REGisfERED COMPAI4Y NUMBER: 09080071 (England and Wales)
REGISTERED CHARITY NUMBER: 1158063
Unaudlted Ftnandal Staterne
orth Y rEn
KICC P
ernacle

Ktcc Praise TabernAcle
Contents of the Flnancial Statemen
fortheyear Ended 30th June 2025
Page
Report of the Trnstees
Independent Examlnerfs Report
ststement of Flnanclal Actlvltles
Balance Sheet
Notes to the Flnanclal Statements
7 Ta 12
DetsSled Ststement of Ftnanclal Actmtles
13 To 14

Praise Tabernacle
Re ort fth Tr
orthe Year Ended 30thJune 202
The trustees who are also directors of the charity for the purposes of the Companies Act 2006, present their ieport with
the financial statements of the charity for the Year Ended 30th June 2025. The trustees have adopted the provisions of
Accountln8 and Reporting by Charities: Ststement of Recommended Practice applicable to charities preparing their
accounts in accordance with the Financial Reporting Standard appllcable in the UK and Republic of Ireland {FRS 1021
(effective l January 20191.
OBJECTIVES AND AcfiviTIES
Oblectlves and alms
Objertives and aims
The main objert for which the Charity is established is the advancement of the Christian
religion.The other objects are
l. Forthe benefit of the public.
2. The furtherance of the charitable work of the church by the advancement of such other charitable purposes as
thetrustees shall from time to time decide
Significant actlvltles
l. Food donation to food banks in the Bristol environment.
2. Distributed Christmas hampers to the needy partnering within Bristol and Bath partnering wlth the Bristol City council
3. We held an offsite 1st Mary's Redcliffe schooll Easter revision support program for our children using professional
teachers and our university students and capped it with a career pre5entstlon. This also included a practical Engineering
session held and anchored by the Universlty of West of England for 3-day period in April 2025.
4. The Royals hosted Open Mic Day for students and other Sn person events for young adults.
5. We moved place of service to St Mary's Redcllffe School in the summer afterour former rented building was sold.
However, in September 2024, we moved to Emmanuel Church in the centre.
6. We eventually bought our own property-The former Methodist church at 5 Summerhill BS5 8LB. The property is
currently undergoing refurbishment.
7. We commenced a young adult'5 church meetin8 in person blweekly and onllne also bl-weekly. This has given the young
adult a space of their own and they are thrivlng. We also held a Pastorfs Day meeting with the young adulvs church with a
no barred questlon and answer sesslon as a counselling and wellness activity with the young adults.
8. We held validatory servios for about 10 ofourstudentswho completed their degrees with 8 day out with all the young
adult church members.
9. The women held a health discussions day, and Zumb3 session anchored by a medical doctor who Is also a member of
the church. We are making this a quarterly pro8ramme for the women to ald a healthy Ilfestyle.
10. We now have a wellness team that produces short vldeos every month which is screened as a part of the church
servlce. Thls is malnly focused on healthy lifestyle tips.
11. We were able to provide welfare support for those in need In our local community and took part in sorne community
events in conjunctlon with other charities
Publlc beneflt
The charity benefits the public by providing services such as counselling to families, students, bereaved persons, those
infinancial difficulties. prayer suppor( men and women meetings and events for everyone In the community. We a150
fund the provision of food Items regularly to local food banks for distribution as well as our Christmas hampers which
are given to members of the local communlty and we provided housing support for homeless Individual in this year
ACHIEVEMENT AND PERFORMANCE
Charitable actlvltles
The charlty undertakes regular Se￿iCe5 on Wednesday and Sunday meetings and counselling sessions in groups and to
individuals, We also regularly hold student welfare se$5ion and provide food and other supplles to local students.
Fundraising actlvltles
Incomlng resources were mainly from tithe5, offerings and building donations received during the year
ofoperation.
Page I

