Charity registration number.. 1059661
Guiding Light Assembly
Annual Report and Financial Statements
for the Year Ended 31 December 2023

Guiding Light Assembly
Contents (continued)
Reference and Administrative Detsils
Trustees, Report
2to3
Statement of Trustees, Rcsponsibilities
Independent Examiner's Report
Statement of FinanciaI Activities
6t07
Balance Sheet
Notes to the Financial Statements
9t013

Guiding Light Assembly
Reference and Administrative Details
Trustees
Mr Joseph Adewale Adefarasin
Mr Ekundayo Runsewe
Mrs Dawn Heath¢r Ebanks
Mrs Susan Toyin Okolo
Mrs Olaolu Adefarasin
1059661
Charity Registration Number
PrincipAI orrice
l Longfield
Hemel Hempstead
Hertfordshire
HP3 8HN
Independen¢ ExamSner
Edgar M¢rrell Ltd
4 Meadow Gardens
Edgware
Middlesex
FL48 9LH
Page I

Guiding Light Asstmbly
Trustees, Report
The trustees present the annual report together with the flnancial statements of the charity for the year ended 31
December 2023.
Obj¢etives and activities
Publie beneJ7É
Offering public services of worship
Provision of foodbanks to publi¢
Contributing to the spiritual and moral edu¢alion of children
The trustees confirrn that they have complied with the requirements of section 17 of the Charities Act 2011 to have
due regard to the public benefit guidance published by the Charity Commission for England and Wales.
Aehievemenl$ find performance
In-person services were held every Sunday throughout the year. Prayer meetings, Bible studies, monthly men and
women's fellowship meetings, and Masterlife Discipleship, Experiencing God and Mind of Christ progr￿nme$ were
held on Zoom. A residential Easter retreat was held for church members and their familie5. Pastoral care and
outreach activities ¢onlinu¢d throughout the year. A barbecue community outreach was held at Vicroria Park. East
Finchley during the third quarter of the year. A 3-day prayer and fasting program for people, the ¢hurch and the
naiion was held at the end of each month. with an extended version between 28 November and 18 December. A
Crossover s¢rvice into the new year was held on 31 Decernber.
Financial revlew
The Charity's income represenis an in¢reasc of 20Yo compared to the previous year. The church remains reliant on
the consistent and generous liihes and offerings from members and general donors.
Expenditure includes an exceptional item required to adjust opening reserves. A like-for-like comparison againsr the
previous year shows that expenditure increased marginally by 20/0.
Policy on reserves
The Assembly adopts the practice of transferring all surplus funds from a current account to named project a¢counts
in order to meet any contingent needs. The trustees are also endeavouring to resource a designated Building Fund
Reserve, The purpose of this Reserve is to facilitate the plan and ambition of the Assembly to a¢quire its own
premises for worship and other social action initiAtives. A Building Fund account is held in an associated company
limited by guarantee, Guiding Light Assembly (GLA) UK. incorporated under registration number 07265137. As at
31 Deeember 2023. the balance on the Building Fund Reserve was £75,315 (2022 - £63,303).
Principalfundlng sources
The Constitution authorises the Assembly to receive in¢ome by way of donationsy gifts and grants, provided that it
does not undertake any permanent fundraising aclivities in raising funds for its primary objectives.
Investmentpollry and objecrives
The constitution authorises the investment of surplus monies not immediately required subject to conditions and
consent imposed or required by law.
Pag¢ 2

