Charity ￿ll￿ber: 1179330
Agape Chri5tlife Fell•w5hip
Fin4neig1 Statements
For the YeAr Ended
31 Marrh 2024

Agape Christlife Fellowship
Imdex
Contsuts
Legal and Administrative Detai]s
TDJstees Report
Independellt Examinerfs Report
Statement of Financial A¢tivitiEs
Balance Sheet
9-11
Notes to Accounts

Agape Christlrfe Felloivship
Le
al And Ad
Det#lls
Trnstees
Ronilo Mojica
Mira Joy Rodota
Ramil Paguio
Bankers
HSBC
59-61 The Mall
Stratford Ccntre
Stratford
LondonEIS IXF
Independent Examiner
A A Boafo-Brewu FCCA MBA
Chartered Certified AcLountant
374 Ley Strcct
nfonl
Essex IGI 4AE
Registetrd Address
277 CotmibuTrow Boulevard
ConnibuTrow
Milton Keynes MK14 7AF
Clwiiy Number:
I l79330

Agape Christlife Fellowship
Report of the Trustees
The trustees submittheir annual reporttogethcT With the fmancial statements for th¢ period ended 31
Mor¢h 2024.
The financial statements hav¢ k¢n prepared ID accordallce with the accounling policies set out in note
I to the accounts and comply with thc eharity'$ trust dccd, thc Charities Act 2011 and A¢¢ounting and
Reporting by Ch￿Illes." Ststemeat of Recommended Pra¢ti¢e applicable to charities preparing their
accounts in accordance with the Fitlancial Rewrting Standard for Smaller Entities published on
16107114.
Governing Document
The charity is ¢ontrolled by its governing docum¢nl a deed of tnLsL and Constitutes an unincorporated
charity.
It was fornied on l July 2018 by tsking ov¢r cxi5ting UDregi5tered Ch￿]ty and obtained ¢harity
regIS￿tion on 25 July 2018.
Objectiv
Th¢ charity's objects are:
To advance the Christian religiot) for the benefit of the public in accordance with the Gospel
of Jesus Christ
To relieve sickness and financial h8rdshtp and to ptomote and prc5erve good health by the
provision of funds, goods or services of any kind. including th¢ provision of. including
througEL the provision of wuJJs¢lling and support in Such parts of the United Kingdom or t
world 85 the trustees from time to time may think fit
RevieTV of Activities
The financial position ofthe fellowship at the end of the (￿anCIal year is as dethiled in the attached
financial staternents. The charity received in¢om¢ of £147.765 during the wiod.
Activitiu and Achtevem¢llts during the Year
Agape Christlife Fellowship continues to pursue and reach out and serve our con)mtitiitie$ by
bringing hope through the gospel. Agape Chtisllif¢ F¢llowship in Milton Keynes meets every Sunday
and Agape Christlif¢ Fellowship in Somerset meets ev¢ry Sattrday. We also have diffcrcnt ministries
for men. Wome￿ young people and kids. We aIso have virtuaj meetings everyday for our biblc studies,
prayer meetings and training for mutual encourngement #Ekd to str¢ngthen atld develop our relationship
with God and with on¢ anoth¢r.
Agape Christlife organised two syrate church Tetreats this year for spiritual r¢freshing and
edifieation. Th¢ fellowship also organised one day sports f¢stival for the community.
Agape ChTiStlife Fellowship continues to offcr moral support for those w]M) are unwell, lonely.
discouraged through praycrs, couns¢lling and visitation. The fellowship ¢onlinues to offer financial
support by buying cook¢d food and groceries for those who are in need.

Agape Christllfe Felltswship
Agape Cbristlife continues to serve our International onIine church through so¢ia] Tn¢dia by brtngir
the gospel of our Lord Jcsus Christ to friends. r¢lativcs and everyone ivho need5 prayers, counseling
and the ¢omforting Word of GOD.
Agape Christlife continues to organise fimd raising through Christmas and evangelism events in the
CQTnmunity. Our dollations and giving ourtithes off¢ring continu¢ in our online banking, there alt still
few who prefer to dmp in our donation basket whi¢h 1$ ¢arefvlly accounted for by ourtreasurer and
(ashiers.
Agape Chri5tlife fellowship is so grateful and thankfttl thi5 ycar, that we weie able to serv¢ GOD.
serve our local community and globally. Thank you for our hard working Pastors, Elders and
volunteers who work aloJwid¢ us.
Trustees
The following $erycd as trustees during the y¢ar.
Ronilo Moiica
Mird Joy Rodola
Remil Paguio
Th¢ following weretrustces at the time the financial statan¢nts were signed.
Ronilo Mojica
Mira Joy Rodotll
Ramil Paguio
Trustee SelectioD Metbod
Trustees are apw>inted by resolutioll of the existing tnLsle¢ body.
Reserv￿ Poll¢y
At 31 March 2024 there w&s fr¢¢ unrestricted reserve$ of £80.051 and this will be ￿Sed io supI￿rt the
charity's future activities.
Revllew of Maior Risk5
The major risk &cing the organisation is reducd wngregatiou. The In￿eS are et￿e&VOurIng tr)
address this.

