MIDLANDS GOSPEL MISSION
(INTERNATIONAL)
FINANCIAL STATEMENTS
FOR THE YEAR ENDED
30 NOVEMBER 2021
A COMPANY LIMITED BY GUARANTEE
COMPANY REGISTRATION NUMBER: 08786769
REGISTERED CHARITY NUMBER: 1161906

MIDLANDS GOSPEL MI￿10￿ (INTERNATIONAL)
FOR THE YEAR ENDED
b NOVEMBER2021
CONTENrs
Pag
Report of the TruAtee$
Independent Examiner's Report
Statement of Financial ActiTrities
Ralance Sheet
Not¢s to the Financial Slatements
10-17
For Management Pu￿￿)s￿ Onty
Detail￿ Management Accounts
18

MIDLANDS GOSPEL MI&SION ONfERNATIONAL)
Page I
REPORT OF THE TRUSTELS
FOR THE YEAR ENDED
30 NOVEMBER 2021
The Tnjstecs are pleasoj to present their re￿rt and Financial stsiements for the year ended
30 Noveml)er 2021, which are prepared to meet the r¢quir¢ments for a Dire¢tor'3 R¢￿rt and Financial
ststements for Companies Acl PUTkK)ses.
The Financial Statements comply with the Cl)aTities Act 2011. the ComF*nies Act 2006, the
Memorandum and Articles of Association and Accounling and RetK)rting by Ch8Tities.' Sthtement of
Recomm¢nded ￿￿tiCe applicable to charities ptepariD8 their Financial Statements in accordance with
the Financial Reporting Standard applicable in the UK and R4)ublic of Ireland (FRS 102).
REFERENCE AND ADMINISTRATIVE llYFORMATION
ChMrltAble Comp4ny Name
Midlands Gospel Mission Otkntional)
Charity Re&istration NuDJb¢r
1161906
Compgny Rwgtrgtion Number
08780709
Regi3tcred Office
2 NorwiLh Road
WorcestCT
WR5 INX
DIREcfoiis AND TRUSTEES
Thc dircctors Of the Ch￿Itable company are its trws1¢¢s for the puryK)sc of chwity law. Th¢ tnLsiecs who
served duriJ]g the year were as follows:
Pastor Sgntosh Kutiako8e Mtinithotthm
Mr Denson Daniel
Mr Thanka¢hen ChakkittaprJmpil Philip
Dr Sanju Thomas

Pag¢ 2
MtDLANDS GOSPEL M￿10￿ (INfERNATIONAL)
REPORT OF THE TRUSTEFS
(CONfiNUED)
FOR THE YEAR ENDED
30 NOVEMBER 2021
STRUCnlRE, GOVERNANCE AND MANACEMEwr
Governing Doeument
The COTnpany is a chaTilabl¢ Gompany limited by guaTantr¢, incorEK)rnfyJ on 22 November 2013. Thc
charitable compally was established under a Memorandum of A￿cIatiOn which established the
objectives and pK)wers of the ¢haTitable company and is governed under its Articles of Association.
The charitable company IK¢8me a register&1 Charity on 29 May 2015.
In the event of th¢ ¢haritable cA)m￿Y ￿ing Wou￿1 up. mcmbers are requirvj to o)ntribute an amount
nol ¢Arccding £1.
Recruitment and App)intmeDt of Trustees
The directors of the company are also charity trustres for the putFX)s¢s of charity law and, undw the
charitsble cotnpany's Articl& gre known as Memb￿ of the Management Committee. The direLtors are
reappointed in a¢wrdancc with th¢ M¢morandum and Articlcs of AS￿clatiOn.
Trustee Induction and Trnining
A progrthimc is employed for the induction of new trustees. It encompasses a full indu¢tion in the
charitable company's Folicies and pr(￿U￿S and involves examiw the financial plan.
Updates on the reswnsibilities of the tn￿ are provided a8 appropriate to d¢v¢lopments in 3tatuie and
b¢st prnctic¢.
Organisational Structure
Mtdlands Gospel Mission Ont¢rnationaJ) h&8 a B08rd which meets at least four tim¢s a and which
is resTX)nsible for the trate￿e dir&xion and policy of the ehAritsble company.
At present the Mg0og¢rnent Committee comes from a variety of back8rounds relevant to the work of the
h￿l￿b]e company.
Risk Management
The tswstees have conducted a revi¢w of the major risks lo which th¢ ¢hatitabl¢ (Kimpany is exposed.
Where 8PPTOPriat& systems or prOC￿￿re9 have been established to mitigate the risks the charitabl¢
mpany faccb. Signifiwil cxtcrnal risks hav¢ ltsl lo thc devclopment of a strategic plan. IntenMI
control risks are minimised by the implemcntation of pnth for authorisation ofatl transactions and
projects.
PAY Poliry for Senior Staff
The pay for all senior staff employed by the charitable company is review￿ on a regular b&sis and any
changes to salaries are depe￿]ent on the employees and the charitable company's overall perf(fftnance.

