Peters
Chartered cert￿ed Accountsnts
stAtutcry Al￿t￿$
Tej.. O?0 8885 3344
FaL 8885 1144
LoJJdottN17 QSP
21 September 2022
Regiytrar of Companles
Companies House
Crown Way
Cardiff
CF14 3UZ
D¢ar Sir/madam,
Dlvine Arrow of Delivernneè Evangell8tle Mlnlstries (DIADEM )
Reglstered No. 07345623
I have enclosed for your attention the accounts for the above client for the year ended
31 December 2021.
Would you please stamp and return the enclosed letter to acknowledge receipt.
Yours faithfully
Peters & Co
Peter C. Osu ACM& ACA. FCCA c(￿￿ult￿nt.. Samuel K. Ogidan W¢.CTAFCC& FCA
Regist¢r¢d & a￿litOrS and reguiot¢d fora rw of ittve5tm¢nt b￿sineSs activtti¢5 in th¢ Unitcd Kin8iloJn by
Tk Akwciation ofchartered Certified Aeu)untants

REGISTERED COMPANY NUMBER: 07345623 {EDglaMd and Wak$)
REGISTERED CHARITY NUMBER: 1142889
P¢t¢rs & Co
awtered certifi￿ AceountADts
Imperi￿ House
64 Willoughby IAtte
London
N170SP

ne Arri￿Of DeliveranL* E
tents of the Fi
for the Ye4r Ended.al
I to 2
Staten*nt of Finaneial Activities
Balan￿ Sl*rt
Nrtes to th¢ FInWKi￿ Sts¢eJrtrfJ
6 to 10

listic
DIAD
R£ ort of the TrLLSte&s
Year Ended 31 Deca￿ 2021
fiDan¢ial stst¢wts of the thrity for the year ended 31 December 2021. The have adopted the provisions of
Accounting and Rewrting by Charities: statett*￿ of Pr*tsz appli(xble to charities preparing I￿1r
ITh accordance with the Fin￿141 Rep￿tin8 StaThJard appliL*bk iti the UK and Republ￿ rjf IT¢lard (FRS 1021 {effectiv¢ I
January 20191.
Objectlves And
ACHIEVEMENT AND PERFORMANCE
The or88nis2tion Witt￿$$¢d a Iw*l of stsbility in mornbership in the PArf year.
The charity ￿rrIed sonK charitable supports ls detsiled in th¢ not¢¥ to the FiwKial Stat¢TrKnts. This year h￿¢ had
to cut down drasticatly on the nwnb¢r of charitsbk supp(ffts could offu because of the ecoll￿ Sitt￿10
The chureh is divlded into diff￿ dryaTbMts for PAlmiftithlI￿ p￿[￿seS with le•Jen appjimed to ovtye ¢g¢h
dcp8rthMt. Every wKmber is expected to belong w 8 dePart￿L
The ¢hur¢h or8anised a retreat for 811 nhxbers afvj it Iw8tly att¢ttd￿. It Wa5 held It The a￿18119￿ Conferen
C¢Tth in Hoddesdon. It was a 8(￿ vawe for famity 8thin&
The Chwch also cornm￿ li￿ strelin1￿ and Mlirt rndio of all O￿l￿V￿￿1. Th¢ has be¢n P1Kn￿e￿Il.
FirruRE PLANS
pro8rom th8t tsr8et f•r4ilia afyj indivbdwlg thmugh di*ribution of h*th*ill8 *nd fiy*s.
W¢ were pi4nnin8 10 Set up after s¢hool c1&8ses for childreD. in ordes to a5SiSt working gnd single pgrenty but we
hampered by finance. It is our belief that s¥¢h styi¢e will add vdue to the lives of th¢ bcneficiaries and equAIIy
raise our profile wtthin the conununty around FKwibty attrxt membttship into Ik organisati'on.
C¢)nsid¢rln8 th¢ s¢#bility ¢xprriaKed Jo hr. are mutiD8 the idea of gpp)itttiD8 m(tt Intsteu from have
STRUCTURE, GOVERNANCE AND MANACEMENT
Gov¢rmlDg document
DIADEM w&8 inc4)rpor*d on 13 AW 2010 * • linRitsJ o)mpw. limitya by 8wante¢ rrystaed as a dwity on 14
July 2011. Th¢ giiorartrt ot¢xh menknr is limityl ty £1.
Retrn1tn￿1 ••d •ppothlmrD¢ •lnew trwlees
The boord of ThLSt¢e5 are the d]r￿t01$ of tr* c4)mpw. No newtrN8te4 apw)inted dmDg the peri￿ utKler review.
Orpnii•tlon•l
rwi¢w.
REFERENCE AND ADMINisfRATIVE DETAILS
ReOst*red
07345623 (Engjand aThl Wales)

