R￿IStered Charity No- 1163267
Fountain of Fire Prayer
Restoration Ministry
Trustees, Report and Unaudited Accounts 31 July 2025

CONTELYTS
PAGE
Legal and Administrative Details
Trustees, Report
Independent Examiners, Report
Statement of Financial Activities
Balance Sheet
Notes to the Accounts
21 Page

REFERE.YCE AND ADMINISTRATII'E DETAILS OF THE CHARITY. ITS
TRLSTEES AND
ADVISERS FOR THE YEAR ENDED 31 JULY 2025
Trustees
Raphaya Pinas
Sandra Ofori
l&uc ofocri
Charity regislered Number
1163267
Date of Charitable Registrllion
241h August 2015
Prlncipal o￿lee
40 Handcross Road
Lulon
LU2 8JF
Independent examiners
Accounting Assist Lid
(Clo Good to Give Ltdl
Bankers
Metro Bank PL£
31 Page

TRUSTEES, REPORT
FOR THE YEAR ENDED 31 JULY 2025
The Board of Trustees. who are the 1rns*es for charity law purposes. submit their annual report and ihe
rinancial siatemenls ofFountain ofFire Prayer Resloraiion Ministy for the year ended 31 July 2025.
Tbe Board of Trusiees confinns thai the annual report and financial sthtemenis of the Charity comply
with currenl slalulory requirements. the requirements of the Charity's governing document and the
provisions of the Chariiies Sthiemeni of Recommended Practice (SORP) (FRS IU2) (second edition,
effeciive l January 2019).
Structure* governance and maDa2emenl
The 3 Trustees are:
Raphaya Pin&s
Sandra Ofori
Isaac ofocri
ORIECTIVES AND ACTIVITIES
The purpose of the charily is to adi'ance the chrislian religion worldwide in general and in North
London nrea in particular for Ihe ￿nefIt ofthe public ihroug)h the holding> of prayer meeiings. lectures.
seminars. christian feslivals. producing and distribuling chrislian literature to enlighten the populace
aboul the christian religion.
ACHIEVEMENTS AND PERFORMANCE
To advance the christian relig)ion worldwide in general and in North London area in particular for the
benefil ofthe public Ihrough the holding ofprayer meelings. lectures. seminars. chrislian feslivals,
producing and dislribuling christian literature to enlighien the populace aknut the christian religion.
FINANCIAL REVIEW
The largesl contribution 10 the charity for the year Came from genernl offerings.
PLANS FOR FUTURE PERIODS
The Charily plans to develop various fundraising strategy to include rnass markeling. Besides mass
markeiing and events. the chariiy is aiming io achieve lis thrge￿ through securing donaiions from
willing individuals.
STRIICTIIRE. COVERNANCE MA.JT AGEMENT
The General Truske Board seeks ￿ ensure thai the needs of this group are appropriafrly rellec*d
through the diversily ofthe Iruslee body. To enhance ihe poienlial pool of i￿￿￿eS. the charily has.
Ihrou8h selective advertising and networkin8 with loluntary organiiations aciive in the seclor. sought
lo ideniily those who would be willing lo become members of Ihe chariiy and use their own
experience lo a5S151 the charily. Much of the cbariiVs work focu5es upon the promotion of tbe
Christian religion and ihe running and mainlenance of ils places olworship.
The meihods adopted for the recruilmeni and appoinuneni of new truslees. New tnlstees may be
appointed by resolution of a meeting of the trusiees.

