REG1STEREDCJIArtrTYNUMBS￿ 11429>3
ofth•
and
B2nnevJth2018 Urn
V8 AJ senne￿ &C•
UpperGrcund Fkior
18Fimham RoÈd
fjulldfard
SurrÈy
6U14YA

AFM
OZ3
ReportoFtheT¥uste•5
IndepehdentRumI￿r￿RtpOrt
StatementofFl￿ntsa1Ac￿¥ttIEs
•lantoSh8èt
Note5totheFinan(Fal ststements
Detalledstat4ffteErtOF￿1AthlkneS

IM
ASSE
LY
thoy rEnded 31
The trE￿ Dresent the￿ reptsrt theflnan¢val thtem8nts of the chirTtyforthè yw @hded 31 M¥¢h 2023. The trustrÈ*s
h6vÈ ?dopt¢d the pro￿$10n5 of Accounting aad Reportlng by th4riUes.. Statement of Rectsmrner￿ed PracM¢e appjlcable t(>
rhaiiUes p￿￿rtne their accthnts In artsrdance wlth Ihe RTr8ncial Repo,tn8 Srand8rd applitsble in the UK 8nd Republlc of
Irejand (FR51021 lelfEctrweiJanuiry20191.
STrfftIR¢GUVERNAPICEANDMAPIAGEMEMT
ThetharStyiso)ntrolled bytsgovÉrnlnRdotumeDL 3 deed oftNstaDd cor￿ an tharlty.
PUBUCBEhTEFrr
The trustees have (yJnsKlered the tharTty Commlss&irfs gtslaartce on pllbr￿ benefft Includlng th$ guidance 'publlc ben
nDinga chèrftyipB2r.
FJfiANCIALREillEW
GoIng¢0￿M
The trusteES are sadsfied thit th*p 8re m material uneertsinttes about rhe thart¥& •biltty to cwtlnue and it maintslrL% a
sufficiertlevel rfre*rve$t05UPPOrtits ongoingwork
srATEMEPnOFYRUSTEES RESPONSIBJurtES
Ch6rity IEW reqvirds the trrtstees to prepars irt respettof eath ftNan¢ial year of the tharftyi statemÈnt of a(¥cunts ¢ompWng
wlth such requiremetts a> to rts form awl ¢￿￿ten￿ as rnav be Wcribed by Teéulations mad¢ by the seuet4ry olskn. In
preparfngthoSefinèn(￿1IststeMeThts.thetr￿SttteS£￿.,Lvul￿￿ts."
$dÈctSUitable attovnttngpolidesandthkn applvthem 0)n515t￿￿.
mske judgmetrts 3nd estimatesthatareTeasonablEand
prEPare the tlnandal 5tstÈments ￿ th2 golng concem ba$i% unless h 15 Inapproprrdte to prewjmt that th¢ ¢harlty wll
c4Thtinue in businesg
The tnthes are respott￿ble for keep￿$ prO￿r aceountin¥ reC￿rds which digd05e wkh reasonable acojraty the
flnan(i31 POSitEon of the tharty and te enabl&th*Th to e￿￿rethat￿È￿Damal Stat￿nents comp￿￿[th the CPfjritTesAct2011.
They*re th rewnslbleforsafeguardlngtheassetsofthethaity andhEnCe rOr&￿ngre4sO￿bl￿StepstsrthÈ pre￿tiOn and
￿er￿￿Or) trffrdlld andothEfifregul3ffties.
8EFEREN(EANDADMfN1STRATfVED￿A1[s
fietster￿ Chaffty￿urntser
11429U9
ASntipal•ddrgts
16Gtsodwood Road
P￿te￿aC¢ %VF626A
Cmtssw lappointsdJ8nuary2U241
TN￿nd3 (appointedju￿2o24I
K Ndou lappolntedJuty2D241
TM4nyewe
Ffjuve
K Manduth
Approved byorderoftheb¢ardoftrusteeson..-
and..1￿ed on tts behI￿bY..
-TrLtske
Pd8e I

