**REGISTERED COMPANY NUMBER: CE020094 (England and Wales) REGISTERED CHARITY NUMBER: 1187068** 

## **Report of the Trustees and** 

**Unaudited Financial Statements for the Year Ended 31 August 2022** 

**for** 

## **CHRIST GLORY CIIAPEL INTERNATIONAL** 

G Defor and Co Chartered Certified Accountants 

55 Carters Mead Harlow Essex CMI7 9ER 



Ri&r
EL I￿RNATI
nts of the
ror the
31A
2022
Refererttt iod Admi•ithtive Det*lls
Rq)ort tsfthe Trwthes
IAdwdeTht Ex•min&s Ryrt
No¢es io the F￿￿¢111 Ststernents
10

HRI
GLORY C
ATIONAL
Adm•lli
efir eThded 31
TriISTEL8
MrGabri¢l Amofgh MArfo
Mts Angela Adirri Athlai
Miss Abigail Montes Cofyknh
REGISTERED OFFICE
First Fk4)T
I-J Owient Way
Wcllingkni8h
NN8 IAF
REGISTERED COMPAf4Y
NUMBER
CE02ryJ94 and Wths)
REGisfERED CHARITY
NUMBER
1187068
INDEPENDEP4T EXAMINER
G tkfor C
55 C•ner4 Mead
Harlow
CM179ER
Page I

31A
The trusits wlw also dire£tors (rfthe Charity f(* the pury¢)ses of the Comp￿leS Aa 2iKIS presem thar repm wth
the financial SthteM￿ts of the charity for the year ended Jl Au8USt 20?2. The tn￿ffts have #dopwt the Provisions ol.
Ac&yJMin8 and Rewting by ch￿Ille$.. Stsi¢m¢nl of R￿0mMend￿ Prn¢tite applithle io charitses prepaftny Iheir
occounts in I￿Ord￿ with the Fi￿￿¢]￿1 Rewting Stand￿d appli¢•bl¢ in th¢ UK and Republi¢ ofireland (FKS 102)
{effedive l Januw 2019)
OWEcfivES AND AcfiviTIES
Objectlve5 Aimi
To xdv4Trc¢theChristian Faith fw th¢bMefii of the Publi¢ in4c¢ord￿¢C with Ststement ofbdi¢f￿fWth
. The advan￿￿￿1 of the Chrixti4n reliBion mainly. but nol exdusivdy, by M¢￿S of brO￿￿￿ting Chri￿l￿n meJsa8es of
an eVAn8eli￿l¢ and ttsching nalure.
To adv￿￿ ihe Chi*ian re]i8ion in Northwnpt(m paniculady and wd11ngbr￿ rn in 8enml for the benefii of the
public ihrw8h the ho]din8 of churth seNccs prnyer meetin84 le¢tw¢s, public celebration d Christian festiwai4
lor di5tributin8 literalureon theC.hTi5tian FAith to¢nI1￿ten thrs about lh¢ Christikn r¢liw.
FINANCIAL REVIEW
FloAthttsl p051tl•n
Th¢Charity's detailed r¢wlts fcff the peritsj and the J¢&e of affairs are set IRrt Lm pw4 to9.
The charity's a¢aunu1￿￿J surplus fundj f¢v they￿ was £11.085 ￿ comp4trto pmiuJ&ye&r of £4.081.
STRucfuR& GOVERNANCE AND MANAGEMENT
Governln8 doturnent
The ¢hwity is controlled by its 8ov¢n]inu documenl 4 d#d of trusL and cth$ittutes i lirnibj ¢ompany, limitsl by
g111rnry*& u defined by th¢ Comp•niu Aci 2Cth.
Thi$ r¢port has been prep¥ed in iccudwK¢ with the 8F¢Cl￿ proviiLNJ$ of Pth 15 of the C.ompAnies Act 2006 r¢l*in
to s￿￿1 ciJmpani¢*
C>P<As-
Appwvedby (Kthrofthebtsa￿of tru5￿$0n,.... ..................,.................... and￿￿eAl ￿l￿beh￿Ifby'.
Mr Gabriel Amofah M￿O- Truste¢
P4e?