TRUSTEES. REPORT
FOR THE YEAR ENDED 31 JULY 2025
The Trustees a￿ responsible for keeping proper a¢¢ouniing records that th'sclose with reasonable
accuracy ai any lime the financial posiiion ol the chariiy and io enable ihem lo ensure that the
finan¢ial staiemenis comply wilh Ihe Charities Act 2011. The Trustees aff also responsible for
safeguarding the assets ofihe eharily and hence thking r￿￿onable S￿pS for the prevention and
de*ction of fraud and other irregularilies.
This report has been prepared in accordance with the Charities Act 2011 and the Charities SORP (FRS
1112) applicable to charities preparing their aceounis on the aecDJals basis.
Statemen¢ of disclosure of inform4tion ¢0 independent txgminer
We. as the Trusiees of the Charity who held olTice ai ihe dale of approval of these financial SLltements
as sei out on page 3 each confimi so far as we are aware. Ihai..
There is no relevanl Inforn￿lion ofwhich the Charitys independenl examiner are unaware. and
we have iaken all Ihe sieps Ihai we oughi 10 have thken as Ttusiees in order 10 make ourselves
aware ofany relevani inforniaiion and to establish thai Ihe Chariigs independeni examiner is
aware of that infornalion.
This report was approved by Ihe TNsiees on and signed on iheir behalf by..
Name ...RaphayA PinAs.........
Slgnature.........
Date.........241412026......

INDEPENDENT EXAMINER'S REPORT
FOR THE YEAR E￿DED 31 JULY 2025
INDEPE.NDENT EXAMI.NER'S REPORT TO THE TRUSTEES OF FOUNTAIN OF
FIRE PRAYER RESTORATION MIliISTRY
I rew)n on the financial $th￿Men1S of the cl]ariry for the year ended 31 July 2025 which comprise the
sta￿ment of Financial Aciivitie5 and Balance Shed with &55(Kiate noies.
This report is made solely io the charity's Trusiees. as a body. in accordance with seciion 145 of ihe
Chariti¢s A¢t 2011 and r¢gulJiions und¢r s¢¢uon 154 ofthai Act. My work has b¢¢n undertaken
so thai I might stht¢ to th¢ charity's Trustees those mailers l am requtred io slate io ihem in an
indcpcndcni cxamincr's rcport and for w othcr purposc. To thc fullc51 cxicni pcrniiitrd by law. I do
not ac¢¢pt or assum¢ rcsponsibilily to anyorte othcr than thc thariiy and the chariiy's Trus￿¢$ as a
body, for my cxaminaiion wot*.
RESPEcfivE RESPONSIBILITIES OF TRusfEES AND EXA￿lINER
The chariiy's Trusiees or¢ r¢S￿nSible lor the pr￿￿10n ol Lh¢ financial WL¢m¢nis. and they
considcr thai an audii is noi required for ihis year und¢r scciion 144(2) of lh¢ Chariii¢s Aci 2011 (the
Aci) and thai an independeni examinaiion is needed.
li is my responsibility to..
Examinc the accoun15 lundcr Se¢tion 145 of the Chariiie5 Acll-
To follow ihc pro¢¢durcs laid down in thc General Dircctiofts givcn by thc Charity
Commissioners (under Scciion 14515Xbl ofthc Chariiies Acil. and
To staic w'hcthcr panicular maiicrs have come io my aiicniion.
Bll%ly (if Independent Examin¢r'$ rcpDrt
My ¢xamirt41ion was ¢41rri¢d oui in ac¢ordgn¢c wilh ih¢ Gcncral Dir¢¢tions giv¢tt by th¢ Chariiy
Commission¢rs. An ¢xaminaiion in¢lud¢s a r¢vi¢w ofih¢ accouniing r¢mrds k¢p( by lh¢
GrouplDislri¢i and a Com￿rISon of the attounts pr￿nted with ihosc rccords. It also includes
consideration of any unu5ua] ilem5 or diK105ure5 in the accounls and seekinb explanation5 froin you
s irustees concemin¥ any such mailers. The proccdures undenaken do noi provide all the evidence
Ihal would bc rcquircd in an audil. and consequenily no opinion is given as lo whcthLT ihc accounts
present a 'trne and fair view and the report is limi*d io those mailers sd oui in thc siaiemcni bclow.
Independent Examiner's ilalcmcni
In conncciion with my ¢xaminaiion. ￿ ma¢tcr has comc io my aiicniion..
l ) which gives mc rcasonablc cause io bclicvc thai in any material respect the rcquircments:
io k¢¢p accountin8 r¢¢ords in a¢¢ordan¢¢ with s¢¢tion 130 of the A¢i.' ond
to p￿P￿r finun¢ial stalcmcnts whi£h Jrrord with th¢ 4¢¢outttlttB T¢¢ords and ¢omply
with the accouniin8 requiren￿n(s of thc Aa
have not b¢¢n mct; or
2) io which. in my opinioTh aiieniion sljould be drawn in order to enable a proper understandin8
of ihe financial statsments lo be reached.
Signed:
Dated: 2410412026
Anum Ha*$an. FCCA
On Ixhalf of Accouniing A&81￿ Lid
Sl Page

