Trustees, Annual Report for the period
Period start date
1st
Mar
Period end date
28th
Feb
From
2020
2021
Section A
Reference and administration details
Charity namo I
Kingdom Storehouse
Other names charity is known by,
Harold Hill Foodbank
Registered charity number lif any)
1153554
Charity's principal address Untt 1 Guardian Business Centre
Farringdon Avenue
Romford
Postcode
I RM3 8FD
Names of the charity trustees who manage the Charity
Trustèe name
Office lif any)
Oates aetèd if not for whole
Name of person lor body) entided
toa
int trustee
ifan
J M Baker
Director I Chairman
Direclor
P Feinson
J Trinder
J A Smith
Direclor
Director
Director
J M Butler
11512020 - 281212021
10
12
13
14
15
16
17
18
19
20
Names of the trustees for the charity, if any, (for example, any custodian trustees)
Name
Dates acted rf not for whole
ear
TAR Kingdom Storehousg 1153554

Names and addresses of advisers (Optional inforniation)
e of adviser
Name
Address
Name of chief executive or names of senior staff members (Optional inforniation)
Section B
Structure,
overnance and mana
ement
Description of the charity's trusts
Memorandum and Articles of Association dated 271112012
Type of governing document
How the charity is constituted
Company limited by guarantee
Trustee selection m8thods,. Directors a￿ selected on the basis of their experience and commitment to
the objects of ihe chanty. They are appointed by the Directors by Ordinary
Resolution.
Additional governance issues (Optional infonnation
The Foodbank activities of Kingdom Storehouse IKSI are overseen by
The Trussell Trust {rTh) as the charity runs a Trussell Trust Network
Foodbank. Administration of the Foodbank is managed through Gloud
hosted computer systems.
You may choose to include
additional information, where
relevant, about..
policies and Pro￿dureS
adopted for the induction and
training of trustees.,
the charity's organisational
structure and any wider
network with which the charity
works.,
Foodbank operations are subject to Quality assurance audits by TTT.
The Chanly has a working relationship with but has no legal
connection to them.
The Chanty operates through a Board of Directors and a full time
employed General Manager {GM) who is responsible for the day to day
running of operations.
• relationship wth any related
parties,
trustees. consideration of
major risks and the system
and procedures to manage
them.
Financial reporting and oversight (including nskl is managed at Director
level with input from the GM.
The Trustee Board met règularly by Zoom dunng the year.
Section C
Ob'ectives and activities
A charrty with a Christian ethos acting for the relief of poverty or distress
for persons in, but not limited to, the London Borough Of Havering,
Summary of the objects of the i United Kingdom, who are in conditions of need, hardship or distress by
charity set out in its
I reason of their soci21 andlor economic circumstances by providing
governing document
emergency food, debt advice, adult's and children's clothing and other
household items, interview and employability mentoring and general
advice.
TAR Kingdom Storehouse 1153554

