Charity No 1150199
TrusrEE'S COMMirrEE REPORT AND ANANCIAL 5fATEMEpif5
YEAR ENDED 31ST. DE￿MeER 2022

DEsllNY IKfERNATIONAL OIRISTIAN ASSEMBLY
REpoirr AND FIPIANCIAL sfATEMEKfs 2022
coMrENTS
PAGE
Informatlon Page
Trustees. Report
Independent Examln*s Report
ststement of Flnanclal Artivitles
Balance sheet
Notes to the kcounts
7-12
Detalled Income and Expendtture Account
12

DESllNY INTERNATIONAL CHRisnAN ASSEMBLY
REPORT AND FINANCIAL sfATEMENTS 2022
Pastor (Dr) Moses Ekhuemelo
MIS5 Syma Sams
Mrs Mary Dankaro
Mr Samuel Sl8beku
Chartty No:
1150199
Re8iStered l)ffice
205 New John Street West
Hockley
rmingham
819 3TZ
Secretary
Mss Sylvia Sams
Accountsnts
W12
8eaumont Enterprise Centre
72 Boston Road
Leicester
LE4 IHB
Tel: 07863184679
Banker5

ESTINY INtERNATIONAL CHRisnAN ASSEMBLY
ANAGEMENT COMMrrrEE'S REPORT
EAR ENDED 31sr. DECEMBER 2022
he Management Committee who are also the trustees of the Charity. submit thler
nnual report and ftnanoal statemerrts of Destlny Irrternatlonal Christian Assembly {the
harity} for the year ended 31st. December 2022. The Management Committee confirm
at the annual report and financial statsments of the Chartty comply with current statutory
equirements. the requirements of the Charity's governing document and Reportlng by
harities issued In Ortober 2fXX). The provisions of the statement of Recommended Pradce
SORPI 'Accounting and Charities issued In October 21J)l.
he Management of the Charty is the responslblllty of the Trustee's Comrnittee who are
lected and ryFopted under the terms of the Artides of A550ciats0n.
nstIt￿lOn pollcles and objectl￿S
e Church is re8iStered as a Charlty and was set up by The Charlty cornmlsslon.
he principal objertlve of the charity is to organi5e churth servi￿, communlty servlos,
entorlng and advice; nursery and teathing of chlldren, youths arrfl adult>
here have been no chan8es In the objertlves $5nce the last annual report
rganls•tlonal strurture and dedsk>n m•kl
he organlsatlon of the Chartty Is controlled by the mernber5 of the Trustee's Committee.
evlew of actmtles
uring the year, the Charlty received a total of £186￿15 from donation5 from church
embers. The financlal ￿$utt$ for the year are shown in the annexed accounts.

OEsnNY INTERNATIOPIAL CHRSTM ASSEM&Y
TRUSTEVS COMMrrrEE REPORT
YEAR ENDED 31ST. DECEM8ER 2022
Charlty Lwi applltable lo Charltles In E￿nd/waleS require5 the T￿￿knes Commlttee
to prepare flnanclal sLitements for each financlal year whth 8ive5 a tn￿ and falr ¥lew
of the 5tste of affair5 ofthe Charity and of the surplu5 or defKIt of the Charlty for the
perlod. In preparing those finarthl statements, the Trustee's Ccffimlttee have:
selected sultable accountlng pollcies and applied them con5iStentty
made judgements and estimates that are reasonable and TKuderrt
stated whether applkable accountin8 stsndanls have been followed
subject to any materlal departu￿ dlsck)sed and explaled In the
ftnancEal ststements and
prepared the financial statements on a golng concern basis {unless It is
Inapproprlate to presume that theTrvst vhll contlnue in operation).
The Trustee's Commlttee haye overall ￿SponSIbl11ty for ensurln8 that the charity has
an approprlate system of controls, finaKial and otheTh*se. They are also responslble for
keeplrb8 proper ac¢ountlTr8 records whlch d15dose wtth reasonable accurary at any time
the flnanclal posltlon of the Charity and enalth them to ensure that the flnanclal stst
ments comply wlth the Companies Act 21￿. They aTr also resF4)n51ble for safe8uardln8
the a55ets of the Charlty and hence for tak1￿ reasonable Ste￿ for the detection ar
preventlon of fraud and other Irre8ularities. These account has been dellvered In
accordarKe wlth the PthiSK>ns applicable to tharftles subJe¢t to small compaies reglme.
The report was •pproved by the Tru5tee¥ Committee on 29th. Juty 2023 and *ned
bv-
Mtss Sylvia Sams

