Regi stered Charity Number . 1188489
THE ASSEMBLY OF MESSENGERS CHURCH
TRUSTEES, REPORT
AND
FtNANCIAL STATEMENTS
FOR THE YEAR END
31 March 2023
THE ASSEMBLY OF MESSENGERS CHUR
UNIT 21-
MILLm￿D BIISINESS CENT
iWLLIIIEAD RO
LOND
esseng¢rschurchnhotmail.c

THE ASSEMBLYOF MFSSENGERSC.HURCH
C.ONTENTS
FOR THE. YEAR ENDED I l March 2023
rRUSTEES' REPORT.......,..............................................
.NDEPENDENT EX.JMINER'S REPORT.......,...........,.....,,..,........................................................................................
iTATEMENT OF FtNANCIAL ACTIVITIES.....................................................,..........................................................
3.siLANCE SHEET.
VOTES TO THE FtNANCIAL STATEMENTS........................................................................................................... 10

T14b: ASSENIBLY OF TrIF.SSENGERS L'HIIRC'H
TRU4iTEES' REPORT
FOR THE YEAR ENDED 31 March 20_
THE ASSEMBLY OF MESSENGERS CHURCH
TRUSTEES, ANNUAL REPORT
FOR THE YEAR ENDED 31ST MARCH 2023
CHARITY INFORMATION
STATUS
REGISTERED AS A CHARITY
CHARITY NUMBER
1188489
REGISTERED OFFICE AND
OPERATIONAL ADDRESS
MILL MEAD BUSINESS CENTRE
UNIT 21
MILL MEAD INDUSTRIAL CENTRE,
MILL MEAD ROAD
LONDON, N17 9QU
BOARD OF TRUSTEES
EDUARDO FIGUEIREDO (Chairman)
JESSICA INGANDO NGANDU (Trustee)
MAMIE EMBELO (Trustee)
INDEPENDENT EXAMINER
STAR TAX CONSULTANTS
36 QUEENSWAY
ENFIELD
EN3 4SA
BANKERS
SANTANDER BANK
TRUSTEES REPORT FOR THE YEAR ENDED 318t MARCH 2023

'I'HE ASSEMBLI, OTr NIES8ENGLR% CHLIRC.RI
TRUSTEES, REPORT
r()K THE YEAR ENDED 31 Mareh 2023
The trustees of Assembly of Messengers Church present their annual report and the unaudited financi
statements for the year ￿ded 315t March 2022. No update has been made as everything still the sam
The aims and purpose of Assembly of Messengers Church have been identified and approved tP
following..
.To èdvancÈ the Christian falth through the UK for the publlc benefit malnly but not exclusively, by providing a place
'orship, religious educatlon and cultural act5vitle5. We are also promoting social inclusion for people who are social
<cluded and assistlng them to integrate society specially people f rom a very deprived community.
To spread the gospel of Jesus Christ through face-to-face evangelism with the use of internet and social media
ro build a Devout community through Identifyin8 Christian's social and spirltual needs and asslstlng wlth techniques
leet those needs.
The Assembly of Messengers Church is committed to assisting and inspiring people In the community I
serve their purpose trough:
,To act as a resource for youn8 people Ilvlng In Tottenham and surrounding by providing advlce, asslstance and organlsir
rogrammes of physical, educational, splritual and other activitles
èllef poverty for the public benefit In partlcular but not limited to people who are refugees and asylum seekers who a
)cially excluded on the grounds of thelr 50clal and economSc posltion
.To promote culture amongst ethnlc mlnority groups Ilving in England, partlcularly those from the Democratlc republlc .
Congo and An8ola to help them maintain and perpetrate their cultural Identlty.
,To advance the Chrlstian faith for the benefit of the public in accordanc• wlth the word of God.
AcfiviTIES AND PERFORMANCES
We have helped relief poverty and hardship amongst church members who are In financial hardshlp dL
to unemployment and lack income resources,
The trustees are pleased with the performance of the charity durlng the year and its position to rema
in activities during the future years.
LEGAL STATUS
The Assembly of Messen8ers church is unincorporated body governed by a written constitution adoptE
by its members. There are no restrictions in the governing document on the operation of the charity I
on its investment powers, other than those imposed by 8eneral charity law.
PRINCIPAL SOURCES OF FUNDS
Donations and offering are primary sources of funding for the charity to meet assigned objectives.
RECRUITMENT AND APPOINTMENT OF TRUSTEES

