JOY CHRISTIAN CENTRE INTERNATIONAL
(REGISTERED CHAIUTY NUMBER-1181970)
TRUSTEES, REPORT AND FINANCIAL STATEMENTS
FOR THE YEARENDED 31 MARCH 2024

JOY CHIUSTIAN CEKfRE INTERNATIONAL
Reports and Accounts
Contents
Page
Tn￿teeS Annual Report
Independent Examlner's report
Statement of FlnancSal ActiVI￿e$
Balance Sheet
Note$ to the Account5
9-11

IOY CHRISTIAN CENTRE INTERNATIONAL
Trustees Annual Report
For The Year Ended 31 March 2024
Rev jerome Bortey Mensah
Naomi Narterkl Tetteh
SlbonBlle BeD¢dlrta LanKa
Nomakhaya Cleopatrg NdlTh15a
Slbongile Benedlcts
94 Leslle Road
London
E114HG
1181970
Trlnlty Ac¢ Llmlted
Chartered Certlfied Accountsnt
319 Welbeck Road
London
SMS ILN
Barclays Bank plc
S43 Norwood Road
West Norwood
London
SE27 9DW

JOY CHRISTIAN CENTRE INTERNATIONAL
The rrustees presentthelr reportand accounts for the year ended 31 March 2024
The Trustees have adopted the provisions of the Statement of Recommended Prartice (SORP)
"Accounting and Reporting by Charities (Revised 2005) In preparing the annual report and financial
statements ofthe charity.
Oblecdve of the charlty as lald down by the Trust Deed
The Core objects ofthe charlty continue to be..
To establlsh churches, mlnlstrles and advance the evangelical chrfstian faith worldwlde
To organise prayer meetings, bible studles. healSng 5ervlces, conventlons. conferences,
prophetSc serv6ces. tesmonies services and celebradon of "All Natlons Day"
To carry out m155lonary actSvltle5 and to be more Involved with local communlty work
by provldSng food to the homeless and de5tltute by providlng funds to local food bank.
To advance edu¢atlon by proyldlng weekly church servlces throughout the year,
dlsclple5hip classes aDd volunteer training for a stronger more effethve leadership base.
Church continued most OF her church activities online via socfial medla plarform$ such as zooms,
skype erc for the whole flnartcSal year under relew In oder to meet its object£ves and obllgatlons.
Members and onllne Ilsteners have been sharlng testimon5es as to how they became
splritually filled. inspired, rev5tallsed and more desire to contribute to the communlty both matèrlally
and emodonally. Other members 8lso made a bold cla5m how the Gospel of Jesus Chr15t has transformed
thelr Ilves and famllle5, not to mentlon the posllive Impact it's having within the commuT]ity-
The Trustees are pleased to report that the mln15try objectives as Set out above continued to be
achleved despite the challenges the Church faced as a result of post Covld-19 pandemlc effects.
In 5Plte of Covld-19 pandemlc. the charity is still looking into a better fijture In orderto achleve
her charitable objectives.
The Cbarlry will contlnue to focus on Its activtties to meet the objectives ofthe Charlty In splte of
the financial challenges ahead.The Chartty Is looklng forward to purchase its own bullding or a
place of worship wlthln S years.
At present the Trustees have declded to leave all surplus fund5 the account wtth thelr prlnclpal
banke￿.
The charity relles solely on contrlbudons from its members. The charity does not employ any
professional fundraising bodies.
ReS￿rted Funds
There are no restricted funds operated by the charlty. All funds are avallable for use at the discretion
of the Tru5tee5.

