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Psalm 1..3
LIVING SPRING CHRISTIAIY ASSEMBLY
rity Number: 1180133
TRUSTEES, REPORT
AND
FINANCIAL STATEMENTS FOR THE YEAR ENDED
30TH SEPTEMBER 2021

LIVING SPRING CHRISTIAN ASSEMBLY
TRUSTEES, REPORT AND FINANCIAL STATEMENTS
30TH SEPTMBER 2021
CONTENTS
Page
Charitys General Infommtion
Trustees Report
Statement of Financial Activities
Independent Exarniner's Re￿t
Summary of Financial Activities
Balance Sheet
Notes to the FinwKial Statements

LIVING SPRING CHRISTIAN ASSEMBLY
GENERALINFORMATION
30TH SEPTMBER 2021
Charity's General InforRll2tion
TRUSTEES:
Elder OYEDELE S. JENROLA- Chairnian
Mrs ABIMBOLA OLAWUYI - Secretary
Mrs ADETEtU KOYETO
Elder DAPO KOYFJO
Rev Mrs OLUWAUNMtLAYO OKOME
PASTOR IN CHARGE:
Rev Dr LUCKY O. OKOME
PRINCIPAL AND WORSHtP OFFICE:
14 tvy STREEr
m￿￿hester
M40 9LN
COMPANY REGISTRATION NUMBER:
CE015258
CIL4RITY NUMBER:
1180133
BANKERS:
LLOYDS BANK
ACCOUNTANTS:
SUNEX CONSULTING
Chartered Certified Accounrants
23 Beverley Street
M9 4ED

LIVING SPRING CHRISTIAN ASSEMBLY
FINANCIAL ACTIVITIES AND REVIEW
30TH SEiYfMBER 2021
FINANCIAL PERFORMANCE AND REVtEW OF FUTURE AcfIvITIES:
During the year total incomes of £2.217 were realised atKI £I.179 expended. All tra￿saCtIOns
the church and charity purp)ses. The net surplus movement in fuThl durit]g the year is £1,038.
accounting period.
The Trustees are pleased to rew)rt that the Church contlnued to be very swcessful in ministrring to many people,
tncre&8ingty reaching out to the community through vari(ws initiatives achieved through its committed volunteers and
and membership strength. The charity aims to ￿ntInUallY buikj upon its currcnt achievements. effectively spreading the
ethos of love and unity promoting the chritian faith in surrounding communities.
STATEMEiYf OF TRUSTEES RESPOI¥4SIBILTrY:
The charity's T￿￿ttts are responsible for preparation of fina￿la] statements. and they Consider audft is not required
for this year under s¢rtion 43(2) of th¢ Charities Act 1993 (the Act) and that an ind¢pendent examination is needed.
In preparing these fjnancial statement& the Trustees are required to:
select suitable accolmting policies and then appty them consistentty
' make judgemerts a￿1 estimths that reasonable a￿{ prudent
prepare the fiTJancial statements on the going concern basis unless it is inappropriafr to
presume that the chuwh will continue in operntional service.
* the fmancial statements are prepared as ￿qUired by Iaw to gtve a true aThl fair view of the state of affairs of the
church surplus or dcficit for that peri(xl. and safeguard the assets of the church.
INDEPENDEIYT EXAMINERS:
The Trustees appointed Sunex Consulting (Cl)artered Certified Accountgnts) as its inder￿ent examiners. And. a
resolution for re-app)inknent will be Pro￿)Sed during the next meeting.
This report w&$ approved by the Tn￿ on 30th Decemb¢r 2021 and signed on their behalf by trustee:
Name of Trustee: Elder OYEDELE S. JENROLA- Chairnun
Page 3

