Unaudited Annual Financial Ststements
LArrER RAIN MISSION INTERNATIONAL (UK)
UNAUDITED ANNUAL FINANCIAL STATEMENTS
for the year ended 30 June 2023

LAThER RAIN MISSION INTERNATIONAL (UK)
Unaudited Annual Financial Statements
for the year ended 30 June 2023
CONTENTS
Report of the Tnjstees
Independent Examinerfs Report
ststement of ￿nanCIal Acbvitses - Incorr
Statement of Financial Activities - Expenditure
Balance Sheet
Notes to the Annual ffnancial Statements

Report of the Trust
Unaudited Annual Financlal Statern￿ts
for the year end8J 30 June 2023
Latter Rain Mis&on Internalonal in the U.K. has undw the perf(Kl of revlew, as a ￿lStered ￿arity, ￿ntiNed to fulfil
the purpw for whith r( was estsblrsh&J. There are three key elements under which we wish to present our annual
kYIrt ￿m￿Y.
I, CorrfJregatl(th Care aTrJ Suptk)rt
2. Ojtreach
3. Operational Matters
Congr8Jation Care and ￿pport.,
a Church we conttnued to serve Dur mThJregatton In the UK and on the Isle of Man. The (y)ryregattc￿ Nvnber5
who worshlp at the Fa[rhav￿ Fath Home a￿ ￿attered aryoss the Untw Kngdom. Those Ilve Ic(alty art ￿¥)re
e to attend the Se￿￿5 on a WLAar basls, those IMn9 far away attend when they can ￿￿ke use of the
comn￿darknn provldèj for them on the premlses when dolng so. Se￿¢¢5 are also Streamed ¥Aa Zry)m for thtsse
unable to atteNJ in pe￿n due to them fving far away or other drcumstarw that prevent them attendlng In person.
Congrega¥on are COn￿rtUed to indude vlsSts to our meM￿r$ In the South of England, IS￿ of Man and Northem
Irdand ,as well as hospltsl support where needed, Communkaoon conunw U)rough ema115 and sockil
medio indudlng dally InSpIra￿ana1 messages.
We h)kt study pro9rams per weeK £￿e on ThU￿jaY we ho￿tt an on41ne ￿ble dl%overy progrdm that Is very
Insplrin9 and enllghtenlng. We als) have onllne Bib￿ thre5 m05t Saturday evenlng& We are pleased and
couraged to see èn ltttrease In our attendees In tErson aTrJ ¢spedally on-llne, due to new m&Dbers lolnlng
locally and others mlgratsrvJ to the UK.
ndoy Schcx)I, ￿ are grateful ts those In the congregavon wllling to tsath the youryj one5. A new prtrjrèm wl
shortly becune av*lab*. We &so have a w*kJy on-llne youth group mttting I￿111tated by a mernber of the
￿￿9r￿atIOn.
r¥J 0￿ber HU￿ah aThJ I atteTrleJ the annual Intèrnoyonal Corthen￿ hdd In Swth Aftta vthkh InclL#Jed
pastoral tralnlng. We were Bl255ed and encouraged by the of Marun and Mirinda Illlg our European cocrtlnator
and hls wlle In Wl, when we held wr annual conference. Dudng June we vlslted the European conference in South
Gemiany for a w*kend. kn durirrfj June OM Oper•ticfi Mobvation Imissthèry organkats'onl held an annual trarfiing
event In Falrhaven.
Outrath A￿VIties.
Our Outre￿ actlvltles were frJ)Jsed on reachlThJ out to the communlty at IwJe and belrfj re￿vInt wthln th
communI￿e$ beir*J sekved.
Durtng the past year the dlstrfbUtI￿ of food parcejs o)nUnues, also d15trfbutrd foTrJ to a local hdyday pwam for
needy chll(Jren. Thls hdp Is gw Locally and wlthln the Fllntshlre and Wrethom borough.
Falrhwen ¢onUnues to re¢dve from Texo three ￿rneS a weeK as part of thelr Falr Share Go In￿a￿Ve. In
add￿0Tr, FaIrhavL￿ èlso re￿iVeS approxknately 40 kgs of woduts every Tuesjay frotn the Falr Share regtonal
di%trlbution ￿ntre whith is delfvered to our premi5e5. Together this enabled us to distribute approxlmately 150 k95 of
Pr￿￿ts wee￿Y to IdenUfRd needy folks as well as other folks invofved In vdunteer m¢$51on work. Thls arnount has
unforbjnatsly lessen&l the past year.
CongtBgthn fflemt*s are acttvely Invcfved ￿th WreXh?￿ Street Pa5tovs for which ￿lu[￿er$ a￿ condnuw
Cen¥nued re9ukr Interactron wa5 algj ufKtvtsken wth other thurch kats*)IP. Falrhaven ako takes tum in hosung
the rT¥mthty prayer meebn9 the w￿harn Pastors gathering.
Falrhaven Falth Horne enjoys an excdknt raprxyt the IrKal 0)Mm￿n￿ and especklty the rt￿ht￿XJrs. Regular
intéra¢kn continu8J. We are ojrrendy h￿￿ng a neh3hbovr (n need wsth KcommLylathM.

