Unaudited Annual Financial Statements
LAThER RAIN MISSION INTERNATIONAL (UK)
UNAUDITED ANNUAL FINANCIAL STATEMENTS
for the year ended 30 June 2024

LAThER RAIN MISSION INTERNATIONAL (UK)
Unaudited Annual Financial Statements
for the year ended 30 June 2024
CONTENTS
Report of the Trustees
Independent Examiner's Report
Statement of Financial Activities - Income
Statement of Financial Activities - Expenditure
Balance Sheet
Notes to the Annual Financial Ststements

Report of the Trustees
Unaudiied Annual Financial Statements
for the year ended 30 June 2024
ectives &
Latter Rain Mission International in the U.K. has under the peric#J of review, as a register8J Charity, continued to fulfil
the purpo* for which it was established. There are three key elements under which we wish to present our annual
reFQrt, namely:
l. Qjngregation Care and Support
2. Outreach
3. Operational Matters
Congregation Care and Support:
As a Church we Continued to serve our congregation in the UK and on the Isle of Man. The congregatlon members
who worshlp at the Fairhaven Faith Home are scattered across the Unlted Kingdom. Tho* who live locally are more
able to attend the se￿I￿S on a regular basis, those livlng far away attend when they can make use of the
accommodation provlded for them on the premises when doing so. Services are also streamed vla Zoom for tho
unable to attend in person due to them Ilving far away or due to UnfOres￿n clrcumstances that prevent them
attending in person. congrega￿on care continued to include visits to our members in the South of England, Isle of
Man, Northern Ireland and the Midlands, as well as hospital visits and suppjrt where needed. Communlcation
contlnues through emalls and s￿[al media Including daily inspirational messages and a Blble reading progrdm that
started in January of this year.
We hold I￿0 Bible study progr7ms per week, one on Thursday we hold an on-llne Blble discovery program that Is very
insplrlng and enllghtenlng. We also have onllne Bible lectures on most Saturday evenings. We are pleased and
encouraged to See an Increase In our attend￿S both in person and especially on-llne, due to new members Joining
locally and others mlgratlng to the UK.
We have an attive Sunday School and are grateful for tho* in the congregatlon wllling to teach the young ones. A
new prcoram is now avallable and has started. All our Sunday School staff now hold enhanced DBS dlsclosure
rtificates for worklng with young persons. We have a weekly on-line youth group meeting facilltated by a member
of the congregation. We are compliant with safeguardlng regarding ￿1]dren and the vulnerable, our pollcy document
Is available on request.
During De￿rnber Huldah and I attended the internab'onal Confe￿￿￿ held in South Afrlca which Included pastoral
training. We were Blessed and enoJuraged by the visit of our ELIr0￿n coordlnator In October with a special autumn
Conferen￿ ￿lebrating 40 years of Falrhaven in Wales, long standing members from the Netherlands also jolned us.
Outreach Actlvlties:
Our outreach attivltles were f￿USed on reachlng out to the communlty at large and being ￿levant within the
communities being served.
DLJrlng the past year the distribution of food parce15 has continued. Thls help is given Locally and within the Flintshire
and Wrexham boroughs. We also support our members wherever possible.
Falrhaven continues to re￿1ve produtts from Tesco three times a week, as part of thelr Fair Share Go Initiative. In
addition, Fairhaven also receives approximately 40 kgs of produ￿ every Tuesday from the Fair Share ￿gIOnal
distribution centre whlch is delivered to our premises. Together thls enabled us to distrlbute approximatdy 150 kgs of
products W￿klY to identified needy folks as well as other folks involv&Y in volunteer mission work. Thls amount has
unfortunately lessened during the past year.
Congregation members are attively involved with Wrexham Street Pastors for which volunteers are continuously
needed.
Chuffh Leadetship ￿agement
Continual regular interattion was also undertaken with other church leadership. Fairhaven also takes tum in h05ting
the monthly prdyer meeting with the Wrexham Pastors gathering.
General interaction with the /oc31 community
Fairhaven Falth Home enjoys an excellent rapport with the local community and especially the neighbours. R8Ju13r
Interaction continued. We helped a neighbour last year with food who sadly passed away last March.

