Cb#rity R¢gi5tr8tioll No. 1042556
Rtgistr8tiott No. 2992416 lEtt￿*￿d and W*lesl
POWER PRAISE & DELIVERANCE MIIYISTRIES INTERNATIONAL
WORSHIP CENTRE
ANNUAL REPORT
FOR THE YEAR ENDED 30 NOVEMBER 2021

POWER PRAISE & DELIVERANCE MINISTRIES ￿TERNATIONAL WORSHIP CENTRE
LEGAL AND ADMIIYISITRATIVE INFORMATION
Trustees
Jennifer Browtt
Inez Rtley
Junior Stcwart
Patricia Beckford
Anita Johnson
Mlchael Miller
Melisa Prince
Virginia Ryan
Warren Anderson
Secretary
Inez Ril¢y
Charity number
1042556
Company number
2992416
Principal address
421-427 High Road
Tottertham
London
N176QN
Registered officc
421-427 High Road
Tottenham
London
N176QN
Independ¢nt examiDer Goldwins Limited
75 Maygrove Road
West Hompstead
London NW6 2EG
Bankers
Lloyds TSB Bank PIC
Lloyds Court
28 Secklow Gate West
Central Milton Keynes
MK9 3EH

POWER PRAISE & DELIVERANCE MINISTRIES INTFRNATIONAL WORSHIP CEIYTRE
CONTEIYTS
Page
Trustees, report
14
Indep¢nd¢nt examinevs report
Statement of financial activities
Balance sheet
Statement of cash flows
Notes to the accounts
9-16

POWER PRAISE & DELIVERANCE MINISTIUES INTERNATIOLYAL WORSIUP CENTRE
TRUSTEES, REPORT FOR THE YEAR ENDED 30 IYOVEMBER 2021
The trnstees present their report and accounts for the year ended 30 November 2021.
The accounts hav¢ been prepared in accordance with the accounting policies set out in notc I to thc acc4)unts
nd comply with thc charity's Mcmorandum and articles of association, applicabl¢ law, and the Statement
of R¢commended Practi￿. applicable to charities preparing their accounts in accordance with the Financial
Reporting Standard for Smaller Entiti¢s.
Objectives and artlvities
The objccts for which the charity is established are forth¢ advancement of Christian Faith through the spread
of the gospel of Jesus Christ and the relief of poverty in the United Kingdom.
Pow¢r Praise & Deliverance Ministries international Worship Centre shares its fundamentsl beliefs with the
mainstream Christian religton (of which the following 'Statement of Faith, provides further detsils.)
l. The sovereignty and grace of God the Father. God thc Son and God the Holy Spirit in creation,
providence, rcvelation, redemption and Fu￿1 judgement.
2. The divine inspiration of Holy Scripture and its conscquent entir¢ trustworthiness and supreme authority
in all matters uf faith and conduct.
3. The universtl sinfulness and guilt of fallen rnan. making him subject to CJod's Thrdth and condemnation.
4. Th¢ substitutionary sacrifice of the incarnate Son of God as the sole and all-sufficient ground of
rcdemption from the guilt and power of sin, and &om it% eternal consequences.
5. Th¢ justitication of the sinner solely by the grace of God through faith in Christ crucified and risen from
the dead.
6. The illuminating, r¢g¢nerating, indwelling and sanctifying work of God th¢ Holy Spirit.
7. The priesthood of all believers, who forni the universal church, the Body of which Christ is the Head, and
which is committed by His command to the proclamaliun of the Gospel through the world.
8. The divtnc healing olall believers through faith in the name of Jesus Christ.
9. The practice of water baptism and the submission of beli¢ver5 to this in obedience, commitment and
proclamation according to the wmmand and example of Jesus Christ.
10. The ¢A￿ctatIOn of the personal, visible return of th¢ Lord Jesus Christ in power and glory.
The trustees have paid due regard to guidanLe issued by the Charity Commission in dcciding what activities
the charity should undertake.
Achievemellts and perforniance
This year, was very different one for the Charity, gurviving a pandemic and aIl its unforeseen conslraints
forced us into looking at the way we operate and r¢directing our goals and reder￿ing who wc are and how
we operate.
We the trustees have taken great inspiration from the way our memb¢rs. parthers and supporters have dealt
with these unprccedented times. The Charity continues to touch lives within the community of Haringey and
beyond with an increase of people seeking guidance from the Church.
As the restrictions began to lift, we opened our door to our members and shar¢holders again for fellowship
with limited contact.

