REGJSTERED COMPANY NUMBER: 09080071 (England and Wales)
REGISTERED CHARrrY NUMBER: 1158063
ort of the
esan
Unauditsd Finanaal Statements for the Year Ended 30th June
KICC Pratse Tabemade

KICC Praise Tabematle
Pa8e
Report of the Trustees
Independent Examlnees Report
ststement of Flnanclal Actlvltles
Balance Sheet
Note5 to the Flnancl•l Ststements
7 To 12
Detslled Statement of Flnandal Actlvltles
13 To 14

ortof
rthey
ed 30th
The trustees who a￿ also directo￿ of the charityfor the purposes of the Companles kt 2006, present thelr report wlth
the ftnanclal statements of the charlty for the Year Ended 30th June 2024. The trustees have adopted the provlslons of
Accountln8 and Reportln8 by Charltles: Ststement of ftecommended Prdctice applicable to charities preparlng thelr
accounts in accordance wlth the Financ5al Rep￿1￿ Stsndard applkable In UK and Republlc of Ireland {FRS 1021
{effertlve l January 20191.
OBJEcnvES AND AcfMTIES
ObJe¢llves and alms
Oblectlves and alms
The maln object for whlth the (haflty ts estsb4shed is the advancement of the Chrlstlan
religlon.The other objects are
l. Forthe benefft of the publtc.
2. The furtherance of the charltsble wtyk of the thurch by the advancement of suth other charltable purposes a5
thetrustees shall from tlme to tlme declde
l. Food donailon to food banks In the Brt5tol envlronment
2. D15trlbuted Chrlstmas hampers to the needy partnerlng wlthln 8rlstol and Bath partnerlni wlth the 8rlstol Clty councll
3. We were able to provlde welfare support for those In need In our local community and t(￿ part In some
Communltyevents In coniunttlon wlth other tharlttes.
4. We held a ft*ntorln8 proyamme for many Unlverslty Students In It)cal unlversltles wlth presenters from NHS,
Buslnessand Banklng professlonals, Englneerlng professlonals to name a few.
5. Celebrnted Father's Day and Mother's Day by hostln8 events for the kKal communlty wlth food and presents
forattendees.
6. The Royals hosted Open Mk Day for Xudents arxl other In pew events for youn8 adult
Publle benefft
The charfty benef5ts the publk by pro¥ldlng Serv1￿ MKh as counsel11￿ to famllles, students, bereaved persons. those
Inflnanclal dlfflcultles, prnyer suppor¢ men and Thy)men meetlnls and wents for everyone In the communlty. We al
fundthe pro¥lslon of food lteW￿ re8ularly to l(Kal food banks for dlstrlbutlon as well as our Chrfstmas hampers whlch are
8lven to membersof the kKal communlty andwe provlded hous1n8supp￿￿ for hofflek￿ Indlvldual In th15 year
ACHIEVEMENT AND PERFORMANCE
Charitsble a¢llvftle5
The charty undertakes regular servkes on Wednesday and Sunday meetlngs •nd counselllng sesslons In groups and to
Indlvlduals. We also ￿gularlY hold student welfare sesston and pro¥lde food and other supplles to local students.
Fundralslni artl¥ltl
Incomlng resources were malnty from tlthes. offedn85 and bulldln8 donatlons received durln8 the year
ofoperatlon.
FINANaAL REVIEW
Flnan¢hl poslilon
The chadty recorded an operatln8 surplus of £41,763 I￿4￿21 In 20231.
Resv¥es polky
The charSty alms to retsln suffldent reserves to ensure It meets Its cammltments to provldln81ts seThlces
and activltles. These ￿serveS are desIg￿d to cover a mlnlmurn of £25,orxi.
The del8n•ted reser¥e In thls period was the building donations.
Pa8e I

