Tru8tee8' Annual R•portfor th• perfod
Period start datè
Period end date
01
31
2023
From
To
Charity name
HaNgSt Chapel Inl¢rnallonal- UK
Oth•r namm charlty l¥ known by
HCI-UK
R•gistorgd ¢haflty number Ilf any)
11649481SC047001
Charfty'• prfnclpal addrns¥
6 Kendal
Puffle&t-On-Thames
Essex
Posteode
RM19 1LJ
Nam￿ of thg charlty tru•tws who manAgtr the charfty
Trustee nam•
Offic• Ilf any)
D#ts¥ acted Sf notforwhol•
y6ar
Name of person lor botyl
•ntItl￿ ts appo5nt tru8ts0
ifan
Rev Fi¢zge¥ald
Odonkor
Dr John Oeansey
Mr$ Sandra Yank80n-
Kusah
Rev F•lix Katahena
10
12
13
14
15
16
17
18
20
Nam•• ot th& trust￿ for the chadty, If any, {fr*r example, •ny cu¥todl¥n trust￿8)
N•me
Oatss a¢t•d if not forwhole trar
TAR
Marth 2012

Names and addre88e8 af advis•r• Ioptlonal Infr*rniatlonl
g of advisor
Name
Addre68
Nam• of Ch1￿ executlve or nam￿ of Senior staff M•m￿r& (Optional Inforniatbonl
Section B
ovornaiiLe arid illana
Do•¢rlptlon of th• charlty'l trusts
Type ol goveming document
Constitution
How the charity 1$ constituted
Chariloblg IncxNporated Organisation {CIOI- FouTrJation
Trustee selaction method6
le.g., appointed by è5ert@.d liy)
Appointe(I by Selecl Committee of Postoral Board
Addltlonal gov•man¢è i•¥u￿ Ioptlonal Infomla￿onl
STRUCTURE. GOVERNANCE AND MANAGEMENT
You may ¢hoo•? to indude additional
infomiation, Who￿ rel9118nt. about..
Gov•mlng d￿Ument
Pol￿e$ and proeedui88 adopted kjr
the induction and training of twustees..
the charity's oiganisalional structure
and any wider netr￿rk with whieh the
charty works.,
r•l8tionship with any relatad parties..
truste*s' con5tderation of majot risks
and the system and pr¢)¢edure8 to
manage them.
The tharity is controlled by its gOV8ming d(Kument. a constitubon and 18 a Charitablè
Incorporated Organisation. Thè trustees have adopted the provk8ton8 of the Charities
Statement of Reo)mmended Pract￿ IFRS102 SORP)
R•eruitmgnt and appolntment of n•w trust8•8:
The d)8rity has a written policy in respect of iecruitment and appointment voluntsry and
non-volunlary workers including tDJStees. New trustees are selecled based on
recommènd8lton$ by the Pastoral Board. They will prove their contribution 8nd Skills to the
gov$mance of Ihe charity. They ale provided with copias oftha Charty Commission'8
guidanc* to twslees and an introduction to tha acts"vities of th* eharity. The ojrrent board of
tru¥lee$ 18 made up of committed 8nd golfflèss 8nd hardworkmg indiwdual8.
New Tru8to9'.
No new trustee was appointed in the COUT8e of the year.
Brnnches:
Thi8 charity has a brand) in Glasgow., registered with the Office ol the ScDttish Charity
Regulator with the same objediv85 and aim8. The tharity c4)mmission England and Wal8¥
i¥ the Lead regulator. Howevèr, the charity is obliged to submit the following to th8 Office of
trie So)ttish Chanty Regulator.. - Inforrn81ion Retum for Cross.Border Charities- TnJstèès
Annu81 Rotum- Annual UK Finanaal st8tement$ The trustee3 (x)nfimi Ihat they have had
duè regard to the guidance ISSU￿ by the th8rity ￿MMISsion on public benefft before
deading what aclFViti85 the charity should undertake.
Refgrence and Admlnlstratlon:
Registe￿d Charity number 1164948- England & W8les
Registered Charity number SC047001- Scotland
Prinapal 8ddiess.' 6 K8nd81, Purfiee¢-On-Thames, Essex. RM19 1 LJ
Trustees.. Rev Fittgefald Odonkor, Rev Felix Katshena Mrs Sandra Yankson. Dr John
Ocansey
TAR
Marth 2012

