COMPANY REGISTRATION NUMBER: 10879859
CHARITY REGISTRATION NUMBER: 1185946
Central Revival
Company Limited by Guarantee
Unaudited Financial Statements
31 January 2025

HARTERED
Chartered Certified Accountants
Yevs House
130 Cape Hill
Smethwick
B66 4PH

Central Revival
Company Llmlted by Guarantee
Flnanclal Staiements
Year ended 31 January 2025
Page
Trustees, annual report (incorporating the director's report}
Independent examinerfs report to the trustees
Statement of financial activities (including income and
expenditure account)
Slatement of financial position
Statement of cash flows
Notes to the financial statements
The following pages do nol form part of Ihe financial statements
Detailed statement of financial activities
18
Notes to the detailed statement of financial activities
20

Central Revival
Company Llmlted by Guarantee
Trusiees, Annual Report (Incorporatlng the Dlrector's Report)
Year ended 31 January 2025
The Iruslees, who are also the directors lor the purposes of company law, present their report and the
unaudited financial slalemenls ol the charily lor Ihe year ended 31 January 2025.
Chalr's report
Reterence and admlnlstratlve detalls
Reglstered charlty name
Central Revival
Charlty reglstratlon number
1185946
Company registratlon number 10879859
Principal office and registered 31 Nine Pail Walk
office
West Bromwich
Birmingham
B70 6NS
The trustees
Philip Oteng
James Nketsiah Cudjoe Assalua
Isaac Reverend Wallace

The Iruslees are reswnsible lor keeping proper accounting records. which disclose with reasonable
accuracy at any time. The trustees. financial position ol the charity is lo ensure that the financial
statements comply with the Charities Act 1993 and the Charity (Accounts and Reports) Regulations
2008. They are also responsible for safeguarding the assets ol the charity and hence lor taking
reasonable steps lor the prevention and detection of fraud a￿1 other irregularities.
The Trustees of Central Revival lakes pleasure in submttting their report, and accounts for the year
ended 31st January 2024. The financial statements have been prepared in accordance with the
accounting policies sel out and comply with the statement of recommended practice. Under the
conslitulion, objective and principles of our charity actsvilies, and organisation ol our work. The charity
is consliluled under a trust deed with charity number 1185946 and carry the lolloY4ing'.
Independent examlner
Sylvanus Dzolsi
Yevs House
130 Cape Hill
Smelhwick
B66 4PH

Central Revival
Company Llmlted by Guarantee
Trusiees, Annual Report (Incorporatlng the Dlrector's Report) (¢ontlnu•dJ
Year ended 31 January 2025
Structure, governance and managemenl
Oblectlves and actlvltles
Charitable activities
Central Revival is committed lo helping the needy and marginalised ol our community and to sharing
the Christian message. The Mission offers various assistance where there is need, ollering friendship
and support lo the youth. homeless, elderly and those struggling with poverty, regardless of their
gender, religion or cultural ba¢kgrourKI.
Focus for the year ol Review
The year under review has been awesome. God's grace arKI the mercy have brought us through. The
Central Revival Family in the year ol Teview has been working tirelessly on community programs. The
commission intentionally and inclusively engaged in diversity outdoor and in-door programs which has
help placed the organization on the heart ol the community- The theme of the year "My year ol
Establishment" has help in creating awareness and demonstration ol God's heart ol love lo the
community. The news of of Central Rewvals, existence in the community together wth the gospel ol
our Lord Jesus Christ has been spread widely throughout the community this year together with the
general charitable programmes., including education. relief of poverty and commLJnily development.