for the Year En
2024
JruRE PLANS
The charfty plans to conduct yearly retreats Iweekend away days) for the church especially volunteers for tra5nSng and
splrltual development.
The charlty plans to provlde financlal support to other charltles dedlcated to the erndlcation of poverty In the UK and
The charfty plans to expand communlty support Inltlatlve around St. Werbur8hs especlally for the elderly In the local
community to help them wlth baslc servlces and also be a source of referral for them where they need a befrlendin8
contact.
We are looklng to secure a pem)anent bulldlng for the charSty to contlnue and enhance the communlty work we
undertake.
We plan to commence In church dedlcated young adults sepilces.
We plan to lrnprove the coverage of our mentorln8 prolramme In the comln8 year.
STRucfuRE. GOVERNANCE AND MANAGEMENT
fjoverTrln8 document
The charfty Is controlled by Its 8overnln8 documen¢ a deed of trust, and constitutes a Ilmlted company, IlmSted by
guarantee, as deflned by the CompanSes Act 2006.
The charlty Is controlled by Its governlng document the Memorandum and Artlcles of Assoclatlon Incorporated 10 June
2014 and constltutes a Ilmlted company IlmSted by guarantee. as defined by the Companles Act 2006.
Recrultmenl and appolntment of new trusle•J
The dlrertors of the company are also Charlty Trustees for the purposes of charlty law. Under the requlrements of the
Memorandum and Artkle ofA550clatlon, theTrustees are elected to serye undera fixed term and can be re*lected.
Orynljaugnal strnclure
The charfty was reglstered on 30 July 2014 and stsrted operatlons In May 2016. The governance of the Charlty 55
malntslned by the 3 trustees whlle the Resldent Pastor deals wlth Pastoral and other related matters. The trustees hold
board meetln85 and addltlonal meetlngs when requlred.
The chartty Is supported by over 22 volunteers who work on average 4 hours every week. If rnlnlmum wage bs applled to
thls the cash value to thecharlty of the volunteerforce In a full year could be over £47,682. Wlthoutthe support of these
volunteerthe charty would not have been able to meet Its alms and objertlves effectlvely.
Inducllon and tralnln8 of new trustees
The trustees are famlllar wlth the worklngs of the church and the charlty draws from lon8-Standlng church members and
Chrlstlans from other denomlnatlons that have è skS11-set to offer. New tnjstees are encouraged to attend a serles of
shorttralnln8 and are encouraged to attend tralnln8 semlnars provlded by external or8anlsatlons.
REFERENCE AND ADMINISThATIVE DEfAILS
Reglstered Company number
09080071 (England and Walesl
Rellstered thaTIty numb¢r
1158063
Reglstered offl¢e
Klngsway Internatlonal Chrfstlan Centre
Prayer Oty, Buckmre Park
Maldstone Road
Chatham
Kent
ME59QG
Pag¢ 2

Re
ort of the Trus
ees
the Year Ended 30th June 2024
M K FalebitsR
TKut
C R Clarke
Approved by order of the board of trustees on ................
R T Kut- Trustee
Page 3

in
KICC Pra15e Tabernacle
Independenl examlnerfs report to the trnstees of KICC Prnlse Tabemacle {*he Companv)
I report to the charlty tn￿tee5 on my examinatlon of the accounts of the Company for the Year Ended 30th June 2024.
Responslbllltles and basls of report
As the charlty's trustees of the Company (and also Its dlrectors for the purposes of company law) you are fesponslble
forthe preparatlon of the accounts In accordan￿ wlth the requ5rements of the CompanlesAtt 20061'the 2006 Ad).
Havlng satlsfled myself that the accounts of the Company are not required to be audited under Part 16 of the 2006 Act
and are ellglble for Independent examlnatlon, I report In respect of my examinatlon of your charlvs accounts as carried
out under Sertion 145 of the Charities Art 2011 ('the 2011 Act'l. In carrying out my examinatton I have followed the
Directions8Nen bythe Charlty Commlsslon undersectlon 145151 (bl of the 2011 Act.
Indepenknt examlnerfs statement
I have completed my examlnatlon. I confirm that no matters have come to ry attentton In connectlon wlth the
examlnatlon giving me cause to believe:
accounting records were not kept in respect of the Company as requlred by Sertlon 386 of the 2(K16 Art; or
the accounts do not accord with those records: or
the accounts do not comply wtth the accountlng requSrements of Sertion 396 of the 2006 Act other than any
requirement that the accounts Bive a true and falr view which is not a matter consldered as part of an
independentexamlnatlon; or
the accounts have not been prepared In accordance wtth the methods and prlnclples of the Statement of
Recommended Prattieeforaccounting and reportlng by tharltles (appllcable to charltles preparlngthelraccounts
in accordance wlth the Flnanclal Reportlngstsndard appllcable In the UK and Republlc of Ireland IFRS 102)).
I have nocon￿rn5and have comeacross no other matters In connertion with the examination to which attentlon should
be dravm ID thls report In order to enable a proper understandln8 of the accounts to be reached.
Joyce Mensah
Page 4

