REPORTS OF THE TRU5fEES AND
FINANCIAL STATEMENTS FOR THE YEAR ENDED 30- JUNE 2021
FOR
FIRE FOUNTAIN MINISTRIES INTERNATIONAL

CHURCH INFORMATION..............
TRUSTEES REPORT......................................-.
INDEPENDENT EXAMINERS'S REPORT.....
INCOME & EXPENDITURE ACCOUNT....
BALANCE SHEET...................................
NOTESTO ACOUNTS..................................................... .

ORGANISATION INFORMATION
NAME OF ORGANISATION: FIRE Fou￿AIN MINisfRIES INTERNATIONAL
TELEPHONE . 020 3669 3254
TRUSTEES:
Pastor Danlel Danny Danquah
Ms Nancy Wllliams
Mr Mkhael Boateng
Mrs Glfty Kyel Danqvah
Mr 8enJamln Hagan
REGisfEREO OFFICE:
I LAMMAS DRIVE
BRAINTREE
CM7 3U

sTrucruRE. GOVERNANCE AND MANAGEMEKr
Risk management
The trustees have a duty to identify and rewew the risks to which the church is
exposed and to ensure appropriate controls are in place to provide reasonable
assurance against fraud and error.
The trustees confirm that considerations have been given to the major risks to which
the church is exposed and that Svstems have been designed and established to
mitigate those risks.
OBJECTIVES AND AcnvmES
Objectives and alms
The objectives of the church are:
The propagation of the gospel of Jesus Christ
ii. The relief of poverty
iii. Education
The Trustees have given careful consideration to the Church's general guidance on
public benefit.
Actlvltles durln8 the ￿ar
The Church continued Its programme of reaching more people for God. The normal
activities of Sunday and weekday services continued. Church fellowship on Fridays
continued to be a 5ucce$5.
The church durin8 the year acquired a leased premises and refurbished Into a
worship auditorium with the help and assistance of its members.
The Church continued to be of immense assistance to rnembers in diverse financlal
needs. Members were assisted with welfare assistance. travelling expenses,
accommodation assistance, among others.
The church provided strong support to members and their families in times of loy
and bereavement.
The church conducted several marriage ceremonies and christening of babies during
the year.
The Church supported members at the sad time5 of funerals. Members were prayed
for at such times and encouraged with the word of God. Sicknesses and ailments are
part of life. On occasions when members or their families are hospitalised. prayers of
deliverance were freely offered.
Evangelism
The church continued with its evangelistic mi$5ion through out the year ensuring
that its message reaches a wider audience in the UK. The word of God was brought
to the home5 of many people through the distribution of audio messages of prayers
and sermons. The church prepared and distributed freety daily bible reading and
prayer guide and also offered financial assistance to international faith organisations.

FINANCIAL REVIEW
Reserves polky
The Trustees acknowledge that it will require about £20,(KM) for three month's
operation without any income. The general reserve is more than the safety level, and
this level is to be maintained. The Trustees by strategic planning are to maintain the
level of secured funds in the next 5 years by setting up a £12.1￿1
reserve funds account with the ban
Operatlonal In¢orne and expenditure
For the year under review. the church rnade a financial surplus of £17.978 against
(£49,426 deficit in 20201
Total offerlngs. donations and other income received was £235,5521£153,437 in
20201 this was up from last year.
Total operating cost was £217.5741£202.863 in 20201 this was up and mainly due to
increased evangelism and mission through direct church worship and other social
media activtties from openlng up churches followin8 the lockdown during the
pandemic
Trustees believe that the years pandemic has re-enforced the use of internet, phone
apps, and tweeter, whays up and the Facebook as a future long-temi strategy to
expand the Ministry.
Volunteer servl¢es
The Trustees would like to mention the work of several dedicated volunteers whose
contribution immensely contributed to the work at the church. The church benefited
from these services provided free of charge.
The trustees once again extend a big thank you to all its volunteers.

srATEMEKf OF MANAGEMEhrr RESPONSIBILMES
The trustees are responsible for preparin8 the Report of the Trustees and the
flnanclal statements in accordance with applicable law and United Kingdom
Accounting Standards (United Kingdom Generally Accepted Accounting Practitel.
Company law requires the trustees to prepare financial statements for each financial
year which give a true and fair view of the state of affairs of the charitable company
and of the incoming resour￿5 and application of resources. including the income
and expenditure, of the charitable company for that period. In preparin8 those
financial statements, the trustees are required to
select suitable accounting policies and then apply them consistently:
obseNe the methods and principles in the non for profit SORP..
make judgements and estimates that are reasonable and prudent:
prepare the financial statements on the going concern basis unless it is
inappropriate to presume that the church will continue in busines5.
The trustees are responslble for keeping proper accounting records which disclose
with reasonable accuracy at any time the financial position of the church and to
enable them to ensure that the financial statements comply with the Companies Act
2006. They are also responsible for safeguarding the a55ets of the charitable
company and hence for taking reasonable steps for the prevention and detection of
fraud and other irregularities.
ON BEHALF OF THE TRUSTEES:
ZZ) ?4•Y4A
Signature

INDEPENDENT EXAMINEIVS REPORT
RESPEcfivE RESPONS181LmES OF MANAGEMENT AND EXAMINER:
As the church trustees you are responsible for the preparation of the accounts,. you
consider that the audit requirement of section 43121 of the Charities Act 1993 (the
Actl does not apply. It is my responsibility to state. on the basis of procedures
specified the General Directions given by the Charity Commissioners under section
4317llbl of the Act. whether particular matters have come to my attention.
BASIS OF INDEPENDEpif EXAMINER'S REPORT:
My examination wa5 carried out in accordance with the General Direction5 given bv
the Charity commissioners. An examination includes a review of the occountin8
records kept by the church 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 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 I do express an audit opinion on the view
given bythe accounts.
INOEPENDEKf EXAMINEVS STATEMEKr:
In connection with my examination. no matter has come to my attention, which
gives me reasonable cause to believe. that any material respects the requirements
l. to keep accountin8 records in accordance with Section 41 of the Act and
2. to prepare accounts which accord with the accounting records and to comply
with the accounting requirernents of the Act has not been met.
A Winful. FCCA
CHARTERED CERTIFIED AccouKfAllfS
18 HERO WALK
ROCHEsfER MEI 2UZ