POWER PRAISE & DELIVERANCE MINISTRtES INTFRNATIONAL WORSHIP CEIYTRE
TRUSTEES, REPORT FOR THE YEAR ENDED 30 NOVEMBER 2021
As the months progressed, we reintroduced our vision to our shareholdet3 and strategizcd on the best plan
for success and productivity. One of our main goals is to serve the wmmunity of Haringey and we had to
redirect our focus from the pandemic &nd develop new strategies to fulfil our vision while still caring for th¢
lives of those vulnerable to this deadly disease.
By Summer 2021 we started our ￿gular progrdms and ran a ten-month conference to encourage the
community and re-establish the message of hope in the lives of the people of thc Haringey. So many lives
wcrc touehcd as people began to sce the possibilities of pressing un thr()ugh tough times. Through all the
loss of livcs, those of us who remain iKlicved in the possibility of a better future.
Every month the church embarks on opcning its door to the local community feeding and clothing those that
are in need. To this end we have embarked on another entity within the Church vision called "14ands of
Hopc"
Hot meavfrozen food accompanied by wami clothing, shoes et¢. are shared out to those in
attendance. While feeding and clothing those in need counselling is on hand and a listening ear. They a
also encouraged io contact the church and a supply of food and toiletries will be delivered. The Church
further provides aid to the community through a range of services such as on to one counsellin& mentoring,
s¢lf-development. and eonfidence builditig support as well as community day& concerts And specialised
community celebrations.
Our evangelistic outreach entitled "Church without Walls., "Each one Reach One and Operation Go whe
evangelising, singin& prayer and words of ¢ncouragcmcnt is taken from the Yesty to outside the Church.
Many that passed by juined in, in celebration and singing and lives were impacted. lov¢hed, changed, and
received salvation and now have a place of worship to attend.
We continue to proclaim and propagate the Gospel of Jesus Christ, and in doing this we striv¢ to assist and
improve th¢ lives of individuals across evcry division of the community.
W¢ ¢ontinue to havc our Women's,, Men's, and Youth me¢lings which, agaiw r¢a¢hes into th¢ community
and changes live8 by brirlging individuals, whether it be male, fem&l¢, young and old, into the fellowship
and care of this Charity. We have personally seen many lives transfomicd by these different auxiliary
meetings.
We ar¢ very Lonscious of the fact thatth¢ Borough wherein this Charity is Situated is very demandTng socially
and economically. We arc doing our vcry best to bring hope, stability and oneness TTito this community.
We also continue to stream live on-line services which is r¢cordcd via Facebook. We now welcome an
international congregation reaching thousands of believers all over th¢ world in coumtries such as, Holland,
Germany, France. Jamaica, Dominic4 St. Maarten & the B VI to name of few. This has enabled us to keep
worship style fresh and new.
We also incorporated "PRAYER STORM- where prdy¢r was available live online to the intsrnational
community. which helped our audience to reduce stress and anxiety, promote a more positive ouilook and
strengthen the will to livc. This created such an impact that on the lives of the people inlo community, that
we have continued"PRAYER STORM" every Wednesday, Thursday. and Saturday morning.
We have implemented '%PIRITUAL PARENTING" progrdmme whi¢h allow5 members to check on each
other at least one a week providing care for the spintual need& financial needs, and emotional needs. During

