REGISTERED NUMBER: 08931536
CHARITY NUMBER". 1156823
KINGDOM CENTRAL
UNAUDITED FINANCIAL STATEMENTS
FOR THE YEAR ENDED
31 MARCH 2023
'AcrociBs4
2111112023
Cc￿PANIEs HCiISE
A13
#1
Spark
Chart•r•d Certified **¢ourrtants
10 Wrens CourL 48 Vlctoria Road.
Sulton Coldf5dd. 872 1SY

NGDOM CENTRAL
Acom
Ilmlt
uaran
CONTENTS
R•ferenu and athnlnistrntlv• d•taiJs of ts Ghwity. its trustoes
and adviso
Trngtees. Report
Ind•pondent examlnrfs report
Ststem•nt ol ffinanlcal activil*s
8alance she•1
Notes to th• finandal sL•t•m•nts
10-15

KINGDOM ¢EIITrAL
REFERENCE AND ADMINISTRATIVE DETMLS OF THE COMPANY. ITS TRUSTEES AMD ADVISERS
FOR THE YEAR ENEOED 31 IAARCH 2023
Mr A A Onimc48
mrGLs￿r￿
Conwny rnglstsr•d
number
08931&16
ChAi•ty wglst¢rnd
numb•r
11W23
R•glstsrnd offic•
78 Bwmi￿￿l RL*d
Ro*ley Regis
West M￿L
En9land
865 9&4
Ind•p¢ndent gxarnln•r
Phlp Burrd FCCA
£countant8
Spark
10 Wrens Cowt
48 ￿￿tO￿a Road
Surton Coldfiekl
8721SY
Bank•Y*
Barday% B8nk PLC
Page 1

KINGOOM CENTRAL
TRUSTEES. REPORT
FOR THE YEAR EMEDED 31 IAARCH J)23
The trustees, who a￿ also direclors of the ¢harty for the purposes of the Companies Act
2006, present their repNt with the financial statements of the chanty for the year ended 31
March 2023. The trustees have adopted the provisions of the Ststement of Recommended
Practice {SORP 20151 'Accounting and Rewting ty Charities, effeth've January 2015.
ADMINISTrATIVE INFORPAATION
fjngdom Centsal is a local Independent Chun* in Great ￿llaIn. Its Tegistered thanty number
1$ 1156823.
lQngdom Central Church is situated at 78 Bimivyjham R¢)•J, Rowley Regis, West Midlands,
865 9BA The Church Offi* is nomially open Nknnday to Friday 9am to 5pm.
Those 5eThed as Trustee's from 1st April 2022 to until the date this report was approved
Mr A A Onimole
Mr G L Sichangwa
STRUCTURE, GOVERNANCE AND MAIIAGEAIEKr
The acbvities of Kingdom Central Church are overseen by the ITUStee's of the Church in
accOrdar￿ the Memorandum of Artth of Association of Kingdom Central document
The governing document of the registered charity a statement adopted by the Church.
The Tfusleee's Meeting is responsible for Ihe financial admintstration of the Church, and the
re and maintenance of Church Pr￿niSeS.The Church Meeting (of all members wshing to
attend) 9ives gef*ral guidan￿ on Ihe lrfe w)rk of the Church.
The members of the Trustee's Meeting are the Minister in pasloral charge a mgmber Of
Kingdom Central Church nominated and elected by the members of K"tngdom Central Church
and tsvo members of lfjngsway rntemakn.onal Christsan Centre nominated and elected by the
lfj'ngsway Intematicfflal Chrisban Centre Pastoral Board and Church Ne￿ork Forum. Trustee's
ser¥es for three years, ￿tire by rotsbon and are ekgible for rfrele¢kn. There is no li￿At on the
number of cKJnse¢utive peri¢>Js of servi￿.
The Trustee's mel 5 times during the yew. It is assisted in the wjministration of the
Church ern￿OYee,5. The Church Meeting met qu*fly.
08JECTIVES AND ACTMTIES
A5 a local congregation of Ihe Kingdom Central Church, lfjrydom Central seeks to advan¢e
the Christian faith through its activitses and the facilibes offered to the communty by its
building and its volunteers. Our mission statement reflects our vision". °Building Lives v
Kingdom Focus..
Page 2