Unaudt6J Annual Fironaat Sl2tUf*nts
for the year ￿ded 30 June 2023
Some of tt0ub1wL)￿d ￿rtS ￿ rer*ed.
We th bwght a orw waS￿r aTh1 a * cap•* air lryv.
Imp¥ovemwt&
*Y•mapJ N¥nRyre. Mye alyj able ID
Fty the June 2023 firlafioal yew W iecew txceedwl eypenw ty £2)9. CL¥np￿￿ year. In￿e Irom
vduntary %Yert £l.OJ9 whlst titsl iÉYLYPiS WKTe4se¢l ty £1.217 to an Ir&ura￿e wdund for
cost to ￿paIr water damage. EX￿ wX¥ea￿A¥1 by £1.871 ti4k<tsffj W c05t •Kt I￿rea￿ ￿ntena￿t
(051$, rna1n￿ to refft wr tyJr¢lK4e regw walw ¢Jam¥¢
Tre teserve al Jw 2023 tD 124.9?O of Eis,rM ts W as • tost restrwe remair*r¥J
£9,970 akratel to •*J iytyjects
acrwnL% lo¥*rag¢ rf 3 ¢¥pwse51.
OwTh'ti¢s kt 2011. the are reqw&1 to k¥twe a of ucr* •ccowtsn9 yew.
Thty have o safegu¥e the assets rf the tt*¥th rake reawab* xeps to
2. 11$ os%ts art *fe9uarthd wwn5t or
MKS PtK4man
tiuA*Q5 ￿ Mr Jxth• 2024

Independent Examinerfs Report to the trustees of
Unaudited Annual Financial Statements
for the year ended 30 June 2023
Res ective r
on
stees and examiner
The charity's trustees are responsible for the preparation of the accounts. The charity's trustees
consider that an audit is not required for thls year under section 144(2) of the Charities Act 2011
(the 2011 Act) and that an independ￿t examination is ne&led.
ism
examine the accounts under sectlon 145 of the 2011 Act;
to follow the prO￿ureS laid down in the general Dlrectlons given by the Charlty Commlsslon
under 5ettion 145(5)(b) of the 2011 Act: and
to stste whether particular matters have come to my attentfon.
sis of this re
This examination was carried out in accordan￿ with the general Directions given by the Charity
Commission. An examination includes a review of the accounting records kept by the charity and a
comparison of the accounts presented with those records. It also indudes consideration of any
unusual Items or dlsclosures in the accounts, and seeklng explanatlons from you as trustees
conTrrning any such matters. The procedures undertaken do not provide all the evidence that
would be required in an audit and consequently no opinlon Is glven as to whether the xcounts
present a 'true and fair vlew, and the report is limited to those matters set out in the statement
below.
I have examlned the account5ng records and all relevant supportlng documentation, including the
Flnanclal Statements, In accordantr wlth the general directions of the Charity Commission and
confirm that the funds of Latter Rain Mission International (UK) have been applled for the purpose
of carrying out the objects of the Latter Rain Mission Intemational (UK) in accordance with its
Constitutlon and for no other purpose.
NAME
ADDRESS IZW UrLL6 SrnTTh C*£f￿Hr1￿£ t¥*9￿E
DATE
OL
Z02

