REGISTERED CHARITY NUMBER: 272021
REPORT OF THE TRUSTEES AND
FI]YANCIAL STATEMENTS FOR THE YEAR ENDED 30TH SEPTEMBER 2023
FOR
WORLDWIDE MISSION FELLOWSHIP
Leroy Reid & Co
Chartered Certified Accountants
and Statutory Auditors
299 Northboroush Road
Norbury
London
SW16 4TR

WORLDWIDE MISSION FELLOWSHIP
CONTEIYTS OF THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 30TH SEPTEMBER 2023
Page
Ref¢renc¢ ond admlnlitr*tlve d¢tall#
Report of the trustees
Report of the Independent iudltovs
Statenwnt of tlnancl81 actlvltles
Statement of fln•nclal posltlon
Statement Of eaih flow5
10
Notes to the Iln*n¢l•l itAtements
I I to 17
DetAlled stAtemeThl IlThan¢l•l 8¢tlvltle8
18

WORLDWIDE MISSIO14 FELLOWSHIP
REFERENCE AND ADMIIYISTRATIVE DETAILS
FOR THE YEAR ENDED 30TH SEPTEMBER 2023
TRUSTEES
Rev Dennis Greenidge
Rev E¥th¢r Taylor
Miss Denise Peart
Mr Mi¢hael Hosatwh
Mrs Patricia Richords
Mr Cristopher GritTIth
M5 Janet Handy
PIUNCIPAL ADDRESS
43 Au¢klanil Hill
Webi Nonyood
London
SE27 9PF
REGISTERED CHAIUTY
NUMBER
272021
INDEPENDENT AUDITORS
L¢roy R¢id & Co
Chart¢rcd Ccrtifi¢d A¢countanis
and Statutory Audiior8
299 Northborov¥h Road
Norbury
London
SW164TR
Pag¢ I

WORLDWIDE MIS8IOP4 FELLOWSHIP
REPORT ()F THE TRUSI'EES
FOR THE YEAR ENDED 30TH SEPTEMBER 2023
The truste£s prescnt ihcir report with the financial stateinents of the charity for ihe year ended 30th Sept¢mber 2023. The
Inslees have adopted the provisions of Accounting and Rcporting by Charities-. Statcmenl of Recommcndcd Prarti¢e
applicable to charitie5 preparing their accounts in accordanLe with the Financial RLporting Standard applicable in the
UK and RepubliL ofireland (FRS 102) {¢ff¢ctive l January 2019).
OWECTIVES AND ACTIVITIES
Objeetives And alm$
(a) To spread the Gospel of Jesus aecording to the fundamcntal trnth of the Holy S¢riptures wilh the object of reaching
Ihc UD$pved and puinling th¢m l(Tr ih¢ Lord Jesu￿ Christ th¥ir gaviour.
{b) To ¢8tabligh ¢hur¢h¢s throughoui England b¢yond for occompli8hing the PUnM)SC 8Ct forth in paragrdph lal
above.
{c) To prumotc Christian Fcllowship &mon¥ all born-again bclicvers.
{dl To establish an¢J maintain such departmenly and in5tilutioN as may b¢ n￿¥$12ry lor the prDpagatian of the gospel of
Jesus Christ and the work of thi¥ fellow%hip.
Page 2

