Charin, Regi%trxtio￿ No. 1042556
Companv Regi5traiion No. 2992416 (Fngland W¥lcs}
POWER PRAISE & DELIVEIUNCE MINISTRIES INTERNATIONAL
WORSHIP CFNTRE
ANNUAL REPORT
FOR THE YEAR ENDED 30 NOVEMBER 2023

POWER PRAISE & DELIVERANCE MINISTRIES INTERNATIONAL WORSHIP CENTRE
LEGAL AND ADMINISI'I'IL4TIVE INFORMATION
l-rustecs
Jennifer Brown
Incz Riley
Junior Stewart
Patricia Bwkford
Anita Jvhn50n
Michael Miller
Melisa Prince
Virgjinia Ryan
WatTCll Andcrson
Secretary
Inez Riley
Charity iiuinber
1042556
CoTnpany number
2992416
Principal address
421427 Higb Road
Toiienham
London
N176QN
Registered offiee
421-427 High Road
Tottcnliam
Londoii
N176QN
Independ¢nt ¢xamincr Goldwins Limited
75 Maygrove Road
Wesi H￿npStead
London NW6 2EG
Bankers
Lloyds TSB Bank PIC
Lluyds Court
28 S¢cklow Gate West
Central Milton Keynes
MK9 3EII

POWER PRAISE & DELIVERANCE MINISTRIES INTERNATIONAL WORSHIP CENTRE
co￿.[ENTs
Page
Trustees, report
14
Independent examiner's report
Statement of financial activities
Balance she¢t
StateTnent of ¢￿h flow$
NO1￿ io ihc accounts
9-16

POWER PIUISE & DELIVERANCE MINISTRIES INfERNATIONAL M'ORSHIP cE￿TRE
TRUSTEESY REPORT FOR THE YEAR ENDED 30 NOVEVIBER 2(I2.8
The trustees pr¢sent their report and accounts for the ycar cndcd 30 Novemb¢r 2023.
The accoiints have been prepared in accordance with the accoiinting policies sei oiit in notc I to the accounts
and comply wilh the charily's Memorandum and articlcs of aq80¢iation. applicablc la￿,, aiid thc Statcmei)t
of Rccommcndcd Practice, applicablc to charitics prcparing their accounts in (Iccordancc with the Financial
Reporting Standard for Smaller Entities.
Objectives and actffivities
The objects for which thc charity is established are for the adv¢in¢¢nient ot Christian Faith through the qpread
of the gospel of Jesus Christ and the reliefof poverty in Ihc United Kingdom.
Pol￿'e￿ Praisc & Deliverance Mini8tric.% international Woiship Ccntre share.£ ils lisiidameiital beliefs M'ith the
mainstr¢ain Christian religion (of which thc following'stalemeni ol. Faiih, proirides furthet details.)
The sovereignty and ¥iaLe vf God the bather. God the Son and God the Holy Spirit in creation.
providence, revelation. rcdcmption and final judgcinent.
2. The divine inspirntion of Hc)ly Scripture and its consequ¢nt cntirc tNstworthine5S 8nd siipreme auihority
in all Matte￿ of faith and conduct.
-1. The universal sinfulness and guilt of fallen man, making him subject to God's wrath and condeiniiation.
4. Thc substitutionary sacrifice of thc incarnate Son of God as the sole and £ill-%uffici¢nt grouiid of
redemption from the guilt and power of sin, and &om its eternal consequences.
5. Tlie justification of the sinner solely by the grace of God through faith in ChTi.%l crucified and risLn from
the dead.
6. The illuminating, r¢gcnerating, indwellii)g and sanctifying work ol-tiod the Holy Spirit.
7. The priesthood of all believers. who fom) th¢ univ¢rsal chiirch. the Body of wliich Chr￿st is the Hedd. dnd
which is committed by His command to the pioclamation of the Goqpel througli the woi'ld.
8. The divine healing of all bclicvers through faith in ih¢ name of Jesus Chrisi.
9. The practice of waler baptiqm and ihe submission of bcliever% tn thi% in obcdicnce, cominitiiiciit and
pio)clamation according to ihc command and example of Je%ii% Christ.
10. The eXp￿tation of the personal, visible return of the Lord Jesus Chrisi in power and glory.
The tnistces have paid due re(Fard ro guidancc issued by the c.harity Commission in deciding what activitics
the iharity should underiake.

