Registered Chant%. lunjber :_ 1148614
THE GLORY OF GOD MINISTRY INTERNATIONAL
TRUSTEES. REPORT
FINANCIAL STATEMENTS
FOR THE YEAR END
30 November ?023
38 Portsea Road
r￿bllry

￿￿ERNATIONAL
TRLSTEES'REPORT.........................
INDEPENT)ENT EXAMtNTR'S REPORT............................................................................................................
STATEMENT OF FtNANCIAL ACTh7￿s......................................................................................................
BAL￿NCE SHEET................................................................................................................................................
NOTES TO THE FIXJLNCIAL STATE￿N￿s.....

￿￿ERNATIONAL
Report of the Trustees
The trustees wesent their report iiith the financial statements of the chariTh" the l.ear end set out in th
report
Principal address 38 Portsea Road Tilbun- Essex ￿￿18 SJLY
Trustees During the 1.ear under relie
Rei". E M AntThi: Rei" Pangani Mcnight ThipL. Dr Boniface Chimpango: Parricia Shengena and Daniel
Semii'enda
At the time of accounts signing: R￿". E M Annii: R￿. Pangam Mcnight Thipa: Dr Boniface Chunpango:
Patricia Shengena and Dawel SemTh"enda
Independent examiner - Martin MorTiSt)n & Co Ltd Lnit 43 The Coach House 66 70 Bourne Road Bexle!"
Kent DA) ILU
STRI CTLryiE, GOI"EILN.&NCE .INT) .}￿NAGE_￿IENT
Goi"erniDg document .' The chan"ti" is c¢)ntrolled bi" its goi"erning document. a deed of trust. and constitytes an
unincorporated clwitN'.
Risk management: The trustees hal-e a duti" to identifi- and rei-ieTr" the n5ks to Th4ll"ch the chariti- Is exposed
and to ensure appropriate controls are th place to proiide reasonable assurance aoauLSt fraud and error.
Re5en-e PolicJ-: It is the poh.￿, of the board: taknng account of the lei.el of Erants receii.able from i7rious
nders: to seek each l.ear io maich thcome and expendifufe and to ai'oid accumulating a deficit: such that The
GloTh, Of God ￿￿"$trI. International is able to continue suCcess￿ll1. its ii"orL
ApproN"ed bN' Ord￿ of the board of trustees and signed on its behalf ￿.
R￿. Pangani Mcnight Thipa Tnjstee

￿￿ERNATIONAL
Independent EiamiDer'5 Report to the Trustees of The Glon- Of God IIinistn- International
I report on the accounts for the N"ear end set OUT in report.
Respeclii"e responsibilities of trustees and examiner . The chan"Th- s trusrees are responsible the
preparation of the accounts. The chatiti" s m15tees considLY thar an audit 15 not requ￿ed for tEll"S l.ear (under
Section144(-) of the Charities Act 7011 (the )01 l Act)) and tbat an ULdepelldellt exanllnats¢)n is iequwed.
It is MN" iesponsibth"ti- to"
- examine the accounts under Section 14) of the ?01 l Act
- to folloii" the procedures laid doitn in the General D￿ectionS gii.en b)" the CharifN" Con)mission (under
Section 14i(i)(b) of the -)011 Act):. and
- to state ii-hether particular n]atters hai-e come to m!" attentiorL
Basis of the independent examiner's report . M!" Lxamination 117s carried oui in accordance i1.ith the
Genual Directions gii.en bi" the Charitt. Conunission. An e.Yamination includes a rei"ieii' of the accounting
records kept b!" the chatin- and a comparison of the accounts presented ii-ith those recoids. It also mcludes
consideration of ani" unusual iten)s or d￿ClOSure9 in the accouats and seeknng explanations from N"ou ￿ t￿Stee$
concernjng an!" such matters. The procedures undertaken do not proTh-Ide all the ei"Idence tbat ii-ould be
requ￿ed in an autht: and consequentl!" no opts]ion is gii.en as io ii"hether the accounts present a'true and fair
ieii" and the ieport is lllrllted to those matters set out ￿ the 5taten]ents beloTh-.
Independent e12miner's statement: In connection ii.ith mi" e_L￿n￿￿TIo0 no matter has come to mi"
attention" lllll.ch gil-es me ieasonable cause to beh"ei"e that: ￿ an!- matenal respect: the reqU￿ementS
to keep accountmg records ￿ accordance iiith Section 130 of the 2011 Act: and
to prepare accounls ii'lu"ch accord iiith the accounting rec￿d$ aad to complN' iiith the accounting
requ￿ementS of the 7011 Act
hai"e not been met" or to i1"￿"c￿ ￿ MN" opm10￿ attention should be draiin m order to enable a proper underStand￿E
of the accounts io be reached.
Martin mo￿ls1)n & Co Ltd
Unit 43 The Coach House. 66-70 Bourne Road BexI￿. Kent DA) ILL .