DESTINY IIITERNATIONAL CHRisnAN ASSEMBLY
INDEPENDENT EXAMINER'S REPORTTO THE TRUSTEES OF DEStINY IKfERNATIONAL
CHRlSfiAN ASSEMBLY
YEAR ENDED 31sr. DECEMBER 2022
I report to the trustees on my examination of the accounts of
Destiny International Christian Assembly for the year ended 31sL t)ecember 2022.
ResponslbSlftle5 and ba* of the report
As the tharity's trustees, you a￿ responsible for the prepardtlon of the accounts in
accordance wlth the requlrements of the Charitie5Act 2011 ('*he Art")
I report in respect of my examlnation of the Trusvs accounts carried Out under sertlon
145 of 2011 Act and in caryin8 Out my examinatlon. I have fdlowed all the applicable
Dlrectlons glven by the Charity Commission under section 145(5)(bl of the ACL
Independent examlnees statem
The Charlty's gross Income does not exceed £250,￿￿). However. I can confirrn l am
quallfied to undertake any such examlnatlon by being a quallned member of ACCA.
I have completed my examlnation. I confirm that no materfal matter5 have come to my
attention in connection with the examlnatlon.
I have no con￿m5 and have come across no other matters in connection wlth the
examinatlon to which attention should be drawn in thls report in order to enable a
proper understanding of the accounts to be reathed.
Name: Ben Eruchle MBA: FCC&" FCA:FIMC; AaB;

DEsriKf IrirERNATIONALCHRisnAN AsSE￿Ly
srAIEMENT OF FINANaAL AcrivmES
YEAR ENDED 315r. DECEMBry 2022
Funds
Funds
Funds
INCOMING RESOURCES
Donations legacies & Simllar In￿mIng
Bank Interest
216.054
216.054
216.055
216,055
ESOURCES EXPENDED
Charitable Expenditure:
Cost of artl*Atles In furtherance of tht
d￿rit￿S oblects
119.180
Supp¢yt Costs for grants and actlyitles
46,078
Resources expended on mana8lrvd and
administerlng the tr￿rIty
34.(
34,Ci12
199260
199.260
MOVEMENf IN TOTAL FUNDS FOR ThE
YEAR- INCOME/IEXPENDrruREI
FOR THE YEAR
TOTAL FUNDSAS AT ISTJANUAftY 2022
268.337
268,337
268.337
268,337
The 5tatsment of Flnandal actfvltles Ir￿ude¥ll qain5 and losses reco8nlsed In the year
The notes on page5 Ioto 15 forms partofthese finandal statements.

BALAN(E SHEET
Y•wtbh FthedAss•ts
DelRors
Cash at 8ank& h Hw
553
Current U•Wllttes du¢tAlthln l Ye•r
Cwrent Uabllltles due mreth•Th l Y
17J94
1(4071
IiL345
3U37
Xl,911
278.982
152
278,982
24132
al Foriheye¥r ￿￿[￿8 31st December 31.12.2020the Ch*lty*ty6enWEdtyexwnkthi from I￿￿t
undtr sedkjn 477{21 ofthethrrwie5•4t 206
bl The members habp n(rt rEquked thethawttytoobtsin biotrtsin s*c
476oftheCompanle5•rt 2(K6
behawby..

