REGISTERED COMPANY NUMBER: CE021k)94 (EnglxTrd xttd W8kn>
REGWERED CHARITY NUMBER.. lI￿r$68
G Defor *yJ Co
CM17 9ER

CHRI
RY
Contsnts of the Fknancial Ststemeth
ended31 A
51 2024
Report •f th¢ Trwt¢
Indept*dewJt Examille￿I Ryrt
Ststemeot of Fl•affjd￿ Atlfvkles
Baknntt SIKe¢
Notes to the fwandal Ststements
12

Rl
GU)RY CHAPEL INTERNATIONAL
for the
rtnded 31 Aa
2024
TriISTEFS
MrGthiel Amofah Msrfo
Mr5 Angela Adici Addai
Miss Abigail Montes Conduah
REGISTERED OFFICE
Fiyst Flr#)r
1-3 Orierf WAY
Wellingbxougb
NN8 IAF
REGISTERED COMPANY
r4UMBER
REGisfEREDCHARITY
NUMBER
1187068
INDEPENDENT EXAMINER
G Etf(¢*￿1 Co
55 CartU5 Mead
Harfow
CM179ER
Poge I

31A
the finanLial ststttrtents rf th¢ Charity for the year ethled 31 Aw 2024. Th¢ h&ve idcpt&l the provision5 of
ACC￿￿tin8 and iiewxting by Chuities.. Ststemart rf PTraic¢ 8ppiioble ￿ charities wepario¥ (heir
¢OIYlts in accor￿ tvith the Fithxial R4xxtiD8 StaDJord wlicAJle io the UK thj Rwthlic rfjrdand IFRS 102)
(effective l Jamwy ?019)
Objt£tives and aims
To the aKiMian Faith fwthebenefit rfthe Publicin xc4Xd￿WIth (Atr of belIef￿fa1th
' The advancem￿ of the Thri5ti4D tdigirn mainly. ixtt nc4 exdu5ivdy. by meaps ￿brO￿¢￿in8 C￿1￿1#￿ me59a8es of
twblic the holding of dMErrh yeTvices. rneetiw tthlic CelebMIL￿ of aui5tian f¢5tiV81&
pr(xiucin8 and lordistributlrt8liteoawe￿ the Clllithi Faith to¢Jdi￿alW5ab￿rtth¢ Christiw rdisi
TheClwity5 det2ilql rewlts f￿the pul￿1 &nd ihe *aterfaffairnJe sa page 4 to 12.
Thechwity's a¢￿nu￿ed wlus fimds fry theyear was £(￿ A%c4WtO PV•iws y¢ar(1£1348.
The is CL￿￿¢1]?1 by its govunin8 a deal (f tsusl LThStith • limited ox)pany. Ilmit￿ by
o*< by the CLmWi¢J Aa 2(￿.
This r¢pNt Iw b￿tt ID xc{¥dll￿ with the wryi17(ffls rfPart 15 Canponiey Ao ￿]￿1￿8
to smaEI c4Thp#nies.
si9￿1 itsbehaifbj..
MrGabrid Amofth Marfo.TnJ#¢¢

