Ch￿ty nymther: 1113683
for the year ended 31 December 21123

DIVINE HEALING CHURCH OF CHRIST
Contents
TrJst¢¢$ report
StateTncnt of activities
N￿￿5 to ttr£ financial stsrane
8-11

DIVINE HEALtNG CHtUiCH OF CHRJST
and admlnistrntivc inforn]ation
Clwity number
1113683
Memberthip
Member of the Evangel￿ Al]i2Ke
Bwil￿ address
30 W(xNJl8ThlTeux¢
I￿adOrt
SE7 8EN
Place of Wornh5pl Regis￿ Off￿ Prince ofPe4ce H(yJse
IOIA Wlllesden L4lle
NW6 7SD
Rev. Victor KeeJs(XL Anfu
Rev Ihmtnic Glcn Dthy
Rev. Bevedey Coky
Church Charitable Fund C'ttee
Reverend Fject
Evangelist
Reverend Elect
Rerttseorativ¢
CooTrlinator
Representative
M¢)Dio Myet5
Deaeoow V¢lits Jan￿5
El(kr Verera Bailey
Proplrk&% Juliana Addo
Volwireer
VOlunt￿r
Volvn
VoluDteer
EvanBeltstMth Ra¢￿]
A¢countants
187 High Road
LthE152BY
Bankers
N8tsbYstBaDkPic
Killxmi BrI￿h
74 KilTrJtrn High RoAd
NW6 4HU

DIVINE HEALING CHURCH OF cll￿T
Report of the trtLSt¢
for the year ended 31 December 2023
T￿ trustees prtw tsir 8t￿ tk ruW￿la1 state￿ts for tbe >vr eDknJ 31 Dwt*r 2023. Th¢ who
nrd during the )fAr aThJ up to tk datc of this rrport arc ¥£t out on pa8c I.
StnKtUN gover￿llet and m4Dagement
GO￿rnIngDo¢￿m¢￿l
The Bov¢mio8 Inst￿￿￿￿[ of the ljwity is its wknpled CLwittLtion d¥tya 20 21M)5.
Thc day io day opention oftht a￿llY is L￿lled llnd mana8¢d by theTru8w aTrJ Mar￿gert￿ Commit(¢&
Risk MaM8*meA¢
The Manag¢m¢rtt Comn)ittee uwllines major risk5 that tbe Thurch fa￿ each f￿a￿la] y¢ar when preparait)g and
updlliing the stsHiegic plan. T11¢ Committec ha5 we55ed th ￿￿Jor risk5 w WTr￿¢h the thariiy 18 ¢XPOsed, in p8niLular
those relatin8 ￿ the opeTatiorLg ond finance8 of the Chariiy aThl tre 5atisfi&l that systems controls are in plac¢ 10
Uti￿le any Impa￿ tha¢ they may hav¢ on the chllwily.
ObJectlves and adlvltles
The principal rbjxiive6 of th¢ Chariiy arn for tr*be￿fic of Public ￿..
lil The ￿VanceMe01 of th¢ awisiian faith in ILY0rd￿ with the State￿￿t in auch Wa￿ 8Th15uch pn8 of the Unitrd
Kingdomor the wY)rld as the (JwTth Council from lim ￿ lin* m•y thillk fiL
ljil The r¢lief of sicktw and fLt)at)cial hothhip to promotr atwj preseThe wd I￿litI by pmvision of fund& 8oods
or sttvicu of any ki￿1 Éncludin8 through ihe pmv1si￿I of Unitrd KiThg￿m LY the world as thc Chyrch Coun¢il fro
lime ￿ tirt* MAY think fiL'
(iii) To advarK¢ education in such ways ar#J 9wh ports of Uni*d Kin8dom r* th¢ WVTld os the ￿￿[ch Council from time
to may think fii..
Also, (ts th￿Itable faciltrÉe$ ID 88￿￿￿￿tiM of wch facilities findKtd by D￿￿110￿5 aTMI Spxial Offeriny seek to
provid¢ the nece*wy supwrt DrMI ermura8emit tooyr n￿lber8 whkh will ￿able tt*mto raise their spirituaI nccth:
f￿rn￿l0￿."
Si Maiihew I1- 28-33
Come unio Me. all ye that are Isbxr and heavy ]Adw and I vlll give rtsL Take my yjke utN)n you, and karn of n%; fr
I meek atld kTrwly in heart: )% shall firwj rcst unto your solu& For rny yoke is wy. and burden is light.
The Thistees c(th that tjw haye p2id skn regard w the guidance con¢ain in the ChaAty C¢)mrni&8iotx'5 8erml
guida￿t on public bet%fit when teviewing ts Charity8 Obj￿1veS ill sruitig making ￿LleY for the
ar.
Achltvements And perfonnance
The Divine Healitt8 Church Of chri￿ h#$ 4opmximatrly 149 all with trtir own individllal spiriiulll ￿¢￿$ and
Ihe Church charitablc fvnts aT¢ ￿ to advance th¢ spiiitual. educatioTwI. rccreaiional 8tLd culnLrBI oppormnities to the