WORLDWIDE MIS8ION FELLOWSHIP
REPORT UF THE TRUSTF.ES
FOR THE YEAR ENDED 31bTH SEPTTr:MBER 21123
ACHIEVEMENT AND PERFORMANCE
c.harity overview
We are s¥iHteful tLI (iod for another successful year. Our weekly Sunday services have been at full capacity providing
Ineinb¢rs and visitors th¢ opporninity to ineet worship. Our weekly pray¥r m¢etinu& un Tuesday evenings and Friday
morningFs provide a forum to refleLt and pray for issues at lar&>e and within OUT local cominunities.
This year hos been one of jubilation and reflection as we celebrated 70 years of ministry by co-founder. Mdry Anita
Gr¢¢nid¥yL. R¢fl¥ciingr un our juurn¢y fcllowship. WL T¢jl)iced over God's faithfijlncbs and the ot]u￿1￿&T ijispirdlion
Ihal Mary Anita Greenidge continlies io be io many. A beaulifiil thanksgiving $ervicc w￿5 h¢ld in November 2U22,
allowing mciTLb¢TS to r¢fl¢¢t on our h¢Tilag¢, folluw¢d by a i'¥Leption and dinner. where ministcrs from arvund th¢ world
gave tributes.
C.harltAble acliv5tles
As part of oiir commLinily 4uppi)rt pragrammc, w¢ h¢ld aur firsl annual 'comm￿nItY eost of IlvlnE day, in Novcinber
2022. thi5 focus%ed on enipowLI'ing members and the local community with Ihc loo1% to mak¢ L55elltial savin¥& and
incr¢dSC fjnancial cducatiun, W¥ dl%o had the plcasurc ol. a guesl %pedker froin Croydon eounLiI who Ldmc and gave a
liort seminar on enerby savings. suppon and urants availuble to the elderly, pLoplL living with dibabilitiLs oi. in need of
support.
Tlic E5thL&r Outr¢Ach qe$8lOn8 continued throughout ihe year providin¥ workshopA 10 c.are expLriLnced young ￿0p]e in
our loLol Lommunity. In late auiumn of 2022, Esther OuirLdch voliinlccrs, along with key fI￿Ur¢I Irom Ci'oydon LLuving
c.are and young p¢(Ipl¢ 8erviccg, oltended the national C.hildr¢n ond Young People Now Award5. Thi8 event wa8 un
exciting and unfiTrrgcltable experience for Ihc young peuplc fri)m Ihc Esihcr Outre45Lb.
We werL' Jl%i) dLlightcd i(Tr wilnes% one of i)ur Lttrc IcdvLf8 gct marricd and giv¢ birtli lu hLr fir81 child. This milLslonc
was a joyuus Tnumenl, markin¥ h¢i' tran%ilion inlii adulihii()d (Jfici. u 8ix-ycar journey with uy, triily a succcss.slury.
Fathers & Suns mlnl%try Li)nlinuc¥ Moi)day eveninbY%. It provide& #n opportuniiy li)r yoiinger and i)Id¢T mcn from
wiihin the lelliiw¥liip aiid Ihc loLal coininunity to gla￿ ther and pl4y fu(>tbtill to¥clhcr. Ai halftiillc. <)nL ol. Ihc IbAders will
share a word of encouragemLnt FIDln Ihc Bible. Thcrc are between 2U an¢J 30 Inc'n that gaiher we¥kly fur this.so%sion.
Deecmber saw our lirsl annual Chrlstmas F•yre which was open io Ihc loLal Lommunily as well ab mLmbers, this w#y
trLinLndou5 5ucc¢$s, &howca8ing the rich thlcnt wiihin Ihc Fello￿%hIp providing a forum to Support IOLUI arli¥¥4n
bii.sinebse&.
Our cn(l-Df-ycur Prayer Retregt f(?LU.%cd nn providing mLnibLrs willi o quiet Telrcal to ¢nabl¢ ihem io s¢¢k CIod's
direction for thL UP¢()min& yegi r. Thib w85 a time of reflvLli()n lliid spiritual gro￿11.
In January 2021, Ihc Men'% Retreat al Ashbunihain Placc was a special time of prayer and fellowship, wherc fifty men
811hcred to cxperience Ihe prc.%encc ol. Ihc Lord.
Over th¢ wcckenil of the 17-19 February 2023. th¥ 'Women of Destlny, Fellowship ConfLrcnce took place. Th¢ theme
Wdy 'Thc KingdL)In i)f God is Within you., Thi> uniqui ¥vcn¢ .%aw woin¢ii of diff¢iLnl nalionalilie%. culiurLS, dnd age
Froup% brLakin¥ duwn generaliunal dnd cultur#l barriers, wotshipping, bludying the Word of God tog¢tl)er und 5hurin
life expiricn¢¢s Jnd the goodness of God.
In MuTch w¢ ¢nj(Try¢d a night filled with exuberant praise alld woryhip lcd t)y Bjarne Aslakb'en frL)In Norway. This was
followed by an outstanding Youth Night them¢d 'L¢t Us follow Jcsu% To¥cthcr."
During April 2023, thc Worldwidc Mission fcllowship annual PI550ver CoThftrence wa% hcld. This is always a .spc¢ial
time of fellowship, connccting wi¢h oihcr bclicver% lar cind near, rcceiving empowcnncnt from the Wold of fjod and
cncouragcincnt to continuc in tl)c walk of faith.
In May w¢ launLh¢d GCSL Revision cl855es lo students from within (Trur member cominunity siru¥8ling in Mathematics.
Tutoring supporl was offered weekly on SatLirday momings.
June 2023 featured a well-received Communlty Hcallh Day. This featured 5eniinars and h¢alth Lhecks Irom sevenieen
In¢diLdl professionals whu vuluntcered their tiine Iv otTer suppori and advice to m¢mber5 and thos¢ fwm the local
Lornmunity on all things p¢rtaining to health and wcll-txing.
Pag¢ 3

WORLDWIDE MISSION FELLOWSHIP
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED JOTH SEPTEMBER 2023
In Augusi 2023. we held our communlty sports day and pScnlc which was open io members, friends and family. This
¢v¢nt g¢neraled fftuch laught¢r dnd fun providin8 d SOLldl ti]n¢ f¢)r diffei'enl generalions to LonneLI and havc fcllowship.
Additi(Trndlly, th¢ Sincere Prmisv Choir witli ininislers from the fellowship had ihe privile&Fe of undertaking a mission
outi'each trip to CrLl&tia. They received a warm reLepiion and were a great ￿nC0￿ra￿en]¢nt to the Body of Christ as they
cn¥aged ill evunuclibm. reachiD&i Don-LhurLh¢d peopl¢ with ihe Gobp¢l.
Wc are so ¥rat¢ful tu Cjod for the conlinued fellowthip wc have with the luul ¢hurches. and it has bccn a joy to hive
times of PTaycr and fellowship wgether.
The Homeles8 mlnlslry team wcre able io reach out 10 the homeless in London and Northampton. We th&llk God for
their laiihfulness.
In latc 5uminer 2023, po%t rcnovalions to our outdoor arca$, WWMF hosted u burbcquc on a gloriously sunny day. wilh
members invi11n￿ friends and lamily ￿ join. li was wonderful io see IhtssL who do noi usually alt¢nd church enjliy ihe
cv¥nt and delicious food, willi many expr¢%sing a dc8irc lor siinilar fiilure evenls. Thc ¢vLnl provided social iiilcraction
for those who may not Iisually be able io connect wilh oihers.
Throughout this period, WWMP was abli lo purchasc new audio and visual equipmcni lor the ¢hurch and carry out
IULh-nLedcd relui'biyhmcnl%, includinLI l&ying nLW cafpLI in IIIL main sanctuary and UPbTradin¥ the tsulsi(i¥ ar¥as with
new ouidoor sedling und plant$. Thcsc improveincnis havc greatly enhoiiced our wurship and follvwship spaccs.
We are extremely grateful to oui. mini8ters, membcr.i and volunteer workeT¥ fur their ¢ominiirn¢ni. 4upporl and hurd
wtsrk thmuglioui the year.
WL look forward to Lhc cominB ycar. willi Ihc Lord'% hclp we will coniinue to ￿lfIl oui. aiins, obj¢¢tlVCb jnd building
plany,
'INANC.'IAL RTr'VIEW
FinAnciAI posltlon
The silllemcnt iTrt rinmncial JLtivitie.% ¥hows a net ¥iiiplus f()r the yeur ol. £143,840 12022- £165.071} and reservL of
£(>.2fi6,247 12022- £6,122.407}.
Th¢ preyLnt ICVLI ot. fundinu is adeqllllte t¢) 5UPPOrt lh¢ Lontin￿lIon uf tho Church's s¢rvi¢¢% for twclvc mnih¥, and thL
Irusices con$idcr the linanLial po%ition (>l'ihL cl)arity tu &thiisfaciory,
PrlnL,Ipthl fundffing Bources
Chui'ch members uiving and ollcring Loiitinucd to bc thc main sourcc of income and fur the financial year iindci. rcvicw
donations werL. L345,940 {2022: £307,660).
Investment polley And obJeetlYes
It is oui. policy lo invc5t Iiur fund¥ balanc¢s on our Dcposit Account lo crnsur¢ a r¢asonablc rcturn in tern)5 of intcrest
and long-tcnn protectio￿ froin inflation.
Reyerve¥ pDIIcy
li 18 Church policy lo niaintain a balancc oil umcslriclcd tiinds (if p0$5ibl¢l. whi¢h ¢qiiatcs to at leas1 thrce months
unrestriLted payments, ¢quival¥nt to £53.UOO, lo ¥ov¢r ¥m¢rgcn¢y situations that MAY arise from limc to time.
S'I'RUCTURE, GOVERNANCE AND MANAGEMENT
Governlng document
The charity is controlled by its governing documenl. a deed of trust and con¥titute5 an unin¢ory)ordt¢d chariiy.
Chorlty ¢ott$tltutlon
The org8nisution 14 8 cl)arity govcrned by a con4tittition adopted on the 30th January 1999.
Reeruitment and Appointment of truytees
Mo%t trust¢es ar¢ already familiar with lh¢ practical work of lh¢ charity. Additionally. ncw truslees arc invitcd and
encouraged io attend a series of Short training scssions to familiarise themselves with the charity and th¢ context within
which it opcratcs.
Page 4

