House On The Rock International Church {Bermondsey)
TRUSTEES REPORTFOR THE YEAR ENDED 31ST DECEMBER 2023.
Introductlon:
The Trustees present thelr annual report and accounts for the year ended 315t
December 2023. The board of trustees are sat15fied with the performance of the
church during the year and the position as of 31# December 2023 and conslder
that the church is In a strong positlon to continue to fulfil Its obligations.
Reference and Adminlstrative Inforniation:
CHARrrY NUMBER
1078085
TRUSTEES AT 319f DECEMBER 2020 Rev Irene O. Oyebade
Rev Tunde Ogedengbe
Pastor Margaret Bankole
Mlnister Gbemisola A. Odusanwo
Pastor Gldeon Odartey Lamptey
Mr Peter Beckley
BOARD'S SECRETARY
Mr. James Odogwu-okonyia
Revd. Irene O. Oyebade
SENIOR PASTOR
GOVERNING DOCUMENT
Declaratlon of Trust Deed dated 7th July
1999 and the supplement deed date
15th October 1999.
OBJEcrs
(a) The Advan￿rnent of Christianlty
and (b) The Relief of Need; Hardshlp.
Distress; Age or Sickness.
LEGAL FORM
A Charltable Trust - An Unlncorporated
Charity.
CORRESPONDENCE ADDRESS
Block B, Suite BIO2.
The Biscult Factory Business Complex
DNmmond Road, Bermondsey,
London SE16 4DG.
.BANKERS
Bank of Scotland,
600 George Road,
Edinburgh, EHII 3XP.
TSB PLC
76 Rye Lon¢, P￿kbarn,
IA)ndoll, SEI 5 5DQ
AUDrroRS
Christ Atklns Services Ltd.
Office 310, Ac￿sS Self Storage
Unit l Merldian Trading Estate
20 Bugby's Way
London SE7 75F.

STRucfuRE. GOVERNANCE AND MANAGEMENT
The Trustees of House On The Rock Internatlonal Church-HOTRIC (Bermondsey),
have the pleasure in submitting thelr annual report together with their financial
accounts for the year ended 31st December 2023.
Objects of the Charlty:
The Church was registered on 51h November 1999 under the Governlng Document
Declardtlon of Trusl dated 7tr July 1999 as amended by supplement deed dated
15th October 1999 and registered wlth Charity number 1078085. The princlpal
objectives of the Church as set out In the Declaration of Trust are as follows:
(a) The Advancement of the Chdstian Falth in the United Kingdom and
Abroad.
(b) The Rellef of persons who are In conditlons of Need. Hardship or Distress
or who are aged or sick In the United Klngdom and Abroad.
The prlncipal artivities of the Church are Christlan Worshlp To worshlp God
Almighty as a unlted famlly coupled viith the involvement of various minlsters and
ministrles of falth propagating the Christian Tenets to members and non-members
i.e. to encourage personal growth through Christian teaching and training, To
achleve these objectives, the Church was Involved and engaged in Christian
Outreach progrdmmes speclfically designed to increase Chrlstian awareness and
spread the Gospel of Our Lord Jesus Christ in and around Bermondsey, Rothertilthe
and In the London Borough of Southwark in general.
The Church operdte5 a "Home Group" struthre. Home Group leaders have been.
effectively trained and appointed to ove￿ee and nurture groups of people who
meet weekly to worshipi pray, play, share life experlences and bless each other in
varlous approved homes of members of the Church In and around London Clty.
These home groups are easlly accessible to members and non-members alike, In
ad(iitlon to providing a spiritual support structure for people within and/or on the
perlphery of the Church. The Church congregations meet for regular Celebrations
Servlces on Sundays and on Fridays for prayers for our community, and the entire
nation. These meetings are usually held at Haddon Hall Baptlst Church, London and
at The City of London Academy, Bem)ondsey. In addition to these meetlngs, the
Church parUclpates in varlous Inter-church gathedngs In and around Berniondsey
and Rotherhlthe on a regular basis. HOTRIC benefits the publlc by currently
provlding the followlng servlces which are available to everyone in the communlty
Career Counselling; Character Development; Educatlonal Counselling; Pre-
marital Counselllng i and Drop-In Counselllngi Hospital Vislts. Welfare provlsion;
Prayer Support; Men's and Women's meetlngs and Youth meetings. Our AWARD
WINNING Hotric Charity Shop, which was awarded "THE
NORARY
ERTY
E NEI
HBOU
OD
FTH
LD
TROP
LIT
BOR
RMONDS
provides dothes and shoe5 as well as food bank to the publlc.
These activities of the Church a￿ generously supported by voluntary donations of
time, energy, resources and money from Church members in response to the
prlnciples of faith and prayer.. HOTRIC fulfils its vlslon with the help of many
volunteers withln and outslde of the Church who have been very generous Wlth
their resource& In respect of all these varlous activities and servlces that we
carefully carried out during the financial year of 2023, the Trustees hereby confirm
that they had properly paid due regard to gUIdan￿ Issued by the Charity
Commisslon on publlc benefit.