￿￿ERNATIONAL
Recommended calegories
bi" actiiih"
I nrestricted
funds
Total Funds 2023 Total Funds 2022
Income and endowments
from:
Donations and legacies
25.929.(M)
2i.929.C
39.131.00
Chan"table actii-lties
(joo_oo)
tni"estments
46.00
46.00
Tot21
2?.97i.00
2S,975 00
38.931.00
Expenditure on:
R￿S￿g funds
11.4i6.(Ki
11_4i6_00
13_i5i_50
CFLan"table actii-lties
16_609_00
16,609.00
20.187_50
liO_OO
liO.I)O
Tot21
2Sali.00
2S ?1* 00
33.", 43.00
Net lncomej(e￿enditllre)
(2240.00)
(2240.00)
5,188.00
Net moi-emeDt ID funds
(2240.00)
(2240.00)
5,188.00
Reconciliation of fund5:
Total funds brought forTh7rd
18_790_00
18_?90.00
13_102_00
Tot21 funds carried
forn.ard
16,050.00
16,040.00
18290.00

￿￿ERNATIONAL
Recommended calegories
bi" actiiih"
I nrestricted
funds
Total Funds 2023 Total Funds 2022
Fixed assets
Tangible assets
4il_OO
4il.00
2.00
Tot21 fixed assets
4il.00
4$1.00
Current assets
Debtors
io
2i_031_00
2i_031.00
25_031_00
Cash at bank and m hand
li
10_039_00
10_039.00
12_97i_OO
Total current assets
3$ 070.00
35,070.1)0
38,006.00
Creditors". amounts falling
due ii-ithLn one i.ear
12
4.187.00
4.187.(M)
3.407.00
Net current
aSset￿￿'abl1lltie5)
30,883.00
30,883.00
34 $99.00
Total assets less current
habilitie5
31J34.00
31 J34.00
34,601.00
Creditors". amounts falljng
due after one l.ear
13
lj_784_00
li_284.00
16_311_00
Tot21 net asset5 or
labilities
16,0£0.00
16,OSO.I)O
18290.00
Funds of the Charih-
Unrestricted funds
14
16_OiO_OO
16_OiO.00
18_290_00
Restricted income fimds
14
Endoiiinent fijnds
14
Total fund5
16,OSO.00
16,OqO.00
18290.00
The financial statements ii.ere approi.ed bN" the Board on )7-SqF_
?024 and signed on its behalf bv:
Rei" Pangani Mctught Thipa- Trustee