Iv
)Rl.l)IV
STRucniRb., Gq)Vfr'.RNANC.I,,' AP411 MANA(vTr.MF.NI'
C)rgaDlxnllonAI ilriittiir¢
Woi'ldwi4lc Mi.8$ion l.clli)wylili) li Il￿ l)y Ihe SL%niiir Pnii(Ir R￿, l)cnnlq (Ireeniilg¢ And liev. IIAiher R '[ Hylor WI￿ ￿Ve
or¥nni¥ixl ¥Li IhThi IIIL Ini8tccs iiiccl rLMiilnrly lil Innnll¥c 11.4 iiifAlr8. Iltsili Pu91iirA cmployce4 of Ilie ('h0rily bB4eil
the recomiiieiidilioii i)r Ilic IliJNnl ill I'ni4lcLiS niid Ilie Aiipri)vHI uf IIIL, I,'li*rlty Cnmmiy9iDn No thrlhci di8cIoAiJre i¥
Rlsk mifvfL£ement
Thc Ini%ltL% hAir li dilly til ideiilify ￿lid rvvicw Ihc risky li) wliiLIi Ilic chArity li LXp￿ed •Nt lo ¢niirrc appropri&t¢
tcinlN)l% iii plnc'.c lil iinivide rrAsonablc 4$511fAllCC llgpitist fiaiid And error.
"IINIXS 111.I.I) AS f.IISIX)I)IAN (Il'llll ILS
I'hi ("harily Ilid ni)I hnlil Ally fibnd% Al eiislnLIi8ll8 for oih¢wJ
TRU%T*.F.S' RE.%N)N%IBTI,II'Y.41'ATI,:MTr.NI'
Tli¢ Ini81L￿* ￿re TL'yN)nsiblc tor Prcpariiig Ilie R¢w)rl vf Illl. Ini.41c¢• Ihe fiMnLial 91Al¢menlJ ift acCord￿n¢t wilh
pplichhlc liw Dnd Ui)ilcd Kiii8111)iii A¢cli￿ni1n￿j Sian(l&rd4 IUnilLd Kinlldom (iL'nerilly A¢cepl¢d Ae.coitnting PtHelic¢l
iiicli>dinB finan¥ial Si8iidard 102 'Tlio l.'Ii)Jll¢iHI R¥￿)rling SIAndihrd upplicablc in Ihe IIK Rnd Republi¢ or
IrelAnd"
The I•w Applicahlc tty Llihrilic¥ in I'.ngloThil and WAIL$. Ili¢ Chaiilies Acl 2011, C,'harity (Accounti irtd Repor181
Rc¥ulalion& 21M)l& And thc pr(Trvisions of Ilie Iniyi ¢JLL4J reyiiirL8 Ihc Irusle¢$ l(I prcpRrc f1nancial .4lAt¢n￿nt4 fvr ¢dch
rill￿nL1&1)'Ldr which give 8 InJL llnd fair vicw of Ilic slai¥ ol. lh¢ chaiily und of the iiic(IminLI rLWILrLes and
pi)li¢alT(In of rc%our¢c4 iiillildin￿ ihr iiicvinL 8nd LXPCn(liiur¢. of th¢ charity for tIiAI periiKI. In pr¢paring ¢ho8e
linancial 51Otenienls, Ihc thjilccs arc rcqiiircd lo
5Llecl 5uilable accoun111￿, puliri¥$ und Ihen Jpply Iheni CLTrn$ixi¥nllyi
ob5¢rvc (he InL*ihod& aiid principlcs iii iho CIIiTity SORP,
mllkc jvdgcmenis and eyllrnnte% that are rexsiinable and pN(Icni',
liaie wheiher appli¢ublL acciiunlingi %11￿da1.dS hav¢ bL'¢n folluK,d. %ubjwl li? lltty nwtLriJl d¢partur¢% di5cloi¢d YT
explaITh￿ in the finan¢iul $I411¢¢￿n1￿.
pr¢p8Te the financiAI slaiemeni8 on ihe going Loncern basis unlc%% it 1% inappropriali itt presume Ihai thc ch8rily will
¢ontinuE in bu5inc¥¥.
The Arc rexponsiblc for kcLpin¥ prop¢r JCLuunlin￿ IYCOTds whiLh disili)*¢ with reuson4blL aceuracy Jl any limc
Ihc fillaTrEial pubiiton of lh¢ ¥hJriry llnd io enable ih¢m 10 ¢nsufL th81 the finiinLial Sthlcmonts comply willi the Charill¢S
Acl 201 l. th¢ Charity (AcLounts and Report51 RLgiilAiion5 2008 and the prvvision5 of the ITU&t deed. They arc Ll&u
responsiblL for 8af¢Euarding the as%1.¥ of the chaTIIy And h¢nLC lor takin8 TL￿)ndhI¢ steps for Ihc PTcv¢ntion artil
d¢l¥cltorh uf fr8ud an¢J oihcr irregulaTilies.
Approvcd by order of the board ofttwyieex on .%.P.¥k.SuhA.laH. and 5i8nC4t on IL8 bchJlfby'.
R¢¥ F.stheF Tdylor- T
slee