Revlew of Actlvities:
The Trustees are pleased to report that the Church continued to be successful by
mlnlstering to many people froffl different nationalitles. As a result of this contlnued
growth, thls has brought increase In membership, stewardship and maturity In faith
as the Church has taught, trained and developed various people Into the posltions
of responsibllltles and leadershlp. The maln ways the Church achieve tts objectlves
are as follows:
/ Brlnglng the love of Chrlst to the community in runnlng the Friday's School
of Ministry for those who wanted to find out about Christlanity and Christlan
Ilvlng. About 130 people attend these schools every Frtday nlght even when
we had to adapt the usage of Z¢)om because of the pandemic.
O Running a local Charity and Drop-in Centre for the local people the public In
general Various indlvlduals are catered for by way of subsidised pr￿￿ of
quallty clothes and shoe5 sales, frequent supply of free drFnks and snacks
to interested individuals.
O Various Youth meetings and conferenc&8 were held In and outside the
Church by In-house Pastors and Anointed Guest Mlnlsters.
O Opening of new homes across the crty for home group fe[lov￿hIpS and.
O The establishment of Food Bank Systems In Bermondsey. Various
Indivlduals and families are catered for wlth free distributlon of food, drinks
and materials In the local communities.
Flnanclal Revlew:
In flnanclal temis, HOTrtC Is in good Shape and is self-sufficient due to the
sacrificial support of Its members. Our total income a5 a Church from all resources
was approximately £280,170 for the year 2023 (£324,525 - 2022) and most of
this was expended during the year a5 indlcated in the attached financlal accounts.
HOTRIC management have continued to Implement a robust budgetary control and
monitorlng of c05ts to deliver a balanced budget In the future.
FUTURE DEVELOPMENTS
The church wlll contlnue to focus on Its activitles to meet the set objectives and In
reaching young people at our local communltles wlth the Gospel of Our Lord and
Saviour Jesus Christ.
RESERVE POLICY
The Trustees have carefully examined the Church's requirements for réserves
considering the main risks to the church. It has established that a policy whereby
the unrestrlcted fiJnds not committed or invested in tangible fixed assets be held
by the church should be between two {2) to four (4) months of the expenditure.
It is then the pollcy of the church to maintain unrestrlcted ftjnds which are the free
reserves at a level that equates to appropriate two-three month's unrestricted
expenditure. This provides sufficient ￿ndS to cover the management,
administration and support costs and to effectively respond to emergencies that
may arlse from tlme to time. Unrestricted fund was adequately malntained at this
level throughout the year.
RISK MANAGEMENT POLICY

