Resurrection P￿r and L￿￿n8 thad Ministries (South East)
Trustee< re[￿ ond unaudited financial staiements
for the year ended 28 February 2025
cO￿TE.%,T5
Page:
Report of the Trustee5
54
Stsi¢ll*nt of Financial Activities
Notrs to ibe Financial Stsiemenl
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Tn&ee< rÈF#YI uraL*Yrted statemw)ts
for the year erthd 28 FI￿Vary 2025
the yex t￿kng 28 Fc&kwy 2025
the X¢OUDts and eon¥ly with the chthiy's conststuiw the chanties Act 2011 and the or
102) le(te¢tive l JwAry 2015).
Refertllet and AdmiDistratii'e Detaib:
ChArity.Jo'. 1207779
Prla¢lpal oifK¢.' All Saints Coffffiunity Centre, 105 New Cross Road, SE14 5DJ
Banker5.. Lloyds Bank
Trust￿..
The mernF*r5 of tbe eXeC￿1ve coo)millee ofthe chty are ils I￿￿tee5 for the P￿ of cbanty law
l throuthout this report #re collects.vely refcrrcd w Js the trustees. The Trusttts serving dunn8 the
y¢ar#nd sin¢e the year end were as follows..
£beo¢zer Entsua-.Mett5a
Erther Bgak)e Arnp*du
P%tri¢ia Adjei
Deborah SAMO
Strllcture, GoverD¥uce and M2lla%ement
Governing Docurnent..
Resurr¢clion Power Living Bread Min151n'¢s (South East) is goi'erned by its wDstiiuliorL It 15
r¢8iSt¢r¢d as a charity with thc rhanty Commty" sim Anyone over thc •&e of18 Can becoThK a ￿rnber
Of the charity.
AppolntmeDt of Trustees
As s¢1 out in the eon5nnLrion, the ¢xi5ung trustr¢s may Lppoinl any persoD V4ho is to b¢
tnultt in • genernl rneenng Al￿ subject to ¢14us¢ 5(b) of th¢ con5tilution: they may •lso appoini otbeT
trustees 10 #Ct a$ officers.
Nowon¢ may be eletied # trU￿rt or ￿ offitti itany genernl mecw unkss to the
meetitss the cban'iy is yven 4 Doi1¢¢ th#t'.
(*) Is si￿d by a mtmbEr ents'tled to vote 81 the ft*cThng:
(bl Sts*s the membcr'i InientioD ￿ propox the apPO￿l￿ent of J person is * trus￿¢ or as An o(fittr.
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Resurrectlon Powtr and LNln8 Bread Ministries (South East)
Tru5tees' report and unaudlted financial statements
lor the year ended 28 Fqbruary 2025
(c) Is Si￿ed by the person who is to b¢ proposed lo xhow hig or her willingnei.I lo be
appointcd.
Trnstee Induttlon & Trnlnlng
New tnJstc¢$ undergo on orienLition to brief them on their legal obligation5 under charity law. lh¢
content of the conststirtion, decision maktng process. th¢ organi5ational plan and recent fin8nei#l
perforMa￿e of the chazity. Dun"ng th¢ induciion, they m¢¢t kcy tlletnbets (volUnt¢￿S. etnployees and
other tr￿ttt$). The ￿$t¢¢$ are encouraged to attend appropriate training events where thege will
facilitate the undcnakiD8 of thcir Tole.
Organisation".
The meet regularly to adMi￿ter the chaTity and plan for the futrjre.
Risk Man4gemeDt
The tnLStees have a risk management strategy which comprises:
l. An annual review of the rÉsks the clwity may face.
2. The estsblisljrneni of sYSte￿LS and procedures to mitigate those risks identified in the plan; and
3. The implementation of prctedure5 designed to milli1￿e any potential i￿paCI on the Clwity should
those risks mafrriahse.
This work lus been done and idcntified a couple of minor new risks buL resulted iti better
etnergency procedures and contingen¢y plans and has given the desire for bener plawiing. Parti¢u]ar
atlention has focused on llon-fll￿￿lal Ti5ks arising fTom fire. bealth & Safety of congregants, 5af¢-
guarding issues. Appropriate PTo¢edures aTe in pjace to ethsure compliance to relevant legislations.
ObjertRves and A¢tivities:
The cknity's objecLS (the objects) are Testriaed specifically to adYaDcing the Christian faith only for
the benefit ofthe public throughout England in accordance with the Staiernent of Faith by providin8
facilrties for worship and pyayer. religious educaiion. Christian fellowship. outreach and pasioral oare
ill the lo¢al commutiity. Th¢ Charity delivers its objectives in two main ways..
l. Through dirert d¢livery using its own stsff, especially iti areas where we haye our own stsff: and
2. through &)Dations to other organisatiOtLS with similar objectives
Acbievements and Perfonn#n¢e:
During the operating year. the clwi.ly undertook several activitieslprogrammes aimed ai incre&%in8
membership and added a considerdble number of people Io OUT membership. TbLS major
hievement ar￿ our volun*ers deserve credit and praibe for iheir skilftLI and enthusiastic efforts 10
provid¢ a $uc¢es8ful 6¢rYice Io & 8rowin8 and broad range of peopl¢.
