REGISTERED CHARITY NUMBEIL. 1191754
SANCTUARY OF PRAISK INTERNATIONAL MINISTRIES
REPORT OF THE TRUSTEES AND
FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2023

.%A.X(.'I'IJAIIY ()1 lJElIll.Sl.. l.%'I I.,IINA'I'I(J.XAI..MI%IS'I 1111.%
Fl
NC
STATEMENTS
FOR THE YEAR ENDED31 MARCH 21)23
Page
Report of tbe Truitets
I to 3
lttdep¢thd¢ut Esamlwr'$ Report
ststethefjt of Fl4•n¢l*l ActfvitieS
Bllance She¢1
Iyolej to the Fln•ocknl StsteJBeTrts
Detslted Stthkmettl fjf Fln•ntl•l A¢dvltl¢J

PORT OF THE TRUSTEES FOR THE YEAR ENDED JI MARCH 2023
The Board of Trustee4 who are the trustees for ¢h*ity law submit their annual Teport and the fmancial ststements of The
As5¢mblie5 of God Back io G(Kl Tn]st for the year ended 31 March 2023. The Board of TTr￿ u)nfums that the awiual r¢port and
rmancÉal statements of the Charity compty with current sta￿l0ry requirements. the requiremet)ts of the CFthrity's governing document
and the provisions of the SMement of Recommended Prxtice {SORP)'A¢¢outtting and R¢wxting by Chariti* (revi￿d 2(K15)'.
itructsre* goverJLgnee and Man4￿ment
e 3 Trustees are:
. Daniel Karnara
Dr Premini Balasekaran
3. Donald Thengele
Th¢ TTU5tees play a primary roIe in ensuriDg 8(￿ Bo¥ern*Ke and functioniDg of the fouDdth. The Bohrd's rol¢. fi￿￿tionS and
responsibilitie5 are quite clearty defmol.
The Ctwity currently h&8 8 ￿11¢8￿1 team of Advis(ry tK*vd m¢mbeTh in the UK who have helFvJ to secure fllwicial suppon and
contribuie to the fvture p]anning of the organisatil￿.
-overning documen
Sanctuary of Prnise International Ministries Trs an unincorFrf)r*ed tharitsble organis&ion Yegiknd as a L*arity OD 12 (ktober2020.
The charity is governed by a CIO document Tntst deed d￿ed 12 (ktob¢r 2020.
ecruitment and appointment of trustees:
The m¢mbeT5 ofthe Generdl Tn￿ Board are tr￿ f(r the purww of ¢knity law. New trustees may ￿ ap￿)Intrd by resoluti(￿ of
a meeting of the trusiees.
Much of th¢ charitys work fLXU5es uyjn the of the Chri*1￿ r¢lIgI￿ and the nything aDd m4int¢nanc¢ of its platts of
worship.
The General Tntstee Board se¢ks to ensure that the needs of this group are ￿t]￿ted through the diversty of the trustee
body. To cnhartce th¢ potential pool of trustw the charity h4 thTough selective *Jvertistng and rtetWOTking with voluntary
organizations active in the Sec￿r. sought to identify those who would be willing to Etcome membcT5 of the charity and use their own
experien¢¢ to assist the charity.
sk Management
We are committed to a Folicy of identifyin& monitoring and managing the risks tbat tlliBbt ther5ely affe￿ the activities in which we
are involved. In thtS ci)ntexL risk is defjned Is the Im￿entIal to fail io xhieve chariry objeriiv¢5 atKI for los& f￿￿￿tIal and reputational.
inherent in the environm•]t in which we operate in the nattur of the underthken.
The principal risk of the charity has been its dewdenc¢ on voh]ntary income. Tru5te¢s have iniliatrd various wKesS¢5 to mitigate
such risL so that the charity has suffKieni reserve in the ev￿1 of therse condiiion(s).
The tn￿tee$ have also examined other Omi(￿1 atKI IMLsin¢ss risks which face and ¢￿fiErn that they have tsken s*ps ￿ miti84tr
th¢ significant risks.