In planning our activities for the year the Directors have had in mind the
Charities Commission guidance on public benefrt.
During the year the Charity continued to manage a Trussell Trust
Foodbank which is part of the Trussell Trust national network of
| Foodbanks. The amount of food distributed has seen a 5°k increase to
the previous year and as such has justified the continued need for this
charrtable activity-
A team of volunteer helpers has been successfully maintained to enable
suc￿Ssful operation. atthough there has been a higher tumover of
volunteers due to the Covid-19 pandemic. The charty encourages former
clients lo become volunteers.
Summary of the main
activities undertaken for the
public benefit in relation to
these objects {include within
thls section the statutory
declaration that trustees have
had regard to the guidance
issued by the Charity
Commission on public
benefit}
A Job Club is run by The Charity wrth the assistance and guidance of
Chrislians Against Poverty ICAPI. The club provides mentoring and
training for job seekers as well as identifying other needs, which resulted
in sign-posting to other organisations who were able to assist with debt
counselling. home budgeting iraining and personal counselling. However,
due to social distancing restrictions, the Job Club staff were fudoughed
for the majority of the year, with some phone and online work at times
when not furloughed.
In addition to the above, which are the same as previous years, the
Charity continues to explore the possibility of selting up a Christians
Against Poverty (CAP) Debt Centre We have been voted Charity of the
Year by Macfarlanes LLP for this purpose, and plan to have the Debt
Centre established during the next financial year, in partnership wilh
other local stakeholders.
Additional details of objectives and activitles Ioptional information)
The project continu8d to employ a full lime General Manager IGM) but il
is acknowhedged with gratitude that the functioning of the Foodbank could
not lake pla￿ wrthout volunteer assistance.
The GM also manages Four paid part time staff members., Job Club
Manager. Job Club Assistant. Fund RaisinglAdmin Officer, and Volunteer
Coordinator
You may choose to include
further statements, where
relevant, about..
The Charity does not have any investments, all income is used for
operations and any surplus is held on deposii for use in operations.
policy on grantmaking-,
policy programme related
investment",
contribution made by
volunteers.
The Charily does not exist in order to make grants but alongside its own
operational activities it does support other charities whose activities are in
accord with our own Objects Clause. The policy is to make grants or
donations where the￿ is a need and when income allows, but in total to
limit to no more than 10% of unrestricted income.
TAR Kingdorn Storehouse 1153554

Section D
Achievements and performance
Foodbank aclivty continued to increase, and was 50k higher than last
year. Volunteer strength was varied due to hi9her turnover during the
pandemic but was adequate for safe socially distanced operations.
Food stocks have increased due to more public support and there has
not been any need to purchase out of stock items. unlike previous years.
Summary of the main
achievements of the charity
during the year
TAR Kingdom Storehouse 1153554

Section E
Financial review
Brief statement of the
charity's policy on reserves
Reserves policy is to maintain, vthere possible, un￿StrICted reserves that
are equal lo or in eX￿sS of 50% of committed annual expenditure. The
current cover is 141%
Details of any funds materially
in deficit
None were in deficrt.
Further fjnancial review details (Optional infonnation)
You may choose lo include
Resilience was built during the year through increased donations and
additional infomation, where
grants_ Please see our published accounts for further details.
relevant about".
the charity's principal
sources of funds (including
any fundraising).,
how expenditure has
supported the key objectives
of the charity..
investment policy and
objectives including any
ethical investment policy
adopted.
Section F
Other o
tional information
The Directors acknowledge the support given in the current year by Drapers Charitable Trust, The Co-op,
Tesco. Waitrose, The Fore & London Borough of Havering, The National Lottery. Macfarlanes Solicilors
London, City Bridge London, CAF, and all our individual supporters.
Section G
Declaration
The trustees declare that they have approved the trustee5' report above.
Signed on behalf of the charity's trustees
Signaturels)
Full name{s
Position leg Secretary. Chair,
etcl
John M Baker
Chair
Date
TAR Kingdom Storehouse 11 S3554

Kingdom Storehouse
Annual accounts for the
1153554
eriod
CC17a
Pen(Kl start date
0110312020
To
PerKxJ end
dale
2810212021
Section A
Statement of financial activities
Restrictèd
income
lund5
Recommended
Categories by activity
Details of own
anatysi8
Unrestricted
fvnds
Endowmènt Total this
funds
year
Totsl last
Incoming resources (Note 31
F01
F02
F03
F04
F05
Incoming resourTrs irom
ger*raied funds
tary Ifwtr*
70.7C6
177,416
248.122
65,184
rtie5 forgeneFabw
S02
Invest￿￿￿1 IncoTr
Inwnhig resouicesfic
chantabbe acbYrf*S
Ottwr inGoming rg¥our¢es
sos
Total incoming resources
Resources expendèd (Notes 44)
Costs ol Geneialing Funds
Costs ol genernbng vdwirdty
Inco
70,7
177.416
248,122
65,184
S07
Fun(kasmg Iradif¥J ci
S10
19740
109.179
128,919
92,633
9SO
950
600
S12
Total rgsour¢gs expended $11
Net incominty{outyoin9) ￿soUrceS belor•
20 690
109.179
129.869
93,233
SO.016
68.237
118.253
28,049
Gross transfers betr*eèn funds
S15
Net In¢omlnW(outyoArtgJ r•source$ befo
other ￿?9￿1$¢d931n￿llos5eSj sie
Oth?r r8cognlsod galnsll1088è$1
Gains and1055e5 on revaluatson of fixe(l assets
for the chanty s own use
Gains and los￿ on Investment 8ss8ts
50.016
68,237
118,253
28.049
517
518
Net movement in lunds S19
50.016
43.634
68.237
20.845
118,253
64,479
28,049
92,528
Total funds brought forward
Total funds caniqd forward S2T
S20
93 650
89.082
182,732
64.479
CC17a (EX￿1)
2110512021

