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2025-06-30-accounts

TRUSTEES, ANNUAL REPORT Remnant of CrAce Fellowship C¢ntr¢ Charity Number. 1209787 For the period: August 28, 2024 - June 06, 2025 Charity Address: 16 Third Avenue, Ketley Bank, Telford. TF2 OAW Structure Governance and Mana ement The charity is an unin¢oTpora*d association / CIO governed by its constitution adopted on Juty 18, 2023. The tr￿tee9 who served diiring the year were: Nathaniel Eweoya-olubiyi Serge Pacome Hounde Ogbeyiwa Allan Omagbemi Ob ectives and Activilies The charity's obj¢¢ts are: To adv&ii£e tlie Cliristian rcligion for the bcnefit of thc public in ac¢ordan¢e with the stal¢ments of the faith appearing in the schedule through the holding of prdy¢r Ni¢¢liIi¥b. bibl¢ 51udy class¢s. public cclcbration of religious festivals, Pastoral ¢are, and community outreach. During the financi21 year, th¢ charity did not undertake any activities. No incorne was received and no expenditure w&s incurred. The charity remained fully dormant throughout the period. Achievements and Performance As the charity was dorn]ant, there were DO charitable activiti￿, no fundraising, and no proJcc¢¥ ol¢liv¢r¢d during the year.

Financial Review The charity had: Total income: £0 Total expenditure: £0 Funds carried forward: £U There were no assets. Ilabilities. or restricted funds at the year end. The trnste¢s confimi that the charity is complianl with its reporting obligations. Res¢rv¢$ Poli As the charity is dorn]ant and holds no funds, the trnstees have not set a reserves policy for the year. Risk Mana emtnt Given the dorn)ant ststus, the trustees consider the charity's risk ¢xposure to be minimal. The Charity will review risks if activities recommence. Statement of Trustees, Res nsibilities The trustees are responsible for preparing the Trnstees, Annual Report and the Receipts & Payments Accounts in accordance with the Charities Act 201 l and applicable regulations. The trustees confirni that: The charity remained dorn]ant throughout the year owing io lh¢ demise of the Trustee Chair's wife No funds werc rcccivcd or spent. The accounts 8lV¢ a true and fair vicw of the charity's financial position,

Approved by the trmtees •n: Apiil 24. 2026 Name: Nathatiicl Ewwya4)lubiyi Position.. Tn¥tsc CThair

RECEIPTS AND PAYMENTS ACCOUNT For the period ended June 30. 2025 Recei Donations and Le Grants Fundraisin Income Bank Interest Total Recei acies ments Charitabl¢ Activilies Governance Costs Fiindraisin Other Pa ments Total Pa ments Net movement in funds: £0 Funds brought forward: £0 Funds earried forward: £0

STATEMENTOFASSETS AND LIABILITIES As at 30 .June 2025 Assets Cash at bank: £0 Cash in hand: £0 Other assets: £0 14iabilities Creditors: £0 Other liabilities: £0 Net assels: £0 Total fund$: £0