KINGDOM CENTRAL
Ilmited b
TRUSTEES. REPORT
FOR THE YEAR ENEDED 31 PIARCH 2023
In practs'ce, Kingdorn Cefttral is commiited lo providing targeled. prqeds and Services
desi9ned to meet the needs of both members and the wMJer o)mmunity in a holisb'c way. In
our efforts. we are carelul not to duF4icate existing services but to oimF4iment and woffk in
partnership whenever possible.
The TDJstee's Board is aware of the Charity Commission's guKtiance on public benefrt in"The
Advancement of Religion for the Public Benefif and has regard to f( in the administration of
the Church.
The Tfustee's Board believes tha( ts Church wovides benefft to the public by".
providing resources and faLMlits'es for publ￿ worship, pastoral care and swritual. moral and
inteNectual development, bolh for the ￿regaty.0n and for anY￿e eise wishes to benefit
from wthat the Church offers,.
promoting Christian values and seThice by members of the ¢￿￿a￿On to the communty,
for Ihe benefit of individuals and socrety as a whole.
REVIEW OF ACTrvmES AND ACHIEVEPAENTS
As a ¢ommunty of faith, we gladly give thanks to our God for his gra¢tous hand on the work
we believe he has cailed us to pursue. It is our unwavering c￿vIC￿.0n that ￿at we have
achieved in the past year is largely due to his help expressed through the kindness and self-
sxrifiee of our members. Their devots.on to seThing the ¢ommunity is path"CLslarty noteworthy
wherk viewed against the background of the Worsening e¢onomic dimate has impaGted
all of us. As the resident pastor. I feel honoured to serve ￿Ongsitte such wmmitted people.
Thanks also to ¢)ur Board of Trustees and the Company members vtho devote their ts.me
and much encouragement in keeping Kingdorn Central running smwthty.
Throu9hout the past year. Kingdom Centr4 has extended tls ministy to the cOrr￿Un
through a number of inib"alive$. To celebrate Christrnas day 2022. we provKJed a Caribbean
breakfastwhlch attracted many individLtals from Ihe immediate communty and from further
afield. This was a special bme for all but especmlty child￿n, most of vthom had nevw tssted
Caribbean breakfast The event tumed out to be more than just eating., it became an extended
lime of fellowship bet¥&*n varh)us Indiv￿uals who were meetsng ea¢h other for the first time.
The New Ye* started off with many familiès and individuals in our communty feeling the
pressure caused by the rapid increase in the Cost of IMn9. As a result. our food bank became
stretched but with the generous donabon$ frixn our members and from Asda supermarket. we
were able to distribute par￿1$ on a weekty basis, although on oc¢as*)ns we ran out of
supplies. However, we are committed to Continue this needed Service. albeit within the
limiLqtion of our resources.
'ngdom Central ¢ontinues to be an a¢ayediied place of wekome. In practi￿. we provide 8
safe and wami place where Indiv￿valS can meet. find support and buiKI relats"onship$. A key
asped of this seNicÈ is our coffee mornings which has steadity 9rown since the beginning of
the year. This seNice has attracted ￿￿dentS from local care home$, providing a welcome
respite not only for the residents but also for their careeTr. We have also noticed thal the
coffee mornin9 for some indivhluals is serving as a first step to
Page 3

