Share Jesus
Company No: 04290444
Registered Charity No: 1089784
Accounts for the year ended
31 December 2021

Trustees Report of Share Jesus International (SJI)
and accounts for the year ended 31 December 2021
The Trustee5 of Shar8 Jesus Interna￿>￿* ISJII preS￿t thw"r reFf*t ￿ acLaNJnts foy the searended .
31 Dec8mber2021.
L¢gal and ￿MInISt￿￿tiVe knfrymat
TruGt¢¢$ Iw￿> we 8180 t¥rectors of Sjll
Rev Dr Davxl Hull
Rev Osoba Ot8pgbe
Mr Andrew Swrfi
IAppcinted flirJune 20121
IAprx*nted January 20111
(Apwntsd Febnwy2fml
Director:
Company Semtsry:
MrAndr6w Swfft (￿￿1ntarytsasL%1
Registered ChaAty Number.
1089784
Company Reglstrathjn Number.
Principal AddreS￿Re￿Is￿r9d Offi¢¢: 47 BeIrr￿￿t Palk Avenue. Maidenh*J SL6 6JX
Share Jesus, PO Box 1282. Claw* RH10 OLU.
Bankets:
Bardty Bank ￿ North Ermy. Crwon
dep•ndont Examln•r.
C¢nta¢t:
020 3613 4315." rnf
Web sile:
Page 1

Report of the Trustees (continued)
For the year ended 31 December 2021
Prlncipal Acb¥ity
Share Jesus IntematiW￿fS misskin ts kn advan￿ the Chri5ban F*lh.
Statem4ntOf Fath
Share Jesus Inlematsonai IsJii urTites in rnissK)rb churrth85. thu￿ departM￿ts Christian 4en0es
8cknovAedging &)rfs reveLgtic*) in ChrisL ecrfess Ihe Lryd Jestss Christ45 G￿j and Savwr accorthng to Ihe
Scrfptures. and, in cthdj8rtce to G¢￿.$ *ill in the tx)wof Ihe Hoty cotnmit IhemseJves."-
To seek a dee￿ning ol thelrc0rkknunl￿ thrSst ar*J Iwle (￿Urch is Hi% body and to
fu￿4 the￿ misspon to priK&im the GcÉpel bycAytMTTh tAith8ss and in ￿¥￿1. to the gl¢Nyof the one God.
Father, Son and Hoty SpTiI.
SJl's'Prin£¥pal Athr￿ vas aLli8ved thr￿ the fthA•r¥J:
l. Rgsour¢o8
Due to I￿kdoWn, SJI hosted (wrannu8f Ekklesia C*iline in March. Nkre Ihan 200 thurth leadets from
acn)ss the UK Pwtirypaied as w￿ expkyed tOPC5 such as faith sharing. yOLth wyxk. M￿lia and h￿￿'d thurch. ()Viry
churth leadws an opwrtunity to leam frcth otherchLWth ￿￿er￿. fee¢Yback*5 A9ain very K¥)*tive. Le•Jets
CornM￿ed.
he thIAe C(mIe￿¢6 was so encwwng. cWengirMJ and irwMrati(w>a."
'Thanks f(w a reelly excel￿￿[ wuple of days. Sijch a wod breadth of topics and speakws. Every rwndlable ¢hat wa5
gcod suggests People realty engaged Wih the lknfw￿1.
"Such an enriching Cwplp of day5..
The video material has Sin￿ be8n ethled 8nd has m•Je av8iW We ho¥e atso ￿led a number
ofvirtL471 rwndtsblgs with cw)e rwndlable.
SJI t￿linueS ￿ create ¥es<xJr£*5 trmt help I¢x81 to teach effthety. ()Jr'PrDmpt' campaign u*)tinues
la popularwith local chuts (thing the reswrc*thrCdJ￿Out kKkdovm.
Three new resLMJrcas on missiC￿ for the lcd *re vdeased in 2Q21. N￿￿..c￿)"￿9 a Culture of F*th
Shanng in the L(Jcal Chur¢h", The 5Ps MISSI￿￿ Straiegf a￿-Connecting &k?al Actic* and Faith Shariry" Some
7,OOQ copes oflhese trKKjk￿ *ve durirKJ Ihe year. HawtvJ re¢eNed the'connecbng action faih
sharing" I￿okIe¢. one church rep)rted Mle a￿ deVelOp￿n9 a Itthcgyf￿fmJrGT1￿r￿n1ty and Ihe boo￿81 has
been very Ihought wovd4ing arNI is Inforyning oJr (knwjssicfis, so l ￿nt to swEad Ihe tth￿et ¢￿t *ider *ithtn tyjr
organisatien.
The [J[￿tsr. An(tre* Frost. ¢x)nb"nues to￿ ￿ Care FcYthE F￿lty*￿ ￿ ￿tchen Tatle Proied. aimed at helF¥ng
paients inspite faith in the h(Mne. In 2021, Anty srd(e al a ¢f e¥￿ts M this theme and intervifftd v8ri0US
aders on faith issues fora vldw $erie¥. He also made a nurnt*r olvi(leo8 to instx¥e daos rdeBsing
rthresource he has vffitten'52 Fath AdvenbJre5 fc¢ Dads and thar kids..
The'Encounters vAlh Jesu5. Clyibnued lo be utilised by churthes. e4wally dunThJ lockdovm. Rulh 8tDrrl8y,
Childrtrn's Devdorynenl Wiwforthe Presbyteri￿ Churth. Sh￿"In tyjr coTrgregatK)n overlhe last feW￿￿ekS aTrJ
fotlhe next fewv*eks are iJ5in9 yow'EnctyJnters ￿1th Jesus. videos ar¥1 the knds setm to be realty ènloying
lh￿. 11 is 50 uséful having the VKle)s to use 3nd ttE kid5 realty connea ￿lIh IM)w ￿ h8¥e tc4d Ihe stories 8nd aL80
the felknwup 8ctivi*es are groai to haweto errA)Jwe r*rrt and Chrldren."
The'Christrna5. Intenupted. and Ihe **ek Ihat changed Ihe ￿. videc6 ¢wtinue b) I￿ used W. We (mtinue to
on'Th* Adventure5 ofthe &ngeT￿c￿*d BahJing &"stw' sraies W￿.1¥j both fundets Ind
TVcompani85.
Page 2

