Registered Charity No.
1174501
Christ Apostolic Church Mount of
Rehoboth
Trustees, Report and Accounts
31 March 2021

REFEREliC.E AND ADMll%'lS'lliATIVE DFTAIIS OFITIE CHARITY, ITS TRUSTEL8AT4D
ADVISERS FOR ntE YEAR ENDED31 MARC.H 2021
Trisi*eB
Deborah Faiile IChJinn•2)
Susan Onalaja
Oluw&kemi Yuwf
Cbirity re8bteredNwmbtr
1174501
Datt of<harhablt rtEtstr•iiD
05 Sep(ember 2017
Corklli BuildiTLg
Caw]on Stre¢1
Willenhall
WV13 IQU
Setrctiry
Ms. Susan Onalaja
deptidtoiuamllle
Clo GoodtyGive
Banker8
Metyo Bank

TRUSTEES. REPORT
FOR THE YEAR ENDED 31 MARCH 1021
Th¢ Board OETR￿*t% who ar¢ th¢ ¢rustees for charity law purposc4 5ubmi¢ iheir snnual rcpon and th¢
financial slalenKnts of Christ Ap)stolic Church MountofRehoboth l ￿st forthe year ¢nd¢d 31 March
2021.-11J¢ Board of ITU#ttS Conf1rn￿ that the ann￿1 re￿rt and fill￿ClaI 8tstcmtnts of the Charity compty
with turrcnt Stat￿Ory rcquirem¢nts, th¢ requiremcnts of the Charity$ gtsv¢rning document and th¢ provisions
of the StstenKnl ot'R¢¢ommended Practicc ISORPI'Ar¢ountiDg and Retx)ning by Chariti¢s (revised 2005}'.
Slrutturtt goveTn••ce m4*Ag¢ment
Th¢ J Trusteu arn:
Deborah Fatik {ChaiTllW)
Susall Onalaja
Oluwak¢mi Yusuf
Thc Ttuslcts play a prirnary Tol¢ irt good goYernanr¢ funciionin8 of the foUnd￿lOn. Th¢
Board's mk. fun¢tions and responsibilities aT¢ quit¢ ¢karly defJnc(L
The Charity currently has u d¢di¢a*d team of Advi50ry knard ihc UK wlxk ha￿ h¢lp¢d to securc
fulancial support and luntribule kn the futttre planning of th¢or%anisalion.
Gtsv¢rnittg dotument".
Chri51 Awsiolic Church Mountof Rehoboth TtUSI 15 an inCOTwTated Charitable OT8ani5xiion fornied on 5th
S¢pitmber 2017 and r¢gisl¢i¢d as a chariiy on 5th S¢plenib¢T 2017. Th¢ ¥hwxty isgov¢med by a CJO
fouThdatiOTL r¢¥is1¢￿d dated on 5th SeptcrnbEr 2017.
Re¢TUltmtllt *nd 4ppointmtht of trustees:
The rncrrthr5 olthe ￿eral Tru￿¢¢ Roard are In]llecs for the purpotrts of ¢harity law. Nev¢ tTusle¢5 rnay b¢
ppoinie41 byTeSDlutknn (>f a meetin£ of the tru￿¢¢&
Muchof the Charitys WaTk focu5C5 upoD th¢ promotÉon of the chri￿an religion and th¢ running and
maint¢n8ncc of its place5 of worship.
Th¢ General TnLSt¢¢Board 5￿kS 10 ensllre Ihatthe needs of ibL5 group wr appropriatrly rertcctcd through
the dii'ersily of th¢ In￿1¢¢ body. To enhance the potential potsl ofÉrustce& the charity ha5, through seleclive
adv¢rfi5ing and [th0￿1ng with volunlary organi7AILolls active in the sc¢tor. Sought W ideniify those who
would be willingto bewm¢ ￿¢MberS of the charity and usc thcirown experience to assistthe charity.
Risk M4ngg¢m¢]ht:
Wc wtwnitted to a Folicyof idenlifying, monitorin8 and managingthc risks thot might adv￿gely8fft
the aciivities in wtLKh we invthlved. Jn this cont¢xt. risk is defined fjs the ￿tentIal to fail to 3chi¢v¢
charity obj¢¢tiv¢% and for los& financiaj and repUtstlon￿. Inh￿¢nIiThthc ¢nvirowrL¢nt in which wtt OFÉr4t¢ in
the n?ture of ihc transactions UTLdertaken.
The printiplc risk of the charity h&% IKen its de[￿nd¢nce otl volunlary in¢4)m¢. Tr￿shaVe initia*d wious
pro¢c￿$ io rnitigate su¢h risk, so thatthe Charity Iw s¥￿i¢l¢n[ reserve in the event of advers¢ condiiionlsl.
Th¢ trua¢¢$ a]50 examined other OlXtstiott￿l and busi￿$5 risks whÈch thcy facc and confirn) that th¢y
have tsken strps to mitigate significant risks.

