ETERNAL LIGHT MINISTRIES INTERNATIONAL
CHARITY NO 1126715
REPORT OF TRUSTEES AND
STATEMENT OF ACCOUNTS
YEAR ENDED 31 MARCH 2023

ETERNAL LIGHT MINISTRIES INTERNATIONAL
ANNUAI. REPORT
FOR THE YEAR T031 MARCH 2(123
TRUSTEES:
Edna Sakyib¢&
Samuel Frank Mint
Thoma8 Asamoth
There must be at le￿t 3 trustees and Hre ap￿lTrted by the existin8 N$tres by a ttsolution at a Sp￿1￿ meeiit)8.
PASTOR: Rev Emmanuel N￿eY
CHARITY REGISTRATION NUMBER: 1126715
PRINCIPAL OFFICE
84 Lavender Avenue ￿l¢haM Surrey CR4 3HH
CONTACT..
Ms Edna SakyiTrJea
BANKERS.
Barclay5 Bank PLC Wimble￿￿
IIYDEPENDENT EXAMINER:
Brian HosiLY. Chthered AcaJunlBnt
COP4STITUTIOIY'.
E¢emal Ligh¢ Ministrtes International started ￿ med inforni8lly during 2007 and the trusm signed a
Declllraiion of I'rust dated 25 Ociobcr 2007 which is now considcred the Tnjsi Ded. It forn)ally r¢8lSt¢red
&s a charfty on 14 November 2(M)8 unthr ehBrity numbtr 1126715.
TIIE OBJECYS OFTHE CHARI'fY ARE..
ThL 8dvancement of the Christian f&ith in the Unitrd Kin8dom or overse
The advancement of Erf)th religious and $ecul#r edu¢¥iion.
The relief of 5ickne5s and pjverty.
ORGANISATION
Thc TNslcL's are joined by the to deaj with thed&y today mgwemeniof th¢th8rity in ¥wrdancg with th¢
objectives.
ACTIVITIES..
Principal Activities
The Trustees principal activities are the support of Eternal Light Ministries Intemational and
support of congregations in the provision of a place fit for worship. The Ministy""s localion is
at Milcham Sl. Mark Parish ¢hur¢h.
The Youth Group
The Ministry is helping the Youth Group in the Ministry with Church ￿tiVitieS. The Ministry
was regularly in touch with youth onlin& In ordcr ￿ help them with their studies, they were
advised tQ study and keep away from tw much doing things which will not help them in their
education and future liv¢s. P&stor gels in iouch with them on wnfererfftce calls and helps thern
in Bibl¢ dis¢ussions. Pastor Emmanuel always &8signed the youth to weekly Bible readings.
Those who need ￿Ucational help were conn¢xted by those who have knowledge to help
them. The youth are always regular to church services. Thev were happy to gel help
whenever they needed answers lo questions. They were happy when they all met at the
Lhurch premises when the lockdown was eased for the resumption of church services. The
youth are learning how to play th¢ church instnlments.

Womens Group
Page 2
Praise and thanks to God Almighty for another blessed year in the life of the
.41
Women Fellowship of Eternal Light Ministries. The Women memboE are actively
involved in the everyday life of our church. The Women Fellowship activities
continued as in previous years. The women members of the MiJ)istry caT¢ for our
church family through meals, especially during birthdays and trip activities. The
women members communicate with each other to r￿d out how to help, in Case a
member of the Ministy needs h¢lp. Women members ty to help the elderly in the
church and their communities and also checking on members to fmd out if
everything is alright with them when they fail to attend church service for some
time. They visit to pray wh¢n a member is sick. Always advising the youth.
Statement of responsibilitfies of the trustees
Law applicable to charities in England and Wales require5 the trnste¢s to prepare financial
statements for each financial year which give true and fair view of the charity's financial
activities during the periiKI and of its financial FK)Sition at the end of the period. In preparing
financial statements giving a true and fair view the trL￿$ should follow best Wdctice.
Select suitable accounting policies and the apply them eonsistently
Observe the meth(Kls and principles in the Charity SORP
Make judgements and estimates that are reasonable and pnjdent
State whether applicabl¢ UK Accounting Standards and statements of recommended
practice have been followe4 subject to any material departures disclosed and
explained in the financial sfaiements
Prepare the finan¢ial statements on the golng Concern basis unless it is inappropriate
to presume that the charity will continue in operation.
The trustees are responsible for keeping accounting records that disclose with
reasonable accuracy at any time the financial position of the charity and enable them to
ensure ihat the financial 5thternents compl), with the Charities Act201 l.They are also
responsible for safeguarding the assets of the charity and hence for taking r￿Onable
sleps for the prevention and detection of fraud and other irregularities.
Thc trustees are responsible for the maintenance and intcgrity of th¢ corporate and
financial inforn]atton included of the charity's website. tkgislation in the Unit
Kingdom governing the preparation and dissemination of financial statetnents may differ
from legislation in other jurisdiction&