POWER PRAISE & DELIVERANCE MINISTRIES INTERNATIONAL WORSHIP CENTRE
TRUSTEES, REPORT FOR THE YEAR ENDED 30 NOVEMBER 2023
Achievements and perform#nce
During the past yedr the ehurch l)as continued its worship, fellow%hip and mi$8ion.
We the I￿stetS have taken great inspiration from the way our memberq. partners and siipporters have dealt
with thcse unprecedented times as the world coniinues lo changc. Tlic Charity coniinueg to louch livcs within
the comniunity of Elaringey and beyond with an incrcasc Ot pcople seeking guidanL¢ froni th¢ chwch.
We continue to open our door to our inembers and shareholders tor fellowship i'ebuilding hope in the
community.
As the months progress¢d, we continued to reintroduce our vision to our shareholders and strat¢gizcd on the
besl plan for success and produ¢tivity. One of our main goal8 1$ to %ervc thc community of Haringey and we
hai'c bccn vcry active in cominunity huilding and caring for those iii iieed.
We havc now startcd our regiilar church 5ch¢diilc ￿)d coiitiiiued to enLuiirdLT¢ thc comiiiuniiy and re-
establish the message ofhope in the lives of ihc people uf the Hdringey. So many lives are being touched as
wc al.%ft launched our soul winning campaign Èn th¢ strccts of Toiienhain, e<iLli oiic rcacliing onc. as we
intend to Festore the coinmunity of Harringay and beyond. Peuple bcgdn to see the possibilities of pres5illg
on thruugh tou￿ times. Through all ihe loss of lives, those of us who renic1il) bLliei."ed in lh¢ possibility of a
better fiiture.
F.very month thc church embarks on opening its door to tlic local cominunily feLdiRLI and Llotliin&T Il)osc that
are in need. To Ihits end we havc embarked on anorher entiiy withii) the Church vision called "Hands of
Hopc Hot meallfrozcn food accoinpanied by warm clothing. shoes etc. are %hared out to those in
attcndance. While feedinLy and Lloihing ihosc li) need counselling is oil liaiid aiid a libt¢nin&r iar. They arc
dlso cneouraged to contact the church and a supply of food and toiletries will be delivered. The Chuirh
fijrthcr provides aid to the coinmunity through a raiigc of scrviccs such as on to one couiisellingT, Inciitoriiig.
self-developmenl, and Lonfid¢nce building support as well as community days, concerts lind specialised
community celebrations.
Our evangelistic ouireach entiil¢d "Church without Walls"
"Each one Reach One and Qp¢ratioi) Go whcre
evangelising, singing, prayei" and M'oids of cncouragcinent is taken Irom the vestry tu ()ut%ide the Church.
Maiiy that passed by joined in, in celebralion and %ingTjiig dnd lives w'cre iinpacicd, touched, ehanged, and
received salvarion and now have a place of worship to attend.
We contit)u¢ to proclaim and propagate the Gospel of Jesus Chri.%t, and in doiiig tliis wc strii'e to a%s2%t and
iiiiprove the lives of individuals across every division of the conimunity.
We continue to have our Women'5', Men's, and Youth meetÈng8 which, again. reaches into the Lomjnunity
and changes lives by brin¥ing individuals, wheiher it be Iiiale, feinale, young and old, into the fellowship
and care of this Charity. We have pcrsonally seen many lives Iransf()mied by these different auxiliary
meetings.
We are very conscious of thc fact that thc Borough wherein this Charity situated is i'¢ry dciiiandiiig socially
and economically. We are doing oui. veiy best to bring hopc, stability and oneness into this Cummunity.
We also continue to str¢am live on-linc servic&q which is rccorded via Fa¢¢book. Wc now wclcome an
intcrnalional congregation rcaching thousands ofbclici.'crs all over th¢ world in COLuilrics sucll as, Holldnd,
(ierniany. France, Jamaica, Dominica, St. Maarten & the B Vl to name of re￿". This ha% enahled u% to keep
worship Style fresh and new.