Divi
IADE
for thr Year End¢
31
21
R*Jtered Qarlty nN•Jlxr
1142889
Reglytered
4 Pegan￿]d Road
N182NG
H Emmanuel
J Fmm8nuel
R Hen5haw Tntsie¢
A Mobw)lonmduro
FINANCIAL REVIEW
Prthtlpl Fundl•8 Sourtt•
The sole ffiJndin8 for the d￿lty from Unanin￿u4 freewryll snd nonwoblig8tory givirt8 (offering) made by Individ￿79
during mccting5. Individuals give what thcy feel ablc to give by dropping it in5Hlc the offuing box or bo8 during the
Mee￿ng$. No on¢ wh81 aTh)ther per￿) Is 8fvln8 a8 tt Is confidu4ial and fot th08¢ th) have to 8lv¢. th¢re is no
bard f¢¢ling about AL
Inveitiii+iit Polley
Th¢ ¢hariry'$ Memorandum of Association requiRs the Tn￿S ro wtwjlt a financial ¢XF¢rt before investing th¢ ¢harity'J
fiJnd& No investhjents were made duritigthe Mod other dep)sits with th¢ ¢lwity'S b￿￿er%
Rttehve Polley
The trusttts aim ￿ mwntain an amowit on fund wivalurt kn thre¢ monthrf rurniD8 ex￿9¢5. altho￿ this is
dependMt on the level of %kJn&ioM ￿1Ve4.
Apyoved by order of the Fthrd of trusttts on 21 Septanbcr 2022 and M8ntyJ on its behfttf by:
H EmmoDuel-

Divine Arrow of Deliver8ll￿ E
IADEM
forth¢ Year Ended 31 De£￿b¢r 2021
2021
2020
Total
fimds
INCOME AND ENDOWMENTS VROM
Dowions and Iwies
5&127
61.239
EXPENDITURE ON
Ch•rttablt Adivitl¢g
Chweh A¢ttviti¢s
55.306
30.952
NET INCOME
821
30,287
RECONCILIATION OF FUNDS
TotAI fu*d8 broll￿¢ forw*rd
{45,754)
(76.041)
TOTAL FUNDS CARIUED FORWARD
{44,933)
(45,754)

Divine Arrow of
Balance Sheet
2021
2020
Totsl
funds
C.IJRRENT ASSM
Debtors
Cash at bank
1424
2,424
23
1429
2.447
CREDITORS
Amounts ftllirt8 within one ye
(1.5601
{2.399}
NET CURRENT ASSETS
869
48
TOTAI, ASSETS L￿8 CURRENT
LIABILITILS
48
CREDITORS
Amounts faJlin8 after rn￿¢ oneyeaT
{45.802)
(45,802)
NET A￿ET$/{LIABILITNES)
(44.933)
143.754)
VUNDS
10
144.933)
145.7541
TOTAL FUNDS
(44,933)
(45,7541
The th￿l￿bI¢ ¢ompwry is ¢rfiiled to from wdit secti￿ 477 of the Cirfnpwti¢5 Ad 2006 forthe year ended
31 De¢¢mb¢r 2021.
The meml)ers hav¢ required the cry to obtsin an of its finwwl Ma*merfs for the ye* ended
31 D¢¢¢mb¢r 2021 in a¢￿rd8￿ With Section 476 of the Aet 2(KXS.
The truw¢s aLknwl¢dge thelr r¢SN)n￿bIlIti¢s for
ensurin8 thot th¢ thri¢abl* c4)ttw keeps ￿t￿tiD8 rwds th•t ¢(ffjp]y with S¢¢lioM 386 Ind 387 of th¢
Comp8nies Aet 2￿6 •ttd
eparing financial ststern￿ whi¢h give a In￿ aThl fair view of the sthte of *ffair5 of th¢ dwitsbl¢ ￿MpEDY as at
the end of financial yctr and of its gjrplus or deficit for cath fina￿la1 year in accord￿ wth the ￿uIreMents
of S¢c¢iow4 394 ¥Dd 395 and othenvi8e compty the r¢quir•nents of the Cornpanies A¢t 2006 retatirjg to
{b}