Page 3
RISK ASSESSMENT:
and identified op1x)￿ltJeS
PUBLIC BENEFTT:
Inall our activities we att mindfidof th¢kgal forclwitits t0p￿V￿le publi¢
and have had regard to the guklantt published in this c4)nneth by the Ch*ity c4)nmn￿lo
ACCOUNTS:
These are set out on pages 4 and 5 whi¢h follow. Titbe8 and Offerings have
increased and this year a Gift Aid claim for 20121 was rtrxived but as the
accounts are pryared on a Receipts and Payments basis the tax refund for 21122
is not included as it was received after date. That together with the amount due
for 22123 are included &8 Debtor8 in the Trot￿.
Expenses show a small reduction which has T￿llIted in a surplus of £A,427
which 18 considered satisfactory.
RESERVES
The ttustees woukl ]&e to acquirea pcnnancDt llMtin8plac¢ of theirown and will necd to bulld
reserves for this pwpose. In addition reserve8 to cover 6 Dy)nths of expenses are desirable.
AppThed by Tn￿ee4 on Sra4023 on b¢hdfby Edaa Satyl
Edna Sakykn
Chthpenon

Pag• 4
RECEIPTS AKJ PAYIIEiifs ACC(JMr
RECEIPTS
Trhe6 and
Gift Aid tax refuThl
Prny8r Madlrwa
du8$
Sp•¢kql Ev•nt8
21,798
4.713
20,571
910
TOTAL RECEPIS F(JR TrE PERIOD
PAYIAENY8
Chwch rent
hor rgrt gr#Y
4.719
16.979
4.719
16.979
5,247
17,
Equlpm&rt
C*JtirvJ
Td8phon•
Computer c08ts
Sundrfe#
IMCGB Sub8¢rfpth)n
TOTAL PAYMENTS FOR TrE YEAR
91
ET SURPLUS IDEFI(XT) FOR TrE YEAR
12,1021
Tran#f•r b•twn fLThd¥
CASH & BANK BALANCES bmwdMfor*wd
G4SH & BANK BALANCES lorwwd
Appnv•d by th• TN*tw• on 24
)23 •ign*l on thdr b•hdl by
E s￿y1b68

ETERNAL LIGHT MINISTRIES INTERNATIONAL
Page S
STATEMENT OF ASSETS AND LIABIUTIES
FOR THE YEAR ENDED 31 MARCH 2023
UNRESTRICTED RESTRICTED
FUND
FUNDS
TOTAL
2023
TOTAL
2022
Monetary Assets- cash etc
88nk- Community account
Business Premium
Petty cash
58,779
14.125
72.sy
68,420
UNRESTRICTED
FUND
RESTRICTED
FUND8
TOTAL
2023
TOTAL
2022
Other Monelary A888ts
Debtors
Prepayments
11,on
11,072
10,083
Non-monetary A8sets
Musical in8tsum•nt8
Chairs
750
750
1.000
Llabsli1108- all duo withln on• year
A¢¢ru418

IIfftPENtEMT EXAMll*lfS REPORT
Pay• 6
TO THE TRUSTEES OF
l report to th8 ￿lty tr￿le￿$ on my6x￿￿1n of of ty*ch*ity for0* &xleAI 31 Mw¢h 2023
are set out on p4e8 4
Rwpon•lbllldM and b*Bl8 of r•wt
A8lhts Charl￿8 tnthes YOU￿ rn8poM*)leforth•rx•pwalh)n ofth•x¢ow*•ln accordmth4th
of the ￿￿tIo5 Act 2011 Act'k
l rnport In m3￿tOf my8x￿l￿nofth0￿￿]tys outwKIw8thin 145 oftsAclor#J In
out my 8xomlnatknn I lo￿T*￿I dl tho QppI￿1? 91¥￿ by the Ctsity Comml$sk•n uThJ8r 8￿tIOn
14515Xb) of
Indw•ndwrt Ex•nln•ff• St*wn•nl
I have compl9￿￿ my exwnk*tkJrL I cortknith&ry) hvrfe comtsto my aittintK>n in
•Xr4n1r￿n ol¥lffj mo cw80 to bthio M￿ty181 re8p•cL'
•C￿u￿1￿ I￿OrdS k￿1 kn rw of clwty 88 by Mctk+n 130 of ￿ Act: or
121
tha *cow)ts do rn)t It•)￿ w>ftl•.
ShJne
109 0or*wrt Fb&J
Pdmw8 GT88n
LorKlon N13 4QA