Trustees. Annual Report for the period
Peric%J start date
Period end date
Year
January 2024
Year
0￿M￿r 2024
From
01
To 31
Section A
Reference and administration details
Charity nam8
Church of God UK Unlted
Other nam88 charity Is known by
Church of God (UK)
Church of God
London
Registered charlty number (if any)
264650
Charity's principal address
37 Manor Park Road
Manor Park
London
Post¢ode
E12 SAB
Names of the charlty trustee8 who manage the charity
Tru8te• nam•
Date8 act8d If not forwhole
ear
Offi¢• Ilt 4nyl
Senior Trustee
Name of pernon lor body) entI￿ad
to a oint tru8ts•
Ifan
Olive Blake
Angela Udine Davy
Archibald Smith
Hayden Larmond
Sharon Smith
Pearletta White
Chair
Secretary
10
11
12
13
14
15
16
17
18
19
20
Names of the trustees for the charity, if any. Ifor example, any custodian trustees)
Name
Dates acted rf not for whole
ear
TAR
MaTch 2012

Names and addresses of advisers (Optional inforniation
of adviser
Name
Address
Name of chief executive or names of senlor staff members (Optional infomiation)
Section B
Structure,
overnance and management
DescriptSon of thè charlty's trusts
Type of goveming document
Deed of Trust dated 1st September 1972 as amended by D88ds dated
22nd Janua
1982 and 2nd March 2009
How the charity is constituted
The Church of God UK United is a charity registered with the Charity
Commission for En
land and Wales under Charit Number 264650.
Trustee selection methods
Trustees are elected and appointed by the Board of Trustees
Addltlonal governance i$$u8s (Optlonal Inforniationl
You may choose to Include
additional information, where
relevant, about:
policies and procedures
adopted for the induction and
training of trustees.,
the charity's organisational
structure and any wider
network with which th& charity
relationship with any related
parties.
trustees, consideration of
major risks and the system
and procedures to manage
them.
Section C
Objectives and activities
The advan￿ment of the Protestant and Bvangelical teTtets of the Christian faid
the fiwtherance of religious education, the relief of the poor and n¢¢dy, th¢ h¢lp
and comfort of the sick and aged. and generally the advancement of any
religious or other charitable object not inconsistent with the aforementioned
Summary of the objects of the
charity set out in its
governing document
TAR
March 2012

The Trustees have had regard to the Guidanc¢ issued by the Charity Commission
on Public Benefit. In order to achieve the Charity's objectives, initiatives have
been designed to benefit all people in the community. Some of the activities that
have been und¢rtaken in th¢ past year include th¢ following".
Weekly children's Sunday School which is open to the local community.
This is an essential part of our strategy for the advancement of education
and the teaching of Christian principles.
Being of ￿Istsnce to th¢ local Neighbourhood Watch whenever
Issibl¢, thus creating the opportunity to engage with the local
community, and this has helped us to understand the issu¢s in the area
Summary of th8 main
activities undertaken for the
public benefit in relation to
these objects (include withln
this section the statutory
declaration that trustees have
had regard to the guldance
issued by the Charity
Cornmlssion on public
benefit)
We hav¢ assisted in dev¢loping a local community garden.
We¢kly meetings held for worship. bibl¢ study and prayer, all of which
are open to the lo¢al Gommunity.
Financial gift made to a local ¢hildren's hospice.
Financial aid to vulnerable adults and ¢hildr¢n.
Financial aid to the elderly and widows within the church.
Financial aid to the Pastors,
Addltlonal details of obiectlvos and activltles Ioptlonal infomiation)
You may choose to include
further statements, where
relevant, about..
policy on grantmaking.,
poli￿ programme related
investment.,
contribution made by
volunteers.
TAR
March 2012

Section D
Achievements and performance
Summary ofthe main
achievements of the charity
during the year
The Charity has performed reasonably well despite the challenges fa￿d
by us due to the current economiclfinancial dimate, and has made some
progress in line viith its objectives and activities.
TAR
March 2012

Section E
Financial review
Brief statement of the
charity's pollcy on reserv8S
is the policy of the Charity to maintain unrestricted funds which are the
free reserves of the Charity at a minimum level of £5,000.
Detsils of any funds materially
in deficit
Further financial revlew details (Optional Information)
You may choos8 to include
additional information, where
relevant about..
the charity's principal
SoUr￿S of funds (including
any fundraising).,
how expendlture has
supported the key objectives
of the charity-
investment policy and
objectives including any
ethical investment policy
adopted.
Section F
Other optional information
Section G
Declaration
The trustees declare that thay have approv￿ the trustees, r•port above.
Slgned on behalf of the charlty's trustees
Signaturels)
Full name(s)
Position {eg Secretary? Chair,
otc
OLIVE BLAKE
Senior Trustee
Date
IDIIOX
TAR
March 2012