LA￿ER RAIN MISSION INTERNATIONAL (UK)
Statement of Financial Activities - Income
for the year ended 30 June 2023
Unrestricted
Funds
Total
2023
Total
2022
Roc8ipts
Voluntary Offerings- Tithes
58,748.06
58,748.06
58,748.06
58,748.06
59,787.22
59,787.22
Other Receipts
Church Property Létting
Refunds
Inler6St Re¢elved (Bank)
Total Rècelpts
320.00
2,220.96
162.71
61,451.73
320.00
2,220.96
162.71
61,451.73
320.00
122.39
4.84
60.234.45

LATTER RAIN MISSION INTERNATIONAL IUK)
stat8ment of Financial Activities - Expenditure
for the year ended 30 June 2023
Unrestrlcted
Funds
Totsl
2023
Total
2022
chU￿h ktlvltlgs
Church Running Costs
Councsl Tax
Electricity
Gifts & Donations
H88ting Oil & Gas
Insuranee
Maintenance- Church Hall & Bulldbngs
Maintènanco- Gardens
Maintenance- Vehiclag
Mlgslonary Conlributlon
Mlsslonary Travel
offi￿ and Admin Costs
Other Minlstry Costs & Supptrrt
Petrol & Parklng
Salary Cost
Telaphon8
4.238.88
3.056.42
2,968.68
85.60
3,722.70
2,348.65
7.705.69
964.93
1.100.93
6,003.19
1,835.72
1.311.96
4,238.88
3,056.42
2,968.68
85.80
3,722.70
2,348.65
7,705 59
964.93
1,100.93
6,003,19
1,835.72
1.31196
3,900.89
2,930.69
2,458.24
255.00
2,742.44
2,000.91
4,758.57
492.57
1,163.68
8.761.02
221.00
391.27
2,348.62
18.482.63
2,578.70
58.753.30
2,459.00
2,348 62
18,482.63
2,578.70
58,753.30
2,459.00
1,985.43
17.700.00
1,630.45
51.392.16
1,240.85
708.13
Depr8cSallon
Loss on scrapplng of vahi¢le
TOTAL EXPENDITURE
61,212.30
61212.30
53,341.14
SURPLUS OF INCOME OVER EXPENSES
239.43
239.43
8.893.31

LAThER RAIN MISSION INTERNATIONAL IUKI
Balance Sheet
as at 30 June 2023
Unr•slYi¢tsd
Fund•
Totsl
2023
Total
2022
Flx*d As59ts
Motorvehicles
8,877.92
8,8TI
11.097.39
Suzukl Vbtara
Book valu8.' b8ginnkng of year
Lass.. D8pf8Ckqtion
1,080.14
72.01
1,008.13
1300.001
1708.131
Lass.. Scr8P Value recelved
Loss on 5cx8p￿ng of Suzuki Vitara
Vaxhall Zafir
1,887.44
2.359.30
471.86
1.887.44
1.887.44
2,359.20
471.86
1,887.44
2,359.30
2.949.12
589.82
2.359.30
Book valu8." beglnnkng ol year
L868'. Depr6datk)n
Ford F58518
e,990.48
6,990.48
8,738.10
8,738.10
Book valuè". boglnnlng olygar
PU￿has6￿ In April 2022
Lg5$.' Depreciallc
8.738.10
9,198.00
459.90
8,738.10
1,747.62
6.990.48
1,747.62
6,990.48
Equlpmont
Ridtron Lawn￿￿er
1,679.19
1,679.19
361.18
476.47
381.18
476.47
Book v#lu•'. b8oinnSng ol y••r
L088.' 08pr8¢latlon
Comput•r 04￿pment
Book value.. beglnnlNJ ol year
Purch8s8d in January 2023
Less.. D6pr6ci8llon
476.47
195.291
476.47
195.291
1,298.02
595.59
1119 121
1,298.02
1,442.24
1144.221
1,442.24
1144.221
Current A880ts
27,961.33
27,934.01
2,983.65
24,970.36
27.32
27.961.33
26,705.14
26,609.18
B8nk BalanGes
27.934.01
Oparats'ng a¢o)unt
R88enia accoutit
2,963.65
24,970.36
27.32
3.610.96
23,058.22
3S.96
Pgtty Cash
NEf ASSETS
38.518A4
38 518.44
A¢¢UMULATED FUNDS
Ac¢umuL4ied Fund8- beglnnlrKJ of th8 year
EX￿$$ I Ishortfalll of Income over axpendilure
ACCUMULATED FUND a* al 30 Jun
38.279.01
239.43
38,279.01
239.43
31,385.70
6,893.31
38,279.01
38,518.44
38.518.44

