LIGHTHOUSE INTERNATIONAL MINISTRIES
LIGHTHOUSE INTERNATIONAL MINISTRIES
REGISTERED CHARtrY NUMBER: 1032201
FINANCIAL STATEMENTS FOR THE YEAR ENDED 31 MARCH 2025

LIGHTHOUSE INTERNATIONAL MINisfRIES
INDEXPAGE
Page No.
Contants
Trustees Annu81 Report
Independent Examiners Report
Slalement of Financial Activi11oS
Balance Sheet
8-12
Notes to the Accounts
13-14
Income and Expendlture Account

LIGHTHOUSE INTERNATIONAL MINISTRIES
Report of the trustegs for th8 Year Endad 31 March 2025
The members of th8 Management Commlttee (tru$tegs1 prg$8nt th$lr annual report for the Year Ended
31 st March 2025.
The flnanclal slatements have been pr&par8d In accordancé wlth the accountlng pollci88 set out in note
1 to the accounts and comply with th8 charitys trust deed, the Charities Act 20118nd A¢¢ountlng and
Reporting by Charitie8', Statement of Recommended Practice Applicable to charilles pTrparfng their
accounts in accordance with the Flnanclal Reporting Standard Appllcabls In the UK and Republlc of
Ireland published IFRS 1021 (effective 1 January 20151.
Reference & Admlnlstratlva Informatlon
The Charlty
The Charity is registered wlth the Charity Commissloners for England and Wales wlth r8gistratJon number
1032201. The Charws addross Is Llghthouse Intsmational Ministries, 12 Centgnary Park, Corongt
way, Eccles, Manchester, M50 1RE.
Datg of reg18tratlon:
The Charlly was registered with charitses Commi55ion on 2810111994
other Names:
LIM (Old namel
LIM UK (Working narlle}
L I M Iworklng nam81
Governlng documont:
Trust dead dated 17 Jan 1994, schéme of tha charity Commissioners dated 15 March 2002.
Tru8t888 IManag8ment Commltt88)
The Iruslees who served on Ihe Managemenl Committee during the year were as folloNw5-_
Mrs Joann@ Marks
Mrs Florence Handrfksz
Mr Phll Clare
Trustee
Trustee
Trustee
Managem8nt Commlttee memb&rs are eloclod or appolnt8d Dn¢e In 8v8ry 2 years, with the offic6rs bolng
elecled from the membership of the Management Committee.
Management Team
Lead Pa$tor'.
Shop Manager..
Flnance offlcer
Mr Paul Hallam
Mrs Margaret Hallam
r5 Zuzana Auslin
Ind•p•ndant Examlnor
Ferguson & Co, 651 Mauldeth Road West, Chorlton, Manchester, M217SA
Bankers
The Charivs bankers a￿..
TSB Bank
Th8 Co-Op8rallve Bank
Chortton
Manche8tsr
Manchester
Objectlves of the Organisatlon
Ob'ectlves'.-
Lighthouse Inlemalional Ministries (LIM) is a network of Churches and individuals throughoLEt Great
Brllaln and Ir61and that supports peoplè and projects in Romania. India and Africa 1.8. Chlldran's homés
ycuth Camps, Leprosy Missions. LIM'S heart is to strengthen, equip and fa¢ililale indigenous people who
hava good Ideas but have vgry Ilmltod ro$our¢¢s.