The Trustees have carefully examined the major strategic, business and operational
sks that the church faces and confirm that appropriate systems and structures
have been established to enable regular reports to be produced so that the
￿e￿ssary steps can be taken to lessen these risks. All major Insurable risks are
subject to normal Churches and Employers, Insurance. Contractual rlsks insurances
are reviewed before being entered into to assess that they could not slgnificantly
Impact upon the church's abllity to fulfil its objectives. An annual revlew of all areas
of risks Is undertaken by the Trustees In conjunction wlth the staff and volunteers
responsible for the area of activity.
REVIEW OF FINANCIAL posrrIoN
Glvlng and other charitable Income was affected due to congregatlons, varlous
reasons In which the state of the natlonal economy was one. Please refer to pages
3 to 11 for the full detalls of the financial statements for the year to 31st De￿mber
2023 of whlch this report has been prepared.
TRusfEES' RESPONSIBILrrIES
The Charlty Act requires as the trustees to prepare the flnancial statement for each
financlal year which glve a true and fair vlew of the state of the Trust and of Its
Income and expenditure for that period. In preparing those financial statements,
the trustees are required to:
Select sultable accounting pollcies and apply them conslstently.
Make judgements and estlmates that are reasonable and prudent.
Prepare flnancial statements on a golng concern basls unless It Is
Inapproprlate to presume that the trust wlll continue in buslness and.
State whether the applicable accounting standards have been followed,
subject to any material departure dlsclosed and explalned in the accounts.
We, as the Trustees are responsible for keeping proper accounting records whlch
disclose with reasonable accuracy at any time the financial posttlon of the Church.
We are also responsible for safeguarding of the assets of the church and hence for
taking reasonable steps for the prevention and detection of fraud and other
irregularltles. We, as the Twstees conflnn that the accounts comply wlth current
requirements of the Charity Act 2011 and those of the Charity's Trust Deed.
BOARD OF TRusfEES
The members of the Board during the year were as follows:
(l) Reverend Irene O. Oyebade.
(2) Reverend Tunde Ogedengbe
(3) Pastor Margaret Bankole
{4) Minister Gbemisola A. Odusanwo.
(5) Pastor Gldeon O LAmptey.
(6) Mr Peter Beckley
APPROVAL
Thls report wa5 approved by the Trustees on Monday, 30th September 2024 and
slgned on behalf of the Twstees by Reverend Irene O. Oyebade.
Dated: 30th September 2024

Charity number. 1078085
HOUSE ON THE ROCK INTERNATIONAL CHURCH
Report of thè Trustees and Unaudited Financial Staternents
For Ihe year ended 31 December 2023

HOUSE ON THE ROCK INTERNATIONAL CHURCH
Contents Page
For th8 year ended 31 December 2023
tr￿&pe￿I E¥AmlWs Ropc*t io th• Tn￿te8&
Statementof Fkwn¢ig1 Adp•i
statem8nt cl Financial P
Notes to th& Fin8nc¥al Stat8ments
5t09
Detai18d stster1￿1OfFM￿aI AdlvK
10t011

