Registered number: 1170713
Christ Empowerment Centre Ministries
Report and Accounts
31 December 2024

Christ Empowerment Centre Mlnlstries
Contents
Pago
Independent examiner's report on the accounts
Business information
Approval statement
Accountants, report
Profit and loss account
Balance sheet
Notes to the accounts

Christ Empowerment Contre Ministries
Buslness Infomiation
Trustee
Dr Eric Owusu Boahen
Accountants
Reka Accountancy Services Limited
Unit 51
26-28 Queensway
Enfield Enterprise Center
Enfield
Mdx
EN3 4SA
Bankers
Lloyds Bank
Sollcitor8
Bu8lno88 addrn88
20 Chester Road
Lower Edmonton
London
N9 8JG
Regl8tarad Number
1170713

Christ Empowerment Centre Ministries
Registered number: 1170713
Trustees report
Approval statement
The trustees present their report and accounts for the period ended 31 December 2024
Principal activities
The charitys principal activity during the year continued to be promotion of the Christian faith
and religious activilies
Trustees
The following persons served as Trustees during the Period,.
Dr Eric Owusu 8oahen
Mrs Eunice Boahen
Ms Carine Thompson
Ms Dina Prempeh
Mr Samuel Osei Yaw
The Charities (Accounts and Reports) Regulation8 2008
This report has been prepared In accordance with the The Charities Regulations 2008.
l approve the accounts which comprise of the Profit and Loss Account, the Balance Sheet and the
related notes. l acknowledge my responsibility for the accounts, including the appropriateness of the
applicable financial reporting framework as set out in nole 1, and for providing Reka Accountancy
Services Limited with all information and explanations necessary for their compilation.
This report was approved by the board on 28 September 2025 and signed on its behalf.
Dr Eric Owusu Boahen
Trustee
28 September 2025

Chrlst Empowerment Contre Ministr108
Accountants. report on the unaudlted accounts
to Chrlst Ernpowerment Centre Ministries
You consider that the charity Is exempt from an audit for the period ended 31 December 2024. You
have acknowledge, on the balance sheet, your responsibilities for complying with the requirements
of the Charitie5 Regulation 2008 with respect to accounting record5 and the preparation of accounts.
These responsibilities include preparing accounts that give a true and fair view of the state of afairs
of the company at the end of the financial period and of its profit or1055 for the financial period.
In accordance wlth your Instructlons, we have compiled these unaudited account5 which comprise.
the Profit and Loss Account, the Balance Sheet and the related notes from the 8ccountin9
recor(Is of the thadty and on the basis of information and explanations 8upplled to us.
Reka Accxjuntancy SeNices
Accountant
Imiled
Unit 51
26-28 Queensw8y
Enfield Enterprise Centre
28 September 2025

Christ Empowerment Centre Ministries
Profit and Loss Account
for the year ended 31 December 2024
Notes
2024
2023
TITHES AND OFFERINGS
45,243
44,042
Total Tlthes and Offerlngs
45,243
44,042
Other business income
EXPENSES
Guest speaker, retreat, conferences, events
IPHC fithes & Donations
Car. van , Insurance and travel expenses
Rent, rates, power and insurance costs
Repairs and renewals of property and equipment
Telephone, fax, stationery and other office costs
Software , data protection
Pastor's appreciation and allowance
Depreciation and loss/{profitl on sale
Sundries
Community Welfare Support
Accountancy fees
TOTAL EXPENSES
7,567
7.240
164
8,100
520
650
500
2,500
4,480
340
4,069
400
36,530
8,355
6,740
27
6,934
450
400
500
1,950
3,299
250
4,200
400
33,505
(Loss)/proflt for the perlod
8,713
10,537

Christ Empowerment Centre Ministries
Balance Sheet
for the year ended 31 December 2024
Notes
2024
2023
Non-current Assets
Equipment, machlnery and motor vehicles
12,466
12,466
16,946
16,946
Current assets
Cash at Lloyds Bank Account l - Current
Cash at Lloyds Bank Account 2 - Project
84,426
4,233
81,401
5,148
Total Assets
101,125
103,496
Capital account
Balance at start of period
Net {loss)/profits
General reserve
11,585
8,713
80,827
11,585
10,537
81,374
Trustees's funds
101,125
103,496
The trustees are satisfied that the charity is entitled to exemptlon from the requlrement to obtaln
an audit The Charities Regulation 2008.
The member has not required the company to obtain an audit in accordance with section 476 of
the Act.
The trustees acknowled8es thelr respon5ibilitles for complying with the requirements of the
Charity Regulation 2008 with respect to accounting records and the preparation of accounts.
The accounts have been prepared in accordance with the provi5ion5 of charities regulations 2008
Dr Eric Owusu Boahen
Trustee
Approved by the board on 28109/2025