DIVINE HEALING CHURCH OF CHRLST
Report ofthe trustees
for the year ended 31 December 2023
Financial re￿e￿
atLacFd fin￿￿la1 Sr2[ell￿￿ shows the CUTrenl State of fina￿Ial affaits. whi¢h tl¢ Trusw CO[￿lder to be
sausfaciory. The net incorning resouTC¢S for ts year. which were all from ￿￿StrIct￿ fim(ts. affK)UtLted to £18.146 and
addcd to ne¢ incoming resources brryjght forward of £530.1(￿. The ts)ts] tE¥rYecgtTied forw#rd 15 £548254.
Tr poIicy on reserve6 1$ th8t a rnin1￿ of three rnnths expaLses 8re to ￿ held in liquid ftjnds ihis Ievel of
reserv&s has F*en MaInt￿lled during llM)5t of tk ￿][￿J illquestio
Statement of t￿sttts' resPo￿$1b￿lI￿eS
applicable law a￿[ Unibj Kingdom Accounting Sthtslards IUnir&l Kingdom Gex*nlly Acceptsl Accouwing Prnice).
Applicable to cEboftties in Englathj al￿ Wak8 requi￿ trustees to rryare fin￿]#1 statements for each fittathci
ye2r vlhich give 8 true and fatr view of cljariry and of the incoming resources atMI appli￿10￿ of resx)urets of the clwity
forthat yeat. Ill prepaTillg these financial sts*n*nts th¢ tt￿lee$ are r4uired w:
select suitsble accuinring pjlicics and wlythem const#ettdy'
djserve the tnetlK¥J5 a]d prijxiples intt* awirxs SORP,
state wlwlKr appii¢ab]e UK Accounting StaThJarth have fo]k)we4 subJ￿t to any nl8rerj￿ thparnwes dis¢l¢Mi
and explailled in finatKial sratrm¢nts: aThl
continue in0p￿￿tION.
The rrustees are r¢s￿nSIbl¢ for keeping rec¢xd5 whicb disc1￿ with re•wroble acc￿ta¢Y at any time
thc f￿anCIal position of thc charity ard enable them to crjswe that tl* fi]w¢ial statemw comply with the ￿aritIeS
Act 2011 and the Charity (Accounts wjd R4￿rts) ReglllAtiorts 2(M)8. Try arc responsible for safeguarding t
&S5ets of the ch￿lty and I￿¢ for rakiog rewjnable sws f(x tk prevention and detection of frnud and ott
On ithIfofthe board
Rev Beverley Coley
Trustee
Rev. Viaor KeeIson Anfu
Page 3

DtVlNE HEALING CHURCH OF CHRIST
Independent examiner's rew•rt to the tnth on the unaudKted fuwieial State￿ellts
DIVINE HEAL]F4G CHURCH OF CHRJST.
pa8¢s2to 11.
A5 tbe Chan"t￿S [nL￿￿ YO￿ are responsible for rwtion of accounts. Lx>nsider that the audit requiren
of secti¢)n 144(2} of th¢ Chariti48 A¢i 2011 (the 2011 kn arKI aa iodei¢ryknt examin￿10ft is need¢d. Il is my
responsibility io examine the accounts urth wtion 145 of the 2011 A¢ ro follow the ptw&lures laid down in the
General Directions given by the cP￿ilY Con]wssion ￿loll 145(5)(b) of tr* Wl l A¢t and to $ra* wheth
particular mattets have ¢ome LO Jny attentioL
Basis of independent exami￿.5 statement
examinati￿) includes & review of tk accoun¢ing r¢coTht5 kept by & c￿lty a￿d a wmpaJison of tTr* ar￿u￿t5 pr¢sellted
with those record5. It also iIKIth consideration of aDy UDusJal item% or dis¢105urts in tk accounts, atyj seeking
explaDatio]LS from you trus(ets concerniThg any Jnauet& The prothjures undcth do not provide all the
evidence would k required in all audiL a￿1 Cxw￿[￿Y ￿ opinioD is given a5 to whether 8c¢oullts Ixts&it a
nje and faÉr and is lirnitrd ￿ Ilm￿ nMueES set oul An the staletwit iKiow.
Ci) which gtY&8 r£rea%)DthIc F*Jicvc that in any ttmtexiaj tequi￿rZ￿ats.
to keep pr￿[ a¢¢tyJnting re¢onts irt *¢othnc¢ with seuton 130 of the 2011 ACL. and
to prepar¢ accowxts vAJich accryd with the accounting reoxd5 aDd to eornply wilh the accoutlting tequir¢TiKt
of the 2011 Act
bave no( been Ttrt,. or
(li) io Whic￿ in my0piDi￿ at*ntion shouidbe thawn iti tydtsto eJMbk a prw urjdetsiandiog of the ¥¢ounts LO
reache¢l
Hayford Doh FCCA
bford LouLs
Charterd Certified Acuiuntants
& Registered Auditors
187 High Road
IA)ndon EIS 2BY

