Charlty number.. 1179552
The frusiees antl Management committee present the thè accounts of the charity
JESUS OUR ￿VIOuR
TRusfEES' REPORT AND FINANCiAL STATEMENTS
FOR THE YEAR ENDED 30 APRIL 2025

JESUS OUR SAVIOiIR MINisfRIES
Accourirs AND FINANCIAL REPORTS
YEAR ENDED 30APRIL 2025
The Trustees and Management comfflittee present the the accounts ol the tharrty
CONTE
P38e
Charity Information
Trustees. Report
Independent Examinef's Report
Statèment of Financial Attwilies
Balance Sheet
Notes to the Accovnts

JESUS OUR SAVIOUR MINISTRIES
CHAAifY INFORMAnoN
The TfUStees and Management committee present the the accounts of the tharity
Company number
11795S2
Re8lStered office
67 Geneva Court
2 Rryjkery Wav
Colindale
London
NW9 6GB
Banker5
Bartw Bank pk
Acorn House
36-38 Park Iloyal Road
London
NWIO 7JA
Accountants
Tom Bc￿a Management AC￿uTrtants Ltd
Chartefed Management Auoufitants
111 WatlinB Gate
297-303 Edgware Aoad
Lond¢
NV19 6NB

JESU5 OUR 5AVIOUR MINISTrIES
TRU5TEES'S REPORT
FOR THE YEAR ENDED 30APRIL 2025
The Trustees and Mana8ement committee present the the acC￿￿nts of the charity
The Trustees OF Jesus Our savi0￿1 Ministry charity present their annual report and accounts forthe
Year ended 30 April 202S
TrUSTEES
The Tu5tees who Served durtn8 the year were as folk)ws-.
Trustee
c￿llIa Nimoh Bing
Kwame Sarpong
PaLtI Kwame Asarnoah
Chair
Trustee
PRINCIPAL AcntvThY
The advancement of the word and teachings of God and their propagation
We eTrcoura8e our conge6ation to socialtse with Friends ènd family inorder to ￿ad them to Lord Jesus
Christ.
STATEMENT OF TRusfEES AND MANAGEMENT COMMtrrEES AÉSPONSI8IUTIES
This financlal year saw the church nUrnbe￿ irKrease. we have had new members joln the church and mana8ed
to maintain the old members, this has transl*ed into better church offering and financial stability.
With the 8rowth in church we are continuing to create more churth artNitie5 the Cong￿gatIon to ensu
that the need5 of each and every one in the church is catered for. For instsnce the Sunday school ¢ateTin8 for
pfe-school and and youn8 teenagers have had to be t￿ote￿ tn church.
Our home vi51t pro8ramme has had to be jw8ed abrt as we have new member5 from a widei geo8raphical
reach than before.
All in all we continue to leam as we grow to6ether. we have had to learn what congregations that are bi88er
to ensure that their core believes are intsct even as they expand and bring in dwtrse people into the con8eration
ON 8EHALF OF TRU5TEE5..
Trusiee Chalrman
71 loi
Mr Kwame Sarpong
Dète

INDEPENDE1￿ EXAMINER'S REPORT TO THE TRUSTEES OF JESUS OUR SAVIOUR MINISTRIES
We report on the accounts of Jesus Our Sa¥lourMinistrfes for the year
ended 30 April 202S
The Trustees and Management committee present the the accounts of the charity
Respertl¥e responslbllltles of Management Cornmlttee and a¢¢ountsnts
As the Charity's trustees you are responsible for the preparation of the accounts as set out
on pages 2 to 7 of the financTral Statements.
Basis ol Independefil examlner's report
Our examination was carried out in accordance with General Directions givèn by thè Charity
Commission. An examination includes a review of the acc¢xJnting records kept by the charity
and a comparison of the accounts presented with those records. It also includes consideration
of any unusual items or disclosures in the a¢¢ount5 and seeking explanation from you as
trustees concerning any such matters. The procedures undertaken do not provide all the
evidence that would be required in an audit and consequently we do not expre55 an
audit opinion on the view 8Nen by the accounts.
Independent examSnerfs slateme
In connection with our examination, no matter has come to our attention..
IIIWhich Bive5 us reasonable cause to believe that in any material respect the requirements..
(alto keep accounting records in aCC￿danCe with Section 41 of the Charities Act and
Iblto prepare account5 which accord with the accounting records and comply wlth
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.
r Tom Bora CGMA ACMA
Tom Bora Management Accountants
Date.. 31 January 2025