TRUSTEES, REPORT
FOR THE YEAR ENDED 31 MARCH 202A
The TrU￿r¢S have complied with ttK duty in Seaion 4 of th¢ Chsrilics Act 2thJ6 and have paid due r¢gaTd to
public benefjt ii.h¢n Preparing this rrFOrt. Thc ben¢frt providedto thc public is consistent with ¢h¢ aims of thr
¢harity in UK.
Objtrtives 4Jtd #¢tlviti¢s:
To AdvaÈ)c¢ th¢ Christian Reliwon for the Publtc Benef[¢ In Accoidance the Ten¢t5 of l.'oith.
b} Advancing the chri￿1#n Religion byProviding premises wtheT¢ J)￿￿crS of The Publit ¢anLeorn
boutReligion. Any Per50n is we]¢on￿ not what Rac# or Keligion.
Fin•nti81 review:
The laTg¢st ¢ontribulion th the charity for the year ¢4me from gefrkral offerD)gs. lTh¢ charitybegan its
tharitsbl¢ a￿1>￿tICS from Sept¢mb¢r 2017.
PI•us for futllrt ptriod5".
Chariiy plans io develop varinus fund￿ls1￿g Stratr￿ to include m&s5 mgtk¢iinE. Bc￿deS mass marketing
and evcttts. th¢ rharity is aimiTh8 to achiev¢ iits (argets through Sce￿rt￿g donalioJ]5 from williog individiids. A
dcvtlopn*nt ￿ard may be cr¢ated to help irKlud¢ othet avenues of fi]ndrni5ing io be inrludcd in Ihc y¢arIy
S¢¥tem¢nt of Board af Trustees, rtJponJibilltits
The Board of Tr￿￿te5 are ￿sPonsible forprep&ring Annual Rewrt and the fi]Janci#l StatC￿￿￿ts ill
accordalljce with applic&blc Lqw aDd Untted Kingdom Gen¢rallyAccepi¢d A¢wunting Pmticc.
Charity law applicabl¢ lo charities in Engly￿(￿al¢S requ￿t* the Board 0[Tr￿le¢S to prcpare fthancial
%tslem¢nls for each fmancial ycar which EiV¢S a truc and fair view ofthe Sthle of alTairs of the Charily and of
th¢ SilTplus erdefjeii of th¢ Charity forthat ￿[lod. Irt prepAring Ihost f￿aTr¢Ial sta*ty*nts IIK Board of
Tnjsttes have".
Selecl¢d sul￿b]e a￿oU￿(l￿g policies and applied them tOllSlSlcJrtly.
m￿E.lUd8M¢nts and cstima1¢5 th8t are rewnabl¢ and prudettt.
Stsie(I wh¢ther applicable a¢wuntin¥ Standards have bc¢n follow￿. 5ubje¢tto ajjy matCTYdl d¢parthr¢s
disclos¢d and explained in the fuwjciaj sr&rnents.,
Prepared Ihc finanlial stsi¢ments agoing conccrn ￿15 {ullI¢￿ it is inappropriate to prcsum¢ tlhat the
Charity will ¢ontinuv in OP¢Faliotkl.
Thc ljourd of Trustees has overall rL%ponsibiltly for ensuring that thc Charity has an appropriate system ef
¢onlrol% financi￿ oth¢n¥ise. 17ware also resplinsible for keeping propEr actounting records which
di￿10$¢ ￿1th r¢a8onabl¥ ac¢uracy at anytime the financiaI wsitton of thc Lharityand enable them TO en5urc
the financial statcm¢nls ttsTnply thc Charities Act 1993. They are also responsible for5afeEuarding
th¢ assets of the Chartty arld hence for Takitig T¢￿>1babIe 51eps for the detection and prevention of fraud and
oth¢r intgulariti¢s.

