Charity No 1150199

PAGE
Infomiatlon Page
Trustees. Report
Independent Examlnetrs Report
ststement of Flnancial Acdvitle5
Balance sheet
Notes to the Accounts
7-12
Detslled Inc¢>me aNI Expenditure Account
12

Pastor (Dr) Moses Ekhuemelo
Mlss Sylvia Sam5
Mrs Mary Dankaro
Mr Samuel Slgbeku
Charlty No:
Re8iStered Offlce
205 Newjohn Street West
Blmilngham
B19 3TZ
Secretary
Miss Sylvia Sams
Accountants
72 B05ton Road
Leicester
LE4 IHB
Tel: 07863184679
Bankers

DESnNY INTERNATIONAL CHRisnAN ASSEMBLY
MANAGEMENT COMMITfEES REPORT
YEAR ENDED 31sr. DECEMBER 2022
The Management Committee who are also the trustees of the Charity. submit thier
annual report and finanaal ststements of Destiny International Christian Assembly (the
Charity) for the year ended 31st. December 2022. The Management Committee confim)
that the annual report and financial statements of the Charity corn￿ wtth current Statutory
requirements: the requirements of the Chartvs goveming document and Reporting by
Charltles Issued In Ottober 2(￿. The provisions of the statement of Recommended Prad
(SORPI 'Accountin8 and Charltles Issued In October 2Qll.
The Management of the Charlty Is the respon5iblltty of the Tnstee's Committee who are
elerted and ctropted under the terms of the Article5 of Associatlon.
CoNstltutlon polkles and obJe¢dv
The Church is reglstered as a Charity and was set up ￿ The Charlty comrn15510n.
The prfncipal objective of the tharty is to organlse churth Ser41￿5, communlty ser¥kes,
mentorlng and ad￿Ce. nursery and teachlng of ChIld￿n, youths and adutt>
There have been no cha￿$ in the objectives since the last annual report
Organlsatlonll structure and dedskn ma
The organlsatlon of the Charfty ts controlled by the members of the Trustee's Commlttee.
Durlng the year, the Charlty recelved a totsl of £186￿15 from donatlons from church
members. The flnanclal results for the year are shown in the annexed accourrt
Re5er¥e Poll¢y
It is the pollcy of the management committee to wowk towards holding the minimurn
reserve5 necessary to enable the Charlty to meet Its commltments for a minimum period of
three month&

Chartty Law applicable to Charities In Er*FWale5 requires theTrust•es Commltt8e
to prepare flnandal statements fot eath financial yeaT whkh w a true and fdlrvlew
of the State of affairs ofthe Charity and of the surplu5 or defK5t of the Charfty for the
perfotL In pre￿nTro those finan¢lal Statern￿. theTru5tee'5 Crmnrnlttee ha¥e:
selected suttat4e accountlng polTdes and applied them mn5iStenty
made jud8ements and estimate5 that are reasonable and wudent
subiett to arry materlal deparnI￿S dlsdosed ar￿ emplaled In the
finandal Statthn￿ and
prepared the financial statern￿ on a golng Conc￿ basiE (untess tt Is
Inapproprlateto presume that theTrustwlll Con￿nUe in OFffitk)n).
The Trustee￿ Commkn have werall for eYNirfngthat the dwrfty has
an approprlate system ¢￿((xrtr01s, fin•Kial and othernth. Tlffj are also res￿￿ble for
keeplng proper aceountln8 records whkh dlsch)sewlth reasonable accuracy at any tome
the tlnand•l P051tk￿ of the Charlty and enable them to ensure that the finandal stst
ments comply wlth t￿ Companies Act 2(￿. are also responslble for safe8vardlnE
the assets of the Charlty ar￿ hen￿ tsklrq feasonable steps for the dete¢iion and
preventk)n of fraud and other lrye8ul*ilies. These aroxnt has been del1ver￿
accordance wlth the provlslon5 appllcable to to small compales re8lme.
The report Wa5 appr¢r4ed by theTrustee% Commlttteon 29ttL July 2023 and
bv:
Mlss Sylvia Sams

INDEPENDENT EXAMINERS REPORTTO THE TRLISTEES OF DESTINY IiffERNATIONAL
CHRISTIAN ASSEMBLY
YEAR ENDED 31sr. DECEMBER 2022
I report to thetrustees on my eyaminatiM of the accounts of
Destiny International Chrthn Assembtyfvthe yearended 3tsL December 2021
As the tharity's trustees. you are responsible tor the preparatlon of the accounts in
accordan￿ with the requsrements of the CharltlesArt 2011 {'*he
I report In respect of my examination of the Twstrs acrnunts carried Out under section
145 of 2011 Act and In carrying out my examinatlon. I have followed all the applicable
Oirectlons glven by the Charity Commlssion under section 145(5)(b) ofthe ACL
The Cb.arlVs gr055 income does not exceed £250.1￿. Ho**ver. I can confinn l am
qualified to undertake any such exarnlnation by bel￿ a qualffied member of ACC
I have completed my examlnatlon. I cl￿fir￿ that no materlal matters have come to my
attention in connettion with the examlnation.
I have no concems and have come across no other matters in connection wlth the
examinatlon to which attention should be drawn in thts rewrt in order to enable a
proper understanding of the accounts to be reathed.
Name: Ben Eruchie MBA. FCCA: FCA;FIMq ACIB:

