FINANCIAL STATEMENTS
Prepared for
CHR18T DIVINE LIGHT MINISTRIES
CHARITY NUMBER: 1173863
FOR PERIOD
1ST MAY 2024 TO 30TH APRIL 2026

CHRIST DIVINE LIGHT MINISTRIES
CHURCH INFORMATION
Trustses
Ms Cynthia OWUBU
Rev. Joseph A8UO
Celestine Afia Serwa8 Bray
Registergd Office
49 Windsor Slreet
Wolverton
Milton Keynes
MK12 SAN
Examiners
Trackrecords Managèment SeNices Limited
Unit 7 Cochran Close
Crownhll
Milton Keynes
MK8 OAJ

CHRIST DIVINE LIGHT MINISTRIES
FOR THE YEAR ENDED 30th APRIL 2025
REPORTS
The Tru8tees pr68ent8 their report and f inancial statements for the year ended
30th April 2025
STRUCTURE, GOVERNANCE AND MANAGEMENT
The Charity governing document is a CIO - Foundation ConstitLrtion registered 19th July
2017. The Charity is governed by a board on whiGh the trustees are represenled. It
meats regulary to review, plan activiti88 and monitor the financial p08ition.
OBJECTIVES AND ACTIVITIES
The objects pf the organisatlon are flr8t to advance the Chrlstlan faith In accordance wlth
the statement of beliefs for th6 benefit in the Unitèd Kingdom and in such other parts of the
world as Ihe trustees may think fit from time to time. Tha tru8t888 confirrn Ihat they have
had due regard to the guidance Issued by the Charity Commission on public benefit before
deciding what activities the charity should undertake.
ACHIEVEMENTS AND PERFORMANCE
The Organisation had succ8S8ful meetings through the year in which Indlvldua18 were
equipped and educated on Ihe principles and doctrines of the Christian faith. The
organisation held outreach rneetings during the year in which individua18 had the
opportunity to hear the message of the Christian faith. This has produced good results
in reaching and helping members of the community.
FINANCIAL REVIEW OF CHARITY
The Charity's results for the year and its financial position at the end of the year are
fully disclosed in the attached financial Statements. The totsl income for the year
amounted to £5,482.70
We are very grateful to all church members who have generously given financially
and all help offered in the last year8 to keep the church going.
Tangible flxed assets for use by the charlty
Ther8 is no movernents in the fixed assets

CHRIST DIVINE LIGHT MINISTRIES
FOR THE YEAR ENDED 30th APRIL 2025
Commltt•• of Mémb•r8' r88pon8lbllltiag
The charity law requires the committee of members to prepare financial statements for
8ach financial year, which give a true view of the financial activiti88 of the charity and of its
financial position at the end of that period. In preparing those financial statements, the
committee of mambers is required,.
a) SelerA suitable accounting policies and apply them consistenlly.,
b) Make judgements and estimates that are reasonable and prudent.
c) State whether the policies adopted are in accordance with applicable accounting
standards and statements of recomrnended accounting practices, subjeGt to any
m8teri81 departure8 disclosed and explained in the financial statements;
d) Prepare financial statements on a going concern basis unless it is inappropriate to
assum8 that the Gharity will continue in operalion.
The commltta8 of members 18 responsible for keeping proper accounting record8, which
discloses with rea80nable accuracy at any time, the financial position of the charity and to
enable them to ensure that Ihe financial statements comply with Charities Act. They are
also responsible for safeguarding the assets of the charity and hence for taking
reasonable steps for the prevention and detection of fraud and other irr8gularitie8.
EXAMINERS
A resolution to appoint Messer Trackrecords Management Services Lirnited as examiner8
for the ensuring year has been proposed and agreed at the annual general meeting in
acroordance with the Charitie8 Act.
Approval
The report was approved by the commiltae of members on the 1 st July 2025 and
8igned on its behalf
Rev Jo8oph Asuo

CHRIST DIVINE LIGHT MINISTRIES
FOR THE YEAR ENDED 30TH APRIL 2025
Examlnors Report
We have examined the financial statements in this report, which have been p￿pa￿d
following thè accounting policies, set out in the report.
Respective r88pon8ibilitie8 of tru8tee8 and examiner8
AS described in report, the trustees of Christ Divine Ministries are responsible for the
preparation of financial statemenls. It is our responsibilities to form an independenl
opinion, based on our 8xamination, on the statements and to report our
opinion to you.
Basls of opinion
We conducted our examination in accordance with standards charity accounting and
independent examination. The examination is on test basis, of the evidence relevant to the
amount of disclosures in the financial statements.
It includes an assessmenl of the slgnlflcant estimates and judgements made by the
committee of the members in preparation of the financial statements and whether the
accounting policies are appropriate to the charity's circumstance, consistently applied and
adequalely disclosed.
We planned and performed exarnination of the documents to obtain all the information and
explanations which we considered necessary in order to provide us wilh sufficient
evidence to give reasonable assurance that the financial ststements are free form
material misslatement8, whether caused by fraud cr other irregularities or error. In
forming our opinion, we also evaluated the overall adequacy of the presentation of the
information in the stat8ments.
Opinlon
In our opinion the financial statements give a fair view of the state of the charities affairs at
30th April 2025 and of its surplus for the period ended and have properly prepared In
accordance with regulations of Gharities Act.
Dat?:
1st July 2025
TRACKRECORDS MANAGEMENT SERVICES LIMITED
UNIT 7 COCHRAN CLOSE
CROWNHILL
MILTON KEYNES
MK8 OAJ