LIGHTHOUSE INTERNATIONAL MINISTRIES
Raport of the trustees for the Year Ended 31 March 2025 (CONTINUE)
The objects of the charlty ar8 to benefit the peoples of the East6rn Europé, Afrlca and Asla by.,
Al the rélied of poverty and hardship
Bl the advancement of education
Cl the preservation and protedlon of health and
D) the promotion of the Christian Religion.
Classlflcatlon
What:
The prevention or relief of poverty
Over8eas aidlfamine reliaf
Rellglous a¢tivlties
Who..
Children/Young people
Elderlylold p&opla
People wlth dlsablllUes
How.
Klakes grants to individuals
hAake8 grants to organl8allon8
Provldes human resources
Provides buildingsHacililie8lop8n spac8s
Sponsors or undertake r8search
Acts as umbrella or resour¢e body
Trustee Induction and Tralnlng
New truslees undergo a period of induction for one week and gel training in ski118 relevant lo them,
Recruitment and Appointment of Trustees
This Is don8 In the Annual Gen8ral M8etlng of the organlsallon. Nollce Is glven to all members 21 days
before the Annual General Meeting
Rlsk Management
The board of trustees have underlaken a risk revlew of the charivs affairs over the next financial year.
Tha Irusl8&s havè Id8ntlFl8d and r8vl8w8d th8 major rlsks to which the charity Is exposed to and have
establish8d systems to mitiga18 th058 risks.
Financlal RoViOW
In the year to 31 Mar 2025 the charity had a total incom& of £135,92812024 - £133,698) and total
expenditure of £136,513 (2024 - £124,429). This r8sult8d in a net deficit for the year of £58712024 -
net 8urplus £9,267). During thls period the charlty have used reseNes to malntaln actlv1ty levels in the face
of reductlons In fundlng. At the and of flnanclal yaar r8strlct6d resatves stood at £11.191 (2024 - £12,991).
Reseryes Pollcy
The ¢harlty's general reserves cover approximately 2 to 4 months runnlng costs.
The flnancial siluation is under constanl review by the board and It is to bo hoped that grant making trusts
and public donations wlll givè a favourable responsé lo the charitls application for continued
fvnding of its projects,
Investment Policy
Monies not requlred f()r day to day working capital arg placed on deposlL or in a deposit account
pawng a favourable rate of interest.

LIGHTHOUSE INTERNATIONAL MIN15TRIES
Report of the truste8s for the Year Ended 31 March 2025 (CONTINUE)
Tru8199$' Re$pon8ibilitie$ In relatlon to tho flnanclal stat6ments
The Iruslees are responsible for preparing the tru8tee8' annual report and the acoounls In accordanc8
wlth applicablè law and Unlted Kingdom Accountlng Standards {Unltad langdom Generally Accepted
Accounllng Pracljcel.
ChaAttes act In England & Walès requir8 the trustaes to prepare financlal statements for each flnandal
year which give a true and fair view of the slate of affairs of the charity and of the incoming r6sourc&s and
appllcatlon of resources, Includlng thg Income and gxpenditure. of the charity for that period.
In preparlng the accounts, the trustees are required to'.-
8elect suitable accounting polici8s and then apply them conslstsndy,.
observe the methods and prlnclples in the Charltles SORP
make judgements and eslimates Ihal are reasonable and prud8nt-
state whether appllcable UK Accounting Standards hav8 been followed,
subject to any material departures disclosed and explained in the financial statements.,
pr8pare the financial stat8ments on tha golng concern basls unless It Is
Inappropriate lo presume that the Charity will Gontinue in busines5.
The trustees are r8sponslble for kéeplng adèquaté accounting records whlth dls¢lose wlth
reasonable aGcuracy, al any time, the financial position of the charity and to enable
them to ensur8 that th8 accounts comply with the Charities Act 2011, the appllcable ChartU6s (Accounls
and Reports) RegUla￿OnS, and the provision of the tnst deed.
They ar& also responslblo for safgguarding tha assets of the charfty and hence, ft)r
tAking reasonable steps for the prevention and deteclion of fraud and olher iThegularilies.
STATEMENT AS TO DISCLOSURE OF INFORMATION TO INDEPENDENT EXAMINER
In so far as the trustees are aware, there is no relevant accounts information of which the
charfty's indepandant axaminer is unaware; and
the Irustee5 have taken all steps that they ought lo have taken to
mak8 themselves aware of any rel8vant Informatlon and 10 8Stabllsh that the
independent examlner Is aware of Ihat Information.
On B8halfoftha Board ofTrust988' Management Committae..
MrsJ
e Marks (Trustee)
Mr Phil Clare (Trustee)
Date:
721iltb

