LIGHTHOUSE INTERNATIONAL MINISTRIES
LIGHTHOUSE INTERNATIONAL MINISTRIES
REGISTERED CHARITh NUMBER . 1032201
FINANCIAL STATEMENTS FOR THE YEAR ENDED 31 MARCH 2024

LIGHTHOUSE INTERNATIONAL MINISTRIES
LIGHTHOUSE INTERNATIONAL MINISTRIES
REGISTERED CHARITY NUMBER ' 1032201
FINANCIAL STATEMENTS FOR THE YEAR ENDED 31 MARCH 2024

LIGHTHOUSE INTERNATIONAL MINISTRIES
INDEX PAGE
Page No.
Contents
Trustees Annual Report
Independent Examlnars R8port
Statement of Financial Activities
Balanc8 Sheet
8-12
Notes to the Accounts
13-14
Income and Expendllure Account

LIGHTHOUSE INTERNATIONAL MINISTRIES
Report of the trustees for the Year Ended 31 March 2024
The members of the Management Corrmittee (trustees) present their annual report for the Yaar Ended
31 st March 2024.
The financial st8tem8nts hav8 b8en prepared in accordance with th6 accountin9 policles sel out in note
1 to th@ accounts and comply with the charity's Irust deed, the Charities Act 2011 and Accounting and
Reportlng by Charlties., Statement of Recommended Practice Applicable to charitias preparing their
accounts in accordance with thg Financial Reporting Standard Applicable in th8 UK and Républlc of
Ireland published (FRS 1021 (effectSve 1 January 2015).
Reference & Admlnlstratlve Infomiatlon
The Charity
The Charlty Is registered with the Charity Commissioners for England and Wales with r9gistration number
1032201, The Charity's addrèss is Lighthousa International Ministrias, 12 C8nt6nary Park, Coronet
way, Eccles, Manchester, M50 1 RE.
Data of registration:
The Charity was registered with charities Commission on 2810111994
other Names:
LIM (Old nam8)
LIM UK (Working name)
L l M (Wotl(ing nam81
Governing document:
Trust d88d dated 17 Jan 1994, scheme of th8 charity Commissioners dal8d 15 March 2002.
Trustees (Management Commitlee)
The trustees who served on the Management Commlttee durlng the year were as follows:_
Mrs Joanne Marks
Mrs Florence Hondriksz
Mr Phil Clare
Trustee
Trustee
Trustee
Management Committee members are algcted or appointad onc& in ev6ry 2 y6ars, with th& officers being
elected from the membership of the Management Commiltee.
Management Team
Lead Pastor:
Shop Manager..
Finance officer
Mr Paul Hallam
Mrs Margaret Hallam
Mrs Zuzana Austin
Independent Examiner
Ferguson & Co. 651 Mauldeth Road West, Chorlton, Manchester, M217SA
Bankers
The Charit￿8 bankers are:
TSB Bank
Tho Co-operative Bank
Chortton
Manchester
Manchesler
Obj8ctiv@s of the Organlsatlon
Ob
eclives',-
Lighthouse International Ministries {LIMI is a network of Churches and individuals throughout Great
Britain and Ireland that supports people and projects in Romania, India and Africa i.e. Children's homes
youth Camps, L8prosy Missions. LIM'S heart is to strengthen, equip and facilitate indigenous people who
have good ideas but have very limited resouroes.

