Charoiy Reg15tratlon Number.. 1148899
Company Reglstratlon Number.. 08140761
KICC THE LIGHTHOUSE
A COMPANY LIMITeD ey GUARANTEE i
TAUSTEES, RepoRT
AND
FINANCIAL STATEMENTS
FOR THE YEAR ENDED
31 JULY 2025

KICC THE LIGHTHOUSE
LEGAL AND ADMINISTRATIVE INFORMATION
FOR THE YEAR ENOED 31 JULY 2025
S Nolbl
W A Yankey
Charle5 Coker
Charlty Numb•r
1148899
coM￿nY Numb•r
08140761
R•9Ixt￿d Offl¢e
KICC PFiAYER crry
BUCKMOAE PARK
CHAThAM. KENT
ME5 9QG
Indep•nd•nt Emmlnar
Rachel Challe5 & Co
9 Macleod Close
Grny5
AM17 5RD

KICC ThE LIGHThOUSE
CONTEiwrs
FOR THE YEAR ENDED 31 JULY 2025
TTUStees' Report
Independent Examinerfs Report
Statement of Finèndal Activltles
Balance Sheet
Notes to the Hnanclal stateM￿ts

KICC THE LIGtrrrHOUSE
TRUSTEES, REPORT
FOR THE YEAR ENDED 31 JULY 2025
The tr115tees present thelr artnual report and finonclal Statern￿ts lor the year ended 31 july 2025.
Trust•e's report llnanclal stat•m•nts
The trustees who are also dlrettors of the chorfty for the purposes of the Companles Act 2006. present thelr report
wlth the f6nanclal 5taiements of the charfty for the year endt(131 july 2025. The trustees have adopted the prov151ons
of Accounting and Reportln9 by Charitles- 5tstement ol Recommendeij Prathce applitable to charltles preparing thelr
ccovnts In aecordance with the Anandal Reportlny Standard applicable In the UK and Aepubllc of Irel•nd IFAS 1021
leffectlve I january 20191.
OBJtcrivES AND ACTivmES
ObJ•rtlv•s and alm•
The maln object lof whlch the Chority Is establlshed Is the advancement of the chrIs￿an religlon.
The other oble¢ts are
l. For the benefit of the pu￿1(.
2. The lurtherance of th* charltable work of the church by the advancement ol such other Cha￿tsb1e purpose$ 0$ the
trustees shall from tlme to tlme declde.
Slgnlfi¢•nt •ctlvltl••
We held a meetlng for 18.35 ye•r tllle ' My destlny calls, •nd also programmed to help arten¢Jees become
flnanclally stable.
Duflng the yejr, the chadty Con￿nutd provldlng lood Items and tolletrles to a lood bank In Enhèld to support thelr
work In reachlng Qut to the communlty
We contlnLtres io rnn workshops lor w¢Jmen In p•rtntrship wlth other charfiles and or9anlsatlons locally and natlonally.
We ¢elebrated Mothefing Sunday and •150 Fathers day wlth glfts and re50urce5 for varfjous members of the local
communlty In attendance.
We Iteld a 'Back to School. serylce in September 24 where we hèld talk5 for chlldren èrtd teenagers.
We had a fomlly fun doy In the August 2024 which was open to Ill members of the local ¢ommunlty.
Publlc b•n•flt
The charlty benefits the publ1¢ by prowdlng servlces such as toun5elling to lamllies. students, be￿aVed persons,
those In financlal diffitvltles. prayer support. men and women meeting5 and events for everyone in the communlty.
$0 the charity produces and promotes religl¢Jus books and tapes ond CO'S for ￿lS￿but10n to the general publlc.
ACHIEVEMENTS AMD ￿nFoR*•ANcE
Ch•rttabh •rtlvltles
Thtcharity has been working Wlth the local communlty to pro¥lde assistènce andsupport at commLtnlty events apart
from its regular services. meetlftgs andc￿nse￿In9 se$5ion5 in groups and to individuals.
FINANCIAL REVIEW
Flnanclal Revlew a•d R•ser¥es pollcy
The charlty recorded an operaiing surplus for the period of É30.463.
Page 10110