ndent Examiner's Re
AF
rt to the Truttees of
LEEDSASSEMBLY
IM
UK
Independent examiner's report to the trustees ofAFM IM IUKI LEEDS ASSEMBLY
I report to the charity trwtees on my ex3rnination of the 8ccDunts of APOSTOLIC FAITh MISSION INTERNATIONAL MINISTRIES
IUKI LEEDS ASSEMBLY Ithe Charityl for the year ended 31 March 2023.
Responsibrfities and b¥515 of report
As the twsteès of the Charity you are responsible for the p￿paratIon of tho accounts in accordance wtth the requirements of
the Charities Act 20111'the Att'l.
l ￿port in respect of my &x8mination of the charity's accounts carried out tsnder Settion 145 of the Art and in carrying OLft my
examination I have followed 211 applicable Directions given by the Chartty Commission undersection 1451Sllbl of the Act.
Independent examinèrfs statement
I have completed my examSnation. I confirm that no matters have cometo my attention in CDnnection with the examination
giving me cause tg believe:
accounting records We￿ not kept in respett of thè Company as ￿Qui￿d by Settion 386 of the 2006 Act: or
th& accounts do notaccord with those records,. or
the accounts do not cornplywtth the accounting requirements of Section 396 of the 2005 Att Other than any requiretnent
thatthe accounts give a truE and fairview which is not a matter considèred as part of an independent exarnination,. or
the accounts have not b&Èn prÈparÈd in accordance with the methods and pr5nciples of the Statetnent of Recomrnended
Prnttice for accounting and repDrting by charitiÈ£ (appli￿ble to charities preparing their attounts in accordance wtth the
Financial Reporting Standard applioble in the UK and Republic of Ireland IFRS 10211.
I have no concem5 and have come across no other matters in connection with the examination to which attention Should be
dTrwn in this report in orderto enable a proper understanding of the accounts to be reached.
AJ Bennewith FC4, FCPA, FF4 FIP& DChA, FRSA
Upper Ground Floor
18 Famham RDad
Guildford
Surrey
GUI 4XA
Date=.....
Pase 2

AFM
EDS
Inanthal
J Mari'%2023
èYearE
Unrestrfttpi
fund
3L3.23
Total
313.22
Totsl
funds
INCOMEANDENDOWMENTS FROM
DofiatTonsand l¢gar4es
NotEs
9381
knvestmentincDm
9￿&1
Total
71
123
9,381
9.452
E¥PENDmiRE ON
rtsbleaLthi&Èg
ovemance
15.796
16A03
Total
15.796
17Xs
NEfiNCQMEI(EXPENDnUREi
IS.3441
P,$941
RECONCIUATrON OFFUNDS
Totalfunth brou8htforwariJ
io.
68.950
75￿¢
TofALFUI4DSCARRIEDFORWARD
3,785
5&8n
61606
68950
ThEnDtesform partofthEsefinaniialstatements
Page 3

Bala
Marc
Unreth￿, Restricttd
fvfid
fund
31323
Totsi
funds
31.3.22
Ttxal
nds
RXEDASSETS
Tan@blt a$5ets
Note5
Z.911
2,911
3,661
Cash at bank
tR￿￿oR$
se,￿1
61095
6S,489
12,4WI
NEYCURRENTA5S
824
s8￿n
TOTALAsSETS￿CVRRENT UABIiITIE5
3.735
58,871
68.950
￿Er￿E[S
3,?35
FUND5
un￿￿(ted fvnd5
Restrletedfvt)ds
68,950
3.735
58*71
lo,￿0
54800
TiJfALFiIN
62.606
68J50
The finandalststementswere apprwed bytht Board ofTnLFtee5and authDrtsed ftsTissue on..
and wkreswed on its behajfby.. Lt41 ÉtszA nAT&&f',
i.ol1.1.1.7o.zfi...
Tru#ee
The notesform ￿rtQfthQsefln8￿dal tht&metrt5
PaEe4