TRUSTEES, REPORT
FOR THE YEAR ENDED 31 MARCH2021
The Board of Tru5t¢¢s is responsible for the maint¢tw)ce and integrity of the cwprate and financial
inform2tltsn_ t£8islation in the Uni*d Kingdom governing preparaiy)n and diss¢minauon orrtrwJ¢ial
staicmtnis may ditfer from legislation in other jurisdiblions.
Statrment of dis¢]osur¢ of information to independent examincr
We. as the Trusteesof the Ch2ritiTMlJo held office atthc datr of approval of th¢èt fina￿1#1 sth*ments as set
outon page 2 each rotLfiwn4 sv fat as we are awxr¢, thai..
There is no relcvant inforn)ation of w'hich the Chgritys ind¢pend¢nt exami￿r are unowar¢
We have tsken all thc slcps that ought lo have taken a8Trusfees ift order Qo make ourxlv¢% aware of
any relevant information and lo establish thu¢ thc clJaTitys ind¢p¢n(kTrt emniner ar¢ iwar¢ of that
informalion.
l*dependent Ex8mintr:
The Chtiritys in(k￿ndCnt cxamincr. Reina Singh Clo Good to Give LTD. hos indica*d th¢iT willingn¢ss
coniiLue in office and ofler thcrns¢lv¥s for ¥ppoinlm¥nL
"Ihi5 report w&4 approved by thc TnT*s on signrdon th¢iT bchajf by."
Ms. Susattonajaja
211￿1.2D2.1
DAte:

INDEPENDENT EXAMILYER'SREPORT
FOR THE YEAR ENDED 3] MARCH 2021
INDEPKNDEhT EMMINER'SREPORTToniL TRVSTEESOFCIIRisfAPOSTOLICCMVRCHMouNrop
REFIOBQTH
onthe fu￿￿¢141 $¢alem¥Ms of the ea41ity roriheye•r￿1df4 31 March 2021 Mthieh Stsitmmt of
Financi&l A¢Eivilir5 aRd Bal#nc¢ she￿ wilh a55ociale nok&.
This sol¢li l# th¢ ¢hartty'> Trust¢e% 45 a b(dy, IRatt¢rdanL'ewith stttiyn 145 of the Chiritie5 Aci 2011
and irgulaiiojks [r￿de￿d¢[s¢¢tItirn 154 of thalAct. My wwk hzs been uTrJctthk¢n so thai I nughtsthte io tFLt
Trnstees thos¢￿tte[S Iom rtquired to sthte 10 Ihpm in anIndep¢n&nlexAmtneEs report4nd for nothher purpos¢. To Lhe
fullest ¢xteDi p¢r]nit¢¢d by law. I do not¥¢tcpl ora$swnerewsiTr>ilityto aDyODE olherthan thcckariiy atsd the ch8lltys
T￿￿ as a body. for my examitiaiKbn work.
RBSPEcrivp. ItE5PONSIBILlTW Ob TIIIISTEESAND EXAMINER
Tk choritys Trustc¢$ are ttswNsible for theprtparniion of thE finallc1￿ stalrrncnls. and they ¢oTr5id¢rihal an audit Isnol
rtyknirrd forthi%￿rund¢T5eQIiofft 144121 of Ibe ChaT11￿5 Aci 201J (th¢ Aetl•Dd Ihot an Indepcndenl exa[￿￿?110￿ 1$
It 15 my responsibdity ¢0".
Exan>irJc th¢•¢tOUDts lthbJ¢r S#tion 145 ofihe ChaTilies A¢ii.
To lollowthe procedures laid down thc 6¢n￿lI l)ircttions siven by the ch￿ltycomM1sS1OMeT%(UThder Stdion
14515Abl of ihe Charjlitx Act). Dnd
To stste NthethrrpartjCulaTmat¢¢n havetomElomy attention.
B** of Ind¢pende￿I report
ly¢x*minalith wa5 carried a¢cord4nre with the G￿t￿l Dir¢￿1(￿5 givtD by the ChaIity commiss1D￿r&. Ao
¢xominaiityn inellld¢s a revt¢w'of thtaccountins reeords k¢pt the GrouplCh&rity and 4 ¢omparison ofthe ae¢ounts
pres¢Thted With thoJ¢ r¢wTds Il also include5 consi4¢ratiom of Rny items or disclosuies in ihe Aetounts and s¢ekin8
¢xplan*iions fromyouAg tt￿te¢s conccrningany sll¢h rnatters. The pro¢¢dures Und¢rtak¢n do DL71provide4llib¢evideth¢¢
th4fm￿Ul￿ IYTcquir¢d in an and ¢owu¢ntyMopinI￿ is glvenas 10 wheth¢rth¢ae¢ourtts s¥tsento'inKaTrd
fair, view*￿ IhE Teportts lunited kn Ihosc m3ttu8 $¢1 jQ the 5ts1en*nt below.
BAitsof lttdtptudrutEximiMr'$ report
In connection with my examinalion. no matter has ci)me to my att¢thion'.
11 which gtve5 Jr* ￿aSOnable ¢au5e ￿ b¢liev¢ th&tin any nJ3Trr•l r¢spect th¢ tquir¢ments.'
ts> keep accouniins records in ac¢ordEnee wilh section 130 tsf th¢Ac¢,'
10 ptep*r¢ fmanciilsratcmvnts whi¢k aLcud wllh the a¢¢ow1¢￿E records and comply with IPK QCc&wJl￿
requircmerjts ofih¢A¢lhave nol be¢n Ttrt or
21 to Whic￿ th rnyopits￿n, Attemion should be iTr4Ydertowble& prop¢r uTrJ¢iSia￿djDg of the
staten￿ts LO be ieachel.
Dated. 2510112022

