REGISTERED CHARITY NUMBER: 1068726
Ins
Irational Char15matlc Ch
House ol
rA
er
for

InR
Irational
harisma
ie
hureh
House of
raver
Contents of the Financial Statements
for the vear ended 31 De¢ember 2024
Page
Reference and Administrative Details
Report of the Trnste¢$
Independent Examiner's Report
Stitement of Financial Activities
B¥l4n¢e Sheet
ly0t￿ to the Financial Statements
7 to 12
DetAiled Ststement of Finaneial Aetivitie$
13 to 14

iTati08al Charisrnxtie Ch rch
Reference and Adrninistr*tive Details
for the
ear ended 31 December 2024
TRUSTEES
Revd. Seth Mensah
Alcx Tcinor
Nana Marfo Bonsu
Kwalxna O Bonsu
Ms Ern¢li4 Otyi-A¢h¢ampong
PRINCIPAL ADDRESS
171 HertfoTd Road
Edmonton
London
N9 7EP
REGISTERED CHARITY
NUMBER
1068726
INDEPENDENT EXAMINER
FTank Jay & Co
Chartered Certified Ac¢ountsTrts
89A Kingslllnd High Sttttt
Dalstors
E8 2PB
Page I

Ins
irational Charismatie Church
use of
rAver
rt of the Trust
ear ended 31 December 2024
fort
The tn￿te¢S presenr their report with the financial statements of the charity for the year ended 31 December 20?4. The
trustees have adopted Ihe provisions of Accounting and Rcporting by Charities: Statemeni of Recommended Practice
llpplicablc to charltiL￿ preparing their accounts in accordtsn¢e witli the Financial Rcportin8 Standard applicablc in ihc
UK and Republic of Ircland (FRS 102) (effective l January 2019}.
OBJECTIVES AND AcfiviTIES
Objectlves and alm$
The principal activities of ihc Chariry hav¢ b¢¢n:
a) To advance the Christian faith in accoTdgn¢c wirli tlic Siaiement of b¢li¢fs appc4ring in the SL"li¢dulc li¢r¢to in
London and in su¢h oilicr parts of the Unitcd Kingdom or ihe world as the Trust¢es mny from time to time think fit.
b) To relieve persons wlio orc in conditions of nLYd or hardship or who are 8g¥d or sick and io relicvc the dislrc55
Caused thereby in London and in such other pnns of the Unitcd Kingdom or th¢ world fjs thc Truslces may from tim¢ 10
time think fit.
c) To advance education in accordance with Cliristijn principle5 in London and in such other parts of the United
Kingdom or Ihe world the Trustees may from timc to lime think fit.
d) To promot¢ and fulfil 8uLli other choritsblc purpo¥es beneficial to the community in London and in 8ULh other parL8
of the Unil¢d Kingdom or the world as the TrustC¢s may from time to time think fil.
ACHIEVEMENT AND PERFORMANCE
Charltxble *ctlYltiei
The 8cncral attendance of th¢ MeMbe￿hIp of the church hus improved slightly 5in¢¢ the ￿Vid pandemic passed.
The charity continues ro a¢hi¢ve 8 slowly study growth in several areas of the church.
The charity also embarked on community servi¢¢ und outreach progvamrnes whereby food items were donai¢d 10
individuals und people in the loLal coinmunity.
FINANCIAL REVIEW
Flnoncial positlon
The charity Lontinues lo have o healthy financiol posilion: voluntary income in¢reased slightly by 0.7V/•. Over811, 111¢
tolol funds of the charity increllsed lo £1,913.289 os compared io £1,857,970 in ihe previous year.
Ruerves policy
The Charity aims to rdain sutTicient reserve equivaltni to A minimum of three monihs overhead committments of
£36,000. this reserves are held in liquid funds and this level of reseryes has been maiiitained during most of the period
in question.
Going eoneern
Based on the forecast and projections and perforniance of the cl￿rity, the Board ot Trusiees is of the opinion that ICC
(Hous¢ of Pray¢r) has adcquate r¢sourc¢s to continue in operntional exiytence for the fi)reseellble future.
STRUCTURE, GOVERIYANCE AND MANAGEMENT
Governlng do¢ument
The governing instructment of the charity is its adopted ¢onstitUlion (Twst deed) dated 12 Jinuary 1998.
Trustee are appointed by a8￿¢￿ent of a quorum of the currcnl trusteeb. The trustee8 meet llt leL8t 4 times in the year.
The day to day operation of the ¢harity is ¢onlrolled and managed by ihe Irust¢¢s.
Risk rnanAgement
Thi trusiees havc asscss¢d the major risks to whi¢h th¢ charity is exposed. in particular those ￿lating to th¢ operations
and fmancc of the charity and are satisfi¢d that systenis nnd controls are in plac¢ to rnitigatc th¢ir exposure to the mnjor
Pagc 2