(HARITY (OMMISSION
FOR ENGL4ND AND WAIES
CHURCH OF fjOD
Receipts and pa
ents accounts
CC16a
e p8no
from
01101r2024
3111212024
Section A Receipts and payments
Unrestricted
funds
Restricted
fund¥
to¢h• n••r•st£
Endowment
fvnd
Total funds
La8tyOBr
toth•n•ar#t
to th• nMre*t£ tothe toth• th•ar•*i£
A1 Rècoipts
Voluntary￿rc9B
OlhEr Incomo
slo
70
11
ross Income
AR)
41.$95
41.595
*•t an
{8eè t#bl•l.
nvo8tm•nt 84
41,¥9J
A3PA
ménts
ChBrfU8blg E%ptrndiiure
other E￿-￿Tha9ern￿nI1 Mmlnlsb71
Co•th
28,398
23,907
2.193
1.457
450
1193
1,437
450
3,902
245
Otherfvll•bkiComrfbu￿0n
Sub totsl
31498
4144
A4 A88Ot and Inv••tm•nt
urchases
8•• tsble
Camera
Sub totsl
32A98
32,498
28,144
N•t of r8celpts/(paymontsJ
A5 Transfers betw•Èn fvnds
A6 Cash fvnds last y•ar •nd
Cash funds thls year end
9,09
15.7
154,0S
154,057
144,95
SectFon B Statement of assets and liabilities at the end of the period
Unrestrletèd
Restrfcted
funds
fund5
Endowment
funds
to neaFe5t£
CaiLIJ(oI'iets
toneareBt£
B1 Cash funds
CASH IN HANO
CASH AT BANK
153.973
Totsl cash funds
1¥05T
¥xx#l(•}I OK
Unreslrlcted
fuTrd$
OK
Endowmènt
funds
Rgstrlct8d
funds
Details
to nÈarext£
b) nEore•l£

to whlch
a8¥Otb
Currentvjl
lon•
Details
Cost loptiw
83 Investment assets
Fundtovihkh
asset bèlon
CuThenlvalue
Details
CHURCHPREMf6ES-klANOR PARK
TCHEN*PPLUiPJCESLOhWUNION
MUS￿E0u1FmENT
¢OMPUTERL4PTOPS PFUPttERIMONttORS
MINIBUSES
FURNrtUREIFrrriNGS
Cameras Ind. CCTV
Co¥llopUon4)
B4 Assets retalngd for the
harity's own use
Fund to **l¢h
r•lat
AmouTht du•
Wh•n di
Detalls
B5 LlabSlltlo8
Slqned by on8 ortstjtru9t￿ on
bohallol all the Iru8tee$
Slgnature
Print Nomg
Dote of approval
QLI

CHURCH OF GOO- MANOR PARK
Accoui¥fs FOR THE YEAR ENDED 31 DECEMBER 2024
Recelpts and Payments Accounts.. General Fund
2024
2023
Incomo R•¢olpt•
From vOl￿ntary Sou￿eS
Other Incorne
21al
21bl
32.670
8,925
32.458
11.451
Total Recalpts
41,595
Paym•nts
DITert Charitable expenditure
Other txpenditure
Management and Admlnlstatlon costs
31al 28,398
23,907
31bl
2.193
3,992
Other payment5
31cl
1,9)7
245
Total Paym•nt•
31498
28.144
Net Incomelldeflcltl forthe year
9,097
15,765
Cash and bank balances at 31 December 2024
9,097
15,765
CHURCH OF GOD
ACCOUNf8 FOR THE YEAR ENDED 31 DECEMBER 2024
2024
Mon•tary A￿ts." General Fund
Bank and (ash èalaTrce5
Bank Accounts
Cash Balance5
153,973
84
154.OS7
Debtors
abilities
Non-monetary Assets
Permanent endowment
General fund
Freehold Church used by Charlty
. Church orgarts. music Instruments and eq￿1prnent
2 Church Vehicle5
Chairs. fixtures and fitting5
Kitchen Appliances
. Computers. laptOPJprinter5
. Carnera5 iThcI.

CHURCH OF GOD
NOTES TO THE ACCOUNTS
FOR THE YEAR ENDED 31 DECEMBER 2024
l. Accounyng ￿15¢08
he receipts4nd paymeffls a¢¢ounts have beep drawn up as a summary ofthe recelpts ar
payments made during the year by Manor Parkchurch. Amounts are Included as received
bythe head quarter church or as cheques drawft. The accounts and ststement do not Include
otheraccrttalsand prepayments in respect of Income orexpen5e
The receiptsand p3ymentsaecounts and the statement of as5e5ts and Ilabllitles hwe been
preparedlollowlng the guitlance forac¢ountin8for smallercharitles Issued bythe Ch•rity COMMI￿1*>￿.
2. RECEIPTS
2024
2023
•) From Voluntwy SourceB
Ar*nu•l ConvocatSon
General Offerln8
Covenartts
Speclal Events
2.767
7.479
17.140
5,284
32.670
1,417
6.255
18.338
32.458
bl Oth•r Ret•lpts
Interest
Refund- VAT
R•fuAd
oiher-CCJ- FwtAnsw
L543
915
10.281
255
45
7.337
8,925
IiA51
Tot•1 R•¢4lpts
PAYMENTS
•) Dlr•¢tCh•rttabh Exp•ndllurn
2024
2023
Petty C•$h
S.813
8.291
3,302
3,310
4.550
1.778
1,354
28.398
3.410
4.891
3,982
Motor Exp
5undr5es
Insurance
Love offerfni
Equlpment
5.250
915
411
23.907
bl Othor Expendllur•- MaMgem•nl & AthnSnlJtr4tlon Costs
Church Mlnlsrry
Executlve Board
Admln
2.763
1.229
3.992
2.193
¢1 Olher PayTMnts
Other.CCJ FootATrstey tharge
Charlty Contributions-.
. CBN Donation- Israel
• Sickle Cell- Donation
• Rlchard House Chlldren's Hosplce
1.457
250
200
245
L907
Total Exp￿dIt￿re
32.498
28,144
Net sUrpl￿DefiC
9.097
15.765