Unaudited Annual Financial Statements
LArrER RAIN MISSION INTERNATIONAL (UK)
UNAUDITED ANNUAL FINANCIAL sfATEMENTS
for the year ended 30 June 2021

LAThER RAIN MISSION [￿ERNATIONAL (UK)
Unaudtted Annual Financial Ststements
for the year ended 30 June 2021
Report of Tnjstees
IndeperKlent Examiner's Rq
stateM￿t of Financial ktiVi￿ - IKome
ststern￿t of ￿nan0a1 Acbvit￿s . EXp￿K11ture
Balance Sheet
Notes to ttE Annual Financial Statemerts

Re[￿)rt of the Tr￿tee5
Unaudited Annual ffnancial Statements
for the year ended 30 June 2021
Latter Rain Misgon Intemational in the U.L has urth tr￿ ￿n(￿l of r￿ert. as a wisttred (harFty. continueij tr) fvlfil
the wrpose for wthith it Wds eStst4is￿. Thwe are three W eleTh￿ts under whKI) we to present our annual
retrf)r¢ namely..
i. Congregation Care and
ii. (krtreath
iii. OperatK)nal Matters
Ccryregation Care and Supp*Nt:
As a churth we (Dnbnued to seNe our thr(wW the Lknited on the Isle of Man. Our
congregabon meM￿r$ who worship at the Fairt44ven Fatth Hon* a￿ a(TOSS the country. Those who live
I￿lIY a￿ rN)re able tD regularly atterKJ the thurch 5ervicps other that are hdd at the Fèith Home.
CL)ngregation members who INe further afidd atteTrJ se￿￿ a￿1 vthen they on make u* of the
accommcmlation pThided for them on the prunises when doiThJ ￿ C(￿regatiOn care continues to inclijde to
cr￿gregat￿ meM￿rS hospital wsits as wdl as the provigon of SUPF¥Nt in VBTiOU5 forms as the need wular
communication was maintsined via onail soriaj malia daity Mess￿ Y￿re sent to ￿courage
the members in their fath tdiefs.
Congregation members are encourag8J to icin ￿ worship pr(yJrdm duting Y￿k at week￿5 this comprise5
of prayer meetings SeNt￿ aTrJ &l)le 51wdies these are atteTrtsJ in per￿￿ or online.
Variou5 gatherings were hekl durirrfJ the in qu&(￿ frieThts. memtws from other churche5 and rEighLx)urs
gathered to felk)wship ￿CIaliSe tDJether.
Due to the continuing comna virus 1cthth7￿nS durirvJ 2020 aTxI 2021 mary of the acbvltFes had to te ojrtailed and
ere possible these acbvths were hdd ortr11r￿. From spriTrJ 2021 were ab￿ t¥￿ restart our Church aLtNitse5
cAreftJlfv adherino to ts 0)¥￿t reau1at￿s restricb
CA￿each Aciwtie5:
r outrea(h acbvtbes r3)nbnue to on rexhing to the ccrfnmunity at larye and t￿1￿j relevBnt within the
communities bang served we have c￿t[nue￿ to (Bre for thrfje WFK) are in r*ed. FCKKI hampers and packages as a
gJPPOrt were dirtribjted daily. We continued to rtreive aq*star￿e from Tesco's fair share program we colletted fc*)d
from their stores three times a weeK on oV￿e receiviThJ fcmyl donations more than 250 kiknJram& thls was
distributej to appr0￿MatelY ￿ ￿le are in need.
Fairhaven congregation continues to AJprKrt the thet pa*ors [￿0]ect thi5 involve5 ministry on ￿ streets
Friday5 in the mnth our memters have the nExessary traini￿￿. tfv Tegukrly volurteer their time (ffi the rotor.
Regular Inte￿ctiOn is Undth￿ with cts thurch aThJ coThJrWk)r6 in the area.
Those living on the premises at Fairhaven enj￿ a very g¢yxl Eekxmt with the 5c(al community and especialty the
neighbovrfs regular snteJacbon ayltinl￿ arwl was promot￿1 throwjh cc¥nmtmity communal galJ)erings and vists
during the year under duiies.
Fairhaven distrityjtes suWus do1¥3ti￿ io Ot￿ (hiriws in the area.
Operational Matters:
General maintenance of the Fairhaven Faith Horr* [reM￿eS Iws COnb"n￿ where r￿essary a5 well as ttj ensure
Compliar￿ wth government registrntion ￿ te5tir¥J of the E4)re wh)le wppw the foLyJ safety standard
assesgnent by Rintshire County CourKil as as fire safty INwe Lw on a routine ba9s this
includes our tr￿1th atxj safety rKJlicy which 15 now in
Fairhaven's vehides the SLbzuki Vrtarn which was purchased in the prtwious fina￿al year unfortunately had to be
xrapped (in Cttober 2021) bwll ￿ r9)kic￿ with a sjitatle vthi(* The budget for the new financial year
has been approved provison has bea) made to undertake fvrther mairtenarK2 refvrbithmert aTwJ improbvnents

