JOY CHRISTIAN CENTRE INTERNATIONAL
(REGisfERED CHARrrY NUMBER-1181970)
TRUSTEES, REPORT AND FINANCIAL STATEMENTS
FOR THE YEARENDED 31 MARCH 2025

IOYCHRISllAN CEKfRE IKfERNATIONAL
Reports and A(COUDts
Contents
Trnstees Annual Report
IndependentExamlnerf5 report
Ststement of FiDanclalActlvIdes
Balance Sheet
Notes to the Accounts
9-11

OYCHRI￿1AN CENTRE IKfERNATIONAL
For The Year Ended 31 Marrh 2025
liev lerome Bortey Mensab
Naoml Narterld Tetteh
SIIx)n8lle BenedlL1a lan8a
Nomakhaya aeopatra Ndlnlsa
Slbonglle Benedlrta Lang•
94 Leslle Road
IAbDdon
E114HG
1181970
TrIDIty Ace Llmlted
Clwtered Certlfled Accountant
319 Welbeck Road
London
SMS ILN
Barclays Bankplc
543 Norwood Road
West Nonvood
London
SE27 9DW

IOY CHRisfiAN CENTRE INTERNATIONAL
The trustees present thelr reportand accounts forthe year ended 31 March 2025
The Tnjstees have adopted the provlsions ofthe Statementof Recommended Prartlce {SORP)
"Accounting and Reportingbycharities (Revlsed 21]05) In preparlngthe annual reportand flnanclal
statements ofthe tharlty.
Oblecdve of the clwltyas lald down bythe TnMtDeed
The Core oblerts ofthe charltycontlnue to be:
To establlsh churches, ministrles and advance the evangellcal chrlstlan falth worldwlde
To organise prdyer meedngs. blble studle5, healin8 sevlices. conventtons, conferences,
prophettc 5erAces. tesmonie5 servlces and cejebratton of "All Natlons Day..
To carry Out mls51onary activities and to be more Involved wlth local communlty Work
by provldlng food to the homeless and dest5tute by provtdlng ￿ndS to local food bank
To advance educadon by provldlng week]y church serAces throughout the year,
dlsdpleshlp classes and volunteertralnAn8 fora stronger more effecdve leadershlp base.
rhe Trustees are pleased to reportthat the mlD15try oblectlves a5 5etout above contlnued to be
achleved despite the financlal challenges the Church faced as a resultof post Covld-19 pandemlc effects.
The Church 8ave to Local Food Bank to help the homeless and the needy￿thIn the communlty.
The Church pmvlded counselllDg setvlces both onllneand In-persons formental and
emotlonal Issues such as anxlety, stress. depresslon and relatlonshlp problems.
Church continued most of herchurch actlvldes onllne via soclal medla platSOrn￿ such as zooms,
skype etc for the whole finandal year under reiew In oder ¢0 meet Its oblecdves abd obll8adon&
Members and onllne Ilsteners have been sharfng testlmonles a5 to how they became
splrltually fllled, Insplred. re￿tsItsed and more deslre to contrlbute to the communltyboth matsrially
and emotionally. Other members also made a bold clalm how the Gospel ofjesus Chr15t has traDsforn)ed
thelr Ilves and famllles, not to mentlon the y)sltlve Impart Ivs havlng wlthln the communlty.
The Charlty wlll contlDUe to focus on Its acttvldes to meetthe objectlves of the Charltyln splte of
the flnanclal challenges ahead.The Charlty Is looklng forward to purchase its buUdlDg or a
place of worship withln 5 years.
At present the Trustees have decided to l&we all surplus funds In the accountwlth thelrprlnclpal
banker&
The charfty relles solely on contrlbutions from its members The charity doe5 nQt employany
professlonal fundralslngbodles.
There are no restrfcted ￿ndS opernted bythecharlty.All ￿MIS are available for use atthe dis¢retlon
ofthe Trnstee&