POWER PRAISE & DELIVERANCE MINISTRIES INTERNATIONAL WORSHIP CENTRE
TRUSTEES, REPORT FOR THE YEAR ENDED 30 NOVEMBER 2021
the pandemic so many people105t their hope and joy. Thi5 progrnmme has had such a huge success that we
have enlarged its scope to reach out the more members of the community of Harringay at large.
We are thank￿] for God's ongoing faithfulness and provision to the work of the Lharity. We have also been
humbled by God's response and provision to us with generous gifts, fundraising successes and unforeseen
avenues of funds which have opened, as th¢ year end closed with uncertainty looming for all charities like
our own. We continue to be blessed by the skilled and dedicated people who work and volunteer for us.
which has ensured that we can continue operating wath and for the community of Harringay which we
support.
We look forwarding to the new year, as we have installed a new team of trustees and appointed some new
Directors, which we believe shares our same visioll and will help propel us into n¢w dimensions of vision
d productivity. W¢ hop¢ that we Can be mor¢ impactful to the community providing confTden¢e and
strength that we will get through this together.
Finantial revieiv
It is th¢ policy of the charity that free reserves (those funds not tied up in fixed asset4 and designated and
restricted funds) should be maintained at a level equivalent to two month's expenditure (approximatcly of
50.000). The twstees consider reserves at this level will eDsure thaL in the event of a significant drop in
donations, they will be able to LQlltinue the charitys current activities whil¢ ¢onsid¢rntion is given to ways
in which additional funds may be rnised.
At 30 November 2021 the charity held positive free reserves, with funds being ticd up in fixed assets. The
trustees are also aware of the need to increase the metnbership and are Qu￿entlY considering the best way to
achi¢v¢ this.
The trustees are in the process of assesstng the risks facing the charity and fornialising a strate&v to reduce
them to an a¢ceptance level.
We have now installed new Trustees and Directors which will bring a fresh mindset and new ideas to
bring the charity into all round success in goal achi¢v¢mcnt.
There are plans to incorporate a banqueting hall and th¢ Trustees are looking into this in mor¢ d¢tail.
Plan alw to open a creche.
Structurey goverllallce alld management
The tnistees, who a￿ also the directors for the putyo% of compony law, and who s¢rve(E during the y
were..
J¢nnifer Brown
Joshua Stewart
Warren Anderson
Inez Riley
New'l"rustees ar¢ appointed cvery two years. The new Trustees are given a copy of the latest set of a¢¢ounts
and the constilution of the Charity. Th¢y arc invited to attend an introductory meeting after revieiving thc

POWER PIL41SE & DELIVERANCE MINISTRIES INTERNATIONAL WORSHIP CENTRE
TRUSTEES, REPORT FOR THE YEAR EfsDED 30 IYOVEMBER 2021
accounts and constitution. A further meeting is held to discuss the plans and future of the ch￿lty and any
queries on the constitution is addressed at this meeting. The n¢w Trustee is invited to a third meeting to be
confirnled by the present B(wd of Trustees and then introduced to the members of the Charity.
Non¢ of the trnste¢s has any ben¢fi¢ial interest in the COTnpany. All of the trustees are members of the
company and guarantec to contribute in the event of a winding up.
voluntee￿ ¢arry out the Chartty's general administration and church work.
The trustees, report was approved by the Board of Trustees.
Inez Ril
Trustee
ve
nd Jen
ifer Brown
22

INDEPENDE,YT EXAMINER'S REPORT
TO POWER PRAISE & DELIVERANCE MINISTRIES ITrITERNATIONAL WORSHIP
CENTRE
I report lo the charity trustees on my examination of the accounts of the Company for the year ended
30 November 2021.
Responsibilities and basis of report
As the charity's tLWStees of the CoMpE￿Y land also its direLtors for the purposes of company law) you
are [eSpo￿￿ble fui the preparation of the accounts in accordance with the requirenients of the
Companies Act 2006 {'the 2006 Act.).
Having satisfied myself that the accounts of the Cumpany are not TeqLtir¢d to be audÈted under Part 16
of the 2006 ALt and ale cli¥ible for Inde￿dent examination, I report in respect of my exatnination of
your charity's a¢count$ 2q carried oiit under section 145 of the Charities Act 2011 I'thc 2011 Act,). In
carrying out my exaiiuDation I have followcd the Directions given by the Charity Commission under
se¢tion 145(5) (bl of the 2011 Act.
Indepettdent examiner's statement
Since the Company's ￿OsS income exceeded £250,000, E confirm that l am qualified to undertake the
examination because l am a member of the ICAEW. which is one of (he listed bodies.
I have completed my examination. I confinn that no matters have cotne to tny attention in connection
with the examinaiion gFiving¥ me vause to believe..
accounting records were not kept in respect of the Company as required by section 386 of
the 2006 Aet., or
2. the accounts do not accord with those records., or
3. the accounts do not Comply with the aLLountin¥ requirements of section 396 of the 2006 Act
oiher Ihan any requirement that the accounts give a 'ttue and fair vicw which is noi a matier
considered as part of an independcnt examination; or
the accounts have not been prepared in accordanc¢ with the methods aEkd principles of the
Statement of Recoininended Practice for acLountinby and reporting by charities applicable
to charities preparing their accounts in aLcordance with the Financial Reporting Standard
applicable in the UK and Republic of Ireland (FRS 102).
I have no concerns and have come across no other m2tters in connection with the examination lo
whiLh attenlion should b¢ drawn in this report in order to ettable a proper understanding of th¢
accounts to bc rcached.
29 September 2022
Stephen Goodwin
Goldivins
Chartered accountamts
75 Maygrove Road
West Hampstead
London NW6 2EG