ear
ACCOVNnNG POUCIES
B* 0fpryi￿ngthefInan￿￿ 5tr4n*nts
Tre fiTranual statements of the tharfty. Wnlch is a publlc nentr7rt entty under Ffts 102, have beeft prepared in
cOrdanTrw￿h the ChaAtiesSORPIFRS1021'Aecountin8ind RoporttngbyfJ8riUe5'.5tstÈmeitof Recomme￿d
P￿ctiCe appllcabl* to thathes preparing their acojunts in ￿￿ordanCe vjlth the Financial Reporvng 5tand8rd
applDble in the UKand Republlcof IrelBnd IF￿$102} leffert￿e Jantsary20191'. Fln3Jyoal ReportinKStandèrd102
Yhe Finanual Repartsn8 Stsndard appliGble in the UK and R¥abllc of IrelaTrd' and the charIb￿ Art 201L The
Iln8ndalstatements haveb*n prep8red vnderthe historical W.conven￿¢Th.
lft¢omp
11 u)rome L¥ reo)Èn15ed In the5tatpment of FihaTrual AttTvibe5 011 ￿ the tharfty has e￿￿e￿IentI0 the funrf4 Itl$
probabletlthttheinrome wlll be r¥ewed Ènd the amDunt¢an be mea5tsredrdiabty.
Ey4)entrthi
Uabllthes are recD8ntsÈd 45 expendlture * soon 3$ there ￿ a leeal or cDnstNCtye obtwtion eornmittlng the
th3rityto that expendituw ￿ is probable that £ tr4nsfa- of ecDnomic bénefts Will be required In $ptyÈrnent4nd
the amourtof the ¢￿￿￿tIon be mÈapJTpd relièbty. £￿endrtL.-￿ ￿ 3CCOUlltedforoD èn 3¢Cnja￿ bas¢ and h¥
been cia5sffi*l under headings that aggre￿te -li Cost tr> the cateÈury. Where costs t>nrtot be &ire¢dy
attributed to parricular htddljws they have been èllocated to -ctti4tyes on a bas￿ rDns15tet)t wth the use of
DÈpre¢katson i% provfdéd atthÈfollowin8annual rateS1￿ord2rt0￿.fft Off e8tha$5etoverks thrnated uSefl￿ Irf&
Compu*requiprnènt- 15% Rsduongbalan
Mxture5andWngs- 20% keduclng b)lanr
Plantanil mathinery- Z(l% Reducingbalan
ThethartyL% exémptfromtaxoo its tharf*bleathitse$.
Fund ar£o¥n￿n
tJnrtsMtted A*Mdsttn be uséd in accwd•ncÈwtththethrltabfe ob.ecdve5atthe disvètionolts*trtEsree
R*tttEdfunds (zn onlybeu5edtrpirtlcuLgrrÈstrirted purp4s&¥ivithin the objects ofthe ckrfty. Réstricrt
arfsewhen SPQdfied bythpdonor orwben fvnd5 arera￿ed forpartirufarr&strtted purp
Furth¥wLgnatyDn ofthe natyr¢and purpo5Q Df eachfund ts indudÈd inthenDtestothefin8nctsl£tatsmertts.
PRge5
contInUe￿..