DIVINE HEALING CHURCH OF CHRJST
For the year ended 31 December 2023
22
tncoming tEsourtrs from geDcratillg fi]]Mts:
Voluniary rncon
Investmeni income
80.166 80.166
438
438
80,425
91
80,f￿ 80,&M
80516
Resour¢es ex￿ttded
Coullcil w smd waiet ra
Maia and publitrdrion
Light artd h¢at
Mcm￿r5h1p fte
Hospttsliiy and wclfarc
Bad debts
Sunday 5chwl expenses
TeleptLOK and broadband
Building repairs 2nd lljaintenallce
Building and VatLiDwfallce
Mongage loan interest
ReTLt payabIe
Retrut and outings
Mu%ica] ex
Motor and travel]irtg ex￿4￿&
Cornmunion exFetL
A¢¢ovntan¢y fees
Professional fees- gift aid
posta￿S￿￿tiOTrery and winiing
clea￿1[1g expe[￿5
Gift5 and donation to
3.251 3,257
450
450
I￿3 2.702
71XI
i.fAK) i.(
4612 4612
2.or2
770
8t
17(X)
4.612
350
691
857
782
782
IJ07 1.307
1235 2235
lir2 IL22
15,rth 15AX)
2.184
15.6(M)
635
504
2.175
3.711
218
3.711
218
752
1,41M) 1,4
350
350
1.930 1.930
7.8*2 7.882
9.4r2 9.422
(3963) (3963)
710
710
3.IyJ) 3.(xK)
1.2
5.567
4,028
Depreciaiton and iNpaiTrnent
Minisiets. pulpi¢allowance
4.750
Total resources expended
61458 61458
55J94
Net ivcomitig resourtrs
ror the ye4r
18,146 18.146
24922

For the year ended 31 December 24)13
Total futMLs brought foThv8rd
530.iOB 530.108
505,186
Totsl funds rdrried forsvard
548254 548.254
530.108
The #atell*nt of financiat &ctiYities irfludts atl Bar￿% and Irfyw in the year tlth a separatr st&tem￿l of tots] recogni5ed
gal￿ a￿1 losses h&8 notbeen prq)aT¢
All of above arnunts relatc to continiDng*xivitit&

DIVINE H￿ING CHURCH OF CHRIST
Balance sheet
&5 at 31 De¢rkn 2023
2Q22
Tangible assets
483392
45339)
tkbtors
Cash ￿ bankand in band
25,424
.958
28504
70.6B6
86J82
99,1
Creditors: amounts falling
due within One year
652)
(1172)
Net current assds
97,018
Total assets tess current
liabilytifs
Crtditotr. 4movnts falling due
After more thall (tyne year
567,122
550,917
(18,868)
(20,8(ffJ)
Net
548.254
530,108
F¥thds
UI)restri¢t￿ trfon* fut
548.154
530.108
Tot81 funds
548.254
530.108
10
Thc fin￿￿la[ statenThts ￿￿re approvd by thBtru5trrs on......... ...... .......
8￿j signtyj on its l*h￿f by
Rev. Beverley Coley
Trustee
Rey. VKeti)r KeeLwkn Amfn
Da¢¢:D{- ID- L
/,,/2 ¥