Divi
Mini
Arrow of
DIADEM
31 Decem￿r 2021
to the small cornplnies re8imt.
swial on ILS by:
P￿3

nc Arro
Notes to the Ftnanci
for the Year End¢d 31 D¢ttmber 2021
ACCOUNTINC POLICIES
Basls •f the fi##nci#l st*ttthtttts
fllwjcial statcmcnts of thc thnlabk txwwj. is a publi¢ t¢a¢fii untsr FRS IOZ, ha￿ bKD
ptepvd in accordancc with th¢ Clwtli¢s SORP (FRS 1021 'Ac£ounttll8 and Re[￿108 by Chartties: Statement of
Recomrnermled PTaCticc applithk to chaTiti¢S prewing tr*ir x£O￿ts in accordance with the Finartial Reportin8
Standard applicable in the UK and Republi¢ of Ireland IFRS 102) {¢fftctiv¢ l January 20191.. FinwKial Rew)rtin8
StsDd8rd 102 The FinaKia] Rep)rtin8 Sthnderd applicable irt the UK and Republic of Ir¢land ¥ud tt* Compknies
All incom¢ is rvo8nisgJ in th stste￿￿ of Fioanctd Activitie5 onc£ the #rtitkm#tt to th¢ fiJnd& it is
pyobable that the iDWrne ￿11 b¢ re¢¢1￿ the be rne4Ar￿ Teli&bty.
Expe•dlNre
Liabiliti¢$ gr¢ ryi3a as expeTh4itwe x soon as there is • Iwl or ¢*)Nti￿ obliwion eommthng the charity
to that expenditty< it 1$ wobobl¢ that a t[w￿fer of e¢oTh)nuc benefits will be requir¢d in sdtlenKnt and the amount
of the obligation can be meagjrtd reliably. EXp￿dIlure is acC(rtu*￿ for on an a¢¢￿￿$ b￿1$ and h&% classified
Id¢r headings that aw¢g*¢ all r¢l*¢d to the ¢ote80ry. w7￿¢ costs cannot b¢ dire¢dy attributed ty p3rti¢ular
D¢weGiation Is pmld¢d •t tr¢ r•es In Lyder ￿ %￿lte off over its estim￿ w¢ful lif¢.
T•utlfj•
R¢strl¢tyJ can onty E¢ ￿¢4 for pffiicular restrirt￿ purpos¢5 withÈn th¢ objeia5 of th¢ dwity. Regth¢tion8
Further explwMtiOA ofthe n8trJr¢ uwj pwpxe of¢r*h fimd is in the to the fiMrt¢td statements.
2020
720

Divine Arrow of Deliver8ttce E
Fi
for the Year End¢d 31 December 2021
TRusfEES' REMUNERATION AND BENEFITS
31 De¢¢mber 2020.
There were no ttwsted expeTW paid for th¢ year 31 De¢¢nkn 2021 Trjr for the year ended
3 1 D¢c¢mb¢r 2020.
STAFF COSTS
The average nwnber of4ywloye¢5 dwiDgtheyew was as follo￿..
2021
2020
P8&tor
No employe¢s r¢¢dve4 ¢mol¥JnMts in excess of £60.CW.
COMPARATIVFS FOR THE STATEMENTOF FINANCIAL ACTMTIES
Unrestricted
INCOME AND ENDOWMENTS FROM
Donations and legxies
61239
EXPENDITURE ON
Charltable *rtMlle•
Chur¢h Acriviiies
30,952
NET INCOME
30.287
RECONCILIATION OF FUN[
Tol*l f•MdD brn•8bt fornrd
{76,041)
TOTAL FUNDS CARRIED FORWARD
{45.7541
continu￿...