Report of the Trustses (continued)
For the year ended 31 December 2021
2. Notworks
SJI continues to bring logetherdift8renl oryai1satK￿S grcws to MISS￿ inibaii¥e5. The Directarchalrs t
London Mission C(4lective. In this rc4t he has been ab￿ lo ￿aY a k*votsl in Mhat is doing ac￿8 the Capit81. We
hosted wr annual 'Briefing' eV￿lOn11r￿ in JanLWyto explore Mis￿(11 OPPOrtunitie$ 8crc6s the Cal￿￿1. One (Jelegate
cornmenled. .1 actvally thought il was of the test z￿rn ca1151 have beell f(¥lunate io ￿ on. Very*EII L*gani$ed.
In￿resting conten¢ ofEal fhyw. 9￿at inpAghts. V￿￿111¥e *a i(xJgh fyft*. Huge thanks to ycw and ¥thJever
you for pulling il all tryether."
l the commuthcalions Lr￿dOn Co*tive (ffldudrry the and ml￿1h￿￿pdat2$) Is
carried by SJI.
In 2021, the Colle¢iNe conUW lo not only gather rn￿￿0n ag*xies in the Capital but lo a150 c4)MeEt LC￿d0
8orough Unity Groups. The Directtr has spent time Meeti￿ 27 crflhe¥e Untrty Lknp kaders. This group has been
brwght logÈther regulthy via Z(￿rn to share besl p￿tice ￿ to see hthv mc61 effetbvetychurch unity groups can servtr
their communities, eSpeaalty￿Ith Ihe pandemic as b8c*drcy. (￿erthe oyjrse ofthe year. Arkyy ha5 spth at mary
of IhEse groups leilhv pe1￿ c*￿In￿l devdLyed a surveyto hdp measure impa
This ￿ece <rf continues to link nationaltywith the GaiherPA)vtment, knyy has been seconded to days per
k. During 2021. the has mel *ilh mutkple London ￿T£* deTh)minaticthl kaders TrpresentsliYe5 fmm the
London Ma￿5 Office lo expkye a ￿￿￿ement for Re(￿ery. to hetp the thur(* serve the cornmvnity wactically in this
season. Having seivsd on three objectives. ar￿r￿ cOrrvnL￿ty EahwC￿. mental hearth and food wvaty.. Il is that
this initiative launch 2022.
The Director has also helKEd ftYtherdeve&)p Pray Lw(kJn. ¢th*ThJirAJ ￿ hc¢t reguJarpr3yerevents wih guÈ5ts frDm
acmss differgnt wheres lthe NHS. the MET Pdice. He*Y Teadws etcl to brirwJ Christians togeY)trrto prdy Intenti￿alty.
As a charity ￿ also helFed pull logelher varityjs 8gencie5 C￿cerned at¥xrt sports bethng. Weset ￿ slc**)8ttiTrJads.com
lo give Chns￿anS an opporbjnity lo speak irrto the govemmenfs (J)nsutsts￿ on Ihe matter.
As a chanty have also ser¥gJ Multip￿ otherinitiattves suth as Ytyjr Neightrtxjr. the Passion P￿Y in Tralagarsquare.
Good Faith, sY￿rgY. the Gralilude Inthative and hosted evenrs to rxJnwA missiwi ac1{￿ty rundws.
3. SpeakW￿ & Tralhing
On behaw of SJI. the L￿'rectoral5o $￿akS the UK at a v*iety of(*urrhes events. He has swken at v8ri0
churthes both online aTrJ ￿1th pre-￿¢trded messages. Some in person trair¥ng done tX)Ih for churthes (>Jemspy
and Londcn and trainiry Yas *50 dare thjrches. HÈ also spoke evan9Etistic￿1y8l sev&Trl events such a$
the SACFL F￿tball Cup Competitiory.
Ov¥ the penod irf Lent18iiyJay 1th￿daY to Fri¢Jayl. DireLtr*o r8fiectiLms via zrnn ￿ll￿
SJI 8UK)POrters around Ihe UK.
Christ Central netth ol thurthes c<Jmmeni8d". l am behaifefthe C*riStcentr￿ Evangalsm Church
team lo trHnk you for ycvr excelkni CCXthtr￿rf￿jn5 kn our Evaryelisrn Fc*um th Sundayevening. We are alre*Jy
gettirvJ appr8cialtye feedback frc*n thc6e Wbapated to say how rrwjch ttyeyeniowl a￿1 vtre ¢hallergtrd by ttE
evening..
The Oirectarhas also done wks of'2 Uinvtes UCB B￿aKfaS( MUlbp￿ (knd TV ¥￿￿80% aTrJ other rddK)
ini8NièhE. He has alsowtten artid85 fc¢ MET rrwre, Today, tdts Kl*Jazme ￿ othor Christian onl￿8 and
prinled publicati￿s.
R&serves
The TFustees' pcAiGy is lo ensure that Un￿l￿ded reswves suffi0￿1 for thr8e r￿nIh5 unrestri(Xed expeTrJlknre at
current costs. As 8131 D*ft*r 2021 the tota reserves carri2d f(*￿rd *we t68.263120X)- £57.4551 ￿th1¢h inckjded
unre8trcled reserves of t58.54312020-£50.9471. Th¢5 a￿￿0￿￿￿teS to 6-7 rrthih's experrdrture. The Twslees are able to
flex Ihe level of acb.vity frtyn yearto year to take accwnt of a¥artab￿ rB50urcos. The Trustees Mill b8 etr￿ts
during 2022 lo mainlain Ihe J2vd ofuwtricw tesefft5 to ￿￿"T ￿￿￿pa￿Meters.
Paga 3

