Charity number: 1179552
The Trustees and Management committee present the the accounts of the tharity
JESUS OUR SAVIOUR
TRUSTEES, REPORT AND FINANCIAL STATEMENTS
FOR THE YEAR ENDED 30 APRIL 2024

JESU5 OUR SAVIOUR MINISTRIES
ACCOUNTS AND FINANCIAL REPORT5
YEAR ENDED 30 APRIL 2024
The Trustees and Management committee present the the accounts of the charrty
CONTENTS
Page
Charity Information
Trustee5' Report
Independent Examiner's Report
Statement of Financial Activities
Balance sheet
Notes to the Accounts

JESUS OUR SAVIOUR MINISTRIES
CHARITY INFORMATION
The Trustees and Management committee present the the accounts of the charity
Company number
1179552
Registered off￿e
67 Geneva Court
2 Rookery Way
Colindale
London
NW9 6GB
8ankers
arclays Bank plt
Acorn House
3&38 Park Royal Road
London
NWIO 7JA
Accountants
Tom Bora Mana8ement Accountants Ltd
Chartered Management Accountants
111 Watling Gate
297-303 Edgware Road
London
NW9 6NB

JESUS OUR SAVIOUR MINISTrIES
TRUSTEES'S REPORT
FOR THE YEAR EP4DEO 30 APRIL 2024
The Tiustees and Management committee present the the actounts of the chafity
The Tfustees OF Jesus Our Saviour Ministry charity present their annual report and accounts for the
vear ended 30 April 2024
TRUSTEE5
The Tusiees who served during the year were as follows=
T¥u5tee
CecTrlia Nimoh Bing
Chair
Kwame Sarpong
Trustee
Paul Kwame Asamoah
PRINCIPAL Acniviry
The advancement of the word and teachings of God and their propagalion
We encourage our ¢ongegation to socialise with Friend5 and family inorder to lead them to Lord Jesu5
Christ.
STATEMENT OF TRUSTEES AND MANAGEMENT COMMirrEE'S RESpofésiBILmES
This financial yeai saw the churth numbers increase, we have had new members join the church and managed
to maintain thè old members. this has translated into berter churth offering and financial stability.
With the growth in church we are Continuing to Create more church actI￿tIeS for the congregation to ensure
that the needs of each and every one in the church is catered for. For Instsnce the Sunday school catersng for
pre-school and and youn8 teenagers have had to be created in church.
Our homè visit pro8ramme has had to bejigged a￿"t as we have new members from a wider geographical
reach than before.
All in all we continue to learn as we grow together. we have had to learn what congregations thai are bi68er
to ensure that their core believes are intact even as they expand and brin8 in dNerse people into the congeratlon
ON BEHALF OF TRUSTEES..
Trustee Chaimian
gdoil
Mr Kwarne Sarpong
Date

INDEPENDENT EXAMINER'S REPORT TO THE TRUSfEES OF JESUS OUR &4VIOUR MINI￿RIEs
We report on the accounts of Jesus Otsr Saviourmlnistries for the year
ended 30 April 2024
The Trustees and Management committee present the the accounts of the charity
Respertive respwslbllltles of Manaiement Commlttee and accountants
As the Charity's tnjstees you are responsible for the preparation of the accounts as set out
on pages 2 to 7 of the financial Statements.
Basis of Independent examlner's report
Our examination was carried out in accordance Wbth General Directions given by the Charity
Commission. An examination includes a review of the accounting records kept by the charity
and a comparison of the accounts presented with those records. It also include5 consideration
of any unusual items or disclosures in the accounts and seeking explanation from you as
trustees concemin8 any such matters. The procedures undertaken do not provide all the
evidence that would be required in an audit and consequently we do not express an
audit opinion on the view given by the accounts.
Independerrt examlnees statement
In connection with our examination. no matter has come to our attention..
IIIWhich Bives us reasonable cause to believe that in any material respect the requirements..
(alto keep accounting records in accordance with Section 41 of the Charities Art and
Iblto prep¥re accounts which accord wtth the accounting record5 and comply with
accounting requirements of theAct have not been met
12lto which in our opinion. attention should be drawn in order to enable a proper
understanding of the accounts reached.
Mr
om Borè CGMA ACMA
Tom Bora Management Accountants
Date- 29January 2025
fl LID
If4fyr5 IFI)

