Christ Preachers Chamber
Charity No. 1193303
Trustees, Reportand Accounts
31-Jan-24

Christ Preacher Charnber
Charity No 1193303
co￿ENTs
Pages
Trustees. AnnualReport
2to3
Independert Examiners Report
StateTnent ol FinancialActM
Balance Sheet
Statement otcash fl(v
Notes tothe Accounts

Christ Preacher Chambei
Charty No 1193303
TRUSTEES ANNUAL REPORT
The Trustees pre5eni their reportwth the unaudited financial statementsof the charityfor theyear
enLted 31Janu3ry2024.
REFERENCEANDADMINIStRATIVE DETAILS
Charrty No 1193303
Piincipal Offi"¢e
Flat 15
College Point
Wolffe Gardens
E15 4JL
Trustees
The followngTrustses served duringthe year.
Obemeata At)dLtI Dododawa (Chairman)
Ble5sirig Dodooawa
Fred Ehiosu Ogeva
Accountsnts and Tax Consultants
Accountax SeNices
114Tstney Road
Dagenham
Essex
RM96HP
httP5.'Ilv4vM.accountax-services.co.uk

Christ Preacher Chamber
Charitie5 No_1193303
TRUStEES ANNUAL REPORT
OBJECTIVES ANDAcnvmE5
TheTrustees presenttheirannualyeponandfinancial statements fortheyearendeil 31 January2024.
The chaiitytrustees are responsible for preparinga trrjstee's annual rekYfyrtan(J financial statements in
accordance wrth applicable bwand Untled Kingdom Accounting&andards Iunrteo fingdom Gene￿IlY
Accepted Accounting Piacts"cel
TheTrusleesare responsiblefor keeping pro￿13ccoUn￿"ngIecor￿S thatd]"5closÈwth reasonable accuracy at
any time the financial p051tion of the charityand to enable them to ensufe thatthe finarjcial statements
¢omplywiih thecharnies Act2011. the 3ppbcable charm.es IAccounts and Reports) Regvlats"ons. and Ihe
provisions of the TDJst deed_ TheTru5tees a¥e also responsiblelor safeguarding the charitys assetsand
ence taknng reasonable steps to prevent and dètect ftsud and other irregularitie&
The Char￿,5 objecttves are:
Provide Quality healthcare forunderserved Communrt￿&
Establish vocational schools fo¥ s￿"1[ development amongdisadvantaged individual
Support bri¥71 Students through scholarship pTograms.
Create iTrcome-generath'ng opportunities lor Iow-intome people. such a5 planf resource cultsvats'on ano marke￿ng-
Promote eifucation io all Treety peopEeand ovphansthrough eLluc*ional Instrtutions.
We havea 100% donats.on poly. ano all ouradmin costs Mll be covered ty ourtrustees andvolunteers
A¢ltievements and perfomiance
Christ PrÈacheis Chamberis 8 small chantyand has beenworkingwth poorand needypeopEe. especially orphans.
Al Ghrisi Preachets Chamberwe are alsoty.ng to build an oqihanage.
Most of the donations has been iaised throtsgh local communitie5. frierKIs and family members.
TheTru5tee reportwas approved bythe Board ofTfustees
ObemèatsAbdulDo
Chalrman
odawa
26 Augtsst2025