Section B
Balance sheet
Unrestriet8d
funds
intom•
funds
Endowment Total thi6
nds
year
Total last
year
Fixed assets
Tangible assets
F01
10,134
F02
6.019
F03
F04
16.153
FOS
10.656
{Note 91
Investments
(Notg 10)
Total fixed assets
10.656
Current assets
Stock and work in progress
Debtors
(Note 111
(Short temil Investments
Cash at bank and in hand
Total current assets
8.400
8,400
8,400
45.423
53,823
Creditors: amounts falling due within
one year
(Note 121
810
950
31.366
32,316
Net Current assets/(liabilities)
53,823
Total assets less current liabilities
812
4,47
Creditors: amounts lalling due after
one year
(Note 121
Provision$ for liabilities and eharges
813
B14
Net assets
Bl5
•V.
64.479
Funds of the Charity
Unre8trlcted funds
B16
91,7
91.783
43,635
817
Rostricted incom8 fvnds (Nots 131
Endowment fund8 INote 131
818
90.949
90.949
20,844
819
Total funds
•v.
64,479
Signed by one or Iwo truslees on behaff of all
thè trustèès
S￿natU
Print Name
Date ol
roval
J M Baker
Director
CC17a (Excell
2110512021

Section C
Notes to the accounts
Note 1
Basis of preparation
This se¢tion should be eomplttèdty all ¢lMrili•s.
1.18asis of accounting
These accounts have been prèpare(l on an accruals basis on hi$tOriC C05t and there a￿ no investments.
1.2 Change in basis of accounting
There has been no thange lo the accounb.ng poliries {valUat￿n rul&s and melhods of acLounting} since last year
1.3 Changes to previous accounts
No changes have tMn made to accounts for prewus years.
CC17a IExc¢ll
21105r2021