LIM TRUSTEES REPORT 2024-2025
The year was another good and effective one, with several streams of income V¥'orking
well. A great fiind-raisiiig meal raising over SK w'as very welcome as was the contribution
made by The Liohthous¢ Church Manchester, over IOK.
Lighthouse
International
Ministries
Unit 12 Centenary Park
Coronet Way
Salford
M50 IRE
The shops decreased their level of income. This was entirely due to one of them having
to close due to local council works, pedestrianising the immediate area. Only time will
tell if this has a long-term effect.
Individiial donations remained strong, for both India and Romania projects. A shift to
more support to children noiv groNN'n up and eiiterino further educatioii was soillethiiiu
that we ￿ere exp¢cting. This i%ill onl). increase as more of the children we've been
supportino foryears grow older and finish school and entercolleges and later universities.
On the flip side we have seen wonderful moments where some of our graduates have
eiitered full tiine employment in reallj. ￿00d jobs. Some in IT and others in business,
commerce and medicine. This has been a great encouraoement to us.
Tel.. +44101611786 1440
www.limuk.info
Director
Paul Hallam
PA to Director
Rachel Willis
Five more church biiildings are being built under the BACS programme and support has
also been given to persccuted Christians in India.
Trustees
Jo Marks
Philip Clare
Florence Hendriksz
Two Jouth team trips NNer¢ mad¢ to Romania in Ma) and Auuust. These were highly
effective and helped raise more funds for the Jordan Family to Family project beino held
in our main centre in Slatina: Romania. 40-50 children benefit eiery week from this
activity, and ive are real ly deli(yhted it is bein(J held in our premises. A new minibus in
India was a150 purchased to help our School Wheels Project.
Shops Manager
Mags Hallam
An account w'as opened with Chapel and York to enable supporters from USA to donate
to LIM'S projects in la.x efyective i¥ays. We also offloaded a derelici building on a site in
a village in Romania for El 0,000, another propem own is bein(J sold for the same
atnount as it is wholl), surplus to requirement. It is a small house we bought to house a
desperately poor single parent family. The children have grown up now and the son wants
to purchase it from LIM. The legal work is now ongoing to make that possible.
Projects Manager
Romania
Mihai Lupu
Projects Manager
India
Samuel Jospeh
Another property of land has been placed on the market. Approximately 5 acr¢s of land
in the Carpathian region of Romania. The land ilas purchased for £12,500 (615.000) at
the time. It is now on the market for E400,000 as it is in a prime tourist area.
In our opinion, as Trustees. we feel the Charity is brin(F managed efTeclively and
prudently. We have no liabilities, and onl) voluntary. staff. We are, hO￿ever always
lookiiin to develop and groNN our financial base: whilst at the same time, reeognise ive
are operating in difficult times, especiall). when seeking to raise funds for overseas
projects.
Signed..
Date .
Mrs Joanne Marks
For and on behalf of The LIM Trustees
Lighthoiise International Mini5trie5 15 a UK registered choriry Alo.. 1032201