STATEMENT OF FItrIANaALACTMTIE5
YEAR ENDED 31sr. DECEM￿ 2022
Funds
Funds
Funds
INCOMING RESOiIRI
Donatlons legadu & Smllar Int¢)mln8
Bank Interest
216,054
216.054
216￿55
216.055
RESOURCES EXPENDED
Charitabre Expenditure.
Cost of actlwttes In furtheran￿ of the
charfws objec*5
119.1
Suppthtcosts for grants 4nd actl¥itles
46,078
Resourtes experKled on Man3￿r￿a and
admlnlsterlng the Charlty
199260
YEAR. INCOMEI(EXPE14DtruRE)
FOR THE YEAR
TOTAL FUNDS ASAT ￿jANUARy 2022
268.337
268.337
268,337
The statemert of Hnanclal actt¥ltle5 i￿lUde all aalns and10sse5 reco￿ In theyear
The on pages loto IS forn￿ partofttr￿ fiTrandal statement&

Debtor5
Cash atgarth & kn
795
S3
CurrertU•bllltl•s due Thlthln l Ye•r
17394
91156
>),912
24132
Th•TN5t•ES h•w:
I FLvtho ye•rIy￿￿3]st DeL%mkn 31.12.2020the
understh 477(2IoftheCryn￿knSlrt 106
476oftheC¢xnp•b*skt2
behalFbv'.

NOTES TO THE FINANCIALsfATEMEN75
YEAR ENDEO 31ST. DECEM￿ 2022
Thefinanaal statements hawe been Ffepared urmlerthe h￿tOr￿al costCon￿ntItin
and in accordan￿ with the ￿nan(1￿1 Reportingstandard5 fDrsmaller Enbtrts Er
leffetbvejune 2(￿2). The finanaal Statprwts have been prepa￿1 in accordanc
.*h thestatement 0fR￿n￿￿￿*d Pra(tK* IW!"Accwiidn8and ReportiFY by
£2 Ch•rftySt4
The members oltt* Charhy¥e tl* tr￿eeS named ffi p4e i . In thee¥*rt ofthe
Charlty rjp
General funds are unrestrictEd funds ¥AiklAetruseatthe destreuon of
the trus(ees In lUrthera￿ of tht8eneral objecthry oltt*d•and T*thlth ha¥e rrfrt
Imptred by tknors ¥thkh hove betn r•15ed by th@ charltyfor partlcvlar Pu￿. The
cost ot raIsi￿ and adMlnJsMngs￿* funds areth¥W a8atnstthe 5pecfftc fvnd. The
alm and use of each restrfctedfund1s5etwt Inthttnotestotheflnancial statement&
AJI Incomin8 reS￿rceS are Included in the Ststomentof Rnarflal Ac￿1￿•$1*hen th•
tharlty is le8ally ￿tItled to the Intomeand theanhyjrrtcan be qUaFthed wlth
reasonable accumy.
Gffts In klnd donatod fordlstrfkn are Irwjed and reo)8nised aslncome
when theyare dr5tr5but¥d to the projec￿ Gifts donated for resale, are Induded as Income
when th*yare sold. Donatsd facKttle5 we Induded atthe vdue to ￿ tharity where this
can be quantlfted ond a ih4ry1 party is beariry the cosL N0amow￿￿Te Induded In th15
finandal statements fOrsW￿c¢S donated bYv￿urrtQer&