LAThER RAIN MISSION INTERNATIONAL (UK)
Notes to the Annual Financial Ststements
for the year ended 30 June 2023
Firkincial ststements of the thurch are prepared in accontsKe wlth Accountlng and Reporting by
arities: Statement of Recommended prrftj￿ app41ca￿e to charitses p￿pari￿ their ac£ounts in
accordan￿ wth the ￿nanaal RepYb.￿ Stsndard for Srnaller Entities published on 16 July 2014, the
Flnanclal Reptytyro Stsrxlard for Smal*r Ent1￿￿ (FRS5E), a￿1 ￿ charli￿ Art 2011 aThl appllcable
regulatlons.
Voluntary Income
Voluntsry Income is rKeNed by way rf fths otsrvjs, donathms and gtfts and Is Snduded in full In
the Ststemert of Hnanaal ActTrvltles when r￿¥&$.
Bank Interest
k intsrest is In the statem￿ of ktivibts on recelpL
Donated serylces and f&ilitles
T￿ are included at ￿ value to the tharity whve thLs can be Quantified. The Val￿ of wvice5
Drovided bv volunteer5 has not bw ir*J￿ded ￿ the stat￿ of Finandal A(INlties.
Expendlture ts reco3nised Wh￿ ts m
Expenditure indLKles VAT and 15 reported as part of the to which bt rdates in the delsvery
of Its charltsble activiti'es aTrl servlts for its members. It inc*Jdes costs that can te albxated
dlrethy to such acWvlUes and those costs of an indlr&t nature n￿essary to support thwn.
All costs are allLx*ed between exptr¥Jliure 12tegorles of the Statement of Ftnandal Acttvlties on
a basls (Feslgned to refiect the use of the res(Nj￿ as set In the notss to the fina￿[al statements.

LAThER RAIN MISSION INTERNATIONAL (UK)
Note5 to the Annual Financial Ststements
for the year ended 30 June 2023
er
The charity is unable to recover VAT SIn￿ it does not make taxable supplies. The c05t of
IrT￿Verable VAT is not Separate￿ analysed in the financial ststements.
The tharity Is exempt from corForatlon tsx on ILS charitsble activities.
and
iation
The Church hall, the pastorfs and caretakers restrden￿, dining room, kitchen and all other
OLrtbuildings, being vested in our Head Offl￿, Latter Raln Mlsslon International {South Afrtca), ore
not capltalised irth the flnancial 5tatement&
Motor vehides and equipment are stated at cost less depreciatlon. Such assets a￿ captslised wtte
they can be used for more than one year and cost over £300. Oepreciation Is provided at rates
calculated to Wr￿ off the cost less residual value of each asset over its expetted useful Ilfe as
follows:
- Motor vehlcles: 20%, uslng the reduclng balan￿ method
- Equlpment,. 200/0, uslng the reducirwJ balance method
Unrestricted fvnds can be used in accordan￿ wlth the charttable objectjves at the dlscretron of the
Restrlctsd funds tan only be used for partlcular restrlcted purposes wlthln the objects of the charity.
Restrlctlons arlse when specifled by the donor or when funds are raised for parttcular ￿stricted
purFrt)ses.
Further explanatlon of the nature and purpose of each fvnd will be Induded In the notes to the
flnandal statements.
Expenditure is recognised when Payrn￿t Is made.
Expenditure indudes VAT and Is reported as part of the expendlture to whtch It relates In the dellvery
of its charftable activltles and selv1￿$ for Its members. Et Indudes both costs that can be allocated
dIr￿tlY tr) such actlvltles arKI those co*s of an Indlrett nature nrfessary to suprort them.
All costs are allocated btheen the expendlture categories of the Ststement of Financial Artivitles on
a basis designed to reflett the use of the resou￿ as set out in the notss to the financial Statements.