Registered Charity Number
1182108
Repori of the Trustees and
audited Flnancial Statements For The Year Ended
31 st December, 2023
riumphant Outreach Ministry International

Triumphani Ouireach Ministry International
Report Of The Trusiees
For The Year Ended 31 51 December, 2023
REFERENCE AND ADMINISTRATIVE DETAILS
Registered Charity Number
Chariiy Number.. l 182108
Chalrman..
Mr Derby Nii Amafh Ashitei
Principal address.
2 7 5wayihling House
Turnworth Cresceni
London
5W15 4PQ
Trusiees
Ms Juliana Mensah
Mr Derby Nll Amarh A5hltel
Ms Linda Bairy-Adjoka15e
Independent Examiner
Paperch44se Tdxdlion
22A Sydeiiliain Road
Sydenham, London
SE26 5QW
Bankers
Llo¥d5

Triumphant
Contents of T
For The Year
Ireach Ministry International
Financial Statemenis
nded 31 st December, 2023
Page
Report of The
Independent E
Statement of F
rustees
aminer's Report
nancial Activities
Balance Sheet
Notes to the Fi
ancial Statements
Detailed Stale
ent of Financial Activities
io

Triumphant Ouireach Minisrry Internatioftal
Unaudiied Financial Staiements For The Year Ended
31 si DectnilMr. 2023
The trustees present their repon with the fbnancial siaiemenis of ihe charity for ihe year
ended 31 $1 December, 2023. The ifU5tees have adopted the provisions of ihe Sratement of
Recommended Praciice ISORPI 'Accounting and Reponing by Charilies. Issued tn July 2014,
STRucfuRE GOVERNANCE ANO MANAGEMENT
Descriptlon of the charity's Irusts
Governbng documeni." Trust deed
The charity is a trust
Trustee selection is by appointmenr
OBJECTIVES AND AcnvinES
The Charity's objecis are.
The advancement of ihe Chrisiian Faith
The relief of povertv
The maln actlvliy ol ihe charily 15 the e5tablishmeni and malnienance of worshlp cenires to
enable itte membeis of the public io pariicipaie in Chrisiian worshlp Maklng granis and
donatlons to the needv.
ACHIEVEMENTS ANO PERFORMANCE FOR THE PUBLIC BENEFIT
The charity have been fruirful In creaiing a relationship bwth the communiiv ihrou9h our
operatlons during ihe lasi year We also f(Kused on leaching the christian believer to
undersiand Iheir Ideniliy and become responslble ciiizen5 in Iheir respectlve communlries.
We believe ihai a 51rong chr15tlan help make a strong communlry where love and peace
fejgns
RISK MANACEMENT
The Trusiees performed a study of ihe principal flsks io whlch rhe Chariiy 15 exposed. A risk
reglsiry has been constructed to Idenlify Importani hazaids per area of acilvliy, Ihelr nature,
likelihood of occurrence, and ihe measure5 taken to control them, The Tru51ees evaluate ihe
r15k Tegister on a regular basls during Ihelr meeilngs and are sat15fied Ehai med5Llfe5 are i
place to monage ihe identified risks. The property is still covered by Insurance should ihere
bé any unforseen eveniuallty.
The rrustees declaie thaT they have approved ihe irusree5' repoit above.
Signed on behalf of The charity's irustees
Appioved by ord
behalf by:
of the board of iru51ees on
-0410712024........and sbgned on Ils
.DNAA
Mr Derby Nii Amarn Asttiiei
For Trusiees

Trlumphant Out
Balance Sheet
as at 31 Decem
ach Ministry Iniernational
r 2023
2023
2022
Unre51ricied
Funs
Notes
Total Funds
Total Funds
FIXED ASSETS
Tangible asset5
38.039
38.039
37,044
CURRENT ASSET
Stocks
Oebtors
assets
54.174
54,174
32,893
Cash ai bank and
n hand
17.332
17,332
37,851
CREDITORS
Amounts Falling
Year
ue wlthln one
17.313
17,313
NET CURRENT A
SETS
54.193
54,193
50,238
TOTAL ASSETS L
LIA8ILinES
SS CURRENT
92.232
92.232
87.282
NET ASSETS
92,232
92.232
51ricted Fun
Unrestricted Fund
92.232
87.282
TOTAL FUNDS
92,232
87,282
The financlal stare
and were $19ned o
ienis were approved by the 8oard of Trustees on...........
Its behalf by.
tKO3
trhSe I
Approved by Boa
d of Trusrees
The Notes Fc<m Part of These Financial Stslemenls