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R•surrectlon Power and Llvlng Bread Mlnlslrl•s (South East)
Trustees. report and unaudited firtanclal statements
for the year ended 28 February 2025
Finxnc5xl Revlew:
DuTing the year. the charity raised £39.743.45 to C￿ oul OUT programmei. Thi8 income waj r&iJed
through donations fmm members.
I'olunteer5
The cbarity is inNoli'ed in the community and is depcndeni on voluntary help. Volunteers assist with
ushenng and stewarding eTrtnts. enabiiThg longer opening and lower staff ¢o5ts than would otherwise
be the case. Most i'olwLleers members of the cl]ariiy. Most of our department5 each hav¢ ai least a
ieam of around 5 volunteers and the charity would b¢ unable to operatc without thcir help. Volunteers
also provide assistane¢ with event&lprograrnmes giving time and supplies to makc them a 5￿CesS. 'Fhe
Jsi¢es would like to take this opporrunity to say how much we appreciate their contiDuing and
'aluable support lor our work
Reserves
The trthstees have estsbli5hed aD interim policy of maintsxthing free reserves in unrestricted fimds at a
level which equates to approximately six months of unrestricted charitsble expenditure. The IT￿￿teeS
consider thai thRs l¢vel will provide Sufficie￿ funiLs to ensure that thete are suffici¢nt funds ayailable
to cover supp(Trrt and governance costs and lo fuud programmes.
Plans for the FU￿re
We intend to continu¢ our approa¢h of funding direct and indirect outreach PTogrammes but following
this with further projects such as seminars on cu￿ent issues alld annual conterence w'ith speakers from
a￿osS th¢ worl(L
The Elders have referred to the guidance conlained in the Charities Con]mission'$ general guidance
on public benefit when reviewing tb¢ Charity"s ain￿ and objectiN'es and in plarjning the Chariry,
futrjre activities.
The Elders ¢ODsider how planned activities Colltribute to the ain￿ and objects'v¢s they hav¢ set
The Elders. particular contribution to thc working ow of the calling of the Charity is to:
support and enable the church and members of the congregation to calL nurture, and
cballenge and equ￿ dis¢ipl¢s to carry fotward the work
provide regular public worship open to au
provid¢ sacred spac¢ forpersonal prayer and Contempl￿10
conduct pastoral work including vi5ilin8 the sick and the bereaved
teach Christianity through sennoDs. courses and small groups
provide a youth ¢lub with a ChristiaD ethos
prOD￿te the whole mission of the church through activities for senioT Clti2eL8. parents and
toddlers and othcr special n¢eds groups
support other churches and Christian groups Rn the UK and overseas
W¢ consithr thal for tbese reasoDS. the Charity meets th¢ public benefit rcquiremen
Auditors
The Cbarity is entitled to exe￿￿tiOn from audi( in accorda￿¢ H'ith sections 475 and 477 of the
Companies Act 2006 rejating to small companies and no noti¢¢ has been deposited under section 476
of the Act
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Resufrecllon Power and Llvlni Bread Mlnistrl•s Isouth Eastl
Trustee5' report and unaudited financial stalem•nts
lor the year ended 28 February 2025
StAtement of bin4nciAI Actii'itie5 (In£ludln% Income 2nd Expendllure Atcount)
for the )'e*r ended 28 Tr'ebruAry 2025
Unrestricted Fund
Total FuDdJ 2025
Income
39,743
39, 743
Income from other activities
Total Intome
39. 743
39.743
Expenditure
Expenditure on clwitable activities
Governaace costs
17.874
17.874
Total Expenditur¢
17, 874
Net Income l (ExpeDditure)
21,869
21.869
The statement of fllwicial activities iticludes all gains aDd loss￿ Te¢ognised in the year. All income
d ¢K￿nd1bjre derive from continuing acti￿tieS.
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Resvrr•ctlon Powef #nd Llvlni Bre•d Mlnlstrles (South East)
Tru5tees' report and unaudited financial statements
for the year ended 28 February 2025
B*lAn¢e shett os #t 28 Fcbruirv 202S
28 Ftbruiry 2025
Fixed Assets
Tanwble Fixed Asseis
Currmt Assets
C•sh at bank
21, 867
Total Current Assels
21, 867
Creditors: amounts falling due wÉthin one year
Net current assetsl(liabilities)
21, 867
Total assets le55 curreiit liabilities
21. 867
Creditots: amounts falling due after mor¢ than one year
Totsl Fund5 of tbe Charity
Unrestrictd Funds
Totsl Charity Funds
Approved by the truslees on
Name:
InLIA ADJET
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Rq5urr•ctlon Pthwr and Llvln8 8r••d Mlnistries (South East)
Trustees. report and unaudited financlal ststernents
for iht year ended 28 F•bru•ry 2025
l. Accountln8 Polldes
1.1 Basls of Preparatlon
The fjnancial staiements have been prcpared in aCCOTthnce with Accounling and ￿t￿Tling by
Chariti¢s: Statement of Recommended Praclice applicable to charitics prepamg their xcounts in
accord￿¢ with ihe FinaThcial Reporting Standard applicable in the UK and Republic of Ireland (FRS
102) (effective l Janwy 2015)- (Clwities SORP (FRS 102)), the Fina￿1#1 Rcporting Stsndard
applicable in the UK and Republi¢ of Ir¢laDd (FRS 102) and tbe Comp4ni¢s Act 2006.