REPORT OF THE TRusfEES FOR THE PERIOD ENDED 31 MARCH 2023
ublic Benellt:
The Tn￿teeS have compliea with the duty tn Section 4 of the Charitie5 Art 2006 •nd have paid due rrg¥rd ty publi¢ benefit wheD
preparing this rerort. The benefit provided io the public is consis*nt with the aims of the charity fftn UK.
)blectlves and actlvlde&'
To 4dvon¢¢ thc Christian Faith thr￿gI￿ul wai￿ for the beD¢fi¢ of the pJbli¢. m4inty iNJi not exclusivety, thnNJgh the holding of
prayer meelings and prayer camps. evangelical rnisston& cekbration of Teligious re￿ivalS diStritr￿I1￿8 I1*rth￿ and bTo*Jwtin8
about Chri51ianity lo enlighten other5 about the Christian faith.
",Inanclal revlew:
The largest Conth￿tiOft io the ch•ity for the ytsr cam¢ fm genernl offerings Thecknity has t¢8un its clwttsble ¥tivities from
April 2020.
Th¢ Charity Currently aims to designate the tirtal fund rtteived kss expenses for the mliti objeclive of the dwity.
lans for future perlod&"
The Charity plans to develop various fvndreising strategy io include m•Tketing. Besides rn￿S m•rketing Ind events, the chvity is
aiming to a¢hi¢ve its iargets through securin8 donatio￿ from willing individuals. A deveknpnent ix)ard may created to help include
other avenues of ￿this1n8 included in the yearty progrnnrne.
'tatement of Board of Trustees, responsSbllltles
The Board of Tru5te¢s are resp)nsibk for prtparrn8 the Annu*l the financi•l Aatrments in with applicable law
and United Kingdom Generally Acc¢pted A¢¢ounling P￿tiCe.
Charity law applicable ￿ ¢harities in Eng]an&Wales rtquires the Board of TnL%*S W pr¢pue financial ststem¢nts for each financial
y¢ar which gives a true and foir view of the stale of affairs of the Clwity and of the swplu5 or deficff of th¢ Charity for that Feriod.
preparin8 those fJnan¢ial $￿ements the knrd of Tn￿￿¢S bav¢:
select￿ 5Uitabl¢ accounting p)licies and applied them
Made judgments and estimat&q that aT¢ r¢awnable
Statrd wh¢th¢r applicable accounitng stsnd4rds have been folbrf SUbi￿t w any M*r1￿ depwtsr¢s disclowj and
explained in the fmancial sthtrme#ts' and
Prepar¢d the fIr￿1claI statemet)ts on a 8(￿8 ¢onwn knis (unle5S it is inaF1XW lo prwume that the CharTrty will ¢ontinue
in (Trperation).
The Board of TNst¢es has overall responsibility for ensuring the Charity an apFKow systh of contro15, financial and
otherwise. They are also responsible for keeping proper xcountin8 recoTth which di5c105e with re&80nable 8rcuracy at any lime the
financial ￿SItion of the Charity and enable them io ensure th¢ fin•¢iil 5tstements cthnply with the Charsties Aci 1993. They are
a150 respoftsibl¢ for 5afeguardin8 the awts of the Charity arml hence for taking re&Mx4ble steps for the detethion and prevention of
frnud and other irrr8ulariii¢s.

SANCTUARY OF PRAISE INTERNATIONAL MINISTRIES
REPORTOF THE TRusfEESFOR THE PFJUOD ENDED 31 MARCH 2023
The Board OrTn￿le¢S is responsible for the maiDleDanc¢ and iniegrily of the carpordtr aDd fjnancial iD(otmation. 14ksl#tion itt the
United Kingdom 8overnin8 prcparntion at)d diEwninaiion of fiD#neial stste4Dents mtydiffer from le8islation itt other
jurisdictions. Statemcnt of di5clostsrc ofinfom￿ts0ts lo independent ￿aMiner
W& as the Trnsiees of the Chortty who held otTK¢ at the dat¢ ofapprovaiof these fmatte1￿ st8*ments As set outots PAge 2 uch
confirni, so far os we 9re aware. that:
Ther¢ is tto relevant inf0m￿tion ofwhith the a￿1￿8 exami￿r￿un1W4re. and weknave
tak¢rt all the sttps thatwe ougiit to luve taken as Tn￿1¢￿ in ordcr to mak¢ ourselY¢s aware of any relevant inf0m￿tIOn
and to estsblish that the chariils independent uaminer is aw￿¢ of that iDforn)ation.
Independent Examiner.
Th¢ Charitys Indep￿￿]ent ¢xaminer. NF Financial sO￿tiOns Ltd Clo GcK)d to Give L￿. indi¢ated their willingnw to offer
Ihtmselves for appointmenL
This reportwas ipprnv¢d by the Tn￿le¢S on •nd 8i8ttd on theirbeh&lf ly.
JATrJi&L 14frrf84
Ngme ofthe Trll￿ee
Date:
l £-03-2+
Page 3