LIVING SPRXNG CHRISTIAN ASSEMBLY
TRUSTEES, REPORT
30TH SEPTMBER 2021
The Trustees of LIVING SPRNG CHRISTIAN ASSEMBLY {the charity) prescnt r¢port and Financial Ststement
for the year ended 30th September 2021 which been prepared in accordance with the Ststement of Recommended
Practice (SORP) "Accounting and Reporting by Charities" issued in OCto￿r 2000 and Revised Tn 2005.
LlVtNG SPRtNG CHRISTIAN ASSEMBLY. Manchester is a U.K regtstered charity which began &5 a Christian
charitable association in September 2018, when the propkticalty cOnf￿Med His call upon their lives to establish
vibrant new tcstam¢nt chuwh in the North West of England and to be a part of a church planting emphasis in the UK
This fmancial year, LIVING SPRING CHRISTIAN ASSEMBLY. cijntinues to operdte &8 a Charity and Christan
churc￿ having over committed volunteers drawn from professional and I￿￿-profesSIOnal backwunds.
STRUCTURE, GOVERNANCE & MANAGEMElYr:
Th¢ Truslees have been delegated the day-t(Hlay ruT￿]ng of Ihe Clwity to five of dKir TTUStees. Major decisions
are taken with consent and approval of all of the Trustees in aco)rth to the requirement of requirement of the
gov¢ming document. The work is sup￿rted by a number of volun*ers.
POLICIES AND OBJECTIVES:
LlVtNG SPRING CHRISTIAN ASSEMBLY exists for .
l. The advancement of the Christian Fatth for the benefit of the public in accor￿ with statements ofbelief
in JESUS CHRIST t￿hll￿s.
2. The provisi(m of relief essentials in ManclKster area in such other parts of th¢ UnTted Kingdom, grants. items
and s¢ryices to indiyiduals in need a￿Vor charities, or other organi5abons working to prevent or relieve pov¢rty.
3. The furtherance of the charitabk work of the charity by the advancement of such other charitable pur￿SeS &$
trustees shall decid¢ from time to time.
ACTIVITIES IN SUPPORT OF PUBLIC BE14EFITS:
The activities of the Charity have benefited aehievem¢nt in following ways in the ended 30th September 2021:
I. HOMELESS SERVICES PROJECT
Our outreach is anchor on reaching out to rough sleepers on street of mantster WIK) are homeless, w and hungry
We use christian faith as tcK)Is for increasing knowledge and promoting posittyc bchaTriourdl change in communities by
provision of essentlals of foodldrinks. ￿￿kSA￿K1 8lovesn)ats. t￿th￿sle/b￿Sh¢S. in festival pcriods for them to have
sense of belonging and enjoying celebration of Christmas in remembrance of the birth of our Lord. JESUS CHRIST.
All members of T￿SteeS of the Charity are volunteer Chaplai￿ in meetings with homekss people once a year.
2. FEMALE YOUTH KITCHEN PROGRAMME
Thc charity is at the point of introductng c(K)kin8 progrdmm¢ to young girls. Irs of notorious popularity that severdl
young ladies have littk or rKP knowledge of preparing f(Kd at home as they are abiThling culture of fast fiKKI and take
away f(XKi which to sotne extent contribulin8 to marriage breakdow￿ with misunderstanding.

LIVING SPRING CHRISTIAN ASSEMBLY
INDEPENDENT EXAMINER'S REPORT
30TH SEPTMBER 2021
I have examined the fllwR¢iai statements, which comprlses the financial activities. the Balance Sheet and the related
Notes on pages 7 to 8 and the accounting policies of LIVING SPRING CHRISTIAN ASSEMBL Y for the
y¢ar ended 30th September 2021.
This report made solely to the Clwitys Trustees {wlx) arc the members of the charity for the pUt[￿￿s of charity
obligations) and are responsible for the preparation of the accounts. Tr TTUStees think that an audit is not required for
this year under section 43(2) of the Clwities Act 1993 (the Act) aThl that an iwent examinatM)n is needed.
Respective responsibililies of Trustees and Independent Examiner:
As de%ribed on page 3. the Tnjstees are responsible for the preparation of fman¢ial slxtements. It is my responsil)ilty
to carry out an independent examination of those fina]Kial statements and ￿ issue a report based on that examinatiOTL
Seop¢ Of examiner's Statement:
I conduct¢d my examination in lin¢ with dirccti(ms given by the C￿￿￿ty Conunission uThler section 43(7)(b) of the
Charities Act 1993. An examination includes a review of accounting records kept by the charity and comparison of
the financial statements with those records as well as explanations from trustees concerning the records. The
procedures undertaken do not provide all the evidence that would be r4uir¢d in an audiL Consequently no audit
opinion is gtven and the rep)rt is limi￿￿ to the statements klow:
Independent examineTS ststement:
In connection with our examinatio￿ no matter h&8 come to my attention:
l. Which gives me rwonable ￿U$¢ tt) ￿lieve in any material respect the rquirements:
* To keep accounting records in accordance with section 41 of the Companies Ad 2006,
* To prepare fmancial statements whKh accord with the accounting records and compty with the accounting
requirements of section 386 of the Companies Act 2006 and with the metlKMls atKI principles of the SORP..
Accounting and Rewting by Charities hav¢ rnt tw) m¢L (
2. Which in our opinion, attention sknuld be drawn in order to enabk a proper tstsJers￿1n8 of financial statements
to k reached.
Signed:
and dated 30th Decwnber 2021
SUNEX CONSULTING
Chartered Certified Accountants
23 Bev¢rl¢y Street
M9 4ED

LIVING SPRING CHRISTIAN ASSEMBLY
SUMMARY STATEMENT OF FINANCIAL ACTtVITIES
30TH SEPTMBER 2021
2021
TOTAL
Funds
2020
TOTAL
Funds
Unrestricted
Funds
Restricted
Funds
NOTES
INCOMING RESOURCES:
Voluntary Donations Income
TOTAL INCOMING RESOURCES:
2,217
2217
2.217
2217
1,878
1,878
RESOURCES EXPENDED:
Charitable Activities
Govemance Costs
T(YfAL RESOURCES EXPENDED:
559
620
(1,179)
559
620
(1,179)
647
588
(1,235)
NET MOVEMENT IN FUNDS FOR THE YEAR
1,038
1,038
643
Page 5