Ag￿pe Christlife Fellowship
Plans for the Future
By God's Grdce we will continue to expand and rca¢h out for more ￿ople to com¢ to know our IA)rd
Jesus and k & blcssing to all kinds of people.
Hoiv our activltles delivEr public beneflt
Our main activities and who we ty to serve aff 45 d¢scriE￿d in our objectives and activities. All our
charitsble activities on these objectives to further our cl]aritable putpos¢s for the public benefit.
The charity ffleets the Charity Commission's publi¢ benefit criteria by providing donations for the
relief of tK)Yerty in the county and ovetseAs, providing help and fu)ancial support to disabled
individuals and community development objectives such &g Spotts. Dram￿ Singing ond Dance
Ministries.
The trustees have ¢omplied with the section 4 of Charities Act 2006 with r¢gards to public benefit
guidance published by the Charities Commission.
Statement of Trusteesl ResponsibiIities
Th¢ tru51¢¢5 are responsible for preparing the Trustees, Annual R¢port aDd the fllwicial stal¢ments in
accOrdat￿t with applicable law and United Kingdom A¢¢ounting Standards Iunited Kingdom
Generally A¢¢ept¢d Accounting Practice).
The law appli¢able to clwities in England & Wales requires thc trustees to prepare financial
statements for each fwancial yw which give a true and fair view otthe state of affairs (Jf thc charity
and of tlkc incomiDg resources and application of rcsouree% of the charity for that perAod. In pr¢paring
th￿¢ fin￿CIal statements, the trustees are required to:
a) select suilable accounting wjlicies and apply them consistently.
b) observe the mcthods and principles in the Charities SOIIP.
c) make judgment8 and estimatcs that are reasonable and prud￿t.
d) state whcthcr applicable accounting standards have been followe￿ subject to any material
departUT¢S dI￿lOsed and explained in the fmancial statem¢nls.
e) prepare the finanoiai stAtem¢nls on the going concern basis unl¢55 1¢ 15 inappropriate to
presume that th¢ charity will continue in op¢ratio
Th¢ tru5t¢e5 are responsible for keeping pro￿ Accovntirkg records that disclose with Thsonable
accuracy at any time the financial wsition oFthe charily and ￿able them to ensure that the financial
statemcnls comply with the Ch￿ill￿ Ath 2011. the applicable Charities (Accounts and R¢ports)
Regulalions. and th¢ provisions of the trust deed. They are also rcsponsible for safeguarding the assets
of tbe charity and tsking reasonablc stcps for the prevention and det¢¢tion of fraud and other
irregularlties.
The tsvstees are responsible for the maintenance and int¢grity of the charity and the fjnaneial
infomiation on the charity's websile. Legislation in the United Kingdom govcrning thc preparntion
and dissefftination of fmancial stat￿ents may differ from legislation in other jurisdiction5.
Independent Examiner
ThE trustees intend askingthe existing Accouat8Jrt to undertake the inde￿ndent examination of the
organisation's ac¢ounts in the following year.

Ag8p¢ Chrbdif• Fellowsblp
Dt¢l8rAdoD
Iderlaré rny of eb8dty Irust4 thaty.
th¢ tTUStees TrAveapproYed the r¢portab)ve; and
have authoAsed meto sigtkon thelr behalf.
Nallto: Rfrllllo Mojica
P0slao￿.Tn
Datd. 13 january2￿25