Ins
irgtional Charismatic Chu
rt of the Trugte
eAr ended 31 December 2024
Approved by order of the board of trustee5 on
signed on its behalf by:
N8na lthfo Bonsu- Trnstee
Page 3

ndent Examiner's Re
rt to tbe Trustees of
lrntion21 Ch
ris
ie Chureh
House of
er
Ins
Independent examiner's report to the trnstees of ICC (House of prAyer)
I report to the charity trustees on rny examination of the accounts of ICC (House of prayer) (the Trust) for the year
ended 31 Decernb￿ 2024.
Responsibilities and basis of report
As the charity trustees of the Trust, you are responsible for the preparation of the accounts in accordance with the
requirements of the Charities Act 2011 (Ihe A¢V).
I report in resp¢¢t of my examination of the TN$f$ a¢¢ounts carried out under Seclion 145 of the Act and in carrying
out my examination I have followed all applicable Directions given by the Charity Commission under Seclion 145(5)(b)
of the Act.
Independent exAmlner'$ statement
Since your charity's gross incom¢ exceeded £250.OIX) your examiner must be a member of a listed body. I can confimi
that l am qualified to undertake the examinati(m because l am a member of the Association of Chartered Certified
Accountants, which is one of the listed bodies.
I have completed my examinaiion. I confinn that no maleriaj matters have come to my attention in ¢onne¢tion with the
examination giving rne cause to believe that in any material respect
a¢¢ounting records were not kept in respect of the Trust as required by Section 130 of the A¢t; or
the accounts do no¢ a¢¢ord with those records; or
the accounts do not comply with the applicable requirements concerning the forni and conlent of accounts set
out in the Chariti¢s (A¢¢ounts and Reports) Regulations 2008 other than any requirement that the accounts give
a true and fair view which is n¢X a matter considered as part of an independent exarnination.
I have no concerns and have come across no other maneTS in connection with the examination to which attention should
be drawn in this report in order to enable a proper understsnding of th¢ a¢¢ounts io be reached.
Margaret Banwell(FCCA, MBA)
Frdnk Jay & Co
Chartered Certified A¢¢ountants
89A Kingsland High Street
Dalston
London
E8 2PB
Page 4

rnver
St*itment of Fin#oci*l Aetivitl
for the
ear ended 31 December 2024
31.12.24
Unrestricted
funds
31.12.23
Totsl
Note5
INCOME AND ENDOWMENTS FROM
Donations and legncie5
435,9?3
432.582
Inv¢slment income
Totil
439 057
435 4?7
EXPENDITURE ON
C'haritable aellvilles
Cost of cliurch adiviti¢s and ministri¢8
Support costs
Governance costs
321.90?
?.953
322.709
2,829
Tot41
383 738
385 517
NET INCOME
55.319
49.910
RECONCILIATION OF FUNDS
Tothl funds broughi fonvard
1.857,970
1.808,060
TOTAL FUNDS CARRIED FORWARD
1913 289
1857.970
The notes forni part of tt￿8¢ financial ststements

