REGISTERED COMPANYNUMBER: I{9498 (F*sMI Wak&) REG1STEREDCHARy NUMBEIL. 1174626 f the Ye4rE]thd30June2024
Meistad EdeD Ctrmllcb forthe Year 30 JUD¢ 2024 NotestDtheFrÈao¢1 Stsknients 7 to 12 13 kn 14
forthe ¥ 30JwY2024 the financial staknnents of the charity for th¢ y¢2r ¢r#k4J 30 Ju&e 2024. The trustcts have adopted th¢ pmvisi¢)ns of Acix)witing 8nd Rep)rting by CIltieS.. StstettTht of Recommended Pradice 8pplir4ble to clwiiies Prepari their coullts ill accordallce with the FiDancRal Reptillg Standard 44)lic8ble ill the UK 4t¥J Repub]ic of IrelatKI (FRS 102) (eff¢diYe l jlary20I9). Obje¢tlves #d Ait Objectiv¢s andain The other objects are l. Forthe lttefitof 3. We were able to pwvid¢ wdfare w forth(bse innced iThour lo cooimullity alld t(x)kpart in som¢ commuDity ¢VMts iii DiclIOn with otherchatiti&8. 5. Celebrated Foth¢rf5 Day ad Mothevs Day by h05ting eyents for the lo1 collutLUDity wÈth f1 and pr¢ts for The chlty Fnefits the publi¢ byptDvÈdtllg smicts such &8 famili4 sknMknL% bcreaved pernJn& kne in fjDaucial difficultie4 prayeE and WOM rneeliDgsaDd events fotevayolle inthe community. We aEso fimd the provision of fotyj itemsre8ularly to l(Kai rdbat fordi5tribution&s w¢U as OurclstiIw which are given individuals. Thecknityytt(qd8n (kfiCi¢of£8.486(wIS. £7.487in2023). ivttieThese r¢VeS aTe design coveramTnimurn of £25,IKKI.
Meis3 rtoftheTrustees f the YurEnded 30Jvne2024 FUTURE PW4S spirinl develo The (hairy is controlled by its go8 a deryj of trus4 aThJ wnstifts a ]itt)iknl company. limit1 by &8 defill1 by the Cow1 Act 2(. The directors of the company are also Charity Trustres for the puw of chgnty law. Under th¢ rwuiremelts of the MeMOu and Article of Asso¢lau the TrleareekctCd to serve undera fiKed temiand CaD Te-elted. The cFJaYiry is sed by over 10 v0lwLt work on avuage 4 hours evtuy week. Ifminimumwage is applied to thi5 the cash value tothe clwrity of the volunteer force ill a full year could be over £23,(KKI. Withoutthe SUPFW)rt of these volutKer theebarity w(Id not hav¢ been abl¢ tomeetitsaims al jei¥¢5 ¢ff4Xtively. Indwdlon aDdtraiDing of new The In]stees are famili8r with the workings of th¢ thurth s1 the dwity drnvrt from I84thdIng church m¢mb¢ES and 06619498 (England and Wales) 1174626 Twiway Road SE3 9F(
Ojune 2024 I D Kouame NGFA PMO Zig L Djadi Mtlssa KOU Didier. Tn
KICC PTaiseT2bernacle I wrtl0CharItyInees on rny ¢xamirAtionofthe accoulltsofthe Cowy forth¢ y¢ar¢•ded 30 June 2024. As the clwitys trwt¢¢s of the CompaDy (atyJ¥kn its dI[kn5 of compally law) you are res1b for the prepstIOn ofthe aLxouDtsinXdSIth the r4lli[ts0f the Comp&tiiesAct2(M16 Cthe 2006 Arf). H4ving Satisfied mys¢lf that th¢ of the Collwany are requircd to b¢ audited Part 16 of tht 2(KJ6 A out under Section 145 of the ClwJ"ties Act 2011 Cthe 2011 Acr). lo canymg my eAamiDthon I have follo{ the Directions Ven by the COMMI Secti(rt1 14515) (b) ofthe 2011 ACL giving ll5¢ to believe: the aeLounts <k) not ¢ornpty with the ¢0118 requirem of Stttion 396 olthe 2(#)6 Act oth¢r than aoy rwirelnent thatthe accounts give a tsue and fair View wbich is nota Collsidered as part of an IJJdepcDd¢ the accounts have Dot t*¢D P)j in the at¥J prin¢iplw of the Ststent of RecOm[nded P11£% for aLYounting byrbatiti&s (appliL¥bie to rbari¢ie5 pryating their accounts inaccorkn with theFtnaEThI Rwting St8ndml8pplicable in IheUKandRyblic ofIte18ud (FRS 102)). Joyce
30.6.24 30.6.23 UJw0*i Totsl 71.057 74J56 4,011 71,057 78J67 LXPENDMJRE OTr4 Clwitabk Acttviti 59,820 20J21 59,820 21 5.713 5,713 85.854 85,854 ErComE (7.487) (7,487) Totsifi]nds broughLfoTh¥ard 93.833 93J46