Incomlng resources were malnly from tlthes and offerings.
Expenditurè which w?s kept to the bare mlnlmum wtts malnly operatlonal costs.
The charity alm5 to retaln sufficient reservès to ensure it meets ltscommStments to providlng Its servlces ènd
ttivitles. These reserves aredeslgnetl to cover a minlmum of £40,000.
There are no designoted or restricted reserves In thls current perlod.
FUTURE PLANS
The chartty plans to slgnificantly increNse Its communlty outreach programrnesincluding partnering wlth more food
banks. dolng more community events andworklng wlth olher local organisètians that work wlth the elde￿Y and people
Inneed.
The charity plans to hold workshops and events in flnance and parentlng tOSUPPOrt those In the local commvnlty.
sTRU￿vRE. GOVERNANCE AND MAIIAGE14EKr
Governlng document
The charity is controlled by Its govemlng document the Memorandum and Artlcles ofAssociat¢on irtcorporated 12 july
2012 and Constitutes a limlted company limitedby guarantee. as defined by the Companies Act 2006.
R•<rultm•nt and ¥ppolntment ol now trustoes
The director5 of the company ère also Chèrity Trustees for the purposes of charityiaw. Under the requlrements of the
Memorandum and Artlcle of Associatlon, theTrustee5 are elected to serve under a fixed tèrm.
Oryanlsatlonal strurture
The charity w#$ established in july 2012 but only started operations in july 2014.The govemance of the Charity is
malntalned by the 2 trustee5 while theResldent Pastor deals wlth Pastoral and other related matters.
Thetrvstees hold regular board meetSn95 and additional meetlng5 when required.
The charity b5 5UPPOrted by over 16 volunteers who work on average 4 hoursevery week. If minimum wage Is applied
to thls the cash value to the charity ofthe volunteer foite In a fk*ll year could be over £40,635. Without the supportof
these volunteer the charlty would not have been able to meet Its aims andobjectlves eftectlvely.
Inductlon pod tralnlng ot n•w tvustèes
The tru5tee5 are famlllar wlth the workings of the church and the charity drèwsfrom long-standlnq church member5
and Christians from other denominattons thathave a skill-set to offer. New trustees are encouraged to attend a 5erie5
otshort tra¢ning and are encouraged to aitend training seminars provlded byexternal organlsatlons.
TRVSTEES
The trustees, who are also the Oiiector5 for the purpose of company law. artd who served durfng the year and up to
the date ot signature ¢f the financial statement5 were-.
S Nolbl
W A Yankey
Chades Coker (Appointed On: 25110r20241
TRUSTEE'S RESPONSIBIL￿1£5 STATEMENT
The trLtstees. who are also the dlrectors of Charity For Klcc Thè Llghthouse for the purpgse gf c¢>mpany law, are
responslble foi preparlng the Trustees, Report and the flnanclal statements In accordance with appllcable law and
ijnlted Kln9dom Accountlng standards Iunlted Kln9dom Generally Accepted Aetountlng Practlcel.
Company Law requlres the trustees to prepare financial statements for each financlal year whlch give a true and fair
view of the state of affalrs of the cha￿ty and of the inccmlng resources and application of resources. Includlng the
Income and expendlture, of the charltable company for that year.
Pag82 of 10

In prepartng these flnancial 5tatement& the trustees are reqsjired to..
select suitable accountlng polldes and then apply them conslstently:
obseNe the methods and principles in the Charities SORP..
make Ivdgements ènd estSmates that are ￿asOnable and prudent:
state whether appllcable UK Accounwng Standards have been lollowed. sublect to any malertal departures
dlsc105ed and explained in the financial statements.. and
prepare the flnanclal statements on the golng £￿(eM bJ515 unless It Is Inapproprlate to presume that the chadty
wlll contSnue In opera￿on.
The trustee5 are responslble for keeplrtg adequète accountlng records that dF5c105e wlth reasonable accuracy at any
tlme the flnancial posltlon of the chadty and enable them to ensu￿ that the financlal statements comply wlth the
C¢)mpanles Act 2006. They are a150 responslwe for sofeguarflng the assets of the charfty and hence for t•klng
ieasonable 5leps lor the preven￿ON Ind detecvon of fraud and other Irregulartoes.
Thls report Wa5 approved by thè trurtees •nd $19ned on Its behalf by.
W A Y•nk•y
Tru•ts•
Date . OY March 2026
Page 3 of 10