MIDIANDS GOSPEL m￿lON (NfERNATIONAL)
Page 3
REPORT OF THE TRUSTEKS
(CONrtNUED)
FOR THE YEAR ENDED
30 NOVEMBER 2021
STRucfuRE, GoVE1￿ANc￿ AND MANAGEMFNr (coNrJNuED)
R¢Jated Parties
'rhe charitable eornpany h&8 no related parti¢s.
FINAIYCIAL REVIEW
The charitable company's income for th¢ year £56247 (2020 - £33,018). Expenditure tota]led
£35.349 (2020 - £36.958). The overall SUTplus incu￿￿ w&g £20.898 (2020 _ £(3.940)). Thc dir¢¢tors
arc satisfied with the overdu FK)sition and finances of the charitable company.
Prln¢lp*l Funding Sourtts
The prineipai funding sources for the charitable wmpAny ar¢ cutTent]y from mcmber3 of the mission.
Investment Policy
Mobt of th¢ Charitablc comtony's funds ate to bc 4xnt in the short-terni so. at presenL the eharttsble
company has no investsnents.
Reserves Poliey and Going Concern
It is the policy of the charitablc company to airn towards maintaining unrestrict¢d funds, which are
the r￿C reserves of the charitable company, at a level where unr￿trIcted funds will bc sufficicnt to
meet its out80in8 expenses.
The directors of the charitable company of th¢ Yi¢w that Midlands G03pcI Mission (International)
is a going concern.
ORJECTtVES AND ACllv￿Es
Midland Gospel Mi&sion (Inten￿lOn81) is a registered charitable comFAny under the Charities Act. It
beg8n with the aim of proclaiming thc go4KI of our IA)rd Christ Jesus and sharing his love to all people
without any banier of religio￿ r¢8ioty rac4 t)atIO￿ lan8ua8e and gender.
chAritabl¢ ¢ompany's aims aTd objectives are to advance the Christian faith in accordan￿ with the
article of faith in the United Kingdom and throughout the world as the ChU￿b elders may. from time to
time. think fit.
Publie Benefit Statement
Our main Activitics and who we try to hclp are descnlKd atx)ve. All of our activitie5 undertAken to
furth¢r our charitsble purposes for the public I￿efit. In shaping our objectives and planning our
activities. the trustees have considered the Charity Commission's ￿dance on public ben¢fit includin8
the guidance 'Public Benefit: Ruuning a Charity (PB2)'.