LIGHTHOUSE INTERNATIONAL MINISTRIES
Report of the trustees for the Year Ended 31 March 2024 (CONTINUE)
The objecls of th8 charity are to benefit the peoples of the Eastem Europe, Africa and Asia by:
A) the relied of poverty and hardship
B) the advancement of education
C) the preservation and protoclion of health and
D) the promotion of the Chrlstlan Rellglon.
Classification
What:
The preventlon or rellef of poverty
Overseas aidlfamlne relief
Religious activities
Who..
Childrenlyoung people
Elderly/Old people
People with disabilities
How:
Makes grants to individuals
Makes grants to organisallons
Provldes human resources
Provides buildingslfacilitieslopen spaces
Sponsors or underiake res&arch
Acts as umbrella or resource body
Trustee Inductlon and Tralning
New trustees undergo a period of induction for one week and get training In skllls relevant to them.
Recruitment and Appoirttm8nt of Trustees
This is done in the Annual General Meeting of the organisation. Noti￿ is given to all members 21 days
before the Annual General Meeting
Risk Management
The board of trustees have undertaken a risk review of the charivs affairs over the next financial year.
The trustees have identified 8nd reviewed the major risks to whlch the charity15 exposed to and have
established systems to mitigate those risks.
Flnancial Review
In the year to 31 Mar 2024 the charity had a total income of £133,696 {2023- £108,355) and total
expenditure of £124,429 {2023- £144,047). This resulted in a net surplus for the year of £9267 (2022 -
net deficit £-35682). During this period the charity have used reserves to maintain activity levels in the face
of reductions in funding. At the end cf financial year restricted reserves stood at £12,991 (2023 £7,991).
Reserves Policy
The charitvs genaral ras8rves covar approximately 2 to 4 months running costs.
The flnancial situation is under constant review by the board and it is to be hoped that grant making trusls
and public donations will give a favourable response lo the charity's application for continued
funding of its projects.
Investment Policy
Monies not r6quir&d for day to day working capital ara placed on deposil or in a deposit account
paying a favourable rate of interest.

LIGHTHOUSE INTERNATIONAL MINISTRIES
Report of the trustees for the Year Ended 31 March 2024 (CONTINUE)
Trustees, Responslbllltles In relation to tho flnanclal statements
The truste88 are responslble for preparing the Iruslees, annual report and the accounts In accordance
with applicabl@ law and United Kingdom Accountlng Standards (Uniled Kingdom GenerallyAccepted
Accounting Practica).
Charities act in England & Wales require the trustees to prepare flnancial stalements for each financial
year which give a true and fair view of the state of affairs of the charity and of th@ incoming resources and
application of resources, including the Income and expenditure, of the charSty for that perS0d.
In preparing tha accounts, th& trustees are required to.-
selgct suitablé accounting policies and Ihen apply them consistently.,
observe the methods and principles in the Charlties SORP
make judgements and estimates thal are reasonable and prudent.
slate whether applicable UK Accounting Standards have been followed,
subject to any mat8rial departures disclosed and explained in the financial ststements.,
prepar8 th8 financlal stat8m8nts on th8 going concem basis unless it Is
Inappropriate to pr98ume that the charity will ¢onlinuo in business.
The trustees are responsible for keeping adequate accountlng records which disclose with
reasonabl8 accuracy, at any time, the financial posltion of the charity and to enable
th@m to ensure that the accounts comply with the Charities Act 2011, the appllcable Charilies (Accounts
and Raportsl Regulations, and the provision af th8 trust deed.
They are also responsible for safeguardlng the assets of the charity and hence, for
laking reasonable steps for the p￿Vention and detection of fraud and other irregularities.
STATEMENT AS TO DISCLOSURE OF INFORMATION TO INDEPENDENT EXAMINER
In so far as the trustees ar8 aware, there is no r81èvanl accounts information of which the
charity's independent examiner is unaware,. and
the trustees have taken all steps that they ought lo have taken lo
make themselves aware of any relevant information and to establish that the
independent ex8miner is aware of that information.
On Behalf of the Board of Trust&@s' Management Commilla8-,
Mrs Joanne Marks
(Trustee)
Mr Phil Clare (Tru5teel
Date:
211IlL£