HOUSE ON THE ROCK INTERNATIONAL CHURCH
Retxxt ofthe Trustees
Forthe year ended 31 De￿￿bor 2023
The Tru8t8es havg pkn￿re presgntivJ thelr rem and th8 statern￿ts for th8 r*kslty for the yw endBd 31
Docembar 2023. Th8 Trusta8s have adopbj the rm[$￿ of Ac¢ryJntit¥J and Reporting ty Charittgs: Slalemsnl of
Rocornmandsd Pra¢tlo applieab18 to chaiibes weparing Iheir ac(oJnts in a(tthants Iwth the Fina￿81 Reportlng Stsrsdard
appll¢able in the UK and the Republic Df Ireland IFRS 10211gts*ive 1 jar￿ary 20191.
OBJECTIVES AND ACTMTIES
statement on publlc bOn￿t
Thg trust8e8 have the Chwlty Cc4nmislon's 0￿Janta bgnefil InthdlTrJ 1he gLthnce 'publc benefrt..
running a tharity IP821'.
FINANCIAL REVIEW
Thg net daficlt for the year amuThled to £46725.13. Is to g8n8r81 reseryes ofth8 charfty.
REFERENCE AND ADWMISTrATIVE INFORMAnoN
Namt of Charfty
Chartty r•gl$tratlon nurnb•r
Pr]n¢lJal )ddro1S
HOUSE ON THE R￿K INTERNAm¢M CHURCH
107ei)85
BL￿K B. SUITE B102
Biscuif FACTORY BUSNESS COMPLEX.
DRUMMOND ROAD
LONDChY
SE16 4DG
T￿￿te¢S
Tho frusta88 8NJ offlcars semng duriThJ th8 yw Sir￿ th& y4r S￿[e as 10kn￿".
Mlnistw Gbemkn)la A (klusaTr*o
P8skY Gidwn Lamptey
Rev Irene O. (tyeL*
Mr P8tw Be
Pastc( Margarnt BaAkdB .
secrntary
lThJep8ndenl ¢xamlner
CHRISATKINS SERVICES ONE UMtrED
oFF￿E 310. ACCESS SELF STOFWGE
UNrr 1, MERIDIAN TRADLNG ESTATE
20, BUGBYS WAY
LONtK)N
SE7 75F
Approv￿ by the Bowd olTrustees and sNJn8d *8 ￿hairbY
Pa8tor Gideon Lampt8y
1 of11

HOUSE ON THE ROCK INTERNATIONAL CHURCH
Independent Examiners Report to the Trustees
For the year ended 31 December 2023
I rgport to the bwstees on my examlnatTon oftr* rAthg thartyts the Yearery1￿ 31 DeceTht*r2023.
RespDnslblllUe8 and ba51s ol report
As th8 charity trustees, you are re8pThTrAe for Iho FYepN4rBt[￿ of th8 accounts wth the r8qulrgmorrts of
Chwth98 Ac120111'lhe 2011 Act'i.
report Iti respect of tny exarnination ol the ¢hariV8 a(￿Ints ujt $octw)n 145 of th8 2011 Act &nd In r£rylng
out my eX￿)Ination I havo follth¥ed all Ihe app￿cab￿ Dr8Ctk)ns g￿n by Charfty CorThnw40n urNJEf seCt￿n 14515llbl of
Indep8ndant 8xamln8r8 slatsM￿t
sIn￿ the Charitys gross Inc¢)me exceeded £250,(M)O. 8xamngr must be a member of a boty Ilsted In sedlon 145of the
2011 Art. I confim thal l arn qualhed to uThlertake the 8xaminalkn by vvtU8 of my membership of Ihe I￿tIlUt￿ of Flnancial
Accountan( *th1th18 rm of the listed bod8S.
I have completed my 8xamination. I confrm thal Th) matters ct¥nèto nryatt8ntiL￿ tn rthn8CtK)n Mth th8 8xamlnallt
gI￿ng mg causa to balava that In any rnat8rid resp8rA'.
1. accounting records were not kept in respect of the Charity 89 rw4uir￿I by 80c1Tr￿ 130 of the 2011 Art or
2. th8 accounts do not ai)xJrd with th0￿ records: or
3. thè accounts do not with the 8pplcabb wuIreM￿lS form a￿d content ofacLY)unts setout in Ihe
Gharill&s IAc¢wnls arKI Reports} Regulations 2CN)8 0th8r than any req1￿￿ment that the a1￿JJnts gNe a Irub and faér vlo
whlch 1$ not a matter a5 part of an itvJepend0rit examina1￿.
I have no eort8rrw aThl have corng across rooth8r mattW8 In *ith 1he exam1￿tsl￿ to 8ttention slKyJk4 bg
drawn In this roport in Ofdsr lo a FXW8r u￿1￿Sta[￿lkng olthe a￿t￿nts1O be reached.
Chris Atkins Services One Limited
CHRIS ATKINS SERVICES ONE LiMrrED
OFFICE 310. ACCESS SELF STORAGE
UNIT 1, MER1D￿N TRADING ESTATE
20. BUGBY'S WAY
LONDON
SE7 78F
26 September 2￿24
2of11