tement of Flnandal Actlv
they arEn
une 2024
30.6.24
Unrestrlrted
funds
30.6.23
Totsl
fvnds
Notes
INCOME AND ENDOWMEp¥fs FROM
Oonatlons and legacles
125,991
107,583
Investment Income
Other Income
2,750
3,723
692
2A50
Total
132.464
110,725
EXPENDITURE ON
Charltable athltles
Charltable Actlvltles
Support & Admlnlstratlon
46,926
34,619
46,902
20,860
Other
9,156
8,142
Total
90,701
75,904
Nrr INCOME
41,763
34,821
RECONCILIATION OF FUNDS
Total funds brou8ht forward
149,151
114,330
TOTAL FUNDS C4RRIED FORWARD
190,914
149,151
The nolcs fomi part of these financial sla*ments
Pag¢ 5

Praise TaberJMcle
Balance Sheet
30June 20*
30.6.24
Unrestricted
funds
30.&23
Totsl
fvnds
FIXED A55Ers
Tanglble assets
5,527
10,628
CURRENT ASSEIS
Debtors
Cashat bank
5,320
183.405
9,500
131.024
194,252
140,524
CREDm)VS
Amounts fallln8 due wlthln one year
(3,338)
12,0011
NEf CURREtir ASSETS
190.914
138,523
TOTAL ASSM LESS CURRENT
LIABILMES
I￿,914
149,151
NET ASSETS
190,914
149.151
FUNDS
Unrestsitted funds
io
190.914
149.151
TOTAL FUNDS
190,914
149.151
The charitable company Is entltled to exemptton from audlt under Sertton 477 of the Companies Act 2(M% for the Year
Ended 30th June 2024.
The members have rHX required the company to obtsin an audit of its financial statements fortheYearEnded
30th June 2024 in accordan￿ wlth Sectk)n 476of the CompaniesP£t 2(X%.
The trustee5 acknowled8e their responstbifrtles for
(a)
ensurlng that the charltable c(Nnpany keeps accountln8 records that compty with Sectk)ns 386 and 387 01 the
Companles Act 2006 and
preparlng financial statements whlch Elve a true and fairvlew of the stste of affalrs of the charltsble company as
t the end of each financial year and of Its surplus or deftcit for each financtal year In accordance wlth the
quirernents of Sectlons 394 and 395 and whlch otherwlse cornply with the requlrernents of the Companles Art
2006 relatlngto financial ststernents, sofarasappficable tothe charltable company.
(b)
These flnanclal statements have been prepared in accordance w￿h the provisions applicable to charltable
companles5ub]ect tothe small companles reglme.
2Hlo31?[
The flnanclal ststements were approved bythe Board ofTru5tees and authorised for Issue on.-..-..--
slgned on its behalf bv:
nd were
M K Faleblts- Trustee
Thc notes fomi of th¢s¢ financial SW¢D
Pa8e 6