REPORT OF THF. IIYDEPF,NDENT AUDITORS TO THE TRUSTEES OF
WORI.DWIDE MISSION FELLOWSHIP
Opinlon
Wc havc audtted the fJn8ncial staiemenls of Worldwide Mission Fellowship (the 'charity') for the year ended
30th September 2023 whicli Comprise the Statement of findncial activities. the S(atemenl of financial po8ition, th¢
Statejnent of casli Ilows and notes to the finallcldl statem¢nts, including d yuinjnary ot- significant aLcounting puliLies.
Th¢ finai)Lial reporting framework that has been applied in ilieir preparalion is applicable law and United Kingdorn
Ac¢uuniin& Siandards (United Kingdom Generally AcLepled Aeeounting Prdclieel, including Financial Reporting
Standard 102 'Th¢ Finan¢ial R¢portiryg Stsndard applicable in the UK and Republi¢ of Ireland,.
In our (Trpiniun th¢ fiTwicial 8tatements-.
give a uue and fair view of Ihc slaie of ihc ¢hariry'li affairs as at 30ih S¢piember 2023 and of its incoming rc8ourcc8
li Jppli¢ation of rc81)ur¢¢s, for th¢ ycar thcn ¢ndcd;
havc bcen properly prcparL.d in aecordancL wirh United Kingdoin (yenerally Acccpicd Accounting Procti¢e, including
Pinaneidl R¢porting Standard l a2 Thc Financial Rcporting Standard ypplhcablc in th¢ UK and Republi¢ of Ircland,.
and
havc been prepared in accordancc with the r¢quirem¢nts of th¢ Lhariti¢s Act 2011.
B85is lor op5nlon
We LonJuLl¥d Our audit in acLordaiice wilh International Sidndards on Audilin¥ (UK) IISAb (IIKI) and applicable low.
Our respun5ibililic5 undLr thosL' standui'ds dfL fvith¢r dLsLribcd in IIIL Auditors, re￿ponSibilItieS for the Hudil i)I' the
findncial st4tLJnenls seciion ol'our rL'pon, WL al'e indLpendLnt ol'the Lharity in accordance with Ihb cihiLal rcquircmenis
thkni are relevani 10 our uudil Il)¢ lindnLi414lal¢m¢nts in Ihc UK, inLluJinu th¥ FRC'.% Ethical Siundard, and WL. have
fulfilled Our oiher ethical responsibilitie8 lil aLcordanLc with Ihcsc reqiiirLmLnt8. We bclieve thul thL uudit LvidcnLe w¢
havc obtained is %ii(]ieiciit appropri4t¥ tu prvvide u basis fur oui. vpini(Trn.
Con¢lu8lons relAtlnR to %ulD% conrern
In aiiditing th¢ finunlial btutement4, we huve concluded that the trusiees, use of ihe going conccrn basis ofaccounlin¥ in
the pr¥paraiion uf Ih¢ fLn?n¢iÈtl %14t¢m¢nls is bppropTial¢.
B&.%Ld i)n the wiirk we huve perfornied. we havc n()1 idci)lilicd any mllierial urtcert#intie5 reliiling lo cvcnls or LOI)dilion5
thal, individLVdlly or LollLilivcly, may last siuniflcant doubt un the Ll)arily'¥ ability to L(Trntinui as # goirt￿ LunLVrn Ivr #
PLriod L)I'ai Ica%1 twL,IvL' monihs from whei) the linanciol stalen)enib are aiithorised for i&suL.
Our rLsponsibilitiLs und The reyponsibiliiieb of the in￿leeS with respeLt to ¥oinu concern arc d¥￿Tibed in the relevunl
%Lclion8 of Ihis rcport.
Other Inf￿rmAtIO￿
The IruytL¢Y ure responsible l()r thc nthcr infomialion. The oihcr inlomMii(¥n Lomprisc8 ihe infonnutiun includ¢d in lh¢
Ann￿1 report. i)ther thai) the finoncilll sralemen14 and OLir Rcpon of the independent auditors thLrc()n.
()ur opinion nn thc fIn￿lI¢1a[ 51aiements doe8 noi cover ilie oilier infomiation ai)d. exLept t(Tr the cxlcnt otherwise
explicitly stal¢d in our rep(?rt, WL do nol ¢xprb'¥.% dny fi)rin of dbsuranLc cvnclu$ioii IliLrLon.
In conn¢Ltion with oui. audil ()f Ihc financial %ldt¥mLnts, uiir rcsp()n¥ibilily 1% t(> rcad th¢ tyih¢r inforniytion and. in d()inB
so, LonsidiT whether tlie other inlormaiion is matcrially inLoll8islenl with ihL fin£lnLial btdlemL'nL% ur our knowl¥dge
Ob￿l]led ii) the audit or i)thcrwisc appears to be Indlei'idlly misstdtld. If w¥ id¢ntify -%ucli maierial inLunsibtLnLiLS or
apparent malcridl misslatcinenis. WL are rLNuirLd to deicrminL whciher thi.% givLS fisL to u malerial misstdtcmLnt in ih¢
finaJ)cial staiemcnts th¢msilv¢s. If, bas¢d on the work we hav¢ pcrf¢)rmed, w¢ concludc that there is d m#iLrial
misstcltement of thi.% oihcr inforniation. wc are required io report ihdt faLt. We haYL nothing (o report in this rcg&rd.
Matters whlch we are reqvlred lo report by exceptlon
We havc nothing to Teport in rc.%pcct of Ihc liillowing matl¢TS whcrc the Charitics (Accoiints and Rcportsl Rcgu18tions
20011 requires us lo report lo yoii if, in our opinion..
Ihc inloTniation giv¢n in Lh¢ Report of the trii.%tees is inconsistent in any material r¢5pect with ihc financial 5tatements'.
or
8ullicient accounting records have n(Trt b¢¢n kept,. or
the fiDancial stateinents dre not in dgreement with tlie aL¥ounting) reLurd¥ dnd retums. or
we have noi reL'eivcd all th¢ infunnalion and explanations w¢ r¢quir¢ for our audit.
Pag¢ 6

