KATE WORLD WIDE EVANGELISTIC
MINISTRIES
Trusts, Report and Financial Statement
For the year ended 31st December 2022

KITE WORLD WIDE EVIlNGELISTtC MINISTRIES
Information
Charity Number
1171661
Re￿stered Offlce
FLAT 9, ASHBOURNE T ROAD,
LONDON
N9 8RX
Trustees
Justln Pinytek Etwalu O'Kello
Lorna CarrAscD
Kate Poku-Awuah
Bankers
Natwe8t Bank pl¢

KATE WORLD WIDE EVANGELISTIC MINISTRIES
Accounlant5' Report on the Unaudited Account5 to KATE WORLD WIDE EVANGELISTIC
MINISTRIES
As descTibed on page 4 you have approved the accounts for the year ended 3 1st December 2022. set out on pages 2 to 8.
In accordancc with your instructions we have compiled these unaudited accounts from th¢ ac¢ounling r¢¢ord8,
informaliott and explanaiions supplied to us.
12th June 2023

KATE WORLD WIDE EVANGELISTIC MINISTIUES
Contents
Page
Accountants, Report
Trn$tee' Report
Income & Expenditure Statement
B218Dce Sheet
Notes to the Account$
7-12

KATE WORLD WIDE EVANGELISTIC MINISTRIES
Th¢ Trustees present iheir annual report together with financial statements of KATE WORLD WIDE EVANGELISTIC
MfNIsTRIES for the year ended 31" December 2022. The Trustee8 confirn) that ihe annual re[￿ and financial
statements of the church comply wilh the ¢urrent statutory requirements, the requirements of the church's governing
document and the piovisions of the Statement of Recommended Practise (SORP)"Accounting and Reporting by
Charities. issu¢d in 2015.
STRUCTURE, GOVERNANCE AND MANAGEMENT
. CONSTITUTION
The church is Consti￿ted under Trust deed dated 18 January 2017 and is a registered chariry with number 1171661.
b. METHOD OF APPOINTMENT OR ELECTION OF TRUSTEES
Thc management of the church is the responsibility of the Trustees who are elected and COryOPted under the temis of ihe
trust deed.
¢. POLICIES ADOPTED FOR THE INDUCTION AND TRAINIIYG OV TRUSTEES
The induction process for any newly appointed member of the Trustees comprises an initial meeting with the Chair and
other Twstees, followed by a series of short meetings with the Minister in Charge ort the powers and responsibilities of
the Trustees.
. ORGANISATIONAL STRUCTURE AND DECISION MAKING
The church is organized so thai the Tn￿te¢S meet regularly lo manage its affairs. The day to day administration of ihe
¢huwh is manag¢d by thc Administrator.
c. RELATED PARTY RELATIONSHIPS
LITE WORLD WIDE EVANGELISTIC MINISTRIES operates throughout England and Wal¢s.
f. RISK fvL4NACEMENT
The Trustees have assessed th¢ major risks to which th¢ chur¢h is exposed. in particular th05c related to the opcrations
and financcs of the church and are satisfied that systems and procedures are in place to mitigate our exposure to the
major risks.

KATE WORLD WIDE EVANGELISTIC MINISTRIES
OBJECTIVES AND AcrtVlTIES
POLICIES AND OWECTIVES
To seek the advancement of Ihc Christian ￿lIgIon in accord8Dce witb the teachj'ngs and the doclTinc$ set out in the
sta*ment of faith contained in the schedule (2.2.2).
In addition to helping in the relief of poverty in all parts of the world, the Trustees must use the income and may use the
¢&pitsl of the ttust in promoting the objectives.
b. ACTIVITIES FOR ACHIEVING OBJECTTVES
The main a¢tivitie8 of the ttwt are as follow:
Sunday Scrvices
Online Week night Bible Studies.
Or¥anising religious and social meetings for the KWWEM memlxTS.
Raising Fund through memb¢rs- internally.
<. GRANT MAKING POLICIES
The church provides support lo members of ihe congregation (at the decision of the tswte¢s) who are in need through
the Emergency fund.
d. VOLUNTEERS
The chureh is grate￿1 for the unstinting effort5 of its volunteers who are involved in s¢rvi¢¢ provision, office work
administration. It is estimated that over 358 volunteer hours wcr¢ provided during 2022. If this is valued at £9.50 an
hour the volunteer effort amounts to over £3.401.
ACHIEVEMENTS AND PERFORMANCE
REVIEW OF ACTIVITIES
We havc had tremendous growth in th¢ physical and spiritual life of KWWEM during the year and in the advancement
of th¢ Christian Faith in occordance with the doctrines Set out in the Statement of Faith a contained in our Trust Deed.
b. INVESTMENT POLICY AND PERFORMANCE
The Trustees hav¢ dccidcd that at p￿S¢nI, funds should be ret&ined in Bank. kny change in such banking amg¢ments
should be agr¢¢d by ihe trustees. A8 far as possible, funds will be reiained in intcrc5t k8ring a¢¢ounts.