dellt E
CHRI*f G_￿Ry CHA
'.blL*=
EL INTERNATiof*AL
lthdeprndrnt ￿ry￿rt to the trwleo• of CHRIST CiLIRY CHAPEL I￿ERNATIONAL {'Ihe
CompAny'}
I rq￿ io the chwity trusw rm rny examinotv)n of the acC￿nts ofthe Cryy for the yetr¢ThJed 31 AUBU￿ 2022.
Rttponslblllties attd basis of rtport
As the ¢hgritys trus*es of the Comw {wyJ also its directh for thE of cornpw18wl you &r¢ re5POn6ible for
the FVEpafLtion of the in accordw with the requir¢meth of the Comwies Aa 2(1)6 {'th 2(N)6 A¢ffi.
Having satisfied M￿1[ ihlt of the Compw we not rqtiirul to bc wdited unthr Part 16 of thc 2(4kn Act
and are eligible for independeni examiMlion. I report in of my examination of your ¢haTitys ￿O￿ttts #s ¢4Yri¢d
oui under Settion 145 of ¢he Ch&ities Aci 2011 {Ihe 2011 Ad). In cwryin8 Lxrt rny examination I have followed the
Dir¢¢iion8 given by ihe Charity Comrniuion unthr 145(5) (b) of the 2011 ACL
lodepeudent examloerfs thtehxtht
I h8ve completed my exarniwn. l ¢onfmn that no have come ￿ my *ttcDtiOn in ¢4)M￿li0n with the
exainination givin8 me ￿uSe w FKli¢ve'.
accounting Tecord5 w¢r¢ no¢ kept in respeci of the •STeqUIY￿ by Seeiion 386 of the 2[￿ ACL. or
the accounts th not ￿0[d with thos¢ or
the s¢¢outtts do ¢omply with the acwunting requirenKnts of Seciion 396 of th¢ 21W6 Acl 011￿r Tlwn Jny
requiremeni tlw th¢ 8iv¢ a fair view uthi¢h is 8 rt*t*r ¢￿SidEred as PDrt of an indetxndeni
cxHmin•tion' or
the jccotmts h•ve not be￿ weparthl in with thr mcthL*J5 and principlcs of thc si1￿mcn[ of
Rttommended Prnrtiee for accountin8 reponin8 by charities (appliubl¢ lo ¢huiiies prparin8 their •¢countJ
in xcordauce with the Fironcial Reportin8 staftd￿d wli¢able in the UK aftd Republic of Ire]•nd IFRS 102)).
I hve no ¢orKerns have *rosJ Do tthr in with the examin￿10￿ ￿ wbich •ts¢ntkon Should
b¢ drnwn in thii report in orderto meble 8 Fry>trUthleM￿h$Or the x¢outtts th b¢ ruclld.
Geor￿ K tkfor (FCCA)
G D¢for Co
Chartered Certif￿1 Acc4JUntants
55 Carttts Mead
Horlow
CM179ER
P8ge3

HRI
HAPEL iTrrfERNATIO
AL
the
ear ended 31 Au
$t 2022
31.822
Unrcstricied
31.8.21
Totsl
fynds
No¢e5
INCOME AND ENDOWMENTS FROM
Donation5 and legacies
33,446
28.157
EXPENDITURE ON
ChHritAbIt ¥c¢iviti
Gov¢manc¢ costs
Costs of charitableaetivities
2.192
24.250
3.080
29208
Total
26,442
32,288
NET INCOMEIIEXPENDITURE)
(4.1311
RECONCILJATION OF FiTNDS
Tots] fuThls brought forward
4.081
8212
TOTAL FUNDS CARRIED FORWARD
11,085
4,081
The notes f¢)mi part of th¢s¢ financial ststements
P48e 4