INDEPENDENT EXAMINE
MINISTRI
REPORT TO TH
RUSTEES
UARY OF PRAISE IrrtERNATIONAL
I retK)rt to the charity tTh￿tee8 on my ex8rnination of the accounts of Sanctuary of Prnise International Ministries
{theTn￿t) for the year ended 31 March 2023.
Responsibilities and basis of rew>rt
As th¢ charity ln￿teeS of the TTr￿t. you are resp)nsible for the preparation of the accounts in accordance with
the requirements ofthe Charities Act 2011 ('the Act,).
I report in respect of my examination of the Trust's accounts carried out under section 145 of the Act and
in carrying out myexaminalion I have followed ail applicablc Directions given by the Charity Commission
under section145(5Xb) of the Act.
JDdependent eiaminer's statement
I have completed my examinatton. I coftfimi that no material matters have come to my attentton in connection
with the examination8iving me cause to believe thal in any malerial respecl:
accounting records were not kept in respect of the Trnst as required by section 130 of the Acl; or
the accounts do not accord with those records: or
the accounts do not comply with the applicable requirements concerning the forni and ¢ontent of
accounts set out in the Charities (Accounts and RepK)rts) Regulations 2008 other than any requirem¢nt
that the accounts give a lTh￿ and fair view which is not a matter considcTed as part of an independent
examination.
I have no concerns and have come across no other matters in comiection with the examination to which
attention should be drawn inthis report in OTd¢r to enable a proper understsnding of the accounts to be
reached.
B K A C S Rodrigo ( Bsc Accountancy, MBA, ACASL, FFAIFIPA )
Direclor
NF Financial Solutions Ltd
CIO Good to Give Ltd
The Retreat, 406 Roding Lan¢
South Woodford Green, Essex IG8 8EY
Date .
19 March 2024
Page4

STAT
MEPiT OF FINANCIAL ACTIVITILS
ENDED
MARCH
2023
2022
Unrestricied
FuThd
FWKI
INCOME
9.831
IlJ99
Total
9031
EXPF.NDITURF.
CTrwi¢able K¢ivities
Governance Co
10.168
810
17,021
Totsl
IQ978
17J61
NET INCOMFJ(EXPENDITURE)
(1,147)
(￿62
Tothl funds f(rn
(6262)
TOTAL FUNDS CARRIED FORWARD

SANCTUARY OF PRAISE INTERNATIONAL MINISTRIES
BALANCE SHEET
AS AT 31 MARCH 2023
2023
2￿22
Unrestricted
Fund
Unrtstricted
Fund
Noies
FIXED ASSETS
Tan8tblc assets
CURRENT ASSETS
Prepiyments and Other Debiors
Cash aibank
1.763
1.763
CREDITORS
Aniounts lJlling due within pr
(8,231)
(8.026)
NET CURR￿￿ AssErs
17AQ9)
(0.202)
NET ASSETS
09)
(￿62)
FUNDS
Unreslrlcted Fund CIF
(7,409)
(6262)
Thc financial stalemcnts w¢r¢ approved by the BoaTd of Tnk8tees and authorised for issue and were signed onits
(Name oftheTnthee)
Trustee JAfyJltT
Da*:
12-03•
Pa8e