STATEMENT OF FINANCIAL ACTIVITIES
IlntorpoT#ting intome expthdlturt attount)
FOR THE YEAR ENDED 31 MARCH 2021
IIAMirtetfd
Réstrltied
Totsi F•nd$
T•t*l Vufjd$
2021
20Zi
2021
202
offL¥inv
42.1)S
4L195
44J97
23J
63JJ
14JllJ
•t*l
48A21
48,428
S8￿0?
ire(t<b￿1thlcgXpelldilUrt
{39,5331
9533)
{54Q3Q)
ontecos
11,0801
tsl R•ollrweip￿d￿￿
142,6611
142,6631
OVe￿￿￿ill to￿1 fortbvyEtr-
K1￿<1(¢XpcnditU[r}F￿ thc
5.7611
5,760
3)
tonvard
SJ86
S316
ufid ￿l￿r￿V￿rriedforwlrd

BALANCE SHEET
AS AT31 MARCH 2021
Notss
2021
2020
IXTrmA&SETS
Tollgible assets
6.856
3.500
CIJRRENT ASSEIS
D¢bioTS
Casbgl bknk*Dd in
4.033
5,370
1,886
1.886
CREDITOILS: fillkn8 die
wIthiD Olt ye4r
11,080)
CtWllNT A&8E75
4,290
1.186
NET ASSETS
5.386
CHARITY FLWr ns
Unre#ri¢ted fitnd$
Rcstri¢*d fund$
5J86
TOTAL FtMIs
5J86
The fmaneiaj ststenknts w¢re appn)v¢d by t￿ Tru5tecs on and signed on their behalf, by..
M . Susan Onalaja
ai.l.w.J.10.2
Date:
Th¢ rM)ies oll pg8¢s 9 to 10 fo￿ part of these financial statcment5