MIDLANDS GOSPEL MI&SION (INfERNATIONAL)
Page 4
REPORT OF THE TRUSTELS
(C()NTINUED)
FOR THE YEAR ENDED
) NOVEMBER 2021
ACHIEVEMENTS AND PERFORMANCE
Midlands Gospel Mission (MGM) wo￿¢51¢[ is a church r¢gistcrcd as charity organi5alion with a
desire to work towards the advancement of Gospel. The congregation commenced as a house Church
in 2004 consisting of only thr¢¢ families. By the grace of God. additional families joined the ChuTcIL
which led us to rent halls to carry out our WOTship services. Furthermore, with the financial aid
received from our church metnbers, we were able to purchase our own building in December 2013.
Our main worship service is in our native language - Malayalam which includes praise and worship
and Bible study. The Se￿ice hours are from l 0..30 to 13:00 every Sunday. Our Sunday school was
instituted in 2005 which consisted of five students and two t¢achers. By the grace of God, we are
currently manaEin¥ the gunday qehool with 2S S￿dentS and 10 ieachers. Our primary Boal is to
develop and cmpowcr their spiritual and social life. Wc have conducted youth Seminars lind oiher
meetings for the youn8 adults and stud¢nts to cnrich their character and p¢rsonality to sustain hi8h
moral siandards. Wc commit io tegular prdyer c¢lls which inCor￿Tate intercesgory prayer sessions
every Tuesday and Bible studies in Worcester, Cyloucester, Hereford and T¢1 Aviv (viY4 vidoo
conferencing) on a weekly basis. When lockdown restrictions are placed or when there is ¢ause for
concern for our members, we COnd￿t the abov¢ Yirtually.
W¢ w¢r¢ able to reach out to those in need locally and globally numerously. A fcw notable on¢s are:
Wc havc ongoing Supp￿ for Bihar Life Mission as part of our gospel ministries.
We financially ¢ontribut¢d tOW￿d5 a ministy in TanLania for printing Bibl¢s.
Wc provided ¢ontribulions to many Christian ministers who were invited to our s¢rvic¢s
throughout the year.
During our al￿￿al Sunday SGh(￿l and Youth AnnivcT&2ry, wc distribui¢d achievement rewards
according to their a¢8dcmic levels and examination performance. We weTr able to conduct a Vacation
Bible School (VBS) during the summer holidays. Currently we are raising fimds for the extension of
our church building due to the limited space to accommodaie incre&8ing members. We have been
unable to mak¢ initial ¢nquirics due to COVID-19 ￿StrActiOnS.
PLAINS FOR FirruRE PERIODS
Going forward. wc plan to continuc our suptK)rt to BihaT l.ife Mission. We plan to Conduct initial
enquiTies regarding our church building r¢novalioDlexl¢nsion. Wc plan to continuc our Tcgular
worship services. Sunday school and enrichment seminars for our childrcn and adults. We wish to
conduct arca meetings in Bmmyard, Redditch and Worccster. We are planning to conduct a family-
meet weekend seminar and a study tour for the social wellbeing of our members. In the mc8ntime,
we plan to raise funds for vaTiOUS causes and ¢ontinu¢ PD)viding fllLincial support to ministers w¢
inviic.

Page 5
REPORT OF THE TRusfELS
(CONllNUED)
30 NOVEMBER2021
PLANS FORFtrruRE PERIODS {CONfiNIJED)
We aye currently happy ongoing ¥tivitie$ and hope ts CAmtinue with our future plans givcn
fi]rther COVID.19 restrictions are not impose4L
RESPONSIBILIT￿8 OF TRUSTEFS
CompAny law requires the tntstees to prepare Flnartci￿ Statements for each fingnci81 yegr, ￿1¢h oive a
true and fait view of th¢ state of th¢ affai[5 of thc Gharitsbl¢ cOMp￿Y ￿ at th¢ Balance Sheet date and
of its incoming reSou￿eS and 4)pli&qtion of resour￿ induding income and ¢xp*nditure. for the
finanetal year. In preparing those Finwial Statanents, the InLgte£s slM)uld followbttt pradice and:
Select suitsble ￿￿titig Folicies and apply tkni consistentty:
ob3¢rv¢ the method8 aud Fri￿1P1a 3n tkn Charities SORP (FRS 102):
stat¢ whether applicablc ￿￿ting stsndv￿9 have kn follow4 subject to any dep8rtir
disclosed inthe Financial Statements: 8NI
that the ch8ritsbEe company La)ntinue on that I￿￿s.
The ore reSEm)￿ble for tnarri• proktr wA)￿tiD8 reu)rds which di￿105¢ with reasonable
accuracy, at any timc, the financial psition of the charitable company andto enable them to e￿9￿re tllat
thc Filw￿l￿1 Statements eAMnply wlththe Comp￿leS Act 2(M)6 gnd the Charities Act 2011. Th¢ thi￿te
are also reswnsible for 5afcguarding thc of the chatitable conlpany 8nd h¢nce for tsking
reasonable steps for the PK¢vention and detection of fi8ud and other iuegulan'ties.
SMALL COMPANTES PROVISIONS
Approv¢d by th¢ Board olTruthe8 on 25 Septattber 2022 and 8igned on ity beh*lf by:
S P THOMAS

