REGISTERED CHARITY NUMBER.. 1189711
an
Unaudited Financial Statements for the Year Ended 31 Ma
2024
For
SHEKINAH MEDI
John8 Accountancy & Taxation
4 NorthvIl￿ Road
BIisttA BS7 IhRG

EKINAH MEDIA
UROP
Contents for the Financaal Statements
For the Year Ended 31 Ma
2024
Report of th8 Trusle8S
Independent ExamSnerfs Report
Staternent of financial Act¢vitie5
Balance Sheèt
Notes to the Financial Slalements
Detailed Statement of Financial Activities
Jcthns AcwuntsnGy & Taxation
4 Northwlle Road
Bristol BS7 ORG

TRusfEES' REPORT AND UNAUDITED FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 May 2024
Shekinah Media Europe
(Charitable incorporated organisationl
Reglstered Charity Number: 1189711
Company Nurnber: CE022005
REFERENCE AND ADMINISTRATIVE DETAILS OF THE COMPANY. ITS TRUSTEE5 AND ADVISERS
FOR THE YEAR ENDED 31 May 2024
Trustees
Dr. Meena lacharlas
Wlnner Varghese
Siblsh Kurian
Company Number
Reglstered Charlty Number
CE022005
1189711
Reglstered offlce
14Langley Gardens
Wolverhampton
WV3 7JN
Accountants
Johns Accountancy & T3Xation
4 Northville Road, Filton
Bristol
BS7 ORG
Bankers
Barclays Bank
Queen Square
Wolverhampton
WVI IDS

FtIlTHE YEAR ENDED 31 MAY 2024
Shektnah Media Ewope conlinued to produte impattlul proBT8mff* thro*ut
the finantièl year eniling MT¥ 2024. WE greatly valued the leedback fmm our viewets and
SUPPDrteT5, whlch pl* a ￿￿0a1 n>le ￿ Shap1￿ our contenL A key area of k•cu5 this year has
beèn youth-OITented prov¥￿. wRh a nDtable hlghllght bethg our extenslvè t(wÈrnge ofwoyld
Youth Day In lisbon. Thrrfi numerous short IntErviews with young people and Cler￿ we
provided our audlence wlth an authffi￿ eXper￿nCe a true reflectlon ol the 5plritualv5bTr
¢)f the evenL
In ffjddi15on to our ¥)nioknz we kntroduced new programmes such as 'AbundantFy
Blessed.. which explores ihe dynamirs of larBt families. hiehllEht*n8 how they encournge one
another. namgate dally lrfè. and strengthen their faith through prayer. Th55 PfDgr&mme hos been
well roceived fèt its inspiratiLYhal insights into family Ilfe and faith In action.
Shekinah Medla Europe has atso actively facijltated retreats across worSous lotailons bn England.
fostefin8 spirltual 8fDVrth amffig parbcipants. These retreats have been open to alL offerin8
valuable opportunitles for indi•Aduab to deepen their falth and splritual coThnectlon&
Additlonally. we Iwe contlrn￿d to condurt regular onfine prayer meeting4 provldln8 an
acce55ible plarf¢Yrn for eomftxmal and refieciion.
WE extend our heartfelt watftyde to all those who hwe supported Shekinah Media Eun>pe in
èdvanclni Chrlsrlan Values and 4)IrIt￿lIty. As trustes we remaln dedlcated to furtherin8 our
m1551on by increaslng our fundra55ing effofts through Wdrlou5 events aimed at 8atherSn8 SllPPOrt
and linancial contribution&
Lookin8 ahead. WE ale committed to expanding our reath and impact. en5vrfn8 that Shekinah
Medla Europe continues to 5wv2 as a beacon of fakh and Inspirat5on. Thank you for VI￿r
continued SUPPDrt p￿nershIp In thls journey.
On behalf of the Truslees
Wlnnef Varghese
Trustee