KIN
corn
ran
TRUSTEES. REPORT
FOR THE YEAR ENEDED 31 AIARCH 2023
ongoing partsupab'on in the church. This is evIder￿ed by their attendance at our Sunday services
and other events such as games n￿ht and oulings.
Our team ol volunteers are cknntiThJing Iheir ¥K)rk V4ith Safer F￿1[￿s. providirvJ counselling and
supporting young mothers who have recendy moved into the Socal area
As a ¢h8rity we continue to pursue our obje¢tNes not onty locaHy but *so abroad. Locaty. we
have helFed a number of indNiduals facing urgent needs with financial donalK)ns from our
wetfare fund. We have also donated to crisis appeals such as the devastating earthquake which
occurred in Turkey and Syria earlier this year. In addrlion. we continue to support a student from
refugee camp in Uganda to atteThJ ¥thcrf)r. We also donate regularty to the building of a
mmunty ¢entre in Malaw. PJI this is done from funds individuals have collected specifully for
mission work.
An important part of the church's rninisty is to not onty a safe space for children and
young people. bul also to support them to discover and develop their potential$. We are ¢urrentty
devoting b'me and resources to this endeavour. Throwhoul Ihe year we have tsken groups of
young people on educational and leisure trips. A parb"cularty memorable outing was to the New
S¢ienty'st exhibits'on in LoThJon. This proved immensely beneficial as it exposed our young people
to a host of new development in the 5cienb.fic arena. We are also creatr.ng the opportunity for our
young people to leam new skills and build healthy relatsonships in addits.on to addres￿ng
important issues such as staying safe online and handling conflirt in their daity lfves.
In common wth most churches. our attendance number has not completely recovered their pre-
Covid levels. This dedine h¢xever may be the result of a broader change in the way individuals
choose to interact with thurch. grven that church services can be easily access within the comfort
of their homes. Neverthele$s. we are confident that we will see a gradual retum to in*erson-
attendan￿ as indNrduals redisC￿Ver Iheir need for more intimate relati¢)nstMps.
Going fcKward. Kingdom Central is committed to buikiing on the strong f￿ndatson it has
8StablisheO in the community of RovAey Regis We are confident that our ministy is makn"n9 a
difference to the lives of the people we are semng. Wtrth the continuing support and prayers of
our members. we wll Certainty overcome whatever challenge Wdts u$ in the yeats ahead.
Page 4

KINGD
TRUSIEES. REPORT
FOR THE YEPA ENEDED 31 MPRCH 2023
FINANCIAL REVIEW
The Churth had income totaling £114.298 for the 12 M(￿thS to 31st March 2023. this led to a
defiot being &hieved of £7.770 after incurring costs of £122.068.
Unrestricted funds: Ideally. the Trustee's V￿uld wish lo have in h￿d an am(wnt equal lo at
least six month's regular exp￿￿1¢Ure as Yree. reserves. to meet future shortfalls in income or
unexpected e￿enSe. The balance at 31st 2023 represents several months of budgeled
expenditure for 20￿24.
Designatod funds." There no designated funds rexeived during Ihe ￿r.
This report was approved ty Ihe Twsiees. ￿ 23 Odobw 2023 and is signed ￿ its behalf by:
Yoml Onlmle
Trustee
PwJe 5

NGDO
CEN
rimlt•d
Aeom
INDEPEIIDENT EXAmINE￿s REPORT TO THE TRUSTEES OF KIXGDOIA CEMTRAL
FOR THE YEAR ENEDED 31 PAARCH 2023
I report on th8 financial slatements ofthe company lor th8 JEar ￿ed 31 Marth 2023 aro set
out on pag&s 7 10 14.
Thi$ ￿pOrt is madp solety to the ¢ompanl5 Tnslees. as a body. in acc4Ydanr* with sectiw 145 of the
Chari￿$ Act 2011 and regulations made under seth.on 154 of that Act. My work ha$ un(Sertaken
so that I might stste to the companys Twstees Ihose ffotters l am ￿qui￿ to st*e to them in an
In(lepgndenl examinerfs rewrt and for no olher PU￿#e. To the ftdlest exlent permitted by law, I do not
accept or assuwE reSpon￿bIl￿10 anYl￿ other than the c(￿np￿ aThJ the {￿1pan￿5 Trustees as a
body. lof my woth or for thi8 reporL
Respecttve Responslblulles ofTnffjlw¥ ond Ex4mln•r
The charitys truslees are fesponsible for the preparalitin of the accounts. The charity$ trustees
nsidgr that an audit is not required for this year under $e¢lioft 144(21 of the Charities Act 2011 {the
Chariknes Act} and that an ￿￿eper￿n1 exanWnaly￿ is r*8ded.
Ha￿ng satisfied myself that the company is not subject to audrt urwjer tharity or c4vnpany Iw and Is
eli9it4e lor irmlependent examination. it is my respthtsibility to:
exarnine the financial 5tatemenls under sec1￿ 145 Of the Acl:
folbw the procedure5 laKI down in the general Direcb"on$ 9iven by the Charity Commiwon under
$e¢lion 145(5} Ib) otthe Acl. and
B•sb of Indepethdent EXaMin￿S R•port
My examination was ¢anied oul in acccKdance with Ihe ger￿al dKection$ 9Nen by Ihe Charity
Cornrnisslon. An examinalion Indthyes a rewew of the accounb.ng record$ kèpt by the ¢ompany and a
comparison of the finanThal ststernen15 presented with those r¢¢ords. It ajsts in¢lLKles considerab'on of
any unltsual items or disd05wes in the firTrancial statemènts. and wking explanats'ons from you as
Trustees ¢on¢eming any such matters. The pro¢edures undert¥ken do not Provde am e￿deTh￿ Ihal
Would bè required in an a￿lit. and ¢on$tyuenlly no opinton is given as to T*thether financial
stslements present a'lruè and f¥ ¥v¥ •nd the rei*M is Ihmited to those matt¥s set out in th¥
statemenl below.
Pag& 6