CHRIST DIVINE LIGHT MINISTRIES
FOR PERIOD 1st May 2024 to 30th Aprll 2025
Income & Expendlture
2025
2024
Unrnstrict8d Funds Unrnstrletad Fund8
INCOME
Total Donations
5,482.70
5.230.65
Total Income
5,482.70
5,230.65
EXPENDITURE
Bank Charges
Church Rent
Church Supplies
Charitablè Donations
General Expenses
Gift
Pastors Donation
Postage
Refreshments
Telephone Expen8e8
Travel Expen8e8
Depreciation
0.00
1,298.00
450.45
1,620.00
o.oo
0.00
0.00
o.oo
296.33
227.75
1,351.99
0.00
5,244.52
238. 18
0.74
1,188.00
487.59
645.00
94.44
50.80
440.00
16.00
573.80
650.09
897,96
0.00
5,044.42
186.23
NET PROFIT
NTIN
NG OPERATI
Nane of the Churches activities were acquired or discontinued during the above financial
period
NTOFT
TAL RECOGNI
AINS AND L
SSES
There were no recognised gains or Icsses in the above financial p8riod other than the results
for the period and, accordingly no statement of total recognised gains and losses has been
pr8pared.
l approve the above accounls and confirm that I have made available all necessary
information for their preparation
ev Joseph Asuo
CHRIST DIVINE LIGHT MINISTRIES
FOR PERIOD 1st May 2024 to 30th Aprll 2025

ACCOUNTANTS REPORT
W8 have prepared the 8bove 8ccounts without C8rying out 8n audit and from infonnation
from Christ Divine Light Ministries books and records and explanations suppplied to us.
Tra¢krecords Managernent Services Limite
Unit 7 Cochran Close
Crownhill
Milton Keynes
MK8 OAJ

CHRIST DIVINE LIGHT MINISTRIES
BALANCE SHEET
AS AT 30th Aprll 2025
202
2024
Notes
FIXED ASSETS
Tangible assets
CURRENT ASSETS
Debtors
Current Account
1,157
1,157
919
919
CREDITORS
Amounts falling due
Net Current A88et81 (LiabilÈti88)
Total Assets Less Current Liabilities
1,157
1,157
919
919
NET ASSETS I (LIABILITIES)
1,157
919
CAPITAL & RESERVES
Profit and loss account
Profit and loss rèsarve
238
919
1,157
186
733
919
In approving these financial statements as the Trustee of the Charity, I hereby confirm that
these accounts have been prepared in accordance with the provisions applicable to the
Charities AGt
rustee
uo
Rev Josoph
The financial statements were approved by the board of Trustees
. 2025

CHRIST DIVINE LIGHT MINISTRIES
BALANCE SHEET
AS AT 30th Aprfl 2025
NOTES TO THE FINANCIAL STATEMENTS
1. ACCOUNTING POLICIES
a) Basis of accounting
The financial statements have been prepared under the historical cost convention.
b) Income
Income represents various financial donations received to fund the operations of the
church
c) Depreciation
Depreciation is provided on tangible a8set8 at rates calculated to write off the cost of each
asset over its expected useful life.
The rates u8ed on a reduclng balance are as follows..
Equlpment, Fixture8 & Fittings
250h straight line
2. INCOME
The income and proflt for the year is all attributed to the company's principal activity and
all services have been provided to the United Kingdom market and some donations have
been made to Ghana as aid.
PENSIONS
The Church does not operate a pension scheme.
3. OPERATING PROFIT
The operatlng profit 18 8tated after charging,.
2025
Depreciation of tangible fixed assets
Pastors remuneration included
Pastors pension contribulions
4. TAX ON ORDINARY ACTIVITIES
This represents corporation tax
0% based on profit for the year on ordinary activities

CHRIST DIVINE LIGHT MINISTRIES
BALANCE SHEET
AS AT 30th Aprll 2025
NOTES TO THE FINANCIAL STATEMENTS
5. TANGIBLE FIXED ASSETS
Cost
30th April 2025 Additions
At 301h April 2025
Dèprèclation
Charge for the year
At 30th April 2025
Net Book Value @ 30th Aprll 2026
6. Debtors
Debtors
Current Account
Cash Funds
Bank Reconciled
1,126.45
31.00
1,157.45
7. CREDITORS-Amounts falling due less than 1 y•ar
Bank Loan >1 year
Church Members Loan > 1 year

CHRIST DIVINE LIGHT MINISTRIES
FOR PERIOD ENDING 30th April 2025
Detailed Income & Expenditure
Unrestrlcted Funds
INCOME
Offering
Tithes
Total Income
4,372.70
1,110.00
5.482.70
EXPENDITURE
Bank Charges
Books
Church Rent
Church Supplies
Charitable Donations
General Expense8
Gift
Pastors Donation
Postage
Refreshments
Telephone Expenses
Travel Expenses
Depreciation
0,00
3.75
1,298,00
450,45
1,620,00
0.00
0.00
0.00
0,00
296.33
227,75
1,351.99
0.00
5,248.27
NET PROFIT FOR YEAR
234.43

DepreGiation
Date
BffiNd
cha
02
0.00
0.00
V-20
0.00
0.00
Instruments
Total
0.00
0.00
0.00
0.00