e Iruslees are p
ease
to reFK)rt t
at
urc
as
n succesg
Ivering w
esome
yina
aspect and has ministered lo many. both members and non-tnèmbèr in our ¢ommunity and also
engaged in general charitable duties.
Achievements and pertormance
Our Achievements..
a. The Central Flevival Family in Ihe year under review organised youth prayer summit, youth camp,
Park events within the community, seminars I workshops al Sl. James Hall. b. The organizalion is
sponsoring the youth Pastor through 4 years Assemblies of God ministers training program lo become
more equip in leading our youth engagement programs.
c. More youth were added inlo the church family via part evenls program, also. Saturdays. youth lalenl
improvement training section, and other inleNenlion actsvilies were enforced al various largeled points.
d. Through our Welfare programs, donation has been given in Support of the less privileged within our
community. The beneficiaries include those who do not have access lo public funds lor a variety ol
reasons and this is a valuable means ol support unlil their financial situation changes. The Church has
initiated Sunday breakfast dinner lor all, and still continue in ils free distribution ol food and household
products, many ol these items were donated by the local church community through their Ireewill
ollering. Rent, bill support and cash donalions were given lo underprivileged families and individual.

Central Revival
Company Llmlted by Guarantee
Trusiees, Annual Report (Incorporatlng the Dlrector's Report) (¢ontlnu•dJ
Year ended 31 January 2025
hlevemenls and performan¢e (￿MIlnUed1
Missionary assignment:
The Church through ils missionary assignmeTrl has established a Welfare funds programme lor
vulnerable people who are heavy laden and are seeking God bul are deprived ol spiritual and physical
assistance in the community. Through our financial colleclion programs, the Organisalion helped lew
families through relief of poverty and communily development programmes during the year ol review.
Challenges in the year under review-
a. The organizalion's greatest challenge has been means of Iransporting its members for programs in
the year ol review, Currently we are operaling from Si. James Hall, Shelsley Avenue, Oldbury B69
1BG.
b. The lilhes and other linancial contribution Irom its. members have reduced drastically, and this has
impeded most ol our activities lo the community during the year ol review.
c. We are still networking within the community lo expand our scope lo have more donners within the
community.
d. We were able lo carry most of the yearfs aclivilies ihrough benevolence from few committed
members and gift aid.

Projections..
a. We will continue networking within the community to expand our scope to have more donners to
SLJPPOrt our vision and mission activities within England and w￿eS wthin the community.
b. We will carry most ol the ye*'s activities through benevolence from few committed donners. and
SLJPPOrt the less privileges within the community.
c. We will to train more youth in leadership role lo assist in taking responsibility to assist coordinating
the youth within the communities
d. We pursuit the search lor a suitable permanenl place wthin the community lo run all our
activities.
Plans for future pgrlods
Small ¢ompany provlslons
This report has been prepared in accordance ￿1h the wovisions applicable lo companies entitled lo
the small companies exemption.

Central Revival
Company Llmlted by Guarantee
Trusiees, Annual Report (Incorporatlng the Dlrector's Report) (¢ontlnu•dJ
Year ended 31 January 2025
The Iruslees. annual report was approved on 29 October 2025 and signed on behalf of the board ol
Iruslees by..
Oteng
Trustee

Central Revival
Company Llmlted by Guarantee
Independenl Examlner's Report io the Trustees of Central Revlval
Year ended 31 January 2025
I report lo the Iruslees on my examination ol the financial slalements of Central Revival I'ihe charity'l
lor the year ended 31 January 2025.
Re$ponslbllltle$ and basls ol report
Having satisfied myself that Ihe charity is not subject lo audil under company law and is eligible for
independent examination, il is my responsibilily lo.'examine the accounts under section 145 01 the 2011
Act,. lo follow the procedures laid down in the general Direclions given by Ihg Charity Commission
under section 14515llbl ol ihe 2011 Acl,. and
Independent examlner's statemenl
I have cornpleled my examination. I confirm that no malters have come lo my attention in connection
with the examination giving me cause to believe=
accounting records were not kept in respect ol the charity as required by section 386 of the
2006 Act- or
the financial statements do nol accord wth those records- or
the financial statements do nol comply with the accounting requirements ol section 396 01
the 2006 Act other than any requirement Ihal the accounts give a 'lrue and lair, view which is
not a matter consKleTed as part of an independent examination- or
the financial slatements have not been prepared in a¢cordance with the methods and