Section C
Notes to the accounts
Note 2
Accounting policies
INCOMING RESOURCES
Recognition of tncoming
resources
Thesè are I￿￿￿ed in Statement of Financgal Acliv[t￿5 ISOFAI when..
the charity be(x)mes entrtled to the res(MAr¢es.'
the trustees a￿ virtualty certain they will feceNe resources". and
the monetary value ran be measured wrth sulficient reliabilty.
Where In(x)rning resources have related expenditure las wrth fundra15ing or contract income)
the in¢x)ming resources and relateil expendrture are rep(xted gross in the SOFA.
Grants and donats)ns ale only induded In the SOFA when the tharity has unconditional
entitthent to the resouices. Addrtionalty. WFEre t1￿ period of the grant falls entirely in the
accounting year rt is rwnised in full. if the period extends beyoThJ the y88r end. the relevant
prowK)n ts deferred.
Incoming resources with
related expenditurè
Grants ¥tnd donations
Tax r•claims on donations
and gifts
Contractual ifteome and
perfomianc• rdated grants
Donated ser4lces and
f•¢ilitieB
Incomin9 resources from lax iedaims are I￿￿yed in the SOFA at the tirre ol redairn re￿ipl.
charity not rect￿e any o)ntracl Incc¥ne CY perforrnan￿ related Ir￿ome or ￿ants.
TIE5e are only indu￿0 In in￿Mil¥j resources Iwrth an equwalent amount in ￿$our￿S
expendedl where the bEnefft to the chanty Is ￿asOna￿ quantrfiable. measurable and rnatenal.
The value on these resour￿ is tt* esb"mated value to the chafity of the service
fa(ality r8ceNed.
The value ol any VL4unlary hdp received is Th)t induded in the a0￿untS but is deSCri￿d in the
trustees, annual rewt.
Volunteer help
EXPENDITURE AND LIABILITIES
Liability WEcognition
Liabilities a￿ r&￿gn￿ert as SO￿ as there is a ￿nstrUCtive obligation t￿MittIng the
d)anty lo pay oul rewrces
Indude Ix)sts ol the p￿paraTho￿ and examinatKJn ol statutory accounts. the costs of trustee
meetings and ￿$t ol any legal to trustees on governan￿ or o)nstilutional matters.
Where the charrty gives a gfanl with condttions for it5 payTrent being a speafic level of servi
output to provKled. such granis are Mly ￿￿gnised in the SOFA once the rerypient of the
grani has pfovkleij the spear￿d Serv￿ or IKrtpul.
Thèse are only rec£¥Jnised in the accwnts when a oynnThtm8nt has been made and there are
no condrtions to be met relating to Ihe grant which remain In the control of the charity
Support ￿StS indude central functions and have been alk￿ted to aclivity cost categories on a
basis consistent wrth the use of resour￿. e.g. alk)catirvJ prorErty costs by lloor areas. or pèr
eapita, stsff costs by ty.me spent aThJ other rA)$15 by their usage.
Govomance c08ts
Grants with pertorrnanc•
conditions
Grants payable wlthout
performance conditions
Support Costs
ASSETS
Tangible fix￿ a￿ts for use These are caprtaltsed rt ty can be used I￿ more Ihan (X￿ year. and cost at least £5(Xl. Thèy
by chadty
are valued at ￿$t or 8 ieasonaide value on re￿pt.
Stocks and work in progress These are valued at the l(w4er of u)st or market value. DOr￿ted foDa st￿k is not valuod
on the balance sheet as slod( is hdd for free distribution.
CC17a (EX￿1)
2110512021

Section C
Notes to the accounts (cont)
Notg 3
Analysis of incoming resources
Incoming r•soure•s may be further analys￿ rfthis would help th• raadw ofth• aeeounts.
This year
Last year
Anal
Grant income unrestr￿ed
Grant Income resthcted
General incorne
Valuntsry incorne
1,868
177,416
24,921
Totsl
245,860
63,157
Activities for generatlng funds
Gift Ahy
2,262
2,026
Totsl
2,026
Inv•sth)•nt ineome
Total
Incoming ￿$oUrCeS from
charltsble actlvlti¢s
Total
CC17a (Excell
2110512021

Section C
Notes to the accounts
cont
Note 4
Analysis of resource5 expended
Rèsources expended may be furthèr analysed tf this would help th• reader of th• accounts.
This year
Last y￿r
Anaty%i$
Costs of generating
voluntsry ine¢kne
Total
Fundraising trading
costs
Totsl
Investment
managom•nt costs
Total
Charitabl• •¢Uvitl•s
Foodbank and Job Club rdateil costs
Gifts marte lo chantses wrth com atible ob ective$
119.919
9.000
90,973
1,660
Totsl
128,
19
92.633
Governa￿¢ costs
AC￿untS
re
ratton Inde
Financial Consulianc
ndent Exarnination and
950
6CM)
Totsl
950
CC17a (EX￿1}
2110512021