Sectioii C
Ob-ectives 211(J activitie.5
Tho objèets of thg Church ar• for thè b0n?fit of the Publlc:
The obj'ectivès of the charity are to advance the Christian faith In ACCOf<lant
th the slatemenl of ￿ll￿ts in the Unrted Kingdom and in such other parts of the
world as the tharity may from time-to-time think fil ar￿ such other purposes
which a￿ exdusively charitable according lo the law of England and Wales and
relate to the ¢haritsble WO￿ of the tharity.
To advance the chri8ts.an faith in such ways an¢J in such parts of the United
Kingdom or Ihe worfd as the Tru8lee8 from time to time may think fit.
To relieve sid(ness and finandal hardship and to promote and preseTve good
health by the provision of funth, 9ood8, or services of any klnd, induding
through the provision of counselling and support in such parts of the United
Kingdom or the world as the Trustees from time to time may think fil.
Summ•ry of the objects of th•
charlty s•t out In Its gov•mlng
document
To advance education in such ways and in such parts ofthe United Kingdom or
the wortd as the Trustees from tirne to ts'rne may think frt.
Summary of main Actlvltlo
The Charity provides servi￿$ on SLsndays land othef days} to •nable a safe
p181x for worship. celebration, fellowship, and learning.
Enable meetlngs for prayèr and fellowship, to combat isolation and loneliness.
To enhance the lives of families and offer sUPPOrt and gutd8nce in helwng to
bulld a friendly and well-inlegfated soc#ety.
Summary olthe maln actMtI••
undgrtaken for tho publlc benefit In
relation to the8e oble¢ts linclude
withln th18 8tctlon the statutory
declarntion that twstees have had
regard to t￿ guldance 18$ued by tho
Charfty Commia•i¢)n on publ1¢
be￿fit}
Provide a safe ptace and offer support to help transfomi lfvos of thostr who
attend.
Promote vi$il8tion of ho8pice8 and sponsorship of tr8ining for T9￿me[S to work.
Provide Counselling and leadership training.
Provide support lor after %h(KJl dub in the community.
The celebration of public worship, the leaching of the Chrisban falth. mlsslon,
and evangelism.
Pastoral work, induding vi81ting the sick And b8r8av•d. the provision of faaliti*s
with a Chri8118n ethos for the local communty, indvd¢ng Ibut not reSts￿led tol
thè alderfy, the yo¢Jng and other groups with special needs.
The support ofother charities in thè UK and oveT8eas.
Addltlaml d•tall• olobJeetiv•# and actJvltl•8 (Optional inforniatlonl
You may choo•• to indude further
statements. ¥thère relevant, about:
polw on grantmaking.,
policy programme related
inveslm¥nl',
conblbulion made by ￿lunteers.
TAR
March 2012

Seclioii D
Achieveineiil% r1nd perfoiiridnc.e
Summ•ry of th• m•in achl•vements
of the chartty durfng th• year
ACHIEVEMENT AND PERFORMANCE
Charltabl• actlvlties Reachlng out to t￿ ¢0rnmuniti￿.
Harvest Chapel International.UK is committed to thtr development arKI well-￿Ing of ils
Members as well as its o)mmunitsa$ through its programmes ofevenls which made
tremendou8 impact in Ihe communiti'es. Despite the impact ofthe pandem[¢ Ihe charty
managed to ￿hleve all of its obj￿1¥&$.
Inveslm•nt ￿lIo￿nanc•
The Chaiity despitg the d￿Cuttle$ presented in the year rnanaged to keep all mortgages
up to date.
In the course ofthe year the tharty rniss¥d an cpportunty to purthase a pem￿nent
pl8cR for the London branch fjutr lo inability to rTh)bilise enough ￿Tr￿s.
Intsmal and external to¢tor•
Factorn r•l•vant to achièving obl￿tI¥#¥.
Voluntary contributions have increased but due to mor8 nethyy people to deal with and
high energy prir*s expenditure a180 went high. Currently more than 70 percent of
cont¥ibutions are online, 8rKI this has beèn v8ry helpful
Plans far th? Futur•
The Charity is working towards acquiring mor6 properties from which th¢ communty can
be bettèr $gTved.
TAR
March 2012