t Examiner's R ort to the Truste
HR1￿￿￿£￿.￿l&￿1￿.TER￿NTll
NAL
lrtdepettdettt txanaiDeT'* report to the tru5tttJ of CHRIST GLORY CHAPEL INTERNATIONAL {'the
CompAny')
I reN>n to th¢ ¢harity trust¢¢s on my examination of the #￿Unts of the Cnmpany r(vthe yearended 31 Augum 2024.
Rcsponsibilitses basis (tyf rep)rt
As the charitys trusteL's ol Ihe Company (and also its directors for the purpJse$ of compny law) you ar¢ Tespon$ibl¢ for
the we￿[211¢)n of the a¢counts in a¢Mrdatttt with therequiremen￿ of the Comptties Act 2006 ('th¢ 2¢X16 A¢n.
Having sati5fia myself ilwt the accounts of the Company are noi required to be audtted uThd¢r Part 16 of the ?006 A¢1
nd are eligible for independent examination. I rew>rt in respect of my examinatioD of your charitls accounts as ￿ed
out under Se¢iion 145 of Ihe Chayiiies Aci 2011 {Ihe 2011 A￿,1. In Carrying OMI my ¢xomingtion I have followed the
Directions given by the Charity Commissi¢)n under Section 145(5} (b) of th¢ 2011 ACL
lodepeadenteXAmlDer'i gtatsment
I haye completed my examination. I confirni that no rnafters have come to my attenti￿ in conn¢ciion with the
examination giving me ¢ftuse io b¢li¢ve'.
Bc¢ountiDg ttcor(Ls were not kept in re5PCCt of the Compny as Tcquircd by Secrion 386 of ibe 2006 Acl" or
the arro￿nts do a¢cord with tlwse rt￿rds. or
the accounts do not ¢omply with the a¢countitbg requirements of S¢c¢ion 396 of ihe 2006 A¢t other than any
r¢quir¢m¢ni thai th¢ •¢wunts give 4 mr¢ and fair vi¢w which is Dot a matter considered &8 part of an indepcndcnt
examination: or
th¢ accounts have not be¢fi prepared irt accord9￿ with the Inethods ottd pritt¢ipl¢s of th¢ stsr¢m¢ni of
Recommetided Pra¢iitt for accounting And r2POrting by ¢hariti¢s lopplicable to ch8Tities prewing th¢ir ftccnunts
in a¢¢ordatt¢¢ wilh th¢ Fi￿￿181 R¢porting Sknnd￿d applicable in lh¢ UK and Rwbli¢ of Ir¢lartd {FRS 102)).
I have no concems and have come across no other motiers in ¢onn¢Ltion with th¢ examinMioTr to Mq)i¢h attention should
bedrnwo ith this report in order to ¢￿ble a prop¢rutKler5tsndLDg of th¢ ￿¢oUnt$ w b¢ rt4¢hed.
George K Defor(FCCA)
G Defor and Co
Chartered certifi￿ AccountaDts
55 Carters Mcad
Harlow
E55CX
CM17 9ER
Page 3

ror the
r eoded 31 A
ust 21124
31A.24
Il•reJtrltted
fthAd
31.8.23
Totsl
runth
INCOME AND ENDOWMENTS FROM
lkntions ind k81¢i¢S
36.799
EXPENDITURE ON
Charitsble *ctivit
GovernaT￿¢ costs
suPF￿rt Costs
C05ts of ¢hui•ble ￿lIVi11#S
930
919
23.023
46.136
Total
24.872
46,636
NET INCOMW{EXPEND￿uRE)
(1,188)
(9.8371
RECONCILIATION OF FUNDS
Toknl fvnds brouBhi forwird
1248
11,085
TOTAL FUNDS CARRIED FORWARD
1248

1ST GU)RY CHAPEL IF￿ERNATIONAL
31A
2024
31x24
Unregtricted
31J23
Totsl
fwnd$
FIXED ASSETS
Tangible assd5
ioJ(
CURRENT ASSETS
C¥h at bank
4,107
3248
CREDITORS
Amoynts fallingduewithin otte year
11499)
11(w)
NET CURRENT ASSETS
TOTAL ASSETS LESS CURRENT
LIABILITILS
12.108
CREDrroRS
Amounts fallingdue allermoYetr*n one)Yar
{11048)
NKT
1248
FIIIYDS
1,248
TOTAL FUNDS
1,248
The cbaritabie conyDy is ￿ti￿ed to exemption fiDm aulit under Srfiion 477 of the Cowies Act 21)06 for the year
ended 31 August 2024.
T1￿ ]mnber5 have not wuirtil the ¢ompaThy to an ¥￿111 of its fJDm¢ial sthtements fw the year ended
31 August 2024 ID accordao¢e with Se¢tion 476of th¢ Comwieskn 2￿6.
The tsusttts aeknowled8e their restxytsli )iEiti¢s for
(a)
ensuriog th¢ ¢haritsbk cornpat￿ keep5 accowthDB Eccorth that c(wty with S¢¢tion$ 386 gnd 387 of the
Compani¢5 Act 2[￿ and
preparittg fmancial thi¢llKnts svhich 8ive a and fair view of the of aff¥irs of thr chan￿bI¢ wmpany as
the end of ¢a¢h f￿￿￿181 yar I￿1 of its Surp1￿ or defKit for exh fitIwK1￿ year iti a¢¢onJan¢e wilh th¢
requiremeDL8 of tstions 394 and 395 and which otherwise comply with the Tequirem¢nts of the Componies A
2006 rdlltin8 to memen￿ so farasapplicthk to the CI￿lIable Company.
b)
Tbe f(rfm port ofthese fimnoal statcmrnts
continued...