REPORT OFTHE INDEPENDENT AUDITORS TO THE TRUSTEES OF
WORLDWIDE MJSSION FELLOWSHIP
Re$poTrsibilitieg of trustees
As ¢xplained rnore fully in the Thistees, rcsponsibilities statement, the trustees are responsible for the prepardtion of the
financial statement5 which give a tnje and fair view, ond for such internal control as the trusiees deterniine is necessary
¢0 enable the preparation of fmancial statements that are free from material rni5Statement, whether due to fraud or error.
In pr￿ring the financial statements, the trustees are r¢sponsibl¢ for a$s¢￿Ing the charity's ability to continue as a
going concern. disclosing. as applicabl¢. matt¢rs r¢lat¢d to going ¢onc¢rn and using the going concern basis of
accounting unless the lrnste¢s either int¢nd to liquidat¢ the charity or to c¢a5c operations, or hav¢ no r¢glisiic al￿rnatiVe
but to do so.
Our resportslbllltltg for the audlt of the fin&ncial statements
We have been apFM)inted a5 auditors under Section 144 of the Charities Act 2011 and report in accordance with the Act
and relevant rekFulalions made or having effeci thereunder.
Our objectives are to obtain reasonable assuran¢c obout wheth¢r lh¢ finonciol sthtrments 05 a whole are free from
malcrial misstatement. wheiher due io fraud or error, and to issue a Report of the indepcndcni audiiors that includes our
opinion. Reasonable assuranc¢ is a hi¥h level of a53urance, but 15 not a guarantee ihat an audit conducted in
accordance wilh ISAS (UK) will alway5 detect & malerial misstalemcnl when it exisls. Miys¢atemenls ¢an arise from
fraud or error and are consideTed material if. individually or in the aggregate. thcy could reasonably be exp¢¢ted io
influen¢e the economic decision5 of users token on the b&8is of these financial statements.
As part of our planning PToces5'.
We enquired of management the systems and controls the eompany has in place, the areas of the financial siatements
that are mosily susceptible to the risk of irrcbyularilics and traud, and whethcr there wos ony known. suspected or allcgcd
fraud. The chariry did nof infomi us of any known, suspected or alleged fraud.
.We obtained an uftdersianding orth¢ l¢gyy41 and rcgulatory frameworks applicable ¢0 the charity.
-we considered ¢h¢ incentives and opportunities that exist in the charity including ihc cxtcnt of tnanagem¢rtt bias.
which present a potential for irregularities and fraud to be perpetuated and tailored our risk assc55mcnt accordingly.
-using our knowledge of the charity. together with the discussions held with the charity ai ihc planning stage, w¢
forni￿ a ¢onclusion on thc risk of misytatemeni due to irregulorities including fraud and thilorcd our pr￿edureS
according to this risk assessrnent.
A further description of our respongibiliiies for the audit of the firtancial 8ia¢ements is located on the Financial
Reporting Council's website at www.frc.or¥.uklauditorsrcsponsibilitics. This description fom)s parl of our Report of ihe
Indepcndenl Auditors.
Use of our report
This report is made solely to ihe charity's trustces. as a body, in accordancc with Part 4 of the Charities {Accoun15 and
R¢port51 Regulations 2008. Our audit work has been undertaken so thgt we might slalc lo the charity's trustees those
att¢r5 w¢ arc required to state to them in an audilors, report and for no othcr purpose. To the fullest extent pemiitted
by law, wc do not accept or assume responsibility to anyone other than the charity and the charity's trustees as a body,
foT our audit work, for this rcport, or for thc opiniuns we have forrned.
E 0￿/
Mr Ebenez¢r Okai, (Bsc), FCCA (Senior Statutory Auditor)
for and on b¢halFof Leroy Reid & Co
Chartercd Certified Accountants
and Statutory Auditors
299 Northborough Road
Norbury
London
SW164TR
Date= ....
Page 7

WORLDWIDE MISSION FELLOWSHIP
STATEMENT OF FINANCIAL ACTIVITIES
OR THE YEAR EIYDED 30TH SEPTEMBER 2023
2023
Total
funds
2U22
Tot81
fuD(Ls
Ullrestrlcted
funds
Rvstrieted
funds
Notes
INCOME AND ENDOWMENTS FROM
DLTrnations and ILgacies
345,940
345.940
307.660
Charltable actlvitles
Mi.%siun& dvnations
1,229
11.229
2,021
Investment income
16,OJO
16.03
1.550
373.199
373.199
311,231
EXPEIYDII'URE ON
ChArlt#ble actlvltle5
Church trxpeiises
229,359
229.359
146,100
NET INCOME
143,R40
143,840
165.071
RFCONCILJATION OF FUNDS
Total ￿n￿¥ brought fonvard
6,122,407
6,122,407
3,937,336
TOTAL TrVP4DS CARRIED F()RWARD
6.266,247
6,266,247
6,122,407
The notes fonn parl of th¢s¢ financial Stat￿￿ent
Page 8

