¢¢)nfiFms that the annLÈal ￿p)rt and financial statem¢nts orth¢ Charii}' comply i￿th
Current staiulory r¢quiremerits. the requirements of th¢ Clwity 5 goTrfflLing documenl nnd the proTrisions of the
Statemeffj of Re¢ommended Prxtice (SORP)'A¢wun1￿g and Reporting by Choriii¢s (reillsed 2005),.
Stnjctsrety governAnee m*ttagernen(
The 3 Tmt¢ey Ar¢:
Freda Tamara Samaniego
LeottaTdo Alejondro A8YtlarYampu¢L
p￿￿1¢
Th¢TrustEes plaN a primary roi¢ in en5UFi#S gwd 8oieThwnctaRd functioDing of th¢ fo￿d￿lon. Th@ Board's
rol4 fLm¢tions and r¢5ponsibilitics are quite C]￿rI) d¢fJned.
Th¢ Chatity currenti) h&8 a dedicaied teamofAd¥isory board n*mb¢ts in the UKwho have helped kn secure financia]
support and ¢onInb￿C lo the future plannin8 of the or8aniratio
Governi￿% d•tuJuent:
Apostolic Evan8elical chts￿h of th¢ Namc ofJesu5 15 aCIO regI￿¢￿ta on 2 Novernber 2016.
Recruitment Appointm¢n¢ oftswtets:
The mErnDers OI tilt Ven￿al inwe¢ Boato ar¢irw8W iw iii¢ pww6¢s oi Ill￿. Tfusitt% nwv b
appokrtied by ￿$OlUtiOn of & meeting of th¢ In￿1￿.
Muclj of the charity's work fo￿Se5 upon the proM￿lOn ofthe Chr551ian religion ond the running and
mainlenance of its p]aces of w.0￿￿1p.
The General TnLqtee Board seeks io ¢nsure thai ihe needs of thts group ar¢ appropri￿¢1>. refleaed through th¢
di%'¢T5ity of the tr￿lee body. To enhance ihe potf¥Lliai p)ol of tnts¢ees. Ihc chaEifv h&%. through seleciive
adi'ertisin8 and n¢tWOTking with i'oluntary organi72tion5 aclive in the sector. sought lo idenlifv those H,ho ivould
be wTrllin8 to become memb￿5 ofthe charit%. and theiroThTr experience to a55iSt the chan"ty.
R15k Managemtnt:
W? are wlin. nf yApTrlTfi,"
itr*nThn I1￿ ￿]￿bI ￿d..v￿-￿. ?ITcrt the
aciivities in ivhi¢h lye are involved. In tiiis contrxL risk is defmed as the po¢￿tEa] io fail to achieve d)wity
objecti3.es and for loss. financial repulatso￿1. inhertni in the ¢ni'ir(*im¢ni M&ich oper￿e in ihe
n4tur¢ of the transactioThs ￿dertakelL
Th¢ prin¢ipl¢ risk of the ¢harit)' has been its dependenceon iolunkn incorne. Trustees Iwve initiated vario
processes lo mitigate such rRsk. so that the chan.ty h&% 5ufficitht ffserve in the event of ad%erse condiiion(s>.
The trustees have also examined other operation21 and b1￿1n￿ ri5k5 tho. face and ¢ortfJrni that they have
tuken Ste￿ to mitigate the $i￿1fican¢ risk3.
31Page

II1u￿EFs. REPORT
FOR IHEYEAR Ef4DED 31 MARai 2021
Public BenEfJt:
Th¢ Trustecs have complied with the duty in Section 4 of the CbarRii¢s 21X>6 have paid due regard io
public benefit when preparin8 this ￿pOrt The boxeGi ptDi'idcd io the public is consisle4Lt with the of the
churiiy in U
Aelivities:
To guide and support Christian believers in the worship of God and support for those within the
commiinity with providing religious education alongside frllowskn'p and social lletwork for those
within the local community.