principles of the Slatemerrt of Recommended Practice for accounting and reporting by
charities applicable to Chartties preparing their accounts in accordance with the Financi
Reporting Standard applicable in the UK and Republic of Ireland IFRS 1021.
I have no concerns and have Come acTOSS no other matters in connection with the examination to
which attention should be drawn in this report in Order to enable a proper understanding of Ihe
accounts to be reached.
Sylvanus Dzolsi
Independent Examiner
Yevs House
130 Cape Hill
Smelhwick
B66 4PH

Central Revival
Company Llmlted by Guarantee
siatemeni of Flnanclal Actlvities
{Including Income and expenditure accounl)
Year ended 31 January 2025
2025
Reslricled
funds Total funds Total funds
2024
Unreslricled
funds
Note
In¢ome and endowments
Donalions and legacies
Other income
22,143
4,350
22,143
4,350
46,875
28
Total income
26,493
26,493
46,903
Expenditure
Expenditure on charilable activities
Other expenditure
Total expenditure
22.091
10.114
22.091
10.114
19,347
9,086
32.205
32.205
28,433
Net (expendlture)Iln¢ome and net
movement In funds
(5,7121
15,7121
18,470
Reconclllatlon of funds
Total funds brought forward
Total funds carrled foTh¥ard
15,117
891
16,008
12,4621
16,008
9,405
891
10,296

The statement of financial a¢livities includes all gains and losses recognised in the year.
All incorne and expenditure derive from Continuing activities.
Tho notes on pages 9 to 16 form part of those flnanclal statements.

Central Revival
Company Llmlted by Guarantee
siatemeni of Flnanclal Poslllon
31 January 2025
2025
2024
Note
Flxed assets
Tangible fixed assets
13
2,362
Current assets
Debtors
Cash al bank and in harKI
14
606
24,427
11,505
11,505
25,033
Credltors: amounts falling due wlthln one year
Net current assets
16
3,571
9,025
7,934
16,008
Total assets less Current liabilities
10,296
16.008
Net assets
10,296
16.008
Funds of the charlty
Reslricled funds
Unrestricted funds
891
9,405
891
15,117
Total ¢harlty funds
17
10,296
16,008
For the
ear endin
31 Janua
2025 the charl
was entitled to exem
lion from audit under section

477 of the Companies Acl 2006 relating lo small companies.
Directors. resF)onsibililies=
The members have not required the company to obtain an audtt of ils financial statements for the
year in question in accordance wtth section 476-
The directors acknowledge their responsibilities for complwng with the requirements of the Act
with respect to accounting records and the preparation ol linancial slalements.
These financial slalements have been prepared in accordance wth the provisions applicable to
companies subject lo the small companies. regime.
These financial slalemenls were approved by the board of trustees aThJ aulhorised for issue on 29
October 2025, and are signed on behalf ol the board by..
Oteng
Trustee
Tho notes on pages 9 to 16 form part of those flnanclal statements.

Central Revival
Company Llmlted by Guarantee
siatemeni of Cash Flows
Year ended 31 January 2025
2025
2024
Note
Cash Ilows from operatlng a¢tlvltles
Nel lexpendilurellincome
15,7121
18,470
Adjustments for.-
Depreciation ol tangible fixed assels
Interest payable and similar charges
Accrued lincomellexpenses
591
585
15001
106
600
Changes in..
Trade and other debtors
Trade and other creditors
606
14,7621
19,1921
16061
17001
17,870
Cash generated from operations
Interest paid
Net cash (used inlttrom operating aclivilies
15851
19,7771
11061
17,764
Cash flows from Snvestlng actlvltles
Purchase ol tangible assets
Net cash used in investing activities
12,9531
12,9531

Net (decreasellincrease in cash and cash equivalents
Cash and cash equivalents at beginning of year
Cash and cash equivalents at end of year
112,7301
24,235
17,764
6,471
15
11,505
24,235
Tho notes on pages 9 to 16 form part of those flnanclal statements.