KATE WORLD WIDE EVANGELISTIC MINISTIUES
FINANCIAL REVIEW
RESERVES POLICY
At this level, the trustccs fcel thkt they would be able continuc th¢ current activities of the church in the event of a
significant drop in ￿ndIng.
PLANS FOR THE FUTURE
FUTURE DEVELOPMENTS
We are &eeking to hav¢ a property of our own that would enabl¢ us to Cary Out community-based projects that we are
unable to do now for the reason of restricted accommodation.
COMPARATIVES
There have been no comparatives included in these financial stAtement8 be¢ause in the opinion of ttvslees, no
Comparison Can be made which ¢ould prove beneficial.
This report approved by the Trustees on 12th June 2023 And signed on their behalf by..
Lorna Carrasco

KATE WORLD WIDE EVANCELISTIC MINISTRtLs
Statoment of Fln8ncl81 Actlvffitles
for the year ended Jlst December 2022
2022
Unrestrlettd Rtstrltted
Note Futsdi
Fundl
2021
Unreitrkted Restrlcted
FuDds
Funds
Total
Totll
INCOMING RESOURCES
Incoming Re¥ource$ from
genorlttd funds:
Voluntary Incom¢
9,495
9.495
10.409
10,409
Totll Ineomlng R¢wurce8
9,495
9,495
10,409
10.409
RESOURCES EXPENDED
Charitthle ActLVL(ie5
4279
4,279
4,141
4,141
Governance Colts
2.400
2,400
2,400
2,400
TotAI Reiourcei Expended
6,679
6.679
6,541
6,541
NET tNCOMTNGIIOUTGofNGI
RCSOURCES BEFORE OTHER
RECOGNISED GAtNSILOSSES
FUND BALANCES l Jan￿ry
Othrr Reserves
2,816
2.816
3,868
3,868
42,826
42,826
38.958
38.958
FUND BALANCES 31 De¢¢mber
45,642
45,642
42,826
42,826
The accouTLiin¥ policies and notes on pages 7 10 13 do no¢ form part ofthes¢ ￿cOunt$

KATE WORLD WIDE EVANGELISTIC MINISTRIES
Balanct sheet
as at 31$t December 2022
2022
2021
Notss
FAxed assets
Tangible Fixed Assets
3,051
Current #￿ets
Cash at bank and in hand
45.476
43.812
Current Llabllltles
Other Creditors
2,336
4.037
Net current A$8¢ts
43,140
39,775
Tot#l asstts lem current
Llabllltles
45,642
42,820
CapltAI account
General Unr¢5tricted Funds at Ol. January
Special Reserves
Net Incomin8 Unrestrjc￿d Funds for the year
Restricted Funds
42126
38,958
2,816
3,868
45,642
42,826
The notes on pages 9 to 13 forni part of these accounts
Approved by the trustee5 of the KITE WORLD WIDE EVAI¥GELISTIC MINISTRIES th18 day 12th June 2023.
Lorna CArrasco
Justln Plnytek Etwalu O'Kello
Trustee
Trustee
Dated.. 12th June 2023
Dated.- 12th June 2023