STATEMENT OF FIN￿￿CIAL AcfiviTIES
(Incorw)rnting Income and expenditure aceounil
FOR THE YEAR E%DED 31 JULY 202$
Unrestrieled
funds
2025
Restricted
funds
2025
Total
funds
2025
Total
funds
2024
oles
Income Ind endowments
Donalion5 and legacies
70.236
70.236
43.1)63
Total
70,23(,
70.23()
43.C)()3
Expenditure on:
Raising funds
214
214
13.20(,
Charitable activities
30,802
3U,802
15,82¥
Other
42.475
42.475
15.072
Tot*1
73,491
73,41)1
44,1 OC)
Net movement in funds
(3,255)
(3,255)
{443)
Total funds brought forward
387
387
830
Total funds carried forward
(2,868)
(2,868)
387

BALANCE SHEET
AS AT31 JULY 2025
Notes
2025
2024
Current assets
Cash at bank and in hand
387
Creditors: Amount falling due within one year
(2.8(18)
Total net assets
(2.8()8)
387
The funds ofthe charlty
Resiricied funds
Unresiricted funds
(2.8C)8)
387
Total funds
(2.¥611)
387
The financial siaiements were approved by the Trustees and signed on their behalf, by:
NAme .
Raphaya Pinas ..
Signature......E/*wP.....--......
Date....
.241412026.........
The notes on pages 9- 12 form pan of these financial sthiemenis.

NOTES TO THE FINANCIAL STATEMENT
FOR THE YEAR EIDED 31 JULY 2025
I. ACCOUNTING POLICIES
Basis of preparation of financial sla¢emen¢s
The financial stsiemenls have been prepared under the historical cost convenlion and
in accordance with the Financial Reponing Sthndard applicable in the UK and
Republic of Ireland IFRS 102) and the Charilies Sialemenl of Recommended Practice
(SORP) (FRS 102) (second ediiion. etrective l January 2019).
Fulld aecounting
General funds are unrestricied funds which are available for use ai the discreiion of
Ihe Trusiees in funhernnce of the general objeciives ofthe chariiy and which have not
been desiL?nated for oiher purposes.
Resiricled funds are funds which are lo be used in accordance with specific
resiriciions imposed by donors or which have been raised by Ihe chariiy for panicular
purposes. The costs of rnising and athninisiering such funds aTr charged againsi the
specific fund. The aim and use ofeoch restricod fund is set out in the notes to the
rinancial sthiements.
The chariiy did noi hold any resiricied fwids during ihe year ended 31 July 2025.
Incoming resources
All incoming resources are included in the Sthiemeni of financial activities when Ihe
charily has enliilemenl lo the funds, cerlainly of receipt and the amounl can be
measured wilh sufficieni reliabiliiy.
Donaied services or facilities, which comprise donated services, a￿ included in
income al a valuation which is an esiimaie of ihe financial cosi bome by the donor
where such a cosi is quaniifiable and measurable. No income is recognised where
there is no financial cost borne by a ihird party.
Income tax recoverable in relation to donations received under Gill Aid or deeds or
covenani is recognised ai the lime of ihe donation.
Resources expended
Expendilure is accounted for on an accruals basis and has been included under
expense calegories Ihal aggregale all costs for allocaiion to acliviiies. Where cosls
cannot be directly attributed 10 particular activilies. they have been allocated on a
basis con5i5tent with the use ofthe resources.
Fundraising costs are Ihose incurred in seeking voluntary contribulions and do not
include the costs ofdisseminaling infonnation in support of the charitable activities.
Suppoll costs are th05¢ C0515 incurted directly in support of expendilure on Ihe objects
of the charity and include project management carried out at Headquarters.
Governance costs are those incurred in connection with administraiion of the charity
and compliance with constitutional and statutory requirements.

