R￿lstered Charity No- 1181468
GREATER FAITH
MINISTRIES
Trustees, Report and Accounts for the year ending
01 July 2025

CONTENTS
PAGE
Legal and Administrative Details
Trustees, Report
Independent Examiners. Report
Statement of Financial Activities
Balance Sheet
Notes to the Accounts
Detailed Statement of Financial Activities

REFERENCE AND ADNIINISTRATII'E DET AILS OF THE CHARITY, ITS TRUSTEES
AND ADVISERS FOR THE YEAR Ef*DED 01 JULI. 2025
Trustees
Bishop Lennox Hamilion (Chair)
Marlenc Lo￿aIne Miller
Gladys Elaine McNeil
Shirlcy Hamilton
Charity registered Numbcr
1181468
Date ufcharitable reEistratlOD
8 January 2019
Principal office
LccmLYc Ccntrc
29-39 Clarendon Rise
Le￿.IShaM
London
SE13 SES
Independent exxminers
Accouniing Assisi Lid CIO Good io Give Lid
Banke
Barclays Bank PLC
I Churchill Place, E14 5HP

TRUSTEES. REPORT
FOR THE YEAR ETr*DED 01 JULY 2112$
The Board of Trusiees. who are the ttusiees for ¢lwiiy la￿. purposes. submii their annual repon and
the financial siaiemcnis ofGreaier Faiih Minisiries for the year ended 11 l July 2()25. The Board of
Tru5te¢s confirni the annual r¢p)rt and financial Slaicmcnts ofthc Charity Co￿pIY currcni
statutory rcquiictncnts. thc r¢quir¢tncnts of the Chatity's goi'crning d￿uMent. Financial Reporting
Stsndard 102 IFRS 1021 and the Charitics Stht¢m¢ni ofRccomm¢nikd Practicc (FRS 1021.
Structure. governance mamgemettl
The 4 Trustees are:
Bishop knnox Hamilion (Chair)
Mar]￿¢ Lo￿aIne Mill¢r
Gladys Elaine McNeil
Shirlcy Hamilion
Thc Trus¢¢¢s play o primary rolc in cnsuring gO￿j goVCrna￿C and funciioninB of thc clwrity. The
Board's role, fun¢iions and t¢sponsibilities ar¢ quile clearly d¢find.
The Chariiy currcntly has a sirong team ofAdvisory B(Mrd mcmbcrs in the UK who havc hclpcd to
sccurc financial suppon and contribut¢ io futur¢ planning of th¢ or84misoiion.
GoYernlnR document:
Greater Faith Ministries is A Charitsble Incorpratcd Organisation (CIO) and re81s￿red as a Charily
on 8 January 2019. Thc chariiy is govcrncd by its consiiiuiion daicd l July 20111.
Ref ruitment and #i)i)ointfflcn¢ of IrU4¢c￿.
The members of the Gcnerdl Trustee Board are truslees for the PU[F￿SeS ofchariiy law. New trustees
may ￿ appoini¢d by ￿$0]ul10n ora mcrfing of thc in￿le¢S.
Much ofthe charity's wcffk focu5es upon the promotion of the Chrislian religion and ihe rutming and
maint¢nancc of ils pla¢¢s of worship.
The General Tn￿tee Board seeks to ensure the needs ofthis group are appropriately reflecied
Ihrough the diversily of ihe trustcc body. To enhance ihc potential pool ofirustccs. the chaTlly has.
through sclcctiyc adN'crtising and nclworking with i'oluniary organi7ations ￿[1￿.¢ in thc sccior. sOU8h(
to idcntify ihosc who would bc willing to bccomc membcr5 ofthc chariry and ￿ their omryj
cxpcricncc to assist the charity.
Kiyk Mana#cment:
We are committed to a policy of identifyin& moniioring and managing the risks that mighi adversely
affcci the aciiTrities in which we are involitd. In Ihis coniexi. risk is dcfincd as ihc ￿lentla1 io fail io
achicvc charity objcciivcs and for105s. financial and rcpuiaiional. inhcrent in thc environmeni in
which wc opcrnie in ihc naiurc of ihe transactions undertaken.
The principal risk of the clwity has been its dependence on volunthry income. Trnstees have initiaied

