Company number 7896482
Dawn International Support Committee
(Registered Charity number 1150324)
Trustees Annual Report and Accounts
Year ended 31 January 2026
Dawn International Support Committee (Registered Charity Number 1150324) Information
Trustees R Harris (Chairman) T Dench P Meadows Charity Address Furnace Farm Cottage Furnace Farm Cottage Four Elms Edenbridge TN8 6PG
Bankers Barclays
Dawn InternatloTrJl Support Commlttee {ReSter•d Charlty Number 11503241 Trnst•es Annual Report Yr 31 lanu•ry 2026 Structuie 80¥0rn4nce and management The charity is govemed by its MemoraDdum of Assoclatlon date(1 4 January 2012. New trustees. who are also dlrectors of the company. are appolnted bythe exlstlry trustees. Oblocts and 4thbtl•s Thè oblett of the charlty Is the advan¢ernent of the Chrlstlan rellgSon for the benefft of the general publlc. The trustees have had re8ard to the 8uldantè &suÈd by thè Charlty Commlsslon on publlc benefit. Athlov•m•nt•nd perfornionc• The charlty has spent £24,998 durfn8 the year12025: £25,000) In the promotln8 of the Chrlstlan relIon In Kenya. includln8 the promo0 of Bible teathin& the establSshment and malntenance of Churches In Kenya, and the rellef of poverty and the welfare needs of Its churth members. FIMndo1 R•vl•w The charlty's pollcy Is to maSntaln reserves at ¥ mlnlmum level of £10,000 to cover Immedl?te costs of provldlng the nece$5ary SUPPOrt for the churches estsblished In Kenya, Approved by the trustees on U &16 and s18ned on thelr behalf by: R Harrls (Cha
Internadonal Support Cornmittee (Reered Charity Number 11503241 Indepeftdeni£xaffllner'sReport Year ended 31Jaary2OI6 I reporton the attountsofthe tLxnmittee for theyw wded 31JaThory 2025 which are sett on pake$ 3 tts5. Respertl¥e re5pon5ibllllle5 01 truses and arnlner Thetrustees are resFQn5iblefor ihe preparationolthexwth Thay¢ongderth• afi audit is not re4uSred for the perityj uthdersethon 144of the(haritt20ll Ithe Charittes A£tl and that an independent exarninatiw 15 neede ¥ my reswnsibility to.. - eyarninethe account5 un(r Section 145 ¢rfthe CharitiesAcL" . tofoll¢iw the procedu5 d¢yn in the General DirecnS wveft tI ChartyCommts%on under section 14515lb ol the Charities ACL- and . t05tstewhethw particular matter51ts% tame to myattention. 85150f Indeper#lettt O¥aminer'sst•tae My examInatn was carriedtyjt in aCCLYdarKeth the General (Arections ven bythe Charitycommissv)n. examination inceS therewiewofthe attcuntin8 rÈcords kept bythe Charity and a ¢ompari5mofthe atwynts presvrted with those retOTds. It abo incl1$ consKteration ofany unuwal [teI¥ sclosures In the accounts, and 5eekn"nE eXana[On$ from the tnJ5teescoKern#vd any such matters. The proceduresut)dertaken do woN•Je al the tw would be required in an aLwlil, and corwuentty is Vell a5 to ¥vhether the accounts present a.true and fair ew. and the is kn41ed to those matter5 set o¥¢ tn the statemeni below. lThdepwdent examlner'ssMement In w#¢)e¢tion with my examinaty"on. M matter has come tomyattentitin.. 111 whKh 8ives me reasonable cause to belie%thaL in anYmateri Te5pecLthe requirements.. - to keep recwds in accordan section 130ofthe Charth5 . to piepafe accwnts whith act Mth theNtIng comk4y with the accountin8 requ1ments ofthE Chavitiespdhm fiot been or 121 towhich Sn my opinh)n. 3ttLMtiOfi ShOd bedrowm in <xdwto able a properunderstènthn8of theatcountsto bp weadd. S Y Freednn 6& -EzoLG Nower End Nower Road Dt*knn8 srre¥ RH4 3BX
Dawn International Support Committee (Registered Charity Number 1150324) Statement of financial activities Year ended 31 January 2026
| Incoming resources Voluntary donations received Gift aid reclaim from HMRC Total income Resourses expended Charitable activities Charitable activities in Kenya Support to Uganda Famine relief Bank charges Courier and postage costs Administrative costs Literature Travel costs Accountancy Total resources expended Net incoming resources Funds brought forward Movement in reallocated funds Total funds carried forward |
Restricted Unrestricted Total KEPI Fund Fund Funds 2026 2026 2026 £ £ £ - 25,494 25,494 - - - - 25,494 25,494 - 24,998 24,998 - - - - 105 105 - - - - - - - - - - - - - 612 612 - 25,715 25,715 - 221 - 221 - - 15,460 15,460 - - - - 15,239 15,239 |
Total Funds 2025 £ 20,709 - |
|---|---|---|
| 20,709 | ||
| 25,000 - 201 - 596 - - 528 |
||
| 26,325 | ||
| 5,616 - 21,076 - |
||
| 15,460 |
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Dawn Internatlonal Support Commltt¢e IRe8lstsred ChaTIty Number 11503241 Balance Sheèt A$ at al January 2026 2026 2025 Cash at bank 15,239 15,460 N•t Assets 15,239 15,460 Funds Unrestrlcted fund 15,239 15,460 Totsl Ch•flty Funds 15,239 15,460 Forthe year ended 31 January 2026 the Company was entItl to exemptlon from audlt under Settion 477 of the Companle$ Act 2006 relatln8 to small companies. The members have not requlred the eompany to obtaln an audlt In acwdance wh sectlon 476 of the Companles Act 2006. The dlrectors acknowled8e thelr responslblllty for complylng wlth the requlrements of the Act wlth respect to accountln8 records and the preparatlon of accounts. These accounts have been prepared In accordan wlth the provlslons appllcable to companles subject to the small companles re8lme. Approved by the trustees on and s18ned on thelr behalf by,.
Dawn International Support Committee (Registered Charity Number 1150324) Notes on the accounts Year ended 31 January 2026
1 Basis of preparation
These accounts have been prepared on the basis of historical cost in accordance with Accounting - Statement of Recommended Practice Accounting and Reporting by Charities preparing their accounts in accordance with the Financial Reporting Standard applicable in the UK and Republic of Ireland (FRS 102) issued on 16 July 2014, and with the Financial Reporting Standard applicable in the United Kingdom and Republic of Ireland (FRS 102) and with the Charities Act 2011.
The charity is a going concern and there are no doubts which exist to support the conclusion that this will not continue.
2 Accounting policies
Income has been included in the financial statements when received and expenses included as and when incurred.
3 Trustees remuneration and expenses
No remuneration or expenses were paid to the trustees during the year.
| 4 Movement on funds Balance brought forward Incoming/ (Outgoing resources) Balance carried forward |
Restricted Unrestricted Fund Fund £ £ 15,460 - 221 - |
|---|---|
| - 15,239 |
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