Section C
Notes to the accounts
cont
Note S
Support Costs
Please complete this noté rfth• charity Ims anaiysed its •xp•ns•s uslng activity catryori8s and has
support costs.
Fundraising ￿11¥￿
Charitablt A¢iÈvity
GovemarKe Activity
Totsl Cost
rt cost
Total
Note 6
Detai18 of cèrtain items ot expenditurn
6.1 Trustee expenses
Plaase provide details of the amount ofany paym•nt orreimbursement off out-of-pocket •xp•nses made
to trustees or to thirdparties lor•Xp￿sos incurrfyd by trustees. 11 no •xp•nses We￿ paid,
plgas• •nter'None' in the appropriate box(es).
This year
Last year
Number of trustees who werè paid expenses
Nature of the expenses
Totsl amount pald
6.2 Fees for examlnatlon or audlt of the accounts
Ploase pmvide details of the amount paid for any statutory extemal xrutiny ofaeeounts and other
services provided by your ind•p8ndent ox&min•r or auditor. 11 nothing was paid please enter NONE in th•
appropnate box(es).
This year
Last year
Independent examiner's or auditors. 199* for 1•po￿n9 on th•
accounts
Other Ifor example: adwcè, consultancy, accountsncy
8ervic881 paid to the indèpèndont examlner or audltor
CC17a (EX￿1)
2110512021

Note 7
Paid omployees
Pleas• complete this note rfthe charity has any employws.
7.1 Staff Co¥ts
This year
Last year
Gr￿$ wages, salaries and benefits in kind
Employer's National Insuranc• eo¥ts
Pension costs
65.895
5.528
48,360
4,057
Totsl stsff costs
71.423
52,417
7.2 Average number of full-time equivalent employe•s in the year
The parts of the Charity in which thè
Fundraisin
èmployees work
Charitable Activities
Governance
Othef
This year
Nurnber
Last year
Number
Total
7.3 Defined Contri￿Jti0n pension scheme
A dèfined pension 8cheme is not 0￿rated by the charity
Thi8 year
Last year
c08ts 01 thp xhemo to charity f*ytl* year
amount of ary Contributio￿ outstandlng at thè yoar ond
Thg amouni of any contrlbuiior¥ •t th? year erKI
CC17a IExcell
2110512021

Note 8
Grantmaking
Please complete this note rf the eharity made any grants ordonalions which in aggr8gate fomi a material
part of the charitable activities undertaken.
.1 Total value of
rants
Grants to
institutions
Total amount £
Grants to
individuals
Total amount £
Purpose for whlch
rants made
Totsl
8.1 Grantmaking costs
If th8 ¢harlty s accounts are prepared on the "activity basis" please give details ofany support tt•St
associated wlth grantmaking. Pl8aso enter "hlil" rfthe chaiity does not identify an￿or allocate support
costs.
Support costs of grantmaklng
8.3 Grants made to institutions
If tho Charlty has made grants to particular institulions thatare material in the context of Its grnntmaking
please give detalls ol the institution supported, puryxjse of the grant and total paid to each institution
Ilsted. Sufficient irforn?ation should be given to provlde a reasonable understandlng ol the rnnge of
institutions su
Name5 of institutions
Purpose
otal grants to inststutsons
CC17a IExcÈll
2110512021

Seetion C
Notes to the accounts
cont
Note 9
Tangible fixed assets
Please compl•t• thls note rf the charity has any tangible fixed assèts
9.1 Cost or valuation
Frnehold land
& buiKling8
Other land &
byildin9S
PlanL
machinory and
motor vehicles
Fixwrns.
fittings and
Y15￿￿ent
Paym&nts on
account •nd
a88ets under
¢onstructK*n
Total
Balance brought
forward
Additions
14.995
14.995
8.025
3.201
11,226
Revaluations
Disposals
Transfers"
Balance carr￿d
forward
8.025
14,995
3,201
26,221
9.2 Accumulated depreciation and impairn*nt provisions
'8asis
SL
SLorRB
R8
SL
SLorRB
Rate
25°
Balance brought
forward
Depreciation charge
lor year
Impairment provisions
2.655
1.(￿7
5,72B
RÈvaluation5
Disposals
Trangfers.
Balance camed
forward
6,995
l,L￿7
10.C
9.3 Net book value
Brought forward
Gamed forward
10.655
10,655
16,153
6,019
2,134
9.4 R•valuatlon
Ilany ffxed assets have been revaluedplease gve details of the valuerandmethod of valuation
CC17a (Exe411
10
2110512021