31A22
Uttrestrieted
fottd
31.L21
Tot81
fthnds
CURRENT ASSETS
12.585
-S.081
CREDTfoRS
Am(wnts falling due within cffie year
(1.500)
(I,cKx))
NETCURRENT ASSETS
11.085
4.081
TOTAL ASSETS LFSS CURREKr
11.085
4.081
NET ASSM
11.035
4.081
Unr¢stiictoJ fimds
11.085
4.081
11,085
4.081
The clwitable ethipthy 1$ ￿lIte￿ to exempiion from hudit UTLder S&tson 477 of th¢ Companies Act 21J06 f￿ th¢ year
endol 31 Au8uBI 2022.
The membets haye rwiired the comp&ny to ()btyirt On wdit rf its finanaal sthtem¢nL9 for the yehr
31 A￿￿512022 in a¢￿With S&xiott 476oftlK C(enpAnies ACt2C￿6.
Th¢tnJ5t¢es aCkn0￿¢d8¢the1rfC5pCMsIbil1tie5 for
{a)
enswiny that the charitgble wmwby keep5 accounting ￿￿d& that cifflpty with S￿lI0n% 386 and 387 of the
Companies Act 2(JX$ atad
(b) ptrpwing finan081 statemertts vkni¢h give a true and fair view of th¢ stak of affairs of the ch¥itable company as
at ihe end of eath financi￿ year and of its ￿rp]uS or defLL?t for each fiThaociai year in aw)rd4nce wth the
requiremats of &ttions 394 and 395 and which otherwise comply with th¢ ry4￿1ran￿ts of the Companies Act
2￿ relating w fiiwitsal stst¢Tnenw sofar qs applicthl¢tothedwitsblec(qxpary.
finan(aaE stAtemtsts been preptred in acwrdance with the prowision5 8pp]ic4ble ty Gharttible fAM?patiies
bjtxa to the small ￿MpartIeS re8im
The finanual were 4woval by the Board cl Tn￿le¢S and 41ttI￿l$ed for iw
. i.L.-...*.-...2J.. and i)n it$beh8lf by..
MrG3brid Amofah Marfo.Tn
Mrs An8e]aAdjei Addai- TN
ThettoNfoTm part of th¢se financial stathents

CHAPEL IFifERNATI
NA
for tht eAr ended 31 Au
115t 2022
ACCOUIYTING POLICIES
B8sls of pre￿rIttE tbe finADcial Jtitem¢Thts
The fin8ncial statements of the ¢harithble ¢ompny. whi¢h 19 & public benefit entity uttder FRS 102, have bEen
prepared in accoTdanc¢ with ihe Charities SORP IFRS 1021 'A¢¢oyniing and Reporting by Chan"ti¢s'. Stsicmeni
of R¢¢ommended Praetice upplicable ro cliarilics prepaTing their accounLs in aword8n¢¢ with th¢ Financi81
Re[￿ing Standard applicable in the UK Attd Republi6 ol. Ireland IFRS 102} (¢ffe¢tive l JanuAry ?019I',
Finan¢iwl Rrporting Sthndard 102 The Financ1￿ Repo￿ng SiatKlard applicablc in Ihc UK and Republic of
Ireland, and the Compjnies Aci 2006. The linAn¢ial swtements hve been prepared und¢r Ihe hisfofi¢AI ¢o$i
eonveniion.
Inuime
All ineome is r￿0$nISed in the S￿*ment of Financi&l Activiti#5 once the charity entitlement to the fundy, it
is Probable th91 the income will be received and the amount can be measur¢d reliably.
Expendltyre
LiAbiliti¢s are rKoBni%d As exp¢rtditUft kn 5Lym a5 th¢re is a 108*1 or constru￿1¥¢ obli8alion committing th¢
hBrily to ihut exrRnditure, Lt probable thal • knn$feT of economic benefiis will b¢ required in settlemenl and
ihe amount of the obligarion con bc m￿sured reliibly. ExpendiNr¢ is &¢counted lor on &¢crt￿ls bnsis and h
been classified under h¢Dding5 Ihal aBgrc8ate llll ¢05t rcllllcd io thc calcgory. Where costs cnnnoi bc ditrdly
attTiI)uted io particular headings they have been allocate41 ts1 Qdiviti#% on A boyi$ con¥iit¢tti with the u9e L)f
resour¢¢s.
Taxado
The charity 1$ ¢xempt from cory)OTAtion tsx on its ¢hDrii*ble ￿tivitieS.
FuDd •¢¢ounllng
Unrestricted funds CDD be u8ed in ￿￿OrdAnCe with ihe ¢hvi18ble obje¢iive5 at the diseTrtion of the tru¥l¢¢S.
Restricted fund8 can only be us¢d lor particular re51ricftd purp09ei within the Dbj¢¢ts of ili¢ ¢hariiy. Re5tri¢iion8
ri8¢ wh¢n Specified by the dom)ror whcn fvnd5 are rai•ed for particulw r¢¥tri¢ted purpose8.
Further explanation of the MtUTe And pu￿05¢ of ¢￿h fund 1$ included in the Mte5 to the finkncial $18t¢nKnts,
Hlre purch￿t kajlng eornmltThents
R￿thIs paid UTthr operiiing I￿9¢$ irc Ch￿¢d to the Smterneni of Financial Adivili¢s 011 4 $tr•i8hi lin¢ basis
over the period of the Icase.
NET INCOMEI(EXPEiYDITVRE)
Net incom¢ 1$ sts*d afier¢har8e$ other opcrntion leas¢$.
TRUSTEES, REMUNERATION AND BENEFITS
There w¢r¢ no trusteerf I¢muncr￿l¢Jn or oth¢r benefits for the yw ended 31 August 2092 nor for the year ended
31 Au¥ust 2021.
Trnstee8' exptsses
Ther¢ were no trus1¥%5' expensc5 paid for the y¢ar erthd 31 August 2022 nor for ihe year ended
31 August 2021.
P4g¢ 6
coniinued...