TRUSTEES. REPORT
FOR THE YEAR ETr*DED 01 JULY 2112$
various procc55C5 to mitigate such risk. so ihai thc charity has 5ufficicnl rcscrvc in the evcnt of
advcrs¢ condition{s).
The irustee5 hai'e also examincd oihcr opcraiional and business risks which they face and confirni thai
they huvc iaken Steps io mitigate thc significani risks.
Public Benefit:
The Trug¢¢¢g have complied wilh the duty in Section 4 of the Charities Act 2(X)C? and hav¢ paid due
regard to public benefit when preparinbT this report. The t¢nefii tyovided io the public is consi51eni
with the aims of thc charity in UK.
Objective$ and xetiv1ti￿.
To advaKe ihe Christian faith for ihe bencfit of the public in accordance with the siaiemcnts
of ￿ller app¢aring in ￿hedule.
To promoie for th¢ b¢n¢fii orth¢ inhabitsnts ofLondon and the surroundtng area ihc
provision of faciliiics for rccrcaiion or oiher Icisurc lime occupaiion ofindividuals who have
nccd of such fa¢iliiics by reason of thcir ycwih. age. infimiiiy or disablement. financial
hardship or S￿la] and cconomic circumsthn¢¢s or for ihc public ut largc in ihc intwcsis of
social ￿'elfare and ￿'11h ihe objea of improving ihe condiiion of life of ihe said inhabilan￿.
To act as 4 r¢sour¢¢ for young p¢opl¢ by pro&idin8 advic¢ and assisthtJc¢ and iYganisin8
progrllmmcs ofphysical. cducaiional and Lmhcr acliviiics a5 a mcans of..
advancing in lifc and helping young pcoplc by dcvcloping ihcir skills. capociiies and
capabilitics to cnablc ihcm to parti¢ipai¢ in S￿l¢LY as ind¢p¢niknL maiurc and
rcsponsibk individuals.
adi'ancing ¢d￿allOn
Financi41 review:
The lar&yes¢ coniribution to the charily for the year came from genernl offerings. The Charity has begun
its charitable activities from its inccpiion.
The Chariiy ¢urr¢ntly Aims ¢0 dcsi8Wlt¢ ￿ iothl fund rff¢ivcd Iw eX￿n5￿ for th¢ main objc¢iiv¢ or
the chariiy.
Plans for future periodq:
The Charily plans to dcvclop various funthaising strategy io include muss marketing. Bcsides mass
marketing? and ev¢nLS, Lh¢ ¢hariiy is aiming io a¢hiei¢ ils iarg¢LS thr()ugh sff uring donaiions from
williii¥ jtidJTr Iduul>. A dLv¥lvpiiKiii bvatd iiwy Ix. iv IKly iiiilud¥ vdi¥i #v¥iiuiti vr ruiidi#i>iii
to be included in the ycarly pro8rnmm¢.
Statement of Buard ol Trustees, reS￿n￿]b]I]ll¢s.
The Board of Trust¢¢s are r¢sw>nsibl¢ for pr￿aring th¢ Annual R¢port and ih¢ financial stai¢m¢nts in
a¢¢ordawe w'iih appli¢abl¢ law and Untied Kingd(An Generally A¢¢epied A¢¢ouniing Pra¢ti¢e.
Charity law applicable to charilies in Englanrlwales requLre5 the Board of Trusiecs to prepa
41Page