Soction C
Notes to the accounts
Iconti
Note 10
Inveslment assets
Please ¢omplete this note rfthe ¢harity has any investment assets.
10.1 Fixed assets in￿StMents
Carrying Imarkell value al beginning of year
Add= addition5 to investments at cost
Less: disposals al carrying value
Addlldeductl: net gainlllossl on revaluabon
Carying Imarketl value at end of year
Plèase wowide below..
10.2 A breakdown of the market values of inv8stm•nts SI￿¥n abovo agrooiry With the balan¢• $hèèt
row 803.
10.3 A breakdown of th• income from invgstrnents agreeing with SOFA row SO3.
Analysis of Inve8tments
10.2
10.3
M•rket value at
y￿r •nd
Income from
inVf5tments for
the yoar
Inv•stmant prO￿rtIeS
Investm8nts listed on a recognised stock exchang9 or hold In common
investment funds. op•n on(J•d investment companies. unit trusts or othor
collgctivo Invgsthlont schemes
Invostmonts In subsidiary or c¢)nnected und•rtaklngs and ¢ompanb•S
Securities not Ilstsd on a rocognbs8d Stock Exchange
Cash hold a$ part of imfostment pwrfolio
ot￿r In¥oStmonts
Totsl
10.4 Matorial investment holdings
If any 8ingle investsment is material in t•rn)s of its value (for example reprasènts more than S por cont of the
value of the charity'$ total investments) please provide details.
Investment hèld
Market Valug
CC17a (Excell
2110512021

Sectlon C
Notes to the accounts
cont
Not• 11
Debtors and prgpayments
Please compl•t• this note rfth• charity has any debtors or
ments.
Analysis of dèbtors
Amounts falling duè
within one year
This year
La¥t year
Amounts falllng due after
more than one year
This year
Last year
Tradè debtors
Amounts due from subsidiary and associated
undertaking¥
Other debtors
8.400.0
8.4W.O
Prepayments and accrued income
Totsl
Note 12
Cr•ditor5 and accryal8
Please complete this nots rf th• ¢harity has anyeréditors or accruals.
12.1 Analysis of creditOY8
Amounts falling due
within one year
Thls yèar
Last year
Amounts falling due after
morè than ong year
Thi5 year
Last year
Loans and overdrafts
Trade eraditor8
Amounts due to 5ubsldlary and asBociated
undertakings
Other cro(Iltorg
Accruals and d•fèrred income
32.316
Totsl
12.2 Security over a888ts
Ther• arè no ¢h4rg8s ¢Y other security over anyassets of the charity.
CC17a IExc*ll
12
2110512021

Seetion C
Notes to the accounts
cont
Not&13
Endowment and restricted incomg funds
Please complete thls section rfthè chwity has any endowment or restrictod incom• funds.
13.1 Funds held
Please give a brief description of any of the following type of fvnds ￿ld by thè charity:
permanent endowment funds IPEI-
expendable endowment funds IEEI.. and
restricted income funds, including sp￿la1 t￿￿ts. of the charity IRI.
Fund Name
Type PE, EE
orR
Purpose and Restrictions
MacFartar￿ - Job Club
Job Club
All other funds
Foodbank CO￿ costs
13.2 Movements of major funds
Please give details of tt18 movements ofthe major funds summaiised in the restrictod and ondowmont
columrts of the Ststement olFinancial Activities.
Fund
balances
brought
forward
Fund
balan¢98
carried
forward
Ineoming
resources
Out90ing
rnsoureès
Gains and
1088es
Tr•n8fer8
Fund narnes
CB Rotary
Teso)
817
2,276
Co-op Job Club
ASDA TT Dr8￿rS
Dra￿rS 2 COVID 19
Drapers 1
The Fore l Nat Loiiery
Nal Lotteryl CB I c￿0p
CAF
5.303
8.192
10.587
17.625
4,833
12,792
2,230
15,022
18.975
16,745
10.584
15.S11
10.417
30,398
10.LXM)
13.378
13.378
10.t
10,COJ
6,019
Norwood Newton
10,QXJO
3.981
GOVI Nal Lottery- COV19
M8cFartanes- Job Club
Total Funds
49.334
49.334
23.078
177,416
23.078
.949
22,712
109.179
13.3 Transfers between funds
No inter fund Iransfer8
From Fund (Namel
ASDA TT Drapers
Diapers 2 COVID 19
To Fund INamèl
Drapers 1
Orapers 1
Reaso
Consolhlale unspent Drapers in one lund
ConsdKJale unspent Drapers in one fund
rnount
12.792
2,230
CC17a (EX￿1}
13
2110512021