Report of the Trustees (continued)
For the year ended 31 December 2021
p￿bliC be
Sjl's Trnstees agree thai the ugaThsalion'5 ￿ is in kne wilh the Charity knfflissl¢￿ s guidants on wblic benefft.
&Jl 15 a membw of Ihe Evangelical and lulty ￿Se5 tts Basi5 01 Failh.
Risk Mana
eme
*ntrol syJtsms
SJI'S TnJ5tees have the overal respxsits.lrty fr* ensuring Ihat lhe￿ arE appr￿￿8￿ £¥)ntr￿ sy5terns, financial and
olherwise. wh￿h provute ￿aSOnable assuran￿ of..
efficEnt and effective operation.
protection against unauthorised thsp(ssb"on of assets".
iaintenance of F￿0￿r ret¢xds th Ihe thf re*abJe fina￿81 trrf(Tha{K￿", ar*1
(wPI￿￿e knith re￿ant and regulat￿￿.
During 2021 further iMprovern￿ts w8re made to LNJdgel and c&sh K*anning rnan8genenl
systerDS.
R15k Factors
The Truste8S c(Msiderthat risk falLs into two overaff areas- fiTran￿ and infra51rUctu￿ linwme. eypendrture. buikjings,
equipment. ICT and secuAlyl. and per50nnd and operational tS5ues tsouth worK recttjitrnent, ttaining, health and safety,
management systems. em￿￿￿ent issues. thikl prowh?n aThJ wnfidenbatstyl.
The Trustees have nwligated the finance aThY infrastrudurÈ risks by.
unng there is no Ow￿rIance on anyo￿ fuftding 50urr* or fixed te￿ IncA)￿..
ensuring system5 exist to combat Ihe Ihreat of computer Mw5es of I￿Orni8t￿jn. and
ensuring approprtate trtsurances are in pkce for tAuhdings atyj staff.
The TnJstee5 have rnitigated pers￿￿￿1 and operath)nal risks ty.
maint8in*w aptwopriate insLtronce,' arny
having approwate F¢)Sues and trainiThJ to (L)ver em[4W￿l and heath and $4fety ￿l￿att.0n.
and thild protedKm and ¢￿rIdentiallty- all are rewired to be familiar with these poliues.
The Cornpany Finance OfficÈr rw makes atl (xrtgoing payTnetts ustng the O￿lDe IBACSI Entrty faulity required
by the Company Bank. Under the Double Entity atrangwneni every (thline pawt treated by thp Company Finance
Officer requI￿S autharisatKJn bya se¢ond to the bank accouni wior to the payment actualty being made from
the bank ac￿￿1 to the wpient. This adds an extra L8yer of se¢urrty to every papnenl nude from the Company Funds.
Employmènt
The Trustees are grateful to the sfaff VfAunteers wc*1E for SJI. The suc¥*ss of th& Charity relies on their
expertise and eneoy.
Structure Govermnce and Ma
SJI is registered vlith the Charity Commiss￿ aNJ i8 a Priw&e Cc*r¥wy14nited by guarant88 regl$teT8d in En918nd and
Wales. The company is regulated bythe Compan￿5 Act and by its IAemoTandum and Ariicles of Assouatiors. Thg
liHbilty Df the Trustees, as m8rnbets. is Imited to £1. The TnJstee5 of Ihe charity are dir8Ctsx5 for Ihe purpose of
company law. It has a Chn$t￿n fwn[1atH￿ Ihat is eyesse(l in Trustee. Staff and ffleetiThJs. with prayer. worsknp
and teaching a5 apprDprial8.
The Board ¢fTnJstees is ￿5￿Sib￿ for the management of the Ctharity, With operatK)nd ¢￿trol delegated to the
Director who attends the Board rreetir4s. The LJ"rectc¢ mwages staff ¥Yl*) arÈ reS￿SINe forthe day.ttrdaywcrk of
SJI.
Page 4