HOUSE ON THE ROCK INTERNATIONAL CHURCH
Statement of Finanpial Adivtties
For the year ended 31 December 2023
Unr•slrl¢t¢d
J8
2022
and endowments from:
Donations and kgaoe5
Charitabb &UvlUes
EVANGELISM
Investments
Bank int8r85t receivAN*
218.687
260,748
62.714
63,546
769
138
Total
280.170
324.432
Exp6ndlturg on:
ChaAtab18 actl￿tIeS
EVANGELISM
1326,8951
132e,895)
{312,1121
1312.1121
Total
N•t In¢om•l•xp•n¢ltur•
Reconclllaifon of funds
Total funds br(KJghl ￿[d
Total funds carrl8d forward
146.7251
12.320
121,070
74,345
108,750
121,070
3of11

HOUSE ON THE ROCK INTERNATIONAL CHURCH
Statement of Finarrial Posltk)n
As al 31 December 2023
2023
2022
Flxèd a$5ets
Tangibb assets
11
4.473
4,473
Curr•nt as$•ts
Cash at bank ar•J In hmnd
76.945
78,945
(7,0731
124,637
124,63T
13.5671
Cr8dttor8: amounts I￿lIng du•￿￿thIn onth y
12
Not current assets
69.872
74345
121,070
121.Q70
Yotsl as$•ts Iw cuYr¢nt Ilabllrths
Net a880ts
74,345
121,070
Th• funds olth• ¢harlty
Unrest￿Cted *)c4xne fvnds
13
74.345
121,070
121,070
To¢al funds
74345
Th&fin
ndal 5taternellts wer? aFyrDbYd and auti￿riSed B￿nI a¥J ￿gn￿l on its b8h81fby:
Mini81gr GberfflK8(Aa A. O¢lu$an
Trust99
26 September 2024
4rA11

HOUSE ON THE ROCK INTERNATIONAL CHURCH
Notes to Ihe Financial Staten)ents
For the year ended 31 December 2023
1. A¢¢ountlno Pollcles
a$ls L)f a¢¢ountlno
The flnanclal $talomaTts h8v8 been trywed ￿)d￿the hiBtor*xl cost c￿￿th, In¥e8trr￿ts whkh are
inthd8d Èl market value aThJ the rewdluation of ¢8rtth flx*J assets arNI irb acLwlan¢owith the Charits8 SORP IFRS
1021'A(tounll￿ and Rep￿tiTh3 by Charhi8s'. Statement of Re¢Offwr￿¥jed Practice applicatle io chtrits88 preparing thglr
acrx)unts In aeKordan¢* w(th the Fina￿81 Rewling Slarthrd apFdthtAe in th8 UK and R4>ubk'c of I[P￿nd IFRS 1021
18ffectW8 1 J8nuary 2D19y. Flnandal Rep￿ Stsrnlard 102 ts ￿nar¥￿al Rewxliw Slandard appl¢ab￿ In the UK and
Republic of Ireland IFRS 102). and the Q)arltl85 2011.
HOUSE ON THE ROCK INTERNATIOW CHURCH maets the d8fiNknn of a wblG bPT￿ enty under FRS 102.
Assets and1[￿lI￿e5 ale in￿81￿ recognl8ed at hlstorknl Ly)st￿ traJw￿ vathje unless othe￿$tr stated In thg
a¢(￿nIng pr41cy rnts(sl.
Golng concwn
The ablllty oflh& Charity to caryon Its acmegknlhè lore¥e8th futtjre 1$ ￿*1 threatened after
Managerrtnl.
In¢omlnll roMurco9
AJI ItKoming res￿rE&S we Induded In the Stat￿Of finan￿￿ vAkn the Clwrity l¥ entiw to the Irwxjmo and
Ihe amount can be ¢wantiled r8asonatAg awacy. ThefLkn*ty 8pedffc [¢￿e$ appkd to p*draJlar
calegorles of Incom:
Vduntary kncorne... Incom8 from Trthes & oYf*iigs & kK*Jd*Y In thg Incunuw ￿$￿￿￿te8 when Ihese we rece￿ab]s.
Admues for ￿narat￿v￿ fund5:. This crynprlses sak ol 8rKI ¢lwity 8￿P saks aCL￿nted for on r￿lpL
Inveslment Incom&. Invaslmont 11￿L¥ll& 0f￿t InlerESt the pgrfod and accountad ts as
unrastrided knd.
Resources expanded
Resources 8xpend8d are iicktded l) Iha Statem8nt A¢*¥Iti*l￿ an ba8is. indusfve ofany VAT wh
cannot bè r8cover8d. Certain 8xwdliurn b attn'LwJtabla to speafic afamtss has been nduded h those rthl
calegort*s.
Taxallon
The chaAty 15 OXgrnPtfr(Th oypcwath)n tax(¥) ts d￿rItable
2. InGoTho from donatlon8 and Iw¢l¢•
21JZJ
22
Unrnstrl¢t8d funds
tknalions r81xv8d
216,687
260,748
216,6e7
260.748
5of11