Page 6
1NDEPE1YDE￿ EXAMINER'S REPORT
TO THE TRusfELS OF
MtDLANDS GOSPEL MISSION {l￿ATIoV4AL)
FOR THE YEAR ENDED
30 NOVEMBER2021
I report to the charity trnjtees on my cxamination of thc accoullts of the Company for the year ended
30 Novenibcr 2021.
RESPONSIBILITtFS AND BASIS OF REPORT
As the charity's tnLStccs of th¢ wmpany (and also its directors for the purwses of company law) you
are responsible for the preparation of the Accounts in ￿￿rdance with th¢ requirements of the
Companies Act 2006 ('the 2006 Act,).
Having satisfied myself that the accounts of the Company are not required to bc audited under Part
16 of the 2006 Act and are eligible for independent exominalion, L report in respcct of my examination
of your charity's accounts as carried out under section 145 of the Charities Act 2011 ('the 2011 Act,).
In carrying out my examination I have followed the DirKtions ￿Ven by the Charity Commi55ion
under section 145(5){b) of the 2011 Act.
IrrfDEPENDENT EXAMINER'S STATEMENT
I have completed my examination. I confinn that no matters have come to my altention in connection
with the cxamination giving m¢ io IKlicve that in any matcrial respect:
accounting records wcre not kept in rcspect of the Company as rcquired by s¢ction 386 of the
2006 Act. or
the accounts do not accord with those rcwrds; or
thc accounts do not comply with the accDunting requircrnents of section 396 of the 2006 Act
other than any requirement that the accounts sive a 'tru¢ and fair view which is not a matt¢r
considered as part of an inderthdent examinatio￿ or
the accounts have ttot been P￿pared in AeeordAO¢¢ With th¢ methods and prin¢ipl¢8 of th
Statement of Recommended Practice for accounting and reporting by Oh￿111¢5 {appli¢ablc to
charities preparing their accounts in a¢cordancc with the Financial Reporting Standard
applicable in the UK and republic of Ireland {FRS 102)).

INDEPENDENf EXAMThER'S REPORT
{coNrINUED)
Page 7
TO THE TRUSTEES OF
MIDLANDS GOSPEL m￿lON (INTERNATIONAL)
FOR THE YEARENDED
30 NOVEMBER 2021
INDEPENDEwf EXAMINER'S STATEMENT (COIYTINUED)
I have no concerns and have come across no other matters in conne¢tion with the examination to
whxch attention should be thawn in this r¢port in ord¢r to enable a proper undcrslanding of the
accounts to be reached.
D J MANT FCA
25 September 2022
ABRAHAM & DOBELL
Chartered AccouD¢YdDts
230 Shirley Road
outhampton
SOIS 3HR

Page 8
MIDLANDS GOSPEL MI&SION (INfERNATIOIYAL)
STATEME￿ OF FINAIYCIAL ACTIVTrIE
(INCLUDING INCOME AND EXPENDITURE ACCOUNT)
FOR THE YEAR ENDED
30 NOVEh(BER 2021
2021
Unrcstricted Restricted Total
Funds
Fundy
Funds
2020
Total
Fund5
Not
INCOME
Donations and legacies
Charitable activities
Investment income
47,434
8,809
47,434
8,809
28,790
4,180
48
TOTAL INCOME
56247
56247
33,018
EXPENDITURE
Charitabl¢ activitic
35,349
35,349
36,958
TOTAL EXPENDITURE
35,349
35,349
36,958
NET INCOMF,IIF,XPF.NDITURE)
20,898
20.898
(3,940)
NET MOVFMF,Nr IN FUNDS FOR THE YEAR
20,898
20,898
(3,940)
RECONCILIATION OF FUNDS
Totsl funds brought forward
44,807
107296 152,103
156,043
Total fimds Carri￿ foThvard
£65.705 £107,296 £173.001 £152,103
"thc Statcmcnt of Financial Activitic5 inclth all gains aThl lo&se5 in the year. All income and
eXt￿ndItUre derive from continuing activitie5.
Movements in funds are discl¢)sed in not¢ 10 to the Financial Stat¢m¢nts.
The notes on pagLg 10 to 17 forni part of these Financial Statements