3tA
iectto the wll aJnpaDie5 regim
and itsbehalf by..
MrGabrid Amofah M8rfo. TruAe*
Mts An8d4Affjei Athlw. Tn

HRIST
LORY
HAPEL INTERNATI
NA
Notes to Ihe FIDancial St#iemeD
tbe
ACcOu￿11¥G POLICIES
Bath of prepxrlng tbt thteme#ts
The rUw￿la[ State￿1￿ of the charitablc cornpoy. which is a pybjic b¢n¢fit entity FRS 102, hav¢ been
cpared in accordancc wilh ihe ChaTitics SORP (FRS 102) 'Accwiiing and Rcwting by Cknties.. Smiemcni
of Rccomrncnded Pradicc uppli¢4ble io clhari¢ie5 EJreparm8 thEir accounts in accordance with the FinanciHI
Rewring Stsndard applic•bl¢ in the UK and Republic of IrelAnd IFRS I￿2) (eff¢¢tive l January ?019Y,
FiDaDciDI ReportinB Standard 102 FiwKial Reporting StwJd¥d applicable in the UK End Republic of
Irel•￿ and th¢ Companies A¢t 21XJ6. Tr riTban¢l￿ sts*m¢nts have been rnred und¢r ¢he hi$wri￿[ cosi
convention.
AII 15 rwised in ihc s￿leMEnt of Financial Acliviiic5 once thc charity has entiilcmertt to th¢ funds, il
is probable that the irKome will be received and the amouni can be ￿￿25￿[ed reliably.
Eipendlthre
Litibilities rwni%d u exwd11u￿ as thue is a k8al or 0)n50￿C obliwion Commirting the
chaTity to thDt cxpcnditure. it is w(&ble that 8 transfer of econoffiic bcncfits will be requircd in ￿ttleMent Ind
the amount of the obligarion can be measured r¢li4bly. ExpendiwT¢ is accou￿ for on an ac¢n¥ls bJsi$ 8nd has
been cl4ssifi￿ under headings thai as8￿￿¢ all ¢ost r¢la*d 10 th¢ ¢aie80ry. Whert C￿$ be d1￿ClIY
attributed to F•rticulw heodin8s ihey h•ve be£th ￿l0¢•I¢d to a¢¢iviiiu on a basis co￿1￿¢￿1 with the uge L)f
TIn￿ble fl%ed askts
DepreLi2tis)n is provided at the followin8 in LY&r to write off e*h &%set over its e*tmJ¢¢d w¢ful
life.
Motorv¢hicl¢s
J% ￿ reducin8knlance
T•xallo
The chriry li exemw from tyx ￿ itsdwithble I￿1vIlle&
FvDd accountl
UnrestrÉcteA funds ￿ be used in with the th*Titsble objectives at the diKretion of the tA￿te¢s.
R&Wricted fvnds only be uxd for particular rextricted pun>0s¢5 within the d*je¢ls of th¢ ¢harity. Restridions
arise Wh￿ specified by the donor orwl%n rni%d for restric1￿ plltp￿.
Further exPl•n￿lOn ofthE oalure and pw of exh furMI 1$ inGluded in the notes to th¢ financial itat¢ments.
Hire purchme Ind le￿Ing wthmltmeuts
The inr¢rest elemcni of thcse obli8alioE￿ ij ch•r8ed th the StAt¢ment of FinwKi81 Adiviiies over (he relevant
period. Tr cwpital of ik futurt payrnents 1$ trea*d as a liability.
Rea￿1$ pid under OPEZ4ting leas¢s •tt clwFd w the OF Finm¢id Aaivilic5 on a sITaight li￿ bg9iS
ovttthe period of thE le￿¢.
ge7

CHRI
RY
HAPEL INTERNATIOliAL
FloftDci81
tstemeDts- toil
st 2024
for
NET INCOMVIEXPENDITURE)
income is ststed after char8es le•
TRiisfEFS' REMIJThEIL4TION AND BEliEFrtS
There wthr nD InJst¢es' or th bcnefits for year 31 Aug￿$1 2024 nor for the ye&r ended
31 A￿8￿￿t l)23.
Trnyttt5' expettses
Th¢r¢ weff DO trustees expeoses plid fv the ￿r ended 31 Ausu5t 2024 for the year ended
31 August 2023.
COMPARATIVLS FOR THE STATEMEhT OF FINANCIAL A￿T
nd
INCOME AND ENDOWMENtS FROM
DoMtion$ #nd Eegacies
36.71y)
EXPENDrruRE ON
Governance costs
Citsts of tharitsble activities
46,136
4&636
NET INCOMEI(EXP£NDITURE)
(9.8371
RECOiYCILIATtON OF FiINDS
Toial fun&8 bmught forward
11.085
TOTAL FUNDS CARRIED FORWARD
1248
TANGIBLE FIXED A&SETS
Molor
Y¢hitle5
cosr
Addilions
14,(XK>
DEPRECIATION
CharBe foryear
NET BOOK VALUE
At 31 Aus￿1 2024
IOJOD
At 31 AugLW 20J?
Page 8

