CHRIST APOSTOLIC WORLD REVIVAL
Charltable Incorporntad Organlzatlon
Registered Charlty Numbor 1210338
Financial Statements for the Extended Period of 4 October 2024- 4
February 2026

TRUSTEES, ANNUAL REPORT
For the extended period ending4 February 2026
1. R•f•r•n¢o and Admlnl•trntfv• D•tsll•
Rofofence and Admlnl•tr•th• D•tall•
Chari
Name
Le¥oL FuTffl
Re
ist&red ChBri
PrincipalAddress
Infowfflatlon
ChriStApO￿oI1c World Rwivai
Ch&ritable In¢orporatod O
1210338
Methodi* Church HaiL 62 Mottiwm Rd.
London. SE9 4QR
Metro Bank, Broodway Shoppln8 Centr¢.
68B The B￿1
8th. DA6 7JN
Albert Akn￿mi A18dotoun
Clgro Adejoka Adereml
Waleola Samuel 08ni•lB
Nathaniel E
a.OLub
Number
Bankers
Tru8t0O8
2. StruGtur•. Govemance and Monogement
Christ Apo8totic World Roviv*l l• goNwThed its Artlcl8s ofA880cIAtion. Tru#ta8s arn 8ppolntod
In accordance with tho gtyleming documont. The trugteea ovarsee $8feguardlnq, financl81
•tewardshlp. mlnlstry ￿M$18ht. and tompilance wlth charltyand company law.
3. ObJ•ctlv•s and ActMtI•#
The charity's objecti¥*8 Include:
Advanclngthe Chri8ti8n f85th
PrOvidingv￿r8hip servlco8
Offering pastoral care
Supporting mi$$ion and evangeli8m
Rebevin8 Poverty and hardship
Activitie8 during the year included ￿klY worshiA evangelism. pasti)ral vl81ts, benevolence
support. and comffiunty outreach.

Pubuc 8•n•fft Statement
The tru8t88s confirm compliance wlth section 17 of the ¢h8ritie8 Act 2011 and have had du¢
gard to the cherity commission's guldance on pubilc benollt
5. Achl•veThnts Porfomi•nco
During the yearthe church:
Detivered regular worship 8efvices
Supported mambern ihfough pastor8lvisit$
Provided bene¥￿Ience and hardship 8UPPOrt
Conducted evangelism and outreach
Slrongthongd V￿•hoP mlnlstry and wluntw wig888ment
6. Flnanolal Ravl•w
Total incorne for the period was £24.71&50. au unrestrlcted.
Total expendlture was £22.601.67. fesulting in a wrplu8 of £2.112.83.
Cash at bank at period-end was £4354X Credrtors (venue rentsts + accountsncy lees)
totslled É1.141.50.
Net assets 8t peflod-end vme £3.11183. all unrestri¢tsd.
The tru3teas considerthe financla( p081tlon satisfactory.
7. Rwm• PoU¢y
The tru8te88 alm to m8lnt8ln fe8er¥*s equiv81ent to 24 month8 ol operatlngexpendlture.
8. Prlnclpol Rlsks and Un¢ertalntlo•
Key ri8ks Include 881eguard1￿ financlal su8tsinablllty. Volunteercapaclty. and compllancewlth
charity law.
g. Golng Conc•m
The trustees conslder the chority a going concom b88ed on expected income leve18 and
available re3erve¥.

10. St4tom•nt olltru•t•••' R••pon•lbllltl
The trustee8 ore responslble lor prepaflng th8 Tw8tees' Annual Report 8nd Ihe fln8nc181
8tstements in accordan¢ewith the Charities Act 2011. a￿1 CharitiesSORP IFRS 1021. They must
ensure the accounts give a true and Iair view and satsguard tho chorws 888et8.
'L
1.7.107 ..1................ .
Approv•d by th•lkust••s on:... . . ....
Signed:
Al￿rt Aklny•ml Alad•toun (Chalr)
*b-41J

STATEMENT OF FINANCIAL ACTIVITIES (SOFA)
For the extended period 4 October 2024-4 Febn￿ry2o26
Incomo
Totsl
DonatSon8 and Lwcl•$ {Offerinp & 24,71&50
Tithes
Total
24.714.50
24.714.50
Expend1￿￿ on Chorttabl•ActMtI••
•ndlturn
Venue hlre
Benevolence & hardahlp
Audio￿$U•l9quiPrnBnt& malntenance
Wor¥hip team experw8
EvBngeU8m oxpense8
Travel for pa8tor81Mslts
Volumeerexp8n8•8
Cleanlng
Pilntlng& statlonerylSupp¢Mt co#¢
Accountsn
feas
G0￿manCe¢0$1
Total Exp•ndlttsrn
9.821.50
2.101.44
1.002.00
1.356.73
1,080.00
3,OSO.00
1.750.￿)
860.C
1.080.
601
Net n￿ment In fvnd•: £2.112.83
Pund• broughtlorwavd= £0
Funds ¢arrl•d fonnrd: £3.11Z83
The notss of page 7 and 8 form part ofthe Fine￿I8{s￿tem8nts

BALANCE SHEET
As of 4 February 2026
Cun•ntAsA•ts
Cash at bank
Creditors: •mountslalll thievthhln ono
N•t A•8•ts
£4,2S4.33
£1.141.50
Fund*
Unrestrlcted funds
Restricted funds
T￿&1 fund•
£3,112.83
Signed:
Alb•rt Aklny•ml Al•d•t•un (ChalT)
Jkn

NOTES TOTHE ACCOUNTS
l. Accountlng Pollcl•8
B8815 of preparatlon
Prepared under Ch8ritles SORP {FRS 1021
Income r•¢ognttlon
Recognised when entitlement. probability and me88ur•ment ¢rlterl8 aro mot.
Expondlture r•cognltlon
Recogni5ed on an 8ccru81 b88iS.
Fund ae¢ountlnq
Ail lundJ aro unr¢#trictcd.
(Jolng con¢Mrn
The trustees ¢on8lderthe chgrlty 8 golng concern.
Flnanclal Instrumonts
Tha chaFty only holds ba8lc fln8ncl81 In8truments {cash and credltorsl.
EStImat￿ and Judgm•nt•
No Signrficant est?m8t88 ￿re requlred.
3. InMm•
AU Incorne consisted of unre8trlctad offerings and tithestotslling É24714.50.
4. Exp•ndltur• Anal￿1#
(As Shown in the SOFA.)
5. Staff Costs
The charity had no émployoe•.
6. Tru•t•o Remun•rallon and ExpenT•i
No trustee recepKd remuneration or expenses.

7. Ro1ot8d PartyTran•acllon•
None.
8. CredltorJ
Venuo hire: £641.50
Accountancy le06: £500.00
Tot•lcr•dltorn: £1.141.50
. Analys18 of Nol A•s•t• Betwoen Fund•
ALI net a¥3elJ totsie w unw•8trlcted fvnd&
10. Taxatlon
The charity is exempt from tax on income and g8Sn8 ap￿lad for chadtsble purp08e8.