NOTES TO THE FIN￿￿CIAL STATEMENT (Continued)
FOR THE YEAR EI%DED 31 JULY 2025
Grants payable are charged in the year when Ihe orrer is rnade excepl in those cases
where the offer is Conditional. such gTanLS ￿Ing recognised as expendIlu￿ when the
conditions
aithching are fulfilled. Grants offered subject lo condiitons which have not been mel
ai the yearend are noted as a commitment bui noi accrued as expendilure.
Income from donations and legacies
Total
Total
2024
Donaiions from liihes & offerings
59,655
33,875
Gift Aid
10.sxi
70236
9.7RR
43.663
3. Expenditure on raising funds
Total
Tolal
2024
Costs of generating volun
income
Costs ofgenerating donations
203
13.206
214
13,206

NOTES TO THE FIN￿￿CIAL STATEMENT (Continued)
FOR THE YEAR EI%DED 31 JULY 2025
4. Expenditure on charitable activilies
Total
Total
2025
2024
Expendilure on Charithble
activiiies
30.802
15,828
30,802
5. Other expenditsre
Total
Total
2024
Ministry Support
Molor and travel cosls
32.906
.332
Premises costs
300
5,200
General adminislralive costs
3.705
3.11112
Legal and professional cosis
5.563
4.738
42,475
15.072
6. Movement in funds
Incoming
Resources
Resources
expended
At31 Julv
2025
Resiricled funds
Unresiricted lunds
70,236
73,41)1
-3,255
Total funds
70.236
73,491

NOTES TO THE FIN￿￿CIAL STATEMENT (Conlinued)
FOR THE YEAR EI%DED 31 JULY 2025
7. Going Coneern
At the year end ihe charity had nel liabilities of £2.868 (2024.. £387 nel assels). The deficit
arose because expendilure exceeded income dunng ihe year. The fftillees have reviewed the
rinancial posilion and confirn) that the charily will continue lo opera* due lo ongoing
committed donations and Ihe continued support of sthkeholders. The trustees therefore
consider it appropriaie to prepare ihe accounts on a going concern basis.
8. Funds & Reserves
The charity held unrestricted funds of -£2.8CIR at Ihe yeor*nd (2024.. £387). The negalive
balance represenis expenditure incurred in ihe year which is expecied io be mei from fuiure
income. The INslees are satisfied that fulure incorne strearns will be surricienl to eliminate
the deficil.
9. Creditors Note
The year-end credilor balonce of £2.8C?8 relates to expenditure I￿u￿ed before the year end
bul paid after ihe year end
10. Related Party TrAnsactlons
During Ihe year, reimbursements totalling £7.(Tr71 were made to Iwo irusiees for expenses
they personally incurred on beholf of the charity.
These comprised £7,433 reimbursed io Raphaya Pinas and £238 reimbursed to Sandra ofori.
The expenses related lo charitable aclivilies and minislry supwrt.
No trusiee ￿e1Ved remuneration or any other personal ￿ner11 from the charily.
I l. Trustees. Expenses
Two trustees were reimbursed a lothl of £7.67] for expenses incurred on behalf ofthe charily.
No other Irusiee claimed or ￿ceiVed expenses during the year.