The Notes Form Part of These FinJKial Statements

Trlumphant Outr
3151 December.
ach Ministry Interhational
23
Independeni Exa
To ihe Trusiees
Iner's Report
I report on the ac
unis for the year ended 31 si December, 2023 sei out on pages 5 to l O.
Respectlve resp
The charity s tru
Iru5tees consider
Charltles Act 20
rhe charily 5 gro.
examlnation by L)
nslbllliles of irusiee5 and examlner
lees are responsible for Ihe preparation of the accounts. The charily's
hai an audit Is noi required for this year lunder Sectlon 144121 of ihe
I Ithe 2011 Acill and Ihai an Independeni examinatlon Is requlred
s Income does noi exceed £250.0¢)O and l am qualified to undertake ihe
ng a qualified men)ber of ACCA.
It is my responsib
examine the acco
down In the Gen
of ihe 201 l Acil.
ity 10:
nis under Section 145 of the 2011 Act io follow ihe procedures lald
ral Directlon5 given by the Charily Commission (under Section 14 51511bl
and ro slate whethef panicular mailers have come to my attenlion
8asis of the inde
endeni examiner's repon
a5 carried out In accordance with the General Dlreciions gtven by the
n An examinaiion Includes a revlew of Ihe accounting record5 kept b¥
comparison of the accounts presenied with those records. li also
lion of any unusual items or disclosures in Ihe accounis. and
ons from you as trusiees concernlng any such maiter5,
The
aken do not provide all ihe evidence ihai would be required In an
uently no oglnlon Is qlven a5 10 wheiher the actounTS preseni a 'irue
Ihe repori Is limited io ihose mailers sei oul In the siatements below.
My examinatlo
Chariiy Commi551
Ihe charity and
Includes consicle
seeking explanat
proceduies under
audii. and con se
and fair view ' and
Independeni È¥.
In connecrion wil
11 whleh gives
wequirements w
accountlng requi
Iner's stalement
my examination, no matter has come to my attentlon..
me reasonable cause io believe ihat, In any m&ttrl41 rospect, the
accord wilh ihe accouniing records and to comply with Ihe
menis of the 201 l Aci have noi been mei", or
21 to which. In
ursdersiandlng of
my opinlon, atientlon should be drawn In order to enable a proper
accounts to be reached.
Abiodun A Adeb
Accountants
22A Sydenham R
London. SE26 SQ
ejo IFCCA8C4FAIA}

Triumphant Othreach Ministry International
Siaiemeni of FSnanclal Acilvltles
For The Year Ended 3 1 si Oecember. 2023
2023
Toial
Fund
2022
Toial
Fund
UnrestrTrcted Resirlcted
Noies
Income Resources
Incoming Resources From Generated Funds.
Voluntary Income
Total Income Resources
160.947
160,947
760,947
160947
124,444
524.444
Resources Expended
Charitable A<tivliles
Physical & spiritual Need
Governance Cosis
152.352
3,645
152,3S2
3.645
88.034
2.302
Total Resources Expended
155,997
IS5,997
90,336
NET INCOMING RESOURCES
4.950
4,950
34,108
RECONCILATION OF FUNDS
Total Funds Balances b/fwd
34.108
34,108
Total Funds Balances c/fwd
39,058
The Naes Form Part of These Financk31 Statements

Triumphani Oulrea
h Ministry Inlernailonal
Noies io ihe Financ
foi ihe year ended
I Siatementss
l December 2023
I ACCOUNTING P
Licies
Accouniing con
The linartcial st
and in accordan
(effective Janua
of Recommende
niion
en)enis have been p￿pared under ihe historical cost convention.
with the Financial Reponin9 Siandard lof Smaller Entities
20151, Ihe CharEties Aci 201 l and the requirements of the Sraiemeni
Practice. Accounting and Reportin9 by Charities (Issued July 20141
Incomin9 resourc
All incoming reso
charlty is legallv
reasonable accu
rces are included on ihe Sta(emeni of Financial Aciivilies when the
ntltled io the income and ihe amouni can be quaniified wlth
cy
Resources expen
Expendiiure Is ac
that aggregare a
to panicular hea
use of resource5
ed
ounted for on an accruals basis and has been classified under headlngs
cosi relaied io the category. Where cos15 cannoi be directly attributed
ws ihey have been allocated to acriviiies on a ba515 consisieni wilh the
Grants offered su
noted as 4 com
jeci to conditions which have noi been mei at ihe year en(i dale are
tmeni bui not accrued as expendilure.
Tanglble flxed as
Taxatlon
The charity Is ex
ets
pt from tax on Its chariiable aciivltses.
Fund accounrlng
Unresiricred fund
discretlon of tlie
can be used in accordance with ihe chaf Itable objectlves at the
rustees.
I VOLUNTARY IN
MÉ
2023
2022
Tlthes, Offerlng
Other Income
Thanksgtvlng
41,687
102.676
144,363
100,596
100,596
2023
2022
Granis receSveLI. i
cluded in the above. are as follows".
Other Crants
16,584
23.848
2 GOVERNANCE C
Accouniancv
STS
2023
3.645
2022
2,302