POIVER P1141SE & DELtVERANCE MINISTRIES INTERINATIONAL M'ORSHIP CENTRE
TRUSTEES, REPORT FOR THE YEAR ENDED 30 NOVEMBER 2023
W¢ also incorporated 'PRA YER STORM" where prayer was availdble live online to the intcrnationa
community. which helped our audi¢nce to rcducc stregg and anxiety, promote a mole positiyc outlook and
strengthen the will to live. This created such an impact that on the lives of the people intn Coinniuniry, th1( t
we have continued"PRAYER STORM" every Wednesday. Thursday, and Saturday morning.
We have implemet)Icd "SPIRITUAL PARENTtNG" progratnme which allows iiiembcrs to check on each
other at l¢asl one a w¢ek providing care for the spiritual needs. financial needs, and emotional needb.. This
prograinme has had such a huge su¢ccss ihat wc havc cnlargcd its scope to reach out thc more mcinbcrs of
thc commiinity of Hairingay ai larg¢.
Wc arc thanktul for God's ongoing faithtulness and provision to the ivork of Ilic ch￿try. We liave al80 been
hwi)bled by God's response and provision to u4 with gTenerous gifis. fundraising.quce¢8qcq and unforc.%cen
avenues of funds which hai'e opened, as thc ycar cnd closed w'ith uiicertainly loomiiig for all charitics likc
our vwn. Wc continue to be blcssed by th¢ skillcd and dedicated people wlio work and vvluntcer foF US.
which has eiisured thai we can continu¢ vpiratiiig with dnd for rhe comniunily of IlatTing2y Nkhicli we
support.
We look foThN'arding to the new year, as our new team of trustees and Directors, continue to s1)are our saiiic
vision dnd will help propel us into new dimensions ofvision and productivily. We hope that ￿'e can be more
impaciful to the community providing confidei)ce and strcngth that wc ￿111 get through this togcthcr.
Financial review
It is the policy of the Charity that frec reserves (thuse funds noi tied up in fixed a%.%¢t4 and d¢%igllc2ted and
r&qiricied fund8) should be tnaintaincd at a Icvel cquii.'alent to two month'.% expenditurc (approximately ol-
50,0001. The trustees consider reserves at this level will ensure that, in the event ot. a sigiiificant drop in
donations, thcy will bc ablc 10 coniinue the charity's currcnt activitics ivhilc consideration is given to ￿rayS
iii whicli additional funds may be raised.
On 30 Novcmb¢r 2023 the charity held pobitive free reberves. wilh funds b¢ing tied up in Iixed asseis. The
trustees are also aware of th¢ need to in¢￿aSe thc mcinbership and are currenily con.qidcring the bcst way to
achieve this.
The iruqtees are in tl)L proccss of a%scssing the risks facing thc charity and f0rn121ising a strdtcgy to rcduce
them to an auLcptanLe lei'cl.
lliere are renovation pl￿ on the way lo restore our pldce uf worship, 10 give us the opportunity to use the
building to ¢ontinu¢ io host cvcnts and programs to bctter impact the community.
There are plans to incorporate 2 banqueting hall and th¢ Trustees are looking into this in more detail.
Plan also to opcn 2 ¢r¢chc.