Ins
Iration
I Charismatic Chur¢h
House or
er
Balance Sheet
l December 2
24
31.12.24
Ilnre%trieted
fund$
31.12.23
Total
fund
Notes
FIXED ASSETS
Tangible assets
1,380.713
1,379.216
CURRENT ASSETS
Debtors
Cush at bank and in hand
io
28,601
18,312
461.937
542.004
480,249
CREDITORS
Amounts falling duc within one year
{9,428)
(1.495)
NET CIIRRENT ASSETS
532 576
478 754
TOTAL ASSETS LESS CURRENT
LIABILITIES
1,913,289
1.857.970
NET ASSETS
1913 289
1.857 970
FUNDS
Unr¢stri¢ted funds:
General fund
12
913289
1857,970
TOTAL FUNDS
1913.289
1.857 970
The financial statements were opproved by the Board of Trugiees and authorised for i88ue on
i...a.. lokl.,.
were signed on its behalf by..
Nana Marfo Bonsu - Trustee (Choir)
George K Defor- Treasurer
Th¢ notes forni part of ihcsc financial statements
Page 6

irational Chirismltic Church
House of
er
Note5 to the Financial Ststements
rthc
"ear ended 31 December 2024
ACCoU￿1NG POLICIES
Basis of preparing the fmanciAI ststements
The fmancial statcments of the charity, which is a publi¢ benefit entity under FRS 102, have bcen prL¥ared in
accordance with the Charities SORP {FRS 10?) 'A￿Ounting and Reporting by Charities: Stalemcnt of
Recommended Practice applicabl¢ to ¢h•rities preparing th¢ir a￿O￿nts in accordance with the Financial
Reporting Standard applicoble in the UK ttnd R¢public of IT¢lgnd {FRS 102) (effective l January 2019),.
Financial Reponing Stsndard 102 The Financial RepoTling Standard applicable IT) the UK and Rcpublic of
Ireland. and the Charities Act 2011. The financial siatcmcnts have been pr¢pared und¢r th¢ histori¢al cosi
convention.
Ineoming resourc
All income is recosnised in the Statement of Finaneial Ac¢ivitics once the charity has cntiilemcnt kn the funds, il
is probable that the incornc will bc received and Ihe amouni can be measured reliably.
Voluntary incorn¢ is nxeivcd by way of donation& offering and lithe and is accounied for in the sialcrnenl of
finaacial o¢tiviti¢s on receivable basis.
Donations under Gifi Aid plus •&*ociated tax reeovery are rtto8nised as income when the donation is received.
Resource expanded
Liabilities are re¢ognised AS expenditure as soon as there is a legal or constNLtive obligation committing the
chority to that expendlture, it is pTobDble thai a ts#nsfcr of economic bcncfits will Ix requircd in settlemcnt nnd
th¢ amount of the obligalion can Ix measured reliably. Expendirur¢ is accounted for on an accruals basis Rnd has
b¢en classificd undcr hcadings that aggrcgate all cost rclaied to the caicgory. Where cosls cannot bc dirccrly
attributed to particular headings they have been allo¢ated io activities on a basis ¢onsist¢ni wjth the use of
resources.
Governance costs rcprescnls direct expenditure on the 8ovemance of the church, includin8 the production and
independcnt SL'ruliny of these financial SLqtements.
Support costs are thos¢ ¢osts in¢uTrrd indirectly in sUpi￿rt of exwditure on the objectives of the Charity.
Tanglble fixed assets
D¢pre¢iation is provided at the following annual rntes in ordcr to Write off eaeh osset over its estimated useful
life.
Frtthold property
Plant and m4L.hincry
Molor vehi¥l
in accordance with the prowty
15Vo on cost
75% on cost
Taxatlon
The ¢haTity is ￿eMPt from tax on its ¢haritable ￿lIVI¢1¢$.
Fund Ydeconntlng
Unr¢strictcd funds can ￿ used in accordance with the chorithblc objectives at the discretion of the trustees
Restriclcd funds can only bc used for panicular rcstricied putposes within the objects of the cliarity.
Restrictions arisc when specified by the donor or when funds arc raised for panicular rcstricted puq)OS￿.
Further explanation of the nature and purpose of each fund is included in the notes to the financial slatemenis.
The Charity had no restri¢tcd funds in the current or previous year.
Hire purchxs¢ And leasing commilments
Rentals paid under operating leases a￿ charged io the Statement of Finthncial Activitics on a straAght line basis
over the period of the lease.
Page 7
continued...