LIVING SPRING CHRISTIAN ASSEMBLY
BALANCE SHEET
30TH SEFfMBER 2021
NOTES
2021
2020
FIXED ASSETS
Tangible Assets
280
350
350
CURRENT ASSETS
Cash at Bank
2,931
2931
1.622
1,622
Amount Due Within l Year
766
NET CURRENT ASSETS
Amount Due After l Year
TOTAL NET ASSETS
856
(o
1206
o)
2244
Gcneral Funds
2.244
2244
1,206
1206
These statements of fllwicial activty was approved by the Tn￿te¢S on 30th December 2021. and sigwl on their
behalf by the trustee:
Name of Truste¢: ABIMBOLA OLAWUYI . s￿rthary
Signature:...........................
Page 6

LIVING SPRENG CHRISTIAN ASSEMBLY
NOTES TO THE ACCOUNTS
30TH SEPTMBER 2021
I. ACCOUNTING POLICIES
The financial statements have been prepared in accordance with applicable Accounting Standards in United Kingdom
with the appliGation of FRSSE and the Statement of Recommended Practi￿"AcCOunting and Reporting by Charities"
("SORP 2000 and SORP 2005") issued by the Charity Commission. ASumM￿ of the pritKipal aCc(￿nting p)li¢ies,
which have been applied con5i5tently is set out below:
(a) Basis of Preparation of Finallcial Stetements"
The financial statements are prepared under the historic cost convention a￿1 include the resuh of chartty's operation,
which are described in the T￿￿tee'S Rep)rL of which are continuing.
(b) Incoming Resources:
All incomes is credited to the Statement of FinanciaI Activities on the earlier date of when they are received or when
they are receivable.
{c) Restricted Funds:
Restricted ￿ndS are to be used for specific purposes within the objects of the charity. Expenditures which meet these
specific Griteri4 will be ma￿h¢d with a fair all(xatM)n of manag¢rnent and sUp￿t costs. There was a no Restricted
during the year.
(d) UDr£stri¢ted Funds:
Unrestrtcted funds are donations, offerings and other incomes generated for the objects of the charity without furthcr
specifi¢ purposes and are available for general and public futKI5.
(e) Resources Expended:
Dired Charithble expenditure includes all ex￿￿lture incurred by the charity in pursuit of its charitable objectives.
Govemance expenditure in¢ludes all costs incurred which relates to the charitable a￿1 for administaration of thc
chartty in Compliance with constitutional and statutory requirements.
Tangible Ftxed Assets and Depreciation:
Tangible fjxed assets ar¢ stat¢d at cost kss depreciati(m. D¢prcciation is pn)vid¢d at Tates in ord¢r to wrik off cost
of each assets, less their estimat￿ residual value over its estimated useful life as follows:
Officc Equipment
20 /0 at reducing balance
Page 7

LIVING SPRING CHRISTIAF4 ASSEMBLY
NOTES TO THE ACCOUNTS
30TH SEPTMBER 2021
2021
Unroytricted Restricted TOTAL
Funds
Funds
Funds
2020
TOTAL
Funds
2 Voluntary Donation Incomes=
Tithe, Thanksglving and Offerings
2.217
2217
2,217
2217
1,878
1,878
3 Charitable gctivities
Unrestricted Restri¢ted TOTAL
Funds
Funds
Funds
Iix)
100
459
459
TOTAL
Funds
205
197
245
647
Homeless
Donations
Honorarium
559
559
4 Governance Costs
unrestrict￿ Rutri¢t¢d TOTAL
Funds
Funds
150
150
200
200
2(M)
200
70
70
620
620
TOTAL
Funds
150
100
250
88
Rent & Utillties
OtTi¢¢ Expense5
A￿Ountant Fees
Depreciation of Assets
5 TANGIBLE FIXED ASSETS:
Office
Equipment
TOTAL
TOTAL
COST I VALUATION:
Opening Bal￿￿e
Additions
Closthg Balance
454
75
529
454
75
529
454
75
529
DepreciatioD
Opening Balance
Charge for the Peri
Closing Balance
179
70
249
179
70
249
91
88
179
Net Book Value
Opening Balance
Closing Balance
350
350
438
350
Page 8

LIVING SPRING CHRISTIAN ASSEMBLY
NOTES TO THE ACCOUNTS
30TH SEPTMBER 2021
2021
2020
6 CREDITORS: AmouDt Due Within l Year
Current Acwunt
Accnllls
767
200
967
516
250
766
7 MOVEMEY4T IN STATEMENT OF FUNDS
Unrestricted Restrict¢d
FuTKb
1206
1.038
TOTAL
Funds
1206
1.038
TOTAL
Funds
563
643
Net Funds br()ught fonvard oiiior2020
Surplusl(Deficit) for the Year
Net Funds Carrled forward 30109r2021