Section E
Financial review
Bri•f ¥tat•m•nt oftho ¢harlty'8
poll¢y on rnsèrve•
FINANCIAL REVIEW Res&r¥g¥ polky
Tho Charfty'8 fingncial po•ition:
Th• Charity is working trw8rds achlevlng a ￿se￿I cover years, opgrating ￿Sts.
The Charity is also working tovrards acqulrlng more properti&8 from which the ccmmunity
Can be better sèrved.
The Charity's financial position.. This is now bging metthlousty buitt cartrfvlly keeplng
costs to th8 minimum, without Cornpfomising the qualty of servi￿8 ￿ndered at
approximately the same level of inctsming fesouri*8 generated.
Prin(ip81 funding sources. The charity's prinupal fijnding is through m8mbtrrs' voluntary
eonlribu*'ons and donations.
Cro$8 Board•r Activlty..
The cross-border activity refers only to the branch in Seotland with estimated 12.5% of
the whole activities of the H8NesI Chapel Int8mational-UK.
Risk Managemont:
The trustees have a d4Jty to identify and r6vi*w the risks to vthich the charity L% g¥pwd
and lo ensure appropriate controls are in plac& to prov¢de reasonable assuran&• against
fraud and error.
Tha twstees confirrn that consider81ions have boen given to the major ri8ks to which the
charity is exposed arKI that systems have been d85igned and establishgd to mitigate
th08e risks.
Detsil• of any lund• matsrlally In
deficlt
FUrt￿r ftnancl•l rg¥lew d•tsil¥ IOptlon#l inforniatlonl
Flnancial Revl•w=
You may ehoow to include addltion81
infomation, where ￿levant gbout..
th8 charity's ptin(?pal sources of
funds (including any fundraisingl.,
how expenditure has SUPkY)rtÉd the
key objectives of the ch8nty',
irwestment poliGy and tsbjectives
including any elhtcal invoslment
policy adopied.
The total incoming resources has increased lo £486,944 in 2023 as compared lo
£234,444 in 2022 duè to receipt of Gift Aid from HMRC
The total resources expended has inueased to £194,270 in 2023 as compared to
£187.849 in 2022.
The net surplus increased to £194,270 in 2023 as ¢ompar&J to £46.595 in 2022.
Total reserves for the ye81 under reviw increased to £619,108 in 2023 as compgred to
£424.838 in 2022.
The Charity's thnancial p0S￿on.. This is now being mèticulousty buitt eareknlty ke0￿n9
costs lo the minirnum, wrthosrt Compromi￿n9 the quality of services rendered at
approximately tha same level of incorning resources generalÈd.
Prinripal funding sources. The charitys prin￿paI functhng continues to bè membern.
voluntary eonlributions and donations.
CROSS BORDER ACTIVITY The cro&s-bordèr 8ctNity relers only lo the branch in
tland with estim8t•d 12.5% of the whole activiti8$ of the Harv8st Chapel Intamational-
UK.
TAR
Mareh 2012

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CHARITY COMMISSION
FOR ENGLAND ANO WALES
Independent examiner's report on the
accounts
Section A
Independent Examiner's Report
Report to the trusteegl
Mom￿r8 of
Harvest Chapel International - UK
On accounts for the year
ended
Charity no
Ilf any)
11649481SC047001
31 December 2023
Sot out on pages
I report to the trustees on my examination of the accounts of the above
charity ('the Trust.) for the year ended 31112 12023
Re8pongiblllti•s and
basls of report
As the charity's trustees, you are responsible for the preparation of the
accounts in accordance with the requirements of the Charities Act 2011
("the Act").
I report in respect of my examination of the Trust's accourrts Carried out
under seotion 145 of the 2011 Act and in carrying out my examination, I
have followed all the applicable Directions given by the Charity Commission
under section 145(51(b) of the Act.
Independent tThe charity's gross income exceeded £250,000 and l am qualified to
examiner's statement undertake the examination by being a qualified member of ACCA.
I have cornpleted my exarnination. I confim that no material matters have
come to my attention in connection with the examination (other than thal
disclosed below ") which gives me cause to believe that in, any material
respect..
the accounting records were not kept in accordance with section 130
of the Charities Act,. or
the accounts did not accord with the accounting records., or
the accounts did not comply with the applicable requirements
concerning the fom and content of accounts Set out in the Charities
(Accounts and Reports) Regulations 2008 olher than any requirement
that the accounts give a 'true and fair. view which is not a matter
considered as part of an independent examination.
I have no Goncems and have come across no other matters in connection
with the examination to which attention should be drawn in this report in
order to enable a proper understanding of the accounts to be reached.
Please delete the words in the brackets il they do not apply.
Signed:
Date:
0110712024
Name:
Johnson Akpebu
Relevant professional
qualification(s} or body
(if any):
F8llow- Association of Chartered Certified Accountant - FCCA
IER
Oct 2018