TRUSTEES. REPORT
FOR THE YEAR ETr*DED 01 JULY 2112$
ritwicial statements for each financial year which gil'es a tyue and fair wiew ofihe state ofaffairs or
Ihe Charity and of ihc surplus or defici( of the Chariry for ihai period. In preparing ihosc financial
statcm¢nts the Board of Trusices hav¢=
Selected suitable accounling policies and applied them consistently.
Made judgments and ¢stima*s that aff reasonable and prudent,
Siaicd wheiher applicablc accouniing sthndards hai'e bcen followcd. subjcci to any matcrial
depanures disclosd and explained in ihe financial siaiemenis.
Prcpar¢d thc financial siatcmcnts on a going conccrn basis (unl¢ss il is inappropriate lo
presume thai the Chariry will coniinue in operali￿).
The Board of Tru5lCC5 has ovcrdll rcspon5ibility for cnsuring thai ihc Chariry has an appropriatc
systcm of conirols. finwicial and oihcnvise. Thcy arc also rcsponsiblc for kccping prow accouniing
records. disclose wilh rcasonablc accuracy ai any iimc ihc financial position of Ihc Charity and cnablc
th¢m to ensure Ihai the financial sthiemenis comply with the Chariiies Aci IW3. They arc also
respon5ibl¢ for safcguarding the assets of thc Charity and hence for taking reasonable sieps for the
deleciion and prcvcniion of fraud and oihcr irrcgularitics.
Th¢ Board of Trusi¢¢s is rcsponsibl¢ for ihc mainmn¢e and iniegriiy ofLhe ¢orporai¢ and financial
inforniation. Lcgislation in thc Uniicd Kingdom govcming ihc prcparnlion and disscminalion or
rinancial statcments may ditTcr from le8islaiion in other jurisdbciions.
St#lement ofdi4closur¢ ofinform*¢ion to indcpcThden¢ ¢x4mincr
Wc. as ihe Trusic¢s of the Chariiy who held 0￿1¢¢ at ￿ daic of approval ofthcsc financial s￿lemen15
as set out on pase 2 each confinn. so far os we are aware. thai..
Ther¢ is no r¢l¢vani infom￿l10n ofwhich th¢ Clwity'$ iThj¢FWd￿t ¢xamin¢r 4r¢ unawor¢.'
and wc havc
iakcn all ihe $￿pS ihai we cmJ8hi io have tskcn as Trus*es in order io make ourselves aware
of any rclcvani infomiation and io cslablish thai thc charity's Indep￿ndertl cxamincr is awarc
of ihat infornialioD.
Indei)cndent Examincr:
The Chaniy's inder￿nden1 examiner. Anum Hassan. FCCA of Accounting Assist Lid Clo GO￿ to
Give L(d. haye indi¢aied their willingn¢s$ io offer themselves for appointhieni.
This ￿port was approved by the Trusices on and sI￿¢d on d*ir bchalf by..
Signature.4BH***..............

INDEPEYDEYT EX.4￿ll￿ER.s REPORT
FOR THE YEAR E￿DED 01 JULY 21125
INDEPENDENT EXAMINER'S REPORTTOTHETRUSTEES OF GREATER FAITH MINISTRIES
I un th¢ fiTL¥nLwl ¥lat¢Tn¢nL% ()[ Ihe Lhatily for th¢ y<¥i eth 01 July 2025 ￿'h￿h Lomwi&e the Ststunent
ot'l.inaniial ALliviiies and 13alaNe Shed with assfKiaie ThLNes.
This rLWt is made solety to the ehaTitys TTu&ees. as a Wy, in aceordarKe with st£tion 145 of thc Charitles
ALI 201 l and T¢¥ulali()n¥ ma(k und¢T ￿¢ti()n 154 of ihal Acl. My woik h&¥ ken und¢¥thkcn su thal I mighi %tsie
lu the Llwrily'% Trusleex iIM)se Inalle￿ l am requited iu slal¢ lu iheJD in an Indwnd¢nl Cxa[n￿¢rfS r¢pciTi and li)r
no oihcr pwp05c. 'lo ihc tiillcsl eXlLYLI pern]illed by law, I do noi accq)i or assunic rcsprnsibility lo anyone other
than the chariry and the charity'$ Trus*es a h￿y. formy exaininaiion work.
R¢*rrtlv¢ Rcspothslblll¢lr5 of TTltsttts •tyd Ex•ml*¢r
The charitys Tnasiees are resp()nsible for the preparation of the financial sthicments. and ihcy Consider thai an
a￿11 is ncii TL'4U￿L￿d for Ihis year undLY S¢Liion I4412101-￿ Lhariiits ALI 2011 {thL ALI) and thai an
ind4)LndLml LxomLnaiiot) is nLxxled.
It is my re$txJn%ibility lo..
F.xarninc lh¢ wcry]nl$ lundcr %¢¢lion 145 (If ihc chari11￿ Acll..
.1 (I r(Ill(Iw ihl pniL¢YturL*14id d(IMm in IIK. (i¢th¢rnl l)IreciiMs by Chariiy Lommi%i(m¢rs
lut)diY %e¢iii)t) 145I5Xbl i)I' th¢ Lh8TiIi¢5 Aill: and
'I'c) %iai¢ whiihiy porti¢ular nwi*r5 hav¢ ¢ome my aii¢niion.
Bas1% of Indtpendent EAamintr's report
My ixthminali(?n wi% Lthmixl (wi in thLL(?ril￿¢C wilh ihc Dir¢Llii)n% 8]vL￿ by thc Churiiy
ComniiysionLrs. An ¢xJ)minaiion inL]￿ll￿ a r¢vi¢w of ih. a¥¢ouniing Mords kLyi by thL' Cir(>uplCh4n"iy and a
Li)mpari*()n c>t'ihL aLccwnis preK'nlLMI with i￿)*C reLwr&%. li a1$4) illLludL¥ consLdLYaticm ol'any ￿￿￿￿Ual ilLIIIS ()T
di¥Llo%uri% in Ihc accounls and ¥ciking lxplan￿llons Irom you a% tr￿SIC¢S cTrnccrning any ￿ch mallcpi. 'IThL
pr(iit(lurL* un(k.riakt￿ d(1 ni)I proviik. all lh¢ ¢vidcnc¢ ikni would bc rLy4ULrd in an audil. ond c(InwuLnily no
()pinion i¥ given whithiy th¢ pTe•¢nl 4'tyu¢ f8w' vi¢w th¢ rwn i¥ limii¢J io tl¥)¥¢
mJiiLY% NL'I 4)ul in ihe slaiLmLmi ￿k)w.
Indep¢ndcnt Examlner's •tatvmethl
In LVtinLLllC?n with my ¢xamitWlLUry Tho malter hLS corne lo my ai*ntion'.
11 whiLh yives me rea￿￿ab]e Lause lo believe lha¢ in any malerial respeLi the rewiremenl
lo k¢¢p o¢¢c?uniing r¢¢ords in S¢¢[*d￿r¢ wilh s¢dion 110 ol"Ih¢ Arl: and
lo picpurc financial statcmcnts which acc[￿ wilh the accirtmting r¢coTd5 and comply with ih¢
aLLounling i¢quiiemenis orth¢ Acl
havc not bcLTh Tnct." 01
21 to which. in my i)pinion, all¢ntton 51K)uld ￿ thawn in order kn ¢nabl¢ a PT(yu undeNaTLding of the
rLnan¢ial siaiemen15 10 be reathed.
Datcd. 301412026
Anum Hassan. FCCA
On behalf ofAccountiDgAssist Ltd
61Page