30 jne 2024 30.6.24 30.6.23 Ta1¢ &s%ts 5J70 2.7 75.750 89,320 75.750 89.320 CREDITORS 13250) {5,734} 72J(X) 83,586 77.870 77,870 86,346 77.870 TOTAL FUNDS 77.870 86,346 The charithble company is entitia to fn)Jn audit und¢r Section 477 of the Cott4) A( for the year £ded 30 June 2024. 30 June 2024 in withslI0n 476 of the ComleS 21MJ6. (a) eD5urillg that the cbaritabk keqJ% that comply svith SeCti(s 386 afyj 387 of th¢ Compatties Act 2(MJ6 attd Prepari financial swments wbich 8tYc a true and fair vi¢w of the state of affairs of th¢ ¢lwitable company the end of each fmancial year and of its surp1 or deficit foT ¢a¢h financial ycar in accordance with the irements of lOnS 394 and 395 aTMi whi¢h othmvise eomply with the rg4UiT¢ments of the Companies Ad (b) subject to the sn]all ¢omp¥nics Te8llt signed on its behalf by: Mr Issa Kowlle Dler. True
tothe Fi1cial S forth¢ YearEllded 30JuDe2024 The fillallci sratemcthts of the charitsble cornpany. which is a publi¢ b¢tsefit cutity UEbJer FRS 102. have been prep4r•l in ¥c4rdance with the Clwilies SORP (FRS 102)'Accounting and Reporting by Charities: St8t¢raeJit of R0mended Practice appliLable to cbariues prwing their accoullts in accoTthce the Financial Rwtitig Ststsjard applicableinthe UK and liepublic of Ire18nd (FRS 102) (¢ffective l January 2019),, Finla1 RewrDng st1 102 Tr Fina181 Retthtijg StsDdard applTcable in the UK and R¢publi¢ of Ir¢land' and the is probable that th¢ income will be re¢eiv&i and the8moulli catt be measur&1 reliabty. Liabiltlies rte0gnis exFaitUTe &8 &$ th4y¢ is a legal or co1ve oblitiOn coThrnittiDg the charity to that exp¢DdittJr4 ti is pYcl)ab]e that a trarjsfer of u7)Domic beefits will be ID 5cttl¢ment at¥J the aollt of the obliwdtion can be D}ea8UTl reliably. Exp&]r ts aOll for on an accruals basis and has attributed to parti¢uiar headings ttrw have beett aikKated to activÉti¢s on a basis 15]st¢llt with the use of Depre¢iatioD is pmvided at the following aonual rats5 tOWEi offea¢b awl 0¥ its estin]otsJ ¥JseffiJl 25Yo on L¥J8t 25% on c¢ T110 Rentals paid under op¢tating leas gEe chty to Sratcmrntof Fil]1 Activiti¢s a $ight litie b&ig over the PErtod of th¢ lea*. The clwitable company operates adefined contribution p$10 xheme. cth1tr1b1Os payable tothe charythble cA)nWatyspe8ioll 5chctne arecbargal totbe StstementofFijwlalA¢t{yities itithewiodto which they relate.
M¢ist¥d EdeD (&urcb for the Endlxl 30 June 2024 30.624 30.6.23 30.624 30.6.23 1.750 2285 763 2,289 30 June 2023. 30.623 COMPARATIVFS THE STA7EMENfoFTrINANCJALAllv&s and offaings 71.057 Totsl 71,057 EXPENDmriiE ON auritsble Adivities 53J19 26224 79543 NET DEFICIT (8.486)
Mei5tsd E0 Cburcb for the Ye•r Ended 30 June 2024 RECONCILIAT1024 OF Ful48 86J46 (8,486) 77F7 Pjaot & At i Juty2023 10,659 4.400 At30 Jutte 2024 13.(M)5 1054 15.059 DEPRECIATION At l July2023 7J85 1,405 514 385 1.790 At30June 2024 9ffj89 NKrKK)KVALUE At30June 2024 4215 ,155 5J70 At30Juot 2023 1220 1540 2.760
Notes to theFin2nc foT the Year Ended 30 224 CREDIIDB&. AMOUNTS FAiIJNC DUE WITHIN ONE YEAR 30.624 30.6.23 E.750 1s(M) 2J83 3J50 3250 Nel At 1.723 30.624 (&486) TOTALFUNThS (8.486) 77.8) GelleThl fund 71.057 (79543) (8.480 71,057 (79543) (8,486) Pa8e 10
D&ail&JStal¢men forthe Year fFinancial ActivttK5 30 June 2024 30.6.24 30.6.23 71.057 74.356 4,011 Giftaid 71.057 78,367 Investm¢nt income 71.057 78,367 21.624 278 lJ50 7551 380 8.754 10.107 2285 26.617 416 1.479 9,588 137 Sundries MI"0and evaDgelisi 10.176 2285 2.077 Hire & k4sillg of nJ)kir v¢hicle St(we 53 J19 59,820 1.405 385 250 514 1.790 764 S•pport Wages Peusions 1&428 437 634 176 271 17.4(VJ 316 671 310 Profr55ioDal fr<s 37 1,171 20
'l¢dStatementof Fintirti Athiviti&4 O June 2024 30.6.24 30.623 Tithe to AOrCAl 3298 1.650 1.650 3599 4949 79535 85W4 Net d¢fidt (8.486) (7.487) Pa8e 12