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2025-05-31-accounts

CHARITY COMMISSION Trustees, Annual Report foi the period Fromlslaii datel lo lend datel Seclion A Reference and administration details chaiity fiame £MIp oiher natDe5 the Iharily 15 known by Registered charity number lil anyl pJrJr4Lryll charity's principal addiess hFswic£ g i R&&1 koc P051code Names ol the chaiity trustees who tnanage the charity Twustee Name Dales acted if llot loi whole year Name ol person lor bodvl enlitled to appoint tIU5tee lif any) OlfitÈ lil any) Lb ru£ CHI￿1&y)[l Uik IFtsomA kiuuikE 10 12 14 16 17 18 19 20 Names ol the trustee51oi the chaiily, il any Ilor example, any custodian Iru5teesl Nawne Llates aited il not lor wholo year TAR March 2012

Sectlon A Relerence aftd admlnlstffailon deiJS1s {ionllnued Nmmcs an(1 iiddi*ssfS DI Jdvisori (o Typt ol Bdvisei Nome Addiess NamE ol chiel pxi?(ulive oi n)mes ol sÈnioi slbllmembois lional inlorm31ion Settion B 51ructure• gavernance and management Type ol guveiniftg docijmenl TÈLAST TrE&S) Haw Ihe Ihaiily Is ttsn51itUle leg IIv51. assoiiats-on, iofflpaoy) TIu51Ee Selection meihods {eg hppvintEd by, elotled byl IIPPoiDJ I gENJicK PI¥s i OL. Addillonèl goveioante issues loplioiial inloimailon You mèy (hoose ID include addlllonal itlloTmaiioo, whore relevant. about.. pollclcs and procedures 3dopled lor Ihe It￿￿{110n and irainiog ol IJu51ee5,' wldei neiwork with which Ihe Iliaiily works; Iiusiees. consideration ol Inajor risks and the Svsieffl and procedures 10 rRanago them. TAR Maich 2Q12 cs Camscanner

Secllon C Oblecilves and a(Ilvltles a4vrfncemeJ& OP Chtlwth.(A￿ &￿e*￿tr PL￿LiC in An￿W OLbY io n gEtLl£meJ& aJ7d lth'&Nie. lo P(¥ CLmpassion, lofd sq dnd 0￿£1¢￿19 Sufftrfb)ry ol objo(ls ol Iho (hoiiiy sel DUI In Ils governing doctFmonl Suinmaiy ul Ilie acilvlilo5 en 't..Ik Less UJLLO mSeLQeS. kndiQdl gLywt, donce (oun seryThi ICLS owe Chaiily (omfftission on pithlic b2neliil You ffl4y choDSe 10 IniludE luiihef sialemènis. whefe ¥el@vaThl, aboul.. policyon granlmèklng,. policy p10grDmme relaled Ir¢vesltnEBI,. (onirlbullon niade by volunleEi5. Secllon O Achievements and perfoiman(e M￿￿rYo1 the main achievernenrs ol Ihe dwiliy duiliig the year hLwQ oKwith ajid Spiwiltjd 9tJi f eyLL fL& stsuaa lod tkew oed- mLa. Peuplo ￿J￿￿ rfeLeLkJe dts ' Ikew ti￿ncId 2L-U?lep Peoplo Loer<Q pi4 SomLonE kn ￿P0Ae in Id- tko kdf 4k&4k4 ned. TAR Mafch 2012 cs Camscanner

Se<llon E Flnanclal revlew Btiel Slèltmeni ol Ih ,tr- Ikn ftLDnlks D+ Ik tk￿ *r¥J CoJi QDn¥inue 'kn ALI1 In You may Ihoose lo in(ltsde addiiloTral Inlormalioii. where Iclevini, Jboul: DW oxpendilure lias supporled ihe key objeitiVe5 Qlthe (hèilly, Inve51menl poliiy objeiilvtr5 includli any èihicAI invesimenl pollcy addpied. Sectlon f Other optlonal infofmatlon SeclloTh G Declaration Ihe tiustces de<lire thèi Ihoy have approved Ilie IIu51ees' ieporl abève signed on bchall ol Ihe <haiily'5 Iiusiees Slgfflèwielsl Full namel51 C l C k(n edu 6k6U(l(¢&e olm tni ' PosTrlion {e9 SÈuelary, Chak. ek) Dale uriDEIEB YAR Marih 2012 cs Camscanner

Charity Registration Number '. 1208431 AMAZING GRACE CHRISTIAN FELLOWSHIP MANCHLSTER A CHARITABLE tJN-INCORPORATED ASSOCIATION FINANCIAL STATEMENTS FOR THE YEAR ENDED 31 MAY 2025