LIM TRUSTEES REPORT 202312024
Li
We had another challenging but healthy year with donations up and Gift Aid
steady. Shop sales, however, were down mainly due to a decrease in opening
hours because of staffing shortages. This has been rectified now, so hopefully
numbers will start to pick up.
Lighthouse
International
Ministries
Unit 12 Centenary Park
Coronet Way
Salford
M50 IRE
We supported a number of new charities delivering much needed aid to
impoverished and vulnerable communities in India due to persecution and
poverty.
Tel-. +44 (01611786 1440
A fairly large increase in children's sponsorships and in educational
sponsorships in India was very encouraging and we hope to build on this in
the next few years. Our BACS programme had several sponsors last year,
though we struggled to deliver the projects in time mainly due to some of the
communities we are working with are persecuted for their faith and a great
deal of sensitivity needs to be exercised.
www.limuk.info
Director
Paul Hallam
Trustees
Jo Marks
Philip Clare
Florence Hendriksz
Our Indian team leaders travelled to The USA on a co-sponsored basis. This
proved a very good move. A good amount of networking being done by the
team via zoom ensued and funds have been raised internationally too. These
were sent directly to our team over in India bul ¢nabled some wonderful
opportunities amongst the poorest people imaginable. Our director has visited
these areas and compiled a full report of the results.
Projects Manager
Mags Hallam
LIM Romania
Mihai Lupu
A renewed commitment in Romania on the work amongst the children there
providing educational & domestic support. Obtaining other sources of
support from USA and other European nations has helped immensely and we
hope to build on this. Youth mission trip to Romania took place in August and
was a great success. We also offloaded a now derelict property from our
books in Romania as it was becoming more and more dangerous each year
and has devalued greatly due to a number of factors. Market value was
obtained.
We as the trustees are confident the charity is in good health financially and
had no liabilities. We met several times as trustees this particular year and
saw evidence of good practice and ongoing progress and new ideas to
advance LIM further lonvard.
Signed:
Date
Mrs Joanne Marks
For and on behalf of LIM Trustees
Lighthouse Internotional Ministries is a UK registered charity No.. 1032201

Independent Examlner's Report to the Trustees of Llghthouse Intematlonal
Ministries
I report on the accounts of the company for the year ended 31 March 2024 which are set out
on pages 6 to 14.
Respèctlve responsibilltlas of trustses and examlner
The charlty's trustees a￿ responsible for the preparatlon of the accounts. The charity's
trustees considerthat an audit is not required for thls year undersection 144(2) of the Charities
Act 2011 (the 2011 Act) and that an independent examination is needed. The Gharity is
preparlng accrued accounts and l am qualified to undertake examination by being a qualified
member of the Association Of Chartefftd Certified Accountants.
It is my ￿SponSibl11tY to.,
examlne Ihe a¢Gount8 under seGtion 145 of the 2011 Act.
follow the procedures laid down in thè general Directions given by the Charity
Commission under 8edion 145(5)(b) of the 2011 Act. and
stste whether particular matters have come to my attention.
Basls of independent examiner's report
My examination was carried out in accordance with the goner81 Directions given by the Charity
Commlssion. An examinatlon Includes a revlew of the awountlng records kepl by the Charity
and a comparison of the accounts presentedwith those records. It also includes consideration
of any unusual items or disclosures in the accounts, and seeking explan2tion8 from you as
trustoes concemirvJ any such matters. The procedures undertaken do not provide all the
evidence thatwould be required In an audit and consequently no opinion is given as to whether
the accounts present a "true and fair Vie￿ and the report is limited to those matters set out in
the statement below.
Independent examinerfs statsment
In connection with my examination, no matter has come to my attention:
which gives me rèasonable cause to believe that, in any material respect, the
requirement8:
to keep accounting records in accordance wilh section 130 of the 2011 Act,, and
to prepare accounts which accord wlth the accounting records and comply with the
accounting re
rem
ts of the 2011 Act
have nol bee
met., o
to which, in my
pinion jattention should be drawn in order to enable a proper
understanding of the ac￿)Unt8 to be reached.
Muhammad T
yyab FCCA
Ferguson & Co
Chartered Certified Accountants
651 Mauldeth RL)ad West, Chorlton, Manchester. M217SA
Dats:

LIGHTHOUSE INTERNATIONAL MINISTRIES
STATEMENT OF FINANCIAL ACTIVITIES
FOR THE YEAR ENDED 31 MARCH 2024
Year
Ended
31.03.24
Total
Funds
Year
Ended
31.03.23
Total
Funds
Restricted
Income
Funds
Notes
UnroStri¢t¢d
Funds
INCOMING RESOURCES
Incoming Resourc8s from
Genorated Funds..
Donations & Legacles
Charitable Income
other activities for generatlng funds
Inv@stment income
Gift aid r8bat8
Other Income
23,875
23,875
56,674
32,807
9,232
8,339
2.769
5,625
38,745
47,114
6,628
10,253
56,674
32,807
9,232
8,339
2,769
TOTAL INCOMING RESOURCES
77,022
56,674
133,696
108,365
RESOURCES EXPENDED
Charitable Expenditure
Support Cosl
Governance Cosl
(92,434) (92,4341
{31,5971
(398}
1108,6021
133,2441
(2,201)
(31 ,597)
(398)
TOTAL RESOURCES EXPENDED
{31,995) {92.434) {124,429) {144,047)
NET INCOMING {OUTGOINGI
RESOURCES BEFORE TFIANSFERS
45,027
(35,7601
9,267
{35,682)
Transfer between funds
40,760
40,760
NET MOVEMENT IN FUNDS
4,267
5,000
9,267
(35,682)
R8conciliation of Funds
Total Funds BIFwd
26,250
7,991
34,241
89.923
Tolal Funds CIFwd
34,241
The statement of financial activities Includes all gains and losses in the year. All incoming resources and
resources expended derive from continuing activities.
The notes on pages 8 to 12 form part of these accounts.

LIGHTHOUSE INTERNATIONAL MINISTRIES
BALANCE SHEET AS AT 31 MARCH 2024
2024
2023
Not@s
FIXED ASSETS
Tangible Fixed Assets
1.238
CURRENT ASSETS
Debtors
Cash at Bank
Cash In Hand
6,000
36,257
13
42,270
43
34,214
34,265
LIABILITIES:
Amounts falling due
within one year
(24)
NET CURRENT ASSETS
42,270
34,241
NET ASSETS
43,508
34.241
ACCUMULATED FUNDS
Unrestricled
R8Strict8d Revenue
30,517
12,991
43.508
26,250
7,991
34,241
Approved on behalf of Ihe Trustees Management Commitlee
and signed on the behalf
Slgned
Date,.
£f(,I,

LIGHTHOUSE INTERNATIONAL MINISTRIES
The notes on pages 8 to 12 form part of these accounts.
NOTES TO THE ACCOUNTS FOR THE YEAR ENDED 31 MARCH 2024
ACCOUNTING POLICIES
Basls of preparation and assessment of going concern
The accounts (financial statemants) hav6 b8en pr6pared under Ihe historical cost convention
with ilems recognised at cost or transactlon valu8 unless oth&Mise stated in Ihe relevant notes
to these accounts, The financlal statements have been prepared in accordance with th8
Statement of Recommended Pra¢tlce.' Accounting and Reporting by Charitles preparlng thelr
accounts in accordance with the Financial Reporting Standard applicable in the UK and
Republic of Ireland (FRS 102} issued on 16th July 2014 and the Financial Reporting Standard
applicable in the United Kingdom and Republic of Ireland IFRS 102) and th6 Charilies Acl 2011.
The charity constitutes a public benefit entity as d9finod by FRS 102.
The trustees consider that there are no materlal uncertalntles about the charity's
ability to continue as a going concern.
Fund Structure
Unre5tricled funds are available for use al the discretion of the trustees in furtherance of
the objectives of the charity.
Designated funds are unrestricted funds earmarked by the trustees for particular purposes.
Restricted funds are subj8Cted to restrictions on Ih8ir @xpenditur@ imposed by the donor.
Incomlng recognltlon
All incoming resources are included In the statement of financial activities when th8
charity is entllled to the income and the amount can be quantified wlth reasonable accuracy,
Th8 following specific policies are applled to partlcular categorles of income.,
Contracts. granls and investm8nt income are reflected in the accounts when recelved.
Donations, gifts and other income are r8f18Cted in the accoun18 when received.
Sales,Rent,Rags are the cash incomes generated through the charity shops, and are
recorded as the cash sale Is made.
In addition, monie5 received for specific purposes are set aside as "restricted funds"
Expendlture re¢ognltion
All expenditure other than that capltalised has boen reflected in the Statement
of Financial Activities on an accruals basis as the liability Is incurred. Expenditure includes
any VAT which cannot be fully recovered, and is reported as parl of the expenditure lo which
It relates.
Charitable expenditur8 comprises those costs incurred by the charity in th8 delivery of its
activities and servlces for Its beneflciaries. It includes both Costs that can be allocated direcly
to such activities and those costs of an indlrect nature necessary to support them,
Governance costs include Ihose costs associated with meeting the constitutional and statutory
requirements of the charity and include the independent examination fees and costs linked to
the strat8gic management of the charity.
All costs are allocated beiween the exponditure categories of the SOFA on a basis designed
to reflect the use of the resourco. Costs relating to a particular activity are allocated directly,
oth8rs ara apportioned on an appropriate basis as set out in Note 3,
Valuation, Capltallsatlon and Depreciation of Fixed Assots
Additions of a singl8 i18m or a group of similar assets exceeding £500, are
capitalised al cost.
Depreciation Is provlded to write off the cost less the estimatgd rasidual value of
langlble assets over their estimated useful lives as follows:.
Molor Vehicles
Furniture and Equipment
25 % on cost
25% on cost