Rewt of the Trust￿$
lknudital Annual ￿nanCial stat￿n￿ts
for the year end￿ 30 June 2021
June 2021 fiE¥incg1 cr*V a cf £10.277. c￿npar￿] to la* year our inc(rfne
by £5,972 {1(Ph) Ythile werGes were £9.￿ (IN) 1cv￿r rthJirv4 krrter rLa)niThJ costs to the
reserye batsrtt at 2021 1JKTW￿ to￿ fw £ULK¥J arxl IrKaÈts an aJ(knnal amrAmt eamiayked
uent to meet regular exp￿￿.
Bas8J on the Tnjstees, &sstssnent Fdty Is to have reserves of at lea& £tLCm ava(kible in bank
accounts (avwe ￿ orra 3 ft￿th$ ¢¥pe￿).
They also have a reS￿ng￿l￿ to *uard the ass* ofts chwth and tty take r￿￿￿b[e step5 to en5ure'.
l. The churrh ts q￿a1]ng effi0&￿
2. Its are thJuar¢W agairL* uroutlM)rwl
3. finanaal infonnalion ￿ed wthin the churth or for wbfK*N)n is
4. The thurth Comp￿leS Vrith rethnt L3ws arKI ￿ul
Cha%m)an:
Mr fkNid knJhin
Mr Hcf5t SteTr
Mrs Huldha ￿UghIn
Mr ComeliLS F￿r1e .
Sgnabjre..

IrKlependent Examinerfs Report to the trustees of
Unaudited Annual Financial Ststements
for the year ended 30 June 2021
and examiner
The charity's trustees are responsible for the preparation of the accounts. The charitys
trustees consider that an audtt is rK)t required for this year under section 144(2) of the
Charlties Act 2011 (tr￿ 2011 Act) and that an iThlependent examination is n￿ded.
res
examine the accounts under section 145 of the 2011 Act;
to follow the procedures laid down in the general Directions given by the Charity
Commission under section 145(5)(b) of the 2011 Act. and
to state whether pa￿CUlar matters have oxne to my attention.
is
This examination was carried out in accordan￿ with the general Direcbons given by the
Charity Commission. An examination indudes a review of the accounting records kept by the
charity and a comparison of the accounts presented Wlth those records. It also includes
consideration of any unusual items or disdosures in the accounts, and seeking explanations
from you as trustees conceming any suth matters. The procedures undertaken do not
provide all the evidence that would be requirLIJ in an audit conwuently no opinion is
given as to whether the accounts present a true and fair view, and report is limtted to
those matters set out in the ststement below.
Inde
nt examinerfs statem t
I have examined the accounting records and all relevant sup￿t￿ng documentation,
including the Financial Statements, in accordance with the general directions of the Charity
Commission and confirm that the funds of L3tter Rain Mission Intemational (UK) have been
applied for the purpose of carrying out the obj.ects of the Latter Rain Mission International
(UK) in acc￿dan￿ with its Constttution and for no other purpo*.
NAME
ADDRESS
T>>7f¢Y4 OoA)i
DATE
21
oz
2oLL