IOY CHRisfiAN CENTRE I￿ERNATIONAL
Reserves Pollcy
The Trnstees have declded to Spend as much moDey8S POS51bleoD furtherkng the core objects
of the chaTltywhilst maintsiningsufficient cash fund5 to ensure the sust3inabillty of the chaTIty.
To achlevethis, the Trnstees have dedded to malntain an amountin the bank account to cover
at leasta mlnlmum of three months of normal expendlture in addltlon to any known addition21
expendlthre.
Coverjwice and Internal Control
Appointtnent ofTruste&s are done by the extstingTrustees with consuhation ofthe viewofthe
church members as to trustworthlness of e8ch person.
Iusk Assusment
The Trustees conslderthe key operatlonal, flnandal and stategfc rtsks that rnay have a bearlng
on the actlvfjes of the charlty. Suitable manageMentlnforn￿t1Oll is avallable to the Trustees OD 3
regular basis to monitorthese rlsks and dllow ahy mitigatlDg actlon to be taken to address them.
Charity law requlres the Trustees to prepare flnandal ststements for each financlal yearwhlch
give true and fair vlewofthe stste ofaffalrs ofthe charity and oflts fiDandal ac￿vItIeS fortheyeaT.
In preparartng those flnandal statements, the Trusreej Ive requlreto:
I selertsuitsble accountlng pollcles and apply them ¢on$lstantly;
2 make Judgements and estSmate5 that are reasonable and prudentr,
3 stste whetherappllcable accounting standards and stements of recommened prartlce
have been followed, sublertto any departures disclosed and explained In the
financ131 statements:
4 prepare the flnanclal statements on the golngcoDcern ba51s unless It Is Inapproprlate
to assume that the charltywlll contlnue in operation.
The Trustees are reponslble for keepillg accountlng and flnanclal records whlch dlsclose wlth
reasonable accuracy at anytime the financial posldon of the charftyand to enable them ro
ensure thatthe financlal statements eomploy with the Charitles Acts 1993. Theyare also
responsible for safeguadlngthe as5ests of the charlty and hence for tsking reasonable step5 for
the preventlon and detection of fraud or other I￿egUlar[t1e&
The rnembers ofthe board oftrustee5 durlngthe y¢•r were:
Rev Jerome Bortey Mensah
Naornl Narterld Tetteh
Sibongile Benedlcta Langa
Nomakhaya Cleopatra Ndinisa
The report W8s approved bythe Board ofTrnstees on the 31thAugust 2024 and slgned on its behalfby.
0510912024
Rev Jerome Bortey Metlsah
Date

IOY CHRISTIAN CENTRE I￿TERNATIONAL
lAdependentExamlne￿S Reportto theTn￿teeS of the Cbarlty
ForThe Year Ended 31 Morcb 2024
Independent examlner'$ report to the trustees of loy Clwlstl•n Centre International
I report to the chaTrty trustees on my examiDatlon of the accollt)ts of loy Chrfstian Centre luternational
(the Trust) forthe year ended 31 March 2024.
Responslbllltles and basts of report
As the charlty trustees ofthe Tnistyou are responsible for the preparation ofthe accounts In accordance
with the requlrements ofthe Charttles Art 2011 ('the Act?.
I reportln respertof my examlnatton of the Trurt's accounts cathed out under 5ecdon 145 of the Act
and In carrying out my ex4minat5on I have followed all appllcable Dlrectlons given by the Char5ty
Commission under section 145(5)(b) of the ACL
Indepeodentexamlnews ststement
I have completed myexamthatlon. I conflrni that no materlal matters have come to my attention In
connectlonwlth the examinatlon whlch glves me cause to belleve that In, any materlat respecL'
l. accountfng records were notkept In accordancewlth sertlon 130 of the ALL" or
IL the accounts do not accord wlth the accounttll8 records
I have no concerns and have come across no othermatteTS In roDnectlon with the examination to whlch
attention should be drawn In thls reporrln orderto enable 2 proper understsnding of the accounts to be
reached.
OG loq IIOLI
SI￿ed.. Seth Acheampong
Date
Trlnity Ace Ltd
319 Welbeck Road
London
SMS ILN

JOY CHRISTIAN CENTRE INTERNATIONAL
ATEMENT OF FINANCIAL ACTIVITIES
(INCOME AND EXPENDITURE ACCOUNTS)
FOR THE YEAR ENDED 31 MARCH 2024
UNRESTRicfED RESTIUCTED TOTAL
FUNDS
FUNDS
FUNDS
TOTAL
FUNDS
2024
2024
2024
2023
NOTE
INCOMING RESOURCES
Tlthes. OfferSngs and Donattons
Investment Income
44.467
44.467
37717
Galn on Dlsposal of Asset
77
TOTAL INCOMING RESOUCES
44,467
44,467
37794
RESOURCES EXPENDED
Charltable actlvltles
43,852
43.852
37301
TOTAL RESOURCES EXPENDED
43,852
43,852
37301
Net Movement In Funds
615
615
493
Totsl Funds Brought Forward
5,574
5,574
5081
TOTAL FUNDS CARRIED FORWARD
6,189
6,189
5574

JOY CHRISTIAN CENTRE INTERNATIONAL
BALANCE SHE
ASAT 31 MARCH 2024
2023
Notes
2024
FIXED A&sErs
Tangible Flxed Asset
IM96
2528
CURRfllT ASs￿s
PrePA￿ent
Cash at Bank & In Hand
4,662
3296
LIABILITIES
Creditors: Amounts falling due wlthln one year
[250)
(369)
4,293
Net curreDt assets
TOTAL AssEf5 LESS CURRENT LIABIUTIES
6,IB9
5.574
Credltors: Amounts falllng due aftermore than one year
5.574
TiyfAL ASSETS LESS TOTAL LIABILrriES
6,189
CHARrrY FUNDS
Unresttlcted fvnds
189
5,574
6,189
5,574
TOTAL FUNDS/(DEncrrs)
The flnancial stat¢nJents were approved by the Board of trustees and slgned on its behalf by:
0510912024
Dated
RevJerome Bortey Mensah