LIGHTHOUSE INTERNATIONAL MINISTRIES
NOTES TO THE ACCOUNTS FOR THE YEAR ENDED 31 MARCH 2024
ACCOUNTING POLICIES
(CONTINUED)
Taxatlon
The organlsation Is exempt from income tax by reason of its Charitsbla status.
Income tax suffered on investment income is reclaimed in full,
The charity is not reglstered for VAT.
INCOMING RESOURCES
Unrestrlcted Restricted
Income
Income
Funds
Funds
Total
2024
Tolal
2023
Donations & Legacies
Charltable incom
other activitiès for
eneralln
funds {income from shops)
Investment income
Gift aid rebate
Flight compensation admin fees
23,875
23,875
56,674
5,625
38,745
56,674
32,807
9,232
8,339
2.769
32,807
9,232
8,339
2,769
47,114
6,628
10,253
77.022
56,674
133,696
108,365
Incomg from charilable activities
Romania and Casa Lumini
India
Af rica
One-off designation
Aqap8
8,407
34,430
500
3,984
22,370
32
12,359
13,337
56,674
38,745

LIGHTHOUSE INTERNATIONAL MINISTRIES
io
NOTES TO THE ACCOUNTS FOR THE YEAR ENDED 31 MARCH 2024
3 RESOURCES EXPENDED
Unrestrlcted Restrlcted
Funds
Fund5
Total
2024
Total
2023
Charltable A¢tlvltles
Casa Lumini
Overseas organisations
Qverseas individuals
Travgl & Subslstenc8
Africa
El Shaddi
ethany
ERI Agape church
Roshni Nilaya
Other equipments & supplies
Appeals and others
2,535
5,50Q
4,729
10,857
7,978
13,001
2,535
4,604
5,500 27,400
4,729
5,450
10,857
11,887
7,978
7,600
13,001
10,045
1,000
12.707
24,605
254
3,25Q
15,593
30,870
1,371
15,593
30,870
1,371
Support Costs
Employment Cosls
Rent and Rates
Gas, glactricity and wat8r
Motor and Travel
Insurance
Printing,Postagg & Stalion8ry
Misc purchases
Legal C05t
Telephone
Repairs & Maintenance
Advertising, Web & IT
Depreciation
6.252
13.987
1,834
3,803
1,767
316
1,237
6,252
13,987
1,834
3,803
1.7E7
316
1,237
7,243
14,107
1,846
4,Q55
2,254
650
855
367
476
643
120
1,225
413
643
120
1,225
413
317
1,074
31,597
92,434
124,031 141,846
Governance Costs
Bank Charges
Accountancy & Audit
398
398
401
1,800
2,201
398
398
Total
31,995
92,434
124,429 144,047
Staff Costs:
Wages and Salarles
6.252
7,243
No employee 8arned £60,000 p.a. or more, and no diractor was paid any r8muneralion.
The av&rage number of employees,expressed as a full time equivalent was..