DOM
om
NTRAL
INDEPEIIDENT EXANIIIER% REPORT {¢on1inu•d
FOR THE YEAR ÉNEDED 31 MARCH 2Q23
Independwt Examlnerfs Statemert
In ccrfMedI￿ wth my exanrnakn. no matter has come to my altethn:
{11 Whith giwes r￿sOn*jIe cause to belie¥e that in ffAterial resF*d the requirements:
to prepare f￿anCIal Ststements which ac¢(*d with the accounting recryds and (y)mpty wilh the
accounting requifements of sect*)n 396 of the CM)panies Act 2{￿ arKI wrth the melhods and prineiplÈ$
ofthe Statement of Recommended Praclicè." Aceounling and Rek)0rkn"￿ by Charrt*s have not been met,.
or
{2) to whlch, in my wnion. altention ShO￿d be dra*m in order to enable a propor undwstandin9 of
Ihe finanoal statements to bo reached.
Signed..
L6aQ
Phllip Burnell FCCA
Spa
Chartered CorUfi•d
Aceountants
10 Wrens Court
48 Vlctoria Ro•d
Sutton Coldr￿d
B72 ISY
Page 7

KINGDOM CENTRAL
Acom
Ilrnlted
arnntee
STATEMENT OF FINANCIAL ACTMTIES Ilncon)OAting Income and Expenditure Accounll
FOR ThE YEAR ENEDED 31 IAARCH 2023
Unrnstrktod
Total
funds
2023
Total
fvnds
2022
2023
Incomlng resources
Incomin9 ￿SOurceS from genernted fu￿..
Voluntary income
114.298 114,298
133.488
ActNites for generating funts
Total Incoming resources
114.298 114,298
133.488
R￿Q￿r¢¢5 expended
Costs of generatww funds".
Charitable activities
3.4
119.078 119,078
112,743
2,798
Total resourus expended
122.(67 122,C67
115,541
Movement in total funds forthe ygar- N•t
Incomellexpenditurel lor the year
(7.770) 17,770)
17.947
Total funds at 1 April 2022
105,502 105.502
87.SSS
Total funds at 31 IAarch 2023
97.732
97.732
105,502
notes on pages 9 10 15 fomi part ofthese financwl Stawnents.
Page 8