Agape ChristlÉfe Fellowship
Independ¢nt Examiner's Report to the Trustees of Agape Christlife Fellowship
I report lo the tnjstees on my ex8mination of the financial statements of Agape Chrisilif¢ F¢llowship
('thc charity,) for the yedr ended 31 m￿ch 2024 which comprise the Statement of Trinancial
A￿[VitieS, the Balance Sheet and related notcs.
This report is made solely to the ehar&ty's ITUStc¢s, as a bodyj in accordance with s¢clioD 145 of the
Charities Act 2011. My work h&5 b¢en un(krtaken so that I might state to the charity's truste08 those
matters l am required to state to them in this report aRd for no other p￿￿ose. To the fullest ext¢nl
pern]itted by law. I do not accept or assume responsibility lo anyon¢ otherihan th¢ cl)aTity and the
¢harity's trustees as a body? for my work, for this report. or for thc op&nions I have fonned.
Responsibilities and basls of report
As the trustees of th¢ Charity you are resporL8ibl¢ for ihe preparation of the f￿ancial siatements in
a¢cordan¢¢ with the requirements of the Charities Act 2011 ('the Act'l
I report in reS￿¢t of my examination of the chartty's financial statements catried out under sectio
145 of the Act and in carrying out my examination I have followed all the applicable Directions given
by the Charity Commission undcr.%e¢tion 145(SXb) of the Act.
An independent examination does not Involv¢ gathcring all the evidence that would Tequired in an
audit and ¢onscqu¢ntly d¢)es not cover all the matters that auditor considers in gtving thcir opinion
on the fi)]ancial statements. The planning and cortduct of an audit goes Eeyond the limited &ssuran¢
that an indcpcndent examination PTovid¢. Consequently l exprgss no opinion as to Mthether the
financial stat¢m¢nls present a'true and fair, view and my report is limited to those S￿¢IfiC matters set
out in the Inde￿ndellt examiner's statcmenL
lttdependellt examiner's statemellt
If ihc charity's gross irthme exceeds £250.(M)O your examiller must be a member of a body listed in
section 145 of the 2011. The charity's income for the year was below £250,000. I confiTm that I am
qualified to undertake the examination becau￿ I am a rnem￿r of ACC& whith is one of the listed
bodies.
I have completed my ¢xaminati¢)TL I confirni that no material matters have come to my lttention in
C4)nnectiim with the ewdmination giving me ￿uSe to believe that in any material r¢six¢t.'
&ccounting records wcre not kept in reSp￿t of the charlty as rquired by section 130 of the
th¢ financial ststements do not accord with those records. or
> th¢ financial statements do not comply with the appIieable requir¢m¢nts concerning the fokTn
and content of accounts set out in the Ch&ities {Accounts and R¢ports) Regulations 2008
oihcr than any requirement that Ihe a¢¢ounts give a 'true and fair view which is not a matter
¢ottsidered as part of an iftdependent examination.
I hav¢ no ￿n¢¢m$ and have come across no other matters An eonnectioll with th¢ exaTnination to wbich
attention should be drawn in this report OTder to enable a proper understanding of the finan¢iai
statcme
to be reached.
A A BOaF￿BrewU (FCCA MBA)
374 Ley Street
Ilford
Essex IGI 4AE
Augustus & Co
Dated:l¥January 2025

Agapè ChrJstllf8 Fellowshlp
Staternent of Flnanclal Actl¥ltl•s
Yoar Ended 31 March 2D24
ND
UnrB51rthd Restricted
T(lal
2024
Tolal
2023
Incoma and Expondlture
Incomlng Resources
Ineomlwtg resources from gqn8rated funds
Vduntary incom8.' donation8
87.785
eo.0
147.765
93.322
Inve81m￿t IT￿me.. Int8r8st receTvab
Total Incomln9 Rèsourceg
87.765
60.0
147,765
93,3Y2
Ex￿ndIt￿rg
¢haritaL4B acbvibes
n,075
73,075
58.31
Total Expendliufo
73,075
58,306
Net incornelleApenditurel arhj net
movemenb ￿ funds for Ihe
14.090
74,8SO
35,016
R•conGlllaUon of funds
FUNJS brou9Mfortvaré 8t 01104r2028
85.261
85,361
30.345
Funds carried forward at 31ID3r2024
80,051
140.051
65.361
The noies on pages 9 to 11 fomi part ofthw finaThdal statements.