LArrER RAIN MISSION INTERNATIONAL (UK)
Statement of Financial Activibes - Income
for the year ended 30 June 2021
Total
2021
Total
2020
Funds
Recelpts
Vdunlary Offerings- Trthes
9).680.40
,680.40
),680.40
J,680.40
59.487.54
59.487.54
Oth•r Receipts
Church Property Letting
Refunds
Interest Re￿IVed (Bankl
Total Recoipts
1.900.00
1.277.22
1.61
53,85923
320.00
127122
1.61
53.85923
23.50
59.831.04

LAThER RAIN MISSION INTERNATIONAL (UK)
ststement of Finanaal Activibes- Expenditure
for the year 30 June 2021
T(thl
Total
2020
Church RunniNJ C￿SIS
Counol Tax
El8thclty
& DorTraO(x)s
Heating Oil & G88
Insurance
Maintenance- Clwrth & &MSdirys
Maint￿anCe- Garder
Maint￿anCe- Vehides
Missionary Contribjtion
Missionary Travel
Office and Admin Costs
Other Ministry Cc*ts & Supprxt
Petrd & ParkirvJ
Salary Cost
Ta18phon
3.099ZJ
2,813.69
1.781.98
210.(M)
2.667.79
1.934.42
1215.25
350.67
1,791.86
452.37
1,128.22
1.3S).44
3,09923
2.813.69
1.781.98
210.¢XJ
2,667.79
1.934.42
1.215.25
350.67
1,791.86
452.37
1.12822
7.350.44
6.222.44
2,700.13
2.435.51
110.00
2.817.23
1.845.08
1.981.18
545.86
1.236.00
2.970.74
1.830.45
698.55
1.881.80
3.140.91
19.555.24
1.647.21
51.618.31
1.368.02
434.85
53 421.18
2268.32
19.&32.40
2.11XJ.29
42.5)5.93
1.076.79
2268.32
19.332.40
2.10029
42.505.93
1,076.79
D•pr8ciation
L￿S on d￿[￿>￿ ofvehide
TOTAL EXPENDfwRE
43,58zn
43.582.72
SURPLUS I (SHORTFALL) OF IMCOME OVER EXPENSES
1027U1
1027U1

LATfER RAIN MISSION INTERM4TIONAL (UK)
Balan￿ Sheet
ag at 30 June 2021
2021
MotorVohlclo5
4.02926
4,02926
4,957.15
Boc* value.. t￿Inn￿￿ of
720.
684.85
1250.001
1434.851
Vathall Zafire
1949.12
1686.40
728
2.949.12
1949.12
3,686.40
3728
2,949.12
3,686.40
4,608.00
21.60
3.6B6.40
Book Wue: b￿￿)￿l¥a ofywr
1.IAQ.14
1.080.14
1270.75
1,495.(M)
22425
1,270.75
B￿)k vthe.. begInr￿rQ
1270.75
1Y).61
1.IW.14
1270.75
1￿1.61
1.1)W).14
Equlpttwnt
595.59
744.49
Bookvalu8: tegHiThThJ of)w
744.49
{148.￿}
744A9
I148.￿)
JO.61
1186.121
26.760.&5
26,760.85
26,693.33
4,68521
22.IY18.12
15,407.55
Bank BaL9[￿e5
26.693.33
15,370.35
1.363.84
14.006.51
Operntiro
4,685.21
21￿8.12
Petty Cash
6752
37.20
NET ASS￿3
31.385.70
31.385.7D
21,109.19
ACCUMULATEO FUNDS
AwJmul8tsd Fur¥Js- s
21.1Ce.19
10.276.51
31J8&70
21,109.19
10,276.51
31.38&70
14,699.33
6,409.86
21109.19
ACCUMULATED FUND as * 30 Juno