NOTES TO THE FINANC.IAL STATEMET(r
FOR THE YEAR ENDED 31 MARCH 21J21
I ACCOIINnNC POLICIFS
B*$ts of prep*Ntion •ffih*ntiAI
The r)n￿¢14] s14k￿nIS hav¢ b¢¢n pr¢p8r¢d und¢r th¢ h￿torical CO￿ coni'¢IiiioD, Mryth the ¢x¢eplion of
iDV¢Stm¢nts which are included at mathi valu¢. ¥nd in K¢ordan¢¢ with th¢ Financial Reporting Slandwd
for Smaller Efttiii¢s {¢ff¢¢tiv¢ April 20081. Th¢ fLnan¢ial statements havc bcen prepajrd in accordancc with
Ihe Sts*meni of Recommended Pr8rfi¢* ISORPI,'Accounting and Reporting by Charitiel published in
MaKh 2005 And applscable a¢¢&uniing stsndaTd&
12
General funds are unrestricted tiLnds which are availLble for use al the discretion of the Truslees in
tuTthtr8nct ofih¢ B¢n¢ral obj¢¢liv¢s of lh¢ eharity and whi¢h h¥v¢ noi b¢¢n d¢$i8n*kif ltiroih¢r p￿ry￿s¢S.
R¢slri£*d fwids ?T¢ funds ¥lJith gr¢ to b¢ u5¢d tn a￿oI￿an¢¢ Thitb S￿lf￿ T¢Stri¢tion5 impoy¢d b). donors
orwhich have k¢D rai5¢d ty ihe charity for parti¢ular purposes. Ib¢ ci)5t5 ofraising and admini5teriDg
suth are Charged again51 lh¢ s￿¢111¢ Th¢ aim and use of ¢a¢h restriaed fund is ¥¢t oul in the
oteqto th¢ financial sthietttnts.
IJ
Ine•miDg rtsourcts
All inwmiE)g TYSOUr￿ are included Itt the St*temeni of r]￿￿¢11[ aCti￿lIeS ￿llen the ¢harity h9s entitlem¢ni
To ihe fvnds. ¢ertaitity ofreceipl and the amouoi can be meawred with sufficient ￿liabIlity.
Donat¢d s¢Th'i¢¢5 Qr th¥lits¢& WJllPTi5¢ dorkgt¥d ￿1VIC¢4 indud¢d in a valu￿19￿ whi¢h
is an estill￿te of the fJnanci3J CO￿ borne by the donor where such a cost i5 quAfLtif￿b1e And measurnble. No
Incon￿ 1% re￿8niSed wheT¢ th¢r¢ is no finAncig1 cosl knme by a thi￿ party.
In¢om¢ ￿ rt¢OV¢Tabk ir) relation to donationsre¢¢ived u￿derc71￿ Aid OT d¢ed5 ofcovenant is t¢co8nised
ai th¢ time of the doJJaiioJJ.
Resource5 expended
ExpcndiluTC is &tcountcd foron an accrua15 ba515 and h85 bccn i￿cludcd undcr exr￿n5¢ calcgorics that
Awegate cos1$ for allocalioD to adivities. Wiere costs ca￿10t b¢ ditertly &ttTibul¢d to partiwl3r
a¢ijviiie& they have been allotatsd OL o b&%is ¢omsi4ent the use of the re￿u￿es.
Fundraising ¢osts arc th05c in¢urr¢d in *cking voluntary ron1rib￿lOns and do nor include thc costs of
dis8¢minaiing infonllauoll ill supwn of ihe Ch￿1¢&b]e aciivilies. Supwrt costs gJ¢ tTrJose costs in¢unEd
dittdly itt 5uprK)n ofexpettdilUf¢ 41n the obje¢is of The ¢haiity and i￿¢1￿￿¢ projeci m¥na¥em¢ni L¥rri¢d out
al Headqu8yl¢rs. Gov¢rnan¢¢ ¢osts aT¢ thox in¢urr¢d in wt)n¢¢tioD with ￿minIs￿*110￿ of Iht ¢harity and
¢omplia))cc constiThtionoJ and srthiory ￿qUir¢T￿L¢S.
GrBTht5 payabl¢ arr charged in the yew Ththen the off¢r 13 mad¢ exc¢pt in those ¢a5¢$ th¢ offer 15
¢onditiot)al. S￿Ch gratttg ￿lti8 Tecognlsed 0$ exrthditllre when tkn conditiotis attaching Hre fulfilled. Gronts
otlered subject lo condiliolls which have noi bee￿ met at the yeaTend aTe T￿ted as a GOn￿J1rrJenl but nol
ac(n￿d SL4 expendilure.

NOTES TO THE FINANCIAL STATE.MENT
FOR THE YEAR Ef4DED 31 MARCH 2021
Tangible Fixed Assets
Depree2ation is provided atihe ftrlloMryn8 annual rates in orderty writ¢ otytach a55¢t over ils estimated
uscfijl life.
Jjuilding
Motor V¢hi¢le
Computerequipmeni
?OO/•un reduciTh¥ b￿all¢¢
On r¢du¢inE balanc¢
R¢lattd Pgrty TTaRafitlions
There wtre no paym¢ntsfO t￿￿te¢S ofcow*th¢d duringthe ycar nor in pr¢viou5 y¢ars.
2 VOLIINTARY INCOME
2021
21J20
Dongtions from ijmiividuals
42,195
44,297
Gift Aid
6,233
14.jl
lotsl 1rKome
48,428
58.807
3 GOVERTr4ANCE COSTS
2021
21120
Govcmanct
3.135
1,080
2 1'AVGIBLE FLXED AS8FTS
Plaht gDd
*¢hlttery
C05t
Al l April 2020
Additions
Al 31 March 2021
4375
5.07
9.445
tkpreci*tiv
At l April 2020
Char8¢ for the year
Ai 31 March 2021
875
2,589
Tiet bDokvAItst
At 31 MaTch 2021
At 31 2020
3.500

NOTES TO THE FINANCIAL STATLMENt
FOR TIIF VFAH FNI)bl) JI MARCII 2021
3 DEBTORS
2021
2020
Other dcbtors
.337
4 C.RF.DITORS: AMOIJNfs FALLING DUE WII'HIN ONE YEAR
2021
2020
Arcrual% deferred incon
1.080
10