Trlumphant Outiea
Mlnisiry Iniernaiional
Notes to the Financi
for the year ended
I Statemenis5
December 2023
I ACCOUNTING P
LICIES
Accouniing conv
The financial sia
and In accordanc
(effective January
of Recommende
nrion
ements havt been prepaftd under the historical cost convention
wlth the Finan£lal Reporting Siandard for Smaller Entilies
20151. the Chariries Aa 2011 and Ihe requirements of rhe Staiemeni
Praciice. Accouniing and Reportin9 by Chariiies 1155ued July 20141
Incoming resourc
All incoming reso
charlty Is legally
reasonable accur
rces are included on Ihe 5taiement of Financial Activities when the
ntiiled to the Income and the amouni can be quanilfled wlih
Resouices expen
Expendilure is ac
Ihat aggiegate a
to partscular head
Use of resources
ovnted for on an accruals basls and has been classified under headlngs
COSI relaied to the caie9ory. Where costs cannoi be directly attributed
rlgs rhey have been allocated io activities on a ba515 con5151ent wilh the
Gran15 offered su
noted as a coni
ject to conditions which have not been met at the year end date are
Iment bui noi accrued as expendiiure.
Tangible fixed a5
Taxatlon
The chariiy Is exe
ets
pt from tax on lis charltable actlvltles.
Fund accountln9
Unresirlcted fund
discreiion of the
can be used In accordance wlth ihe charliable objectlve5 ar the
rusiees.
I VOLUNTARY IN
ME
2023
2022
Tlihe5, OfFerSng
Oiher Income
Thanksgivlng
41.687
102.676
144,363
100,596
100.596
2023
2022
Granis received, I
cluded In the above. are a5 follows".
Oihef Grants
16.584
23,848
2 GOVERNANCE C
Accounrancv
STS
2023
3,645
2022
2,302

Triumphant Oulreach Ministry Internalional
Notes 10 ihe Financial Stalemeniss
for the year ended 31 December 2023
3,645
4 Tangible fixed assets
Church &
Choir
Equipments
Plant and
machln?ry
Total
Cost
At l JanLSary 2023
Ar 31 December 2023
38.985
47 389
10,OC
10.000
48.985
57.389
Depreciatlon
Ar l January 2023
Chafge for rhe year
At 31 December 2023
11,941
5409
17.350
11,941
7,409
19,350
2,01)J
Net book value
Ai 31 December 2023
30.039
38.039
At 31 December 2022
27,044
io.cK)o
37.044
5 Debiors Amounts Falling Due wlihin one year
2023
2022
Other debtors
Other debtors
54,174
32,893
393
S4.174
6 Cred5iors: amounis falllng due wiihin one year
2023
2022
Trade Credltors
9 OPERATING LEASE COMMITMENTS
7 Crediiors: amounts falllng within one year
2023
2022
Trade Creditors
Oiher Crediror5
1,250
19.256
17,313
Expiring".
8etween one and flve years

Trlumphani Outrea
h Mlnlsiry Iniernatlonal
Noles to ihe Financ
for the year ended
I Siaiefflenis5
l December 2023
Noi
Movement
In Funds At 31 12 2023
S Movement in Fu
Atol 01 23
Unre5trlcied fun
General fund
TOTAL FUNDS
92.232
92,232
87,282
4.950
Net movement In
unds. Included In the above are as follows..
Incomlng
Resou¥<es
Resources
Expended
Movement In
Funds
Unrestricted fu
General fund
Total Fund
ds
160,947
160.947
I SS,997'
1 $5,997
4,9SO
4,950

Trlumphani Outreach Minisiry Iniernaiional
Oetailed Staiement Of Financial Activities
For The Year Ended 3151 December. 2023
2023
Tolal
Fund
2022
Total
Fund
Unrtstrlcted Re51ricied
INCOMING RESOURCES
T￿The$ & Offering
Other Income
Gifr Aid
41.687 15
102.675 97
16.584 15
160.947.27
41.687 15
102.675 97
16.584.1 S
160,947.27
100,596.00
23,848.00
124,444 00
I'oial Incomin9 Resourct..s
RESOURCES EXPENDED
Charitable Aclivilies
Donailons & Waffaie
Honorariurn & Volunteer
10.062 00
i.000.00
956.00
7.358.00
42.490.¢)0
10,062,00
1,000.00
956 00
1.358.00
42,49000
2,966.00
Twavelling and subsisience
Priniing. posta9e & stationery
Church expense5
1,840 00
4500
26.355 QO
55,866.00
55 866.00
31,206.00
Governance Costs
Accouniancy fees
3.645.¢]0
3,645.00
3 645.00
230200
3,645.(K•
2,302.00
Support Co515 Managemenl
Reni & rales
Telephone & lax
R•pairs & Maintenanc*
SoltV4are & IT
Service Charges
Moior expenses
OTher Legal & Professional fee5
Ad¥ert
65,000.00
3.097 00
16,360 00
1,18468
310.00
1,35900
65,000 00
3,097 00
16,360 00
1,18468
31000
1,359.00
24,881 00
27900
11,54900
5.878 00
3000
2.040.00
7.698.00
766.00
1,61JQ.OQ
166.00
1.600.00
16600
Other Operating Exp . Cleaning
Depieciation chaT9e
740900
7.409 00
3.707 00
56.828.00
96,485.68
96.485.68
TOTAL RESOURCES EXPENDED
1 $5.996.68
I S5,996.68
90,336.00
MET INCOME
4.950.59
4,950.59
34,108.00