Power Praise & Dellverance Mlnlstries Intemational Worshlp Centre
Statement of financial activiti8s (incorporating an income and expenditure accounll
For the
ear ended 30 Novembor 2021
2021
Total
2020
Totsl
Unrestricted Restricted
Note
Income from:
Donations and legacies
Investment income
238,742
238,742
98.311
Total income
238 743
Expendlture on:
Charitsble activities..
Parish costs
Mission and Evangelism
134,396
62,218
134.396
62,218
68,271
17,183
Totsl expenditure
196 614
196 614
Net income l {expendlturel for the year
42,129
42.129
12.860
Transfers be￿een funds
Net movement in funds
42,129
42,129
12,860
Reconeiliation of funds..
Total funds broughl forward
Total funds carrled forward
6 971.281
7 013 410
6 971 281
7 013 410
6 958 421
6 971 281
All of the above results are derived from continuing activities. There were no other recognised gains or losses
other than those slated above. Movements in funds are disclosed in Notes to the finan¢ial statements.

Power Praise & Deliverance Mlnislries International Worship Centre
Balance sheet
As at 30 November 2021
2021
2021
2020
2020
Note
Fixed assets:
Tangible assets
7,005.138
7,001,327
Current assets:
Cash al bank and in hand
27,505
27,505
4.170
Liabilities".
Creditors.. amounts falling due wthin one year
19,233
34,216
Net current assets I Iliabilitie51
Total assets less current liabilities
8,272
30,046
7,013,410
6,971,281
Total net assets l (liabilities)
Funds
Unrestricted ftjnds..
General funds
7,013,410
6,971,281
11
7.013,410
6,971,281
Total unrestricted funds
7,013,410
6,971,281
Total funds
7,013,410
6.971,287
The Chariws financial statements have been prepared in accordance with the provisions applicable to
Companies subject lo the small companies regime.
The Trustees consider that the Charity is entitled lo exemption from the requirement lo have an audit under
the provision of section 477 of the Companies Act 20061"Ihe Act") and members have not required the Charity
to obtain an audit for the year in question in accordance wlh section 476 of the act.
The Trustee acknowledge their responsibilities for complying with the requirement of the Companies Act 2006
wrth respect to accounting records and the preparation of financial statements.
The financial sl8tements were approved and aLtlhorised for issue by the trustees on
and signed on their behalf by..
Inez Riley
Trustee
en
Jennifer Brown
Company registration no. 02992416
The attached notes form part of the financial stalernenls.