Indepandont Examlnerfs Raport to the Trustees of Llghthouse Internatlonal
Ministries
I report on the accounts of the company for Ihe year ended 31 March 2025 which are set out
on pages 6 to 14.
Respectlve respon3lblllUes of truste8s and examlner
The charlty's trustees are responslble for the preparatlon of the accounts. The charfty's
trustees conslderthat an audit is not required forthis year under section 144{2) of th@ Charities
Act 2011 (the 2011 Act) and that an independent examlnatlon Is needed. The charity is
preparing accrued accounts and l am qualified to undertake examinatlon by belng a quallfied
member of the Association Of Chartered Certrfied Accountants.
It is my responsibillty to.,
examin8 th8 accounts und8r $8Ction 145 of th8 2011 Act.
follow the procedures laid down In the 98neral Directions given by the Charity
Commission under seclion 145(5)(b) of the 2011 Act., and
state whether particular matt@rs have com@ to my attention.
Basls of Independent examlnerfs report
My examination was Garried out in accordance with the gen6ral Dlrections giv6n by the Charity
Commission. An examination includes a r8Vi8w of th8 accounting records kept by the charlty
and a comparlson of the accounts presented wlth those records. It also includes conslderatlon
of any unusual Items or dlsclosures In the accounts, and seeking explanations from you as
trust88s concerning any such matters. The procedures undertaken do not provida 811 th8
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 oul In
the stalement below.
Independent examlnerfs statement
In connection with my examination, no matter has come to my attention:
whleh glves me reasonable cause to belleve that, in any material respect, the
requirements,.
to keep ac¢ountlng records In a￿ordanCe wlth sect]on 130 of the 2011 Act,. and
lo prepare accounts which accord with the accountlng records and cornply with the
accountlng requlrements of the 2011 Acl
have not been m8t' or
to which, in my opinion, altentlon should be drawn in order to en4ble a proper
understandlng of the accounts to be reached.
Muhammad Tayyab FCCA
Feryuson & Co
Chartered Certified Accountants
651 Mauldeth Road West, Chorlton, Manchester, M2178A
Date: 2610112026

LIGHTHOUSE INTERNATIONAL MINISTRIES
STATEMENT OF FINANCIAL ACTivrriES
FOR THE YEAR ENDED 31 MARCH 2025
Year
Ended
31.03.25
Total
Fund8
Year
Endèd
31.03.24
Total
Fund6
Restricted
Income
Funds
Notes
Unre$trlctod
Funds
INCOMING RESOURCES
Incomlng Resourogs from
Genoratod Funds..
Donations & Legacl86
Charitable in¢ome
Other activities for generalng funds
Inveslment Income
Gift aid rebate
Other In￿me
18,147
18,147
62,208
32,930
8,094
5,675
8,872
23.875
56,674
32,807
9,232
8,339
2,769
62,208
32,930
8,094
5,675
8,872
TOTAL INCOMING RESOURCES
73,718
62,208
135,926
133,696
RESOURCES EXPENDED
Charitable Expenditure
Support Cost
Governance Cost
(3.044} {96.3811 199,425)
(33,796)
(33,7961
(3,292)
13,2921
192,4341
{31,597)
13981
TOTAL RESOURCES EXPENDED
{40,132) 198,3811 (136,5131 1124,429)
NET INCOMING IOUTGOING}
RESOUFiCES 3EFORE TRANSFERS
33,586
(34.1731
15871
9,287
Transfer be￿88n funds
NET MOVEMENT IN FUNDS
1,213
11,8001
{587)
9,267
Reconciliation of Funds
T¢)tal Funds BIFwd
30,517
12,991
43,508
34,241
Total Funds CIFwd
42.921
43.508
Th9 Statgment of flnanclal actlvlttes Includes all galns and losses In the year. All In¢omlng resources and
resources e￿nded derlve from continuing aclivltles.
The notes on pages 8 to 12 form part of these accounts.

LIGHTHOUSE INTERNATIONAL MINISTRIES
BALANCE SHEET AS AT 31 MARCH 2025
2025
2024
Notes
FIXED ASSETS
Tangib18 Fixèd Assets
2,250
1,238
CURRENT ASSETS
Debtors
Cash al Bank
Cash In Hand
1,094
39,570
6,000
36,257
13
42,270
40,671
LIABILITIES:
Amounts falling dué
wlthin on8 year
NET CURRENT ASSErs
40.671
42,270
NET ASSET8
42,921
ACCUMULATED FUNDS
Unrestricted
Restricted Rev8nu8
31,730
11,191
30,517
12,991
ApprDved on behalf of the TTU8tees Management Committee
£ Mrf
and slgn8d on th8 behalF
Dale: z&l.I l ts,
The nolos on pases 8 to 12 fomi part of these accounts.