STATE￿IENT OF FIN.4NCI.4L ACTIVITIES
(Incurpuratin% incumc and expcnditure accuunt)
FOR THE YEAR ENDED 01 JULY 2025
Rc5trk*td
Total Funds
Tolal Fund%
2•25
2025
20Lq
2024
45J42
45J42
48.414
tiill Aid
1.223
1,225
6.129
Ihh¢r 1th￿rn¢
600
'lot*l rttour¢ei
46.467
46.467
expended
l)itYcl C￿￿n￿bir expthditiiir
67.713
67.713
liovernance ¢as
921
Total R**oMr¢t% expended
8&73
68ffj73
Mpv¢nKM in total for lh¢ y¢Br- I
ILXPL Thjiiurrl Fur th¢ yr•r
21106
Z1106
Fund br(XiBhi ron¥￿d
l.und trAlance c4rried fonwwd
411.Sl9

BALANCE SHEET
AS AT 01 JULY 2025
2025
21124
2024
Noi¢
C.'IIRREf4T XSSETS
Ikbkn8
1,6_12
18.781
40.887
18.781
42.520
('R Tr'DIT(IR%.' onx)unig [￿1•￿8 du¢ within oth¢
ear
-168
2.(K)I
Tr'T I'IIRR Tr'NT
18.411
40.519
18.413
('IIARJTI' Tr'iif*DS
18,413
TOTAL lllWDS
J8.4l3
The financial siaiemenis were approved by the Trusiees and signed on their behalf. by..
Name......
Shirtey Hamiltor
Thc notcs on pagc5 9- 10 fonn part of thc5c financial 5tatcmcnts
81Page