￿￿ERNATIONAL

￿￿ERNATIONAL
l Accounting Policies
1.1 .4ccounting Policies
The W￿C1paI aCcoUnt￿g p0￿cLeS adopted bs" the CharitN". I14ll"ch ts a pubh"c benefit entiti": ￿ the preparation
of the accounts are as folloiiB.
Incoming resource5
All ￿Coln￿g resources are llLcluded on the Statement of Fllknincial Actilities ii.hen the charitv ￿ legall!,
entitled to the income and the amount can be quantified Mith reasonable accura￿..
Resources expended
Expenditure is accounted for on an accrua15 bas￿ and ha5 been classified Ulld￿ head￿E9 that aEgregate all
cost related to the categoTr". 111]ere cosis cannot be drectl!" atrributed to particular head￿g$. the!" hai"e been
allocated to actiTh-Itie5 on a basis con5￿tent Trith the use of resource5.
Tangible r￿ed asset5
Depreciation s proTh-llled at the folloThinE aTmual rates m older to IlTlte off each asset Oi-LY it5 estllnated
use￿1 life.
Taxatio
The chariti. is exempt fr(Im tsx on its clwitable actii"ities.
Fund accounting
Unrestricted fimds call be used in accordance the clwitabie obJ'ectii"es at the discretson of the trustees.
Restncted funds can onlN" be used for particular restricted pu￿Se5 Th"1th￿ the objects of the chatiti".
Restrtctions arise iillen specified b!" the donor or iil)en fi￿d$ are Ta￿ed f￿ particular restricted purposes.
Furrher explanation of the nature and purpose of each fijnd is included in the notes to the fU￿]CIal
statements.
1.2 Basls of preparation
These accounts hai"e been prepared under the h￿torIcaL cost coni"eatioo as modthed bN" the inclusion of
cILantable properties and fLxed asset ini"estrnents and ini"estsnent prop￿e$ at 171uation.
These accounts hai"e been prepared m accordance Thith ""AccoUnt￿￿ and Report￿￿ bN" Chan"ties" Statement
of Recon)mended Practice applicable to chanttes prepanng their accounts ￿ accordance iiith the Financial
RepOrt￿g Standard apphcable ￿ the and Repubhc of Ireland (FRS 10?):" (effectii"e l Januars. 7019) -
(Clwities SORP (FRS 10))): tbe FInanc￿L Reportmg Standard apphcable ￿ the and Repubhc of
tfeland (FRS Ioj) and the Charitses Act 101 I
These accounts are presented in pounds sterljng and rounded to the nearest pound.

￿￿ERNATIONAL
1.3 Going concern
The Trustees hai"e prepared financthl ptojethon5: taktho ￿t0 consideratton the cutrent econonllc conditions
and hai"e. at the tune of approi.iog these account5: a Teasonable expectation thar the charirn" has adequate
resources to COnt￿Ue ￿ operational eustence for the foreseeable tuture. Thus theN" contmue to adopt the
gomg concern basis of accounting th preparing the accounts.
1.4 Income from donatlons or grants
Income from donations and ￿allt$ is recognised iithen the chariTh" is entttled to the fijnds: the receipt is
probable and the amount can be measured reh"abh.. For donations: 15 usuallN" on rece4)t. For rnts: thi.s
is Usualli. ii.hen a fonnal o er LS made m iiTlting. If a donation or grant contains terms and condilions
outside of the clwity" s control iitu.ch must be meT before the chafits" is entiTled to the fi￿d$. or rfthe donor
specifies that the funds must be used ￿ future tllne periods: then the ￿Come is defeffed.

￿￿ERNATIONAL
2 Income from Donations and Legacies
I nrestricted Restricted
funds
income
funds
Endo￿l￿ent Total funds
nds
2023
Total funds
2022
-&Dah￿]S
Buildmg Fund
liO_OO
lio.
440.00
Donatton and gifts
2.500.00
General grants
proi.lded bN"
Goi.e[n￿ellt other
charities
9.990.00
Offenng
1.22S.00
1,228.IXI
2.439.00
Other loluntars"
Income
17.331.0
17.331.0
11.084.00
Seed
i0.00
iO.IXI
loo.00
Support for the Needl"
2.00
Thanksgii"ing
40.00
40.(KI
50.00
Tithes
7.130_00
7.130.IKI
1? 5?6.00
lj_9?9_0
? j.9?9_0
39.131.00
io

￿￿ERNATIONAL
3 Income from Charitable Actii-ities
I nrestricted Restricted
funds
income
funds
Endo￿l￿ent Total funds
nds
2023
Total funds
2022
-&Dah￿]S
Pratse and 11 orslll"P
(200_00)
(200_00)
4 Income from Ini-estments
l-nrestricted Restricted
fllnds
income
funds
EDdoiFment Total funds
funds
2023
Total hnds
2022
.￿nah￿IS
Interesi income
46.00
46.(Ki
46.00
46.(Ki
li

￿￿ERNATIONAL
S Expenditure on Raising Funds
Total funds 2023
Total funds 2022
-In3h￿IS
Staging ffiJndrais￿g
ei"enTS
163.00
281.00
Adi"ertising.
Market￿￿. d￿ect maa
and publiciTh"
22).00
1.299.00
Rent collectio
propem." repairs and
rna￿tenance charges
9.562.00
10.056.00
Entertallllnent &
Music
500.00
Support Costs
l_i06_00
1_419.io
11.4i6.00
13.5i5.iO
6 Expenditure on Charitable Actijities
Total funds 2023
Total fund5 2022
Anah"sis
Interest paN-able
i￿.00
iOO_OO
Bank charges
1￿.crf)
72.00
Honorarium
12.i41.00
HOIN" COMMU￿On
Costs
72.(Kl
Project Costs
2.000.00
Church Actii"the5
2.i99.00
olunteer Costs
i76_00
Membersknp
70.00
Support Costs
3.396.00
14.370.50
16_609.00
'O_IS? io
12