WORLDIVIDE MI '.SIO
JILLLOW
MI,;NT
i'ii
I,. I.'INAN
'IAL posl-ri
2023
Z022
Notei
FIXED ASSET&
Tangible assets
3.410,(
J.363,994
CURRLNT ASSETS
Dcbtors
C48h af b4nk
12
8,807
2,875,951
8.916
2,755,J48
2,884.758
2,764,264
CREDITh)RS
AlliouTrli falling duc wiihin onc year
ij
(28,5201
(5,8511
NET CURRENT ASSETS
IB56,238
2,758.413
TOTAL Assrfs LL8S CURRENT
LIABILITIES
6266,247
6,122.407
ASSETS
6,266,247
6,122.407
FUNDS
Unrestricted fund¥
6266,247
6,122.407
TOTAL FUNDS
6.266.247
6,122.407
Th¢ Gnancial wcr¢ approv¢d by th¢ Boird of TnwteE$ It￿ athis¢d for issue on
.Z.fyh..ff.M￿￿,,.￿4?.4QAd wcrc si8ned on ils bohaifby..
R¢v C$ther
ur - Tru81
Mi$5 Deni￿ P¢art- Tru5tce
The notes forni pHrt of thttc finDniial sifyi¢mcntJ
Pog¢

WORLDWIDE MISSION FELLOWSHIP
STATEMENT OF CASH FLOWS
FQR THE YEAR ENDED 10TH SF_PTF..MBER 21121
2023
21122
Notes
Cash floivs frorn DperatlDg actlvlt1¢5
Cash generated from operdlions
178,1179
165,102
Net Lash provided by operating activities
178,879
165,1(12
Cash frum Invc511ng 4ctlvltle$
Purchase of tangible fixed assets
{5B,276)
Net cash {used inyprovided by invc8ting activities
{58.276)
ChAngC In c*5h And cash equlvAlents In
thL' rLportlng perlod
Cash 8nd equlv8leNts at thL'
beglnnlng of the reportlng perlod
120,603
165,102
2,755.348
2,590,246
Cash and cg48h oqulvxlents At the iiThd of
the reportln% pcrlod
2,875.951
2,755,348
The notes forni part ofthese fIn￿CIal statements
Page 10

WORLDWIDE MISSION FELLOWSHIP
NOTES TO THE FINANCIAL STA'fEMENTS
FOR THE YEAR ENDED 30TH SEPI'F.MRER 2023
ACCOUNTIIYG POLICIES
BASIS OF PREPARING THE FINANCIAL STATEMENTS
Th¢ finanliul stat¢m¢nts of th¢ oharity, whi¢h is d public bLnefit entity under FRS 102, have been prepkwed in
accordance with the Charitics SORP (FRS 102) 'Accounting and R¢porting by C.harities.' Siaiemenl ol-
Recommended Practice applic*Lbl¢ to LhdritiL5 prLpdring their accounts in accordan¢e wilh the Financial
Reporting Siandard applicablc in the UK and Repiibli¢ of Ircland IFRS 102) {effeciive l January 2019),.
Financial Reporting SiandArd 102 The Financial Reporting Siandard Applicablc in th¢ UK and Republic of
Ircland, and thc Charities Act 2011. Thc linancial statenicnls havc bccE) prepared under ihe historical
¢onvcniion.
Wurldwide Mission Fellowship is a charity registered in l.n8land and Wal¢s. Th¢ registered otyicc is 43
AuLkliind Hill, Wesi Noiivood, LL)ndon, SE27 9PF.
The financial siatcmcnl5 are prepared in sterling, which ig the functional Lurrency of the charily. Mon¢tary
amounts in this financial statements #re rounded tu Ihc ncaresl £.
INCOME
All incornc is Tecognised in the 8tstcmcnt of finanLial AcliYiti¢s vni¢ th¢ chk)fiiy has entiilement to the fund.%. it
i9J probablc thllt the iLi¥om¥' will be reLCiVLd and ihe amouni con be mca8UTcd r¢liably.
LXPENDITURE
LiabilitiLs ure recognised as ¢xpenditurL' a¥ won a4 Ihcre 1% a legHI ()r Lon8tJuciiYe obli¥Jlion committing the
charity to thai cxpendiiure. li is probable ihyl d trdnsfLr (if cconomic benefits will bc require(l in 8ettlement #nd
lh¥ kllMI)Ul)t of the obliuativn lyn bL m¢u4urcd I'¥liably. Expet)dilure i& aLLnLiiiled lor on aCci￿a]S basi% and has
been classified under headingb thut a￿le￿at¢ dll LiJ$t Tclaled lo the cat¢g()ry. Wliere Los14 Laiinol be dirLcIIy
4tlributcd i() partl¢lLlar h¢¥din￿lS thLy have bL'en alloLaied to ttLlivitiL% on a basis ¢on4isLcnl with ihL ulc of
TesourLcb.
SUPPORI. COST
Suppiirt cost relales io govem&nce cosi which is ihe siatuiory audit fee und nun-audil servir¢% which 15 dtuly¥vd
in noie 7.
TANC,IBLE FIXED ASSETS
Deprcciaiion i% providLd dl thL lollowing annual rates in ordLr to Wrltc oif each yss¢t ovei. its c%timHtcd useful
Plani & MaLhinery
Mul(Tri' v¢hi¢les
20 /0 on co%1
20Q/• Reiluiing bHlanL¢
TAXATION
The Lharily is cxcinpl from lax on it8 charitable activitics.
FUND ACCOUNTING
Unrcslrict¢d funds can b¢ used in accordancc with thc charitable objc¢tlVC8 at the discrction of th¢ trvstees.
Includcd williin iinrcslriclcd fiiiids are designated fund5 which rclales to fwid5 S¢t aside by unanimous votes by
the trubtL%S fL)r the piirpose agr¢¢d.
R¢slriit¢d funds can only b¢ used for parti¢ular r¢strictLIl purpoEcs within thL vbjL*ls ofthe ¢harity. Re5triction5
arise when spcLified by thc donor or when funds are raised for par¢i¢ulai i¢slTicl¢d Pilrposes.
Further explanation of the t]ature and PLirwse ofeach fund is inLluded in the noles tu the financial statement5.
Galns and losses
All gain.% and losses are tsk¢n to the SOFA as they arise. The fair value of thc property is assessed and
dctcmiincd by a qualified C.hartercd Survcyor.
continued...