RY
RNATI
NAL
IA
st 2022
COMPARATIVES FOR THK SfATEMEKfoF FINANCIAL ACTIVITIES
Utsrtstrleted
fithd
INCOME AND ENDOWMETh FROM
Donarions and kgacies
?8.157
EXPENDITURE ON
Chgritsbk #ctiviti
3,080
29208
Costs of ¢haritsbl¢ o¢itvities
NET INCOMEI{EXPENDITURE)
(4.131)
RECONCILIATION OF FUNDS
T¢xal broughi fornvxd
&212
TOTAL FUNDS CARRIED FORWARD
4.081
CREDITORS: AMOUNTS FALLING DUE wmiiN OliE YEAR
31x22
31A21
A¢¢Ned expeL
iJoo
MOVEMEKf IN FUNDS
Net
moyemtttt
At
31A22
At 1321
Unrestricted funds
4,081
11,085
TOTAL FUNDS
4,¢￿1
11.085
Net movernent ID Incl￿ in the aboveare as fotlows:
Rtyourttj
resourtts expettded
Movernent
Gcneral ￿nd
33.4146
12&44?)
TOTAL FUNDS
33.446
126.442)
CODtinud..

ij
ATIONAL
to the Fioancigl
for tke
'egr ettdtd 31 All
MOVEMEiYT IN FiINDS- eoTrti•wd
Comp#rntlves for movemeAt1o
r4et
oveffjent
At
31A21
At 1.9211
Unr¢rtri¢ted
General fiuld
8212
(4.131 }
4NI
TOTAL FUNDS
&212
{4.131)
4.081
CornpArativend move￿1 in in¢lth ID the follty￿.
Int(tymln8
Movement
expended
UThrethleted
GenerBJ fund
28.157
(322881
14.131)
TOTAL FUNDS
28.157
(32.2881
(4,131)
A euneni y¢*T 12 monthi and priwyw12 m(ffiths ¢ornbDx4 p)siliOm il 41 follows..
N¢t
thov¢ment
At
31A22
At 1.9.20
Ullrestrlcted
Ge7￿1 fund
8212
2.873
11.083
TOTAL FUNDS
8212
2.873
11.085
A ¢ml year 12 mondLq and prior 12 ny)nth8 rombitied D￿vern￿ in included in the above
as follows..
ReK+urttg Movement
regmreu expthded
Uorcstrkted fundj
Gen¢Tal fiuxl
01.(A)3
(58.730)
2,873
TOTAL FUNDS
61.603
158.730)
1873
Page 8
Itinu¥L..

RY CHAPEL
Notss ts the fi
r t￿ded 31 A
st 21n2
RELATED PARTY DISCLOSURFS
Thtr¢ wac no related pty trw¥itons forth¢ yareth31 Au8U5t 2021
Pa8c 9

RY CHAPEL IF4TERNATIONA
tailed Statement of ￿nancIsI Actlvi
for the
egr end
31.8.22
IIYCOME AND ENDOWMENTS
Don8tiDni and l¢ga¢l¢s
Tithes
otT¢rin¥s
Thanks8ivin8 and seeds
22.060
7,861
3.525
17.141
9.?17
1.799
33.446
?8.157
T•tg1 itttomkng r¢sowrc¢s
33,446
28.157
EXPENDITURE
Ch*rit*ble #diviti
Rent PAy2ble
Telephone
Ministy and Outrcach
DonHtIOTE5 and welfare
Repairs and maini¢n8n¢e
18JOO
19.?50
471
1,950
2.300
5,237
1.800
2,000
1,950
24,250
?9208
Support costs
Governanee Costs
Examinerfs fee
L¢8uI and PN)fessioJal fees
1.691
2,580
2,192
3,080
To￿[ resoureei expended
26.442
3?288
Net incomd(expenditsre)
7,004
(4.131)
This pagt docs not fonn part of the sr8Th￿ry fithoncial ststements
Page 10