Registered Chariti No- 283707
Celestial Church of
Christ North London
Parish
Trustees Report and Accounts
for the Year Ended i l December ?0?3

CONTENTS
PAGE
Leoal and Administratii'e Details
Trustees, Report
Independent Examiners Report
Staiemenl of Financial Act1￿.111eS
Balance Sheel
Notes lo the Accounts

REFERENCE AND ADI%llNISTIL4TII'E DETAILS OF THE CH.4RITY. ITS TRUSTEES
AND ADVISERS FOR THE I'EAR EIDED 31 DECENIBER 2023
Trustees
l. B￿e lshola Georgy¢ Ichairl
Georgina Serrdno
Dal id OgunLx)i.e
4. Olubunmi OgunFM)ve
i. A Trnes Tinubu
6. Victoria Akeke
7. Michael MaLTbaobelola
8. Andrem Frdn¢iS
9. Reubell Azama
Cbaritv rc¥i51ered Number
28J707
Dale of cb#ri¢able TegistratiD
?0" NovemEti 1981
Principal olTice
18 Julius Nverere Close
LONtX)N
NI OJT
Secretarv
David Ogunknje
Illdependells examiners
Accounting Assist Ltd- CIO GO￿ io Give Ltd
Banker5
HSBC Bank
.I,,lJg

TRLSTEES. REPORT
FOR THE YEAR ENDED31 DECENIBER 2023
The Board of Trustees. w.ho are the irusiees c]vril)" lam. purrxises. submii their annual reFKlrt alld
Ihe financial siaiemen15 ofcelestial Church of Christ North London Parish for ihe N'ear ended i I
Deceinber ?0• j. Th¢ Board of Trusrees confim15 (hal (he annual rewrt and financial 51ateinents of ihe
Chariil compli. th ith currtni siaiuiori requiremen15. The requireinenrs of the Cha]it!'s goiernin?
document and rhe provision5 ()fihe Siaiemeni ol- Recom[T￿nded Praciice ISI)RPI'Accouniing and
Reporting bl. Chariiies I￿vised 1￿}>),.
Struetlltrg goi'ernaDce and mattxgerneTrt
The 9 Trustees 4re:
Je Ishola Geor¥e (Chair)
Geor¥ina Serrano
DaN'id OounlM)Ne
Olubunrni OgunEK)ye
Agnes Tinubu
vi￿oria Akeke
Michael Magbaob¢lola
Andrem Fran¢is
Reuiyn Azarna
The Triistees plav a primar) role in ensuring (TLKXI goVerna￿e and funeiioning of the foundation. The
Board's rolL. functions and IiSP)nsibilities are quiie clearl! defin¢d.
The Charitv CU￿en1]V has a dedicated team of Advisory knard Mernbe￿ in the UK who have helped to
secure financi￿ suppor( and coniribuie io the future plannino of the organisation.
Christian CoyDsellin& Adi'ice attd Inforrn4tioD
In propagaling the name of Our Lord Jesus Chrisi. Ihe parish enga(red in evangelism. prayer se5SiOll&
Spiriiual coun5¢11ing. advice and inforniation to the generdl publie during regular ￿'eekIN, sernices.
These exiend to assisting members and non-memlrr5 in housing and fina]Kial needs. the provision of
regulaT'Healih Check. for all to atteThJ and discuss ih¢ir health problems and have medical check-up
ith volunteer D[￿or5 and Nurses. This particular forurn has veri, helpful in dictaiingT farly
symptoms of stcknesses and illnesses and r¢ferring ihe affected to hospitals for treamieni and cur¢.
FiDaD¢i&l 4ssisiaDf¢ for charitable objects
The parish don￿ed ge￿rQu51Y to many individuals ill such as destit￿e. the disabled and ihe
sick in our 50cietv. We also rendered financial sUp￿rt io various (ryanisarions in suptxkrt of tlrir own
humaniiarian and charitsble acriviries
P￿bI]e Benefii:
The Trustees have cornplied with ihe duty in Seciion 4 of ihe Chariti¢5 Act ?(Nkn and hawe paid due
reg)ard to public benefit ￿hen preparing this reFQrt. ￿nefit I￿VIded to the public is consisieni
wilh the aims of the charity in UK.
Charitable actii'itits
OtheT chariiable activities inclutk spreading the Word ofG(xl among all nations and announcingi the
good news of the Kingdom of God io ik poor in spirit. This was done through OUT Spiritual Worships
which are open io the general public. revivals. healings and evawtgelism which are condu¢ted to