Power Pralse & Deliverance Ministries Intematlonal WoT5hip Centre
Statement of cash flows
For the year ended 30 November 2021
Note
2021
2020
Cash flows from operating activities:
Nel cash provided by l (usecl inl operating aclFVities
12
28,859
1,503
Cash flows from investing activitigs:
Sale/ Ipurcha5el of fixed assets
15.5241
16561
Change in cash and cash equivalents in the year
23,335
847
Cash 3nd cash equivalents at the beginning of the year
4,170
3,323
Cash and cash equivalents at the end of the year
13
27,505
4,170

Power Pralse & Deliverance Ministrles International Worship Centre
Notes to the financial statements
For the year ended 30 Novèmber2021
Accounting polici9S
al Basis of preparation
The fin8ncial statements have been prepared in accordance with Accounting and Reporting by
Charities= Slalemenl of Recommended Practi￿ applicable to charities preparing their accounts in
accordance with the Financial Reporting Stsndard applicable in the UK and Republic of Ireland IFRS
102- effective 1 January 20151- (Charities SORP FRS 1021 and the Companies Act 2006.
The charitable company meets the definition of a public benefit entity under FRS 102. Assets and
liabilities are initially recognised at historical cost or Iransacts'on value unless otherwse 8laled in the
relevant accounting poliGy or note.
el Golng concern
The trustees consider that there are no material uncertainties about the charitable companls ability lo
continue as a going concem. The Iruslees do not consider that there are arsy sources of estimation
uncèrtainty at the reporting date that havè a significanl risk of causing a material adjustrn8nl lo the
carrw'ng amount5 of assets and liabilities within the next reporting period.
dl Income
Income is recognised when the charf(y has ent￿ement lo the funds, any performance conditions
altsched to the income have been met. it is probable that the income will be roceived and that the
amount can be measured ￿lIablY.
Income from government and other grants, whethèr '¢apital' grants or 'revenue' grants, 18 recognised
when the charity has enlillernenl to the funds, any performance conditions attached lo the grants have
been mèt, it is probable that the income wll be received and the amount can be measured reliably
and is not deferred. Income received in advance for the provision of specified seTvice is deferred until
the criteria for income recognbtion are met.
For legacies, entitlement is taken as the earlier of the date on which either.. the charity is aware that
probate has been granted, the estste has been finalised and nolificalion has been made by the
&xecutor{sl to the Charity that a distribution will be made, or when a distribution is received from the
eslale. Receipt of a legacy, in whole or in part, is only considered probable when the amount can
measured rèliably and the charity has been notrfied of the executor's intentK)n to make a distribution.
Where legacies have been notified to the charity, or the charity is aware of the granting of probate,
and the criteria for income recognition have not been met. then the legacy is a treated as a contingent
asset and disclosed if material.
e) Donatlons of gifts, servlces and facilities
Donated professional services and donated facilities are iecognised as income when the charity has
control oveT the item or re￿iVed the servicé, any oondilions associated with the donalDn have been
met, the receipt of economi¢ benefit from the use by the charity of the item is probable and that
economic benefit can be measured reliably. ln accordance with the Charities SORP IFRS 1021.
volunteer time is not recognised so refer to the Iruslees, annual report for more information about
thèir contribution.
On receipt, donated gifts, professional ServI￿S and donated facilffcies afft recognised on the basis of
the value of the gift to the charity which is the amoLJnl the charity would have been willing to pay to
obtain services or facilities of equivalent economic benefit on the open market.. a corresponding
amount is then recognised in expenditure in the period of receipt.

