Cl]aTity Registration No.
1181740
EO Fowidation
Report and Accounts
For the period from l October 2024 to 30 Sepltmber 2025

EO Found*tion
Registered nllmber: 1181740
Trustees Report
Tror the period from l October 2024 to 30 Sept¢mber 2025.
The Tn]stees' present herewith their report together with financAal staten)ents for the
period from l October 2024 to 30 Septeml*r 2025.
Organisalional Strneéur
The iN)ard of trLstees is made up of three members who admini8ter the charity. 'fhe
board is drnwn from the chairpersons of various conllnittces 5u¢h as welfare, flllance
and youth deVdOp￿c￿L
Objeclives and activiti¢8
The objective of the clwity is to advan￿ the Chtistian Faitb in United Kingdom for
the benefii of the public throu￿. a) the hokling of Prayer M¢¢t1￿ producing and
distribution of Christian Literatures) to r¢li¢ve Financial l)ardship and to promote
good h¢dth and Pastoral suptM)rt for the sick. The c]Jarity h&8 also embaTk on Zoom
meetings to propagate the aiK)ve.
Achievements
The cl)arity had organised lectures to emp)wer the less privilege members of tbe local
communities in tcEms oll(K)king for employment and investment opportimities at
Southwark library.
This rqx)rt was 4)proved by b(wd on 2g May 2026 and signed on its bebalf.
Fa
Chairperson

INDEPENDENf EXAMtNER'S REPORT TO THE TRusfEES OF FO
FOUNDATION FOR THE YFAR FNDED 311 SKiyfEMBER 2025
Itk accordance the etwement letter given to and io order to assist you to fulfil
your duties under the Clwities Act 2011. we have compiled th¢ fin￿￿la1 slatements
of the charity's financial ststetnents c8rri¢d out under seLtion 145 of the 2011 Act and
carrying out my exaniination I have followed all the applicable directions given by the
Clwity Conllniwon under section 145(5)(b) of the Act.
IDdependeat examiller's #tatsment
I have completed my examinthoL I confimi that no Materi￿ matters have come to
my attention in conn¢ction with the examinthon giving me cawe to believe that in
any material r¢S￿et'.
Accounting recor(Ls were not kept in respect of the chatity &% reqUI￿d by
ction 130 ofthe ACL or
The financial statements do not accord with those records. or
The financial stalen￿nts do not comply with the applicable requirennlts
concerning the forni and conteut ofacu>unts set out in the Charities (Accounts
and Reports) RegLdations 2008 other than any requirement the accounts
give a 'true and fair, view which is not a matter considered &s part of an
independent examination.
I have no c4)ncen]s and have come no oth¢r n￿tte[S in LX)nneclion with the
examination to which altention should be drawn in this rq￿ ID order to enable a
proper ut]d¢rthding of the accounts lo be reached.
o FCCA.
(Chartered Certified Accountants)
Date: ZL15-ILoL6

O Foulldatio
Statement of Financial Activiti¢s for the year ended 30 September 2025.
Not&4
2025
2024
8,670
14,145
Direct operating expenses
9,980
9.980
Gross Profit
(1,310)
4,165
Distributxbn Costs
Admirristrative expenses
1,150
1.610
(2,460)
2,555
Exceptional items:
Profit on disp)sal of taDgible fixed ass¢ts
Profit on the disposal of investments
Income from investments
Interest receivable
Interest payable
(2.460)
2,555
T&x on Profil OB ordinary activities
Net incoming resources
(2.460)
2,555

O Foundxtio
Balance Sheet ￿ at 30 September 2025
Notey
2025
2024
Fixed Assets
Tangibk
Deblors
1250
302
8.100
161
1,552
8261
Creditors: all￿U￿ts falling due
6 {500)
(500)
Net current assets
1.052
7.761
1,052
7,761
Creditors". amounts f811ing due
after more thall one y
(5.467)
(9,716)
Net assets
(4,415)
(1,955)
Funds of the eharity
Income and ex￿dIt￿re aLYount
{4.415)
(1,955)
(4.415)
(1.955)
The Staten￿nt of financial activities includes all gains and lo&w recognised in the
All I￿rne eX￿llUre derive from continuing activiti￿.
Alin]atu Kakay
Trustee 2£ Is1w6

EO FOUNDATION
Notes to the A¢counts for the year ended 30 September 202S
l. Aceounting Policies
Accounting conversion
The accounts have bccn prepared under the historical cost conversion and in
accordance with the Financial Reporting Standard for Smaller Entities
(effective April 2008).
2025
This is sthtd after Cbarwg:
Depreciallon of owll¢d fixed &￿ts
2025
3. Taxation
UK COr￿ratiOn t&
4. TangJl)le Fixed Assets
Equipment
Total
Cost
At l October 2024
At 30 Sq)tember 2025
Depreciation
At l October 2024
Charge for the year
At 30 Septeml*r 2025
Iyet bookvahe
At 30 Septern￿ 2025
5.Ikbtors
2025
Other Debtors
1250

EO Fowidation
Notes to the Aeeounts for the year ¢Dded 30 September 2025(eon¢)
6. Credllto￿ amouuts falling within one year
2025
CoryK)ration Tax
500
500
7. Cr¢ditors: amounts falling due after one year
2025
Other cr¢ditOTS
5,467
5.467
2025
At l OctoE£r 2024
Prior year adjustments
(1,955)
At l O¢tober 2024
(LossyProfit for the year
(2,460)
At 30 September 2025
(4,415)

EO Foundation
DETAILED EXPEIYSFS FOR THK YEAR ENDED 30 SEpfEMBER 2025
2025
2024
Sales
8,670
14,145
DIRECT EXPFNSES
Use of Home
SecretaTial Costs
Office Rent
480
480
95(M)
9.500
9,980
9,980
Wages
Motor Expenses
Trnvel subsistence
Pholle and Internet
General aDd administrative expenses
Welfare and Covid ex￿nSeS
Accountancy Fees
Postage and Stalionery
Depreciation
300
450
500
60
500
loo
500
250
1,150
1,610

O FOUNDATIOF4
CORPORATION TAX COMpvfATION FOR THE YEAR ENDED 30
SEFTEMBER 2025
Net Incon￿{tA)ss) for the Period
Add: Depreciation
(2,460)
t£ss: Capital Allowances
(2,460)
Cory)oration T&
CAPITAL ALLOWANCES
WDV Bffiwd
LESS:WDA 18/•
WDV C￿wd