Central Revival
Company Llmlted by Guarantee
Notes io ihe Flnanclal siatemenls
Year ended 31 January 2025
General Informatlon
The charity is a public benelil enlily and a private company limited by guarantee, registered in
England and Wales and a regislered charity in England and Wales. The address ol the registered
ollice is 31 Nine Pail Walk, Wesl Bromwich, Birmingham, B70 6NS.
Slalemenl of ¢ompllan¢e
These financial statements have been prepared in compliance wth FRS 102, 'The Financial
Reporting Standard applicable in the UK and Ihe Republic of Ireland., the Sialemenl ol
Recommended Practice applicable lo charities preparing their accounts in accordance with the
Financial Reporting Standard applicable in the UK and Republic ol Ireland IFRS 1021 Icharilies
SORP IFRS 10211 and the Companies Act 2006.
Accountlng pollcles
Basls of preparatlon
The financial statements have been prepared on the historical cost basis. a5 modrfied by the
revaluation of certain financial assets liabilities an(J inveslment Properties measured al fair
value through income or expendtture.
The financial statemerrts are Prepared in sterling, which is the functional currency ol the entity.
Goin
concern

There are no material uncethnties atx)ut the chariws ability to Continue.
Fund accounting
Unrestricted funds ale available lor use at the discretion ol the Iruslees to further any ol the
charills purFX)ses.
Designated funds are unrestricted funds earmthed by the trustees foi particular future project or
commitment.
Restricted funds are subjected lo reslriclions on their expenditure declared by the donor or
through the terms ol an appeal. and fall into one ol two sub-classes.. reslricled income funds or
endowment funds.

Central Revival
Company Llmlted by Guarantee
Notes io ihe Flnanclal siatemenls {¢vnUnu•d)
Year ended 31 January 2025
A¢countlng pollcles {￿n11n1*d)
Incomlng re$our¢e$
All incoming resourcos are included in Ihe slalemenl of financial activities when enlitlemenl has
passed to the charity,. il is probable that the economic benelils associated with the transaction will
flow lo the charity and the amount can be reliably measured. The following specific policies are
applied lo particular categories ol income-
income from donations or grants is recognised when there is evidence ol entitlement lo the
gift, receipt is probable ar￿ its arnount can be measured reliably.
legacy income is recognised when Teceipl is probable and entillemenl is established.
income from donated goods is measured at the fair value of the goods unless this is
impractical lo measure reliably, in which case the value is derived from the cost lo the donor
or the estimated resale value. Donated facilities and services are recognised in the accoLJnls
when received if the value can be reliably measured. No amounts are included lor the
contribution of general volunteers.
income from contracts for the supply ol seNices is recognised with the delivery ol the
contracted seNice. This is classified as unrestricted funds unless there is a conlraclual
requirement lor it to be spenl on a particular purpose and returned if unspent, in which case
it may be regarded as reslricled.

Resources expended
Expenditure is recognised on an accruals basis as a liability is incurred. Expenditure includes any
VAT which cannot be lully recovered. and is classified under headings of the statement ol
financial activities lo which it relates-
expenditure on raising funds includes the costs ol all fundraising activities, events, non-
charitable trading activities, and the sale of donated goods.
expenditure on charitable aclivities incIL￿e$ all costs incurred by a charity in undertaking
activities that further ils charitable aims lor the benelit ol ils beneficiaries, including those
support costs and costs relating lo the governance of the charity apportioned lo charitable
aclivilies.
other expenditure includes all expenditure that is neither related lo r&sing funds for the
charity nor part ol ils expenditure on charilable activities.
All costs are allocated lo expenditure categories reflecting Ihe use of the resource. Dire¢l costs
attributable to a single activity are allocated diTe¢lly to that activity. Shared costs are apportioned
between the activities they contribute to on a reasonable. justifiable and consislenl basis.
Tanglble assets
Tangible assets are initially recorded at cost. and subsequently slated al cost less any
accumulated depreciation arKI impairmenl losses. Any langible assets carried at revalued
amounts are recorded al the lair value al the date ol revaluation less any subsequent
accumulated depreciation and subsequent accumulated impaimienl losses.
10