Addro8S:
127 Sewell Road
London
SE2 9DH
Section B
Disclosure
Only complete If the examiner needs to highlight material matters of conv￿rn
{see CC32, Independent examination of charity accounts.. directions and
guidance for examiners).
Give here brief detai18 of
any items that the
examinerwishes to
disclose.
IER
Oct 2018

Haryesl Chapel Inlem8tional - UK
Chari
Com
No
an
No
11849481SC047001
CEOOS919
riod
Annual accounts for the
Pw*)d end
date
Pe￿d st￿ datt
0110112023
3111212023
Section A Statement of financial activities (including summary income
and expenditure account)
Unr••trlct•d Incom•
, fund•
fund•
Endowm•nt
fund8
Prlor year
funds
RK¢xnm•ndod c•togor108 by actlvlty
Total lund8
Incomo {Nots 3
Incom• and 0ndowM￿ ITOM:
F01
F02
F03
F04
F05
234.444
S02
Other Ir•dhvJ ¥¢Aivffj
Invesl¥Mnls
SQ3
s(
Total
Ex￿ndItUre (Nots$ 6
Expondltur• on..
$07
234.444
41,606
48,333
61,288
36,622
187,849
Chant8t48 ac*Mtie8
89,580
53,986
60.081
292 674
89.580
53.986
60,081
292 674
Separate maten818N4)wse ttam
S10
Total
$12
Net Incomellexp•ndlture) ts￿10 tsx for
the roportlng perlod
194,270
194,270
46,595
Tax Payb
814
Net incomel(expendlture) after tax
beforo Investment gaIn￿(lO$Se$l
Net gair￿l￿o￿•)
$15
194,270
46,595
S16
Not Incomol{•xpendlture)
Extraordlnary items
Transfern between funds
Other recognised gaInsl(lo￿*).
517
S18
194,270
194,270
S19
Gairn8 aTrl h)ws on revaluaiion offwd es8el8 for I
chanty's rthi u8•
Olh8r galn8llloB8e81
Net movement In fiinds
, S20
S22
Reconclllatlon of
funds..
Total fvThJ* trwht fonv4rd
S23
424.838
619 108
424 838
819 108
378.243
Total funds carrled fotward
624

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Nsts 1 B••knofp.My•r•
1.1 olnttwnUn9
*￿11111￿K￿KrtJRWku1 IralwvJlFRS l0211￿a•d￿lfj￿ty2014
. 2011.
cMhiw*42011
1.2 Golng c¢n¢•m
¥A
WA
l!Chiry• olac¢o¥rfffig wlky
i.
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WA
WA
lAch•￿9•￿ tr*•tGauhttrtg Mflm•t••
tO￿tt￿nI1￿ oilifjibty&h￿y￿￿¥>￿￿￿L•[•P￿ryp￿1￿j￿3.45 FPS1￿ SORP)
Y••"
WA
(IJJ
No mall￿1 rtor
arorrorhw•b•qv
347 FR$1￿ SO
WA
¢IQlw#•ebpknpw*odpY•4￿r•d1￿￿•vtC41i1•11. th•
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0110712Q4