￿￿ERNATIONAL
7 Support Costs
Total funds 2023
Total funds 2022
Anah-sis
so￿17re and Ilebsite
Costs
1.3i?.(Ki
623.00
Insurances
4i2.(Ki
415.00
Trai"el and
Accomtnodation
9i8.(Ki
i.ioo.00
Education & Training
Costs
2iO.
474.00
SundT)'
20.(M)
109.00
Postage and stationeTr
118.00
Goj-ernance Costs
Accountants fees
l.iSO.LK)
780.00
11 elfare and
refreshmellts costs
310.
1? 171.00
4902.00
14,790.00
8 Other Expenditure
l-nrestricted
fullds
Restricted
income
funds
Endoiyment Tot21 fund5
funds
2023
Total funds
2022
-In3h￿IS
Deprecianon Charge
for the Year-
Computtt Equipment
liO.IXI
liO_OO
l iO.IY)
liO_OO
13

￿￿ERNATIONAL
9 Tangible Fixed Assets
9.1 Cost or I"aluation
Fixtures & Fittings
Computer Equipment
At 01 December 2022
400.
600.00
Additions
599.00
Disposals
Rei-aluattons
Tra￿Sfer5
At 30 ￿01"ember 20?3
400.00
1.199_00
9.2.4morti52tion and impairments
FI￿￿e5 & FittiD85
Computer Equipmellt
At 01 December 2022
399.(M)
599.00
Additions
liO.00
Disposals
Rei-aluattons
Transf￿$
At 30 Noi"ember 2023
399.
749.00
9.3 let book i.alue
Fixthres & Fittings
Computer Equipment
At 01 December 2022
i_oo
At JO Noi-ember 2023
4iO.00
10 Debtors: Amounts falling due within one year
Total funds 2023
Total funds 2022
Other debtors
2i.031.(H)
25.031.00
?i.OJ l.(Ki
2i_031.00
14

￿￿ERNATIONAL
11 Cash at bank and in hand
Total funds 2023
Total funds 2022
Cash ar bank and on hand
10.039.(h)
12.975.00
17_97i 00
12 Creditors: Amounts falling due iyithin one year
Total funds 2023
Total fund5 2022
Accruals and defuTed income
780.(K)
Other credit￿5
3.407.(M)
3.407.00
4.187.(Ki
3.407.00
13 Creditors: Amounts falling due after one year
Total funds 2023
Total fund5 2022
Bank loans and OTh"erdrafts
lj.?84.IKI
16_311_00
784 00
16.311.00
15

￿￿ERNATIONAL
14 Charity funds
14.1 Details of material funds held and moi-ements during the CLIulE￿ reporting period
Fund
Fund
balances
balances
brought
carried
forn.ard
forn.ard
Income
Expenditllr
Transfers
Gains and
losses
Fund names
I nrestrict
ed funds
IS.:90_00
9" .00 (?S_:li.00}
16_OiO.00
Total
IS.?90.00
?j_97i.00
?8_?li.00)
16_OiO.00
14.2 Details of material funds held and moi'ements durino the PREI"IOLS reporting period
Fund
Fund
balance5
balances
brought
carried
lornard
forn.ard
E￿endItUr
Gain5 2nd
losses
Fund names
Income
Transfers
l Drestric¢
ed fuDd5
13.10?.00
i8:931.00 (33.743.(M))
18.?90.00
Total
iS:9i 1.00 (i): 14 j.00}
18. 790.00
14.3 Transfers behyeen funds
This lear
Amount
Betti"een unrestricted and restricted thds
Betti"een endoiiThent and restricted fijnds
Betti"een endoiiThent and unreskncted fimds
Last lear
-4mount
Betti"een unrestricted and iestricted funds
Betti"een endoiiinent and restricted fimds
Betti"een erldoiiinent and unrestricted fimds
16

￿￿ERNATIONAL
17