Ins
iration
I ChAri$matic Church
House of
rgver
Notes to the Flnancial Statements- continued
ear ended 31 December 2024
ACCOUNTING POLICIES- Continue
Pen5iOll Costs and other p05t-retiremenl benefits
The choriry operates a dcfincd contribuiion pension 5ch¢mc. Conlnl)utions payable ￿ the chatity's pension
scheme are cha￿ed to the Ststement of Financial Activities in the period to which thcy r¢lai&
DONATIONS AND LEGACIES
31.12.24
31.12.23
otTering8
Donations and tithes
Gift aid
Harlow branch income
Northampton branch income
Luton branch income
45.180
137,286
62.380
40.159
25.339
125 579
47,325
135,4?0
57,6%2
42.64)
30280
119?60
435 923
43?.582
INVESTMEwf INCOME
31.12.24
31.12.23
Rents received
Deposii a¢count inteTe5t
1.500
1,500
1.345
3,134
2,845
CHARITABLE ACTIVITIES C.OSTS
Support
costs (Ke
note 5)
Direct
Costs
To181s
Cost ofchurch activities and ministries
Support costs
Gov¢rnance ¢osts
321.902
321.90?
?.953
58.883
2.953
61.836
383 738
SUPPORT COSTS
GovernAnce
costs
inanee
Totals
Support costs
Governance costs
2.953
2.9.$3
58,883
61.836
Page 8
Continued...

matie Church
ouse of
raver
Notes to the Fin¥n¢i81 Statements - eontioued
for the
ear ended 31 December 2024
TRUSTEES, REMUNERATION AND BENEFITS
There w¢re no trustees, rcmuneration or other benefits for the year ended 31 December 20?4 nor for the year
cnded 31 December 2023.
Trustees. expel
There were no trusiees, exFenses paid for the year ended 31 De¢emb¢r 20?4 nor for th¢ year ended
31 Dccernber 2023.
STAFF cosrs
31.12.24
31.1123
Wages and salaries
Other pension costs
57.283
58,347
58.483
The avernge monthly numb￿ of employees during the year wos as follow5."
31.12.24
31.12.23
Pastoral
No employces received emoluments in excess Of£￿,0￿.
COhlPARATIVES FOR THE STATEMEYT OF FINAIYCIAL A￿1vITIEs
Unrestricted
funds.
INCOME AND ENDOWMENTS FROM
Donation5 and1¢8acies
432.582
Invesknent income
Total
435 4?7
EXPENDITURE ON
Charitable activities
Cost of church activiries and ministries
Support L￿￿ts
Gov¢rnancc costs
322.709
2.829
59.979
Tolgl
385 517
YET INCOME
49,910
RECONCILIATIOF4 OF FUNDS
Totsl funds br(wght forward
1.808,060
TOTAL FUNDS CARRIED FORWARD
1,857.970
continud..

irntional Charismxtie
hurth
ver
Notes to the Financlal Statements- eontlnved
for the
ear ended 31 Deeember 2024
TANGIBLE FIXED ASSETS
Freehold
property
Plant and
m*¢hinery
Motor
vehicl
Totals
COST
At l January 2024
Addiiions
1.471.791
211.655
20.791
21.050
1,704.496
At I I D￿ernber 2024
1.471791
232.446
1.725
?1.050 ￿87
DEPRECIATION
At l January 2024
Charge for year
117.755
8J44
186.475
21,050
325 ?80
19.294
At 31 December 2024
126.099
197425
344.574
NET Book VALIIE
At 31 tk¢emb¢r 2024
1.345 692
1380,713
At 31 December 2023
1.354 036
25.180
1.379
10. DEBTORS: AMOIINTS FALLING DUE WITHIN ONE YEAR
31.1124
31.12.23
Members soft loans
A¢crned I￿orne
Prepayments
6,700
4.200
1,500
1?.612
21,901
CREDrroiLS: AMOUNTS FALLING DIIE WITHIN ONE YEAR
31.12.24
3l.1123
Trade credilors
Taxation and so¢ial stturiry
Other creditors
457
238
800
2?8
1200
12.
MOVEMENT IN FUNDS
Net
movement
in funds
At
31.12.24
At 1.1.24
ilnrestrietrd funds
General fvnd
1.857.970
55.319
1,913.289
TOTAL FUNDS
1.857 970
55.319
913.289
Page 10
contiiiued..