Note 2
Gountsn9 policieo
2.2 INCOAIE
-i*
WthoFR8 1tr2SORPttFRS 102
IOkl&12FRSIOZSORPI
Iyob. l NO"
pthtsTh•K•ttA*t•dc￿l￿￿X￿￿•M1tl3 16FR8102 SORPk
1L1yr￿5￿Vlr￿ SoFh
rn¢wm•¢n
Yes.
No.
Y•5"
w4r
L*Uiwrow r•wt
4Ye4'
14dW#
A.
Nla.
Nla.
4W4n0¢JMO*¥J•
p¥a'
NO"
¢wm•
Oli*￿￿01￿tls.iotos 12FRS1028LNIPl¥￿￿ty
WX¥nkiThU*&FA.
CC17 FRS102 BQRP

2.3 EXPENDITURE AND LIABILITIES
No. I
Ye6.
Nl
,Y•l"
NQ.
ND.
107 FRSIQ2 S¢RP Il￿P￿p￿•W￿I 11.17
to11.19. FR$1￿ SORP
IYM.
2.4 ASSETS
uwby¢h•my
Ye6.
YQS"
N¢.
rIt•S4r￿ 16
,Yw4'
No.
l1trw4rtv￿a1cQYl
Y4•.
Nlg.
Y¢6.
Y••.
POLKIE8 AD>TED
ADDITIOIIAL TOOR
IIFFeRENT FRLXI
THOSE APOVE
0110712Q24
CC17 FRS 102 SC*P

Sectioii C
r4otcs to the *¢counts
Not• 3
In¢om•
An•WI8 of In¢¢m•
n1•*1￿1* In¢ornv EffldTh*Th•nt
Trd•
luffldl Talil Pk1tyy
Oonalon8 and ffts
Gfft Aid
aoes
General grants provKled by gov8mrn8nVothbr
charit￿
Membership sut)Kriplion8 and sponsotships
3r8 in substsncè donats(
263.578
223.366
and 1og•¢l••'.
Don￿￿ oods. faollras and
other
Totsl
486.944
¢h•rlt•bl•
4ctlvltlo0:
charfIab￿ adhth*s
Other
Totsl
Othèr tradlng
actlvlll••.'
Total
IncoTh Irom
Inter8st income
vkjend inu)me
Rentkl *asin
Other
income
Total
8•paNt
m*t•rfai
of Incofflo
Total
Converdion of erK*owMnl fund8 into
Galn on diÉpD881 of a lan01b￿ ts8d asttet hBkl
for char
6Thnuse
Ga4n on dispo￿1 of 8 programme rethd
investment
Royartfds from tho oflntsHectual
Olher
TOLTI
TOTAL INCOME
234
Other Inl¢nnaUon.'
I lrf¢m• lthth• prlDrywwa• unré¥irl¢￿•Ie4￿tItsr.
Ipleue pro¥hl0 *mDUllt•l
Wher•iny•r￿r￿IrnQn1fvnd l• ¢on¥•rtqd Into Incom•lnth•
reporfkng p•rlod, p*•91¥•th• rHwn lorth• ￿n¥•wel•n.
vhor•4ny￿￿frt*￿WIfvrnd liton￿rtaII irfo Incomolhth•
lorF4rfod, p￿￿*)1¥0￿9 rwwn trJrih•¢onwrnhi
Wmhln fv In¢om• •bowth• loll(**lw •rd
m•tOrt•l.. IW*l•d*clcq•lh• nAthr*, ￿￿ntand0ThY
r•moyntsi
Thl•year. Wh•r••um ty¥JlMIty d•tyJrnlnatAd Inknlgn
currency bow Ith I￿Orn•, •xplaln th• b••hon
whi¢h th¢Mo sum¥ have beoTr tr￿￿￿tsd Inio*iortlng Iortt
curr•ncy In whkh Ih•4cwJnts upl.
Lastyear. Wh¢rn •um* orl9lM•lty (l*￿￿[nat•d In lor•lgn
rrency hav• bg•n Ineludld lth I￿¢0M*, oxpl•ln th• b4•ho
whlrhtho•o lumi hm Into •t•rflrbg lorlh•
curTonGy In whlch Ih•v¢¢)un¢s •rB drn¥¥n upl.
CC178 IE¥c41
0110712024