Tlit p&.
IL
The obj¢¢ts of tbe TruJ¢ art:
For the benefit of the public to ￿vance th¢ Chrislian fwth in th¢ London l)oroy8hs of iamkth. Souihivark and
Croydon in such woys as the trusiees mtsv from timtrtO•tsme think fil in awTrrdan¢e ivith the thicles of faith in
tht schedule.
The In￿leeS have had regard ￿ th¢ Chtirity Commission'$ 8uidtsn¢¢ ott publi¢ benefLI itt mAn4irtg the 4divits¢S
ofthe chwity.
The ¢ontribudon ofvduDtttrs dllrI￿ the ye*r
W¢ hnve benefiiied 8reittly from the ii'ork of our volunteer ii.ho kn provided o Nide ranBe of expenise in
aTC&S. including speoa]15t knowledge. cleaNn& dnTrinB and udminislruti¢)n.
FlnAnciql rnview:
The lar8e5t conlribution ¢0 the charity for th¢y¢or cam¢ from BenerLI offerin85. The charity be8un its
chariiable a¢tivitte$ from its incepiion.
The Charity CUTrenily aims to desiBnth th¢ tothj r￿d ff¢¢iv¢d1¢s5 ¢xpewes for th¢ main obieciive orth¢
tharity.
PIAns for future perlods:
The Chtirity plllns ￿ devel(w variow fundrnisin8 siiaie&Y to inclde nwkelin8. Besides m&ss markdin8
nd ei'eni*. lh¢ chnrity 18 wmino to nchieie its iorort8 thrnuoh securino donation8 from wlllfig individiials. A
developmertt board be created io hdp inelude othu of fvndrnising its be included in the yearly
Progra
Statsrnent of Board ofTnutees' mponsibilities
The Board of Tru5tee8 ar¢ T¢sponsibl¢ for preparing the Ann￿1 Report wid the fmanciul ststemthts in
Chthrilv law. appli￿ble lo itt tn8lartdlWales requirt5 Board ofTru61ee5 10 prepare firtanciai
statements for each financial year wthith gives a true and fair i'iew of the slate of alyairs ofthe Charil}' and ofihe
suTrIus OT deficit ofthe Charity forth￿ perio(L In pr¢win8 those financial stsi¢m¢rts th¢ Board of TnJs*es
have..
Selected suitobIe ac¢ouniillg policies tsnd appbed themcon51Stenily.
Mad¢judgm¢ntsaDd ¢slimate5 thai are rc250nablcalld P￿dc￿l.
Statedwhetherapplicableaccounting 5tandaidshavebeenfollowe<Lsubjecttoany mthterial
departures dJ"sclosed and explainedin the financial ￿ateMen1$. thnd
Preparcd the financial stalcrncntson agoing concembasis {unle5S it is inoppropnat¢ to presum¢thnt
the Charih. *ill continuein operalion).
41Page

TRUSTEES, REPORT
FOR THE YEAR ENDED 31 MARCH 2021
The Board of Tn￿te¢S ovemll ￿ponsIbIlIt). forensuTing that the Charity an appropri￿* system or
¢ontrols. financial and otherii'ise. They are also responsibl¢ for k¢EpitL¥ propor accowJlinB recoTd5 Ivhich
disc105e ii'iih reasonable accuracy at any time th¢ fIt￿nCIal posiiion ofthe Charity und enable them to ensu
that th¢ fJnan¢ial slaiements comply ivith the Chtiritie5 Act 1993. Tho, ar¢ also responsible for safeguarding
sels ofthe Charity and hence for takioll ￿tL$on￿b]e sieps forthe deiecuon and pr¢v¢ntson orrraud nnd other
irreauiarities.
The Bothtd of Truste¢$ j5 rt5POrt5ible for the rnoinlenan¢e inie8TSty of ihe COTporate and financial
staiements mtsy dirrer from le8lslution in oih¢rjurisdicliDThs.