LIGHTHOUSE INTERNATIONAL MINISTRIES
NOTES TO THE ACCOUNTS FOR THE YEAR ENDED 31 MARCH 2025
ACCOUNTING POLICIE8
Ba818 of preparatlon and a8s88sm$nt of golng concérn
The accounts lfinanclal stgtemenlsl have been prepared under the hlstorlcal ¢091 convention
wlth item8 r8cognised at cost or transactlon valu@ unl@ss othorwlse stated In the relevant notes
to thesa accounts, Tha flnanclal statements have been prepar￿ In accordanca wlth tha
Slalernent of Recommendgd Praotice.. Accounting and Reporting by Charities preparing their
accounts in accordance wllh the Flnanclal Reportlng Stsndard appllcab18 In the UK and
Republic of Ireland IFRS 102) Issued on 16th July 2014 and the Financial Reportlng Standard
applioabl8 In th& Unlt&d Klngdom and Republic of Ireland (FRS 1021 and tha Charitlas Act 2011.
The charlty conslllutes a publlc benefit entlty as deflned by FRS 102,
The trustees consider that there are no material uncertainties about the charity's
ablllty lo ¢ontlnue as a golng concgrn.
Fund Structure
Unresbicted funds atB avallable for u88 al the d18cr&llon of the truste88 In furtheranca of
the obl8Ctives of the charity,
Designated funds are unrestricted funds earmarked by the tru8tse8 for partlcular purpose8.
Reslrldèd funds arg subleclgd to restrlctions on Ih8lr expendllur8 Imposed by the donor.
Incomlng recognltlon
All Incomlng resources are Included In the statement of flnanclal actlvltles when the
charity is entitled to the incom@ and the amount can be quantified with r8asonablE* accuracy.
The following specific pollcies are applled to particular categorles of Income..
Contracts, grants and inveslment income a￿ reflected in the accounts when re￿ived.
Donatlon8, glfts and other Sncomo are r8fl8¢led In Iho accounts whon recelvod.
Sale5,Rent.Rags are the cash incomes generated through the charity shop5, and are
r8corded as the cash sal8 is made.
In addition, monies recelved for speclfic purposes are set aslde as r8Strlcted funds.
Expendlture recognltlon
All expenditure other than that capitalised has been reflecled in the Sialement
of Flnan¢lal Acllvltles on an accruals basls as tha Ilablllty Is Incurr8d. Expandltura Includos
any VAT which cannot be fully recovered, and is reported a5 part of the expenditure to which
it relates..
Charitable expendlture comprlses those costs Incurred by the charlty In the dellvery of Its
activities and services for its beneficiaries. It includes both cosLs Ihal can be allocated directly
to such a¢llvltl•s and those ￿$ts of an Indlracl naturé nècessary to support them.
Governance costs include those costs associated with meeting Ihe constitutional and statutory
requirement8 of the charity and includ8 Ihe independent ex8mln8tlon fees and co8t8 linked to
th& strateg1¢ management of the charlty.
Ail costs are allocated belween the expéndlture categortes of the SOFA tsn a basls d$slgned
io reflect the use of the resource. Costs r8latlng lo a partlujlar acllvlty are allocated dlreclly,
others are apportloned on an appropriate basis as sel out in Note 3.
Valuatlon, Capllallsatlon and Depreclatlon of Flxed Assets
Addltlons of a slngle it6m or a group of similar assals excèadlng £500, ara
capilalised at cost.
Depreciation is provided lo write off the cost less the estirnated residual value of
tangible a88ets over their estimated useful lives as follows:.
Motor Vehlcles
Furniture and Equlpm6nt
25tA on cost
250/0 on cost