SANCTUARY OF PRAISE INTERNATIONAL MINISTRIES
OTES TO THE FIN.4NC.1.4L STA TEMEliTS
FI)R THE YE4R EYDLD31 MARCH 2(ILI
ACCOUNTING POLICIES
Basil of prep*rSAg the f￿￿￿¢1￿1 st*leffjMts
ThL finarhLkal slalLfiK'nts of ihc LhaTily. whilh is a ￿blIC t&Yxfit cntiry undcr FRS 102. havc Prlryyar￿ in ycwrdanL¥
with thc C'hari¢ic% SC)RP (FR% 1021'A¢counting and Rq￿Ing by Charities.. Stsicmcnt of Rc£omTncndcd PracliLC 8pplicuhlL
t() ¢hariti¢% prwng their accounts in acu*rd8TKe with the Fit)8Kial R¢pMing Srandard applicable in the UK and RLpubliL
(Trf Ircland IFRS 1021 IcffLLtiVe l January 2019}'. Financial Rcw)ning S￿￿ard 10) Thc Trinancial RcFKJrting s￿ndard
appliLablc in Ihc UK and Rcwblic Ofirela￿l. a￿j th¢ Cthiiies Ali 2011. Tr finwKial have ￿ert preparL￿ undcr
Ihc hi%tOriLal cost convcntion.
All inLomc is recogni￿lj in th Sth*meni ofFIna￿￿1 Aciiviiics once the ¢h•rity Ims entiilcmcni to thc fim¢k. il is probabl¢
thai the incomc will bc reccivcd and the an￿¢ can be rclia>ly.
b'xpenditure
LidbililLL% afL reL0¥niV￿ &% expendiiuTe as s(x)n os thu¢ is a legal or mtruthive vblikvalion Lommitting the ¥hariiy 10 that
LxpLndi1u￿. 11 is prt)trtrablc thal a trdnsfcr of ccunomic IKncfits will requirtyj in id1lemL￿l and th¥ amount of thL obli&raiion
Lun k. mL&surcd reliably. ￿:x￿ndli￿1C 1$ aciuunied for on an accruals b&%is aNI has b¢cn Llas'%ified undcr hLadinbT% ih¥t
regalc all Losi Telaled Iij th¢ caiegory. wk.re ¢VSL% unnoi directly attribuied to particular h¢adinu%. IheyhJve b¢¢n
&llocaied to activitics on a basis consistent with the use of resourcei.
I h¥ ihdnly Is cxempt from IAX QO its ¢h•rithbk xiivitie&
'und *reounting
UnTL%inLl¢d ian ￿ used in 8¢wro￿ with lh¢ (l￿n￿bIC thjc£tiv¢s at the di￿r￿lI0￿ of the tru￿¢¢&
RisiriLi¢d funds can only b¢ uyd for partKular rcs¢rictcd puryjov. M'ithin the objects ofthe Charity. RestriLliorLS ari%¢
hLn speLifJ¢¢J by thc donoror whcn fund% are Tal￿d for paniLular r¢stri¢icd pur￿5£S.
Furthcr cxplanalion of the puryM)sc of each fund 15 I￿l￿d￿ ia not¢5 to the finan¢ial sthtrmettts.
TRU%TEkS' REMUNERATIOI AliD BENETrITS
There were no trustees. remuneration OT other benefits for the year eNJed J l mS￿h 2023.
J C.R*:DITORS: AMOUYTS FALLING DUE WITIIIli OliE YEAR
2023
2022
Olher Creditors
Ac¢rued Expen5e51 Gotyj ￿ Give )
6.796
1.435
6.74)6
1.230
&231
8.026
Page 7

SANCTUARY OF PRAISE INTERNATIONAL MINISTRIES
DETAILED STATEMENT OF FI￿ANCIAL ACTIVITIESFOR THE YEAR ENDED 31 MARCH 2023
2022
INC()ME AND ENDOWMENTS
l)on*tion5 8nd le%•cie5
orftring and ￿)natiOn%
Tithes and Thanksgiving
1.51)9
HMRL-Gifl Aid - Chariiy
9.831
11.599
I.F.SS: F.XPENDITURE
L'haiilablL D()￿lI(￿n5
110spildliiy WLllar¥
RLni
MisLLllanLOUS
ALciiunlanLy
2.61W
744
2.957
2.2111
6.749
3,859
810
5.42%
X4U
10,168
17.1161
Nel {Expendli￿reFIntoffje
11.1471
{6.2021
Thss pagc does not torm part of th¢ slatutory finanLial 5talemcnts
Page 8