Report of the Trustees
Unaudited Annual Financial Statements
for the year ended 30 June 2024
Operational MatteFs:
General rna1ntenan￿ of the Fairhaven Faith Home premises has continued where necessary as well as to en￿re
Complian￿ with government legislation. The testing of the bore hole water and the Food &ifety Standards
Assessment by the Hintshire County Counal, including fire safety Complian￿ have been successfully completed on a
routine basis.
During the past year some of the main improvements we have made are:
The car park was resurfaced and all the failed doubltrglazed units were replaced.
A new ride-on a Jawn tnower was purthased as well as 50 new prayer hall chairs were bought
We are extremely gFateful for all the help and assistan￿ we have received in bringlng about these welcome
improvements.
The budget for the new financial year ha5 been prepared and provision has been made for further maintenance and
refurbishment where necessary.
Rom 15: 13 May the God of hope fill you with all Joy and pea￿ in bellev6iYJ, so that by the power of the Holy Spirit
you may abound in hope.
Voluntary donations and tithes re￿iVed for the year induded a donation received in memory of Mr Alex Blowers, a
congregatlon member who has passed away. The Increase in expenses was maSnly driven by building maintenan
Costs for resurfacing the parkn'ng area.
Cash re￿rve balan￿ at the end of year was £15,545 whlch includes the amount held as a cost reserve (£15,000). We
agreed to set aside £30,000 from the donation received for speciftc maintenantr and improvement projects.
The Trustees are responsible for assessing the levd of reserves needed by the charity to maintain resep4es SLrfftclert
to meet regular expenses.
Based on the Trustees, assessment the present policy Is to have cash reserves of at least £15,000 avallable in the
savings account (average of 3 months expenses).
Under the Charitles kt 2011, the trustees are requSred to prepare a statement of accounts for each accounting year.
They also have a respong'bility to safeguard the assets of the church and to tske reasonable steps to ensure:
l. The church is operating effiaently and effectivety
2. Its assets are safeguarded agalnst unauthorised use or disposltion
3. ￿nanCIal Infomiatlon used within the church or for publication is reliable
4. The church complies with relevant laws and regulatlons
The Trustees who served on the date thÉs report was approved are:
Chalnnan: Mr David Joughln
Secretary: Mr Allan Longshadow
Elected members:
Mrs Klaudia Krauser
Mrs Marlise Poolman
Mr Comelius Fourie
Sioned on behalf of the trustees by Mr David Jouohin on l O February 2025

Independent Examiner's Report to the trustees of
Unaudited Annual Financial Statements
for the year ended 30 June 2024
ttiv
nsi
ustees
nd examin
The charity's trustees are responsible for the preparation of the accounts. The charity's
trustees consider that an audit is not required for this year under section 144(2) of the
Charities Att 2011 (the 2011 Act) and that an independent examination is needed.
examine the accounts under settion 145 of the 2011 Att;
to follow the procedures laid down in the general Direttions given by the Charity
Commission under section 145(5)(b) of the 2011 Att. and
to state whether particular matters have come to my attention.
hi
This examination was carried out in accordance with the general Directions given by the
Charity Commission. An examination includes a review of the accounting records kept by the
charity and a comparlson of the accounts presented with those records. It also includes
consideration of any unusual items or dlsclosures in the accounts, and seeking explanations
from you as trustees concerning any such matters. The procedures undertaken do not
provide all the evidence that would be required in an audit and consequently no opinion is
given as to whether the accounts present a 'true and fair view, and the report is limited to
those matters set out in the statement below.
I have exarnined the accounting records and all relevant supporting documentation,
including the Financial Statements, in accordance with the general dirertlons of the Charity
Commission and confirm that the funds of Latter Rain Mission International (UK) have been
applied for the purpose of carrying out the objects of the Latter Rain Mission International
(UK) in accordance with its Constitution and for no other purpose.
NAME
ADDRESS 41 Kr6Lts 7
DATE
/0
02
zoz