Guiding Light Assembly
Trustees, Report (eontlnued)
PIODS for future periods
Aims and keJD object4v￿/0Yf4l￿rep<NodS
To eonrinue ii'i¢h Cxisiing programmes
To souL'e oi%iJ Church premises either bl. aLqUlSltion or on a lon8 lease
To ￿ntinUe to develop ouireach programmes fc)r all age groups
Strueture• goverD#Dee and maDagemtDt
IVat4re ofgoverhihg documeni
Tlie C'hariti. is goi'emed b). consiiluiion. adopled on ?7 Jul> 1996. The Charitr). is constituled as an Unincor￿}ra(ed
aSS￿latio￿ and ilas regisrer¢d as a cli8rir)' on 9 December 1996. The Cliarits. is accrediied in the HMRC Gift Aid
schen?e.
Oryqnisarfondlstrmumre
The AssL'nibl)' 15 a L.hurch planl uf IhL' Guidin8 1,ighi ,IssL'mbl!'. NigLria. There 1.4 %oJn¢ lu'el of visiDnan' dnd
iiiinisln. oiL'rsi&l)i Ili*lt ioinLS Inini IhL hL'dd4iidfiLrs iii Nig¢Yia. .1 IIL
IrL' IMJlldbiLxi bi J Pilsl¢TrNI
ILJM. hL'adLd hi. IhL. liill tiin¥ 4Lnic)r I'a41<)r ii'lii) i¥ in Lhiifb¥ ol. n)Llll&tr%'. IL'aihiiib. rigul*ir %i'r%'iLLS. prJi'Lr i?leL'liiibS.
'I'hL' aiiiiutsl rLV(Iri uppnii-Lbd hi. Ili¥l Iru%lLL'% l?i-IhL Lh4ri11' 1)n Y Nill'L'rnhL'r ?11?4 and ¥ibJllLxI i)11 il¥ hihdll. hi,:
Mrs Susan I'01'in ok
Trustce

Guiding Light Assembly
Statement of Trustees, ResponsRbllitles
The trnstees are responsible for PTep2rin8 the irustee5' reIM)rt and ihe financial sta(emeiits in atcordanle ii.ith ihe
Uniied Kingdom .4ccounling Standards (Uniied Kingdom Generall). Accepted Accounttng Praciice) and appliLable
laii. and re4ulaiion$.
The laii. applicahle io chariries requires the mjsiees lo prepare financial slaiemenis for each linancial i'e8r ii'hich
gil'e a and fair i'irti. of ihe stale of aLTairs of the chariti. and of the ineo]ning resources and appliLation of
resources of the ¢harit%' for thai period. In preptsrin8 these finaAcia] slaiements. the tnjstees arc required io.-
select suilable accounling polieiey and ihen appl). them conSi￿cnI15':
obsm'e ihe meihods and principles in the Charities SORP..
make judgements and estiniaics that are reasonable and Prudent:
staic ii'heiher Applica61e accounting standards hai'e been folloii'ed, $ubject lo an). maierial departures disclosed
and explained in the financial sta￿￿ents.. and
prepare the linancial stoiements on the 8oin8 concern basis Iinless il is inappropri8le io presumc ihat the ch8fiE
Ivill Continue in business.
Th¢ lrnslecs aTL rcsrn)nsiblL' for kLepiiig propcr aLtountiiig record5 thai di5¢10s¢ 1i.iih rea5()nable accura¢). at aui.
iiniL ilie linttnLial positiL)n of IhL' ¢harii8- and ¢nabl¢ thLlll In ¢n.$urc rhdt Il)c fiiianLial $18lemL'nl% Lompl!. ii'trfi iliL
ChuritlL'% ALI ?a I l. th¥ Lhuriiio¥ IALL'()Llllly and RLrxiri&l RLbJuI Jij{)1is •UQ8. aii¢J ihL prL)i'i%ii?ns i?r IhL' Ll)n.%lllllliQn.
'hL' tru%1¥￿.5 urL ill%) n'%ponsihlc li)r bdliblvdrding IhL assLI.% t)I' IhL Lharil%' ui)d licniL li?r iakiiibi rLi1Soiiuhli %lLPS li?r
Approi'ed b>- Ilio tru%t¥x'y ()rtl)L Lharil). on g) Noi'cniber 2U24 ai)a si8llLd oli it& hL'half bi.:
Mrs Susan Toi'in Ok
Trustee