Chrlst Empowernient Centr• Ministries
Notes to the Accounts
for th• y•ar énded 31 December 2024
1 Accountlng basls
The accounts have bean compiléd on a basis that enables profits to be calculated in accordance
with UK Generally Accepted Accounting Practice and that provides sufficient and relevant
infomation to enable th8 completion of a tax retum.
2 Profft and loss account analy818
2024
2023
Salo8
Tithe5 and Offerin8S
45,243
36,235
Guast 8p•aker, Rétr•at8 and Conferenc08
Guest Speaker, Retreats, Conferences, Ministry Events
IPHC Tithes and Donations
7.567
7,240
8,355
6,740
14,807
15,095
Car, van and travol oxpon8e8
Motor expenses, fuel
27
R•nt, rat•8p powor and Insurance costs
Rent and Rates
Cleaning
Business Rates
8,100
6,934
8,100
6,934
R•palr• and renewals of propérty and •qulpm•nt
Repalrs and malntenance
520
450
Telephone, fax, •tatlon•ry and other offlc• co8t8
Telephone broadband and fax
Postage
Statlonery and prlnting
Software and data protection
650
400
400
500
500
500
1,650
900
2,200
Welfaro Support
Community walfare support
4,069
4.200
Accountancy, legal and olher professlonal fees
Accountants fees
Pastor's appreciation & allowan
400
2.500
2,900
400
1.950
2,350
Depreclation and lossl{profit) on salo
Depreciation
4,480
2.154
Other buslness oxpen8OS
Sundry expenses
340
250

Chrlst Empowerment Centre Mlnlstri•s
Notes to the Accounts
for the pariod from 1 January 2023 to 31 December 2024
1 Accounting policies
Ba818 of preparation
The accounts have be8n prepared under the historical cost convention and in accordance with the Financial
Tlth•8 and Offering8
rithes and Offerings are voluntary contrbutions from members and sponsors of the charitv.
Dèpraclatlon
Oepreciation ha8 be8n provided at the following rat88 in order to write off th8 assets over their 88timated u8efiJl
Plant and machinery
Motor vehlc188
20% straight line
25V¢ stralght Ilne

Christ Empowerment Centre Ministries
Notes to the Accounts
for the year ended 31 December 2024
3 Plant. machlnery and motor vehlcl•s
Plant and Plant and
machlnory machinery
2024
2023
Cost
At 31 Dec 2023
22.399
22.399
18.649
22.399
At 31 Dec 2024
Depreclatlon
At 31 Dec 2023
Charge for the year
At 31 Dec 2024
5,453
4,480
9,933
2,154
3,299
5,453
Net l)ook value
At 31 Dec 2023
Additional Equipment
12,466
13,196
3,750
At 31 Dec 2024
12,466
16,946
10

CHARITY COMMISSION
FOR ENGLAND AND WALES
Independent examinerfs
report on the accounts
Seclion A
Indepcndenl Exami￿r,3 Report
R•port to tho truste•sl
mombers of CHRIST EMPOWERMENT CENTRfr. MINISTRIES
1310ECEMBER 2024
Charity
no (if
any} I
1170713
On aeeounts for tho y6•r
onded
Set out on Paw 1.11
I report lo Ihe Irusiees on my Qxaminaiion ol the 8c¢ounls ol Ihe above
chafily ('Iho Trusl'l lor the year onded
Ro#ponslbllltl•s gnd As thè charity Irusltes of the Trust. you 818 responsible lor the preparalioTh
basls of r•port ol th8 accounts In a¢¢ordance wslh th¢ requirements of lh¢ Charilies AGI
20111.the Acl'l.
I report in fesp8cI ol my ex8minalion of the Trust's accounts cprried oul
under seclion 145 ol the 2011 A¢1 and in coryin9 Out my exarninalion. I
have lolloweé the applicable Oireclions given by Iho Charity Commission
vndgr sèelion 14515Xb) of Ihe Aet,
I have completed my examinalion. I confirm Ihal no material mallers hav6
come lo my gll¢nlion {olher than that diseJDsed bglow ') In connection wilh
Ihe examinatlon which gives me cause 10 believe Ihal in. any rnalerial
respocl.
accounting iecords were nol kept in accordanc* wilh seclion 130 01
the Act or
the accounts do nol accord wllh Ihe accounling record$
Independgnt
•xamlnor's statement
I have no concerns 8nd h8ve come a¢ross no olhef rnallets in connection
wilh tho examinaiion lo which 311onlion should bo drawn in or¢Jgf lo enable a
proper und8rslandiTrO ol the accounts lo be reached.
Pl&ase L181cl¢ lh8 W￿d$ In the èrackels illhey tyo fjol apply,
Dat•.' | 1411012025
Slgn•d:
Narno: RICHARD OTOO
Relavant prolesslonal FAIA
quallficationlil or body
(If any):
Address:129 RIDGEWAY DRIVE
BROMLEY
BR1 SDG
IER
Oelober 2018

Seclioii B
05%clo%iirL'
Only rA)mp181e if the examiTr8r n8e(Js to h￿jhI19hI mattars ol concern (sea CC32,
Ind•pendgnl éxaminauon of thanty accaunls,, dlrecLw$ and guida1￿ for
oxam&n8rs).
Gl¥• h•r• lyl•f detall• of
•ny It•ffls that th•
•xamlnw wl•h6s to
dl•clo8e.
IER
O¢t¢)b•r 2018