Notes to the financial statements
For the year ended 30 Novemb8r 2021
1 Accounting policies Icontinuedl
Interest recelvable
Interest on funds held on deposit is included when receivable and the amount can be measured
reliably by the charity,. this is normaljy upon notif￿atron of the interest paid or payable by the bank.
gl Fund accounting
Unrestricted funds are awailablo to SP8nd on activit185 that further any of the purposes of charity.
Designated funds are unrestricted funds of the charity which the trustees have decided at their
discretion lo set aside to use for a specific purpose. Reslricted funds are donations which the donor
has specified are to be solely used for particular a￿aS of the charity's work OT for specFfic projects
being undertaken by the charity.
h) Expenditure and irrecoverable VAT
Expenditure is recognised once there is a legal or constructive obligation to make a payment to a Ihird
paty, it is probable that settlement will be required and the amount ol the obligation can be measured
reliably. Expenditure is classified under the following activity headin9S'.
Costs of raising fLJnds comprise of trading costs and the costs incurred by the charitable
company in inducing third parties lo make voluntary contributions lo it, as well as the cost of any
8¢1ivllies with a fundralsing purpose.
Expenditure on Gharitable activities includes the costs of delivering ServI￿S and other activities
undertaken to further the purposes of the Gharity and their assoGiated support costs.
Other expenditure represents those items not falling into any other heading.
Irrecoverable VAT is charged as a cost against the activity for which the expenditure was incurred.
il Allocation of support costs
Support cost5 are those functions that aSSlSt the Work of the charity bul do not directly undertake
charitable activities. Support costs include back oftice costs, f5nance, personnel, payroll and
govemance costs which support the aclivilies. These costs have been alloealed beiween cost of
raising funds and expenditure on charitable activities. The bases on which support costs have been
allocated are set out in note 3.
j) Tangible fixod assets
Depreciation is provided al rates calculated to write down the cost of each asset lo ils estimated
residual value over ils expected useful life. The depreciation rates in use are as follows..
Land and bulldings freehold Nil
Plant and machinery
2510
Fixtures, Fittings and
25%
kl Debtors
Trade and other debtors are recognised al the settlement amount due after any trade discount
offered. Prepayments are valued al the amount prepaid net of any trade discounts due.
l) Cash at bank and in hand
Cash at bank and cash in hand includes cash and short teTm highly IiqLtid investments with a short
maturity of three months or less from the dale of acquisition or opening of the deposit or similar
account.
ml Creditois and provisions
Creditors and provisions ar8 r@cognis8d where the charity has a present obligation resulting frorn a
past event that wll probably resu51 in the transfer of funds to a third paty and the amount (Jue lo setue
thè obligation can be measured or eslimaled reliably. Creditors and provisions are normally
recognised at their settlement amount after allowing for any trade discounts due.
io

Power Praise & Deliverance Minislrtes International
Note5 lo the financial statements
For the year ended 30 November 2021
2 Income from donatlons and legacies
2021
2020
Unrestrlcted Restrlcted
Total
Total
Donations
Gift aid
173,054
65,688
238,742
173,054
65,688
238,742
98,862
98,862
3 Analysls of expendlturè
Mission and
Parish costs Evangelism
Support
costs 2021 Total 2020 Total
Staff costs
Mission and evangelism
Ministry Costs
Depreciation
Parsonage expenses
Light and heat
Telephone & internet
Printing, postsge and stationary
Repair and maintenance
Taxi & motor expenses
Travelling and subsistence
Sundry expenses
Bank charges and interest
ONice expenses
Sponsorship
Legal and professional fees
Independent examinerfs fees
30,164
30,164
41,093
18,609
1,713
41,663
9,342
1,293
2,138
17,365
2,871
1,964
13
889
4,002
16.433
3,641
3.420
31.744
5,027
11,180
443
12,047
11,374
1,080
160
800
860
385
693
703
1,231
3,578
729
3,420
41.093
18,609
1,713
41,663
9,342
1,293
2.138
17,365
2,871
1,964
13
889
4,002
16.433
3,641
3,420
28,962
5,434
59,702
2,516
7.950
17.9501
196.614
85,454
Support costs
Total expenditure 2021
134.396
62,218
196.614
Total expenditure 2020
68,271
17,183
85.454
The total expenditure 2021.. £196.614 was unrestri¢ted12020'. £85,454).
li

Power PraSse & Deliverance Ministries Internatlonal Worshlp Centre
Notes to the financial statements
For the year ended 30 November 2021
4 Net incomellexpenditurel for the year
This is stated after charging I crediting=
2021
2020
Independent Examinerfs Fees
Depreciation
3.420
1.713
3,420
443
5 Analysis of staff costs, trustee remuneration and expenses, and the cost of key management
personnel
staff costs were as follows".
2021
2020
Salaries and wages
Employer's conlribijlion lo defined contribution pension schemes
27.100
3.064
30,653
1,091
30,164
31.744
Number ofemployees
None of the employees received employee benefits excluding pension contributions more than £6D,000.
The lolal employee benefits including pension contributions and employer Nl of the key management
personnel were £Nil.
One of the Iruslees re￿iVed the employee remuneration and parsonage expenses from the charity during
the year.
6 Related party transactions
The￿ are no related party Iran5aclions lo disclose for 2021 12020- none).
Included in note 9 is a loan £11.18812020-. £11.188) provided by a member.
7 Taxation
The charity is exempt from wrporation lax as all its income is Charitable and is appli¢d for charitable
purposes.
12