NOTES TO THE FINANCIAL STATEMENT
FOR THE YEAR ENDED 01 JULY 2V25
I. ACCOUNTING POLICIES
Ba¥is of preparation Df financial statements
The financial s￿￿entS hav¢ been pr¢pared under ihc hisiori¢a] cosi conveniion ond in
accordance wilh Financial Rep)rtinb) Siandard 102 (FRS 102) and the Chariiies SiaLemeni of
Recommendcd Pra¢ii¢¢ (FRS 102). applicablc io chariiics pr¢paring th¢ir a¢¢ounLS und¢r ihc
aCCn￿lS basis.
Fund accountin%
Gcneral funds are unrestrictcd funds which are available for use at the discretion of the
Tru￿¢¢$ in furth¢ran¢e ofthe b)¢neral objeaives ofihe charity and which have noi iKen
designated for other purpos￿.
Resiricicd funds are funds ￿'hiCh arc 10 bc used in accordancc wilh spccific rcsiTic(ions
impos¢d by donors or W￿Ch hav¢ rnis¢d by th¢ ¢harily for parii¢ular purposcs. Th¢ Costs
ofraisirtb and athninisicring such funds cbar&ycd abainsi the s￿¢If1¢ fund. Thc aim and
use of eoch rcstricicd fund is sei oui in the noies io ihc financial SthLemcnts.
rcqourceq
All incoming resources arc includcd in the st￿eMent of financi￿ aciivitics whcn thc charity
has ¢niiil¢meni io thc funds. ccnainiy of r￿¢]￿ and ihe omouni can bc mcasurcd wilh
surri¢i¢ni r¢liabiliiy.
Donaicd scrvi¢cs or facilities. which comprisc donaicd services. arc includcd in income at a
'alug1ion which is an ¢siimai¢ ofihc financial cosi born¢ by thc donor ￿.h¢r¢ such a cosi is
quaniifiabl¢ and mcasurabl¢. No incomc is reco￿lS¢d whcrc thcrc is no financial cost bornc
by a third pany.
Incomc tax rccovcrdble in rclaiion io donulions received under Gift Aid or deed5 of Co￿nant
is recognised ai Ihc lime of Ihc donaiion.
Rtwurce% expcndcd
Expcndiiurc is accounicd for on an accnthls basis and ha5 bccn included under cxpcnsc
catc&borics that abbrcgjaic all costs for allo¢aiion to ac1]￿]11¢$. Whcrc cosis cannoi bc dirccily
iiributed to panicuiar aciiviiies. thcy hai'e all(xaied on a bosis consisicnt wilh the usc
of the resour¢¢s.
Fundraising costs are those incurred in seektng fvoluntsry con￿lbUl10ns and do noi include Ihe
costs of disseminating infoThnaiion in support of thc charithble actiN'ities. Support Costs are
thos¢ costs in¢urr¢d dircctly in suppon of ¢xwnditurc on th¢ objccts ofthc ¢harity and
include projecl managemenl carried oui ai Hea(￿uarterS. Governance costs are Ihose incurred

NOTES TO THE FINANCIAL STATEIIENT
FOR THE I'EAR ENDED 01 JULI 202$ {( (Inlinued)
in connection with administration of the chariiy and compliance with ¢onsiitutional and
sialu￿ry requirements.
Trustte Remuncr#tion & Expenses
One trustee re¢¢iv¢d remunetation during the year amounting io £17.550 (2024= £18.1071 for
services provided io the chariiy in iheir capaciiy as a pric￿. No ffiLsiee received remuneration
or bencfiis in respcci of ihcir duiies as irusiee.
101 Page

DETAILED STATE￿IENT OF FINANCIAL ACTIVITIES
(In£orporatin% Income and Expenditure AccouDt)
FOR THE YEIiR E￿DED 01 JULY 2025
Unrestrictt41
Total
Total
2023
Incomin
Re*ources:
45.-142
45.-142
48.414
Gift Aid
1.225
1.225
6,129
Other Iniom¢
Tot*1 IDcomln% Resources
AdvL'rii¥itJ
ns
1.010
InsuranLe
491
491
470
Priest
17,550
17,550
18.247
7.0(xn Lost
173
173
2.15
Crtneral 1..x￿wS
MusiLian
6.854
6.854
15..199
5.634
5.634
Rent
24,897
24,897
16,876
(Fift & l)on&lions
2.975
2.975
5.201
Trdvel
8,072
8.072
Coaih Hir¢ & F.quipm¢ni
3.13
7(K)
GovenwiLe Cosls
921
Tot*l Expendlture
68.673
68.673
Net Intome l Kxpendlture
21.106
22.106