lOYCHR1￿1AN CENTRE INTERNATIONAL
Reserves Pollcy
The Trustees have decided to spe))d as much Money as possible on furtheringthe core objects
of the charitywhflst mainralnlng suffldentcash funds to ensure the sustainablllty ofthe charity.
To achieve thls. theTrustees have decided to mafintsin an amount In the baDk accountto cover
at least a minimum ofthree months of nornial expendlture In addition to any known addidonal
expenditure.
Appointment ofTrustees are done by the exLrtSngThJstee5 wfth consultsdon ofthevlewofthe
church members a5 to trwtworthiness ofeach perso
RtskAwssment
The Trustses conslderthe key operational. flnandal and ststeglc rlsks that may have a bearlng
on the act(vles of the charlty. Sult2ble n￿nagernent Informatlon Is avallable to the Trus¢ees on a
regular basls to monltorthese rlsks and allow any mldgating actlon to be taken to address then
Charlty law requlres th¢Th￿tee5 to prepare flnandal ststements for each financlal yearwhlch
8lvé true and falrvlewof the$r8tr ofaffalrs of thechartty and of its hnanclal acdvltles forthe year.
ID prepar*rln8 those fiwidal *xt•menty the Trusteesare requlre ttr.
I select sultable accountlng polldes and apply them conslstandy,
2 make judgements and esdmates that are reasonable and prudent
3 State whetherappllcable accountlng standants and stements ofrecommened prartlce
have been followed. Subject to any deparrures dlsclosed and explalned In the
finandal statements:
4 prepare the flnanclal statements on the 8oln8 concern bas15 unless It Is Inapprnprlate
to assume thatthe charlty wlll condnue In operatlo
The Trustees are repon5iblt for keeplni accountin8 and flnandal records whlch dlsclose wlth
reasonable accur4cyatany dme the financlal position of the charlty and to enable them to
•nsure that the flnanclal statements comploy wlth the Charltles Acts 1993. They are also
responsible forsafeguadlng the as5e5ts of the chartty and hence fortaldng reasonable steps for
the preventlon and detertlon of fraud or other irTegularltle&
The members ofthe board of tntst•es duringtheye2T wer•..
Revlerome Bortey Mensah
Naoml NarteTlti Tetteh
Sibongile Benedlcta Langa
Nomakhaya Cleopatra Ndlntsa
The reportwas approvedbythe Board ofTrustees on the 20th September 2025 and slgned on its behalfby:
231.0912025
RevJerome Bortey Mensah
Date

IOY CHRisfiAN CEKfRE IThRNATIONAL
Independent Examlnerfs Reportto the Tn￿te2S oftht Cbarlty
For TheY&vEnded 31 blarch 2025
Independentexamlnetrs reporttothetrusttts of loycbrlsdan Centre Internatlonal
I reportto the charltytrustees on my examlnation oftheaccourts ofjoy Christian Centre IDternatlonal
(the TNst) fortheyearended 31 Marrh Z025.
Responsibilities and basis of report
As the charlty trustees ofthe Tru5tyou are responslble forthe prepardtlon ofthe accounts In accordance
wEth the requlrements ofthe Charlttes Att2011 Cthe Artj.
I report in respect ofmyexamlnation of theThist's accounts carrled our undersertlon 145 of theArt
and In carrylDg outmy examinatioo I have followed all appllcable Dlrections 8lven by the Charity
Commlsslon under sectlon 145(5)(b) of the ACL
I have completed myexamlnatloTh I confim that no mateTSal matters have come to myattentlon In
connectlon wlth the examlnatton whlch gtves me cause to believe that In, any matertal respert..
l. a¢countlng records were not kept In accordance wlth secdon 130 of theAtr, or
iLthe accounts do not accord wlth the accountlng records
I have no concerns and have come across no other matters In connectton wIth the examlnatlon to whlch
attentlon should be drawn In thls report In order to enable a proper understandlng of the accounts to be
reache
Sl8ned: Seth A¢1￿mpo￿8
Trlnlty Ace Ltd
319 Welbeck Road
London
SM5 ILN

STATEMENT OF FINANCIAL Acrivrn
NCOME AND EXPENDITURE Acco￿5)
FOR THE YEAR ENDED 31 MARCH 2025
FUNDS
FUNDS FUNDS FUNDS
2025
2025
2025
2024
NtyfE
INCOMING RLSOURCÉS
Ththes, Offerlngs and Donations
Investrnent Income
51.240
51240 44467
TOTAL INCOMING RESOUCES
51.240
$1.240
44467
RESOURCES EXPENDED
Charttsble acdvltfes
46.208
46308
43852
46.208
46,208
43852
5.032
S03Z
615
Total Funds Brnught Fonvard
6,189
6,189
5574
TOTAL FiINDS CARRIED FORWARD
11.221
11,221
6189

BALANCB SHEET
AS AT 31 MARCH 202S
202S
2024
FIXEDASSErs
Tanglble FlxedAsset
1,264
1.896
Prepa￿nent
Cash atBank &ln Hand
10241
4662
LIABILMLS
Credltors.. Amounts falllngdue wlthln one year
(284)
{369)
Net curnt assets
TOTAL ASSEfs LLSS CURREKf LIABILITIES
11321
6.189
Credltors.. Amounts failingdue aftermore than one year
TOTAL AssEfs LESS TOTAL LIABILrriES
11.221
6,189
cHA￿TyFUNDs
uThr￿trIrted funds
11321
6.189
TOTAL FUNDS/(DEFICTrs)
11321
6.189
The flnandal ststements were approved on 20th September 2025 bythe Board of trustees and slgned
on its behalf by:
.09r21)25
Rev jerome Bortey Mensah
Dated