Power Praise & Deliverance Ministries International Worship Centre
Notes to the financial statements
For the year ended 30 November 2021
8 Tangibl¢ fix￿ assets
Land and
buildings
freehold
Fixtures.
fittings &
equipment
Plant and
machinery
Total
Cost
At the start of the year
Additions in year
DSsposals in year
7,000,000
24,593
25,386 7,049.979
5.524
5,524
Al the end of the year
Depreciation
Al the start of the year
Charge for the year
Eliminated on disposal
7,000,000
24,593
30,910 7,055,503
24,593
24.059
1,713
48.652
1.713
Al the end of the year
24.593
25,772
50.365
Net book Value
At the end of the year
7,000,000
5.138
7,005,138
Al the start of the year
7,000,000
1,327
7,OJ1,327
The freehold property was valued in 1998 at £1,500,000 and revalued again in 2017 at £7,000,000. The
basis of valuation was open market valuation.
9 Creditors: amounts falling due within one year
2021
2020
Accrua15 and deferred income
Member's loan
Other creditors
7,840
11,188
205
3,420
15,738
15,058
34,216
13

Power Praise & Deliverance Mlnlstrles Internalional Worship Centre
Notes to the financlal statements
For the year ended 30 November 2021
10 Analysis of net assets between funds
G8noraS
unrestrlcted
Restricted Total funds
Tangible fixed assets
Net current assets
7,005,138
8,272
7.005,138
8.272
Net assets at the end of the year
7,013,410
7,013,410
11 Movements in funds
Incoming
Al the start of resources &
the year
gains
Outgoing
resources &
losses
At thè end
Transfers of the year
Ggneral funds
Total Unrestricted Funds
Total unrestricted funds
6,971,281
6,971,281
238,743
238.743
196,614
196,614
7 013,410
7,013,410
Total funds
6,971,281
238,743
196,614
7,013,410
14

Power Praise & Deliverance Ministries International Worship Centre
Notes to the financial statements
For the year ended 30 Novem￿1 2021
12 ReconcS1iation of net income l {expenditurel to net cash flow from operatlng activltles
2021
2020
Net income I (expenditure) for the reportlng period
las per the statement of flnancial actlvitlesl
Depreciation
Increasel Idecreasel in creditors
Net cash provided by I (used inl operating acfjvities
42,129
12,860
1,713
(14,9831
28,859
443
111,8001
1,503
13 Analysis of cash and ca$h equivalents
Atl
December
2020
At30
Other Novembar
changes
2021
Cash flows
Cash at bank and in hand
4,170
23,335
27,505
Total cash and cash equivalents
4,170
23,335
27,505
14 Operatlng lease commitmants
Al thg balan￿ sheet date, the charity had no linancial commmitmenl under non-cancellable operating
18ases.
15 Legal status of the charlty
The charity is a company limited by guarantee and has no share capitsl. The liability of each member in
the event of winding up is limited lo £1.
15

Power Praise & D8liYeranc& Ministrles Internatlonal Worship Centr8
Notès to the finan¢lal statements
For thè
ar ended 30 November 2021
16 a. Analysis ol net ass•ts ￿tween funds- 2019 Ipr*)rye8rl
General
unrestTIGtsd
Re8trlcted Total fund5
Tangible fix8d assets
N&t cuirent ass*s
7,001,327
130.0461
6,971,281
7,001,327
130,046
6.971.281
Net a$¥ets at tho end of the year
b. Movements In fvnd5-2019 Iprloryearl
Incoming
resources &
gain8
Outgolng
re50ur¢6s &
bss88
At the start
f the year
At th6 end
of the year
Transfers
General funth
Totsl Unrestrict8d Fund5
6.958,421
98,314
85,454
6,971.281
Total unre5trlctsd fund$
6.958.421
98,314
8&454
6,971,281
Total fvnd5
6.958.421
98.314
85,454
6.971,281
16