KICC Praise Ta
ort of the Trustees
for the Year Ended 30th June 2025
FINANCIAL REVIEW
Flnanclal position
The charity recorded an opefatin8 surplus of £129,(104 {£41,763 in 20241
Reserve5 pollcy
The charity aims to retain sufficient reserves to ensure it Meets its commitments to providing its sef¥lces
and activlties. These reserves are designed to cover a minimum of £SO.000.
The designated reserve In this period was the building donations.
FUTURE PLANS
The charity plans to conduct yearly retreats (weekend away days) for the church e5F￿•allY volunteers for trainlng and
spiritual development.
The charity plans to provlde finanaal support to other charitles dedicated to the eradication of poverty In the UK and
Afrlca.
The charlty plans to expand cornmunrty support Inltlative around the Summerhill area and con51derln8 servlces to the
elderly wlthln the communlty to help them wlth basic Se￿CeS and also be a source of referral for them where they need
a befrlendlng contact.
We plan to Improve the coverage of our mentorln8 pro8ramme In the comlng year. In addltlon we are plannln8 on
supportlng chlldren educatlon In Afrlca and Jamaka. We are at the Initial plannlng phase.
We a150 plan to provlde monthly support to the homeless charlty In the city to a551st wlth thelr work In the community.
STRUCTURE. GOVERNANCE AND MANAGEMENT
Governlng document
The charity is controlled by its governing documenL a deed of trust, and constltutes a limited company, Ilmlted bv
guarantee, as defined by the Companies Act 2(M)6.
The charlty Is controlled by Its governin8 document the Memorandum and Artkles of Assoclatlon Incorporated 10 June
2014 and constltutes a limited company Ilmited by guarantee. as defined by the Companle5 Act 2006,
Recruhment and appolntment of new Irustees
The dlrertor5 of the company are also Charlty Trustees for the purposes of charlty law. Under the fequlrernents of the
Memorandum and Article of Association, the Trustees are elerted to serve under a fixed temi and can be re-elected.
Organlsatlonal structure
The charity was reglstered on 30 July 2014 and started operatlons In May 2016. The governance of the Charlty ts
maintained by the 3 trustees while the Resident Pastor deals with Pastoral and other related matters. The trustees hold
board meetings and additlonal meetin8s when required.
The charity is sUPPOrted by over 35 volunteers who work on avera8e 4 hours everyweek. Ifthe mlnlrnurn wage for a8e 21
and over is applied to thls the cash value to the charity of the volunteer force in a full year could be over £88,889. Without
the support of these volunteer the charfty would not have been able to meet its aims and objectives effectlvely.
Indurtlon and tralnlng of new trustees
The trustees are familiar with the workings of the church and the charity draws from long-standing church members and
Christians from other denominations that have a skill-set to offer. New trustees are encouraged to attend a series of
short tralnlng and are encouraged to attend tralnlng seminars provided by external or8anisations.
Page 2

Kl
Prdise Tabe
the Truste
Year Ended 30th June 2025
acle
for
REFERENCE AND ADMINISTrATIVE DETAILS
Re8lstered Company number
09080071 (England and Wales)
Reglstered Charlty number
1158063
Re8lstered offl¢e
Kln8sway Internatlonal Chrlstian Centre
Prayer CSty, Buckmore Park
Maidstone Road
Chatham
Kent
ME5 9QG
Trustees
M K Faleblta
R TKut
C R Clarke
Approved by arder of the board of trustees on ............,......
R T Kut- Trustee
Page 3

I report to the charity tnst&s on my examlnation of the accounts of the Qjmpany forthe Year Ended 30thJuM 2025.
Responslbllhles and basls ot rwt
As the charftvs trustees of the Company land also Its dlrectors for the purposes of company law) you are responslble
forthe preparation of the accounts in accordan￿WIth the requirements of the Companles Act2006 {'the 2006Act').
Havlftg sat7sftd myselfthat the accounts of the Company are not ￿Uired to be audited under Part 16 of the 2006 Act
and are eli8ible for independent examination. I report in respertof my examination of your charit¢s attounts as carried
under Sectlon 145 of the CharStles Art 2011 2011 ACV). In carrylftg (xrt my examlnatlon I have followed the
Directions glven bythe Charity Commission undersection 14515) (b) ofthe 2011AcL
I have cornpleted my eaamlnatlon. I corrflm) that no matters have corne to my attentlon In connectlon wlth the
examlnatlon 8lvln8 me ¢￿se to beliew.
accounlin8 rewnts were kept kn rewt of the Company as requ*ed by Sectlon 386 of th 2006 A¢. or
the accounts do not accord with those recontr. or
the accounts do not comply with the accounting requirements of Section 396 of the 2006 Act other than any
requirement that the accounts glve a and falr VI￿ whkh Is not a matter consldered a5 part of an
independentexamination: or
the accounts have not beert prepared in accordance wlth the methots principles of the Ststement of
Recommended Practkeforaccounllng and reportlng bycharlUe5 lappllcableto tharltles preparln8 theiraccounts
in accordancewith the Flnaftci￿ Reportin8Stsndanl applicable in the UKand Republlc of Ireland {FRS 10211.
I have noconcems and have come across no other mattets In connectlon with the examlnatlon towhlth attentlon should
be drawn Inthls report in ordertoenable a proper undwstandlng of the accountsto be reathed.
Joyce Mensah
Pa8e4