Sialement ofdi$¢losur¢ of inforniation to independent examiner
W< ￿ ihe Trustees ofihe Charity who held oifice at the date ofapprovfj] of these finoncio] slfjl¢ments as set
out on paye 2 e4Leh confirrn, so fur ￿ iv¢ are 4ware. thul..
There is norelevnnt inforniniionofwhi¢h tho Charily's tnd¢p¢nd¢ni ¢xAmin¢rar¢ unDI%DTe: and li
huv¢ tnk'¢n alltho steps thai ￿ ouMht to have iaken as Tn￿lee9Jn order io moke ourselves awareor
ony relevon¢ informaiion and tocsiablish Ihai th¢¢hnrily's iDdcpenden¢examineris ai%'nr¢ of ihot
infnrmDIio
Ind¢pendent ExAmlner:
The Chthriiy's independeni exuminer. Pthisy Alexnnder ACMA MSC Clo Good to Give LTD, indi¢a¢ed Iheir
willingness to continu¢ in office offer ihemselves for uppoinlmenl.
This Tepon w'o¥ approved by the Truslees on and signed on th¢ir behfjif by..
D#¢e:
0£- 10- 2021
51Page

IT4DEPENDEf*T EXAhUNER'S REPORT
VUll'l'Hg YLAK ENUEDJI MAKIJI 2021
INDEPEFIDENT EXAMtNER'SREPORT TOTHE TRUSfX¢SOFAPOSTOLIC EVANGEUCAL CIIURCH OF TtIE
NAME OFJLSUS
I repDrt ort the fLrw)cial stat¢twts of the rbaTity for th¢ vear ￿delI 31 March 2021 comprise the
Sthtejwt of FRowx¢Jal Ar￿￿tieS and Balance Sheet Thith assrtiate nole5.
This report 15 madc solely to the charity's Tr￿SleeS, as 2 IMJd>, in accordance sectlOA 145 of th¢ Charities
A¢t 2011 and regulations rt4de uDder5ection 154 of ihai ACL My work has been undertaken $0 thai I mi8hi stale
to the charity's Tr￿leeS those matters l am re4uired to state lo them in an ItMlepen&nt ex2mitser's report and for
tjo other PUTP(Ee. To the fullesteytent permitted by laiv, I do nol accept or r¢sponsibility lo any¢￿¢ oth¢r
an ihe Cnanry ana Irie cnanty's I Ls tt i>oiiv. lor rni emminatson ivork.
RESPECTIVE RESPONSIBILVTJES OF TRUSTEES AND EXAMtF4ZR
Th¢ charity's Twst¢e5 are responsible lor the Preparati(￿ of the rtnanciJ] Slaternents, and the¥ consider that an
audit is not reqillTed for this Jcat under ￿tion 14412) of the Charities Ad 2011 (thr Ad) and that u
independent examination is needed
It Js my resFonsÈbility to..
Examinetheaccounts (Under Se¢tiOD 145 of theCharitie5 A¢t)"
To folloiYth¢ PTo¢edures laid down in theG¢neTo1 DI1￿#0n9 given by thecharity Commissioners
(uzjder Section 145(5)Ib) of the Charities Act)"and
IV ¥iili¥ WiI¥L[l¢fp￿1IL￿1Ur m¥iLeT5 Lolliy aLLfftlityi
BASIS of Independent Eiazninerfs report
My ¢xamintttirn knTL8 ¢tsrri¢d oul in ￿cOrdance iviih the Cmeral DiTeclions gii'en by ihe Cl)ority
Commission¢T5. An ¢xJmination in¢lud¢s a r¢vi¢w of th¢ aCco￿ting rwjrds k¢pt b). the Group/ Charity
disclosures in the accounLS and seeking explanations Irorn you ￿ trustees cone¢rnin8 an!. such matlw5. Th¢
PTocdurcs undertaL¢D do nol proi'id¢ 411 th¢ ¢iid¢DC¢ thul M'ould k ￿qUI￿d in Jn auth"L and cons¢quentlJ'
opinion LS 8Lven 18 to K.hether the accounts present a'tr￿ and fair. view and the repori is lin￿led (o those
mfjtters set oth in the ststemertt ￿10￿.