DIVINE HEALING CHURCH OF CHRIST
Noto8 to fu￿neRal statenjents
for the year ended 31 Deeember 2023
ALrwnting pjlides
The principal a¢o)unting policies SumirAtI￿ Frtlow. The ¥¢OWLiing polb¢i¢S hav¢ bee4 applied consistently
thmu8hout th¢ year and ￿E(￿d1￿￿Y￿.
1.1. Basi8 of accounting
T￿ financial statellrtts art p￿￿red under the htKoric41 cost o)llveJJtion and in ac¢otdatKY the StateTtKnt
of RecoTfllDended Pr&tice'AccouDtin8 and Re￿￿ti￿ by Charities, issued in Mar¢b 2(X)5 (SORP 2(M)51 the
ChaTÉti&s Act 2011.
li Cashnoiv
The chatity h&5 tak¢n ddv4utag¢ of cxcrnpli￿ ID FRSI fromtr* ryuirer￿1 ￿ p[r*I￿e a caslttlow srAte]
becaL%e li i% a small charity.
All itKomi]]g resources Ire i]KI￿ in &ateIr￿1 of fin8llci￿ attivtties the charity is entitled io the
the a]thuni L7n Ix quaDELfi￿ with reas¢)nabl¢ amLra¢y. The ft)llowing specifi¢ policies applied to
ticular categories of irKonE:
Voluntary itton* is receiv&1 by way of ¢knati(￿ offtxitigs aTKI tithcs aTd is includd in full in tlr State￿￿t of
fIn￿Kial activities when ￿]Vabl*
I￿orne from investh￿ts is I￿11￿1￿1 iti tt£ wbich it is rteeivab
Expendittre 1$ re¢0￿1$ed on an a¢(nol b8sis as # liability ys I￿J￿E& ExpeudibJrc inclu(ks any VAT Fhjich
Dnot b¢ fully recovere¢ and is rewAted as expetsJiDJtt to wbichitth.
Costs of germting ¢ompris¢ tk o)sts 3s8c¢iated with at¢r&ting voluntsry Inco[￿ It includE5 bDth coas
thaE can te allttated directly ￿ such xtivities and those ¢osts of an ityJiTtttn#tsYe T￿$s￿ry tts Supp￿
1.5. Tan￿7)le fLTed a&*ts and depreciation
Tangible ftx¢d awts are stated * cost les5 a¢oMThJJatcd ¢knEciation Deprcciation is PTOVÈ(kd at rat&5 calculatrd
write off ts cost1ts8 resithal vatLt¢ of eath ovtrits useful ]1@ as folkiws..
N¢Kpmvidul
Fixtute& fiitings and equipn*nt -
vehicles
Musical instr[ll￿rts
2(M reducing batantt

DIVINE HEALING CHURCH OF CHRIST
Notes to flnancial statements
ror the year ellded 31 December 21123
Voluotsry inCODTe
UDrestriLYed 20
Tithes and offering
Clwity taxcredit
t r￿1Ved
&),C*Vd f￿,048
14.2
1421
5,912
5.912
58308
14,117
75CI)
80.166
80.1
80,425
21122
Total
Bank irtttrt%t TE￿7V￿bk
438
438
91
438
438
91
Employe
Employment costs
No sa]aries or W￿¢S have ]￿en ￿ld t(J ewloyee4 irt1￿1]ng thring the ￿.
Number ofemployeLq
averdge ￿￿)nthlY Dumttrs of ¢nwlo)t¢s cU￿uding trwtets) the )t4r. caioJJat￿l QD th¢ basis of
full til￿ equivalent4 &8 follows:

DMNE HEALING CHURCH OF CHRisr
Notes to fjnancial statements
for the year ended 31 De￿mber 2013
Tan811)le fixed assets
ildings fittiw A￿1 Motor MUSKAI
At l Janw 2023
Additio￿5
Disposa]s
437,783
17.897
28,1￿3
19,097
545.423
47,897
(60.500)
{￿.5(X))
At 31 tkL%mEer2W23
455.680
28,(￿3
I9.￿)7
532.820
D¢predadon
At l January 2023
Charge for the year
On di5posa15
At 31 Dettmbex 2023
24.753
658
)J18
15253
.524
9.422
(50,518}
{￿.5]8)
25,411
16,021
49.428
book valu
At 31 LknmEtr2023
455,
1632
3,076
483.392
At 31 E*eemi￿2￿22
437.783
329)
9.982
3.844
454,899
Debtors
2022
25A24
28504
Creditors: amouttts falling due
within One year
23
2022
Ac¢tuais 8JxI defe￿ed inco
1652
2.172
Page A•

DIVINE HEALING CHURCH OF CHRIST
Notes to financial statements
ror the year ended 31 December 21L3
Creditors: amoollts rai￿% due
#fter more than one year
20
21122
BaTth loan
18,868
AJJaiysis oc net awts betsveeu funds
rumds
Tangible fixed assets
483.392
86,382
(1652)
118,868)
483.392
86.382
12,652)
{l8.868)
CuThi liabiliues
L(￿g-terM lisbiliti¢s
548.254
548.254
io.
Al
At
20
2023
530.108
(614581
548.254
The unrestricted fijnds of the Tntst are eX￿M1abIe at the divdion of ts Tn￿e¢S in f￿￿ern¢t of the
objec(iv&s of tlx charxry.
PAge li