HOUSE ON THE ROCK INTERNATIONAL CHURCH
Notes to the Financial Statements Continued
For the year ended 31 December 2023
In¢omo from ¢harltabl8 acovliles
2023
2022
Llnr¢8trl¢ted fvnds
EVANGELISM
In¢oma frcwn charttab
activities
62.714
Inv•$lment Incomg
2023
2022
Unrostrlct•d funil8
Bank intsfe3treceiY*)le
136
76
138
S. Coats of charltable acUWtles by ftmd typo
2023
2022
Unr¢5tr1cted fund5
EVANGELISM
309,167
17,728
293.878
18.234
Supportrxsts
326.895
312.112
O. Costs of ¢harftablè aclfviti•s by acthTIty typo
2022
AGUvltle¥ undertakon dlr•clty
EVANGELISM
326,895
312.112
7. Analysls of support
2023
2022
Govemance ¢0813
17,728
18,234
6of11

HOUSE ON THE R￿K INTERNATIONAL CHURCH
Notes lo the Financlal Statements Conunued
For the year ended 31 December 2023
& Net In¢omollexpendlbJr•l for tho )*
Thls Is stated aftar tharg￿l{(se￿￿r￿
2023
2022
Depredation of1)Wn￿ flx8d assets
Ac￿￿ntan¢Y fees
Tru8tg68' r¢InUn8ra￿
1.491
1.575
1,575
42,440
1,876
Staff paMon contrfbutlcffis
1,876
g. Staff costs •molum•nts
Totol stsff ¢x)8t8 for the year ended 31 DeCmibBr2￿*We.'
2023
2022
Salarfes and wagas
Pwlon costs
50.(XJD
1.876
92,440
1,876
51.678
316
2023
2022
10. Comparatl¥e for th• Stat•m•nt ol Flnanclol A¢tivl
The comparative yearv8lu88 on ihe Statemenl of FknancialActr¥ite8 are ￿￿oStr￿ furth.
7of11

HOUSE ON THE ROCK I￿RNATIO￿AL CHURCH
Notes to the Financi￿ Ststements Contlnued
For Ihe year ended 31 Dewnber 2023
11. Tang￿18 f￿1 B¥sets
Comput¥r
Equlpmont
Cost or valuaflon
At 01 January 20
Al 31 Oec8rnb8r 2023
5.9
D¢pr8clatlon
Charye foryear
At 31 Deeamber 2ff23
1.491
1A91
Net book valu
At 31 De￿rnber 2023
UY3
At 31 December 2022
5.964
12. Credltor8: Hrn¢Jwts tslllng due ￿1h1n y•¥
2023
Other cradllors
517
Accruals arNI d&ferr*l Irrtxxn8
1.5T5
3.050
7.073
1567
13. Movement In funds
Unr•$trl¢ted Fund8
Balance at
01A11r2023
Incomlng
re5ourtté¥
OutgDlng
Balance at
3111212D23
Genarar
General
121.070
280,170
{326.8951
74.345
121,070
200.170
1326,8951
74,345
Unr¢slrl¢ted Funds-Pr•vlous y
ealance at
In¢omlng
Outoolng
r¢•ourc•s resourtes
Balanc8 at
3111212022
01101r2022
General
Ger￿[21
108.750
324.432
1312.1121
121.070
108.750
324432
1312,1121
121,070
8of11