KICC Prdise Ta￿rnaCle
Statement of Financial Activities f
the Year En
d 30th June 2025
30.6.25
Unrestricted
funds
30.6.24
Total
funds
Notes
INCOME AND ENDOWMENTS FROM
Donations and legacies
172.434
125,991
Investment income
Other income
5,618
80,000
2,750
3.723
Total
258,052
132.464
EXPENDITURE ON
Charltable artlvltles
Charltable Actlvlties
Support & Adminlstration
55,320
46.066
46,926
34,619
Other
27,662
9.156
Total
129,048
90,701
NET INCOME
129.1x14
41,763
RECONCILIATION OF FUNDS
Total funds brought for*ard
190.914
149,151
TOTAL FUNDS CARRIED FORWARD
319,918
190,914
Thc no1￿ forni kwrt of these fmancial siaLem¢nls
Page 5

KICC Prdi5c T
lune 202
30 6.25
Lknresf￿t•j
fund5
30.6.24
Total
FfxEO A55ETS
a55ets
666.539
5.527
CURNENT Assm
Debtor5
Ca5hai bank
5.320
183.105
56.657
723.9S6
194,252
CREDITORS
Amounts fallinidL* mort th*￿ one ye*1
138.2941
13.3381
TOTAIASSET5 iES5 CVRREWT LV4•lllTIES
685.662
190.914
CREDITOR5
Amounis lillini du¢ moit ih4Tr on• ￿•r
io
1365.7441
NET ASSETS
319.918
190.914
FUIIDS
vnie5tyit1￿ lunds
li
319.918
190,914
TOTAI FUIIOS
319.918
1gJ.914
The ¢hariiable eniiu¢d ¢0 ¢xemMw liom avdll undv Seri￿n 477 olthe Comwnle5 kt Z006 lor Iheyear
Ethdtd 301h June 2025.
membery hawe•ot requlted the to obtain ￿ audit ol its fiNthti•l st•iemethts they￿1 Ethded
301hJune 2025 In•ttorthDte ￿th Settlon 476oltht Comp*nits*Lt2(b)6.
The Tfu51ee5 ¥knThle*e ih•i re5WXbslb'lilie5 Iry
ensuvinB that Ihe thaistalle cofflpany kÈop5 •Ct•untin8 ietard5 that cornp￿ 4wlh Seclhins 386 and 38? of the
Companies Aci 2006 and
piepawir*Rtinan¢ial staiemehts *thith Èivea irue•ndfairviewolthestaièol•llairs ol Ihecharitablecompany •$
t the eTrd of each financ￿1 year and ol its suiplus or defKit lor earh financial year in accordance vthth Ihe
reqtslrementsoisttt￿S 394 •)d 395and whKh othewsecomth ￿t￿the requwemethis of Ihe Companles kt
I{￿rela1*n&t0 Iinancial staiements. sofar asapplKèbletothe¢hatiiablefompanv.
These fth*cial 5talement5 have been weplved in xcord*nce the pro¥i5ipns applrable to C￿litable
companle5 sub*c¢to Ihe small trthpan* rrylme.
Thefinancial staiements wveappro¥•l byihe Boiid ofTiusiee5 1nda￿h￿I5eII lor15syeon
$18ned on ils behallby".
d were
K Falets'ts- Trtsiee
P•Bt6