WORLDWIDE MIS.SION FELLOWSHIP
NOTES TO THE FINANCIAL STATEMENfS- eontinued
FOR THE VEAR ENDED 30TH SEPTEMBER 2023
ACCOUNTIiYG POLICIES- contlDued
FUIVD ACCOUNTING
Qains and losses whether realised or unreali&ed is calculated as th¢ difference between the fair valu¢ and ih¢
opening caiTying value of purchase cost.
PENSION COSTS AND OTHER POST-RETIREMENT BENEFITS
Th¥ ¢hyrity op¢rst¢s a d¥fin¥d contribution petL$ion ￿heMe. Contributi(Trns payable ro the charli￿8 pension
schcmc arc chargcd io the Statement of Financial Activilic8 in th¢ P¥Tivd to which they Tclate.
DONATIONS AND LEGACIES
2023
Total
2022
Total
fund$
Unre8tri¢led
funds
Rcstricted
funds
Tithes #nd offerinij
345,940
345.940
307,660
INVESTMENT INCOME
2023
Total
fuDdg
2022
TDt*l
fund8
UnYostrl¢ltd
fund$
R¢$trlclod
funds
Investment income
16,03
16,030
1,550
INCOME FROM CHARITABLE ACTIVITIES
2023
2022
A¢tlvlty
Misyiuns und dunutions
Conf¢r¢nccs and ¢vcnl
11,229
2,021
CHARITABLE ACTIVITIES COSTS
Dlrccl
C.ost%15ee
notc 6)
Support
cDsts (iec
note 7)
Totals
Church expenses
22.1 ()C)6
5,363
221).359
Page 12
ontinu¢d..

WORLDWIDE MISSJON FELLOWSHIP
NOTES TO THE FINANCIAL 8TATEMENTS- contlnued
FOR THE YEAR ENDED 30TH SEPTEMBER 2023
DIREcf COSTS OF CHARITABLE ACTIVITIES
2023
2022
TNstees' remuneration elc
Siaff costs
Rates
Insuranc¢
LigFht and heat
T¢l¢phon¢ and internet
Postagc and stutionery
C4)nf¢r¢n¢¢& and events
Media team expenses
Chuwh 8uppIios
HonoraTlUm
Motoi. expcnscs
Repair8 and maintenance
Subseriptiun
Hall hirc
Bank clidrgc¥
Deprc¥iatioii
60,253
61.502
11,973
8,116
17,909
2,642
5.173
36,590
3,454
4,992
2,114
1,403
39,487
6,468
10.093
8,079
10,273
3,403
1,893
4,442
1,442
1,347
1,0
1,9811
15,954
5,344
2,964
72
187
27
12,262
223.996
SUPPORT COSTS
Governan¢e
¢oJts
LTriir¥h exp¢n5¢S
5,363
Support cost¥, inLludcd in Ihc abi)vc, arL' M.¥ f()IIow8'.
GOVERNANCE COSTS
21123
ChurLh
expenses
2022
Total
#cilvltle%
Auditor¥' remui)eNlion
Auditor5, r¢mun¢T8tion for non audit work
4.946
417
4,666
353
5,363
5,(J19
AUDITORS, REMUNERATION
2023
2022
Fee5 payable to the charity's ￿u￿1¢or5 for the audit vf the chaTIty'5 financial
yta(¢ment
Oth¢T non.audit services
4,946
417
4,666
333
Page 13
continued...

WORLDWIDE MISSION FELLOWSHIP
NOTES TO THE FINANCIAL STATEMENTS- continued
FOR THE YEAR ENDED JOTH SEwfEMBER 2023
TRUSTEES, REMUNERATION AND BENEFITS
2023
2022
Trustees, salaries
TrusLees' soLial security
Trustee5' pension5 paid
58,100
803
lJ50
54,346
5,788
1,368
60,253
61,502
The remuneration paid to the trustec5 Tclates to salaTI¢S paid to th¢ two pastors for Ihcir role as oversc¢r4 of the
church.
TRUSTEES, EXPENSES
Th¥rc w¢ro no tnL%tecs' cxpcnses paid for Ihe year ended 30th September 2023 nor for the year ended
30th Septcmbcr 2Q22.
STAFF COSTS
2023
2022
Wages and 5alari¢s
SoL'ial security eos15
Pension- F,n)ployer
10,764 10,4f12
359
317
136
10,90n I1,15R
The average monthly number of empl(Tryces during the year wjs os follow¥.'
2023
2022
Pastors
Adininistrativc stali.
No employees reccived emoluments in excess of £60,QOO.
Page 14
continued...

IVORLDWIDE MISSIOIY FELLOWSHIP
NOTES TO THE FINANCIAL STATEMENTS- e•ntlnued
FOR THE YEAR ENDED JOTH SEPTEMBER 21123
TANGIBLE FIXED ASSETS
Freehold
pr•perty
Plant
machlnery
Motor
vehi¢le$
Totsl8
COST
At I st O¢tobcr 2022
Additions
Disposals
3,363.700
222,908
58,276
23,509
3,610.117
58.276
(16.909)
(16.9091
At 30th Septeinber 2023
3,363,700
281.184
6,600
3,651.484
DEPRECIATION
At l st Octo[￿r 2022
Churge for year
Eliminuted on disrx)sal
222,908
12,202
23.215
59
116,909)
246,123
12,261
(16.909)
At 30th September 2023
235,110
6.365
241.47S
IYET BO()K VALUE
At 30th S¢pt¢mb¢r 2023
3,3fi3,700
46,074
235
3,41 J,n(J9
At 30th S¢pi¢mb¢r 2022
3.363.71)0
294
1,363.994
12.
DEBTORS: AMOUNTS FAI.I.ING DUE WITHIN ONF. YEAR
2023
21122
Pr¢paymont$
8,8U7
8,916
13.
CREDITORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
2023
2022
Trade creditors
Taxation und siiLial bLLurily
Other creditors
22,423
1163
5,234
1,185
4,666
28,520
5,851
14.
ANALYSIS OF NLT ASSETS BETWEEN FUIYDS
2023
Total
funds
2022
Totgl
funds
Unreytrletod
fiindj
Reytrlcted
luNds
Fixed assets
Current a&%¢1
CurrLnl liabilities
3,410,009
2,884,758
(28,520}
3,41 J,INJ9
2,884.758
{28,520)
3,363,994
2,764,264
15,851)
6.266,247
6,266,247
6,122,407
Paue 15
cvntinued...

