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2022-03-31-accounts

Registered Charity Number 276412

Eternal Sacred Order of Cherubim & Seraphim Church (Mount Zio REPORT AND FINANCIAL REPORT STATEMENTS AS AT 31 MARCH 2

Eternal Sacred Order C&S

The Council of Management presents its report and financial statements for ended 31 March 2022

Activities and Review

Eternal Sacred Order of Cherubim and Seraphim church is a registered charit principal aim is to promote and advance Christian Fellowship. Provision of Christian literature in relation to the Holy Bible, support families offer holiday and recreation for children and families of all races and sexes.

Council of Management Responsibilities

The Council of management is to prepare financial statements for each finan which give true and fair view of the Association and of the surplus or deficit f In preparing those financial statements, the council of management is to:

*select suitable accounting policies and apply them consistently

*make judgement and estimate that are reasonable and prudent

*prepare the financial statements on the going concern basis.

The Council of management is responsible for keeping proper records which reasonable accuracy at any time the financial position of the Association. It i responsible for the safe guarding the assets of the Association and hence for reasonable steps for the prevention and deetention of fraud and other irregu

Members of the Council are as follows:

The Spiritual Mother Janet Awojobi Lady Chairperso Sister F Awojobi Secretary Sister B Awojobi Treasurer Sister Beatrice Adebisi Member

The Council of Management have no beneficial interest in the order and are

Approved by the Council of Management on


Eternal Sacred Order C&S

REPORT OF THE INDEPENDENT EXTERNAL EXAMINER

The Trustees are responsible for the keeping and the maintenance of the acc I have prepared the accounts under the historical convention and the accoun

I will report if there is any inconsistency in the accounts prepared by the Trus with relevant requirements undrer the Statements of Recommended Practice I will also report if proper accounts has not been kept, if I have not received explanations for the prepation of the accounts or if the transactions with the is not disclosed.

I have prepared the attached accounts from the books of financial activities to me and certify them to be in accordance therewith.

This report is made to solely to the members, as a body, in accordance with Companies act 2006. The accounts have been prepared so that it might stat matters required and for no other purpose. We do not accept or assume resp other than members as a body, for this report and for the opinions formed.

This is an independent Examiners report as the charity income is under £250 classified as a small charity organisation.

Independent Examiner

Eternal Sacred Order C&S

BALANCE SHEET AS AT 31 MARCH 2022

Building at cost

Net Current asset

Total Asset

Current Liabilities

Amount falling due within one year Net current asset

Amount due over one year

Total

Funds Restricted Unrestricted Total

__________ Chairman

Eternal Sacred Order C&S

Statement of Financial affairs as at 31 March 2022

Income Notes Restricted Unrestricted
Income 2 73148 10938
Other income 3959
Total incoming Resources 73148 14897
Resources Expended 3
Direct Charitable Expenditure 17400 5250
Services and Projects 22750 12000
Support cost 4360 977
Other expenditure
Management and Administration 11790 6603
Total Resources Expended 56300 24830
Net incoming/outgoing Resources 16848 -9933
Funds brought forward 103499 -45471
Funds carried forward 120347 -55404

NOTES TO THE ACCOUNTS FOR THE YEAR AS AT 31 MARCH 2022

1. Accounting Policies

The financial statements have been prepared in acordance with applicable a and following the recommendatons in the Standard of Recommended Practic

Activities when received.

Restricted funds are to be used for the specifiec purposes related to the buil objectives of the charity. Expenditures that meet this criteria is identified to t funds are donations and other income received or generated for charitable p

No staff cost incurred. Members spend time to serve the congregation on vo

Restricted Unrestricted
2. Income 2022
Tithes £10,624 £10,624
Oferings £8,250 £8,250
Thanks Oferings £2,688 £2,688
Special Events £3,919 £3,919
Other income: £40 £40
Rent £62,524 £62,524
Total £73,148 £14,897 £88,045
3. Total Resources Expended
Direct Services &
Charitable Projects Support Cost
Food Provision £4,500
Travel Expenses £3,500
Christmas and Easter services £5,500
Materials for use in services £8,200
Telephone bills £4,850
Utilities £860
Donation to Charities £5,500
Stationeries £3,500
Keyboard Expenses £6,200
Surveyor
Building expenses £5,400
Church Anniversary £6,500
Church Council dues £750
Bereavement £6,500
Church Caretaker £977
Insurance
Preparation of Accounts
Bank loan
Total £22,650 £34,750 £5,337

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0,000 turnover and is

2022 2021
53602 53602
23480 22508
77082 76110
25600 35700
-37739 -17618
64943 58028
120347 103499
-55404 -45471
64943 58028
2022 2021
84086 73650
3959 4020
88045 77670
22650 37046
34750 9475
5337 6436
18393 2120
81130 55077
6915 12533
58028
64943

accounting standards ce

ding and the main the fund. Unrestricted purposes.

luntary basis.

2021 £14,997 £2,210 £0 £0 £1,810 £58,653 £77,670

Management cost

£750

£5,853 £750 £11,040 £18,393