JESUS OUR SAVIOUR MINISTRIES
STATEMENT OF FINANCL4L ACTINqTIES FOR THE YEAR ENDED 30 APRIL 2024
SOFA
2024
2023
Th¢ Trnsttts •nd M*n*gtmeRt pruemt the iht *¢¢ory•ts of ikt <harlty
Adi'ert Sales
Donations
Gift Aid
Service5
ComrntS510ns
Bank Interest
TOTAL INCOMING REsoifRCES AN'AIL4BLE
FOR cH.&R￿A￿LE APPLIC.4TION
5.010
5.010
2.894
5.010
5,010
2,894
CHARITABLE EXPENDrrL.RE
A¢tivities-
glunteers and Fiw)d
Printin8 & Stsiionery
Subscriptions
C.hw¢h a¢li￿lI1¢s
Bank Char8e5
Reni
S8fe8uardin8
Depr¢¢ia¢ion
Adminstyaiion
4.830
4,830
2.560
145
242
TOT,IL DIRE￿ EXPEhl)ITURE
OTHER EXPENDITi"RE
Govenun¢¢
4,830
4.830
2.947
150
150
150
150
200
200
TOTAL OTHER EXPENDITLT(E
TOTAL RESOLRC"ES LSED
4.980
4.980
R.147
CHANGES IN RESOLRCES
30
30
-253
BalatKe B,.F at l Mav
75
75
328
1811
IFAt
104
ios
Fixed AsseES
C&sh ai bank & in hand
240
35
275
305
305
140
305
305
1_50
145
Toi*l e•rreM¢ *wts
LESS ¢r¢diiors due ivithin l year
TOTAL .4SSETS I.ESS LIABII.ITIES
75

JESUS OUR SAVIOUR MINISTRIES
BALANCE SHEET AS AT
The Truslees and Mana
emettt commtttee present the the #ceounts of the tb#riry
2024
2•11
FiI¢d Aswti
240
CwrrtDI *utts
L ash at hank & in hand
Toi#l tyrreDt w¢ts
3fj)5
3Q5
305
305
35
75
Crditws With￿ l year
15
150
211)
CurreD¢ •s4ts
kss cmrrtlli Ilabllltlts
155
155
-165
Totsl Ajsets
Repr¢%nloJ bv
Unr¢Styill￿ Fun(i%
105
105
75
T￿1 Funds
75
We acknowledge our reswnsibilities for keeping accounts'ng records in accordance V￿th
section 130 of the 2011 Charities Act and to prepare accounts which accord the
accounting records and compty with accouDts"ng requirements of the Act.
Approved by the trustees
Trustee
'4rJ lo i ['L)
Dated

JESL'S OUR SAVIOiiR MINISTRIES
NOTES TO THE FIYANCIAL ST.4TEMEi%TS
FOR THE I'LIR ENDED 30 APRIL 2024
Ac¢wMiThg Poltcles
The" al The financia] 5￿te￿￿rtts have been werAued in ac¢¢*dantt with aFfj)licabk a¢counung
Stsndards 4nd follow yeCthTruJxt￿iIOnS in of Recom￿￿nded P￿llet.. ACc￿nI1￿@
B>. Charities.
bl Volunlary incirt is received by w?y of arMl8ifLs and is Incl￿ in
ot. Finathcial Actibittes wthen TeceivaTrlc.
cl Gyants C￿diled to tr Sta*mcni of Firwncial Aaiiiiics(￿ th¢ earticr datr of or
V4trn receii'abk. unless thcy re￿ ￿ a S￿lf￿1 f￿ 7AthiEh ca5c thrN"arc
deferred.
dl Restri¢*d furL& ttre to for 5￿cItI£d as laid ¢kn￿ b) the (b)￿.
ExkKndiDJre ybich th¢s¢ rri*ria is rkngtd ￿ the furML togeth¢r V#ith a fair
IpW￿l0￿￿K￿t of 5UPW)n and management and adminigraLiOn costs. G￿ts for
purch&* of Tixed &ssets are iniuaity charged again5[ the fiuwj then UWLsfcrred w th¢ fLxrd
ci fund
e} Unrestricted funds ar¢ ¢￿10￿ and irth¢r T¢￿1¥ab￿ l￿￿[￿rated f
thc charithle PL￿F￿%$.
Iksignated fun￿. art unrestrK*d fund5 earmarked b>'d* M•nag¢ThmtC￿1llcC for
lÉ¢ular pwp)ses
2 fir￿ts. 1￿c￿r
2024
2023
T￿al
Off¢Tings ifh ChurEh
Members dothatioLs
Gift Aid Claim
5,010
5.010
2,894
Totxl ltttomt
5.010
&oio
2J94
3 Stsft Costs and NutnLrr5
ThcTe were no paid ¢mpJoyeesas at 30,%￿1 2021
Ttme ￿. the Tr￿¢c$ hait M Fttn W IMO
as they do Th)[ M'ith to k p&i
4 GoVern￿¢t
Amjni pid ro the Ir¥kpctthit Emmi
2M
5 CTedilOfS
Cr¢ditors
Accnled EX￿n5¢S
150
150
2(K
Curreni As￿l￿
Cash al BaTrk
305
35
TAliGIBLE ASSETS
FurniDJ
& Equip
C05¢
A_% ai 01.5.1D23
Addiiions
Di5￿￿a]S
As ai 30.04.7024
Dtprcriatio
As at 01.05.2023
Chargc lor tlk P¢rityJ
As ai 30.(H.2024
Nei book vilue
As at 30.04.2023
As at 30.04.2024
1.210
970
240
1.210