LArrER RAIN MISSION INTERNATIONAL (UK)
Notes to the Annual Financial Ststements
for the year ended 30 June 2021
Basis of Acc(MJ
Financial statements of the thurch are prepar￿ in accorthntr with Aco)unttng and ReForbng by
Charities.. Ststement of Recommended Practice applicable to d)artties preparing their accounts in
accordance wtih the Financial Rewrttng Stsndard for Smaller Entities publish& on 16 July 2014,
the Financial RqJ)rting Standard for Smaller Entibes (FRSSE), and the Charities Act 2011 and
applicable regulations.
Inc
Voluntary income
Voluntsry income 15 recaved by way of frthes offering5, dcnatii)ns and grfts and 15 included in full in
the Statanent of ￿nan￿al P£tivities when rKefftJ.
Bank interest
Bank interest is included in the stat￿ of ￿nanCIal Actiwties on receipt
Donated services and facilities
These are included at the value to the tharity where this can be quanttfied. The value of servi￿5
Drovided bv volunteers has mt been induded in the S￿tem￿tt of ￿nancIal Activibes.
Expenditure is rer(wJnised when paYft￿rt is made.
Expenditure indudes VAT and is reported as part of the expenditure to which it relates in the
delivery of its charitsble activities and for its n￿mtErS. It indudes iy)th costs that can be
allocated direcdy to such acbvities arKI those costs of an indirett nature necessary to support them.
All costs are allocated tetween the expenditure categories of the Statement of ￿nancial Activitles
on a basis designed to refi￿t the use of the resource as set out in the notes to the financial
statements.

LArrER RAIN MISSION INTERNATIONAL (UK)
Notes to the Annual Financial Ststements
for the year ended 30 June 2021
Irr
le VAT
The charity is unable to recover VAT Sin￿ it dces make trXal￿e supplies. The c05t of
irrecoverdble VAT is not separatdy analysed in the finarKial siatements.
Taxation
The tharity is exempt from cortKrtion tax on ts chariiable knibes.
Tan
ible F
and De
The Church hall, the pastors and caretskrfs reside￿, dining rc(Mn, kktchen and all other
outbuildings, being vested in our Head Offi￿, Litter Rain missi(￿ International (S¢)uth Africa), are
not capitslised into the finanaal staternents.
Motor vehicles and equipment are stat￿1 at C05t Itss depreciation. Such assets are capitalised
where they can be used for more than Me year and cost over £300. Depreciation is provided at
rates Calallat￿ to write off the cost less r￿Idual value of eath osset over its eXpeCt￿j usefijl life as
follows:
- Motor vehicles: 20%, using the reducing balan￿ meth(MJ
- EqUI￿nent. 20%, using the reduong balan￿ meth(Kl
Unre5tiitted fijnds can be used in ￿cOrdan￿ with the d￿ritable obiecbve5 at the discretion of the
trustees.
Restricted fvnds can only be used for particular re5trict&l wrFKEes Within the Obj￿ of the charity.
Restricbons ar15e when specffied by the donor Ythen funds are raised for particular restricted
purtw.
Further explanation of the rIatm￿ and purtLJse of each fund will be induded in the notes to the
financial statements.
Expenditure is recognised when payment is made.
Expendtture I￿udeS VAT and is rep)rted as part of the expenditure to which ft relates in the
delivery of its charitable acbwbes and seThices for its nEmbers. It indude5 toth costs that Gin be
allfKated directy to SLKh artivitEs and thc6e costs of an indirert nat￿re necessary to supwrt them.
I costs are all￿ated between the expend[￿re cztegorie5 of the Statement of Financial Acknvities
on a basis designed to refkn the use of the r￿Urce as set out in the notes to the finanaal
statemen