WORLDWIDE MISSION FELLOWSHIP
NOTE8 TO THE FINANCIAL STAI'F.MENTS- eontinued
FOR THE YEAR EIYDED JOTH SbPTEMBER 202.1
15.
MOVEMENT IIY FUNDS
Iyet
movemtnt
In fundti
At
1.10.22
At
30.9.23
Unn5tricted funds
GencriLI fund
6,122.407
143,840
6,266,247
TOTAL FUND5
6,122,407
143.840
6,266,247
Nei movemeni in funds, included in Ihe above are as follows..
Incomlng
resource5
Resourcei
expended
Movement
Unre$trl¢ted funds
GeneTal fund
373,199
229,3$9)
143,1140
TOTAL FUNDS
373,199
1229,3.59}
14.1,X40
CompAr#tlve$ foi. rnovemeJ)I ID fund$
Net
movement
In fuNd8
At
At
311.9.22
Unreslrlcted funds
G¥niral fvnd
5,957,336
165,071
6,122,407
TOTAL FUNDS
5.957,336
165,071
6,122,407
Comparative net mi)vcmi'nt in fund¥, included in the alx)vc are as followy..
In¢omln8
re8ource5
RLbsourLcs
expendcd
MovemL'lIt
In funds
U￿r(StrIcted funds
CJener&l fund
311,231
(146,160)
165,071
TOI'AL FUNDS
311.231
1146,160}
165.071
DeslgnAted Fund8
Th¥ tlllstees as part of their comrnitinenl lo acquire a new ChU￿h building havc dcsignated all thc funds held in
the Barclay5 Business Preinium bank aLcount as al 30 SeplcThber 2023 totalling £2,095.335 (2U22 - £2,078,825)
for any future aLquisilion. This 15 consistent wit]1 prior year¥ 4nd th¢ balance form5 parl uf the Unrestricted Fund
disLlobed in ihe liMnLial s(aiements.
Page 16
ontinued...

WORLDWIDE MISSION FELLOWSHIP
NOTES TO THE FINANCIAL.STATEMENTS- contlnued
FOR THE YEAR ENDED 3UTH SEPTEMBER 2023
15.
MOVEMENT IN FUNDS- cDntlDued
The unrestricted funds a150 include5 the increased values derived from the revaluation exercisc undertaken in
2007 and 2015 tiir all the prop¢rti¢s regislered in the of the Charity. The sutn total £2.557,701.
16.
RELATED PARTY DISCLOSURES
Rcv E Taylor and Rcv D Crreenid¥¢ ¥4r¢ both tsN8t¢¢s and received salaries for th¢ y¢ar ended JO September
2023.
17.
RECONCILIA'I'ION OF NET INCOME TO NET CASH FLOW FRUM OPERATING ACTIVITIES
2023
21b22
N¢t In¢ome for the rtportlng perlod {#s per tht StatemL*lIt of nnlnclal
Actlvltllbs)
Adjustments for..
r)¢pre¢ialion ¥h￿r￿Ls
Decredsellincreage) in debtors
Incr¢lls¢ in cr¢diiors
143.840
165,071
12,262
109
22,668
187
{1,054)
8911
Net cash provlded by operxtlons
178.879
If)5,lQ2
18.
ANALYSI&1 OF CHANGES IN NET FUNDS
AI 1.10.22
Ca8h tlow
At 30.9.23
Net ¢a$h
Cllsh #t bank
2,755,348
120.603
2,875.Y51
2,755,348
120,6113
2,875.951
Total
2,755,348
12Q,C)03
2,875,951
Pdge 17

WORLDWIDE MISSION FELLUW.8HIP
DETAILED STATEMENT OF FINANCIAL ACTIVITIES
FOR THE YEAR ENDED 311TH SEPTEMBER 2023
2023
Totgl
fulld¥
2022
TotAI
funds
Unre$trlcted
funds
Restrlcted
fund$
INCOME AND ENDOWMENTS
Donation$ Artd legA¢ieJ
Tithes and oATering
345,940
.345,940
307.660
Investment Income
Investment inLome
16,030
1,550
ChArltable actlvltles
Conf¢r¢necs and evenis
11,229
11,229
2,U21
Total Inc•mlnR fLwufLcg
373,199
373,199
311.231
EXPENDITURE
Ch*rltAble acilvltl
TN%tCC$' 5alaTies
Trustees. Socidl yecurily
TnL81¢¢$' penyions paid
Wages
social gecurity
Pensions
Rates
Ingurunc¢
Li8hi and heat
T¢lephon¥ lliid inl¥rn¢t
Po8ta¥e und stulionery
ConferenL¢s and LVLnts
Media te4m expenses
ChurL,h suppliLs
HonorHriuin
Motor LXPLnses
R¥pairs and maint¢nance
SubsLriptiun
Ilall hire
Bank chargeb
Dcpre¢ialion of tangibl¢ fix¢d 88%Ct4
58,100
R03
.3511
10,764
233
136
11.973
5¥,100
803
1,350
10.764
233
136
11.973
8,116
17,909
2,642
5,173
36,59n
3,454
4,992
2,114
1,403
39,487
6.468
54,346
5,7f18
IU,4S2
359
317
10.119J
8,079
10,273
3.403
1,893
4.442
1,442
1,347
I,ono
1,988
15,954
5,344
2,964
72
IR7
I7,9￿)
2,642
3,173
36,590
3,454
4.992
2,114
1.403
6,468
27
12,262
27
12,262
223,996
221,996
141,141
Support COSt
Governance ¢DstS
Auditurs, remuneration
Auditors, r¢munei'alion for non audit work
4.946
417
4,946
417
4,666
353
5,363
5,363
5,019
Total re50urc¢s cxpendcd
229,359
229.359
146,16Q
Net irteome
143,840
14.1.1140
165,071
This page does not forni part of the statutory financial 5tat¢ments
Pag¢ 18