Ic
rnacle
Notes
he Year En
anclal Statements
h June
ACCOUNTING POUCIES
8451$ ol preparlni the financial statements
The flnanclal ststements of the charltable companyi whlch Is a publlc beneflt entlty under FRS 102. have been
prepared In accordance wlth the Charltles SORP IFRS 1021 'Accountlng and Reportin8 by Charltles: Ststement of
Recommended Pr4rtlce applicable to charltle5 preparlng thelr accounts In accordance wlth the Flnanclal
Reportln8 Stsndard appllcable In the UK and Republlc of Ireland (FRS 1021 {effectSve l January 20191,. Flnanclal
Reportln8 Standard 102 'The Flnanclal Reportlng Standard applicable In the UK and Republlc of Ireland, and the
Companles Act 2006. The flnanclal ststements have been prepared under the hlstorlcal cost conventlon.
In¢ome
All Income Is recognlsed In the Ststement of Flnanclal ArtSvltles once the charlty has entltlement to the funds,
Itls probablethat the Income wlll be récebved and the amount can be measured ￿lIably.
Expendlture
Llabllitles are reco8nSsed as expendlture as soon as there Is a le8al or construrtlve obllgatlon commlttln8 the
charlty to that expendlture. It Is probable that a trnnsferof economlc beneflts wlll be requlred In settlement and
the amount of the obllgatlon can be measured rellably. ExpendSture Is accounted for on an accruals basls and has
been classlfled under headln8S that a88￿gate all cost related to the cate80ry. whe￿ costs cannot be dlrect
attrlbuted to partlcular headln8S they have been allocated to actlvltles on a basls conslstent wlth the use of
resources.
T•n8lble fixed assets
Depreclatlon Is provlded at the followln8 annual rates In order to wrlte off each 4ssel over Its estlmated useful
Ilfe.
Flxtures and ftttings
Motorvehlcles
Computsr equlpment
25% on cost
25% on cost
33% on cost
Taxatlon
The charlty bs exempt from corporatlon tax on Its charftable actlvltles.
Fund a¢￿￿ntIng
Unrestrltted fvnds can be used In accordance wlth the ch•rltsble oblectlves at ihe dlKretlon of the trustees.
Restrlcted funds can only be used for partlcular restrlcted purposes wlthln the objects of the charlty. Restrlctlons
arlse when speclfied by the donor orwhen funds are ralsed for partlcular restrltted purposes.
Further explanatlon of the n•ture and purpose ol each fund Is Included In the notes to the ftnandal statements.
Hlre purchase and leaslng commltments
Rentals pald under operatlng leases are charged to the Ststement of Flnanclal Actlvltles on a stral8ht15ne basls
over the perlod of the lease.
Pendon costs and other post4etlroment beneftts
The charltable company operates a defined Contrlbutlon penston scheme. Contrfbutlons payable to the
charltablecompany's penslon Kheme are charged to the Ststement of Flnanclal ActlvStles In the perlod to whlch
they relate,
Page 7
continued...

otcs lo
e Financial S
emen
fttrr the Year Ended 30 June 2024
INVEsfMENT INCOME
30.6.24
30.623
Deposit account Interest
2.750
692
NEf INCOMEIIEXPENDMIRE)
Net Incomellexpendlturel Is stated after charg1n￿{crediting).
30.6.24
30.6.23
Depreclatlon - owned assets
Other operating leases
Surplus on dlsposal of flxed assets
9,156
,142
13,919
{2.4501
TRUSTEES, REMUNERATION AND BENEFITS
There were no trustees, remuneratlon or other beneflts for the Year Ended 30th June 2024 nor for the year
ended 3]lune 2023.
Trustees. expenses
There were no trustees, expenses pald for the Year Ended 30th June 2024 nor for the year ended 30June 2023.
STAFF cosrs
The average monthly number of employees during the year was as follows:
30.6.24
30.6.23
Pastoral and Charltable Actlvlty
No employees recelved emoluments In excess of £fJO,(KIo.
COMPARATIVES FOR THE STATEMENT OF FINANCIAL AcfiviTIES
Unrestricted
Funds
INCOME AND ENDOWMENTS FROM
Donatlon5 and leEacles
Investment income
107,583
692
Surplus on dlspasal of flxed assets
2.450
110,725
EXPENDiniRE ON
Charltable artl¥liles
Charltable Activities
67,762
Other
8,142
Total
75,904
P4Ef INCOME
34,821
continued...
Pag¢ 8

KICC Pr8i8e Tabern
¢iml Statements -
for the Year Ended 30 June 2024
COMPARATIVES FOR THE STATEMENT OF FINANCIAL AcnviTIES - conllnued
Unrestrlcted
funds
RECONCIUATION OF FUNDS
Total funds brouaht forward
114,330
TOTAL FUNDS CARRIED FORWARD
149.151
TANGIBLE FIXED ASSErs
Flxtures
and
flttln8s
Motor
vehlcfes
Computer
equlpment
Totals
At l July 2023
Addltlons
30,811
4,055
1,785
42,196
1.075
At30June 2024
34,866
1,785
43.271
OEPREaATION
At l July 2023
Char8e foryear
21,075
8,716
893
440
31,568
8.411
At 30June 2024
29.791
9,600
1,333
39,979
NET OOOK VAWE
At30June2024
5.075
452
5.527
At30June 2023
9,736
892
10,628
DE8TORS: AMOUNTS FALUNG DUE AFTER MORE THAN ONE YEAR
30.6.24
30.6.23
Otherdebtors
5,320
9,51XI
Pagc 9