Report of the Trustees (continued)
For the year ended 31st December 2021
Statement of Trustees. R•5
sibilfties
The trustees (who a￿ also director5 of sha￿ Jesus for Ihe purFAxes ol c(wnpany la%Yl ￿ responsib￿ for
weparing the TnJslÈes' ReFrJrt and the finanaal S¢at8ments in 3c(xthtr %ith applicable law United
Kingdiyn AccountiThJ Standards IUnTted Kingjom G￿er￿￿Ac{?pted Accounting Practpol. Company law
requires trustees lo prepare fin8n(aal statwnents for each f￿an(￿al w whith give a tnje and faSr v￿W
of the slate of the affairs of the charitable cc¥npany and its income and expenttitV￿ for that pencxl. In wep8ring
these financi￿ statements. Ihe trustees are required to..
sdect suitable acccAJntiThJ rK)liues aThl Ihen appty them ccfflststenty.
Obse￿ ttje meth(xts &)d prinoples in the Charibes SORP.,
make judgernents and esknates thal a￿ reasonat4e ar•J rx(bJeni."
stsle whether applicafje UK accwntiTrJ 51andards, induith.ng FRS102, have b88n foltv**l. subjxt tD any
material departures disd05ed and 84>￿Ir￿ in the financial Slat&nents',
state whether a Ststemerrt of Recofflrnended *acticÈ ISORPI ar￿￿$ aftd has follrAved. subjecl to any
material departu￿ are e4)kned n the financial statements., and
prepare the finantial slaiement5 the gcxry basis unless il is inapy(wa¢e to presume that thg
charitabk CC￿panY will (x￿￿'￿￿e ￿siness.
The trust￿$ are res[K￿&b￿ for keeping pmper rewrds thal dEdose ￿ reasonable accuracy at any
time the finanoal pxilion of Ihe charstable companyand ena￿e io ensure Ihat the financial statements
ctynply wrth Ihe Companies Act M6. They also responsit4e for safeguatdirvJ the assets dthe charilable
cc*npany and hence for taknng rease￿ab￿ slekE fty prevention and detecicm of h2ud and other irre9ularit18S.
None of Ihe tru$tees Fkgd a￿te￿C￿lI intwe5t in the tharilable crxnpanyw8s party to thJrmg the
Bar.
In so far a5 the trustees *e eware..
there is rK> r￿ey￿t infomiation of wh￿h the tharitaW8 c(xnpanls Independent Exarniner.
unaware,. and
the trustees have taken all steps that they oughl io have tsken to make themselves aware of any
r￿￿vant information and to estsbksh that the Exwniner is awwe of that infom?ation.
Ex•m
Thi5 r&tNxt ha5 prepared ￿ acc￿da￿e with thtr speck?1 p￿￿sIC￿S reLabng to sm&1 companies with Part 15
of Ihe Compan￿5 ￿ 2(K)6.
of the Board
Andre
rustee and Compwry Secretsry
Date: 20th W 2tr22
Page 5