POWER PRAISE & DELIVERANCE MINISTRIES INTERNATIOliAL M'ORSHIP cE￿TRE
TRUSTEES, REPORT FOR THE YEAR ENDED 30 NOVEMBER 2023
Structureg governance 3nd management
The tru5te¢s, who arc also the directors for the purpose of company law, and who servcd during the year
were..
Jennifer Bro￿]
Joshu<i Stewart
Wdrren Anderson
New Trustees are appointed every two ycars. Thc ncw TrLlStecs are giyen a Copy of the latest scl ofaccounts
and the constituiion of the Charity. Thcy are invited to altend ali intruductvry Ineeting after reviewing the
accounts and constitution. A further meciing is held to discuss the plans and future of the ('harity and any
queries on the constitutian is addrcssed at this meeting. The new Trust¢e is invited to a tliii'd nieetins tu be
coiifiniied by the preseni Board of Trust¢¢s and Ili¢n introduced lo the Ineiiibers vf IhL Ch#nlV.
None of the trnstecs has any beneficial interest in the comp3ny. All of the trustees are members ()f the
company dnd ¥Udiantee to contribute in the event of a windinu up.
Volunteers carry out the Chariiy's gencral administration and churcli ￿ork.
The trustees, report was approved by the Board of Trusieeq.
Pitricia Beckford
Trustee
Rcvcrend Jennifer Brown
Trustee
Daied..
Datc..

INDEPENDENT EXAMINER?S REPORT
TO POM'ER PIL4ISI,: & DELIVEIL4NCE MINISTRIES IN'I'ERNATIONAL WORSHIP
CENTRE
I i¢port to the Lharity Irustees on my exaMI￿tion of the accounts of the Conipany for the year ended
30 November 2023.
Responsibilities and basis of report
As tEL¢ charity's trnstees of the Coinpany land also its directorb for th¢ pu￿Ose5 of company laiv) you
are responsiblc tor the pi'eparation of the a¢¥ounls in accordance wiih the rcquiremcnts of the
Compani¢s Act 2006 ('Ihe 2006 Act.).
Having satisfied myself that the accounts of the Company are not rcquired to be audited under Part 16
of the 21K)6 Act and are eligible for indcpendent examination, I report in ILswct of my examination of
your charily's a¢countts as carried out under section 145 ()f th¢ Charities Act 2011 ('the 2011 Act.). Jn
carrying out Iny examination I have followed the Directions given by the Charity Cominission uRd¢r
%¢¢tion 14515) Ib) of thc 2011 Act.
Illdepelldent examiner's statement
Sit)cc the Company's gross income exce¢d¢d £250,000, I conftnn that l am qualified to undcrtak¢ tlic
examination because l am a member of the ICAEW, which is one OF the listed bodies.
I have compleied my examination. I confirrn that no matiers have come to my attention in connecrion
with thc examination giving me cause (o believe..
accounting records were not k¢pt in respect of thc c.ompany as required by section 386 of
the 2006 Act; or
the accounts do not accoi'd with those r¢¢ords: or
3. the accounts du nut ¢omply with the accounting requirement4 of 8ection 396 of the 2006 Act
other tl)an any r¢quirement thai the accounts gI￿e a 'mie and fair vicw which is not matrcr
¢onsidei¢d ds Pdrt of an independeni examination., or
4. the aLcount4 have not been prepared in ccordanLe with the Inethods and prinLiples of the
Statement of Recniiiinended Practice lor accounting and reporting by cliaritic8 applicable
to charilies prep¢iriiig thcir accouiits in acco].d￿lce i¥'iih tlic Fiiian¢ial R¢portin¥ Stthidard
applicable in the UK Republic of Ireland (FRS 102).
I have no con¢¢ms and have coiiie across no other matters in conn¢¢tion with thc cxaniination to
which attenlion should be drawn in ihiq repart in order to cnable a proper understanding of the
accounts lo be reached.
Stephen G(rfTrdwin
Goldivins
Chartered accountants
75 ￿laygrOVe Road
West Hampstead
London NW6 2EG
3010812024