Guiding Light Assembly
Independent Examiner's Report to the trustees of Guiding Light knsembly
I report to the trustees on my examination of the accounts of Guiding Light Assembly for the year ended 31
December 2023.
Responsibilities and basis of report
As the charity trustees of Guiding Light Assembly you are responsible for the preparation of the accounts in
accordance with the requRrements of the Charities Act 2011 ('the Act.).
I report in respect of my examination of the Guiding Light Assembly's accounts Ca￿led out under section 145 of the
2011 Act and in carrying out my examination I have followed all the applicable Directions given by the Charity
Commission under section 145{5)(b) of the Act.
Independent ex&miner'$ statement
I have Completed my examination. I confirni that no malerial matters have come to my attention in connection with
the examination giving me cause to believe that in any material respect:
accounting records were not kept in respect of Guiding Light Assembly as required by section 130 of the Act;
or
2. the accounts do not accord with those records. or
3. the accounts do not comply with the accountin£ requirements concerning the fonl) and content of accounts set
out in the Charities (Accounts and Reports) Regulaiions 2008 other than any requirement that the accounts
give a 'true and fair view, which is not a matter considered as part of an independent examination.
I have no concerns and have come across no other matters in connection with the examtnation to which attention
should be drawn in this report in order to enable a proper und¢￿tandIng of the accounts to be reached.
Femi
idan, F
CA
Association of Chartered Ccrtified Accountants
4 Meadow Gardens
Edgware
Middlesex
HA8 9LH
9 November 2024
Page 5

Guiding Light Assembly
Statement of Financial ActivitAes for the Year Ended 31 December 2023
Unrestricted
funds
Restricted
funds
Total
2023
Note
Ineome and Endowments from:
Donations and legacies
Investhient incorne
Total income
129,648
212
129,648
212
129.860
Expenditure on:
Charitable activities
Other expenditure
Totat expenditure
Net ineome
Gross transfers between funds
Net movement in thnds
Reconciliation of fullds
Total funds brought forward
Total funds carried forward
129.860
(58.826}
(53,1341
I IL,960)
(58.826}
{53,134)
(IIL.960)
17.900
{12.012
17,900
12,012
5.888
12,012
17,900
19,907
63.303
83,210
25,795
Unrestricted
funds
75.315
Restricted
runds
101 110
Total
2022
Note
Income and Endowments from:
Donations and legacies
Investment income
108.460
29
108,460
29
Toial income
108,489
Expenditure on:
Raising funds
Charitable activities
108,489
(i)
(57,430)
(i)
57,430)
Total expendithre
Net income
Gross transfers between funds
Net movement in funds
Reconciliation of funds
Total funds brought forward
Total funds carried forward
57.431)
(57,431)
51,058
18,076)
51.058
18,076
32,982
18,076
51,058
13,075
45.227
32.152
19,907
63,303
83,210
The notes on pages 9 to 13 fonn an integraI part of these financial statements.
Page 6

Guiding Light Assembly
Statement of Financial Aetivities for the Year Ended 31 December 2023 (continued)
All of the charity's activities derive from continuing operations duTing the above two period5.
The fimds breakdown for 2022 is shown in not¢ 9.
The notes on pages 9 to 13 forni an integral part of these financial statements.
Page 7

Cuiding Llght Assembly
(ReglstratiOD number: 1059661)
Balance Sheet as at 31 December 2023
2023
Note
2022
Curr¢nt 4s$¢ts
Debtors
Cash ai bank &uJd in hand
63,303
?0.699
9.8?6
Creditors: Amovnts f*lling du¢ wlthin one year
Net 1155tts
10?,403
84.00?
?93
79?)
FuDdg of the eharlty:
Restrfeted
101.110
UDre%tri¢ted Ineome funds
UnrLslriLled
75.315
63.303
.1 ot41 fund
IY.907
1É3.?111
'I'lii finanLial blalLlnL'nl% iJn pabL% 6 til 13 11'LfL' 4PPT1lI'L￿ h) IliL' IruslL*'s. dulliiJri¥Ld li)r i￿￿UL l)n Y N(Jl LnihLr
?0?4 uiid %ibiliLLt i)11 IIiLir hihJll' bi,:
Mrs Susan To)'in
Trusi¢e
'rhc ni)IL4 i)n pagL* 9 io 13 forni an illlLorul Piirt ol-IhL%L' lin&nLial .¥￿t￿Mi1)Is.