JOY CHRI￿ CENTRE INTERNATIONAL
Notestothe Accounts
fi￿the yearended 31 Marcb 202S
I ACCOIJFifiNG pouaLS
The flnanclal statetsThenl¥ar¢ prepared In accordancewlth appllcableacwundDgstsndards
usln8the HLthric81 Cos¢Conventlo
The flnandal sratetwD¢nts reflettthe requlrements ofthe rev15ed StstemeDtof Recommended
Prartlce'A¢¢ounithgfforCharltles" (SORP). The Charlty complled with best prattice at the time
of preparitt8these aCCOUllL&
Tats8lble FlxedAgsets
All flxed assets are capits115wL The d)aYge lor depw*datlon Ls L*ulatedtowrtte off the cortof
the llxed a55•ts0verthelr usefvi Ilve5 on th• followlng baw:
pl￿t& Mathlnery 20% on stralghtllrtt method
GENERAL
These Acwunts hav6 been pr•pgred on thg reL¥W both In ac<*rd9n￿7 tAah
aFollc4blD A¢￿Un￿n9 Slandard• •nd th• Ch*ii•kA• SORP. (St•t•n￿rt of ReL*mm•nd8d Prx4
on Accwntffv by ChwiliM>.
2 IDcorne
Income ts accounted for on aCcn￿lS basts,except for doDOtlons. which are (redlted when recelved
These repre8￿ty d[1￿1￿￿￿, IIthM, (rfhrfng•. pledg86 wxl b￿k to the Gh
d￿ng the ￿r.
GIftAld
The thurth notyet reglstered wlth HMRC forGIftAid puryos&
Th•8e representamounts given ttsvarlous Indlvlthials or8antsa¢lons Hnd othtrcharttable trusts,
Honor•rtum to vtsftlng5pe#kets aThJ remlttan¢e8 for mtsslon8rywork
All eXpendI￿re tsacrountsd for tsn an a¢¢n￿lS basLs.
Resources expended on chuitsble a¢llvllJes comprhseall there50urces applled bythe charftylrt
undeerkatingits work to meet its dbarftable objectlves. These costs Include the dlrect costs of
the ¢harftsbie*ctlvllles wlththose $upportCOSts Inamd thatenable the5¢ actlvldes to be
undertake
Expendi￿re on governance c03tsare the costs Incurred by thefharlty to operatr aDdtO 8enerate
the Inforn￿ttoD require41 forpublicaccountsbllity.
The cbarttys funds are unrestrlcted and are aval]able foru8¢atthe dlsLYttion ofthe Board of

IOY CHiusfiAN CENTRE INTERNATIONAL
ProfitAnd L055 Account
Fortheyearended 31 March 2025
2025
2024
Income
Tithes. offering5 & Donations
Investment & Other income
51.240
44.467
Total Income
S1240 44.467
Wages and salarfie5
Employer Nl
Accountancy fees
Bankcharges
HP Interest
Depredatlon
Travelling & Motsjr Expenses
Rent (Includlngstorage cos¢)
Honorarlum & Glfts to varlous gue5tspeaker5
Medla, Radio,Televlslon. Publldty and advert
Postage, Stsdonery and printing
Donadons to charlties
Subscrlptlons
Le8al & Professlonal fees
Sundry expenses
Telephone. Interne¢ IT consumables and fax
welfare.ma￿la￿e5.fvner9lS & soclal artlvtttes
Tot•1 expendltswe
IZ.S32
474
250
12,004
401
zso
632
5,650
9,650
600
632
6,327
9,012
800
4.645
820
1,347
260
650
2,500
195
634
2,305
S,696
46.208
284
1.661
43052
Surplusl(defldt)
5.032
615
Fund balance blfwd
6.189
5,574
Fund bthnce clfwd
11.221
10

IOY CHRisfiAN CENTRE INTERNATIONAL
Notesto the nnanclal stateD￿llts
fortheyeareDded 31 Marth 2025
2025
TANGIBLE FIxEDA￿Ts
Plant& mad￿llery
3.160
3.160
Additions
As at 31 Marth 2025
3.160
3.160
DEPRECIATION
As at l April 2024
Charge forthe year
Asat31 March 2025
1264
632
1096
1.264
632
1096
NET BOOKVALUE
As at31 Marcb 2025
1264
4.1 Galo on DIgpo￿l ofAsJet
Cash at Bank & in Hand
10,241
CREDITORS:
Amounts fdlllng due wlthln one year
284
Amounts falllng due aftermore than one year
$rATEmEP￿ OF FUNDS
BROUGHT INCOMING
RESOURCES
FORWARD RESOURCES EXPENDITURED
CARRIED
FORWARD
Unrestrlcted funds
Res￿cted Fund
6189
(40.Z08)
IL221
6189
51,240
46.208
11,221
11