TRLISTEES, REPORT
FOR THE YF..4R ENDED31 DECEMBER 2023
stimiilaie spiriiual aw'arene55 amongy ihe twple. semin￿5 and symFK)sia which are organised for
p￿PIe lo knLii¥ llndersiand more al￿TruT ihe Il'ord ofGod
Financi#l Source5
The chiirch incLTrme Lom¢s mainl). Irom The Meekl!. iiih¢g and church building fu￿15. oiher church
coniribiilii)ns siich as rhanksgivin￿. annual Lonference. irdvel and music fund5.
The Building Repair Projtcl
DLirinby ¢h¢ year under review. the church continued the work on the repir and maini¢nance of ihe
chllr¢h building.
Siaternent of Board of Trusiees. re5pon5ibililies
ThL Board of Triislees are responsible for pre￿ringy ihe Annual Report and the financial staiements in
accorda￿¢ ￿lIh applicable lam aThl Uniied Kinbd(Mn Generdll). Accepied A¢ciMLlliing Practice.
Chariiy law applicable io chariii¢s in England ￿'ale5 requires the B(Mrd of Trus¢¢es io prepare
Iinancial sthiemen15 for each financial year %i,hiLh &¥ives a tr￿ and fail view of the slate of anairs of
Ihe ChariTy and of the surplus or deficil of ihe Charity for T￿1 period. In weparing ihose financial
starem¢nis Ihe &MTd of Tru51ees have..
Selected 5uilable ￿CoUntin¥ wlicies and applied ihem consisiently.
Madl jiLdb7menls and esiimaies thai are reasonable and prudeni.
Siiiied whether applicable accouminb) sthndards have followed. subjeci io any mterial
departures disclosed and explai￿ in ihe financial siaiemenis: and
Prepared the financial iaiements on a going concem b&sis (unless it is inappropriate io
presume thai ihe Charity will coniinue in operaiionl.
The B()ard ofTruslees h&$ overall reswnsibility for e￿liring Ihai ihe Charity has an appropriate
system of ￿nTrol$. financial and ￿heN.1se. are also re5FKJnsible for ke¢pin& prO￿T accounting
records which di%lose Mith Tra￿nable x¢uracy at any lime the financial ￿sItiOn of Ihe Charity and
enable (hem lo ensure ihai ihe finarKial slatemenls comply wilh ihe Charities Act 1993. They are also
restK>nsible for safeguarding the &5set5 of the Chariiv and hence for thking reasonable steps for the
deieLiion and preveniiL)n offrdud and oikr irr¢gulariiies.
The Board of Truslees is resw)nsible for M￿nIen￿￿e and iniegriiy of ¢iwrKTrfdle and financial
infomialion. Legislation in the United Kingdom governing the preparation and dissemination of
financial slalements may differ from le¥islation in oiher jurisdiaions.
Stsiement of disclosure of infornuiion io indep¢MleNi examiner
We. as the Trusiees of the Charity who kld oifice ai the dale of approval of these final￿tal S￿lementS
as set oui on page 2 rdch c(￿fIrM. so far as we are awsre. that..
There is tm) relevani information of which the Charity's indwndent exami￿[ are unaware;
and we hav¢
iaken all ih¢ sier6 thai we ￿ght to have taken as Trustees in order to make ourselwes aware
of any relevani infornwiioll and io establish thai ihe ckrity's indepeTKlent exam1r￿r is a￿.are
of that infomiail(￿.