LArrER RAIN MISSION INTERNATIONAL (UK)
Statement of Financial Activtties - Income
for the year ended 30 June 2024
Unrestricted
Funds
Restricted
Fund5
Total
2024
Total
2023
Recelpts
Voluntary Offerings - Tithes
62,272.27
62,272.27
30,000.00
30,000.00
92,272.27
92,272.27
58,748.06
58,748.06
Other Receipts
Church Property Letting
Refunds
Interest Re￿iVed (Bank)
Total Receipts
320.00
538.17
479.53
83 607.97
320.00
536.17
479.53
93,607.97
320.00
2,220.96
162.71
61451.73
30,000.00

LAThER FiqIN MISSION INTERNATIONAL (UK)
statement of Financial Activities - Expenditure
for the year ended 30 June 2024
Unrnstrl¢ted
Funds
Restrf￿ed
Funds
Total
2024
Total
2023
Church Actl¥ftle5
Church Running Ctxts
Council Tax
Electricity
Gifts & Donat¢ons
Meating Oil & Gas
Insurance
Mainlenanco- Church Hall & Buildings
Maintenantg- Gardens
Maintenance- Vehicles
Missionary Contribution
Missionary Travel
offi￿ and Admin Costs
Other Ministry Costs & Support
Petrol & Parking
Salary Cost
Telephone
8,371.31
3,228.53
3,039.62
43.40
4,313.87
1,993.84
18,755.26
1,385.49
1,198.53
1.845.73
2,042.80
2,017.25
8,371.31
3,228.53
3,039.62
43.40
4,313.87
1.993.84
18,755.26
1,385.49
1,198.53
1,845.73
2.042.80
2,017.25
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,W3.19
1,835.72
1,311.96
1,768.16
18,547.80
2,043.13
70,594.72
2,357.85
381.18
1,768.16
18,547.80
2,043.13
70,594.72
2,357.85
381.18
2,348.62
18.482.63
2,578.70
58,753.30
2.459.00
Depreciation
L088 on $¢rapping ride-on lawn mower
TOTAL EXPENDITURE
73 333.76
73 333.76
812q 2.30
8URPLU8 OF INCOME OVER EXPEN8E8
19,726,78)
ao,ooo.00
20,274.22
239A3

LATtER RAIN MISSION INTERNATIONAL (UK)
Balance Sheet
as at 30 June 2023
Unre5trJuted
Funds
Rtstri¢t¢d
Funds
Total
2024
Total
2023
Fixad Assets
Motor VehioltB
7,102.33
7,102.33
8.877.92
Vaxhall Zafire
1,509.95
1,509.95
1,887.44
377.49
1,887.44
2,359.30
471.86
Book value.. beginning of year
Less.. Deprec¢alion
1,887.44
377.49
Ford Fiesta
5,592.38
5,592.38
6,990.48
Book value." beginning of year
Le55: Depreciats"on
6,990.48
1,398.10
6,990.48
1,398.10
8,738.10
1,747.62
Equlpm•nt
Ride-on Lawnmowèr
3,135.75
3,135.75
1.679.19
2,097.33
2.097.33
381.18
Book value.. beginning of year
Loss on $crapplng ride-on la¥￿ mower
Purehased in November 2023
s.. Depre¢ialion
Computer equipment
Book value.. beginning of year
Pur¢hased in January 2023
Lè8J.' Depreci8lion
381.18
381.18
2,420.00
322.67
381.18
381.18
2,420.00
322.67
476.47
95.29
1,038.41
1,038.41
1,298.02
1,298.02
1,298.02
1,442.24
144.22
259.60
259.60
eurr•nt As8•ts
18.554.58
30,000.00
48,554.58
27,961.33
27,934.01
Bank Balances
18,545.44
30,000.00
48.545.44
Operating aceounl
Re8erye arxount
3,OlJO.00
15,545.44
3,000.00
45,545.44
2,963.65
24,970.36
30.000.IM]
Pelty Ca$h
0.14
9.14
27.32
NET ASSETS
28 792.88
30 000.00
38 51&44
ACCUMULATED FUNDS
Aceumulaled Fund8 - beglnnlng of the year
Excess l {Shortlalll of Ineome over expènditure
ACCUMULATED FUNDS *% #t 30 Jun•
38,518.44
19,725.781
28 792.88
38,518.44
20,274.22
58 792.88
38,279.01
239.43
30,000.00
30 000.00
38.518.44