Independent Examiner's ststement
In eoTmection wilh My euminatioo no matter come to my attention:
l) %'hi¢h 8iva m¢ rAsonttbl¢¢aus¢wb¢lieve thatin any Akmieriai r¢spe¢t th¢requirements:
to keep accounting record5 in tsccordanceiiith section 130of theArt: and
to prepare financial staterncnts itrh.kch accordi%ryth theaccountin8 record5 comply uryth
di¢ b¢¢Ei 1sl¢(.VF
to whith. in my opinion. altcntion thould bedrawTr in orderto enableapToperunder5tandins
of the finnncial stAtementsio bere2ched.
Sisnedl
Dttted.. 1311012021
Patsy A]¢x
der ACMA MSC
61Page

STATETr1EP￿ OvFINANCIALA￿Iv]TIEs
FOR THE YEAR ENDED31 MARCH 21)21
Total Funds
Total Funds
Jncomkng resourtes
19371
19J71
20.260
GiAAid
4.416
4.416
458
T•¢*1 tncomillE ￿lOUr£￿&
Ll.987
20.718
Duwt ￿￿tt￿b￿ expendiLUTe
16363
l6
22.271
1.152
1.152
1,200
TDtsI Rewuren txpelded
18.115
23.471
MoYeD)¢ut into1￿ fulld forthc
yeai- Nel uJcornelleKpenditllrel
FoTlh¢ y￿[
5J72
7531
OtherGiin$lILo￿)
Futtdbakn¢¢trfOllBht fom•Td
g.T12
9,772
11525
Fond bala￿e¢￿nI￿ forward
15
IS￿44
9.772
71Page

BALANCE SHEET
AS A T 31 fvlnreh 2tTr21
2021
2020
Nole
VJXED ASSEIS
Tongible &sscls
CURRENT ASSETS
D¢btors
2,072
CdbLL bujik
A•?Y I
21,044
15,172
CREDrroRS: 8moutti$
iLkin cic)rJr
5AOO
5hrJ)
NET CURRE1￿ ASSETS
9,772
NET ASSETS
9,772
C.FIARITY FIJND8
Uftrcstriclcd fund$
15,044
9,772
R¢itricted funds
TO'fAL FUNDS
ISO44
9,77Z
Th* finoncial slatema)t$ w¢r• approved by th¢ Trustees ott and signed on th¢ir beh￿r, bj.:
DAte: 02-48-￿21
The noles on page 9- 10 fomi part of these finllrteial statem￿ts
81Page

NOTFS TO IHE FINANCIAL STATEMENT
FOR THEYEAR ENDED31 MARal 21
ACCOUNTING POLICIES
BASIS of prepArAtlon of finAneialstAtements
'Th¢ fhnun¥iw #iiil¢m¢ni¥ lJu¥¢ I￿ty￿ PTewJ¥w unuw ÉtL# tIi¥LOriUU L4>T>Yeniion. Ivith ihe
¢x¢eption ofinve5tmcnts ivhi¢h ttFC Encluded ￿ markel value. and in occordon¢¢ wilh th¢
Financilll Reporting St￿dllrd for Smaller Enlilie5 (etrective April 2(108). The fjnanciat
stalcments have been PTepated in accordthncc iviih the Siatemeni of Reci)mmeoded Practi¢¢
ISORP). 'Accounting and Reporting by Chatilies, published in March 2005 and upplictsble
attowiling stat)dords.