The Ch•Tity m¢ets the defiDiiion of a publi¢ benefit entity under FRS 102. Assets and liabilities are
initialty r¢cognised at historical ¢ost or ITansxtion value unless otherwi￿ ststed in the rel¢vaDt
accouDting policy notrfs)
la Intome
All in¢oTne is recognised once the Charity has CDtiiletncnt to the funds. any perfornuDce conditions
attached to the item(s) have b¢en m¢L it ts probable that the income will be re¢eived and the monetsry
value of incoming resourtts be tncasured with 5uffi¢i¢nt reb"ability. Jncome received ID adv2Trre
of provision ofother SP￿lfied seTvice is deferred until the ¢riteria for income reco￿li￿on are meL
Donated professional services and donated facilities ate recognised &$ income when the ChaTity I
control over the ilem, any conditions 8ssocia*d with the donated iiem have been mel the receipt of
economic bellefii from the by the CILarity of the ilem is probable and that economic benefii ¢all be
measured ￿lIablY. On receipt. donated professional servi¢cs and donalcd fdcilities are Tecognised on
the basis of the value of the gift to the c￿￿lty wbich is th¢ amount th¢ Charity would have been
willing to pay to obtain services or facilities of ¢qUiVdl¢nt econotnic b¢n¢fit on the op¢n markeL' a
Corres￿nding amouni is then recognised in exp¢nditure in the period of receipt.
In accordance with the Cbarities SORP (FRS 102). the general volunteer lime of the Volunteers is not
rewgnised (refer to the TnMees' anllual Teport for more inf0m￿lIOn a￿ul their contribution).
Interest on funds beld on d¢p051t is included when Teceivable and the amount ¢an be measured
reliably by the Charity. this is normally upon notification of the interest paid or payable by the bank.
IJ Fund accountiJJE
Unr¢strActrd funds are available lo spend on activities that lunher any of ibc PU￿*5¢5 ofthe Charity.
Designated funds unrestri¢t¢d fi]nds of ihe Charity which the Elders hai'e decided at thetr
discretion io set aside to ￿se for a specific purpose. Restricted fun(L% are donalion5 w'hich the donor
ba$ 5pecif*d are to be solely used for particular aTeas of the Charity's work OT for specifK projeci
beitig undert¥k¢n by ihe Charity.
1.4 Allocation of expenditure
All expe[￿l￿re ha5 been classified under heading thai ag8re8a* all cosls related to the calegory.
ExpenditW¢ 15 c14ssifi¢d under thc followi08 aciiviry headings..
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R•surr•¢tlon pl￿•1 Ind Ll¥lni Br•id Mlnlitrl•s (So￿h É•stl
Tiuil••l' r•port and un•udil•d fin•rKl•l it•t•m•nti
lor th• y••r •nd•d 18 Fqbruary 2025
F.xpeThIii￿t on chthritable •¢ti¥ities'. Expendilure on chwilable ACtivltie8 inclu<k the colts of
Iclivilies wd¢n4kLn io fuTthcT thc purw)1¢4 or lh¢ Charity, ¢oili direcily •llributhbk
TUDnin8 of ihc chwrh ond tkir aqKKiJl¢d iupp¢)rt coils.
Go)*rMnce c05ts.. Governance costs comprise ¢03ts for naT￿Ing the Ch*ity itself as an
Other expenditure: Other expenditrmr repTe8¢nts those Ilen￿ not f#llin8 into w other
1.5 Cash at b*nk *Dd in hand
at baDk atMI cash in band includes Casb and slM)rt tenn bigbly hquid iDvesttiJents with a short
matirity of thrtt montrLS or less from the date of acquisition or opening of the Ikposit or similar
ADAtysis of Intome frotn charitable *ctiiilies
Donations (Tithe & Offerings)
Gift Aid
39. 745
39.743
Anaty5is of expenditure on cbarit*ble activities
Charitxbk DoDation
EntertainmeDt
tficomputer
Conference
ReDt
inistry Expense
TrAI'el
1,949.86
1208.52
1,597.IMI
7.130.00
3.978.IKI
1.611.00
17. 874
Trustee remuneration and related part). transictions
During the y¢ar none of the TrusTee￿Ider received Teimbursement of expenses incurred on behalf of
the Charity ( - l. No trustee or a person related to a trusiee had any ￿[sOnal inierest in any conuact or
trangction entered into by the ChaTÈty during the period. No rela*d ol a tNsiee T¢¢eived any
ben¢fJi or amounts from the Cban"ry.
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