Christ PreacheT Chamber
Charrties N 1193303
INDEPENDENfEXAMINER'S REPORT
To the Trustees of the"Christ Preachers Chamber
We reportto the Trustee5 on our examination otthe fi"nancwlstatements of the Christ Preacher5 Chamber
Ithe chartynumber 119&303lfortheyearended 31 January2024.
Responsiblllties and basls of report
Hawngsètisfjed ¥rryselfthatthe fi'nancial statements otthe chantyare t)ot required tu be audited under Part 18 of
the 2006 Act and are eliyble forindependentexamin*ion, I report in respectof rnyexamination ofthe chaTity's
financial statements carried OLrt underSe￿10n 145 ot the Charities Act 2011 (the 2011 Act). In car￿ng out my
examination I have followed alithe appts"cabie Directions given bythe Chartycomrnission undersection 14515llbl
ofthe 2011Aci.
Indepèndent examlner's stateme
I have compleied my examination. I contirm that no matters have corne tomy atterrtton in conTtection wth the
examination gwing me cause to beiTeve that sn any maieTial respect=
l. Accourrting records were not kepi in respectof the charity as required tysectKTrn 386 of the 2006AcL" or
2. the financial state￿ents do not accoidwjth those records- or
3. the financial statements do not comptywith the accountingrequirements of se￿￿On 396 ofthe2006Actother
than any requirementthai the accounts g￿e a true and fairviewwhich is nota matterconsidered as part ot an
Independentexaminalion-
4. the financial statements have not been prepared in accordance *ith the method5 and pr¢nciples of the
Staternent ol Recommended Pracb"ce for aCcoUn￿ng3nd repoth"ngbycharsb"es app￿"cable to charities
prepaTingtheir accounts in accordance the Financial ReporringSTandard applicable In the UK and
Republic of Ireland IFRS 1021.
I have no concerns and have come across no other matters in connection ￿ryth the examin&ontowhich attention
should be drawn in this report in orderto enable a proper underslandingof the financialststemenis to be leached.
6111A
lalil Akhtar
On anil behalf ol Accountax SeThices
ntsnts and Tax COnsu￿ts
T•)•￿￿.. 0783 774 2244
E: inf0@aceAx￿lax-seTh1￿S.lXj.L
114TilneyRoad
Dagenham
Essex
RM96HP
26th August2025

Christ Preachel Charnber
Charities N 1193303
STATEMENTOF FINANCIALACTIVITIES
INCLUDING INCOME AND EXPENDifuREAccouNr
FOR THEYEAR ENDED 31January2024
Unrestricted RestriG*d Total{20241 Totall20231
funds
lunds
luThls
lunds
Inoom¢
Donation5 an(J legacies
Other
Total Income
soi
7867.92
0.00
0.00
7.867_92 11.410.00
0.00
IIAIo.00
7.867S2
7.867.92
ExDRDditur
Charitable attivrties
Other
Totsl Expenditure
7.069.46
0.00
7.069.46 12244.00
o.oo
12.244.00
7.069A6
7.069.46
Net lexpenditurevincomefortheyear
Net movemert in funds
798.46
0.00
798.46
834.00
Fund balances BJFD at31January2023
9.697.73
0.00
9.697.73
9697.73
Fund balances CIFD at31 January21)24
10,496.19
0.00 10.496.19
8.863.73
The Statement offi.nancialact1￿kne$ includes ail gains and losses recoenised in theyeai.
All irkcome and expenditure derive fmm continuingactivities.
The statement offinancial actsvitiÈs aL80 complies ￿ the requirementsfoi an incorne and exper￿rtUre account
underthe CompaniesAct 2006.

ChTlSt Preacher Chambef
Chartties No.1193303
BALANCE SHEEr
ASAT31January2024
2024
2023
Note5
c￿￿ent assets
Cash at bank and in hand
10,4%.19
9.697.73
Creditors". atnountsfalllngdue wtthin
one year
0.00
Net currentassets
10.49S.
9.697.73
Income funds
UnrestTlCtÈd tunds
Totsi charityfund5
10,496.19
10.496.19
9.697.73
9.697.73
The directors are safr"sfied that the companyi5etrtrtLed to exemption frixn the requirementto obtain an
audit under section 477 01 Ehe CotTrpaniesAct 2006_
The member5 have not required the companytoobtain an audrt rn accortlance wtth section 476.
The directors acknowledge their responsibilj.tiès forcomptyingwith the wi￿re[Trents01the Companie5
Act 2006 with respeci to accountingrecords and the preparation ofaccounts
The tharity Is subjectto an Inrfependent ExaminaD"on undercharrty lewsiatK)n. and the report ofthe
Independent Examilleris on page 4.
The financialstatements have been prepared in accordance wtth the pr(Msion5 in Part 15 of the
Companies Act2006. appilcablelo companies subject tothe small cownpanyregime.
These account5weie approved bythe board oftrustees and Signed on behatfty-
Obemeata Abdul Do(Sodawa
Chaim7an
Approved bythe board oftrustees on 26August2025.