LIGHTHOUSE INTERNATIONAL MINISTRIES
NOTES TO THE ACCOUNTS FOR THE YEAR ENDED 31 MARCH 2025
ACCOUNTING POLICIES
(CONTINUED
Taxatlon
The organi5alion is exempt from Income tax by reason of its charltable Status.
Income tax suffered on investment Income Is reclalmed In full.
The charlty Is not regislared forVAT.
INCOMING RESOURCES
UnroStrlot•d Rostrl¢t•d
Incomo
Income
Fund8
Fund8
Total
2025
Total
2024
Donatlons & Lggaclos
Charitable income
Other 8Ctiviti8s for
ener8ti
funds (income from shops)
Investment Income
Gift aid rebate
light compensatton admin fees
18,147
18,147
62,208
23,875
56,674
62,208
32,930
8.094
5,675
8,872
32,930
8,094
5,675
8,872
32,807
9,232
8,339
2,769
73.718
62,208
135,926
133,696
Income from charltablo actlvltlos
Romanla and Casa Lumlnl
India
Afiica
One-off designalion
Aqape
Church plants
6,848
51,945
215
8,407
34,430
500
13.337
62,208

LIGHTHOUSE INTERNATIONAL MINISTRIES
io
NOTES TO THE ACCOUNTS FOR THE YEAR ENDED 31 MARCH 2025
3 RESOURCES EXPENDED
Unrostrlcted Rostrl¢tod
Funds
Funds
Total
2025
Total
2024
Charftable ktFvltle$
Casa Lumini
Overseas organisations
Overseas Indlvlduals
Travel & Sub8iStence
Afrlca
El Shaddl
ERI Agap8 church
Roshni Nllaya
Othar aqulpm&nts & supplle8
5,840
3,700
18,300
15,998
1,000
12,000
5,840
2,535
3,700
5,500
18,300
4.729
15,998 10.857
1,000
7,978
12,000
13,001
15,593
39,543 30,B70
1.371
39,543
Support Costs
Employm8nt Costs
Rent and Rates
Gas, electrlclty and water
MDlor and Travel
Insurance
Prfndng,Postage & Stationery
8,602
14,284
1,863
2,193
2,370
192
8.602
6,252
14,284 13,987
1.863
1,834
2,193
3,803
2,370
1,767
192
316
F l.Ll
Misc purcha8es
Telephone
Repairs & Maintenanc8
Advertising, Web & IT
Depreciation
Fundraising
399
891
154
399
891
154
860
1,988
3,044
133.221 124.031
1,237
120
1,225
413
1,988
3,044
36,840
,381
Governance Costs
Bank Charges
Accountancy & Audit
1,852
1,440
3,292
1,852
1,440
3,292
398
398
Tolal
40,132
96,381
136,513 124,429
Staff Costs:
Wages and Salarles
8,602
6,252
No employee eamed £60,000 p.a. or more, and no direGlorwas paid any remuneratlon.
Tho avgrago numbor of employgos,&xprgssgd as a full tlme equlvalont was..

LIGHTHOUSE INTERNATIONAL MINISTRIES
NOTES TO THE ACCOUNTS FOR THE YEAR ENDED 31 MARCH 2025
TRUSTEES. REMUNERATION AND EXPENSES
No rgmuneratlon direcly or indlreclly out of the funds of the charlty was pald or payable
durlng the year, to any tru8tea or to any per80ns known to be ¢onnected wilh them.
No relmbursemenl of expenses has been made or Is due to b8 made to any of th8 IrustÈ&s
in respect of the year.
TANGIBLE FIXED ASSET8
Motor Fumltur• &
V8hicle Equipment
Total
COST
At 31.3.24
Addkuons
Disposals
Al 31.3.25
9,401
3,000
27.841
37,242
3,000
12,401
27,841
40,242
DEPRECIATION
At 31.3,24
Charge
Disposals
At 31.3.25
8,163
1,988
27,841
36,004
1,988
10,151
27,841
37,992
NET BOOKVplLUE
At 31.3.25
2,250
At 31.3.24
2025
2024
CAPITAL COMMITMENTS
None during this year
CREDITORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
LCC Control Account

