Light of Grace International Christian Centre (LOGICC) Receipts and Payments Account for the Year Ended 31 December 2024
| Receipts Notes £ Donations 1 Gift Aid 2 Total Receipts Payments IT costs and subscriptions 3 755.96 Rent 4 3,300.00 Musical equipment 5 4,410.92 Repairs and maintenance 6 1,922.83 Publicity 7 656.68 Travel and transportation 293.22 Welfare and refreshments 8 820.54 Events 9 2,183.56 Honorarium 10 220.00 Donation to other charities 11 200.00 Insurance 12 204.42 Other Admin 458.26 Total Payments Excess of Receipts over Payments Total funds brought forward from 2023 |
£ 12,555.30 4,122.76 16,678.06 15,426.39 1,251.67 780.39 |
£ 12,555.30 4,122.76 16,678.06 15,426.39 1,251.67 780.39 |
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| Total funds carried forward to 2024 | 2,032.06 |
NOTES TO THE ACCOUNT
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Voluntary donations received from members of the ministry and visitors to our programmes.
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Gift aid claimed on the donations of members who authorised LOGICC to claim gift aid on
their donations. This relates to donations received between January and December 2022.
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Cost of online meeting platform, website hosting and maintenance, and other subscriptions.
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Rent for a place of worship covering the period August 2023 to October 2024.
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Costs incurred for acquiring musical instruments and maintaining them as well.
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Costs incurred in repairing, painting, and acquiring some fittings in a rented place of worship.
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Publicity covers cost of flyers, banners, souvenirs and other social media ads for our activities.
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Cost of food and beverages for church meetings. This also includes financial support to church members that were in need during the year.
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Cost incurred in organising our annual programmes; 6th Anniversary celebration and Grace Feast year-end Christmas programme. It includes venue cost, equipment, food and drinks.
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Gifts to guest speakers at organised events.
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Donations to support selected charities that serve similar purpose as ours.
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Insurance costs for the meeting space and its equipment