Agap Chrhttve Fellowshlp
88laThce Shg•tat31 Mar¢h 2024
Cash at bank8rMI In
67.803
67.803
Cr•dItO￿ A￿0￿￿￿TallIng du•
2,T28
2.442
N•tC4wr•nt•8s•
140.051
aSS61
Tdal a65ets less
140.051
65,361
Gv•dltor6: Amountsfalllng du•
4wor4)no y•ar
1a1Q05
65.361
80.051
60IMJO
140
65.361
The flnandal slal8menis￿W￿ 8PFqov*I by ts InEtees ￿ 13JwKWy 2025
MT RoThllo MoJl£a
ntyts•)

Agapp Chiistllfe Fellowship
Notes To A¢¢ounts
Year Ended 31 March 2024
1. 1. Accountlng eonvenllon
The fi￿8￿¢1a1 statements have been preparcd under thc lustorical cost convention
with items ￿COgnISedat¢￿sttsT transaction Yalu¢ unlcss oth¢rnYi5e statcd in
the relevant note(5) tothese accounts. The financial statements have been preyared
in accordance with the Ststement ofRecommended Praciice.. Accouttiing and
R¢tthing by Chariti¢s prrparingthcir accounts in accordance with the Financial
Reporting Standard appliubl¢ in th¢ UK arxl R¢publi¢ of tr¢land (FRS 102)
j55u¢d on 16 July 2014 andthe FU￿1claI ￿e￿rtIng Standard appli¢abl¢ in the
United Kingdo]n and Republic of Ireland (FRS 102) andihe Cbarfjlies Act2011.
1. 2. In¢omlng R￿OurceS
Donations relate to amounts rec8ivabl8 during the y8ar.
1.3. Capltal Grants
Grants towards caplt31 expèndllure 8o ¢>ediled lo a deferred capital grant and
released lo Income and Expenditur8 account over the expected livès of the asse
The amount iel8a8ed equals the deprecialion charge.
1A Restricted Funds
Rgstri¢tgd funds are lo be used for Spe￿ffic purposes as deuded by tha tnJst88S.
Expenditure which meets this crtleria is charged lo the fund.
1.5 Unrostrl¢tsd Funds
Unrestricted funds are donations and olher incoming resources receivable or generated
for tha obj8cls of the ¢haritywithout hulher spec￿ed purposes aThJ are availabje as genwa] funds.
2. Voluntary inc¢ma
Unrestricted Restsicted Total
Total
2024
2023
Trthes
Gtft Aid
Donations
Total Incoming Re80urGes
63,895
23,870
63.895
23.870
93.322
60.000
87.76S
147,765
93.322

Agape Chrlsulfe F•IIOW5hlp
Notss to Accounts
Y￿r Ended 31 March 2024
3. Cost of g•n•rallng VOI￿rtary
In¢om¢
Un-teStrfCt￿ R£strfthd
Fund
F￿d
Total
2024
Totsl
2023
Wages and Sal¥les
H05Pitality
21,674
2.770
4.800
125
21,674
2.770
4.800
125
18976
1,709
4,400
2.051
Compuleimebsfjte Expen&88
Insurance
Love Gifts
Efflployerfs Penslon
Rent
Small music wuipment
SlatIonery and pfinbNd
SL￿￿ptsr
Tr8¥ellllng
9Jndry Exper
GOVE￿[Ec8 c(￿ Ipqr note 5)
1AT3
1,473
462
21,874
238
299
424
9,220
2,388
7,528
73.075
900
338
13,543
21.674
147
424
9220
12.553
1,254
n,075
58.3
Governance co•t
Un4estrNaed
FUTr
Total
2024
Total
2023
Legal and Professk)n81
Ba￿k Charge5
Independent Examinerfs Fee5
6.368
2(KJ
21JO
204
840
S Stsff Costs
2024
2023
Sa18Thes
Empws Pens]on
21,874
18,976
338
19.314
22.136
No em￿OYee earned In 8X(HSS DfE60.OLKJ
Averag8 nuM￿r￿fe[nptreS
10

Agapfy Chrtslllfo Fgllowship
Notes To Accounts
Year Ended 31 March 2024
6. Flxed Assets
Fumtture
Fixtures &
Land &
Equipment Prope
Total
Cost
At 1 April 2023
Addition
Disposal
Al 31 Maich 2024
Depree48tion
At 1 April 21r23
Charge forlho yg¥
Disposal
At 31 Mard12024
Nel Book Value:
Al 31 March 2024
At 31 March 2023
7. Debtors
2024
2023
D8btors
Prepayrnents
Credltors: Amounts falling due vAthln one year
2024
2023
Accruals
Paye & National Insuranc8
172
2.726
2,442
9. AnaEysls of nat assots b•lw••n funds
Nat
Current
Tclal
Asseis
Unrèstricted Funds
Restricted Funds
80.051
eo,000
140,051
80.051
140.051
10. Trustsos remunèratlon
The trustees do not receive rernuneration for their positi'ons.
11