NOTES TO THE FINANCIALSTATEMEMTS
YEAR ENDED 31ST. DECEMW 202Z
ACCOUNnNG POUOES
The finanoal staternents have been wepared under the historiral costo)nventton
?nd in accordano vmh the fina￿131 Reportin8 stsndardsfDr smaller Eniityes Entides
leffectNeJune 2¢X)21. The ￿nanCIal statements have been prepared in accordance
Wtth the statement ofRecornmended Pr*e {SoRPI'ALxounii￿aThd Reportin8 by
thèrittes" publishEd In OLtober 2(XKQ.
1.1 CharhySt4tU5
The member5 ofthe Charttyarethe In￿ narned ￿ p•8e i . kn the e￿01th*
Charlty belly *YJund up
General fvnds are tsnrtstrthd funds ¥thkh are avallableforuse atthe desueUon of
trustee5 In furth*rarKe of the 8eneTrl obJec¢r¥t5 of the tharltyand whlth have not
been des*nated forother pvrpos
Rèstrlrted fvnds are funds whlth are to be used h Hctordanct wtth spedfic res￿￿0￿$
lrnposed by donors which have been ratsed by the dwrfty for partltular purpose5. The
C05t ot raI￿n8 and adminlsterf￿ suth fund5 arecharged a8alnstthe5peofit fund. The
alm and use of eath restrk*d fvnd Is set oyt InthÈ notes tothe finanrial statsments.
All Irtcomln8 resources arè induded In the Ststementof ￿nart[al Acdvlts when the
charlty is legally entttyed to the incomeand the amountcan be quanufted wlth
reasonable accuracy.
Glfts in kind donated f0rd1strt￿ti0￿ are Inujded at ￿luaij0n arrfl ret¢¥n￿d as ino)me
when they are d15tr1buted to thè proktt Grfts donated for rtsle. ar? I￿￿ded as income
when theyzre %Ad. Donated fadNV*5 are Induded at th? value to the Charity where this
on be quaTht￿ed arKI a third party Is beariThdthe cost No amtsjnts aTr Induded In th15
ftnanoal statements forSe￿ceS donated by volurrteer

DESTINY INTERNATIONALCHRISTIAN ASSEMBLY
NOTES TO ThE FINANCIAL STATEMENrs
YEAR ENDED 31ST. DECEMBER. 2022
Intsngible income, which comprises donated servI￿s. is induded in Income at a valuation
which is an estimate ofthe finanaal cost borne by the donor where such a cost is
quantifiable ar￿ measurable. No irmme is rwsed ¥theTethere is no finènclal c05t borne by
a third party.
Inccrfne tax recoverable En rel*ion to donatl¢)ns received underGrft Ald ordeeds of covenant is
re¢ogt)W atthe tlme ofthe donation.
All expenditure Is accounted tr on an ac¢rual basis and has been Induded urthr expense
cate8orlesthat aggre8ate all costs f¢r allocation to activitle5. Where costs connot be dirertly
attrlbuted to partkular activities have been allocated ¢)n a b34$ corithnt with the use of
the resourtss.
Fun•ralsing cost are those incurred In seeklng ¥oluntsry contrlbutlons and do not Indude the cost
of dlsseminating Informatin in yjpport of the charitabk acknvttle5. Support ￿$ts arethose costs
Incurrred dlrectly In support of expendlture on the oblects of the Chartty and indude projert
Trustees carrled out at headquarter& Trustees. and admlnlstration costs are those incurred In
onnectlon wlth administra￿ of the Ch8rlty and compllarKe wlth constttuuonal and ststutory
requiremen
1.6 C•sh fl
The flnanclal siatements do not Indude a cash flow statement becausethe Charlty as o small
reportln8 entlty b exempt frorn the requlremerht to prepare such a Staten￿rt underthe
Flnanclal Reportln8 Stsndard for Smaller Entltles leffectl¥e June 2(K121.
Tan8lble FLKed assetsare stated at cost les5 depr￿latI1)n. Depreciatlon is provided at rates
calculated to wrlte off the costs of fixed assets les5 thelr esJmated residual value over thelf
expected useful INes on the followin8 basls:
Motorvehlde
25% straknt Ilne
Flxtures and Flttlng5
25% straiKht kne
Offlce Equlpment
25% stral8ht line

DEsnNY INTERNATIONAL CHRisfiAN ASSEMBLY
NOTES TO THE FINANCIAL STATEMENTS
YEAR ENDED 315r. DECEMBER. 2022
2021
Grants
Govemment GTrnts
Printing Postage & Statlonary
Subscrfptlon
U8ht & Hea￿nI
Bank charBeslMort8age and Loans
Consultsncy
Functlons
ToilÈtrles & Nrst ald
Charlty
Insurance
247
1227
4.139
7511
247
1.227
4.139
7.511
2.987
28.450
IL366 IIJ66 19269
iQ444 iOA44
W7
3A37
3,103
Trdvel and 5ubslsten¢e
Repair5 & M3intenarKe
1519
1519
5,188 5,188
11920
4263
46x+n 77A46
4 RESOURCES EXPENDED ON MAIIAGING AND ADMIM15TERING THE I￿A￿try
Audlt & Accountsncyfee5
Professional fees
Property Rent
Tralnlng
Telephone
Sundries
Deprecb3tion- Motor CaTS
DepreC￿tIOn -office equipment
Oepreciation. fixture5 & FEttir
5JXKI 5.r
45LY)
n4
3612
7322
724
3.612
7322
6207
7491
I￿57 10.657
8293
34.IM13 34AK13 35338