Guiding Light Assembty
Notes to the Financial Statements for the Year Ended 31 December 2023
l Accounting policies
Ststement of compliance
The financial statements have been prepared in aceordance with the second edition of the Charities Statement of
Recommended Practice issued in October 2019, the Financial Reporting Standard applicable in the United Kingdom
and Republic of Irelatid (FRS 102) and the Charities Act 2011.
Basis of preparation
Guiding Light Assembly meets the definition of a public benefit entity under FRS 102. The accounts (financial
statements) have been prepared under the historical cost convention with items recognised at cost or transaction
value unless Otherwise stated in the relevant note(s) to Ihese accounts.
Gotng eoneern
The trustees consider that there are no material uncertainties about the charity's ability to Continue as a going
concern.
Income and endowments
Voluntary income including donations¥ gifts. legacies and grants that provide core funding or are of a general nature
is recognised when the charity has ¢ntitlement to the income. it is probable that the income will be re¢eived and the
amount can be measured with sufficient reliability.
Donolions and legacies
Donations and legacies are recognised on a receivable basis when receipt is probable and the amount can be reliably
measured.
Inv￿1￿￿nI Income
Dividends are recognised once the dividend has been declared and notificatton has been received of Ihe dividend
due.
Expenditure
Charitable activities
Charitable expenditure comprises those costs incurred by the charity in the delivery of its activities and services for
its beneficiaries. It fftttcludes both costs that can be allocated directly to such activities and those costs of an indirect
nature necessary to support them.
Grant ￿penditUre
Grants are made to Christian organisations and workers who are involved in advancing the Christsin faith.
Pag¢ 9

Guiding Light Assembly
Notes to the Financial Statements for the Year Ended 31 December 2023 (continued)
Support eosts
Support costs include central functions and have been allocated to activity cost categori¢5 on a basis consistent with
the use of resources, for example, allocating property costs by floor areas. or per capita. staff costs by the time spent
and other costs by their usage.
Govern4nce Costs
These include the ¢osts attributsble to the charlty's compliance with Constitutional and statutory requirements,
including audi¢ strategic management and tnjstees meetings and r¢imbuiBed expenses.
Taxation
The charity is considered lo pass the tests set out in Paragraph I Schedule 6 of the Finance Act 2010 and therefore it
meets the definition of a charitable company for UK corporalion tax purposes. Accordingly. the ¢hartty is potentially
exempt from t￿atIOn in respect of income or capital gains received within categories covered by Chapter 3 Part I
of the Corporation Tax Act 201 O or Section 256 of the T￿ation of Chargeable Gains Act 1992, to the extent that
such income or gains are applied exclusively to charitable purposes.
Tangible fixed assets
Individual fixed assets costing £300 or more are initially recorded at cosi l¢ss any subsequent accumulated
depre¢iaiion and subsequent accumulated impairn]ent losses.
Depreeiatlon and amortlSAtion
Depreciation is provided on tangible fixed assets so as to write off the cost or valuation, less any estimated residual
value, over their expected useful eeonomic life as follows..
Asset class
Coinputer Equipment
Depreeiation method and rate
Straight-line method over thre years
Trad¢ debtors
Trade debtors are amounts due from customers for merchandise sold or services perfornied in the ordinary ¢ourse of
business.
Trade debtors are recognised initially at the transa¢tion price. They are subsequently measured at amortised cost
using the effective interest method, less provision for impairn]ent. A provision for the impainn¢nt of iradc dcbtors is
established wheii thcrc is objective evidence that the charity will not be able to ¢ollecl all amounts due according to
the original temis of th¢ receivables.
Cash and cash equivalents
Cash and cash equivalents comprise cash on hand and call deposits, and other short-ternl highly liquid investments
that are readily convertible to a known amount of cash and are subject to an insignificant risk of change in value.
Page 10

Guiding Light Assembly
Notes to the Financial Statements for the Year Ended 31 December 2023 (continued)
Borrowings
Interest-bearing borrowings are initially recorded at fair value. net of transaction costs. Interest-bearing borrowings
are subsequently carried at amortised cost. with the difference between the proceeds. net of transaction costs, and the
amount due on redemption being recognised as a charge to the Statement of Financial Activities over the period of
the relevant borrowing.
Interest expense is r¢cognised on the basis of the effective interest method and is included in interest payable
similar charges.
Borrowings are classified as current liabilities unless the charity has an unconditional right to defer settlement of the
liabiliry for at least twelve months after the reporting date.
Fund structure
Unrestricted income funds are general funds that are available for use at the trustees discretion in furthet￿ce of the
obje¢tives of the charity.
Restri¢ted in¢ome fijnds are those donated for use in a particular area or for specific purposes. the use of which is
restricted to that area or purpose.
2 Income from donatfions and legAeies
Unr¢strieted
funds
General
Total
funds
Donations and legacics;
Gift aid reclaimed
Regular giving and capitsl donations
Total for2023
8,475
121.173
129,648
8,475
121.173
Tot41 for 2022
129,648
108.460
108,460
3 Investment income
Unrestrlcted
funds
General
Total
funds
Interest receivable and similar income:
Interest receivable on bank d¢posits
Total for 2023
212
212
212
Total for 2022
212
29
29
Pagell