Charismatic Church
House or
rnver
Not to the Finaneial Statements- tontinued
for the ear ended 31 December 2024
12.
MOVEMENT IN FUNDS- conlinued
Net movement in fiuth. in¢knd¢d in Ihc abo￿ as follows:
IneomiDg
Relollrees
expended
Movement
in funds
Unrestricted fllnds
General fund
439.057
(383.738)
55J19
TOTAL FUNDS
439.057
383.738)
55J19
CoTnP2ratives for movement ill fnnds
movement
in ffund5
At
31.12.23
At 1.123
Unrestricted funds
Generd fvnd
1.808.060
49,910
1.857970
TOTAL FUNDS
1857.970
Comparatis'c nct Movement in fund4 i￿luded in the above ate as follows."
Incoming
Resourees Movement
expended
IR funds
Unrestrirted funds
Genernl fund
435.427
(385517)
49,910
TOTAL FUNDS
435.427
385
49
17) alo
A ￿[rent Y￿ l ? montbs 8nd Prior year 12 months combined posilion is as follows:
Net
movement
in fund$
At
31.12.24
At 1.123
Unrestrieted funds
General fund
1.808.060
105.229
1.913289
TOTAL FUNDS
1,808,060
105 ?a9
1.913 289
Pagell
continu￿...

to the Financial Statements- ¢ontin
for the
eAr ended 31 December 2024
12.
MOVEMENT IN FIINDS - continued
A curr¢nt y¢or 12 months and prior y¢4r 12 months ¢ombined n¢r movement in funds, included in the above are
s follows:
In¢oming
resouree8
Resoure¢s
expended
Movement
In funds
UnrestrEcted funds
General fund
874,484
(769,255)
105.229
TOTAL FUNDS
769.255
105
874.484 ￿ a29
13. RELATED PARTY DISCLOSURES
The￿ were no related party trnns8¢tions for th¢ year ¢nded 31 December 2024.
Page 12

Ins
irationAI Charism
Church
House of
er
iled Ststement of Fin•D¢ial Activities
for the
ear ended 31 December 2024
31.12.24
31.12.23
IYCOME AND EIYDOWMENrs
Donations and legacies
Offerings
Donations and tithes
Gift aid
Hnrlow branch income
Northampton branch tncorne
Luton branch income
45.180
137,286
62.380
40.159
25.339
125,579
47.325
135.4?0
57.6%2
42.645
30.280
119?60
435.993
43?.582
Investment ineomt
Rents received
Deposit a¢¢ount int¢resl
1,5
1.634
1.500
Totsl Incomlrtg resources
439,057
435.427
EXPENDITURE
Churltable Aellvltles
Sccurity cosls
Repair3 and Mainl￿ance
Rates and water
Insurnnce
Lighi and heat
Tclcphone
Po%lagc and stationery
Donation and welfare
Cl¢aning and decoralion
Children's and Youih ministy
Ghana brnnch costs
Harlow branch costs
Luion branch costs
Ministry and outreach
Northampton brnn¢h ¢osts
Wornen's ministry costs
uipnicnt expensed
D¢pr¢¢intion of langible f￿ed assets
480
6.960
2,659
1.966
3,852
3.166
,659
28.131
,342
9.239
51.458
45.2011
83,719
36.374
22,369
4.000
.397
18.73
3.883
2,838
2,174
7.316
3,408
2.917
38.571
712
6,763
28,636
40.505
88.182
50.730
21,859
4,000
19.294
321,902
322,709
Support costs
Finance
Bank char8¢S
?.953
2.829
Governance costs
WDges
Carried fotivard
57,283
57.283
58,347
58.347
This p]ge does not form part of the statulory financiAI staiements
Page 13

tional Charismatie Church
House of
Detsli ed Ststement of Finyncial Activitie5
for the
ear ended 31 Deeember 2024
31.12.24
31.12.23
Governance eosts
Brought fonvard
Pcn5ions
Examinerfs fee
57.283
1.200
400
58,347
1.232
58.883
59.979
Total resourc¢s expended
383.738
385.517
Nrf income
49.910
This ptsge does not forni part of the stamtory fitkgncial staiemcnts
Page14