¢141
ded31 N¥arrthL23
Year
INVEsfMENYINCOME
Dèpositaccount Interest
31.3.Z3
31.122
71
123
TftUSYEES'REMUNERAnONAPID BEPIEFIYS
Therewere no trustees. remunÈr4Uon or othtrbenefits forthe I￿1r￿ded 31 March 2023 norfOrthp￿rQnded
31Mvth 2032.
There wwen¢ tru#eÈ%' pzldforthoyearended31 March 20￿ norf0rtheyear￿dedal Marth 20>.
COMPARATIVES FOA ThESTATEMEP￿OFANA￿ClALACrIVrnEs
fund
Total
fu￿d5
INCOMEANDSNt*XVMENTSFROM
Donationsand lepclES
IDve5trnentincom
5.106
123
EXPENDttUREON
Charitableo(ttYitlE5
vemanc2
16,403
J6,4tr3
820
Ttstsi
17223
17.2Z3
NETINCOMVIEXPE14DITURE)
18,117)
(7.9941
RECOllaUAT]ON FUF4DS
Total fiJnd5bre￿￿tforW￿rd
Ig,267
58.677
7$￿44
TOTAL FLINDSCARRIEDFORWARD
ID,
68,950
¢onttnu4d...

Year
-ton4nued
rch
TANGI8tEFlX￿AsSETS
Plantznd
Tnachlnéry
and
flttTna¥
Computer
equipment
Tat*k
AtIApril 2022 and31 March 2021
6.204
DEPREQAMON
AtIAprf12022
090
354
14A29
750
90
At31Mar¢h2023
NEfBOOKVALUE
At31 fvlarch2023
,17S
270
At31 2021
2Jll
I￿32
360
CPEDJTOP&.AMOU%tsFAUING DiIEwmriN OPIEYEAR
31.5.23
Otherve4ttor5
3L3.22
MOVEMENTIN FUND5
N*
movement
infunds
At IA22
At
3L3.23
Géneral frjnd
R*strfGtedtsnd5
Buildin8Fund
16.41SI
TUfALFUNDS
68,950
16344
62.606
Page7
rontinued...

BL
ta
heYe3fEnde
MOVEMÈKfiN FUNPS-corttnued
Netmovement In funds. Inelud4d In theabfft•re65follows.'
Rèsour
resources Expended
Movement
funds
Llnrestrthdfun(ts
Generèl*Jnd
9381
1¥.79
16,It151
Buildln8Fund
71
71
TOTALFUNDS
9,452
Comparati￿&for￿Qv¢rn9nt[nfun￿s
Net
mDvement
(Dfvnds
At 1.421
At
31a.22
Unf85tri(tedthnds
Senetalfund
18.267
18.117)
Bulldin8Fund
58,6
58,800
TOTJIFUNDS
68.95D
Compar&￿￿etm0vefftertJTh fvllds.ln￿d¢d In thetbove?re8sfciiows=
lft¢omi08
Resour
wnded
M(p4￿￿ent
in funds
Llnre5trirterffur
General fund
9.106
117.2231
18,11
BulldlngFund
123
TOTALFUIIDS
Thebulldwgfvnd i5 tstsblt5hedts T￿InkIn th&thuT¢h buildlng
Pale 8
¢onttnued..

MB
tt31M
Therewere ￿ r48ted partytr3nK4¢JonsforthEYear￿ded 31 Ib4arch 2023.
Page9

MIM
sledStBtementof
nan
21
31.3￿3
313.22
INCOMEANDENDOWMEf415
onatlons4nd knta%
Donations
9381
9.106
DoWSit3¢tount Interest
Tw411n¢umin¥restsur4s
9A52
9229
EYPÉNiJrfuRE
thtrbbloa¢twJtTè5
DiretttharptableacUvEty
DonatIo￿90lltWayts
TTrh*l e05ts
Retmitfets
Wages
EmployeTspeM5jOn
Storage
&software
Sc¢ial andfax
Waste
t4all hirg
Depreoamon onasssts
Sundryexpenses
Pu5tsge, printing&Ststi¢n￿V
Honor3riums/8ift5
Cunlerencts/semTna
1,137
112
3,756
850
5,230
750
945
1531
tpport¢osr¥
la￿16
Is
ountrntyand SndependentVX4mtnee5fe¢
Totsl re5Durre5 exp￿ded
￿etP￿1#d[l
15.798
Ihts doesnDtfurm p3rt ofthest*Jtoryfin3DialsttteYnents
PaBèio