Guiding Light Assembly
Notes to the Financial Statements for the Year Ended 31 December 2023 (continued)
4 Grgnt-making
Analysis of grant$
Grant$ to individuals
2023
2022
Analysis
Honordria
The support costs associated with grant-making are £Nil (31 December 2022 - £Nil),
1.390
1,390
S Stsff Cost8
The aggregate payroll costs were as follow5..
2023
2022
Staff eost$ during the year were:
Wages and salaries
27.525
30,614
No employee received emoluments of more than £60,000 during the year
6 Independent examiner's remuneratlon
2023
2022
Examination of the financial statements
420
420
Page 12

Guiding Light Assembly
Notes to the Financial Statements for the Year Ended 31 December 2023 (continued)
7 Taxation
The charity is a registered charity and is therefore exempt from taxation.
8 Cash and cash equivglents
2023
2022
Cash on hand
Cash at bank
225
9,601
225
20,474
9,826
20,699
9 Funds
Balance At I
J4nu4ry
2023
Balanee at
31
December
2023
Incoming
resources
Resources
expended
Transfers
General
19,907
129,860
Restricted funds
(111,960)
(12,012)
12,012
25.795
63,303
75,315
Total funds
83,210
129 860
111.960)
ioi,I10
Balance It I
January
2022
Bglan¢e at
31
Deeember
2022
Incoming
resources
Resources
expended
Transfers
General
13,075
(108,489)
Restricted
57.431
18,076
(19,907)
63.303)
45,227)
(18,076}
Total funds
(32,152
(108,489)
57,431
83,210)
Page 13

Guiding Light Assembly
Detailed Statement of Financial Activities for the Year Ended 31 December 2023
Total
2023
Totsl
2022
Incorne and Endowments from:
Donations and legacies {analysed below)
Investment income (anaiysed below)
Total income
129.648
212
108,460
29
Expenditure on:
Raising funds {an2lysed below)
Charitable aetivities {analysed below)
Other expenditttre (analysed below)
Total expenditure
Net income
129.860
108,489
(58.826)
{53,134)
111,960)
(57,430)
(57,431)
Net movemcnt in fjJnds
Reconciliation of funds
Total funds brought forward
Total funds ca￿1¢d fon¥ard
17.900
51.058
17,900
51.058
83,210
32.152
101.110
83,210
This page does not forn] part of the statutory financial statements.
Pag¢ 14

Guiding Light Assembly
Detailed Statement of Financial Activities for the Year Ended 31 December 2023
(continued)
Total
2023
Total
2022
Don(Uions and legacias
Committed giving
Gift Aid tax reclaimed
121,173
8.475
99,329
9.131
Jnvestmenl income
Interest on cash deposits
129,648
108,460
212
29
212
Raisingfunds
Sundry expenses
29
(i)
Charllable aclivilies
Grants payable - individuals
Wages and salaries
Staff NIC (Employers)
Insurance
T¢lephone and f&
Office expenses
Computer software and maintenance ¢osts
Charitable donations
Management charges payable
Motor expenses
Travel and subsistence
Accountancy fees
Bank charges
Indep¢ndent examinerfs fee
(5,271)
(27,525)
{928)
680
(6,012)
(8.925)
(4,141)
(1,550)
{1,730)
(3)
(890)
(1,942)
(169)
420
(3,300)
(30,614)
{1,105)
{976)
(5,089)
(7,149)
(3.562)
(634)
(2,779)
(1.640)
(162)
420)
Oiher £¥penditure
Exceptional administrative expenses
{58.826)
{57,430
{53,134)
This page does not forni part of the statutory finan¢ial statements.
Page 15