LIGHTHOUSE INTERNATIONAL MINISTRIES
NOTES TO THE ACCOUNTS FOR THE YEAR ENDED 31 MARCH 2024
TRUSTEES, REMUNERATION AND EXPENSES
No remuneratlon directly or indirectly out of the funds of th8 charity was pald or payable
during the year, to any trustee or to any persons known lo be connected wlth them.
No reimbursement of expenses has been made or is due to be made to any of the trustees
in respect cf the year.
TANGIBLE FIXED ASSETS
Motor Furnlture &
Vehl¢le Equlpmenl
Total
COST
At 31.3.23
Additions
Disposals
At 31.3.24
7,751
1,650
27,841
35,592
9,401
27,841
37,242
DEPFiECIATION
At31.3.23
Charge
Disposals
At 31.3.24
7,751
412
27,841
35,592
412
8,163
27,841
36,004
NET BOOKVALUE
At 31.3.24
1,238
At 31.3.23
2024
2023
CAPITAL COMMITMENTS
Non& durlng Ihls year
CREDITORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
LCC Control Account
24
24

LIGHTHOUSE INTERNATIONAL MINISTRIES
12
NOTES TO THE ACCOUNTS FOR THE YEAR ENDED 31 MARCH 2024
MOVEMENT IN FUNDS
Balance
1 April Incoming
2023
Balance
31 March
2024
Transfer
Outgolng
RESTRICTED INCOME FUNDS
Romania(CasaLumini&Lif8 C8ntl
Bethanyllndia
UK Organlsatlons
Afrlca
Agape
other
7.991
8,407
34,430
7,093
21,933
(15,50Q}
<51,363)
7,991
5,000
500
13,337
7,478
2,256
2,000
40,760
17,978)
(15,593)
2,000
92,434
7,991
56,674
12.991
UNRESTRICTED FUNDS
G8neral
26,250
77,022
(40,760} (31,995)
30,517
TOTAL FUNDS
34,241
133,696
1124.4291
43,508
GOING CONCERN
The charlty's main source Df income is donation from publlc and from sales In charity shops.
The trustees consider, having regard to reserves that il is appropriate to prepare the accounts on
a going concern basis and, consequently, the accounts do not include any adjustments
that would be n8cessary ifthe funding income should cease.
10 POST BALANCE SHEET EVENTS
The Trustees do not consider that there have been any avgnts since tho balanc8 sheet date
that significantly impact on Ihe financial statement
11 FINANCIAL INSTRUMENTS
The charity only has flnancial assets and financial liabilities of a kind that qualify as basic
financial instrumenls, Basi¢ financial instruments are initially recognised al transaction value
and subsequently measured at their settlement value.

LIGHTHOUSE INTERNATIONAL MINISTRIES
13
Charlty Income and Expendlture
For the year ended 31 March 2024
2024
2023
Restricted GSftslDonations
Unrestricled GiftslDonations
Investment income
Other income
Gift aid rebates
58,674
23,875
9,232
2,769
8,339
38,745
5,625
6,628
10,253
Gross Profit
100,889
61,251
Charitable Expendlture
Overseas Org8nisalion
Overseas Individual
Casa Lumini & Romania
Roshni Nllaya
Af rica
other equipments & supplies
El Shaddi
Bethany
Agape
Appeals and others
5,500
4,729
2,535
30,870
7,978
1,371
13,001
27,400
5.450
4,604
24,605
7,600
254
10,045
1.000
12,707
3,250
15,593
{81,5771
(96,9151
Admlnlstratlve Expondltur6
Travel and Subsistence
Bank Charges
Accountancy
10,857
398
11,687
401
1,800
11.255
13,888
Charity surplusl{deficit)
8,057
(49,552)

LIGHTHOUSE INTERNATIONAL MINISTRIES
14
Shop Income and Expenditure
For Iho year ended 31 March 2024
2024
2023
Sales
Rags and warehouse
31,825
982
45,459
1,655
Gross Profit
32,807
47,114
Admlnlstratlve Expense
Wages
Rent and rates
Motor and travel expenses
Prlnting, postage and station8ry
Telephone
Gas, electricity & waler
Miscellaneous
Legal cost
Repairs and renewals
Advertising & IT Cost
Insurance
Depreciation
6,252
13,987
3,803
316
643
1,834
1,237
7,243
14,107
4,Q55
650
476
1.846
855
367
317
1,074
2,254
120
1,225
1,767
413
(31,597}
133,244>
Revenue surpluslldeficit)
1,210
13,870
Total surplusl{deflclt)
1,210
13,870