2. AccouiYfiNG POLICIES
2.1 BASIS OF PREPARATION OF FINANCIAL STATEMENTS
The finan¢ial statements have been prepared under historical cost convention, with th¢ ¢xc¢ption of
investments which are included at the market value 2nd in a¢rordan¢e with Financial Reporting
Standard for Small¢r Entitles (Effe¢live 2015). The financial statements have been prepared in
ccordance with the Statemetkt of Recommended Practice (SORPI,"Ac¢ounting and R¢portin8 by
ChaTities" publishcd in 2015 and applirablc accounting standards.
2.2 FUNDtNG ACCOUNTING
General fvnds are unrestricted fvnds which are available for use at the discrciion of the Trustees in
furtherttnce of the general objectives of the church and which have not been desi￿ated for other
purposes.
2J INCOMING RESOURCES
All incoming resources are included in the Statement of Financial Activities when the church is legally
entttled to the income and ihe amounl c8n be quantified with reasonable accuracy.
Income tax recoverable in rel&tion to investment income is recognized At the time the investment
income is receivable.
2.4 RESOURCES EXPENDED
All expenditure is accounted for an accn￿lS basis and has bc¢n included under expense categoTies that
egate all costs for allocation to activities. Where coyts Cannot be directly attributed io particular
activities. they have been allocated on a basis consistent with the use of the resources.
Support costs are thos¢ c08ts incuttcd directly in support of ¢xp¢ndiNrc on th¢ objects of the charity
and include project mana8¢ment Carried out at headquarters. Goveman¢¢ Costs ar¢ those incurred in
connection with Administrotion of the charity and compliance with constilulional and sta￿tOry
requirements.
Grants payable are charged in the year when the offer is made perfect except in Iho8e cases where the
offer is conditional, such grants being recognized as expenditure when the conditions attsching are
fulfilled. Grant5 offcrcd subject to condition8 which have not been me¢ a¢ the yearcnd rat¢ not¢d as a
¢ommitm¢nl. but not a¢¢n￿d as expenditure
2.5 TANGIBLE FIXED ASSETS AND DEPRECIATION
All asS¢t5 coyling more than £500 are capitalized.
Tangible fixed asscts are stated at cost less depreciation. Depreciation 18 provided at rates calculalcd io
write off the cost of fixed assets, less thcir estimated rcsidual value, over their cxpecled use￿1 lives on
the following basc5'
Chw¥li Ii)SUWll¥iil aiid Odi¥i E4uipiii¥iiis

KATE WORLD WIDE EVANGELISTIC MINISTRIES
NDtes ¢0 thE 4fCOilrtts
for tbe ye&r ended 31st December 2022
2.6 Voluntary Income
2022
Unreytri¢trd
Re8trlcted
Tot41
Church Offerings & Tithes
9,495
9,495
9,495
9,495

IL4TE WORLD WIDE EVANCELISTIC MINISTIUES
Notes lo the 4c¢ounts for the ye*r eDded 31$t Detember 2022
J. Total Resourees Expended
Bytypeof¢xpww& 10181 re5vurcu ¢xpendEd¢ornpriJv.
2022
c￿n￿ble
Exp¥ndiNre
Direct Cox
Colts of
Oowernanee
Gencrating
Tothi
Mwa8emenfCoi
rhre¢t
Suppoft Coy
2.4LK)
1.2
3,079
3.079
Totil
4.279
2,41KI
6ffj79
S¥pport
2022
Mi*w114neo
ExP¢ll￿$
TeltybDne
Computer&
¥¥ori¢s c￿¢$
oiricc Equipm¢nl
DcpreclLEion
Tot
ijs
723
549
J,•79
G•verninctC(qts
2•22
2.4fKI
00
m4n0N￿ni C￿
T•tsl
Dlrttl Cosii
Costs of
Charitable
activities
29
T￿07
iJ•o

KATE WORLD WIDE EVANGELISTIC MJNISTRJES
Notes to the aCLouNls for the year ended 31" Decvrnber 2022
4. Tgxatlon
KATE WORLD WIDE EVANGELISTIC MINISTRIES is k registrred charity and &pplies all its income for
charitable purposes. It thus clairns exemptions from UK tax.
S. Tanglble aysets
2022
ChuKh
Equipmentl
Furniture
Fining
Total
Cost
AB at l January
Additions
As ai 31, December
3,721
3.721
3,721
3.721
Act￿MulAted d¢preelAtlon
Ay at 1st Janu
Ch&rge for the year
As at 31, DeccmbEr
670
549
1319
670
549
1,219
et Book VAlue
As at 31 Dcecmbcr
2J02
2JD2
Dcpyeeiaiion li provided io ¥rrite off tho c051 ofassetsby equal annual injthllrnffli ovcrlhciresl1mi￿ uxful liv•s Is follows
Churth Jnilcumeffit & Other Equlpfflents- IBVA Rtdu¢in8 b*laA¢e
6. Creditors: amounts falling due within onc year
2022
2,336
2J36
Other Creditors
io