Independent Examiner's Report to the Members of
Share Jesus
I rewjrt on the a¢wJnts of Share Jesus Intwnab￿laI for s*ar ended 31 D8c•nber2021. which comw5e the
Statemetrt ol Finanryal A￿mt￿S, Balance Sheet aThJ rdated notes.
RespBctlve RgsponsM)Illtr"•s of Tnwtees ExamlnEr
7he thanvs trustees are the wep8ralith ￿the accounts. The charivs Irustees consider that
an audit Is nol reouir8d forthk8 year Und￿ secbon 144121 rfthe Act 2011 (the 2011 Adl and that an
independent examination fs needed.
Having satisfied rnysew that the company is not suL¥ed to audit Iwtscjynpary law and 15 e&gib18 for
independent exarnination. it is my Tesportsib4tyto_'
ex8mine the acoyJnts under section 145 Oftt￿ 2011 Act
lo follow the procedure5 laid in General [lirecti.￿S slven ty the Ch*ity crynmI￿10n under
5eetion 145151 Ibl of the 2011 Acr. and
to stats whether pa￿tyJIar mattws have L))￿* ￿ my att￿l￿fi.
8a81s of Independent ExaM4npVs Reptht
MyexaminÈtion wa$ canied ovt in *cordanee wilh Gerwal Directions g(ven by the Charity CommissK)n.
An examination inckjdes a review of the aCc￿n￿n0 records kept by the chantyaryj a (xjtnparison ￿ the
accounts kyesented with thr6e re(x)rds 11 a150 inthdes ccffi&deration any unusual items or disdosures in
the accounts. and seekiThJ èxF4anation Irom wxj a5 trustees conceming any 5uth matt&E. The procedures
undertak8n do not pwde all the evidence that would te wuired in an audit and consequentty no opinion Is
given as lo whÈthw the accounts present ? Ynje ar￿ fair and Ihe w is linil&1 to It*)se matters set
oui in the st8tement beknw.
In¢knpenderrt Examlner's Statsme
In acCor(lar￿e Wllh rny wmination. no maitef has ¥x)me ts my attenikn..
111 whith gves me reasC￿a￿e caust to that in any materral resped the r4u¥￿ents
to keep accounting rpcords ￿ accu¢￿ section 386 of thÈ Companie5 Act 2006." and
lo prepare accounts vA)ich aCC￿d the accounting records, c￿lyV￿ the a¢¢(MJnting
requiremenls of sedk)n 396 of the Ctrnpanies A(* 2(th and vmh Ihe rnethods a
princi￿e$ of the Slatemenf of Recomrnended Pradice." Accthjnting aThl Reportsng by CharthÈ5
have not t￿n M￿." or
121 to which, in my O￿nIC￿, aknlim should b8 dravffl in (¢der ￿ enab￿ a prow ￿derSt￿lf￿9 of the
accounts to be reackneil.
ICE Ha15tead MA l<honl FCA
For and on behalf of Alpha Athrfisors
Oate: 2thh April 2022
Page 6

Share Jesus
Statement of Financial Activities
For the Year Ended 31 December 2021
2021
Total
2020
Total
Income fr¢¥n.'
DonatK)n8 and legaues
charitab￿ xtiwtres
Investments
110.(VJ6
113.446
95,fjQ9
3,209
33
98.851
111.548
3.350
114,898
Exp8ndltur• on:
Raising funds
Charitable acttv￿es
1.326
102,626
103,952
1,326
102.764
104.090
590
98.164
98,754
138
138
Total
N•t Income Ilexp•n(knirel
7,596
3.212
10.808
97
Transfer bEtween fvnds
Net Inovem•rtl in fvnds
7.6
3.212
10.808
97
Reconclllation of funts..
Totsl funds brougm for*rdrd
50.947
57,455
57.358
Total fundB carrl•d fonvard
58.543
9.720
68.263
57.455
Summary Income and Expenditure Account
For the Year Ended 31 December 2021
2021
2Q20
114.898
98.851
Totsl expendilure contlnulng Op*￿5￿￿5
1104.0901
198.7541
Net In¢omelIexF4nditLJ￿l for the Far
10.808
97
The summary incrme and ÈxperxJl￿re accwr¥t is ¢Jeir¥ed the Stat￿1 of FinanL¥al Actiwt*s above, whi(J)
togetherwilh notes to ￿ ac￿nts on the frI￿ng p•3es provides full infonnat￿)n on the movements during the
Page 7

Share Jesus
Balance Sheet
As at 31 December 2021
2021
2020
Flxed As$•ts
Curr•nl Assets
stotjt
Debtors and l¥epa￿neThts
Bank and cash
500
3.531
68.318
72.349
3.047
55.612
61.139
Li•￿Il￿e5
C￿￿￿cl5.. th￿ntS falling due*ithin one SW
10
4,086
3,684
Net current assÈts
68,263
87,455
Totsl n•t assets
68.263
57.455
The funds of the charfity
Unrestricl8d
Rethcted
12
12
58.543
9.no
50,947
6.508
68,263
57,455
For the financsal year ended 31 Decernfr*r 2021 th8 ￿mp￿y￿a$ ￿tI￿￿j to exampbm from audit urider section 477
Companie5 AGI 2006 relating to small GO￿p￿les. The membets have not required th8 company to obtain an au#ii of
ils accounts for the year ￿ qu&sth?n in acxordwKe 5ecbcn 476.
The dwectors ac*now* thgr respxsii¥lit"es forujmptyw Tr￿th th8 TW]￿ements of the A¢t wtth respert to
accounting recrxts and the ￿epara1￿￿ offfinaroal siaiements.
The find￿181 stat8ments have iEen wepared in the p￿￿5￿j￿S arolic￿e to umpaniEs $ubJ'edto
the small cOmpan￿S regime within Part 15 of Ihe C(*npanies 2006.
Approved
of 411r4(tors 20th Ayil 2022 and $lgn•d ¢Jn behaw ty.
Aswrfi.
tee and Cornpany SeC￿ry
The notes on the followlThJ pages ftym of th￿* accourts
Registered Company No.. 042
Page 8