THE A.%SLMBLY OF NIL6iSLNGLRS C:HIIRCH
TRUSTLES. RE PORT
FOR THE YEAR ENDED 31 March 2023
Under the requirement of the declaration of trust the trustees are elected to serve the charity for
period of three years after which they must be re-elected at the next Annual General Meeting.
trustees give their time voluntarily and receive no benefits from the charity.
RESPONSIBILITIES OF THE TRUSTEES
The charity law requlres the trustees to prepare financial statements in accordance with the Unit
Kingdom General Accepted Accounting Practice.
The Pinancial statements are required by law to give a true and fair view of the state of affairs of affai
of the charity and of the surplus or deficit for that period. In preparing these financial statements, t
trustees are requlred to:
l.Select suitable accounting policies and the apply them consistently.
2.make judgements and estimates that are reasonable and prudent,
3,Prepare the financial statements on the going concern basis unless it is inappropriate to presume th
the charity will continue in operation.
4.The trustees are responsible for keeping adequate accountlng records which disclose with reasonab
accuracy at any time the financial position of the charity and enables them to ensure that the financi
statements comply with the Charities Act 1993, The Charity and The Charity Re8ulations 2008 and t
provision of the trust deed.
5.The trustees are also responsible for safeguarding the prevention and detection of fraud and oth
Irregularities.
This report was approved by the Trustees on 04/12/2024.
Cha
rm
FINANCIAL CONTROL AND RISK MANAGEMENT
The trustees of The Assembly of Messengers church for are mindful that they have responsibility for
systems of internal financial control applied at the centre, which are designed to provide reasonab
but not absolute, assurance against material misstatement or loss, and have identified key factors f
sustainability, including control environment, control of key business risks, control of informati
system, control and review of Control procedures, project monitorin8 and evaluation, reserve policy,
sustain the or8anisation, and with respect to,.
ie reliability of financial information within the organisation for publication

'I"HE ASSENIBLY OF fvIF.SSF.NGF.RS CHIIRL H
I'RUSI'ÈESI REPORT
OR THE YEAR LNDED .71 March 2023
ie retentlon and maintenance of appropriate accounting records
ie safeguarding of assets agalnst unauthorised use or disposal.
RESPEcfivE RESPONSIBILITIES OF TRUSTEES AND EXAMINER
The trustees are responsible for the preparation of the financial statements.
The charity's trLfjStees consider that an audit is not required for these fin ancial statements lunder se
43 {21 of the charity commission (under section 43171 of the actl and to state whether particular m
have come to our attention.

'riiE A5SEMIILY OTr. I¥IESSENGF.RS C'14LIRCH
INDEPENDENT EXAMINER'S REPORT
r()R THE YEAR ENDLD 31 March 2023
BASIS OF INDEPENDENTtXAMINERS REPORT
Our examination was carried out in accordance with the General Directions given by the Chari
Commission. An examination includes a review of the accounting records kept by the charity and
comparison of the accounts presented with those records. It also includes consideration of any unusu
items or disclosures in the accounts and seeking explanations from the trustees concernin8 any su
matters.
The procedures undertaken do not provide all the evidence that would be required in an audit, a
consequently we do not express an audit oplnion on the view given by the accounts.
INDEPENDENT EXAMINERS STATEMENT
In the course of our examination, no matter has come to our attention.,
{11 which gives u5 a reasonable cause to believe that in any material respect the requirements.
Proper accountlng records are kept in accordance with section 41 of the 1993 Act; and
Accounts are prepared which agree with the accounting records and comply with the accounti
requirements of the Act, or
12) To which, in our opinion, attention should be drawn to enable a proper understanding of t
accounts to be reached.
STAR TAX CONSULTANTS
36 QUEENSWAY
ENFIELD
EN3 4SA
Approved by the Trustees on.. 04/1212024.

'riiE ASSEMBLY Ob" NIE%SLN(;LRS C.'HI.IRC14
STATEMFNT OF FINANCIAL ACTIVITJES
roR THE YEAR ENDED 31 March 202.1
Recommended categories by
ctivity
Income and endowment5
from:
Note5
Unrestricted funds
Total Funds 2023
TotAI Funds 2022
Donations and legacies
Total
12,221.00
12,221,00
15,704.00
12,221.00
12,221.00
15,704.00
Expenditure on;
Raising funds
Charitable activities
12,566.00
1? 566.00
12,182.00
1.456.00
1,456,00
1,893.00
Total
14,022.00
14,022.00
14,075.00
Net incomel(expendilure)
Net movement in funds
(1,801.00)
{1,801.00)
1,629.00
(1,801.00)
(1,801.00)
1,629.00
Reconciliation of funds:
Total funds brought forward
Total funds eArried forwArd
1,629.00
1,629.00
(172.00)
{172.00)
1,629.00

'I'IIE .45S&:MI31.Y OF MESSLN("ERS fllURC'.H
B,4LANCE SHEEf
.OK TFIE YEAR ENDED 31 M￿h 2023
Recommended cAtegories by
Activity
Current assets
Unrestri¢ted funds
Notes
Total Fund5 2023
Total Funds 202
Cash at bank" and in hand
433.00
433.00
1.629.
Total current a5sety
433.00
433.00
1,629.
Creditors. amounts falling due
within one year
605,00
605.00
Net current
assetslOiAbilities)
{172.00)
(172.00)
1,629.
Total n¢¢ asset5 or liabilities
(172.00)
(172.00)
1,629.
Funds of the Charity
Unrestricted funds
(172.00)
(172.00)
1.629.
Restricted income funds
Endowment funds
Total funds
(172.00)
{172.00)
1,629.
The financial statements were approved by the Board on 04-Dec-2024 and signed on its beha]f by,
EDUARDO FIGUEIIiEDO
TRUSTF.F.