HOUSE ON THE ROCK INTERNATIONAL CHURCH
Notes to the Financial Statements Continued
For the year ended 31 December 2023
Purpfj￿ ofynmtrf¢tod Fund8
GeneMI
Unrestrkled- ￿mprising funds vlhkh can LE in aryxKdancttth the tharilabb otie(as al di¥crgUon of tho
14. An*tys15 of net assets b*tw¢•n fund#
T￿￿1b1¢ Not cuThnt NotAg¥ats
assét81
Unrostrlctedfunds
Genèrnr
Genar81
4.473
89,872
74,345
4.473
69,872
74.345
Pr•vl*)us ygar
Tanglbh N•t ¢uvrent NetA65•ts
assDts I
Unroslrf¢ted funds
Goneral
General
121,070
121,070
121.070
121.070
9of11

HOUSE ON THE ROCK l￿fERNATIONAL CHURCH
Detailed Statement of Finan(aal Acttvities
For the year ended 31 D￿mber 2023
2023
2022
INCOME AND ENDOVIMENT
Donatltsn8 ond l¢ga¢lo
Donation
185,090
31.597
235,708
25,040
Glft Ald
216,68T
260,748
¢horltsble actlvllles
Incoff* from charltsble ￿￿VItIeS
62,714
63,546
62.714
546
In¥￿Ime[rt5
Bank Interest wivable
138
138
Tolal Incomlng rosourc•s
280,170
324,432
EXPENDITURE
Charltoble aGtlvltt
staff costs. wages & salaries
staff Costs- pensbn wntrlbutlons
Tntstee. wagos & salws
DewÈcL8llon- own8d assets
Rent. Rat65 & SeNth ￿rg
Honordrium
Evangellsm
Donalx)ns to Charttte5
Conferencos & Events
Prfntlng, Postagg aThJ stati￿ery
Travel & Motor Exper￿5
In811ran(
L￿ht & Heat
Bank Charges
Rgpalr & R8newa18
Subs￿P110n¥ & LThr
Volunteers.
Mlsslon
T?￿phOne and kntsrr*t
Equlprnenl Hire
Patsonagg
ITMeb5ite
Pastt)ral A*y*an
150,OC4)1
11,8761
150.0001
110761
142.4401
11A911
190,6321
14,7101
121.2421
112,0951
11,323)
11,6281
I2,￿0)
13.332)
11.57n
197,7731
{7,6￿)1
115.4621
17.7361
16,3211
(S,2￿)
13.4501
12,6111
14701
(9.203}
(1,2071
(2,40D}
127.8851
{6.8831
12231
118.2(Kll
(1,226
11,1631
119,495}
15,447)
18,5441
118,000)
1309,1671
2Y3,878}
SUPPORT COSTS
Governancg costs
Accountaw fs88
Prof8ssional F66s
{1,5751
16.1531
11,575}
116,859}
117.7281
11Q234)
Total re4ourc8S ?¥PBnded
1326Mg51
1312,112)
10of11
Th18 page does Th)t INM part olthe slahrtory finwaal slalenwnts

HOUSE ON THE ROCK INTERNATIo￿L CHURCH
Detailed Statement of Financial ACtiV￿eS CoTrtinued
For the year erKled 31 December 2023
Net Expendhur•
11320
11 of 11
This p8ge does llotfDm7 part ofthè stsbrttyy finawKid statements