REGISTERED COMPANYNUMBER: I￿{9498 (F*sMI Wak&)
REG1STEREDCHAR￿y 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 CI￿ltieS.. StstettTht of Recommended Pradice 8pplir4ble to clwiiies Prepari￿ their
coullts ill accordallce with the FiDancRal Rep￿tillg Standard 44)lic8ble ill the UK 4t¥J Repub]ic of IrelatKI (FRS 102)
(eff¢diYe l j￿l￿ary20I9).
Obje¢tlves *#d Ait
Objectiv¢s andain
The other objects are
l. Forthe l*ttefitof
3. We were able to pwvid¢ wdfare w forth(bse innced iThour lo￿ cooimullity alld t(x)kpart in som¢ commuDity
¢VMts iii ￿Di￿￿clIOn with otherchatiti&8.
5. Celebrated Foth¢rf5 Day a￿d Mothevs Day by h05ting eyents for the lo￿1 collutLUDity wÈth f￿1 and pr¢￿ts for
The ch￿lty F*nefits 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 r￿dbat￿ fordi5tribution&s w¢U as Ourc￿lsti￿Iw which are given
individuals.
Thecknityytt(qd￿8n (kfiCi¢of£8.486(wI￿S. £7.487in2023).
ivttie*These r¢￿VeS aTe design￿ ￿ coveramTnimurn of £25,IKKI.

Meis￿3
rtoftheTrustees
f the YurEnded 30Jvne2024
FUTURE PW4S
spirin*l develo
The (hairy is controlled by its go￿8 a deryj of trus4 aThJ wnstifts a ]itt)iknl company. limit￿1 by
&8 defill￿1 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
MeMO￿u￿ and Article of Asso¢lau￿ the Tr￿le￿areekctCd to serve undera fiKed temiand CaD ￿Te-el￿ted.
The cFJaYiry is s￿￿ed 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
volutK*er theebarity w(￿Id not hav¢ been abl¢ tomeetitsaims al￿ ￿je￿i¥¢5 ¢ff4Xtively.
Indwdlon aDdtraiDing of new
The In]stees are famili8r with the workings of th¢ thurth s￿1 the dwity drnvrt from I￿84th￿dIng 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 wrtl0￿CharItyIn￿ees 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 res￿1b￿ for
the prep￿stIOn ofthe aLxouDtsinX￿dS￿￿Ith 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 ￿¢0￿￿11￿8 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 Ststen￿￿t of
RecOm[￿nded P￿11£% 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
￿Er￿ComE
(7.487)
(7,487)
Totsifi]nds broughLfoTh¥ard
93.833
93J46

30 j￿ne 2024
30.6.24
30.6.23
Ta￿1¢ &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 withs￿lI0n 476 of the Com￿leS 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 D￿ler. Tru*e

tothe Fi1￿cial 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 R￿0￿mended 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),, Fin￿la1
RewrDng st￿1￿ 102 Tr Fina￿181 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 co1￿￿ve obli￿tiOn coThrnittiDg the
charity to that exp¢DdittJr4 ti is pYcl)ab]e that a trarjsfer of u7)Domic be￿efits will be ID 5cttl¢ment at¥J
the a￿o￿llt of the obliwdtion can be D}ea8UT￿l reliably. Exp&￿]r￿￿ ts a￿Oll￿ 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¢
T￿110￿
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. cth1tr1b￿1O￿s payable tothe charythble
cA)nWatyspe￿8ioll 5chctne arecbargal totbe StstementofFijw￿lalA¢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 STA7EMENfoFTrINANCJALA￿llv￿&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 Ful4￿8
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
2￿24
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￿"0￿and 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 A￿OrC￿Al
3298
1.650
1.650
3599
4949
79535
85W4
Net d¢fidt
(8.486)
(7.487)
Pa8e 12