Registered Number: 09409073
Charity Number.
1175437
The Trinity House Ministries
(A Company Limited by Gugrantee)
Financial Statements
For Year Ended 31 January 2025.

The Trinity House Ministrie
Company Inforniation
The Trinity House Ministries is registered as a Company Limited by Guarantee with Companies
House Number 09409073. In the event of the Company being wound up each member may be asked
to contribut¢ a maximum of £1.
Directors..
Samson OkiamA Omole
Edward Esosa Iduoze
Independent Examinets:
Righttime Associates Limitoj
Chartered A¢￿untan￿ Advisers
Project Management Conwltants
86-90 Paul StreeL LA)ndo
EC2A 4NE.
B8nkers.'
Lloyds Bank
Dartford Branch
P.O.Box IOIX)
Andover.
BXI ILT.
Registered Office:
10 Kennet Road
Crayford.
Dartford.
DAI 4QN.
Objects of the Company:
The Company has the charitable objects of the advancement
ofthe Chrislian Faith Worldwide in accordance with the
doctrines set out in the Sts￿Ment of Faith contained in the
Schedule and the Relief of Poverty.
Company Regtstration No:
0940W73
Charity Registration No:
1175437

The Trinity Houx Ministri¢
Directors. Report
The Directors of Trinity House Ministries submits the Report and Accounts for the Year Ended 31
January 2025.
Objects
The main objects of Trinity House Ministries are defined by the Memorandum of Association and
are as follows..
(a). The Advancement of the Christian Faith Worldwide in accordance with the doctrines set out in
the Statement of Faith contained in the Schedule.
(b). The Relief of Poverty.
Directors, R￿pOnsIbIlItIeS
Company Icgislation requircs the DirecloTS to prepare the Financial Statements for each Financial
Year which gives a true and fair view of the State of Affairs of the Company and of the Income and
xpenditure of the Company for thai pcriod. In preparing those Financial Statements, the Directors
are required to:
Select suitable Accounting Policies and then apply them consistently:
Make judgmenls and estimates that 8r¢ reasonable and prudent.
Prepare the Financial Ststements on the Going Concern Basis unless it is inappropriate to
presume that the Company will continue in business.
The Directors are responsible for maintaining proper accounting records, which disclose with
reasonable accuracy at any time the financial posilion of the Company and lo enable them to ensure
that the Financial Statements comply with the Companies Act. They are also responsible for
safeguarding thc &sscts of the Company and hence for taking reasonable steps for the prevention and
detection of fraud and other irregularities.
By Order Of The Board
Samson Okiamyd Omole
Direetor
Date: 24 Octolxr 2025.

The Trinity House Ministri
Independent Examiner's Report
For The Y￿r Ended 31 January 2025
We report on the Accounts for the Year Ended 31 January 2025 set out (m Pages 4 to 8 which have
been prepared under the Historical Cost Conventton and the Accounting Policies set out on Page 6.
R￿p￿tive Responsibilities of the Directors aDd Independent Examiner
As described on Page 2. the Company's Directors for the charitsble activities of The Trinity House
Ministries arc responsible for the preparation of the Accounts and they consider that the Company is
exempt fmm an audiL li is our responsibility to carry out procedures designed to enabl¢ us to report
our opinion.
Basi$ of OpiDiOD
Our work was conducted in accoTdanc¢ with the Statement of Siandards for Reporting Accountants
and so our procedures consisted of comparing the accounts with the accounting records kept by the
Company and making such limited enquirie5 of the officers of the Company as we considered
necessary for the purposes of this report. Th¢s¢ procedures provide only the assurance expressed in
our optnion.
Oplnion
In our opinion..
(a).
the accounts are in agreement with the accounting records kept by the Company under
section 477 of the Companies Act 2006.
(b). having regard to, and on the basis of, the infonnation contained in those accounting
rccords:
(i)
the accounts have been drnwn up in a manner consistent with the accounting
requircmcnts specified in section 477 of the Act and
the Company satisfied the conditions for exemption from an audit of the accounts for
the year specified in section 477 of the Act and did not, ai any time within that year,
fall within any of the categorias of companies not entitIed to the exemption.
Righttime Associates Limited
Chartered Accountants, Tax Advisors
Project M8n&gement Consultants
86-90 Paul StreeL London.
LC2A 4NE.
Date: 22 October 2025.

The Trinity House Mini8trie&
Statement of Fillancial Activities
For The Year Ended 31 J2nuAry 2025.
Notes
Incoming R¢sourc¢s:
Resources from generated funds
Resour¢es Expended:
Direct Charitable F.xpcnditure
(44.835)
{36.397)
Other Administration Costs
(3,487)
{3.055)
Total Re8ourees EIpended
22
Net In¢omingl(Outgoing) Resources
Investment Gains (Losses)
Net Movement In Funds For the Year
Fund Balances Brought Forward at 31 January 2024
9,108
2,697
Funds Balances Carried Forward at 31 J2nuJiry 2025
Continuing OperatioDS:
All Incoming Resources and Resoun* Expended derive fiDm continuing activlties.