Page 9
BALANCE SHEET
AS AT 30 NOVEMBER2021
2021
2020
pl￿n AggiTQ
Tangible fixed assets
TOTAL FIXED A￿15
108
108,567
108,313
Cash at bank and in hand
68,113
46,161
3.425
1625
64.688
43,536
NET ASSETS
£173.IK)I
£152,103
Ui]r¢stri¢t¢d incom¢ fijnds
65.705
107296
44,807
107296
£173.(J)I
£151103
For the year ended 30 November 21r21 the o)mpany was cntitleAI to exemMion from audit under section
477 of the Companies Act 2c￿6 relating to gmau cx)mFY8nies.
Dir¢¢tor8' r¢8p)n&Thiliti¢s:
Th¢ memttrs havc [qui￿d thc company to obtsin an a￿]11 of its Accounts for the PaiLMI in
question in accordance section 476; and
The directors a¢l￿owIedSe their resEMxwbiliti¢8 for eA)mplying with th¢ requirem￿ of thc Act
with reSp￿t of accounting and the preparation of ALYA)unts.
to the small companies regime.
Approved by the Board OrTr￿te¢S on 25 Wber 21Ill and signed on its behalf by:
S PTHOMAS
COMPANY REGIsfRATION IWMBER: 08786769
The notes on p4ge8 10 to 17 fonn part of FiDaDcid Statements

MIDLAI¥DS GOSPEL MI&SION (IWERNATIONAL)
Page 10
NOTES TO THE FThANCIAL STATEMENIS
FOR THE YEAR ENDED
30 NOVEMBER2021
AccouNfiNG POLICIFS
Charity Informxtion
Midl¢Ands GustKI Missiononternational) is a clwilable company limit¢d by guarantee. established
under its Memorandum and Articles ofA&8OCiAtion and is registered wth the Charity Cornmi&sion
and Companies HO￿8¢ in EngIaud al￿ Wal¢s. The principal addrc&8 is 2 Norwich Roa
WorLzster. WR5 INX. "tbe charity is a public krnefit entity.
The principal accounting ￿TrICI¢S are sUMn￿sed E¢low. The accounting polices have been
applied consistently throughout tk year and in the preceding year.
(a) Basig of PrepArAtiOD
The Financial Statements hav¢ been prepared in accordanct with Accounting and
Reporting by Charities". Ststcment of Re¢ommended Pwtic¢ applicable to Lharili¢s
prq)aring Financial Statements in accordance with the Financial Reporting Standard
applicablc in the IIK and Republic of Ireland (FRS 102) - (Charlties SORP (FRS 102)),
thc Financial RLWrting Stundard applicable in th¢ UK and Republic of I￿land (TrRS 102)
and the Companies Act 2006.
The Financial Sta*ments hav¢ been prepth Und￿ the historical cost ￿nvention, except
for the valuation of investment assd& which aTr shown at market value.
The Financial Statem¢nts a￿ prcpared tn Sterling which is the fimctional cuw of the
c.harity Commission. Monetary amounts are round￿ to the nearest £.
(b) Income
All incom¢ 15 included inth¢ SL*mcnt of Financial Activiti￿ when the charitablc company
is entitlcd to the income and the amount can bc quantified with reasonable accuracy. The
following specific p)licI￿ aTC applied to partIC￿ar categories of income",
Voluntary income is received by way of donations and is includ&J in full in the
Statement of Financial Activiti¢s when rec¢ivabl¢.
Investment income 18 included when receivable.
Incom¢ from charitablc activities are accounted for when earned.
(c) Eipenditure
F.xpcnditure is Tecognised on an accruals b&sis ￿ a liability is incurred. Expenditw¢
includes VAT &g the eharithble company is not VAT registered gnd is reported as part of
the ¢xpcnditurc to whi¢h it relates.
ChaTitablo expenditure comprises thos¢ ¢osts incurred by the charitable company in the
d¢livery of its activities and ￿ryi(¢S for its beneficiari¢s. It includes both costs that can
be allocated directly to such activities and those costs of an indirecl nature necessary to
support them.
Governance costs include thos¢ costs associat¢d with meeting th¢ Gonstitutional and
slatutory requirements of th¢ charitable company and includ¢ the audit fees aThd w5ts
linked to lh¢ strategic management of thc charitable company.