TRUSTEES, REPORT
FOR THE YE.4R ENDEDJI DECE.NIBER 2023
Independeni Examiner:
The Charii}'s independ¢ni examiner. Accounting Assisi Lid - Cio G(Kxl io Give Lid. ha5 indicaied
Iheir ￿lIlin￿r￿sS lo oiTer 1￿MselveS for aprK)inimeni.
This report w'&$ approi'ed ￿. Ihe Trusltts on and sig￿￿ on iheir ￿ha]1'by:
Sign:
D*te:
20. 10.xoz

IYDEPEf*DENT EXAMINER'S REPORT
FOR THE YE.4R EPiDED31 DECEIMBER 2023
IXDF-PF-NDTr.NT FI.IIIINTr.'R'S REPORT'I'O TIIÈ TRI STEES OF I-FI.F%TI.11. I"III R("II OF ('FIRI%"I J()RTII
L()11)()N P.IRI.S11
I report on the finanrial ￿ateMentS of the eharirn for the ifdrended J I tkcember ?0?3 11 hi¢h ¢ompri5e Ihe
Siaiemenl of Firtancial .4cii% iiies and BalaDre Sheei iiiih &$si￿la[e notes.
This report IS tnade wleli kn the chariti's Tru5t¢¢k a) a kndi. in accordance ilith 5eciion 145 of (he Chariiies
.4ci ?01 l and r¢uulaiioni made und¢r >eciion l i4 of ihai.4cL Ill iiork ha> been undenaken io thai I miLthi siaie
io Ihe charity's Trustees those TTrallers l am required 10 sta* to Ihtm in an independent eiaminer's reporT and for
no oih¢r purpose. To lh¢ fullest eiteni ptrmiikd bi laii. I do noi accepi oi a55ume reswTrsibtliii to akione oiher
than Ihe charits and the ¢harilN'5 Tru51ees as a b￿} for mi eiaminaiion iiorL
RF_%PF.1111 F. RE.%P()N%IBlI.ttlF.% OFTRI ST*.ES.4ID È.KIIII)ER
Th¢ charip's Trusiees are responsible for Ihe preparatton of the finanrial 5tal¢ments. and Ihei consider that an
audit 15 nol rtquired for ihis itar under 5eciion 1411_i of the Chariiiei.4ci )01 I Iihe Acii and thai an
independent ¢iaminalion is needed.
li is MN re5ponsibiliTh io..
Eiamtne the ac¢ountS lunder Seaion 145 of the Chariiies.4¢tl=
To folloii the procedures laid dolin in the General Directions giien bi the Charity Commr55ioner5
lund¢r S¢aion 14515M bl ofihe Charilies.4riTr.' and
To i%heiher particut8r matT¢f5 hai¢ come io m! allention.
Basis of lndependeni Exwminer'5 report
M¥ eKamTrn21ion %%a5 carried out in accordance i%iih ihe General Dtreciions giien bi the Chants
Commissioners..4n exatninaiion 1￿cludeS a rei ieii olihe &Tounlin£ records kepi b% Ihe Grouplchariti and a
comparison of the accoun15 presented li iih those re¢ords. li also includes considtrdiilxj of ani unusual iiems or
disclosures in the accounts and sttking eNplanaiions from as trus*es ¢opcerning ani such mallers. The
procedures undertaken do nol pro% ide all ihe eiidence ihai iiould ￿ required in an audii. and consequerttli no
iTrpinion i% Bjiin aN ti) lihL￿￿[ th¢ awoLUkl> IYeiLYlt a 'tswL' and and iht ￿pOrt 15 limited io those
TnatEers sei out in the staietncni ￿10￿4.
Independent Examrver's Statement
In ¢onne¢tion iiiih examination. no matter ha5 rome ￿ mi attention=
I l %ihich oil es me reasonabl¢ rau% 10 belieie ihar in ani material reswT The requirements..
to keep a¢¢ounting r¢cord5 in accordance li ith section 130 of The.4a.' and
10 prepaTe finanrial aatemenis 14hteh accord 11 ith th¢ acrouniing records and compli i%tth the
aceounting requir¢mtnts of the Aci
hale not beert meT= or
21 10 lihich. in mi opinion. attention should be draiin in or(kr to U￿ble a proper understanding of the
rinancial statements io be reached.
Sign¢d=
Dated.2211012024
Anum Hassan. FCCA
On behallof Accounting Assist Ltd

