MOUNTAIN OF FIRE AND MIRACLES MINISTRIES, BELFAST
Statement of Flnancial Actlvltles for the
ar ended 31 December 2024
2024
2024
2024
Notes
Unrestricted Restricted
ToLIl
Incornin
Re8ouTces
Incoming resources from gener8ted fvnds..
Volunlary income.'donations
Activities in fUrtherdTr￿ of the charity
objects
Tot41 Incoming Resources
20.330
20,330
20,330
20,330
Resources Ex
ended
Charilable expenditure
Grants payable - institutional
Costs ofacfiwties in furtherance of..
charity's objects
Monagement and govgmance costs..
200
11,582
S53
11,582
553
Total Resources expended
12,334
12,334
Net Incomlnglloutgolng) Resources for the ￿aT
7.99S
7,995
Transfer bétwgen funds
Total funds at 31 Decomber 2024
7,995
7.995
AJI disdosures relate to the a)ntinuing operations. There are no feeognised gains or105ses olher than
Page 4

MOUNTAIN OF FIRE AND MIRACLES MINISTRIES, BELFAST
Balance sheet as at 31 December 2024
2024
Notes
FIXED ASSETS
Tangible Fixed Assets
1,150
1.150
CURRENT ASS￿5
Debtors
Cash in Handl Bank
10
7,145
7.145
CREDITORS:
Amount falling due within a year
11
{300)
NET CURRENT ASSETS
TOTAL ASSETS LESS CURRENT LIABILMES
7.995
CREDITORS:
Amount falling due more Ihan a year
12
NET ASSETS
7,995
ACCUMULATED FUNDS
Restricted
Unrestricted
TOTAL FUNDS
14
13
7,995
7.995
The accounts have been prepared in acC￿8nCe the special provisA)n of Statement of Recommended Prydcti¢e.'
Accounting and Reporting by Chanlies (SORPI issued March 2005 as modffied for smaller chaTibe5.
Approved by the Trustees and SIg￿d on their beha￿.
Name: Mr Joseph Awodola
Slgnature:
Date:
01- 2￿?-5
Page 5

MOUNTAIN OF FIRE AND MIRACLES MINISTRIES, BELFAST
Balance sheet as at 31 December 2024
2024
Notes
FIXED ASSETS
TangiTrJle Fixed Assets
1.150
1.150
CURRENT ASSETS
Debtors
Cash in Han¢Y Bank
10
7.145
7,145
CREDITORS:
Amount falling due wtthin a year
11
(300)
NET CURRENT ASSErs
TOTAL ASSETS LESS CURRENT LIABILMES
6.845
7,995
CREDITORS:
Amount f811ing due more than a year
12
NET ASSETS
ACCUMULATED FUNDS
Restricted
unrestn.cted
TOTAL FUNDS
14
13
7.995
7,995
The accounts have been prepa￿d in accordance wth the special provision of Ststement of Recommended pracaice:
unting and Reporting by Charities {SORPI issued March 2005 as modTf*ed for smaller charities.
Approved by the Trustees and S￿ned rm Iheir behalt.
Narne: Mr Joseph Awodola
Signature:
Date:
01- 2E)Sb
Page 5

MOUNTAIN OF FIRE AND MIRACLES MINISTRIES, BELFAST
Notes to the financial statements for the
eriod ended 31 December 2024
ACCOUNTING POLICIES
1.1 Basls of preparatlon of accounts
The accounts have been prepared under the historical cost ￿nVentIOn and in acc¢Kdanee with applicable
accounting standards. They follow best practice as sel out in the statement of Recommentjed Practice..
Accounting and Reporting by Charitles {SORPI Issued March 2005 as modrfied for smamer thari￿e5.
1.2 In￿me and Expendllure
Income and expenditure are accounted for on accrual basis
Restricted funds are fiJThJs which are to be used in acct)rdanc8 vlith Spear￿ restricti(￿5 imposed by donors whith
have been raised by Ihe Charity for parbcular purposes. The cost of raising and administering suth funds are charged
against the spe¢ific fund. The aim and use of eath reslricted fund is set out in the notes to the accounts.
Unrestricted funds are incorning reswrces re￿IVed for obj.ects of the charftyiMthout fijrther Spectr￿ wrpose and
are available as general funds.
Restriutsd
Fund Total Fund
Unrestricted Fur
2. Voluntary Income: Donations
2024
2024
2024
rrthes & Offerlngs
Gift aid daims
20.330
20,330
20.330
20.330
3. Grants recetved
Grants
4. Grants Paydble - Instlthtions
Charity Donatior
200
200
200
200
5. COST OF ACTIVITIES IN FURTHERAI4CE OF CHARITYS OWECTS
This comprises all expenditure directy related to the objects of the of the tharity. It also inctudes Ihe
expenditure in suppryt of that activity where material.
Unrestricted Restricted
Funds
Fund$
2024
2024
Total
Funds
2024
Isthng Speakers. Expenses
Weffare and hospitality expenses
Outreach. Conference and Seminar
Rent & Rates
Light & Heat
Media and Communication expense5
chAd￿nIY0uth expenses
Stationery and office costs
Transport expenses
1.280
779
1.280
779
100
6.807
1,704
199
70
120
522
6,807
1.704
199
70
120
522
11.582
11.582
Page 6

Restricted
Fund Total Fund
Unrestrtcted Fund
6. GOVERNANCE COSTS
2024
2024
2024
Accountan￿ fees
Depreuation
300
253
300
253
553
6.1 NEf MOVEMENT IN FUNDS FOR THE YEAR
2024
The net movement in funds for the year is stated
after charging
Legal & Professional Fees
88nk Charges & Snterest
300
300
7. DEPRECIATION
Depreciation is provided 8t rates calculated lo wrile off the cost or valuation of fixed assets, less
their estimated regdual value. over their expected useful Iwes on the following basis..
Van & office equipment
18%- reduung bakn
8. MOVEMENT IN FUNDS
Unrestrlcted
Fun¢ts
Re5tr1cted
Funds
2024
Total
Funds
2024
2024
At1May
Surplusl(Defiat} lor the year
At 301h Poril
7,995
7.995
Page 7

9. FIXED ASSETS
Flxgd Assets
Totsl
Cost
Al 1 December 2024
Additiws
At 31 December 2024
1.403
1,403
1.403
1,403
Depreclatlon
At 1 December 2024
Charge for the year
At 310ecember 2024
253
253
253
253
Net Book Value
At 31 Deomber 2024
1.150
1.150
10. DEBTORS
2024
Rent (leposit
11. CREDITORS: AMOUMTS FALL•IG Duevmw ONEYEP
2024
AccTuals
Others
300
300
12. CREDITORS: AMOUNTS FALL14G OUE AFTER ONE YE
2024
Creditors
13. UNRESTRICTED FUNDS
These are grants and donations receNed or receivable for the otyects of the charity wkth¢xrt restrictions
as to purpose but are available as general funds.
14. RESTRICTED FUNDS
Restricted funds are used for the purpose as ¥*cified by the donor. Expenditure that meets these
criteria is identified to the fund.
Page 8