Section C
Notes to the accounts
cont
Note 14
Transactions with related parties
If the charity has any transactions with relatedparties (other than the trustee expenses explained in note 6)
details of such transactions should be pn>vided in this note. ff there arn no transactions to report please
enter "None" in the relevant boxes.
14.1 Rgmuneratlon and benefits
Please give the amount of, and legal authority for. any remunerntlon or other benefrts paid to a trust8e or
other relatedparties by the charity or any institution (v company connected wlth IL
Amounts paid or benefrt value
Name of trustee or Connected party
Legal authority leg order,
go¥eming documenti
This year
Last year
None
14.2 Loans
Please givo details of andam¢>unts owing to or from the chartty's twstees or other relatedpartles by the
charity at the year end.
Name of trustee or
connected party
Amount owlng
This yèar
Last year
Legal authority
Due to trustees and
related parties
Due from trustees
and related parties
None
None
14.3 Other transactionl51 with trustees or rèlated partles
Please give details of any transaction undertaken by (oron beham ol) the charity in which a trustee or
relatedparty has a material interest.
Name of the trustee
or rolated
None
Relationship to
harity
Description of the
transactionlsl
This year
Last year
CC17a IExTrll
14
2110512021

Section C
Notes to the a¢counts
cont
Note 15
Additional Disclosures
The following are slgnificant matters which are not Covered in other notes and need to be included to
provide a proper understsnding ofthe ac¢ounts. If there is insufficient room here. please add a
separate sheeL
There are no additional disclosures.
CC17a (Excell
15
2110512021

Section A
Independent Examiner's Report
Report to the trusteesl
members of
Kingdom Storehouse
On accounts for the
year ended
28th February 2021
Charity
no (if
any)
1153554
Set out on pages
Respective The charity's trustees are responsible for the preparation of the accounts. The
responsibilities of charity's trustees consider that an audit is not required for this year under
trustees and examiner section 144 of the Charities Act 2011 (the Charities Act) and that an
independent examination is needed.
It is my responsibility to:
examine the accounts under section 145 of the Charities Act,
to follow the procedures laid down in the general Directions given by the
Charty Commission (under section 145(5)(b) of the Charities Act, and
to state whether particular matters have come to my attention.
Basis of independent My examination was carried out in accordance with general Directions given by
examiner's statement 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 includes consideration of any unusual items or
disclosures in the accounts, and seeking explanations from the trustees
conceming 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 fairf view and the report is
limited to those matters set out in the statement below.
Independent 1. In connection with my examination, no matter has come to my attention
examinerfs
which gives me reasonable cause to believe that in, any material respect, the
statement
requirements to keep accounting records in accordance with section 130 of
the Charities Act; and to prepare accounts which accord with the accounting
records and comply with the accounting requirements of the Charities Act
have not been met; or
Signed:
Date:
Name:
Stephen St Jame
Relevant professional
qualification(s) or
body (if any):
Qualified Accountant former FCCA
Address:
906 Rte de la Gare
24510 Tremolat
France
IER
February 2021