STATEMENT OF FJNANCJ.4L ACTIVtTIES
Ilncorporaling income and erptnditure #ccouNI)
FOR THE YEAR EINDED31 DECEMBER 2023
I"nre5trirted
Re51ricied
Total Fuad5
Total Funds
2023
2023
2023
2022
Oit5
IncoE￿ing resour¢ts
General offering5
48290
Gift Aid
J4.189
14.189
8.242
Other In¢otn¢
18.149
18.149
23
Tot41 Incoming re5our¢e5
80h28
50.628
64.926
Rtsourtes ript￿ded
Direci charitable eKp¢ndiiure
84269
84269
67.400
Goi¢rnance co￿5
1.200
Totil Rtsourtes exptnded
101 emenr in ioral fund for th¢
ear- Nei income.
l¢Kp¢ndilurel FOT ihe ! ear
4247
4247
-3,674
Fund balance brought fornard
46J36
46J36
41JOO
Prior Year Adjustment
&710
Fund b21an¢e ¢arried foniard
J8.089
J8.(189
46J36

BALANCE SHEET
AS AT 31 DECEMBER 2023
2023
2023
2022
2022
otes
Cash ai bank
39.164
48.166
C'Rfr'DITOR%: anK)un
falling JUL Miihin line
2J30
ETC'I RRF.%T.ISSET5
38.089
46J36
J&089
46J36
('II.IRI-ri- Fl NDS
38.089
46J36
RLSlriil<d Funds
TOT.11. FI NDS
38.089
46JJ6
The financial ￿￿eMentS were approved b). the Tn￿leeS on and signed on iheir
t*hall'. by-
Sign:.
Date:
2D IQ
The notes on pages 9 to I I fomi part of these financial st￿ements

NOTES TO THE FlIlA,ICIAL STATEMEINT
FOR THE YF.AR EP*DED31 DECEMBER 2023
I. ACCOUF*TING POLICIE5
Ba515 ofprep#rniion of finaDcial 5ts¢ements
The financial siaiemems hal'e been pretAred urder The hI￿Orical C￿1 convention. with ihe
excepti￿ of invesiments iTrhich are in¢luded at markei value. and IT) accordanLe M ith the
Financial Re￿￿1￿& Siandard fi)r Smaller Enti(i¢s leff¢ctii'e April ?tM)81. The financial
siaiemen15 hale been pre￿[ed in accordance m.ith the Sthiement of R¢ci)tllmeiided
Praciice ISORPI.'Accouniingi and Rep)nino b) Charities. published in March ?005 and
applicable accouniing Sthndards.
Fund ac¢ounling
Genernl fvwKls are unresiricted ￿h]Ch are available for use ￿ the discretion of ihe
Trusl¢es ill funherdnce of the generdl obje¢tive5 of the chariry and which have noi been
designated for ￿her purp)ses.
Resiricied fund5 are funds Mhich are to used in accordance ￿1th sttcific ttstrictions
imwsed b* donoT5 or w'hich have F*en rdised bj rhe chariiy for particular purp)ses. The
cosis of rdising aThl alminiSTering such ￿ndS are charged a?ainsi ihe specific fvnd. The
aim and use of e￿h restricted are set oui in ihe Thmes to the fi￿nCl￿ siatetnents.
IJ
Incoming re5ourfes
All incoming ￿UrceS are included in the Siaremeni offinancial acliviiies when the
chariiv ha5 entitlemeni io fund5. certainty of receipi and anM)uni can k ffjeasured
with sufftcienl reliability.
tbnated services or fxilities. Mthich comprise donated services. are included in income at
a valualion which is an esttmale of financial c05t iK)rne bj donor where swh a
cosi is quantifiable and M￿SUrable. No income is recogni5ed ￿'here lhe￿ 1% no financial
cost 1x}r￿ by a third party.
Income tax recoverable in relation io donati(￿S received uThler Gift Aid or deeds of
covenant is recoenised at time ofthe donation.
Resources expended
ExpendFlure is accounied for on an accwals b&sis and has been included under expense
aiegories iliai a￿re￿Tate all co￿$ for ￿l(￿ation io aciiNiiies. Whcre cos15 cannot be
directly attributed io particular aaiviiies. Ikv have allLKaied on a basis consisient
with the use of resowces.
FuJKiraising costs are ihose incurred in seeking volunlar), coniribuiions and do Trot include
Ihe ¢05ts of disseminating information in suptxirt of the charithble xtivitie5. SupFK)rt
Costs are ihose cosis incurred dirfftly in supw1 of eX￿ndItUre on Ihe objecis of the
charity and include proj¢cl Jnanagemeni carried out ar Headquarters. Governance costs
are those i￿Urred in ¢onnection wilh administration of ihe chariiy and compliarKe with
conslitutional ar¥J siaiuiory requirenwnis.