JOY CHRISTIAN CENTRE IrfrERNATIONAL
Notes to the Accollnts
for the yearended 31 March 2024
I ACCOUPMNG POLICILS
Basis of accounting
The flnancial statstsmeTLts are prepared In accordance wlth applicable accoundn8 stsndards
using the Hlstorlcal Cost Convention.
The financial statetements reflert the requlrements ofthe rewsed StstemeDt of Recomrnended
Practice Acetsun￿￿E k*r CharitlES' [SORPI. The Charity complled Mryth best prartlce ot the tsme
of prepartng these accounts.
Tanglble Flxed Assets
All flxed assets are capltallsed. The charge fordepreclatton 1$ calculated towrite otrthe cost of
the Axed assets over thelr usefvl Ilves on the followlng ba5es'.
Plant & Machinery 20% on straight line method
GENERAL
These A¢￿￿nts have been pr8pgred on the le￿ipts And payment$ bads in a￿OrdanCe
appll¢oble Accounting St8ndard8 and the Charitsbl• SORP. (Statsment of Rao)rnmendBd Practk•
on A¢¢ounting by Charilitr81.
2 Incom¢
Income Is accounted for on accruals basls, except lor donatlofis, whlch are credlted when recelved
The98 repr8sent* glfts. th￿all9n8. tlthea, off8ring8. ple&Je8 8nd bank Intw88t gl¥8n to the Ch8rlty
durlng Ihg year.
GIftAld
The church has notyet reglstered HMRC forGIftAld purpose.
Charltable Donadoos & Glfty to Mlsslty
These represent amounts given to V8rlou5 indirfduals, organlsadons and other charltable tntsts.
Honorarlurnto vtsltlng spoakers and rcmittances for m155ionary work
Expendlwre
All expendlture Is accounted for on an accru815 basls.
Resources expended on cha￿￿tbIe acLlvltle$ comprlse 211 the resources appll¢d by the charity In
undeerkatin81ts workto meet its charttable objertive5. custs include the dlrerttQ5ts cf
the charitable activitl¢s wlththoso support costs incurred thatenable these activities to be
underraken.
Expendlture on governance cost5 are the ¢osl&" Sncurred bythe charfry to operate and ¢0 generate
the Inform8tioll requsred for publlc artountablllty.
Funds
The char5ty'S funds are unrestricted and are av8Llable for use atthe discretion of the Board or
TNstees.

IOY CHIUSTIAN CENTRE INTERNATIONAL
Profit And Los5 Account
For the year ended 31 March 2024
2024
2023
Income
Tithes, offerlngs & Donatlons
Gain on Disposal of Asset
44,467
37.717
77
37,717
Total Income
44.467
q.
Expenses
Wages and 5alarles
Etnployer Nl
Accountancy fees
Bank charges
HP interest
Depreciatton
Travelllng & Motor Expenses
Rent (including Storage c05t)
Honorarlum & Glfts
Medla, RadS0,Telev151on. Pub15clty and advert
Postage, Ststionery and printing
Donatlon5 to charltSes
Subs¢rlpdons
Legal & Professlonal fees
Sundry expenses
Telephone. interneL IT consumables and fax
Welfare,marrla8e5,fvnerals & social activitles
Total expendlture
12.004
401
2SO
7,436
250
327
632
5,618
7,200
850
5,234
784
900
400
632
6,327
9,012
800
4.64S
820
1,347
260
284
1,661
5.409
43,852
296
1.519
5.855
37,301
Surplusl(deflclt)
615
493
Fund balance b/Avd
5,574
S,081
Fund balance c/fwd
6,189
3,574
10

JOY CHRISTIAN CENTRE INTERNATIONAL
Notes to the flnancial statements
for the year ended 31 March 2024
2024
TANGIBLE FIXED ASSETS
Plant & Machlnery
Totsl
Cost
Additions
As at 31 March 2024
3,160
3,160
3,160
3,160
DEPRECIATION
A5 at l April 2023
Char8e for the year
As at 31 March 2024
632
632
1,264
632
632
1,264
NET BOOKVALUE
As at 31 March 2024
1,896
1,896
Galn on Dlsposal of Asset
CASH AT BANK AND HAND
Casli at Bank & in Hand
4,662
CREDITORS..
Amounu lalllng due wlthln one year
369
Amounts fallln8 due after more than one year
STATEMENT OF FUNDS
BROUGHT INCOMING
FORWARD RESOURCES
RESOURCES
EXPENDITURED
CARRIED
FORWARD
Unrestrlrted funds
Restricted Fund
5574
44,467
143.852]
6.189
44.467
43.852
11