KICC THE LIGHTHOUSE
INDEPENDENT EXAMINER'S REPORT
FOR THE YEAR ENDED 31 JULY 2025
Independent Examlner's Report to the Tfustees of Klcc The Lighthouse
I report to the Charlty Trustees on my examination of the accounts of the charity for the year ended 31 july 2025
which consists of the statement of financial activities,balonce sheet and the related notes
Respon51blNtles and b•sls of raport
As the charity's trustees you are responslble for the preparation of the accounts In accordance with the requlrements
of the Charities Act 20111.the Act'i
I report In respect of my exominatlon of the chartty's accounts carrled out under sect40n 145 of thè Att and In
arrylng out my examlnatlon I have followed all the appllcable Directlons glven by the Charity Commlssion under
5ertlon 1451511bl of the Act.
Independent Examlnèvs Statoment
rhe charity's gr055 income exceeded É250,000 and l am qualified to undertake the examlnatlon by bdng a quallfled
member of ACCA
I have completed my examlnatlon. I conftmi that no material matters have come to my attention in connection wlth
the examlnation (other than that dlsdosed below *) whlch glves me cause to believe that in, any materfal respect:
the accounting records were not kept in accordance with settSon 130 of the Charitie5 Act,. or
the account5 did not accord with the accounting records- or
the accovnts did not comply wlth the applicable requirements concemlng the form ond content of a¢¢ounts set ovl
In the Charlties IAccounts and Reports) Regulations 2008 other than any requlrement that the accounts give a 'true
and falr. view which is not a matter consldered as part of an Fndependent exèmination.
I have no contems and have come across no other matters in connectlon with the examlnation to bYhi¢h attenllon
Should be drawn in th¢5 report in order to enable a propèr understandino of the accounts to be reached.
Name.. Charl¢$ Clarke
for and on behalf of Rachel Charle5 & Co
Oate: 09 March 2026
Pagè40110

KICC THE LIGHTHOUSE
STATEMENT OF FINANCIAL AcfiviTIES
FOR THE YEAR ENDED 31 JULY 2025
Recommended categorles
by actovlty
Notss
Unrestrfrted fvnds
Total Funds 2025
Total Fund$ 2024
Income and endowments
Donatlons and legacles
78.208.95
78.208.95
63,759.81
Investment5
1,367.30
1,367.30
496,93
Total
79,576.25
79,576.25
04.256.74
Exp•ndltyr• on:
Aalslng funds
9,085.00
9,085.00
,188.48
Charltable actlvltles
40.027.87
40.027.87
34.459.36
Tot•1
4•,112.87
49.112.87
42,617.84
N*t Incomt
30.463.38
30.463.38
21,608.90
N•t rnovemfjnt In funds
30,463.38
30,463.31
21,608.90
R•¢ohtlllJtlon of fi•nds:
Total lunds brought lornard
206.918.20
206,918.20
185,309.30
Tot•1 funda e*rrf•d forw•rd
237.381.58
257.381.58
206,918.20
Page 50110

KICC THE LIGHThOUSE
BALANCE SHEEr
FOR THE YEAR ENDED 31 JULY 2025
Recommended cateyorles by
rtlvlty
Flxed assets
Tot•1 Funds 2025
Total Funds 2024
Tangible assets
859.56
1.219.55
Total fixed assets
859.56
1.219.55
Cuffent assets
Cosh at bank and in hand
236.522.22
205,698.85
fotrl current assets
236,522.22
205.698.85
Creditors: amounts falllng due wIt￿n
ofle year
0.20
0.20
Met Cufrent assetsllllabllltle5)
236,522.02
205,698.65
Total net ass•ts
237.381.58
206,918.20
Funds of the Charfty
Unrestrlcted funds
237.381.58
206.918.20
Aestricted funds
Endowment lunds
Total fvnds
237.381.58
206.918.20
For the year ended 31 luly 2025 the company was entitled to exemptiw Irom audtt under section 477 of the
Companies Act 2006 relating to small c(wnpanies.
The member5 have not required the company to obtain an audit of its accovnts for the year In question In
accordance with sectlon 476.
The trustees acknowledge their re5pon5ibilities for complyin9 With the requirements of the Companies Att 2006 with
respect to accounting record5 and the preparation of acc¢)unts.
These accounts have been prepared and delivered in accwdance with the prow5ion5 applicable to companies subjert
to the small companies ￿gIme.
The flnancial statements were approved by the Iru5tee5 on 07 March 2026 and signed on its behalf by.
W A YJAkey
Trystee
Date - 07 March 2026
Page 6 of 10