IJ
Gen¢rll] fund8 ar¢ unrestricted funds ivhich 4T¢ a￿01[ab]e for us¢ DI the th'scretion o( Ihc
Trlsiees in fvrth¢ran¢¢ of the 8¢nerai objectives ofthe ¢harity ond ivhi¢h ha¥¢ not been
d¢5L8n4ted for oih¢r purp05e5,
Regtrici*i lun￿ are"iunas wni¢n Jw¢ io in a¢¢orJAThc¢ with sp￿lf1¢ r¢siri¢iion$
imposed ￿. donors or w.hich htsve raised by tho charily for pllrticular PUTPOSes. The ¢o$ts
ofrni5inu And adminisiering such funds are chargcd owunsi ihe specifi¢ fund. The oim and use
of¢ach r¢stri¢led fund 4r¢ Sel out in the nol¢s to Ih¢ financi41 siaiemeniy.
IJ
Incoming reiouiYe9
All incomin8 resources arc included in the Siulernenl offinancial aclivitics whcn th¢ ¢harity
h&% entiilcmen¢ lo Lh¢ fuDds. ¢¢rtlllDty ofT¢¢QiPt w)d the amount can b¢ m&isured ivith
surricient reliability.
Donal¢d services or faciliiies, wluch compriso donoted servi¢e5, ar¢ includ¢d in income 4 t a
i'ulualion whi¢h is an e51imale of ihe finoncial cost bome by ihe dortor whern sueh a cost L$
q￿￿[Ir1ab]e ond meosurntjle. No income is Tecogni/.ed wi?ere Thcre is no firttsnciol cost bom¢
by a third porty.
Income IAX recoverubleirt reltstion lo donlllions rtteived ￿derG1ft ordeeds of¢oi'#nant
is recognized ai Ihe lirne orth¢ donplion.
IA
Re$oureu exp¢nded
Expcndilurc 15 occounted for on an 4¢¢wJis busi3 attd has been included under eYp¢Thse
¢llleyori¢¥ th￿ a88fe8ale ail costs for allo¢ation to aciivilie5. Wh¢re costs cannoi be directIy
o(tribul¢d tou¢liviiies they havebeen Llloeuled on a b&si5 consislrnt Mryth theuse of the
resources.
0515 of dis5eminalin8 information in support ofthe charilablc uctiiili¢5. Support costs r4re
Ih05e cosls incurred dI￿¢11Y ID supportoFcxpEndilureon ihe obje¢ls of th¢ ¢harity und include
proj¢¢t management C￿ed out a i Helldquartets. Governance coxis are those incurred in
conrteciion adminis1r￿tIon ofihechartty andcomplirfflcewith con51tlutional andstAIUiOry
requirements.
Grants payabl¢ are charged in ihe year when the olT¢r is made excepi in those coses ivhere the
oltcr is condilional. su¢h grants bcing ￿ed a5 cxpcnditurc whcn th¢ cotmlitions
atta¢hin8 ure fulfilled. Grants orrered subJe¢t to conditions which have not been met at the
)'ellrend Qre noted as a ¢ommttm¢nt. bu¢ not accrued &8 expendilure.
91Page

NOTES TO THE FINANCIAL STATEMENf IColltiDuod)
irp VT47Thvf* f*
VOLuNfARY JNCOME
2021
2020
Don4lions from individutls
19.571
20,2&)
GiTr Aid
Other Incorne
4.416
458
Total lrtcome
23987
20,717
3. TRUSTEES REMUNARTION AND BENEFITS
2021
2020
Tviislee$' S8lArie$
7.200
7,200
Tr11stee Expenses
There wero I'rustoe expens¢s paid for tho year ended 31 March 2021 &nd for ihe year 31 March 2020.
DEBTORS
2021
2020
Gift Yeceiyable
1072
5. CRLUI'IVKb
2Q21
2020
Accruals & Deferrcd Income
3.600
3.600
Net W8gts
1,800
1.800
TotAI
5,400
IOIPage