Inde
en
ent Examlnees Re
rt to the Trustees of
SHEKINAH MEDIA EUROPE
I report on the accounts of the charity for the year ended 31 May 2024 set out on pages 4 to 7.
Responslbllltles and basls of report
As the charity's trustees, you are responsible for the preparation of the accounts in accordance with
the requlrements of the Charlties Art 20111.the ACVI.
I report In respect of my examlnation of the Trust's accounts carried out under section 145 of the
2011 Ad and In carrylng out my examination. I have followed all the appllcable Directions given by
the Charity Commission under sertlon 14515llbl of the Art.
Independent examlner's statement
I have completed my examlnation. I conflrm that no material matters have come to my attention In
connectlon wlth the examination which gives me cause to belleve that In, any materlal respert..
the accounting records were not kept In accordance with sectlon 130 of the Charltles Act; or
the accounts dld not accord wlth the accounting record5; or
the accounts dld not comply wlth the applicable requlrements concernin8 the form and content
of accounts set out In the Charities (Accounts and Reports) Regulatlons 2008 other than any
requlrement that the accounts give a 'true and falrf vlew whlch is not a matter considered as part of
an independent examlnation.
I have no concerns and have come across no other matters Sn connerti¢n with the e¥amlnatSon to
whlch attentlon should be drawn in th15 report in order to enable a proper understanding of the
accounts to be rea¢hed.
Jomyjohn
Johns Accountancy & Taxation
Filton
Bristol B57 ORG
Date 21103125

ncl81
tsl
INCOMING kESOURCES
ITrc0￿frg r•s4ur¢•$ Irtsm g•n•T•lga lund*
Voknwy 1￿cl
Iry genera)yyJ knn6y
29.949
14.703
14703
RESOLIRCES EXPENDED
Costs ol G•n•rnUng Fund¥
•ni*ie Exp¢nthbJr•
Ftthdr3wr*J Expens95
25,950
950
11.6Q6
6S9
2.302
2.771
28,911
28,911
16.332
14Ef NCOMING RESOURCES BEFORE TRANSP
1.038
1,038
11.629)
1,038
1,629
RECONCJLIATION OF FUNDS
TLXd lunas brwgN ft>rn•rtl
g,IB7
5.887
11.516
TOTAL FUNDS CARRIED FORWARD
10.928
10,926
*887
Vwgh
Tw¥
lh# knni part ot Ui¥8¥ sta14nhhl

7.818
CI)IUIENfA85m
1437
2.437
14J7
2.437
2,429
2.A29
(72DI
172D>
,Y17
1.n7
14•2•
867
CREDITORS
92•
Iom ¥,
I￿918 1847
TOTAL PUIItsS
10,928
10.926
•ThJ *or*tt on hs tehall by
Winnw Vore

EK
NAH MED
Notes to
Ista
ents - continued for the Period 1June 2023
24
4. TANGIBLE FIXED
Fixtures and Fittin
COST
At 1 June 2023
12,214
Additlons
Dlsposals
At 31 May 2024
3.693
15,907
CIATIO
Al 1 June 2023
4.397
ChHrg8 for the year
2,302
At 31 May2024
6.69
Al 31 May 2024
9,209
Al 31 May 2023
7,818

SHEKINAH MEDIA EUROPE
Detalled Statement of Financial Actlvitles for the Year Ended 31 Ma
2024
2024
2023
Incomin
Resources
Voluntary Income
Donations
29,949
14,703
29,949
14,703
Actlvltles for Generating Funds
Auctions
Other Incomlng Re80urces
Miscellaneous Income
tsl Incom
29,949
14,703
urces Ex
end8
Charltable Expendltures
Production and Programme Costs
Donatlons & Gifts
25,950
10,446
26.950
11,606
Fund RalsSng Expen388
Events Cost
Governanc6 Cost
Legal & Professional Cost
Bank charge8
Website Costslzoom
Telephone
Stationary
Accountan
2,678
93
72
45
106
360
659
2.771
Depreclatlon
Fixtures and Flttings
2,302
2,302
1954
1,954
Totsl Re8ouicse Expended
28,911
16,332
Net Income
1,038
(1,629)
This page does not fomi part of the statutory financial statsments