Divine A￿OW of
Mini5tri¢s
livtrance E
IiAic
to the Financial Slat¢rnents-
Ended 31 December 2021
TANGIBLE FIXED ASSETS
uipmenl
Totsi8
COST
At l January 20218nd 31 Decemkn 2021
25.128
8.655
33.783
DEPIiEaATION
At l January 2021 a￿131 De¢enkner 2021
25.128
&633
33.783
NET BOOK VALUE
At 31 Dttember 2021
At 31 2020
DEBTORS: AMOUNTS FALLING DUE WllHIN ONE YEAR
2020
Other d¢lrtor¥
1424
1424
CREDITOILS: AMOUNTS FALLING DUE WITHIN ONE YEAR
2021
2020
1.560
2J99
CREDITORS: AMOUNTS FAILING DUE A￿R MORE THAN ONE YEAR
2021
2020
45.802
45.802
I& MOVKMENT IN FUNDS
Nd
At
31.12.21
At 1.121
in funds
G¢n¢r41 fimd
{45.754)
821
(44.933)
TOTAL FUNDS
(45.754)
821
{44.933)
continwj...

Divine Arrow tsf Deliverance Ev
DIADEM
Financial Statements- eon
for th¢ Year Ended
IIL
MOVEMENT IN FUNDS- contkn￿ed
Net n))vemetll Ill fimlts, Included in the above are as follows.,
Incoming
resources
Rc50urce5
expend¢d
Movement
in funds
Unrestrltted fwids
Gen¢Tal fijnd
56,127
(55,3061
821
TOTAL FUNDS
56.127
155,3061
821
CtsmpAr*thd for mov¢meD¢ kn fullth
Net
At
31.12,20
At 1.1.20
Unr•strleted
Generai Illl
(76.041)
30,287
145.7S4)
TOTAL FUNDS
(76.1)411
30287
145.7541
Comparative net mov¢men¢ in fiumls. Includ￿ in the aljove are 88 follows..
Inwmins
resourc¢s
Resources
¢wnd
Mov¢m#nt
in funds
Unrertrieted
61.239
(30.932)
30287
TOTAL FUNDS
61.239
(30.952)
30,287
A cuuent year 12 nwnths and prioryear 12 months combined position 1$ 8$ follows..
Net
movern¢nt
Sn fjjt
At
31.12.21
At 1.1.20
UnrestTlcted fund$
Gen¢ra] fimd
{76.041)
31.108
(44,933)
TOTAL FUNDS
(76,041)
31,108
{44.933}
Pege 9

Dlvine know of Dcliv
Notes to the Financial Statements-
or
Year Ended 31
btt 21)21
IQ MOVEMENT IN FUNDS. eo)thued
follows:
Incoming Resourttt Movement
Unrtstrkted fi￿dry
117J66
(86238)
31.108
TOTAL FUNDS
117J66
(96,2S81
31.109
RELATED PARTY DISCIA>SURL8
P4e io

DIADEM
Detailed Ststement of Financial A¢tivitL¢S
for th¢ Year F.n
2021
2020
INCOME AND EIYDOWMENTS
Don8tlOnS gnd legaclu
Donations
56.127
61.239
Totsl IDcomlDg reaollret
56,127
61,239
EXPENDITURE
Ch•At¥bl¢ Ietfvltl
Insurnnce
Rent
Repairs And m&int¢n8n¢¢
ConftTence eXpeT￿¢#
Vgrt rentsl
2225
18.750
379
2.886
3.930
569
13.500
1,953
332
3.675
28.170
20,029
Support eojts
Management
Ll8lJt ond h¢ot
Telephone
Coinputer exp, rtntat & IT
Sundry Expenses
Travel expense5
Staff and tru8te¢5 trainin8
1.534
3.859
2J29
1924
1295
14.01
4,571
I,￿8
315
1,263
1,500
26.141
10.203
Vlnanee
Sundries
155
Govtrnxtttè e•
Auditors, r¢m￿¢T￿tIon for non &uditWOTk
840
no
Totsl r¢gour¢¢s ¢xp¢nd¢d
55.306
30.952
Iyet IDeoD
821
30287
This page does not fomi part of thE Statutory fitwKial S￿erne￿ts
Pagell