DEsnNY IKfERNATIONAL CHRisllAN ASSEMBLY
NOTES TO THE FINANCIAL ¥fATEME14TS
YEAR ENDED 31ST. DE￿M￿ 2022
2022
Staff C05t tlepkn OthwC051T¢)knl Total
Wages al￿ Salarie5
Support costs for grants & acti¥ibes
Resour￿ expended on mana81
and administuing the chwity
993J6 10fi57
110,053
33.204 33,204
93,019
47A78
56.1XJ3 56.(1)3
22,387
99396 10.657 89307 199260
163.284
J.321
6 NET INCOMING RESolM￿1(RE5LKIR(ES EXPEIIDED)
Totsl
Total
2021
THIS IS STATED AFTER CHARGING:
Depreclathn of assets owned
the thartty
Audit & Accountsncy
Profe5slonal Fees
10.657
8,298
345
19,rn
7 STAFF COSTS AND NUMBEI
Staff costs were a5 fosfows:
2021
Wages & Salarles
99.3%
84,721
2021
Administrative
No eFnpioyee r￿1ved remuneTatlon amounting to more £50.(m in elther year

DESTINY IPITERNATIOP4AL CHAisfiAN ASSEMBLY
NOTE5 TOThE FINANCIAL STATEMErir5
YEAR ENDED 31sr. DE￿M8￿ 2022
• TAN618LE FIXEDA%5E15
Atcosr
Addltlons the Ye¥
A5 at 31-12-2012
37 34L479
17.732
IL932
As at 01-01-2022
Charge fortheVt¥
3L585
10,657
L450
765
27
Not BookV4w:
As •t31.12.2022
A5 at 31-12-2021
316.969
309m¢
DEBTO
Oue within ly
Due wfthln IYe•r
14
OtherCreditry5
17394
Due •fter morethan l Year
5TATEMENTOF RIIIDS
UNRÉmiciED FUNOS
General Funds
268.337
216￿5
I9?.2￿ 285.131
Restrlcted
Gerberal Funth
261337 21Q(65 199Th
285.132
268.337
216.055
J99.260
Tangiwe fixed assets
Current A55ets
Credltors Duewrth¢Tr l Year
316369
316369 a)9.894
19￿ 79
92.553
19.189
17.394
92.156 .
106.071
92.156

DEsllNY IMfERNATIONAL CHRisnAN ASSEMBLY
DEfAILED INCOME AND EXPENDttURE AccouKr
YEAR ENDED 31sr. DECEMBE￿ 2022
INCOME
2021
Buildlng Fund
rrthes & Offeri￿5
CAF Payment
Glft Aids
Interest Receivable
Community activities
TOTAL FUNDS
63
158.808
20.292
10,645
29,239
216A155
189.749
LESS EXPENDITURE
Wages & Salaries/NI
Pension
Property Rent & Rates
ght & Heating
Printing Postsge & Stationery
Repairs & Maintenance
Subscription
Funrtions
Charity
Insuran
Travel & subs1sten￿1HoteTr Accom
Telephone & Fax
Professlonal fees Ilnclwve of 8ookkeepI￿ fees)
Audlt & Accountancy fees
Training
Resources
Sundry Expenses
Tlthes/London
Bank Charges
MortEa8e Interest
Depreclation
93,946
5,450
80,691
4,030
8.428
362
6.244
1,071
19.455
4,139
247
5,188
1,227
11,366
10,444
3,437
2,519
1,862
6.980
4,500
2,958
3.249
3.612
2353
s￿69
249
8.380
10,657
7.491
520
6,991
8.298
166.137
Net Income
16.795
23.612