KINGDOM CENTRAL
com
an
limited b
rantee
BALANCE SHEET
AS AT 31 MARCH 2023
2022
Flxed Assets
Tangible assets
11.784
5.625
Current assets
Debtors
Cash at bank and in haThJ
30,497
75.th8
87,599
11X.053
Creditors: amounts falh.ng due witrw"n or
year
10
(1.6511
{6.1761
Net current Ilabllltles
99,877
Net assets
97.732
105,502
Charity funds
UrTrstricted funds
13
97.732
105.502
Total funds
97.732
105.502
The Trustees consider that cornpany is ￿tilled lo ex&nption frcrn the rewiremenl to have an audit
under the Prov￿10n$ of section 477 of the Act 2(￿6 {'Ihe ACV'I and members have not required
the company to obtain an a￿Jit Ihe year in questr(n ￿ acccthrK* Wrth sectThi 476 of the Ad.
The Trustees acknthvle(trJe trEir resF(￿s￿ltst￿ for complSffig with Ihe requirements of the COmpan￿S Act
20C6 with respect lo accounting rec(xds arKI for preparing finaKial statements which gNe a tnje and fair
view of the stste of affairs of the company as al 31 Marth 2023. and of tts nel resour￿$ expended for the
year in a¢¢ordan¢e with Ihe requirements cl sectM)ns 394 395 of the Act, atvj ￿lch olherwTrse comply
th the requ1￿MentS of the Companies Act 2CIJ6 reLqtiThJ lo financial statements. so far as appltcable lo the
The finarrial statements have been prtywed in wilh Accx)Jntry aThl ReFortsTrJ by Charities..
Statement of Recommended Practice aFvIK￿e to charrtES their accounts in ￿rdance wrth the
Financial Repjrting Standard appltsble fft UK Re￿bI￿ of Ireland IFRS 1021 leffedive 1 Jarjjary 2015},
Charities SORP IFRS 1021. the financial Standard awicable in the UK aTrJ Republ￿ of Ireland IFRS 102)
d Companies Act 2C(6.
The fi.na￿la1 stat￿ents were approved ty Ihe Trustees on 23 Octoter 2023 and on their behalf by.
Yomi Onimole
Trustee
The ncrtes cn F)ages 9 to 15 ftym part of these statements.
Page 9

KING
om
limited
rantee
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YUR ENDED 31 MARCH 2023
Acc¢)unting Pol¢i•s
1.1 Basis of preparallon of financlal statem
The fir0￿la1 statern8￿ have been prepared with Accourting and Repoib'ng
by Charities.. Statemonl of Reoxnmended Prxtice appltable to charities preparing their
a￿oUnts in accordance wth Financial Reportiry Standard 4)plicable in UK and Reptsblic
of Ireland IFRS 102) {effective 1 January 2015), Charities SORP (FRS 102), th8 f￿ancial
Standard appI￿able ni the UK and Republ￿ of Ireland IFRS 102) and Companies Ad 2006.
1.2 Fund accounting
General fvnds are unrestrN#ed funds which affj awlable for use at the discretion of the
Trustees in furtherance of the general c*"ectNes of the company and which have not been
deS￿nated for other purposes.
t)esignaled ccYnprMe unr•strKte(I fwrfls that hm been $81 aside by the
Trustees for particulai puryjoses. Th8 ain and usfr of each designated fu￿1 is Set OLrt n th8
notes to the fina￿1￿ ststemen
Restn"cled funds are funds which are to be used in *cordance wrth specrfr restrictions
nposed by donors orwhth have been raised by the company for parbculai purposes. Th
costs of raising administering S￿h fvnds are chawed against the speeific fund. The aim
and use of each reslrKted luTrJ is set out in the nLtss to the fmancial SLIt￿nentS.
1.3 Inc¢)mlng resources
l irKoming resc￿rceS are irtludgd in the Stalemont of FinancK91 Actmiw w￿n thè company
has entitlement to the fund5. certainty of recept and the amount can be ￿asured wth
suffiuent ￿liabIlity.
Irmme tax recoverable in relation to dor￿tR)n$ under Gift deeds of c0ven￿t
is recognised at Ihe lime d Ihe donatth.
1.4 Resources expended
Expenditure is accounted for ¢)n w accnjals b*is and has bèen induded under expense
categories that aggregate all costs for alkxation to Where costs cannot be directly
attributed lo part￿lar xliwtses they have been aUo¢thJ on a basis consislenl with the use of
the resources.
Fundr*&ng costs are thtse incLved in seek¥wJ volLrtary ccffltrlmrtions and do nol indude Ihe
costs of di%seminating infcmlati￿ in support of the ¢harilable actiwlies. Support costs are
those costs incurred directy in support of expenditure on the objects ol the company and
include project managemenL Governance costs are those incurred in connection vAlh
administr*ion of the company and complk8n¢e wth constitU￿nal and statthry
requir￿ents.
Page 10