C Prdise Tabernacle
e Financial Statement
f r the Year Ended 30th June
ACCOUNTING POLICIES
Basls of preparlng the flnandal statements
The financlal statements of the charitable company. which is a publlc benefit entlty under FRS 102, have been
prepared In accordance with the CharStle5 SORP {FRS 1021 'Accounting and Reporting by Charltles: Statement of
Recommended Practlce applicable to charltles preparlng thelr accounts In accordance with the Financlal
Reportlng Standard applicable in the UK and Republic of Ireland IFRS 1021 leffectlve l January 20191,, Flnanclal
Reportlng Standard 102 The FlnantSal Reporting Standard applicable In the UK and Republlc of Ireland, and the
Companles Act 2006. The financial statements have been prepared under the hlstor1¢31 cost conventlon.
Income
All Income Is recognlsed In the Statement of Flnanclal Actlvltles once the charlty has entltlement to the funds,
Itls probable that the Income wlll be recelved and the amount Can be measured relSably.
Expendlture
Llabllitles are recognised as expendlture as soon as there Is a legal or constructlve obll8atlon commlttlng the
charlty to that expenditure. It Is probable that a transfer of economlc beneflts wlll be requlred In settlement and
the amount of the obligation can be measured rellably. Expendlture Is accounted for on an accruals basls and has
been classlfled under headSnBS that aggregate all cost related to the category. Where costs cannot be dSrectly
attrlbuted to partlcular headings they have been allocated to actlvltles on a basls conslstent wlth the use of
resources.
Tangible flxed assets
Depreclatlon is provlded at the followlng annual rates in order to wrlte off each asset over Its estimated useful
Ilfe.
Fixtures and flttlngs
Motorvehlcles
Computer equipment
25% on cost
25% on cost
33% on cost
Taxatlon
The charlty Is exempt from corporat5on tax on Its charltable activitles.
Fund accountln8
Unrestricted funds can be used In accordance wlth the charitable objectlves at the dlscretion of the Irustees.
Restrlcted funds can only be used for partlcular restrltted purposes wlthln the objects of the charlty. Restrlrtlons
arlse when speclfied by the donor or when funds are ralsed for partlcular restricted purposes.
Further explanatlon of the nature and purpose of each fund Is Included In the notes to the financlal statements.
Hlre purthase and leasin# commltmènts
Rentals pald under operatlng leases are charged to the Statement of Financial Activities on a stral8ht Ilne basls
over the perlod of the lease.
Penslon costs and other post-retlrement beneflts
The charitable company operates a deflned contribution penslon scheme. Contributlons payable to the
charitable company's pension schemÈ are charged to the Statement of Flnanclal Actlvltles In the period to which
they relate.
Page 7
continued...

bemacle
Notes t the Financial Sthtements -
for tlie Year Ended 30 June 2025
.k
INVESTMENT INCOME
30.6.25
30.6.24
DeposSt account Interest
5,618
2,750
NET INCOMEIIEXPENDITURE)
Net incomellexpenditurel is stated after tharglnBI(creditrn81:
30.6.25
30.6.24
Depreciation - owned assets
Other operatin8 leases
Surplus on disposal of fixed assets
8,043
9,156
TRUSTEES, REMUNERATION AND BENEFITS
There were no trustees, remuneratlon or other benefits for the Year Ended 30th June 2025 nor for the year
ended 30th June 2024.
T￿ste￿, expenses
There were no trustees. expenses paid for the Year Ended 30th June 2025 niy for the year ended 30 June 2024.
STAFF COSTS
The avera8e monthly number of employees durin8 the year was as follows:
30.6.2
30.6.24
Pastoral and Charltable Artlwty
No employees recelved emoluments In excess of £60,000.
COMPARATJVES FOR THE STATEMEKf OF FINANaAL AcnvmES
Unrestrlcted
Funds
INCOME AND ENDOWMENTS FROM
Donations and ledacies
125,991
Investment income
2,750
Surplus on dlsposal of fixed assets
3,723
Total
132.464
EXPENDITURE ON
Charltable actfvltles
Charitable Activities
81,545
Other
9.156
Total
90,701
NET INCOME
41,763
continued...
Page 8

Pra
ol to the Financial Statements -
for tl)e Year Ended 30 June 2025
ntinued
COMPARATIVES FOR THE STATEMENT OF HNANCIAL ACTIVITIES . continued
Unrestrlcted
funds
RECONCILIATION OF FUNDS
Total funds brought fonvard
149,151
TOTAL FUNDS CARRIED FORWARD
190,914
TANGIBLE FIXEO ASSETS
Flxtures
and
flttln8S
Propertv
Motor
vehlcles
Computer
equlpment
Totals
COST
At l July 2024
Addltlons
34,866
20,252
9,600
1,785
46,251
669,055
648,803
At 30June 2025
648.803
55,118
9,600
1,785
715,306
DEPRECIATION
At l July 2024
Charge for year
29,791
7,604
9,6iJO
1,333
439
40.724
8,043
At 30June 2025
37,395
9,600
1,772
48,767
NET BOOK VALUE
At 30June 2025
648,803
17,723
13
666,539
At 30June 2024
5,075
452
5.527
DEBTORS: AMOUNTS FALUNG DUE AFTER MORE THAN ONE YEAR
30.6.25
30.6.24
otherdebtors
760
5,320
CREDITORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
30.6.25
30.6.24
Social security and other taxes
Bank loan
Other creditors
Accrued expenses
849
36,948
197
300
2,189
300
38,294
3,338
Pagc 9
continued..