LIGHTHOUSE INTERNATIONAL MINISTRIES
12
NOTES TO THE ACCOUNTS FOR THE YEAR ENDED 31 MARCH 2025
MOVEMENT IN FUNDS
Balancg
1 Aprll Incomlng Transfèr Outgolng
2024
Balance
31 March
2025
RE8TRICTED INCOhlE FUND$
Romanla(CasaLumlnl&Llfe Cant)
Roshnl Ni18yalEIShaddatllndla
Africa
Olhar Church plantlng
7,991
5,000
6,848
51,945
215
3,200
62,208
11,244
20,344
785
(18,0921
{77,289}
(1,0001
7,991
3,200
11,191
96,381
UNRESTRICTED FUNDS
Gen8ral
30.517
73,718
132,3731 (40,132)
31,730
TOTAL FUNDS
43,508
135,926
136,513
42,921
GOING CONCERN
The charitys main sourca of incom8 18 donation from public and from sales in charity shops.
The trust888 consider, having regard to raserv88 that it is appropriate to prepare the accounts on
a going concern basis and, oonsequenlly, the accounts do not include any adjustments
that would be necessary rf the fundlng Income should c6asa.
10 POST BALANCE SHEET EVENTS
Th8 Tru8te8s do not collsider that th8r8 have been any 8V8nts Sincg the balance sheet dale
that sign￿l¢antJY impact on the financlal statement
11 FINANCIAL INSTRUMENT8
The charity only has financial assets and financial liabllllles of a klnd that quallfy as basic
financial instruments. Basic financial instruments ar8 initially r8ccgnised at IraNsaction value
and subsequently measured at thelr settlement Value.

LIGHTHOUSE INTERNATIONAL MINISTRIES
13
Charlty Income and Expenditure
For the yearendèd 31 March 2025
2025
2024
Restslctod GlftslDonatlons
Unrestrict8d GiftslDonalions
Investmant incoma
other Income
Glft aid rebates
62,208
18,147
8,094
8,872
5,675
56.674
23,875
9.232
2,769
8,339
Gross Prollt
102,996
100,889
Charitable Expendlture
Overseas Organisation
Overseas Individual
Casa Lumlnl & Romanla
Roshni Nilaya
Africa
Qlher equipments & supplies
El Shaddl
Agape
3,700
18,300
5,840
39,543
1,000
5,500
4,729
2,535
30,870
7,978
1,371
13,001
15,593
12,000
(80,3831
181,5771
Admlnlstratlvo Exp8ndlturo
Travél and Subsistence
Fundraising
Bank Charges
Aocounlancy
15,998
3,044
1,852
1,440
10,857
398
22,334
11,255
Charlty surplu81(deficill
279
8,057

LIGHTHQUSE INTERNATIONAL MINISTRIES
14
Shop Income and Expandltur8
For the year ended 31 March 2025
2025
2024
Sale5
Rags and war8house
Other
30,074
780
2,078
31,825
982
Gr088 Proflt
32,930
32.807
Administrative Expense
Wages
Rsnl and rates
Motor and trav81 axpenses
Printing, postage and stationery
Ta18phone
Gas, electrlclly & water
Miscgllan8OUS
Repairs and ranawals
Advertising & IT Cost
Insurance
Depreciation
8.602
14,284
2,193
192
891
1,363
399
154
860
2,370
1,988
6,252
13,987
3,803
316
643
1,834
1,237
120
1,225
1,767
413
133,796)
131,5971
Revenue surplusl{deficltl
866
1,210
Total surplusl(deflclt}
{866)
1,210