Power Praise & Deliverance Ministrigs International Worship Centre
Statement of financial activities lincorporaling an income and expenditure accounll
For thè yèar ended 30 November 2023
2023
Total
2022
Total
Unre5tiicled
Restricted
Note
Income from:
Donations and legacies
Investment income
204,208
264
204.208
264
250,065
Total incom•
204 472
204 472
250 066
Expèndlturè on..
Charitable activities".
Parish costs
Mission and Evangelism
118,184
43,763
118,184
43,763
123,512
73.996
Total expenditure
161,947
161947
197,508
Net incomè I lexpenditurel for the year
42.526
42.526
52,558
Transfers bebNeen funds
Net movement in funds
42,526
42,526
52,558
Reconclllatlon of funds-
Total funds brought forward
Total funds carried fO￿ard
12
7.065,968
7 108494
7,065,968
7 108494
7.013,410
7.065,968
All of the above results are derived frorn continuing aclivilies. There were no other recognised gains or losses
other than thos8 slated above. Movements in funds are disclosed in Notes to the financial slalemenls.

Power Praise & Deliverance Ministries International Worship Centre
Balance sheet
As at 30 November 2023
2023
2023
2022
2022
Note
Fixed assets=
Tangible assets
7.010,667
7,012,036
Current assets:
Debtors
Cash al bank and in hand
76,778
31,009
107,787
30.979
32,686
63,665
LiabilitiOS:
Creditors. amounts falling due wthin one year
10
9,960
9,733
Net current assets I Iliabilitiosl
Total assets less current liabilities
97,827
53.932
7,108,494
7,065,968
Totsl net assets I Iliabilitles}
7,108,494
7,065,968
Funds
Unreslricled funds..
12
Gèneral funds
7,108,494
7,U85.968
Total unrestricted funds
7,108,494
7.065.968
Total funds
7,108,494
7,065,968
The Charity's financial slalemenls have been prepared in accordan￿ with the provisions applicable lo
companies subject to the small companies regime.
The Tiuslees consider that the Charity is enlilled lo exempb.on from the requirèment lo have an audit under
the provision of section 477 of the Companies Act 20061.the Act l and member5 have not required the Charity
to obtain an auclit lor the year In question in accordance with section 476 of the act.
The Trustee acknowledge their responsibilities for ¢omplying wlh the requirement of the Companies Act 2006
th respect to accounting records and the prep8ralion ol financial statements.
The financial slalements were approved and aulhorised for issue by the ITuslees on
and signed on their behalf by..
. 2.91.Q.&12Q24.........
Patricia Beckford
Trustee
Reverend Jennifer Brown
Trustee
Company reglstratlon no. 02992416
The attached notes form part of the fin8nual slalements.

Power Praise & Deliv8rance Ministries Internatlonal Worship Centre
Statement of cash flows
For the year ended 30 November 2023
Note
2023
2022
Cash flows from operating activitios..
Net cash provided by I (used inl operating activities
13
509
16,091
Cash flows from Investing aetivitièA:
Sale/ Ipurcha5el of fixed assets
{2.1861
110,9101
Change In ¢ash and Cash equivalents in the yoar
11,677)
5.181
Cash and cash equivalents at the beginning of the year
32.686
27,505
Cash and cash equivalents at the end of the year
14
31.009
32,686