Central Revival
Company Llmlted by Guarantee
Notes io ihe Flnanclal siatemenls {¢vnUnu•d)
Year ended 31 January 2025
A¢countlng pollcles {￿n11n1*d)
Tanglble assets (willnwl)
An increase in the carrwng amount of an asset as a result ol a revaluation, is recognised in other
recognised gains and losses, unless il reverses a charge lor impairment Ihat has previously been
recognised as expendilure within the slalemenl ol financial aclivilies. A decrease in the carrying
amount ol an assel as a resull ol revaluation, is recognised in other recognised gains and losses,
except lo which il offsets any previous revaluation gain, in which case the loss is shown within
other recognised gains and losses on the slalemenl of financial aclivilies.
Depreclatlon
Depreciation is calculated so as lo wrtte off the cost or valuation ol an asset, less its residual
value, over the useful economic life ol that asset as follows..
Impalrment ot flxed assets
A review lor indicators of impairment is carried out at each reporting date, with the recoverable
amount being eslimated where such indicators exist. Where the carwng value exceeds the
recoverable amounl. the asset is impwred accordingly. Prior impwrments are &so reviewed for
possible reversal at each reF)Orting date.
For the purposes of irnpairment testing. when tt is not possible to estimate the recoverable

amount ol an individual asset, an estimate is made of the recoverable amount of the cash-
generating unit to which the asset belong5. The cash-generating unit is the smalle51 identifiable
group of assets that includes the asset and generates cash inflows that largely independenl ol the
cash inflows from other assets or groups of assels.
For impairment testing of go(xlwill, the go¢xlwill acquired in a business combination is, from the
acquisition dale. allocated lo each of the cash-generaling units that are expected lo benefit from
the synergies of the cornbination, irrespective of whether other assets or liabilities ol the ¢harily
are assigned to those units.
Financial instruments
A financial asset or a financial liability is recognised only when the charity becomes a party lo the
contractual provisions ol the instnjmenl.
Basic financial instruments are initially recognised at the amount receivable or payable including
any related liansaclion costs.
Current assets and current liabilities are subsequently measured al the cash or other
¢onsideration expected lo be paid or received and not discounted.
Debt instruments are subsequently measured al amortised cost.
Where investments in shares ale publicly traded or their lair value can otherwise be measured
reliably, the investment is subsequently measured al lair value with changes in fair value
recognised in income and expenditure. All other such investments are subsequently measured al
cost less impairment.
11

Central Revival
Company Llmlted by Guarantee
Notes io ihe Flnanclal siatemenls {¢vnUnu•d)
Year ended 31 January 2025
A¢countlng pollcles {￿n11n1*d)
Flnan¢lal Instwments (cl￿tInued1
Other financial inslrumenls, including derivatives, are inilially recognised al fair value, unless
payment lor an asset is delerred beyond normal business terms or financed al a rale ol interest
that is not a market rate, in which case the asset is measured al the present value ol the lulure
payments discounted al a market rale ol interest lor a similar debt instrument.
Other financial instruments are subsequenlly measured al fair value, with any changes
recognised in the slalemenl of financial aclivilies, wilh the exception of hedging instruments in a
designated hedging relationship.
Financial assets that are measured at cost or amoTtised cost are reviewed lor objective evidence
ol impairment al the end of each reporting date. If there is objective evidence of impairment, an
impairment loss is recognised under the appropriate heading in the slalement ol financial
activities in which the initial gain was recconised.
For all equity instruments regardless ol significance, and other financial assets that are
individually significant, these are assessed individually lor impairment. Other financial assets are
either assessed individually or grouped on the basis ol similar credit risk characlerislics.
Any reversals ol impairment are recognised immediately, lo the extent that the reversal does not
result in a carrying amount of the financial asset that exceeds what the carwng amount would
irm
vi