Share Jesus
Notes to the Accounts
For the Year Ended 31 December 2021
A¢coun￿￿9 PoAclÈs
nbon
FI￿nCIal Stst8ments have teen prepaed accorda￿8 ￿ the FITra￿l Rewrting StsndBrd
appliCa￿e in the UK and Rewt&c of IrElar*a IFRS 1021. The ti)mpany Is a MJb1￿ entityforthe Purpos￿ of
FRS 102 and a regL8lered charity established as a ￿fipanY limited by gu8rantBe and therefare has aL80
epared its f￿ancIal slaternents in att0rd￿¢￿ with Ihè Stat￿l of Rectynmendad practi￿ applcablè
to chantie5 preparing thwr ac¢wnts in &C[￿danCe wjth the FiAgncial Repcwtsng Standarcl appfjc2b￿ in the
UK and Republic of Ireland ffhe FRS 102 Charibes SORPI, the Ccthp3nies Aci 20D6 aTha Charitres Act 2011.
CorKern
The trustees have a$5essed whetherthe us8 Of￿ ￿rK￿rn is apWor￿at8 h8Ye ￿]n￿dered p0S￿bIe
events or cMttitions that tn*Jhl cast S￿n￿cant doubt on th8 ability of the charitsb￿ company to continue a$ a
going c￿Cern. The trustees have made ￿$ as5essm*rt fora rth(Kl ofat least ￿e year frorn the dat& ofthe
approval of these financial statsm8nls. In particular. the tnjstees have (xjnsttlerad the Charitab￿ wtnpanls
fore￿815 and projetti¢Ms and have lak8n acctyjnt of pre$5ures on inccffie. After rnaknng Ènquiries, th&
trustees have tt￿Chjded that ther8 a reascfiatAe ejpedation ihal the chari￿le company has all￿u￿te
resour￿$ to continue in oper4tw)nal etstence forthe foresee8￿e fijture. The chaniable company theref￿e
tinues lo ad(W the g(Nng ccmtyn b￿$ in [ryari￿ its fmarKial statem￿1$.
Grants 8Te recc¥Jnis& in the Slatement of Fmwcial ISOFAI acuuats basts foll¢y•Ang the
Sattsractic￿ 0f￿Y prtrcoThJrtI￿.
dl
er income and
kj.nd
l other InC￿e except graTts are Yecryni5ed in IhÈ acwjnts on a recdv*J l)asis. For donations made
under th8 gift aid stheme. the gth aid is rec¢g￿lsed in the year in ￿1¢h the daim 16 5ubrnitted. Gifts in kind
are valued at Ih¥rYalve to the charilabbe c(%￿p￿Y.
ditur8
Expenditure re￿nis￿a an &cruaL8 ba515.
italiqation
Relevant expenditu￿ capitalisgj ifthe valje of ￿ INJi¥wJJal item exceeds E500.
Provi5KJn frf dewe0atiC￿ (rfr￿ed assets hehj lor use bythe charnab* ccwny Is Inade at annual rdtes
calcLd8ied to SW88d ￿ cost of e*h asset oveT ts eywted ￿lu1 wre as folV￿..
Equiwent
Furniture ￿ Frttir¥J5
33% on c(
25% ￿ ojst
Page 9