Power Praise & Deliverance Mlnistrios Intemational W0￿h1P Centre
Notes to the financial statements
Foi the year ended 30 November 2023
1 Accounting policies
al Basis of preparation
The financial statements have been prepared in accordance with A¢¢ounling and Reporting by
Charities.. Statement of Recommended practi￿ applicable lo ¢harilies preparing their accounts in
accordance wlh the Financial Reporting Stsndard applicable in the UK and Rèpublic of Ireland IFRS
102 - effecb.ve 1 January 20151- (Charities SORP FRS 1021 and the Companies Act 2tyA.
The charitable company meets the defi'nition of a public benefit èntity ijnder FRS 1￿2. Assets and
liabilities are inilk211y recognised at historical cost or transaction value Un￿$$ otherwise slated in the
relevant accounting policy or note.
cl Golng concern
The trustees consider that there aw no matenal uncertainties about the charitable company's ability lo
continue as a going concern. The Iruslees do not consider that there are any sources ol eslimalion
unGertainty al the reporting dale that have a significant risk of causing a material adjuslmenl lo the
carrying amounts of assets and liabilities within the nèxt reporting period.
dl Income
Income is recognised when tre charity has èntitlement to the funds, any performance conditions
attached lo the income have been mel, il is probable thal the in¢Dme will bè received and that Ihe
amount can be measured reliably.
Income from government and other gran15, whether 'capttal' grants or 'revenue' grants, is recognised
when the charity has enlillemenl lo the funds, any p&rforman¢è Gondilions attached lo the grants hav8
been met, it is piobable Ihal the income thqll be recèived and the amount can be measured reliably
and is not defer￿d. Income received in advance for the provision of specrfied setvice is deferred until
th& criteria for income recognition are meL
For legacies, enlillemenl is tsken as the earlier of the date on wh￿h erther.. the charity is aware that
probate has been granted. the estate has been finalised and nolifi¢alK)n has been made by the
execulorlsl lo the charity th81 a distribution will be made. or when a distribution is received from the
estate. Receipt of a legacy, in whole or In part, Is only considered probablè when the amount can be
measured re118bly and the charity has been notified of the exe¢ulor's intention to make a distribution.
Where legacies have been notified to the Charity, or the charity Is aware ol the granting of probate,
and the Criteria for Income recognition have not been mel, then the legacy is a treated as a conlingenl
asset and disclosed if material.
el Donations of gifts, servlees and fa¢illties
Donated professional services and donated facilities are recognisecl as income when the charity has
control over the item or received the service, any conditions associated with the donation hav8 been
mel, the receipt of economic benefit from the use by the Charity of the item is probable and that
economic benefit can be measured rèliably. In accordance with the Charities SORP IFRS 1021.
volunteèr lime is not recognised so refer lo the trustees, annual report for more information about
their conlribulion.
On rèceipt, donated gift5, professional services and donated facilities are recognised on the basis of
the value of the gift lo the charify which is the amount the charity would have been willing lo pay lo
obtain serVI￿S or facilities of equivalent economic benefi't on the open market,. a corresponding
amount15 then recognised In expenditure in the period of receipt.

Notes to the financlal statèments
For the yoar ended 30 November 2023
1 Accounting policies Icontinuedl
Intergst recolvable
Interest on funds held on deposit is included when receivable and the amount can be measurecl
reliably by the charity,. this is nOmial￿ upon nolifi¢alion of thè Interest paid or payable by the bank.
gl Fund accounting
Unrestricted fund3 are available to spend on activities that further any of the purposes ol charity.
Designated funds are unrestricted funds of the charity which thè trustees have decided at their
discielion lo sel aside lo use foi a specific purpose. Reslricled funds are donations which the donor
has specified are lo be solely used for particular areas of the charity's work or for specific projects
being undertaken by the charity.
h) ExpendÉture and irrecoverable VAT
Expenditure is recognised once there is a legal or conslruclive obligation to rnake a payment lo a third
party, it is probable that settlement wlll be required 2nd the amount of the obligation can be measured
reliably. Expenditure is classified under the followng activity headings..
Costs of raising funds comprise of trading costs and the costs incurred by the charitable
company in inducing third partEs to make voluntary contributions to it. as well as the cost of any
actNities with a fundraising purpose.
Expenditure on charitable activities Includes the costs of delivering services an(J other 8clivilies
undertaken lo further the purposes of the charity and their associated 5UPPOrt costs.
Other expendituie represents Ihryse items not falling into any other heading.
Irrecoverable VAT is charged as 8 cost against the actNily for which the expendrture was incurred,
il Allocation of support eo$ts
Support costs are those functions that assist the work of the charity bul do not direelly undertake
chaiitable activities. Support costs include back office costs, finance. personnel. payroll and
governance costs which support the activrties. These costs have been allocated between cost of
raising funds and expenditure on charitable activities. The bases on which support costs have been
allocated are set out in note 3.
11 Tanglble fixgd assets
Depreci81ion Is provided at rates calculated to write down the ¢osl of each asset lo f(5 eslimaled
residual value over rts expected useful life. The depwialion rates in use are as follows..
Land and buildings freehold Nil
Plant and machinery
slraighl
Fixtures. Fittings an
25,
kl Debtors
Trade and other debtors are recognised at the settlement amount due after any trade diswunl
offered. Prepayments are valued al the amount prepaid nel of any Itade discounts due.
11 Cash at bank and in hand
Cash at bank and cash in hand includes cash and short term highly liquid investments with a short
maturity of three months or less from the dale of acquisrtion or opening of the deposit or similar
account.
ml Creditors and provisions
Creditors and provisions are recognised where the charity has a present obligation res￿￿1ng from a
past evant that will probably result in the transfer of funds to a third paty and the amount due to settlè
the obligation can be measured or estsmaled reliably. Creditors and provisions are normally
recognised at their settlement amount after allowing for any trade discounts due.
io