NOTES TO THE FI)1 ANCIAL STATEIMEIYT (Coniiiitsed)
FOR THE YEAR E%DED31 DECEMBER 20?3
Grants ￿lable dr¢ cha￿ed in ihe l'ear i%hen ihe off¢r 15 made e.xcew in ihose c&%es where the
otTeT Is conditional. such grants beine recounised 35 t.K￿rK[1tUre Mhen ihe condili()ns
all￿h1n￿ are fullillcd. GrdnTS offered subjeci to ¢ondiliolls ￿'hICh have noi been mcl at the
'earend are noied as a commilmellL bui noi &crned as cxpewmiiture.
Dtpretiatio
tkpreciation is calctslaied ￿ rates esiimaied io wrilc olTthe cosi of all thn¥ible fixed asseis
ow¢r ih¢iT eA￿Cted u5etrul liv¢s-
Durino Ihe v¢ar under review.. the church decided io continue to separate lis equipment from
its fumiiure fixTures ar¥J fittinoL A depreciation rdie of 1￿/• wa5 applied on each ¢aiegory on
a rediieing balance basis.
el Fund structu
Th¢ principal aLcouniing w>licies are sd ￿11 below. The accouniing wlicies have Ettn
adopted consistenili. rhroughoul the lear.
The funds held by charity are eiikn:
Dnr¥iiriL'l¥JKL'wrul}iin<ts - these are funds ii.hich can be used in accordance with the
charitable objecis at ihe discretion of the iruste¢s.
Desi,gvoiddliiii(1.s - these are funds eamiarked by ihe trusTees our of untestri¢t¢d general funds
for Sp￿ ific fuiure purpose5 or projecis.
R¢.stri¢'leJ}iinds'_ rhese are funds that can onlv be used for ￿TtiCU1#r restricted pur￿Se$
'iihin ihe objects of ihe charitv. Restrictions arise s￿lfIed bl. the dO￿r or ￿,hen firnds
are rdised for particular remiicred purp)se5.
Endoii'meniJÉinds - these are funds ihai represent assets which MIL￿ be held permanen(ly by
the charity. Income arising the endom'ment fun iy used in accordance with ¢he objects
of the chariry. and is included in unresiricied income. An!. capitsl gains or losses arising on the
investrn¢nts fomi pan ofihe fund. Investmenr mana?emeni charges alld legal advice relating
lo ihe fund are charged against the fvnd.
Q VAT
The charitv is registered for VAT and accordin¥ly ¢xpendilwe includes VAT w.here
approwiaie.
2. Income resources
Income comprises of donations and iii
3. Empkbi'ee lDformatio
None of the trustees received any remuneration or reimburs¢meni of expenses during the
year. The Vicar continued to receive his USU￿ remu￿MI0n.
101 Page

NOTES TO THE FINANCIAL STATEMEf*T(Conliiiued)
FOR THE YE.4R ENDED31 DECF.TrIBER 2023
4. Trustee Eipenses
There w'ere Trustee e.xpenses paid dunno ihe vear eThJed J I tkrember ?0?? and i I
tk¢¢mber ?0?
5. Taxation
The Chariii Is exdnpt from cortK)rdiion i&x its charikble aaiviiies.
6. Debtor5
2023
2022
PTepaTrinents and loans (A Idow'u)
5J60
500
7. Creditor5: Amount FalliDg due withitt ODe Tr'¢ar
2023
2022
Aecrua
6.436
2J30
111 Page