Share Jesus
Notes to the Accounts
For the Year Ended 31 December 2021
1. Accounting Polkie5 {conVnu
h)
Current stttk is valued at the kywer cl CA)St rea[iSab￿ No vah* 4$ assig￿ to noTrcurwt Stock.
il Taxats"on
No provis*)n for taxation is included in Ihe accwrts as tre tharita￿e is eTr1rt￿d to exempbon frc
tax in ac￿rdanCe vrith Section 505 aThl CLwF4N81*)n Taxes Act 1988.
jl Casmow slatem8nl
The charilable ry)mpanyhas taken Ihe exempb"¢)n availabb in paragraph 7.18 of FRS102 and has not wepared
a cashllN Statw7￿l.
I costs are allc¥xted bets¥een the eypenditwe Categ￿e5 of the Slatement crf FiTrancaal A¢bvilies on a
b8sis designed to reflect the use ol the re￿jr￿. Costs re￿tir¥3 to a partiajtar actiwty are allocat•Y diredy,
others are apporboned on ￿ appropriate W"s such as staff time or8stirnatert usage.
11 Fund a¢o)unt
Restricfed funds are to te used f￿sFth purFose5 kid down bythe thy￿. ExpenditurE for these W¢FXJ585
Is charged to the ftjnd. tC•3etherMth a fair of ov¥heads and suppxt (XJ5t5.
UnreslrKted funds are dcffjalbC¥ts aThY otr*r inwmirvJ yes£￿eS re¢e￿￿ or g￿e[al￿ for eywditute ￿ the
gÈneTd cty"ethvos ofthe charity.
ml Irrecoverable VAT
Irrecoverabk VAT iry clwged against tr* tawtyyof restyJrLws e>p￿ded for whtch they have been incurr*l.
n) Contri￿1￿)n5 to defred ccffitnTr)ution
The Charity operates a defined ￿tri1*jb￿ pension sd*rne. conlrilMJti￿5 payatAe frx Ihe year WE charg&1
In the Staternent of Financial Actiwities.
tsl Leased assets
I ka8e5 are warded as lease5 arKI the paymenls rnade for them to th8
siatement of Financial Ath￿11*$ ￿ a stravJht h.ne basis overtr* lease temi.
2. Crltical Aeeourting Estlmatgs and *x•as of Judyment
In the view of Ihe Trustees in app￿n9 the acc￿nIn￿ pjiues arfopted. no ju(Jgements were reQui￿d thal have a
signifitanl effect ￿ the amounts recognised in the fina•cJal stslernents nor Oo any estimate5 LY a88L4TrPtions rn8de
carry any signfflcant risk of rnateri￿ adjusknent ￿ the next finanaal ￿￿31.
Page 10

Share Jesus
Notes to the Accounts
Year Ended 31 December 2021
3. I￿oMe from donalion5 and l8ga¢iqs
20
2020
Total
Donations
Legacies
Grdnts re¢eivatl8
I￿.096
1.UJO
112,446
91.e
4.WO
95.609
1 tO.096
113.446
2019
Total
Unrnstiicted
Trtal
Donabons
Legaues
Grants re￿1¥able
80.918
10.691
91,609
85.704
4.0￿7
95.609
8.￿0
84.918
10.691
4 Expendtture On rdising funds
2021
2D20
Tr￿bIl￿ty
1.325
1.326
590
590
1.326
2020
2019
Publiaty
590
590
Page11

Share Jesus
Notes to the Financial Statements
For the Year Ended 31 December 2021
S Exp•ndttute on ¢haFttablq acUvllles
2021
T4)ts1
2020
Tatal
Cosls diredty relatqd to actl¥ll*s:.
Hire of premises
Web. a(Jministration & LaynmuftiL¥lic￿s
Activ[t￿5
Goods f(K resate
Support Costs allocated to activhies.'-
Wages and salaries (see note 71
Other staff costs
Accomcéatson
Telephone
Printing. postage, staiior*ry
Production costs
Travel and subwtence
MiS￿lIan8￿$
5.135
3,038
16.665
1,980
S,135
3.038
16.665
3,617
2.738
16.699
410
60.￿2
55.466
1.076
1.076
72
418
72
4,549
1.120
1.958
870
1.120
1.958
870
197
2,922
3.004
479
5,003
32
Equipment
Bank charges
Board meeting and travel ekpenses
ACcount￿¢Y
Independent examinalic
138
503
2.lfyj
2,11KI
2,1
?02,626
102.764
98.164
2020
Total
2019
Totsi
Unrostri¢ted Rèstrithd
Costs dlrgctty retated to actrvitiès:.
Hire of premises
Web. administration & communicatK)ns
Activib"es
Goods for resa18
Support costs alhcated to acUvi¢*5:_
Wages and Salar￿ (see Th)te 71
er stsff costs
Accornodalhjn
Telephone
Printing, wstage. ststK*
Pro(fuction tos
Travel and subsisten
Miscellanews
Insurance
Equipmefti
Bank charge5
8oard meeting and travel expenses
A¢¢ountancy
Independent examinob
3.617
2.738
16,699
410
3.617
2,738
16,699
410
4.245
4,815
9,223
55.466
55.466
56.641
418
72
4.549
418
1.426
279
7.707
3,395
4.549
2.922
4,937
754
167
32
68
393
2,100
479
479
5.003
4.183
32
2.100
2.1￿)
93,981
4.183
98.164
106.273
Include£l above is £2,1￿)I?020.. £2.1001 payabk to the 1nd4)*WJ￿t Exarninerfor his work. Thva indudes
preparation of the accounts ￿ statuWformaL Other Serv￿&S provided bythe knJep8ndent Examiner duriry the
year Wds £ nil12020" £nill.
Pag8 12