rnise Tabe
Noies to the Financial Statemen
for the Year Ended 30 June 2025
io.
CREDITORS: AMOUNTS FALUNG DUÉ MORE THAN ONE YEAR
30.6.25
30.6.24
Bank loan
365,744
365,744
ii.
MOVEMENT IN FUNDS
Net
movement
In funds
At
30.6.25
At 1.7.24
Unrestrlrted fund5
General fund
Deslgnated Funds
187,094
3.820
129,004
316,098
3,820
190,914
129.004
319,918
TOTAL FUNDS
190.914
129,004
319,918
Net movement In funds. Induded In the abo￿ are as follows:
Incomln8
resources
Resource5
expended
Movement
in funds
Unrestrlcted funds
General fund
258,052
1129.0481
129,04
TOTAL FUNDS
258,052
1129,0481
129.004
Comparatlves for movement In fvrrtls
Net
movement
In funds
At
30.6.24
Atl.7.23
Unrestrlcted fvnds
General fund
Oesignated FurK15
145,331
3,820
41,763
187,094
3,820
149,151
41,763
190,914
TOTAL FUNDS
149,151
41,763
190,914
Pagc 10
continued...

KICC Praise Taberna
le
nan
for Ilic Year Ended 3
eme
June 2025
ii.
MOVEMENT IN FUND5- contlnued
Comparative net movement in funds, included In the above are as follows:
Incomlng
resources
Resources
expended
Movement
In funds
Unrestrlrted funds
General fund
132,464
{90,7011
41,763
132,464
190,7011
41,763
TOTAL FUNDS
132,464
190,7011
34,821
A current year 12 months and prlor year 12 rnonths comblned posltlon Is as follows:
Net
Movement
In funds
At
30.6.25
At 1.7.23
Unrestrlcted funds
General fund
Designated Funds
145,331
3,820
170,767
316,098
3,820
149,151
170,767
319,918
TOTAL FUNDS
149,151
170,767
319.918
A current year 12 months and prlor year 12 months comblned net movement ID funds, Included In the above
area5 follows:
Incomln8
resources
Resources
expended
Movement
In funds
Unrestrlrted funds
General fund
Designated Funds
390,516
1219,7491
170,767
390,S16
1219,7491
170,767
TOTAL FUNDS
390,516
1219,7491
170,767
PJg¢ll
continued...

Not t the Financial Ststements -
for the Year Ended 30 June 2025
11 RELATED PARTY DISCLOSURES
There were no related party transactions for the Year Ended 30th June 2025.
Page 12

KICC Praise Tabernacle
cial Activities
ear Ended 30 Jun
30.6.25
30.6.24
INCOME AND ENDOWMENTS
Donations and le8ades
Donations
Giftaid
Building Donatlons
135.647
19,941
16.845
106,SOS
19.066
420
172,434
125,991
Investment Income
Oeposit account interest
5,618
2,750
Other Income
Sundry Income
80,000
3,723
Tolal Incomln8 resources
2S8,052
132,464
EXPENDITURE
Charltable artlvftles
Other operatlng leases
Ll8ht and heat
Rent & Rates
Church Ministry. honorarta
Evangellsm
Church Ministry- hospltality
Motor Expenses
Training
Church Minlstry- Welfare
2,814
12,988
2,350
21.916
720
215
536
1,750
32.822
144
1,540
1,352
42,328
36,819
Other
Bank loan interest
Depreciation: Fixtures and ftttlngs
Depreciation: Computer equipment
19,619
7,604
439
8,716
440
27,662
9,156
Support costs
Management
Wa8es
Penslons
Insurance
Repalrs
Postage and stationery
Travelling & Transport costs
40,0(K)
1,013
31,000
743
557
354
1,520
3,179
1,341
978
46,066
34,619
Flnance
Bank charges
This page dots not fom part of the Sthiul￿Y fiThw*ial slalements
Page 13

Detaile
Statement of Financial A¢tiviti
for the Year En
30 Jun
30.6.25
30.6.24
Flnance
Governance costs
rithe to KICC National Forum
Professlonal fees
Accountancy and legal fees
10,610
2,050
332
9,807
300
12,992
10,107
Total resources expended
129,048
90,701
Net Income
129,004
41,763
This page does not forni part of thc slotutory financial statements
Page 14