The Trinity House Ministrie
Balance Sheet
As At 31 January 2025
Notes
Fiied Assets
Current Assets
Deposits- Savings Account
Cash At Bank - Current Account
1,588
2,551
7,473
,635
Current Liabilitio8
Crcditors Amounts falltng due within one year
Net Current AssetsllLiabilities)
Long Term Liabilities:
Creditors Amount falling due after more than one ye8r
Total Net Assets (Liabilities)
Unrestricted Funds
Restricted Funds
2,551
1,588
7,473
1,635
The Accounts are prepared in accordance with the Special provisions of the Companies Act 2006
relaling to Small Companies.
The Directors are satisfied thai the Company is entitled to exernptTon from audit under Section 477
of the Companies Act 2006 relating to small companics and thal no member or members have
requested an audit pursuant to section 476 of the Companies Act 2006.
The Directors acknowledge their responsibilities for:
(i). ensuring the company keeps pmper accounting recotds which comply with the requirements
of the Companies Act 2006 and
(ii). preparing accounts which give a true and fair view of the state of affairs of the company as at
the end of its financial period and of its profit or loss for the financial period in accordance
with the requirements of Section 477 of the Companies Act 2iJ)6. and which othenvise
comply with the requir¢ments of the Companies Act relating to accounts. so far as applicable
to the company.
Approved by the Directors on 24 October 21Y25 and signed on their behalf by:
Samson Okiama Omok

The TriDIty House Ministries.
Notes to th¢ Finaneial Stotements
For the Year Ended 31 January 2025.
l. Accounting Policies:
(a) Basis of Accounting
These accounlJ" have been prepared under the historical cost convention in accordance with the
Financial Rew)rting Standard for Smaller Entities (effective April 2(M)8) and also in accordance
with the Statement of Recommended Practice (Accounting by Charitie5) although the company
is not a registered Charity.
{b) Depreciation
Depreciation is provided on the Computer (Laptop) and Musical Instruments at the following
rate based on the estimated useful life of these &8sets and their anticipated residual value. All
&sse¢S are depreciaied on a reducing balanc¢ basis at 25Yo per annum.
(c) Ineome
Income received are credited to the Incoming Resources in the year in which they are received.
(d) Vydlue Added Tax
The company is not registered for VAT and accordingly where applicable. all costs and
expenditure incurred arc inclusive of VAT.
(e) Funds
Unrestricted funds are those funds which can be used at the company's discretion. Restricted
funds are those fiinds which have been earniarked by the company for specific purposes.
(D Expenditure
Expenditure, publicity and management and administration costs comprise direct expenditure
attributable to the company's objective or a¢tivity.
2. Income
Donations
Tithes
(lfferings
Thanksgiving
Interest Received on Savings Account
17.189
8,954
16.816
380
14
9,236
22259
14,118
215
35
*Year On Year comparison of Actual Income Re￿IVed in 2025 shows a marginal decrease of
£2,510 (5.479/0) against 2024 figures arisin8 from significant decrease in Tithes but partly
cornpen￿ted for by si8nificant increase in Donations when comparoj with 2024 figures.

3. Analysis of Direct Charitsble Expenditure
Hall & Room Hire
Pastoral Care. Welfare & FeeAing of Homeless
Professional Music Services
Catering
Immigration Services
Salary Payments- PAYE
HMRC- PA YE Tax & N.l.C Payments
PA YE Payroll Processing Fees
Playing Drum, Music & Keyboard Sessions
Ministration Honorarium
Communion Cups & Offering Envelopcs
Travevcab Payments
BanklPaypal Processing Chargcs
8,100
5.750
4,541
157
13,580
9.325
4,979
4,341
83
810
6,500
317
212
660
11,360
8,920
475
282
*Ovcrall r)irect Charitsble Expenditure increased by £8,438 (23.180/0) in 2025 when compRred
with 2024 figures resulting mainly from increase in Immigration Services Expenses and also
partly from increase in Pastoral Care and Playing of Dnun& Music and Keyboard.
4. AdministrntloD Eipen
Self Storage
Publicity- 02 Mobile ph¢)nes, Messagebird Texts, Fliers,
Banners. Websi* ikv. Photography. Z(x)m & Video
Stationeries & O￿lCe Supplies
Accountancy Fees
Consultancy & Companies House Fees
Gifts & Donations
Health & Safetyn)ublic Liability Insurance
Miscellenous Expenses
320
lJ65
1.224
294
500
48
225
365
370
13
500
390
419
*Year On Year compari50n of overall Administrative Expenses show5 a marginal increase of
£432 (14.140/) in 2025 over 2024 figures mainly due to incre&se in Self Storage Expenses.

5. Flx¢d Assets Sehedule
Computers
(Laptop)
Mnsie21
ID$truments
Totsl
Cost:
As at l February 2024
Additions in the year
As at 31 January 2025
Depreci¥dtion:
As at l February 2024
Charged for the year
As at 31 January 2025
Net B￿k VAlue:
At 31 January 2025
*** Depreciation on the Fixed Assets is charged at 25V￿ On a reducing balance b&sis.