Christ PTeacheT Chamber
Charities No.1193303
Notes tOlheAccounts forlheyearending2024
Note l- Basis of preparation and accounts"ngconvent
The accounts have been prepared on accruats basis. under the historicalcostconvention, and in
accordance with the Financial Reporting Standard 102 leffedive tst January20191 and'FRS 102 SORP
Istatefflentof Recornmended Practice forAccountingand Re￿rring bychantiesl, effeth.ve larsuary
2019, (rtie SORPI. and in accordanCe￿th all app15cable in the chatty'sjurisdicu"on of reglstratr"on.
Note 2.. Accounting policies
Policies relatingto caiegories of income and income iecognttN)n
Nature of income
Gross Income represents the valve. net ofwdlu&added tax and discounts, of goods provided to
customers and work carriedout in respertof services provide(J to Customers.
Categories of IncoFne
Income is categonsed as income trom exchangetransacb'ons Iconiractincomel and incomefrom non
exchange transacll.ons IErftsl. investmertincome and other income.
Income from exchange transactions is received bythe cha¥rty torgoods orseTrices suppb.ed under
corrtraci orwhere entréiementis subjectto futliUJ"ngperfomianc￿related condikn"ons. The income the
charity receives is approximatety equal in value tothe Eoods or services supplied bythe chaTitylo the
purchaser.
Incometrom a non-exchangetran5action is vtheTethe chanty reoivesvaluefromthe dOr￿T￿thout
providing equalvalue in exchange and includes donations ol money, gijoos and services freetygwen
wilhimjt giving equalvalue in exchange.
Income recognib.on
Income, whetheifrom the exchange or noTrexchange transacti￿s. is recognized inthe ststemerrt of
fin8ncial activities ISOFAI on è receivable bsis, vthena uansauFoll ot otherevent results in inciease
in the chzrrty's assets ora reduction in its tiabilrties and oniywhen the chaiity has legal enttllement. the
intome Is probable and can ￿Measu¥e￿ ietsably
Income subjectto terms and condTtionsvknich must be metbetorethecfiarityF5 entrtled io the resourcE
is not recognize(f untjLtheCondit￿ns have been met
All Income is accounted foi gross before deducts"nganyretated fees or costs
Membership subsciiptions

Christ Preachef Chamber
Charities No.1193303
Policies reLatingto expendilureon goods and seNices provÈdedtothe charty.
Recognitlon of liabilitiesand expenditure
A liability, andthe Teiated expendituie. are recognized v#hen a tegal orconstructive obligation ex7Sts a5 a
re5ultof a past evellt when rt is more lJ"kelythan notthata transfer of ecor￿mie benefjts Wtu be requrred
in settlement. and wher> tr*e amount ofthe obligation can be measured orreb"abtyestimateO
Liabitsties aiisingtrom fvturelundingcommitments and constrncttve obb"gations. including
perfoimance-reiated grants. wherethe tÈming orthe amount ol the future expendttiJTe required to settle
the obtsgation is uncertain. give ris2 to a PTQV¢SiOn in the accounts. which is reviewed atthe accounting
year-end. The provision is increased to Tertectanyincrea5es in b"atilities and is decreased bythe
utilization of arTry pr￿lSIon within the period and reversed if anyprovtsion is no longerrequired. These
movemenls are chaiged orcrectited to the respecknvelund5 and a￿l¥Iti"e5 to which the provision relates.
Altocaiingcoststo activfties
Direct costs thataie specificauyrelated trj aft actiVityaTe aU(tatedtothat activtty. Shared direct costs
and sUPPOrtcosts are apportioned btheen activtties.
The basls for apport10nmer￿ which Is cmsistentty applied. ano proportionatetothe CiTCUTnstances. is:.
Staffing- on the basis otts"mespent in connects.on vth any particularactm.ty
Staffing- on a percapita basis. basett on the numberof people employed ￿thin anyparticuiar activity.
Premises-related costs- on the propoTtion ofliooraiea occup￿1 bya pathcuiaracbvity
Nonspecrfic supportcosts- onthe basis of the usage ofresources. intemis of limè taken. capacty used,
request made OF Olhei measures
Policies re¢atingto 25sets. ￿8b1￿￿.es arTrd PTowsions an(J othermatters.
Notes 3-Analysts of Income
2023
Donations and legacies
Total Income
soi
7.867.92
7.8S7.92
11.410.00
11,410.00
Expenditure
Site Buildingwork 8 OtherRelated Expenotlures
Dollatr"ons m3de and lundraising activities
Total
7.069 46
7.069.46
12.244.00
11244.00