Limited by guarantee
Donations and legacies
Unrestricted Total Funds Unieslricled Total Funds
Funds
2025
Funds
2024
Donations
Tithes
Ollerings
Thanksgivings
Other Donations
Youth Ministry
9.492
6.070
9.492
6.070
640
1.706
7.562
12.744
7,562
12,744
1.706
83
Gifts
Gift Aid
4.235
4.235
26.486
26,486
22.143
22.143
46.875
46.875
12

Central Revival
Company Llmlted by Guarantee
Notes io ihe Flnanclal siatemenls {¢vnUnu•d)
Year ended 31 January 2025
Other Income
Unreslricled Total Fund$ Unreslricled Total Funds
Funds
2025
Funds
2024
Other income
4,350
4,350
28
28
Expendlture on charltable actlvltles by fund type
Unrestricted Total Funds UnreslTicled Total Funds
Funds
2025
Fund5
2024
Support costs
22,091
22,091
19,347
19,347
Expendilure on charitable activities by activity type
Total funds
2025
Total fund
2024
Support costs
Governance costs
22,091
22,091
19.347
Other expenditure

Funds
2025
Funds
2024
Excursions & Trips
Missionary expenses
Cleaning expense
Subscription
Social Media & Promotion
Bank commission & Charges
Hospitality
Youth Ministry
Relreshmenls
Literature
Room Hire & Storage
750
650
300
850
800
266
314
604
1.300
200
4.080
750
650
300
850
800
266
314
604
1,300
200
4.080
216
200
150
600
216
200
150
600
298
268
700
63
163
6.428
298
268
700
63
163
6,428
10.114
10.114
9.086
9,086
10. Net {expendlture)Iln¢ome
Net lexpenditureifincome is slated after chargingl{credilingl=
2025
2024
Depreciation ol tangible lixed assets
591
11. Staff coslg
13

Central Revival
Company Llmlted by Guarantee
Notes io ihe Flnanclal siatemenls {¢vnUnu•d)
Year ended 31 January 2025
11. Staff costs {¢ondnu¢d)
The average head count ol employges during the year was Nil12024.. Nill.
No employee received employee benefits of more than £60,000 during the year12024.. Nill.
12. Trustee remuneratlon and expenses
All charltles must dlsclose Inlormatlon relatlng to trustees remuneratlon, Includlng a
statement 11
no
remuneratlon
was recelved.
Please populate ReportPad
13. Tanglble flxed assets
Motor
vehicles
Equipment
Total
Cost
Al 1 February 2024
Additions
1,920
453
6,960
2,953
2,500
At 31 January 2025
Depreclatlon
2,373
9,913

Charge lor the year
At 31 January 202S
Carrylng amount
At 31 January 2025
Al 31 January 2024
500
91
591
2,011
7,551
2,000
362
2,362
14. Debtors
2025
2024
Other debtors
606
15. Cash and cash equivalents
Cash and cash equivalents comprise the following:
2025
2024
Cash al bank and in hand
Bank overdrafts
11,505
24,427
11921
24,235
11,505
14

Central Revival
Company Llmlted by Guarantee
Notes io ihe Flnanclal siatemenls {¢vnUnu•d)
Year ended 31 January 2025
16. Credltors: amounts falllng due wllhln one year
2025
2024
Bank loans and overdrafts
Trade creditors
Accruals and delerred income
192
7,733
1,100
2,971
600
3,571
9,025
17. Analysis of charitable funds
Unrestricted funds
Al
1 Febnjary 20
24
At
31 January 2
025
Income Expenditure
General funds
Unrestricted fund 7 - desc in alcs
7.142
7.975
26.493
132.2051
1,430
7,975
15.117
26.493
132.2051
9,405
Al
At