KICC THE LIGHTHOUSE
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 JULY 2025
l. Accountlng Pollcles
The prlncipal accountlng pollcies adopted by the Charfty. whlch is a public benefit entlty. In the preparation of the
accounts are a5 follow5.
1.1 Basls of preparatlon
These accounts have been prepared under the histwtcal c05t conventlon. as modified by the induslon of charitoble
properwes and fixe¢J asset investments and investment properties at valuatlon.
These accounts have been prepared in accordance with "Accouftting and Reporting by Charities- Ststement of
Recommended Practlce applicable to charities preparing their accounts In accordance with the Ananclal Reporting
Standard applScable In the UK and Republic of Ireland IFRS 1021- (effective l January 20191- ICh?rlties SORP IFRS
10211, the Nnanclal Reporting Standard applicable in the UK and Republic of Ireland IFRS 1021 and the Charttles Act
2011.
These accounts are p￿ented In pounds sterllng and ft)unded to the nearest pound.
1.2 Golng concern
The Trustees have prepared Ilnancial proiettions. taking Into consideratyon the current econornlc condltSons antl
have, at the tlme of approving these accounts. a reasonable expertation that the charity ha5 adequate resources to
ontinue in operational existence tor the foreseeable fvture. Thus they continue to adopt the going concem basis of
accoynting in preparlng the accounts.
1.3 Income from charltable actlvltles
AJI income is recognlsed in the Statement of Financitil Acti¥lties once the charlty has entidement to the tuntt5. It Is
probable that the income wlll be recelved and the amount can be measured reliably.
1.4 Expendlture
Expenditure Is recognised when a present legal or constructsve obligation exlsts èt the balance sheet date as a result
of a past event. It Is probable that a transfer of etonomic bentfits will be requ1￿ to settle the obll9ation. and the
amount can be estimated rellably. It is Inclvslve of VAT which cannot be recovered.
01￿ct costs are th05e costs which dirertly attribute to its artivitles. Wages and salarie5 are allocated to direct Costs
based on afi estimate of time spent on charftable actNities by staff members.
Support costs include staff costs and are those which do not produce a dirett output. Staff costs ￿late to specific
actSvltles and thls is refierted in the alltxatFgn of payroll costs based on the percentage of time Spent.
All costs, Indvding govemance cost5, are allocated btheen the expenditu￿ categories of the charity on a basis
deslgned to retlett the use of the resource. Costs relating to a partlcular activity a￿ charged dlrectly.. others are
apportioned on an appropriate basis.
Support costs ènd ovetheads have been calculated by allocatin9 stsff tlme to the level of involvement the various
activitles of the Charity.
1.5 Taxatlon
The organisation is a registered charoty and has ng liabillty to income tax or corporabon tax on Its charltable
octivitie5 durin9 the year.
Value added tax Ts accounted for on an accruals basis.
1.6 Fund ac¢ountlng
Unrestrlrted funds are those fund5 whith are available for use ot the di5crety.on of the TnJste*s In furtherance of the
general oblective5 of the chadty and which have not been desl9nated for other purposes.
Aestdcted funds are funds whlch are to be uswj In accordance wlth specific festrlctions imposed by donors or whlth
hove been rnlsed by the charity for particular purposes.
Page 7 of 10