Power Praise & Deliverance Ministries International Worship Centre
Notes to the financial statements
For the year ended 30 November 2023
2 Income tmm donations and lega¢les
2023
2022
Unr•strieted Restricted
Total
Total
Donations
Gift aid
Others
157,509
46,699
157,509
46,699
187,246
51,631
204,208
204,208
250,065
3 Analysis of exponditure
Mission and
Parish costs Evangelism
Support
costs 2023 Total 2022 Total
staff costs
Mission and evangelism
Ministry costs
Depreciation
Parsonage expenses
Light and heal
Telephone & intemel
Printing, pc>stage and stationary
Repair and maintenance
Taxi & motor expenses
Travelling and subsistence
Sundry expenses
Bank charges and interest
otFice expenses
Sponsorship
Legal and profession21 fees
Independent examiner's fèes
31,269
31.289
16,219
26.215
3,$56
45,817
6.812
928
595
15,256
4,793
116
26,082
42,673
29,459
4.012
48,097
15.571
2,454
717
5,873
5.687
1,776
250
714
4,254
5,628
601
3,660
16,219
26,215
3.556
45,817
6.812
928
595
15,256
4.793
116
730
730
2,203
3,251
387
3,800
2,203
3,251
387
3,800
114.596
3.588
42.434
1.329
161,947
197.508
Support costs
14,9171
Total expenditure 2023
118,184
43,763
161,947
Total expenditure 2022
123,512
73,996
197,508
The total expenditur8 2023.. £161,947 was unreslricted12022". £197.5081.
li

Power Praise & Deliverance Ministries International Worship Centre
Notes to the financial statements
For the year ended 30 November 2023
4 Ngt incomellexpenditurel for thg ygar
This Is slated after charging I crediting.
2023
2022
Independent Examiner's Fees
Depreciation
3.167
3,SS5
3,050
4,012
S Analysis of staff costs, trusteè romungration and expenses. and the cost of key management
personnel
staff costs were as follows..
2023
2022
Salaries and wages
Employer's contribution lo defined contribution pension schemes
30,283
986
25,159
923
31,269
26,082
Number of employees
None of the employees received employee benefits excluding pension contributions more than £60.000.
The total employee benefits including pension contributions and amployer Nl of the key managemènt
personnel were £Nil.
One of the Irustees recewed the employee remuneration and parsonage expenses from the charity during
the year.
Rolatgd party transactions
There are no related paty transactions to disclose for 202312022.. nonel.
7 Taxation
The charity is exempt from corF)oration tax as all ils income is charitable and is applied for charitable
purposes.
12