FIRE FOUNTAIN MINISTRIES INTERNATIONAL
FINANCIAL STATEMENTS FOR THE YEAR ENDED30JUNE 2021
INCOME AND EXPENDITURE
Notes Unrestricted Restricted
2021
2020
Incoming Resources
Offering & Donation5
190,773
190,773
114,414
Investment Income
8￿94
8,894
483
Other Income
35.885
35,885
38,540
Total Income Resources
235,S52
153.437
Resources Expanded
Cost of Activities
{217,5741
1202,8631
Total Resources Expanded
(217,5741
1202,8631
Net Incomlng I IOut8oln81 Resources
17,978
149,4261
Funds brought forward 3010612020
119,508
168,934
Deslgnated funds utllised
Funds carrled forward 3010612021
137,486
119.508
See notes on the following pages for detsiled anatysi5 of income and expenditure
CONTINUING OPERAMON
The Church continued to operate in its developed leased premises durin8 the year. The entire capital expenditure
Is wrltten off in the income and expendtture account during the year.
Gift aid income processed in the year and paid by the HMRC ￿ shown ès such under other incorne in the financial statement
Covenant partners continued their support of fixed monthly financial gwings. The pandemic contributed in the decllne in
March to June income during the year. The trustees express their sincere appreciation to the entire members of the church
and the covenant partners for their generious givings espercialty during the pandemlc lockdown
TOTAL RECOGNISED GAINS AND DEFICITS
The church has no recognised 8ains or defKits other than the surplus forthe current year
The notes form part ofthese accounts.

FIRE FOUNTAIN MINISTRIES INTERNATIONAL
FINANCIAL STATEMENTS FOR THE YEAR ENDED 30JUNE 2021
BALANCE SHEET AS AT 30TH JUNE 2020
FIXED ASSETS
Note
2021
2020
Fixtures & Ftttings
18,130
21,195
18,130
21,195
CURRENT ASSETS
Investment
Bank Savings
Bank current
Cash in hand
11,893
114.403
5,204
107,253
126,296
112,457
CREDITORS:
Amounts falllng due wlthln one year:
Trade Creditors
16,9401
114,1441
16,9401
114,1441
Net Current Assets / Iliabllitles)
119,356
98.313
CREDITORS:
Amounts falling due for more than one year
Loan
Total Assets less Liabilities
137,486
119,508
UNRE5TRI￿ED FUNDS
brought forward
Surplu5 for the year
Designated funds
Total Funds
119.508
17.978
168,934
149,4261
137.486
119.508
Signature

FIRE FOUNTAIN MINISTRIES INTERNATIONAL
FINANCIAL STATEMENTS FOR THE YEAR ENDED 30JUNE 2021
Note$ to the Financial Statements
ACCOUNTING POLICIES
1.1 Accounting Convention
The accounts have been prepared under the historical cost convention. and
in accordance wlth SORP 2 Accountlng for Charitie5.
1.2 Exemption has been laken from preparin8 a cash flow statement on the grounds
that the churth is a small undertaking.
1.3 Incomln8 Resources
Incoming Resources represents tlthes, collections and donatlons
income due in the year.
1.4 Flxtures & Flttings:
The value of Fixtures & Fittirb851 musical instruments capitalised are written off to expense at bts life
at 11)% fixed rate depreciation
Fixtures Cost @ 1107119
Addltions IAC & Muslcal Inslrumentsl
Sub total
Cum Deprec
Deprec @ io%
NBV
30.651.95
30.651.95
9,456.68
3,065.20
18,130.08
Depredatlon charge for the year
13.0651

FIRE FOUNTAIN MINISTRIES INTERNATIONAL
FINANCIAL STATEMENTS FOR THE YEAR ENDED 30 JUNE 2021
Note5 to the financlal Statements
Notes
2021
2021
2021
2020
GENEIiAL OFFERINGS
Tithes & Offering
Hatwest Offering
Total Income Received
Unrestricted Restricted
160,527
30,246
160,527
30,246
I￿,773
102,139
21,563
114,414
INVESTMENT INCOME
Bank interest
Welfare savlng interest
Total Investment Income
298
185
483
8.514
,514
8,894
OTHER INCOME
Unrestrlcted Re5trided
Glft Ald Recelpt5
Other grant
Totgl Other Income
34.747
1,138
34.747
1,138
35,885
26,010
3,242
38,540
Sa COST OF AcnviTIES
Salary
Premises Rent & Rates
Gas & Electric
Cleanlng & Malnlenance
Evangelism & Mission
Charitable Weffare & Donatlons
Transport, Motor & Travel
Insurance
Music & Sound maintenance
Fixtures & Ftttings
Office Admin & Telphone
Advert & Event Promotion
Total Cost of Actfvltles
119,2811
198,9831
14,1271
15.4491
111.5001
15.188)
133,3821
15.4821
114,0511
16,3291
14,6641
14,072)
1212.5091
119,2811
195,6111
15,8091
118,4741
111,8871
16,2501
123,6091
13,9701
14,7391
18,1681
1197,7981
Depreciation charge for the year
13,0651
13,0651
5b
GOVERNANCE
Accountants fee
sc
12,1)CK)I
12,0001