Share Jesus
Notes to the Financial Statements
For the Year Ended 31 December 2021
7. EM￿0Ye•S
2021
Total
2020
Total
Stsff cosls
Wages and salaries
91 securiiyc05ts
Cxher ￿n￿an costs
55,9
718
3.384
9J.636
1,591
3,239
6D,092
55,466
Ihan £fAI,000 annum.
Flx*d Amets
Furn1￿￿*
Equipmwt
Fithn
Cost
BaLgn¢e at 1 January 2021
Arno￿1 dirThnated ￿ di5PC6al
28.715
89￿nce at 31 December 2021
28.715
4.584
33,299
BaL3nce al 1 Jarnjary 2021
Arnounl eliminated on disp0501
28.715
33.299
BaL8nce at 31 December 2021
28.715
4.584
33.299
Nqt Book Value at 31 Det*nb¢r 2021
Net tr*Jok ¥a￿e 8131 DKemter2020
2020
Swdryéeblcrs
Prepayments
3.032
499
2.763
3.531
3,047
10. Credlkns and Accruals
2020
2Q19
Social securityand othertsxes
AccruaL8
2.7&3
3,708
3.047
4.693
Page13

Share Jesus
Notes to the Financial Ststements
For the Year Ended 31 December 2021
11. Ana￿8 ol Net A￿ts by Fund
.2021
2020
Total
Fixed Assets .
Nel &J¥renl Assets
68,263
68.283
57.455
68.263
88,263
57.455
2020
Vnrgslrlcted Restri¢ted Total
2019
Totsl
Fixed ￿set5
Net Current Assets
57.455
57,455
57,358
57,455
57.455
57,358
Balanet
31.12.21
01.01.21
Incrffie EX￿n5•d Transfer¥
Unr•strlGt¢d Funds
London Mission co1￿￿Ve
Andy Frost Consultancy & Speaking EThJ•3em
Prompt
Gingerviear & BaldiThJ &"shop (YwTub8 F¥oieLII
Ekklesh* Project
Ekwesia RtyJnd Tab
General Reserws
Total Unrestr¢ied Funds
(741
74
138.1421
14.724
775
23,418
(751
700
5.467
115.1)561
12401
188.5081
103,9531
240
28,239
35.448
947
82,664
111.549
57,843
58.543
RestrKted Funds
Hol Air Balty)n Projec*
LM Fund
Total R8Strf¢ted Funds
11381
6,420
3.300
9.720
3.300
3.350
11381
Total FurHJs
57.4SS
114,899
1104.091
68,263
Balance
01.Q1.20
8alan¢e
31.12.20
Incom• Expens•d Trartsfers
Unrestricted Funds
London Mi5son Collective
Andy Frosl CcnsultarKy & Speakn"rxJ Engagwn*)ts
Prompt
GingerYic* & 8alding Bishop (YouTube Pr￿.￿1}
Ekklesrd Proje¢t
Ekklesia Rwnd Tab
General Reserves
Total Unre8triGted Fur*ls
R•5tr1cte(l Fund5
Hot Air 8Jloon Prciect
Total Resiricted Funds
14,4131
3.413
14,724
14,724
775
1451
15,7311
5.731
113.1861
10,047
(7401
740
(70,4561 119.9311
194.5711
3,139
69,297
88,160
35.448
5Q.947
57,358
10,691
10,691
4.1831
4,1831
6.￿8
6,508
Pag8 14

Share Jesus
Notes to the Financial Statements
For the Year ended 31 December 2021
12. Statement of Alov•m•nt on R¢s¢r4es Iconlinuedl
Expl•naOon ol R•8trlctsd Funds
Hot Air Balloon Pr4ectr.- In 2020 the tharityvds given a grfi thJring the 0fts￿ hot w balth￿S for use in fath
sharing. One of the balky)ns was r¥A r￿d￿j so Vds an(J th8 prcwjs retain￿1 us8 byth8 thnty￿￿hIn th1$
restricted purpose.
LM Fund'.- The LM Fund used to c¥e8te restyjrces to help ¢hurtths thi1￿ Ihvuugh rn￿70n. All Gc6ts relating to Ihe
worfc are b*ng m* through a
11 Future Flnan¢lal Comi¢mgn15
Optratlng Leases
At 31 Dectmber 2021 tharity annual ccffimrfm8nis Ltnder op8ratiThJ ￿aSe8 &$ f￿￿￿5..
2021
2020
O￿TatIng leases which ey¥)ire'.
55 than one year
1.203
1,034
1& Tryst￿ R￿nuneratIon and Expense
None of Ihe Tru51ee5 were ￿fflunerated dir• or ir*Jirecty. tkjrkng Ihe yeareynses toialung £3fj2 We￿
10 3 Trustee512020." £313 to 1 Trusteel.
15.
The following re￿tell pty trdnsxtiorts pL3ce in the ￿ar.-
The Dire(2oT. Andy Fr05l wa5 pa￿ £4,500 for use of his FQrtabk building as an offic8.
Da¥h# Hull is a Trustee of Share Jesus and made a dcThtion of £30012020.. £31)01 during the year.
16. Contingencies and contya￿l Camm61mtrts
tn th8 ￿1n1Th￿ oltt* Tru%tees a￿ rw) ¢￿tingent l￿b￿be5. kn wjdstion there were Tr) wntracbJal
commfunen(s at the ￿ end.
Page15