1.7 Tanglble flxed •￿ets
Tanglble fixed ass•t5. 5Ltch as land and bulldlngs. plant. vehldes and equlpment. are held to provide •n on-golng
economlc benefit to a charlty through thelr c¢JnirlbuUon, dlrectty or Indlrertly. to the provlslon of goods or s*r¥lce5 by
the charlty.
Tanglble fixed assets, other than freehold land. are stated at cost or valuatlon less depreciation and any prov151on for
Impalrment. Depreciatlon ￿ prgvided at rates (alculated to *rtte off the cost or valuatlon of fixed assets. le55 thelr
estirnated reskjual value. over iheir experted useful lives on the following basls..
Name
Y•ar
Method
Ffrxtures and 1Sttln95
Redudng balance
Computer equlpment
Redvdng balancé
25%
33%
2. Income from Donatlons and Legacles
Totsl fvnds 2025
Tot•1 funds 2024
Glft Ald
25.975.76
52.233.19
25.975.76
16,972.95
46,786.86
rthes and Offerlng5
Totsl
52,233.19
78.208.95
71.20a.95
63.759.81
3. Income Irom Investments
Analy•l•
Tot•1 fund• 3025
Tot•1 fvndi 2024
Interest Incorne
1.367.30
1.367.30
496.93
1.367.30
X,367.30
496.93
4. Expendltur• on Ralslng Funds
An•lyJlJ
Unre%trlrt•d fund•
Tot•1 fvnds 2015
Totsl lund8 2024
Renr ¢ollectlon. property repalrs
and m•lntenanct choryes
Tot•1
9.085.00
9,085.00
8,188.48
9,085.1)0
9.085.00
8,188.48
5. Expendltur• on Charltable Actlvltles
An•ly•ls
UnY•strlrt•d lund•
Tot•1 f¥nd6 2025
Trtrt•l 2024
Evongellsm
Church MlnSstry- muslclbns
Travelllng
the to KICC Natlonal Forum
735.10
735.10
406.00
7.984.00
7.984.00
6.050.00
5.266.00
5.266.00
3.655.73
6.199.02
133.70
6.199.02
6.347.35
Depn of Thxtures & fittlngs
Dèpn of compvter equipment
Website and Internet COSts
Sundrtes
132.70
176.93
227.29
227.29
339.25
146.38
146.38
2.147.38
2.147.38
1.498.22
Employee costs
Oonatlons
9.350.00
9.350.1)0
10.200.00
7.840.00
7.840.00
5,765.88
Totsl
40.027.17
40,017.87
34.459.36
Page 8 of 10

6. Thnglble Flxed As$•ts
Flxtures &
Flttlngs
Computer
Equlpment
6.1 Cost or v4lv•tlon
At 01 August 2024
2.219.58
3.900.00
Addltlons
Olspo$41s
Revaluatlons
Transfers
Ai 31 July 2025
2.219.58
3,91X).00
6.2 Deprecl•tlon •nd Imp•lrni•hts
At 01 August 2024
1.688.80
3,211.23
Ch•rge for ihe year
132.70
227.29
Olsposals
Aevaluatlon5
Transfers
At 31 july 2025
1.821.50
3.431.52
6.3 N•t book v•lu•
At 01 Augirst 2024
530.78
688.77
At 31 luly 2025
398.08
461.48
7. Cash at bank and In hand
Totsl fvnds 2025
Total fund* 2024
Cash at bank and In hond
other
PremSum Account
Aeserve Account
53.52l.68
535.31
112,412.86
70,052.37
68.845.61
355.31
66.445.56
70.052.37
205,698.8S
Totsl
236.522.22
8. Credltors: Amounts falllng due wlthln ono year
Totsl funds 2025
Total 2024
Trade credltors
0.20
0.20
Total
0.20
o.io
Page9of10

9. Charlty funds
9.1 Detalls ol materlal fvnds held and movements durlng the CURREiif reportlng perfod
Fund
Fund
bal•nc•s
brnu9ht
fon¥ard
Galns and
Fund names
Income Expendlture Translers
carrfed
forward
Unrestrlrted
funds
206.918.20
79.576.25
49.112.87
237.381.58
9.2 Detalls of materlal funds held and movements durlng the PREVIOUS reportlng perlod
Fund
Fund
bolJnc¢s
brought
b8lpn¢es
CaYTled
forward
Galns athd
losses
Fynd names
Income Eypendltuve
Tr•n5fers
Unre5trlrted
funds
185,309.30
64.256.74
42.647.84
206.918.20
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