OEsnNY IPITERNATIONAL CHRisnAN AsSEm￿y
140TESTO THE HNANCIAL STATEMElll5
YEAR ENDEO 31ST. DECEMBEK 2022
Intsn%ible incorne. whtch comprises (bjnated servlces. 15 IT￿Uded in irKome at a valuatton
which is an estimate of the financial cost bome by the doThx where such a cost is
a third party.
rec¢wised atthetime of the donatknL
All eXPend￿￿re ts accountsd for on an a¢ryual basls and has been indudÈd under expense
categorles that a88regate all cctstsfor alkKation to arti¥itle& Whwe Costs connot be dlrecty
attrlbuted to particular actbVltlesth￿ ha￿ allocateil on a boyse(￿l$￿t with the use of
the resources.
Fun.rdSslng cost are those IncuTfEd In see*lnE vthjntory c￿￿*￿tIO￿and do not Fr￿Ude the c05t
of dltsemithitin8 inftymatin in suppLKt of the thafnable acUVl￿￿. Support (Thts are those costs
Incurrred dlrecdy In suprM)rt of expenortirt ¢n the objects of the awlty and indude project
Twstees carried out èt headquarter> Trustee5' and admlnbtration costs are those In¢urred In
connec(lon wtth athnintstr*ion of the ChaTIty and compliance wlth constltutlonal 8nd statutory
requlrements.
1.6 C•5h Ilow
The flnandal ststements do not Indude a cash fftMTSt•temert ljecwse amrlty as a small
reportln8 entlty Is exempt from the requlrement to prepare a slatth￿t underthe
Flnandal Reportlng Stsndard for Smaller Entlttes leffecthjune 2ts)21
Tanuible Fkxed a55ets are stated * tost less depre¢lathn. Oepreciation Is provlded at rates
c3lculated to wrlte off the wsts offtsi a5sers lessthw resldual value over tslr
expecied useful lives ￿ the fo]lowin8 basb:
Motorvehlde
25% strnlght Ilne
Flxtures and Flttlrbg5
25%0JaW Ilne
Office Equipmwrt

P40TES TO THE ANANCJALSTATEMENTS
YEAR ENDED 315r. DECEM8EIL 2022
ted Funds Fwxls
Prlntbn8 Posta8e & %ati(mary
SubscT5ption
U8ht & Heatl
Bank thar8eslMNtw and loans
Consultancy
Funcrions
Tolletri•s & Flrst •Sd
Chartty
Insurance
247
247
L227 1227
4.139
4,139
7511
7511
IL366 ll.3fj6
19.269
IW4
3A37
3,103
3,437
Travel and subsistente
Repairs & Mairttenance
119ZO
4263
S.188 5.188
5AKKI 5.(
Professionalfees
Pmperty Rent
Training
Telephone
5undTies
Deprectatlon. Motor Cars
Deprecrats"on 4)ff*e equipment
n4
36
3.612
7322 7322
6207
34.U)3 a4A#)3 35338 .

NOTES TO THE FINANCIAL sfATEME14TS
Wages ar)d Salaries
Supp)rt costsfor gfants & athitses
Resources expended on rnan￿1
and administeringthe chwity
99396 IW7
I￿.053
31204 33.2(
93,019
47￿78
56,tM)3 56.(X)3
22.387
Totsl R•sourcts EXP￿
99W6 10fi57 89307 199260 163284
T•)l•l
Total
20
THLS IS ￿ATED A￿RCHARG1NG.
Depredatlon of assets Owl￿d
the Charlty
Audit & Accountancy
Protesslonal Fees
10.657
8.298
6.980
22J45
19.rn
Staff costs were a5 fotlows:
2021
Wages & Safarles
84,ni
2021

NOTESTO THE FINANCIAL sfATEMEpris
At Cost
Addktrcffls intheyear
5 it31.12-2022
5Q442
11?32
37 34L479
17.732
As atOI411-2022
c￿T￿lor the Y
L450
10,657
765
As •t 31-12-1021
As at 31.12.20U
10 316869
28SAm 24
DEBTORS
Due vAthln IYe¥
Due wlthlA I Ye¥
14,
17394
Due •ftermoitthan ly
srATEMENT(* FUNOS
iINRESTrICIED FUNrAS
Ger*ral Fund5
General FwM15
31W 316369 ￿￿.89¢
799X 79
91553
19.189 -
19,189
17.3
92,156 -
It6A171
Creditors 0￿ wlthln l Y&

DEsnNY INTERNATIONAL CJIRISTIAN ASSEMBLY
DETAILED INCOME AND EXPENDMJRE ACCOUNT
YEAR ENDED 31ST. DECEMBEIL 2022
INCOME
Bulkllng Fund
rrthes & offeri
CAF Payment
Gift Aids
Interest Recetvable
Community artivities
TOTAL FUIIDS
186A
158.808
20,292
10.645
29,239
216￿55
L89.749
LESS EXPENDrruRE
Wa8e5 & SalarieslNI
Pension
Propety Rent & Rates
U8ht & Heatlng
Prlnting Postsge & Ststtonery
Repalrs & Malntenance
Subscription
Functions
Charlty
Insurance
Travel & SubsSstence/Hotel Accom
Telephone & Fax
Professlonal fees {Indusive of Bookkeeplrq fees)
Audlt & Accountsncy fee5
Trdinlng
Resources
Sundry Ewses
TltheslLondon
Bank Charges
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
4.5(MJ
2,958
3,249
3￿12
724
7,491
520
6,991
8,298
249
8,380
10,657
Depreciation
166.137
Net Income
16.795
23.612