JESUS OUR SAVIOUR MINISTRIES
STATEMENT OF FIN￿)CIAL AcfI%'iTIES FOR THE YEAR ENDED 30 APRIL 2024
SOFA
2025
21J24
Tbe Trujttts And MaD*gememt tomn￿ttee prtteDt ihe the Atcollnts of the charlty
Advert S&1¢5
Donaiions
Gift Aid
Servir¢b
Cornmissions
BJnk ItLicres1
TOTAL If*CO.IIIP4G RESOURCES AVAILABLE
FOR CHARITABLE APPLICATION
2.386
2.386
5.010
2.386
2.386
5.010
CHARITABLE EXPETr4DITbRE
A¢tlvliits:
Volunlc¢r5 and Fo(MJ
Priniing & Siaiionery
Subscrlpiions
ChurLh aLiivitses
Bank Charges
Rent
Sof¢guardiD8
D¢pr¢ciaiio
Adminstration
127
127
4.830
2,134
2,134
TOTAL DIRECT EXPEliDITURE
OTHER EXPENDITLRE
2.261
2.261
4.830
GovernatKe
150
150
150
150
150
150
TOTAL OTHER EXPENDrtURE
2.411
2,411
4.980
CHANGES I.Y RESOURCES
-25
-25
30
5￿8￿¢¢ BF ￿ l May
155
155
75
130
130
105
FJx¢d A>%¢L%
Cash at bank & in haNI
280
280
1.50
130
280
280
3VS
305
T•t#l ¢*rrettt *s*ets
LESS Creditors du¢ wrythiti l year
TOT AL ASSETS LESS LIABILITIES
130

JESUS OL.R SAVIOUR I11￿1STRIEs
BALASCE SHEET AS AT Jil APIUL 2025
The Trustee5 and Mana
I tommittee presemt the tht *c¢ouDts of the ch*rity
2924
Flxed Aswtl
C￿rreNt aV4¢1s
at hrtk & nj hnd
305
305
280
duc wtthm I
150
130
CMrrtDI 411¢ts
lesyrprr**i li•bMhl
130
130
155
Yothl AsKty
130
ijo
155
bnre5triettd Fu
T￿81 FuThJ5
J3•
J3•
iss
We ackn￿￿￿98 our r8sw)nstlyl￿es for kggpiro accwnting records in accordance with
$8ction 130 of the 2011 Charitses Act and to prepare acrounts accord w7th the
accounting rgcords and comK4y WTth accounting requirements of the Act.
Approved by the trusle8S
Tru51e6
Daled

JESUS OUR SAI'IOUR MIP•lSTRtLS
(YFLS TO THF. FIP4A%CIAL sTATE￿IE￿￿Ts
FOR YHE YEAR Ef4DED 30 APRtL 2025
l Accwntiftg Pol￿1¢9
By Ch*nti
bl
Voluntary irK(Kne is ￿￿Ved bywiy of artl gift#4Tr1 in th¢
StsttmezLt of FiDallrial Aniijlie5 wheD Te<eiYabie.
<} Grants 4t¢ ¢r¥Jited to the 5tsE¢rrMI of FiThKKial h¢¢i￿tles{￿l th ewli< datr ofrtsyiy
when receivobk. uoless thty (elAtttoaspe¢ifi¢d fupJrer￿KXL ID which c•se thry aTe
dl Re%tricied furth aTcknbcu5ed fly *￿Ifi*j puw ￿ tsNJ ¢kn4Jb bj" thedor¥x.
F.xpendiNTewhich ￿￿5 the5etriterii ￿ Char￿0 ts) the fi￿￿J. 108dkn with J (
¥PFmionmeHi of Su￿(¥[ 4nd •ThJ thtiniStr*tith GTants f￿the
pwrhay¢ of fixed a55cts arr Iwiially chw futwj uan5ferttd ￿the fixo
ss¢t fun
the charithble
panicularpurpoKy.
2025
2•24
Tthl
Total
Off¢rin85 incknh
2J86
2.386
5.010
Gift Aid ClakTn
Totsl In¢one
&oio
3 STAff and Nwt
There were fjo ** ￿ 30 A￿1 2021
Tunc s￿1 bytlK Tr￿ have T￿¢ iotothe x¢(MJrAs
as they th) wish w be
4 Governance
5 Crcthiorb
Crediiors
Ac¢Dxd Expe￿e5
150
150
150
CuyTenl Assety
C45h ai Bank
TANGIBLE A&SETS
305
305
Fw#ilW¢
& Equip
As ot 01 5.2024
Addiiions
Di5rw15
As QE 30.04.Z025
Drpre¢lAtlon
As ai Dl.05.2024
ch*r￿ for ihe Perm
As 0130.04_1025
ei book v¥1
As Al 30.04.2024
As wl 34.1142015
1.210
iJio