AMAZING GRACE CIIRISTIAN FELLOWSHIP fvIANCHESTER LEGAL AND AD]IIINISTRATtVE INFORMATION FOR TTtE YEAR ENDED 31 MAY 2025 Trustees CLETUS CHINEDU OKWUIKE MICHAEL CHTNEDU OKWUIKE THNVEESA CHtNEDU OKWUIKE IGBEKLE JULIUS OSA-ONI Charity Number Registered Offjee 1208431 76 Keswick Street Rochdale 01113ag

AMAZING GRACE CHRISTIAN FELLOWSHIP IVIANCHESTER CONTENTS FOR THE YEAR ENDED 31 MAY 2025 Statemcnt of Financial Activities Balance Sheet Notes to the Financial Statements

AMAZING GRACE CHRISTIAN FELLOWSHIP MANCHESTER STATEMENT OF FINANCIAL ACTIVITIES FOR THE YEARENDED 31 MAY 2025 Recommended categories by activity Notes Unrestricted funds Total Funds 2025 Income and endowments frou): Donations and legacies 21,332.00 21,332.00 Total 21,332.00 21,332.00 Expenditure on: Charitable activities 8,966.00 8.966.00 Other 4,330.00 4.330.00 Total 13,296.00 13,296.00 Net income 8,036.00 8,036.00 Net movemeDt in fund5 8,036.00 8,036.00 Reconciliation of funds: Total funds brought forward Total funds carried forward 8,036.00 8,036.00

AhL4zifyG GRACE CHRISTIAN FELLOWSHIP KANCHESTER BALANCE SHEET FOR THE YEAR ENDED 31 MAY 2025 Recommended categories by activity Tr4ote$ Total Funds 2025 Cu￿ent assets Cash at bank and in hand 16,145.00 Total current a55et5 16,145.00 Creditors: arrkounls falling due within one year 8,109.00 Net current assetsl(liabilities) 8,036.00 Total net assets 8,036.00 Fund5 of the Chmrity Unrestricted funds 8,036.00 Restricted funds Endowment funds Total funds 8,036.00 The financial statements w¢re approved by the twstees on 04 March 2026 and signed on its b¢half by.. CLETUS tHINEDU OKMWIKE Trustee Date . 04 March 2026

AMAZING GRACE CHRISTL4N FELLOWSHIP MANCHESTEI R NOTES TO THE FINANCIAL STATEMENTS FOR THE YEAR ENDED 31 MAY 2025 l. Accounling Policies The principal accounting policies adopted by the Chaiity, which is a public benefit enlity, in the preparation of the accounts are as follows. 1.1 Basi5 of preparation These accounts hav¢ been prepared under the historical eost convention, as modified by the inclusion of charitable properties and fixed asset investmentb (tnd investment properties at valuation. These accounts have been prepared in accordance with "Accounting and Reporting by Charities.. Statement of Recommended PTactice applicable to charities preparing their account5 in accordance with the Financial Reporting Standard applicable in the UK and Republic of Ireland (FRS 102)" (effective l Ja￿llary 2019) (Charities SORP (FRS 102)), the fÉnancial Reporting Slalldard applicable in the UK and Republic of Ireland (FRS 102) and the Charities Act 2011. These accounts are presented tn pounds sterling and rounded to the nearest pound. 1.2 Going coneern The Trustees have prepared financial projections, taking into consideration the OU￿ent economic conditions and have, at the time of approving these accounts, a reasonable expcctation that the charily has adequate resources to continue in operational existence for the fore8eeable fvture. Thus they eontinue to adopt the going concern basis of accounttng in prepdring the accounts. 2. Income from Donations and Legacies Analysis Unrestrlcted funds Total funds 2025 Donation and gifts Total 2l,-332.00 21,332.00 21,332.00 21,332.00 3. Expenditure on CharAtable Activities Analysis Unrestricted funds Total fllllds 2025 Gifts & Food 8,966.00 8,966.00 8,966.00 8,966.00 Total 4. Other Expenditure Analysis UDrestrieted funds Total fund5 2025

Pren]ises Cost Subscription Staff Training Printing Accountancy Fee Music Expense Total 3,380.00 223.00 17.00 39.00 420.00 251.00 3,380.00 223.00 17.00 39.00 420.00 251.00 4,330.00 4J30.00 5. Cash at bank gnd in hiind Total fllnds 2025 Cash at bank and in hand 16,145.00 16,145.00 Total 6. Creditors: Amounts falling due within one year Total fund5 2025 Oth¢r creditors 8,109.00 8,109.00 Total 7. Cbarity funds 7.1 Details of material funds held and movemellts during the CURRENT repurting period Fund balances brought forw8rd Fund Gains and balances losses caj'ried forward Fund names Income Expendilure Transfers UThrestricted funds 21,332.00 13,296.00 8,036.00