THE ASSF.MBLI' OF fiJESSLNGF.RS C'HU RCH
NOTES TO FIIYANCtAL STATEMENTS
FOR THE. YEAR ENDED 31 Marcli 2023
l Accounting Policies
1.1 Accounting Policies
The principal accounting policie5 adopted by the Charity, which is a public benefit entlly, in the preparation of the
accounts are as follows.
1.2 Basis of preparation
These accounts hake been prepared under the historical cost coniiention, as niodified by the inclusion of
charitable properties and fixed asset investmenis and investmeni properties at ￿alUatIOn.
These acLounts have been prepared in accordance with "Accounting and Reporting bs, Charities: Statement of
Recoinmended Practice applicable to charitie5 preparing their accounts in accordance with the Financial
Reportingy Standard applicable in the UK and Republic of Ireland (FRS 102)" leffective l January 2019) -
(Charities SORI) IFRS 102)). the Financial Reportin8 Standard applilable in tlie UK and Republic of Ireland
(FRS 102) and the Charities Act ?01 I,
These accounts are presented in pounds sterling and rounded to ihe nearest pound.
1.3 Going concern
The Trustees have prepared financial projections. taking inlo consideration the current economic conditions and
have, at tlie time of approving these accounts, a reasonable expectation that the charity has adequate ￿SOUrceS to
continue in opei-&tional existence for the foreseeable future. Thus they continue to adopt the goin8 concern basis
of accounting in preparing the accounts.
2 Income from Donations and Legacies
Unrestricted
funds
TotAI
TotAI
funds 2023 funds 2022
Analvsis
Donation
and gifts
12,221.00
12,221.00
15,704.00
12.221.00
1?,221.00
15.704.00
10

'rHL ASSF.MBLY OF fvIES5ENGERS CHURC'H
NOTES TO'fHE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 March 202_3
3 Expenditure on Raising Funds
Total funds
2023
Total funds
2022
AnAIysis
Adverti ying.
marketing.
direct mpdil and
publicity
Rent
collection,
property
repairs and
maintenance
char¥es
594,00
12,566.00
11.588.00
12.566.00
12,182.00
4 Expenditure on Charitable Activities
Total funds
2023
Total funds
2022
AnRIysis
L¢gallprofessiona]
fees
Charity Nnning cost
400.00
600.00
1.056.00
1,456.00
1 ?93.00
1,893.00
5 Cash at bank and in hand
TolAI
funds 2023
Tothl fund$
2022
Cash at
bank and
on hand
433.00
1,629.00
433.00
1,629.00
11

'rHE ASSF,NIBLY OTr fvIF.SSENGF.RS C:HIIRCH
iYOTES TO THE FiNANCIAL STATEMENTS
OR TE4E YEAR ENDED 31 March 2023
6 Creditors: Amounts falling due within one year
Total funds 2023
Total funds 2022
Accruals and deferred
income
605.00
605.00
12

"I"IIL ASSLfvIBL Y OF ￿lEssENG￿Ks L141J RC
NOTES TO TUE FINANCIAL STATEMETrITS
FOR THE YEAR ENDED 31 March ?0?3
7 Charity funds
7.1 Details of material funds held and movements during the CURRENT reporting period
Fund
bAlances
Fund
brought
bxlances
carried
forn4rd
forward
G#ins
and
losses
Income
Fund names
Expenditure Transfers
Unrestritted funds
General Fund
1,629.00 12,?21.00
(14,022.00)
(17?.00)
Total
1,629,00 12,??1.00
(14,02? 00)
(172.00)
7.2 Details of m8terial funds held and movements durlng the PREVIOUS reporting period
Fund
Fund
bAIAnces
brought
bAIAnces
carried
forward
forward
GRIDS
nd
losses
Income
Fund names
Expenditure TrAnsfers
Unrestricted funds
General Fund
15,704.00
(14.075.00)
1,629.00
Total
15.704.00
(14,075.00)
1.629.00
7.3 Transfers between funds
This Year
Amoun¢
Between unrestricted and restri¢ted funds
Between endowment and restricted funds
Belween endowThent and unrestricted funds
LAst Year
Amount
Between unrestiicled and restricted funds
Between endowment and restricted funds
Between endowment &nd unrestricted funds
13