Income Expenditure
24
General funds
Unrestricted fund 7 - desc in alcs
111.3281
7.975
46.903
128.4331
7,142
7,975
{3.3531
46.903
128.4331
15,117
Restrlcted funds
Al
1 February 20
24
At
31 January 2
025
Income Expenditure
Restricted fund 7- desc in alcs
891
891
Ai
1 February 20
At
31 January 20
24
Income Expenditure
Restricted fund 7- desc in alcs
891
891
15

Central Revival
Company Llmlted by Guarantee
Notes io ihe Flnanclal siatemenls {¢vnUnu•d)
Year ended 31 January 2025
18. Analysls of changes In net debl
At
Ai 1 Feb 2024 Cash flows 31 Jan 2025
Cash al bank and in hand
Bank overdrafts
24,427
11921
24,235
112,9221
192
11,505
112,7301
11,505

Central Revival
Company Llmlted by Guarantee
Management Inlormaiion
Year ended 31 January 2025
The following pages do nol form part of Ihe linancial statements.

Central Revival
Company Llmlted by Guarantee
Detalled siatemeni of Flnanclal Aciivllles
Year ended 31 January 2025
2025
2024
Income and endowments
Donations and l¢ga¢ies
Tithes
Ollerings
Thanksgivings
Other Donations
Youth Ministry
Gift Aid
9,492
6,070
640
1,706
7,562
12,744
83
26,486
4,235
22,143
46.875
Other Income
Other income
4,350
28
Total Income
26,493
46,903

Central Revival
Company Llmlted by Guarantee
Detalled siatemeni of Flnanclal Aciivllles (¢onllnwdJ
Year ended 31 January 2025
2025
2024
Expendilure
Expenditure on charltable actlvltles
Flenl
Light and heal
Flepairs and maintenance
Insurance
Motor vehicle expenses
Vehicle leasinglhire
Other molorllravel costs
Legal and professional lees
Telephone
Other ollice costs
Depreciation
Finance costs - defined benefit pension scheme
Conference lees
Bereavement expenses
Visiting speakers
Donations
8,226
4,850
2,000
502
55
562
681
670
951
417
214
1,445
414
14731
3.166
235
233
591
585
1.330
2.509
1.830
2.000
106
201
500
2,900
4,738
22.091
19,347
Other expendllure

xcursions
rips
Missionary expenses
Cleaning expense
Subscription
Social Media & Promotion
Bank commission & Charges
Hospitality
Youth Ministry
Refreshments
Literature
Floom Hire & Storage
650
300
850
800
266
314
604
1.300
200
4,080
200
150
600
298
268
700
63
163
6,428
10.114
9,086
Total expendlture
32,205
28,433
Net (expendlture)Ilncome
15,7121
18,470
19

Central Revival
Company Llmlted by Guarantee
Notes io ihe Deialled Staiement of Flnanclal Actlvltles
Year ended 31 January 2025
2025
2024
Expendilure on ¢harltable actlvltles
Governance ¢o$ts
Flenl
light & heal
repairs & maintenance
Governance costs - insurance
motor vehicle expenses
General Expenses
Governance costs - other molorllravel costs
Governance costs - accountancy lees
legal and other professional lees
Training
telephone
Prinling,Poslage & Stationery
depreciation
Evangelism
Conference Fees
Bereavement expenses
Honorarium
Charitable Donations & Welfare
8,226
4,850
2,000
502
55
562
681
670
600
13
338
417
214
1,445
414
14731
600
66
2.500
235
233
591
585
1.330
2.509
1.830
2.000
106
201
500
2,900
4,738
22,091
19,347

Expenditure on ¢haritable a¢tivities
22,091
19,347