Notes lo the Financial Ststemcn
for the Year EndeAI 30 June 2024
CREDrroR&. AMOUNT5 FAWNG DUE WITHIN ONE YEAR
30.&24
30.6.23
Soclal securlty and other taxes
Other credltors
Accrued e¥penses
2189
1,293
3.338
2.001
MOVEMEpif IN FUND5
Net
movement
In funds
At
30.6.24
At 1.7.23
Unreslrkted Iwds
General fund
Oesl8nated FU￿15
145,331
3.820
41,763
187,094
3,820
149,151
41,763
190,914
TOTAL FUNDS
149,151
41,763
190,914
Net movement In fiJnd8 Induded In above are as follows:
Incornln8
Tesources
Resources
expended
Movement
In funds
Unrestrkted fvnds
General fvnd
132.464
(90,7011
41763
TOTAL FUNDS
132,464
{￿,701)
41,763
Compafail¥es for mov•m•nt In ￿fid5
movement
In funds
At
3Q.6.23
At 1.7.22
fvnds
General fund
Oe51gnated Funds
110,510
3￿20
34.821
145,331
3,820
114.330
34,821
149,151
TOTAL FUNDS
114,330
34￿21
149,151
Page 10
continued..

Tabernacle
cn
Year End￿1 30 June 2024
io.
MOVEMENT IN FUNDS - ¢ontlnued
Comparatlve net movement In fund4 Included In the above are as follow5:
Incoming
resources
Resources
expended
Movement
In funds
Unrestrlcted funds
G￿eral fund
110.725
175.9041
34.821
110,725
175,904)
34,821
TOTAL FUNDS
110.72S
17S.904)
34.821
A current year 12 months and prior year 12 months comblned posltion b as follows:
Net
Movement
In funds
At
30.6.24
At 1.7.22
Unrestricted funds
General fund
Desi8nated Funds
110.510
3,820
76.584
187,094
3.820
114,330
76,584
190,914
TOTAL FUND5
114,330
76.584
190.914
A current year 12 months and prlor year 12 months comblned net movement In funds, Included In the above
areas follows:
Incomlng
resources
Resources
expended
Movement
In funds
Unrestrlrted funds
General fund
Deslgnated Funds
243,189
1166.6051
76,584
243.189
1166,6051
76,584
TOTAL FUNDS
243,189
1166.6051
76.S84
Pagell
conlinued...

Notes to the Financial Statements -
r the Ye8r Ended 30 June 20
ii.
Thue were no rekted party trwacuons for tt* Year Ended 30th June 2024.
Py12

Dettiiled Statement of Financi8J Activi
for the Year Ended 30 June 2
24
30.6.24
30.6.23
INCOME AND ENDOWMENTS
Donatlons and Iwd•s
Donatlons
Gfftald
Ildln8 Donatlons
106.505
91,083
IS.290
1,210
420
125.991
107,583
In¥estment Income
Deposlt account Intsrest
2.750
692
Othtr Income
Sundry
3.723
2A50
Tot•l In¢omlni rewurt•s
132.464
110,725
EXPENDITURE
Charltsble a¢lMtles
Other operatln8 leases
Ughtand heat
Rent & Rates
Church m1n1st￿ honorwSa
Evangellsm
Church m1n1st￿ hospltsllty
Motor Expenses
Tfalnln8
Church m1n1st￿ Welhre
13,919
491
215
536
1.750
32,822
144
1,000
16,699
ioi
1,352
700
4,650
36,819
38,140
Other
Rxtures Ind flttings
Computer equlpment
8.716
7.703
439
9.156
8,142
Support costs
Mana8emert
Wages
Penslons
Insurance
Postage ar#1 ststionery
Travdllng & Transport costs
31,IMI
743
557
1341
978
17,911
1,499
925
34,619
20,369
Flnan
Bank thir8es
Thi$ p4e Ik)es forni w of thc statukny fuwi¢id s¢at¢ments
Page 13

Kl
rnacle
Detailed Statement of Fin
ne 2024
30.6.24
30.6.23
Flnan
Goveman¢e ¢osts
the to KICC Natlonal Forum
Accountsncy and legal fees
9,807
300
8,953
31JO
10,107
9,253
Totsl resources expended
90,701
75,904
Net In￿￿¢
41,763
34,821
This page does not fomi part of the Swulory financial statements
Page14