NGDOM CENTRAL
limited
ua
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2023
Accounting Polki•s (contlnu•d)
1.5 Tanglblo flxod assets and dap￿latIOn
Tangible fixed assets are statga at cost18ss deprecokn. Oepreciation 1$ provided
* r*es cakulaled to write off the c05t of fixed assets. ￿ their estwnated residual
value. over their exp8Cted usefvl Ir48s on the folb*irg bases..
Fixl¢Jre$ and frttirvJ$
c￿￿pUter equipment
15% reduang b*ance
33% straght line
Voluntsry Income
Unrestrlct•d
fvnd$
2023
Tolal
funds
2022
Donations and legac*
Grfl aid
Grants received
93.957
20.340
92.966
24,640
15.881
Vohmtary income
114.298
133,488
DlrgGt costs
Total
funds
2023
T￿al
funds
2022
Wagés and sala￿5
Sccial securty costs
Marketing and a(fvertlsitYJ
Charitabta donattons
Events
Guest h¢*K￿luM
National forum
Musical wst
Traning and development
45.669
1.058
1,080
1.434
2.396
51.507
1.838
215
3.850
431
7,053
7.542
8,915
3.272
67.71S
70.LY28
PaJg11

NGDOM CENTRAL
com
lirnited b
uarnntee
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 hlARCH 2023
Support ¢osts
Tolal
funds
2023
Total
fund$
2022
Printing. posts98 and staitiwy
Repair5 and maintenance
Insurallee
rr Sof￿Are and consumables
Light and heat
TeiecLJmmunicatbons
Travél
Depreeiali¢
Admin support
Ckning
General expenses
Medieal InsuranGe
Rent and rate5
Subscriptions
574
5,276
576
593
6,601
581
674
10,588
2,310
597
1,279
17.972
2,038
2,290
855
1.296
677
16,797
35
18.651
51,362
42,716
Govemanu eosts
Unr•strfcted
fundy
2023
Total
funds
2022
2,802
188
2.520
278
Bank charge5
2.990
2.798
Page 12

KINGDOM CENTRAL
Acom
Ilmited
uaran
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 ￿R¢H 2023
Not incom•
This is ststed after Chwging..
2023
2022
Depieoalion of lang￿e fLxed assets:
Owned by the tharty
. IndeFendent ex￿[nerf$ fee
1,279
2.520
2.520
4,810
3,799
Staff ¢05ts
2023
2022
Staff costg ¥*re as fo*xs'.
Wages and salaries
Social secunty costs
45.669
1.058
51.507
1,838
46.727
53.345
The avwage montlty numb8r of Wnpbyws dUrY￿ the ￿ar was as folbd*.'
2023
No.
2022
Page 13

M CENTRAL
Ilml
orn
rantse
NOTES TO THE FINANCIAL STATEMEIITS
FOR THE YEAR ENDED 31 MARCH 2023
The cc¥npany is exempt frcffj corpwatiM tax on its charitable acbvibes.
2023
2022
Gift ad ￿0verable
Other debtors
7.838
369
27.927
2.570
8.206
30.497
10.
Credltors:
Amounts falllng due vAthln one ￿ar
2023
2022
Trade ¢redrlors
Socia Se￿rIty and ofvr taxes
1,092
559
5,024
1,152
1.651
8,176
11.
Tanglble fixed •ss¢ts
Flxtufes & Computer
Ilttlng¥ 0qu1pn￿nt
Total
A$ at 1 Awil 2022
Addrtions
13.674
6,908
7,980
20.582
8,449
As at 31 March 2023
14.143
14.888
29,031
Dopreclath
As at 1 April 2022
Charge for the year
8.861
757
6.096
1.533
14,957
2,290
As at 31 Pawch 2023
9.618
7,629
17,247
Net book value
As at 31 March 2023
4,525
7.259
11,784
As at 31 March 2022
4.813
812
5,625
Page 14

KING
OM CENTRAL
Acom
limited b
uafantee
NOTES TO THE FINANCIAL STAT&¥EKrs
FOR THE YEAR ENDED 31 IAARCH 2023
11
Statwnent of funds
Brought Incomlng R•sour¢es
forward resourtes
expendèd
Carrfed
forwa
Unrnstrkted funds
Genefal funds
105.502
114.298
122.067
97.732
Total of funds
105.502
114,298
122.
97.732
13.
Anatysls of net assets between funds
Total
lund
2023
Totsl
fund5
2022
funds
2023
TarvJ*4e assets
Current assets
C￿litOrS due within one >ear
11.784
87,599
(1.651)
11,784
87,599
{1,051)
5.625
106,053
16.176)
97.732
97.732
105,502
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