Page 11
MIDLANDS COSPEL MI&SION (IKTERNATIONAL)
NOTES TO THE FINANCIAL STATEMENrs
(COIYTINUED)
FOR THE YEAR ENDED
30 NOVEMBER 2021
ACCou￿rr￿e. POLieiLq {copiriNUED)
(c) Eipenditsre (Continued)
All costs ar¢ allo¢atcd bctwccn th¢ expenditur¢ ¢at¢gories of the Stat¢m¢nt of Financial
Activities on a basis designed io ￿fleCt the use of the resource. Costs relating to a
particular activity ar¢ allocated dir¢ctly, others are apportioned on an appiopriatr b&8iS.
eg floor areas. per capita or estimated usagc sel out in notc 4.
(d) T￿n￿7)It Fixed Assets and Depre¢i*¢ion
Fixed aS￿L5 ate 5thted at WSL accumulatrd depreciatio￿ Tr costs of minor additions
are not capitaliT£d.
Depr¢ciation is providcd al rates ￿culated to ￿lte off the cost of each assct over its
expeLied useful life as follows:
rrcehold land and buildAn8S
Fixtures. furnitu￿ aThJ wuipment
Nil
200/0 net I￿k v￿ue
No depreciatio￿ yel h89 been applied to the freehold land and buildings.
(e) Fund Aeeounting
Unreslricicd Funds represent the funds of the charitable company that are not subjccl to any
restn'ctions re8thing thcir use and are available for application on the general pU￿OSeS of
the charitable company.
Restricted are thosc fijftds that can ortly bc used for particujar purpses within th¢
objectivcs of the Lharitahle cam￿)Y. RLstrictions ari8e when 8pecified by Ihe donor or
wh¢n fun& are raised for a particular purpx.
(fj Debtors
Any amounts owing to the chatitable company at 30 November in res￿ of income are
Sho￿ as debtor4 if aThl when they arise.
(g) Short-Terni Deposits and Calh at Bank
Short-tetm deposits inLlude cash held on dep)sit or at the bank.
(h) Creditors
Creditors are r￿QgnIS￿l where the charitsble eompgny has a present obligation resulting
from a p&st evcnt that will probably result in th¢ transfcr of fijnds to a third paty and th¢
gmount due to settle the obligation Can be measured or estin￿t￿ reliably.
{1} Finaneial Instrumen
The ch￿itable COTnpany only fin8nci2128sets and fin9nCig1 liabilities of a kind that
qua]ify as b&8ic financial instr￿. Basic financial instruments initially recognis¢d
at transaction value and subwuently Measur￿ at their settlement value.

MIDLANDS GOSPEL MI￿oN (INTERNATIONAL)
Page 12
NOTES TO THE FINANCIAL STATEMENTS
(coiYTtNUED)
FOR THE YEAR ENDED
30 NOVEMBER 2021
DONATIONS AND LEGACIES
2021
Unrestricted Reslrhcted Total
Funds
Funds
Funds
2020
Total
Funds
Donations
Gifl Aid
29,945
17.489
29.945
17,489
28.790
£47.434
£47.434 £28,7
INCOME FROM CHARrrABLF AC￿V[TR￿s
2021
Unmtricted Restrlded Totsl
Fundj
Funds
Funds
2020
Total
Funds
Sunday SclJx)l offering
Other incorne
4.008
4,801
4.008
4,801
2,116
£8,809
£8,809
£4,180

MIDLANDS GOSPEL Mt&SlON IINTERNATIONAL)
Page 13
OTES TO THE FINANCIAL STATEMENrs
(coNriiYuED)
FOR THE YEAR EM)ED
30 NOVEMBER 2021
4. (a) ANALYSIS OF EXPENDITURE ON CHARITABLE AcrtVlTILS
Chur¢h
Actlvllles 2021
Tot*l Fund8
2020
P&8tor
Visiting p&stors
CJospel and mi&8ion eXp￿seS
SunJ#y Sch()ol and VBS
Donations
Light and h¢at
Repairs and maintenanc¢
Equipment
Insurdncc
Cleanin8
Telephone
Printing and stationery
Motor and travel eX￿lse8
Lcgal and profe&8ional
Depreciation
Sundries
12J70
1210
8,111
1.228
1,417
876
4,926
1,688
552
124
431
12.370
1,210
8,111
1,228
.417
876
4,926
1,688
552
124
431
144
218
565
254
435
800
12,406
1290
6,412
574
5,145
1,328
4.437
1,116
504
87
390
753
40
1,380
318
13
765
218
565
254
435
800
£35,349 £35,349 £36,958
(b) ANALYSIS OF GOVERNANCE cosrs
Governanee
Baslj of
To¢al Apportlonm¥Dt
Professional costs. Exsniiner's costs
£8(K)
£800 Goveman¢¢