HAPEL INTERNATI
NAL
to the FlnAnei#l S
for tbe
egr ended 31 Au
ust 2024
CREDITORS: AMOUNTS FALLING DIIE WITHIN ONE YEAR
31.&24
31.&23
Accrued exrrtnses
2.499
CREDITORS: AMOIINfs FALLING DUE AFfER MORE THAN ONE YEAR
31.&24
Ji.&23
Hire pweh&s¢ Ise¢ noi¢ 8)
12.048
LEASING AGREEMENTS
Mifiitnurn le￿ Pa￿ents￿n1￿rhlTC Purch￿ fatl due as follows:
31A.24
31J.23
Gross oblL8ations repayable:
BeThvccn oneand five yurs
14.804
Fifjatttt char8es Tepayable:
BcM¢o one and five y¢Ars
2.756
Net obligarions repayable:
Betwttn one and five ye8
12.048
MOVEM￿ IN FUNDS
f4et
movemellt
At
31A24
At 1.9.23
Unrestrktsd funds
General [￿d
1248
11,188)
60
TOTAL FUNDS
1248
movement in furtd¥. included in the above are as follow5.'
Inwmlng
resouree5
Movement
funds
expended
UTrrestricttd funds
Gener81 fimd
23.6R4
124,872)
{I.IR8)
TOTAL FitNDS
23.684
124,8721
Pagc 9
¢oni¢nued...

ATIOJ¥AL
t*ttments- continued
e*r eDded 31 A
st 2024
for ibe
MOVEMENT IN FUNDS- C￿lIA￿ed
Comp•rallves for moveMeAt lo ftyn
Net
ovefflent
Su fnnds
At
31A23
A¢ 1.922
ITnrestrl¢kd
GencrAI fiuld
19J37}
124[¢
TOTAL FUNDS
11.085
{9J37)
1248
CompThNive nrf movem￿1 in in¢Juded in the above are as follow8.'
Mov¢menl
fundi
rewwrcu eAp¢aded
Uffirestrlct￿
Gelle￿ fund
36.799
(46.6361
(9.8J71
TOTAL FUNDS
36.799
(46.6361
(9.8371
A Cunt￿ yev 12 months *rM4 priorye•r 12 m￿lih5 eoTnbinthl PDSition is w follows".
N¢¢
movement
fywls
At
31A24
At 1.922
Unrestrfcted
G¢nernl fund
11.085
111.025)
TOTAL FUNDS
11,085
(11,025)
A current yeor 12 M￿1th$ prior yur 12 n￿nthS ¢otthiti&a nd move￿1 in fill￿4 includ￿ in the above ave
as follows..
Remureets Moveznent
expended
Ye￿￿r¢￿
Ilnrtjtrieted fllnth
Gencral fund
1.483
(71.5081
111.0?51
TOTAL FUNDS
60.483
{71J08)
(11.02S)
Page 10
conlinued...

HRI
es to the FfftnAnci
for th
meRts- conti
IA
24
RKIATED PARTY DISCLOSURES
There werenotel&ted party tt&ngtttithis for theY￿r onded 31 Aygust 2024.
Pag¢ll

RNA
Detsli ed S
ear ended 31 A
2024
31.&24
3AA23
INCOME AND ENDOWMENIS
Donationi and Iyie%
Tithes
Offering6
Th•nks8iving and seeds
18.781
4238
065
?7.634
6.436
2,729
23,684
36.799
Tot#1 incomlng resowrtes
23.684
36,799
EXPENDITURE
Ch*rSt*bit Activiti
Rent pfyyobl¢
Ministy atKI Outreach
Donations and welfare
Repairs and maiDletMllce
motorex￿￿S
Motorvehicks
15 J23
2.650
28,703
32(N)
10,433
350
3.5(1)
23.023
46,136
Support ¢osts
HP Inierest ¢lJoo
919
CovtrnAMee e•sts
Examin&s fee
L¢gal and Professional fees
5LX)
430
5(
930
24,872
46,636
Nei expetidithre
(1.188)
(9.837)
Pyi?