LATTER RAIN MISSION INTERNATIONAL {UK)
Notes to the Annual Financial Statements
for the year ended 30 lune 2024
ofA
ntin
Financial statements of the church are prepared in accordance with Accounting and Reporting by
Charitie5: Statement of Recommended prattl￿ applicable to charities preparing their accounts in
accordance with the Financial Reporting Standard for Smaller Entities published on 16 July 2014,
the Financial Reporting Standard for Smaller Entities (FRSSE), and the Charities Act 2011 and
applicable regulations.
In
Voluntary income
Voluntsry Income is received by way of Tithes offerings, donations and gifts and is included in full in
the Ststement of Financial Activities when received.
Bank interest
Bank interest is included in the Ststement of Financial Activities on receipt.
Donated services and facilities
These are included at the value to the charity where this can be quantified. The value of services
provided by volunteers has not been included in the Statement of Financial Activities.
Expenditure is recognised when payment is made.
Expenditure includes VAT and is reported as part of the expenditure to which it relate5 in the
delivery of its charitsble activities and services for its members. It includes both costs that can be
allocated directly to such activities and those costs of an indirett nature necessary to support them.
All costs are allocated between the expenditure categories of the Ststement of Financial ActivitSes
on a basis designed to reflert the use of the resource as set out in the notes to the flnancial
Statements.

LAFfER RAIN MISSION INTERNATIONAL (UK)
Notes to the Annual Financial Statements
for the year ended 30 June 2024
Irr
The charity is unable to recover VAT since it does not make taxable supplies. The cost of
irrecoverable VAT is not separately analysed in the financial statements.
ver
The charity is exempt from corporation tsx on its charitable activities.
an
ti
The Church hall, the pastorfs and caretskerfs residence, dining room, kitchen and all other
outbuildings, being vested in our Head Office, Latter Rain Mission International (South Africa), are
not capitalised into the financial statements.
Motor vehicles and equipment are stated at cost less depreciation. Such assets are capitalised
where they can be used for more than one year and cost over £300. Depreciation is provided at
rates calculated to write off the cost les5 residual value of each asset over its expetted useful life as
follows:
Motor vehicles: 20 % , using the reducing balan￿ method
Equipment: 20 %, using the reducing balance method
Unrestrlcted funds can be used in accordance with the charitsble objectives at the discretion of the
trustees.
Restrltted funds can only be u*d for particular restricted purposes within the objects of the charity.
Restrictions arise when specified by the donor or when funds are raised for particular restricted
purpo￿5.
Further explanation of the nature and purpose of each fund will be included In the notes to the
financlal statements.
Ex
Expenditure is recognised when payment is made.
Expenditure Includes VAT and Is reported as part of the expenditure to which it relates in the
delivery of its charitable activities and Servi￿ for its members. It includes both costs that can be
allocated directly to such activities and those costs of an indirect nature nece￿ary to support them.
All costs are allocated between the expendlture categories of the Ststement of Financial Activities
on a basis designed to reflect the use of the resource as set out in the notes to the financial
statements.