Page 14
MIDLANDS GOSPEL m￿IoN I￿RNATIoNAL)
NOTES TO THE FINANCIAL STATEMENTS
(CONfINUED)
FOR THE YEAR ENDED
30 NOVEMBER 2021
STAFF COSTS AND NUMBFRS
2021
2020
Wages and saiari¢s
£12.370 £12,406
DurAn8 tILe year the ¢haritable company employed a p&stor. No onc earned mor¢ than £60,000 pcr
The average number of employees during th¢ year w&s I121Y20- 1).
TANGtBI.E FIXF.D A￿ETs
Freehold
Fixture
Land &
Furnlture &
Buildings Equipment Total
Cost
At l Decemkn 2020
107296
5,652
112.948
At 30 Novern￿r 2021
107296
5,652
112,948
Depreciation
At l December 2020
Charge for the year
4,381
254
4,381
254
AI 30 Novembcr 2021
4,635
4,635
Net Book Valu£9
At 30 November 2021
£107296
£1,017
£108,313
At 30 Nov¢mbcr 2020
£107296
£1271
£108,567

MIDLANDS GOSPEL MISSION (INfERNATIONAL)
Page 15
NOTES TO THE ￿NANCIAL STATEMENrs
(coNrINUED)
FOR THE YEAR EM)ED
30 NOVEMBER2021
CREDITORS: Amounts f*lliDS due within on¢ y¢ar
2021
2020
ACen￿lS
3.425
2,625
£3.425
£2,625
ANALYSIS OF NET ASSETS BETWEEN FUNDS
2021
Unrestrkted Restricted Total
Funds
Funds
Fund8
2020
Total
Funds
Tangible fixed assets
C&8h at bank and in hand
Current liabilities
1,017
08.113
(3,425)
107,296 108,313
108,567
68.113
46.161
(3,425) (2,625)
Fund balances at 30 NoveM1￿r 2021
£65.705
£107.296 £173,001 £152,103

MIDWtkS GOSPEL MtSSlON ONfERNATtONAL)
Page 16
NOTES TO THE FINANCIAL STATEMENTS
(CONTINUED)
FOR THE YEAR ENDED
30 NOVEMBER 2021
ANALYSIS OF MOVEMENTS IN FtINDS
AIYD FUND DETAII
Ai
Incomlng Oulgolng
At
01.1220 Re8ourees Resour¢eJ 30.11.21
Unrestricted Funds
H,807
56247
35,349
65,705
Total Unrestrirted FuDdJ
44,807
56,247
35,349
65,705
Restrieted Funds
Building fund
107296
107296
TotAI Restricted Ftsnd8
107296
107,296
Tot41 Fund8
£152.103
£56,247 £35.349 £173,(K)I
Unrestrilted Funds
I'hese a￿ fi￿dS which the charilable eomp8ny is free to spend on any of its activtties. The
trustees can d¢si8natc un￿¢t￿ fi￿[15 for a particular putws¢.
Restrided Funds
These arc funds which the eharitsble company ¢an only stthd on a purpose detenningj by the
terms on which the fund is re￿IVed.
The building fund wag 5￿CIfiCallY for the purchase of the firehold proFerty at 2 Norwich Ro
Worcestcr.

MIDLAM)S GOSPEL MISSION (INfERNATtONAL)
Page 17
NOTES TO THE FINAIYCIAL STATEMENTS
(CONfiNUED)
FOR THF YEAR ENDED
30 NOVEMBFR 2021
10. TRUSTEES, REIk[UN￿Tl0N AND EXPENSES
Remunerdtion w&q paid to one InL8tee {S ManIthott￿ who is the pastor) of £12,370
(2020 - £12,406).
I I. STATIJS
The charitable company is limit¢d by 8uaran*e.