Section C
Notes to the accounts
Icontl
Notè 6
Expèndlturo
Thh year
T RMtrfct8d
Uthmtrfctsd l incom•
lund$
lund¥
E•tr4￿men¢..
fund
., Totsl fundB
Unr•&trlct•d Incom•
lut)ds
Endr*wrn•nt
fund4
Analysi•
Ex
ndltuffj on rai•in
fund•:
Ineutrod seeking donatr'ons
Total fund•
Total vxpendltur• on r•l•lng funds
89.027
89.027
41,ec
41,806
Expèndlture on charltsbb 4ctlvbtl&8'.
Charitab1t activitss
Total èxpendllure on ch•ritsble •ctlvltl•8
Sè
rat• materfol Item of •x
gn•e
Sgpar8te rnaterial Itam ol expense
Total
81.288
61,288
Other
De
ciatSon
Loan Interest
Accountan
21.387
36.8(
Jo
600
500
Total other expondlture
TOTAL EXPENDITURE
80,081
292.674
,081
292.674
187,849
187,849
ot￿r Inforniatlon:
Analys1• of gxpendlturn on charltabl• 4¢llvltle8
Thls
La•t
ear
Actlvltl•
undortak•n
d1rnG￿y
Grant
funding of
actlvltl•
A¢t4vlty or progTrmm•
Support
Total th18
A¢W¥l￿•*
und•rtak•n
dlroctty
Grant
fundlng of
actlvltles
Support
Cosls
Total last
Aetiv
Activi
Other
Total
Th1$ y•*r.' Wher8 $um¥ orlglnolly denomln•l•d In for•lgn curr0￿y hav•
boon Included in oxpendlture, oxp121n tho bo818 on whlGh th0￿ 8um•
have been translated Into $torflng lor th• ¢urrency In whl¢h th•
86¢ounts arn dr•wn upl.
L86tyoar.' Wh•ro 8IWn8 0rt4ln•lly d•nomln•t•d In fornlgn currency ha¥
been included In •x￿ndIt￿￿. •xplaln the ba•ls on wthlch tho8• •um¥
havo b88n tr￿n￿ated Intts Sterllng lor the curv•ncy In whlch th•
accounts arn dr•wn upl.
CC17a IExcoJl
0110712024

Section C
Notes to the accounts
Note 10
D•L9111 of certain typ￿ of oxpondlturo
Note 10.1 F••s for •x*mlnatlon of th• accounts
Th1¥ year
Lait year
Ind•p•nd•nt •xamIn•￿9
Assurance 8ervlce8 Oth•rthan In￿Pendent •xaMI￿￿On
Tax advl80ry fe••
Other le••
for g¥ample: flnan¢lal advlce. consultanc
500
, •¢¢ountan¢
Bervlc•81 pald to

Nrt& 14
T¥nglbl•ftxgd
1&1 cO•t¢rv￿ulllO￿
FMtho* knnda
Aith•bg9tytyi
Add￿0
wvJofihoy•
iQ475
•27.47
SLwR8ISPrawyI
RB
SLOrRB
$LorRO
SLLYR8
At
81.103
14.5(0
,274
12,774
12&377
11,3N￿
vduo4tth8
yow
1U 1fj￿rrn￿t
Thkny•ar
tC174lE

Section C
Notes to the accounts
{cont)
Nots 20
Creditor8 and accruals
Please complete thls note if the charity has any creditors or accruals.
20.1 Analysis of crgditors
Amounts falling due
within on8 yèar
Amounts falllng due after
more than one year
Th18 year
Last year
Thls year
Last year
Accruals for grants payablo
Bank loans and overdrafts
48,483
40,980
415,077
435,669
Trade credltors
Payments recelved on account for contracts
or porfomiance-related grant8
Accruals and deferred income
Taxation and Soclal securlty
Othor creditors
500
500
Total
48,983
41.480
415.077
435,669
20.2 Deferred income
Please complete this note If tho charlty has deferred
This year
Last year
Please explain tho reasons why Income Is
deferred.
Movement in deferred income account
This year
Last year
Balance at the start of the reporting perlod
Amounts added in current period
Amounts released to income from previous pèriods
Balance at the end of the rèporting perlod
CC17a (Excel)
0110712024

Section C
Notes to the accounts
Noto 24 Cash at bank and in hand
This year
Last year
investments (less than 3
Short term dep08its
Cash at bank and on hand
Other
Total
384,070
193.939
384,070
193,939