Power Praise & Dellverance Ministries International Worship Centre
Notes to the financial statements
For the year ended 30 November 2023
Tangible fixed assets
Land and
buildings
freehold
Fixtures,
fillings &
equipment
Plant and
machinery
Total
Cost
Al the start of the year
Additions in year
Disposals in year
7,000.000
24,593
41.820
2.186
7,066,413
2.186
At the end of the year
D8prociatlon
Al the start of the year
Charge for the year
Eliminated on disposal
7,000,000
24.593
44,006
7,068,599
24,593
29.784
3.555
$4,377
3,555
At the enrj of the year
24,593
33,339
57.932
Net book value
At the ènd of the year
7,000,000
10,667 7,010.667
Al the start of the year
7,000,000
12,036 7,012,036
The freehold propety was valued in 1998 al £1.500,000 and revalued again in 2017 al £7,000,000. The
basis of valuation was open market valuation.
9 Debtors
2023
2022
Gift aid receivable
Prepayments
76,778
30,079
900
30,979
10 Crgdilors.. amounts falling due within one year
2023
2022
Accruals
Member's loan
Other creditors
7.226
7,163
2,734
2,570
9,960
9,733
13

Power Praise & Deliverance Minislries Intemational Worship Centre
Notes to the financial statements
For the year ended 30 November 2023
11 Analysis of nel assets between funds
General
unrestricted
Restricted Total funds
Tangible fixed assets
Nel current assets
7,010.667
97.827
7,010,667
97.827
Net assets at the end of the year
7.108,494
7,108,494
12 Movements in fvnd8
Incoming
Al the start of reSoUr￿S &
the year
gains
Outgoing
resources &
losses
At thg gnd
of the year
Transfers
General funds
Total Unreslricled Funds
7,065.968
7,065.968
204.472
204,472
1161,9471
1161,9471
7,108,494
7,108,494
Total unrestricted funds
Total funds
7.065,968
204,472
1161.9471
7.108,494
14

Power PraSse & Deliverance Ministries International Worship Centre
Notes to the flnancial ststements
For the year ended 30 November 2023
13 R8con¢iliation of net In¢ome l {oxpendilurgl to net cash flow from operating activities
2023
2022
Net income I lexpenditurel for the reporting period
{as per the gtatement of financial attivitiosl
Depreciation
Ilncreasell decrease in debtors
Increasel Idecreasel in creditors
Net cash provided by I (used Inl operating actlvltles
42.526
52,558
3,555
45.7991
227
509
4.012
130.9791
19,5001
16.091
14 Anatysis of cash and cash equivalents
At1
December
At30
November
Other
changes
2022
Cash flows
2023
Cash al bank and in hand
27,505
3,504
31,009
Total cash and cash equivalents
27,505
3,504
31,009
15 Operatlng lease commitments
Al the balance sheet dale, the charity had no financial commmilment under non-cancellable operating
lease5.
16 Legal status of thè charity
The charity is a company limited by guarantee and has no share capital. The liability ol each member in
thè Èvenl of wnding up is limited lo £1.
15

Power Praise & Oeliveran¢e Ministries Intemational Worshlp Contre
Notes to the financial statèments
Fortha yèar ended 30 NoVeM￿r 2023
17 a. Analy81$ of net assots be￿n funds- 2022 Iprior yearl
General
uftre5tricted
Re8trlcted Total fund8
Tangible fixed assets
Net current 8S8et8
7.012.036
53.932
7.012,036
53.932
Net assets at the end C+f tho year
7,065,968
7,065,968
b. Movements In funds.2021 Iprfjor yearl
Incoming
resources &
981ns
Outgoing
resources &
losse5
At the start
of the year
At Ihe ettd
of the year
Transf&
G•noral fund8
Total Unrestricted Funds
7,013,410
250.(N56
1197,5081
7,068,968
Ttstsl U￿￿trIC￿d fund8
7.013.410
250,066
1197,5081
7,065,968
Totsl fund$
7,013,410
250,066
1197.SO81
7,065,968
16