Charity registration number 1102293 (England and Wales)
Company registratlon nUM￿r 4942206
EVERY NATION LONDON
(A COMPANY LIMITED BY GUARANTEE)
ANNUAL REPORT AND FINANCIAL STATEMENTS
FOR THE YEAR ENDED 30 JUNE 2024
•ADZ65utr19*
2eA0312025
COMPANIES HOUSE
A02
#138

EVERY NATION LONDON
LEGAL AND ADMINISTRATIVE INFORMATION
Trustees
C Lugt
W Schoonraad
P Howell
D Daniel
{Appointed 21 April 2024)
Secretary
T Sheppard
Charfty numbèr (England and Wales)
1102293
Company numbor
4942206
R•giStered offi
Clo Fulham Boys School
9 Beaumont Avenue
London
W14 9LP
Audltor
Xeinadin Audil Limitèd
5 Robln Hood Lane
Sutton
Surrey
SM12SW
Bankor•
Barclays Bank PIC
United Kingdom House 7th Floor
180 Oxford Street
London
W1D 1EA

EVERY NATION LONDON
CONTENTS
Pag•
Trust6ès' rèport
Independent audltor's report
Statement of financlal acllvltles
io
Balance sheet
11
Statement of cash flows
12
Nol8s to the financial statements
13-25

EVERY NATION LONDON
TRUSTEES. REPORT (INCLUDING DIRECTORS. REPORT)
FOR THE YEAR ENDED 30 JUNE 2024
The trustees prèsènt their annual report and financial statements for the year endéd 30 June 2024.
The financial slalem8nts have been prepared in accordance with the accounting policies sel out in note 1 to the
financial statements and comply with the charity's Memorandum of Association, the Companies Act 2006 and
"Accounting and Reporting by Charities.. Statement of Recommended Practice applicable to charities preparing
their accounts in accordance with the Financial Reporting Standard applicable in tho UK and Republic of Ireland
{FRS 102) (effective 1 January 2019)".
ObJoCtlvos and actlvltlos
The activities of the charity are for the public benefit accordlng lo the oblectlves as set out in the Memorandum
and Articles ofAssocialion as accepted on the iwenly third day of October 2003. In summary the objectives of the
charity are to "advance thè Christian faith., "lo advance educatlon in accordance with Christian principles" and
'lo relieve persons who are in Gondltlons of need and hardship".
The Iruslees, policy Is to ensure that the resources available lo the company are effectively admSnistered lo the
fulfilmenl ol the inlenl of the objectives of the Memorandum and Articles of Association. and in aG¢ordance with
the requirements as prescribed by th8 Charily Commission. These objectives remain unchanged, and in planning
the acllvlties the Charlty has taken into ¢onslderallon the guidance of the Charity Commlssion in providlng publlc
benefil.
Our cor• actlvltlel
Our st818d mission to fulfil our leg81 objectives is ?0 glorify God by maklng disciples and making a difference.. in
Ihg Clty. on campuses, in our communilies, and in thg nalions through church planting.. All ol our core aclivilies
are towards this end, calegorised as follows..
Gatherlng$; Congregation gatherings in five locations.. West London {Wesl Kensington), Easl London
{Mile Endl, Slough. Cardiff and most recently. Hunlingdon. We also havo a new congregation in
development in South London (Kingston).
Groups: 'Connect Groups" Ihat meel in person or online in cofflmunities around London for relational
connection and spiritual growth.
Growth Track: We run a variety of courses lo help people grow in their faith, including The Follow
Course - an inlenllonal three-part journey by which we help all who deslre lo know God and grow in Ihèir
faith.
Gol Opportunitles: Activities and Initiatives to fulfil the mission of the ¢hurch to make disciples and
make a difference.
In addition. we have an active children's. youth, and student ministry. and run programs to strengthen marriages
and (amilies. Beyond our local congregations we are actively involved in supporting other churches across
Europe with ministry skills training, resourcing, and18adership development and Support.
In all this we are confident thai our focus on these cor8 aclivities is resulting in the strong fulfilment and
advancing our mission,
Achievements and perfomianee
This financial year has seen continued positive attendance growth, particularfy in our West Kensington
ongregation, which added a second regular Sunday service in Novémber 2023 In response to outgrowin9 Its
current capacity in one service.
Following the cancer dlagnosis rec8lved by our Founding Pastor Wolfgang Eckleben ("Wolfi"} in January 2022,
and the subsequenl Lead Pastor succession lo Oavid Daniel for the West Kensington congregation in January
2023, Wolfi's health remainéd stable for most of thè current financial year. However. in March 2024 Wolfi
received an adverse prognosis regarding his cancer, which accelerated the process of lurther organisational
transitions and ¢onlingencies. David Daniel was Iherefore appointed a Direclor and Trustee in April 2024, and
took over all of Wolfi's éxècutive funotions, which ensured no disruptions to regular opefalions.
Wolfi passed away peacefully on 131h September 2024. and is missed by his grateful friends and colleagues at
Every Nation London. David Dani81 is fully installed as Senior Pastor and Executive Director.

EVERY NATION LONDON
TRUSTEES. REPORT (INCLUDING DIRECTORS, REPORT) (CONTINUED)
FOR THE YEAR ENDED 30 JUNE 2024
Achl•vemen18 and performanee (contlnued)
A few other highlights of the year were=
In August 2023 the West Kensington congregation was able to exlend its tenure beyond the original
one-year lease for p8rman8nl use of the whole building al 9 Beaumont Avenue. by signing a new
four-year lease. After a significant remodelling affort this venue has been an effective tool for many
aspects of our mission.
We received two extraordinary financial donations of £515.000 and £800.000 in November 2023
and May 2024 respectively. This has enabled us to make a few key hires in r8spons8 to gro¥￿h, and
to build our deposit for our 'permanenl place of presence" in London.
The Cardiff planl officially launched as a church in early 2024 and is going from strength to strength.
Thls also functions under the covering of the Every Nation London charity.
In response to continued gr0￿h in Our W651 Ken5inglon congregation. a new church plant in
Kingston was initiated. A leader and team were identified and, beginnin9 with a 'vision night" in May
2024, we are currently preparing for the full launch of a ngw congregation in January 2025.
We continued lo invest in the wider GOEUROPE2040 vision. which is "that by God's grar£ we will
plant a campus-reaching church in every European nation by 2040" In partnership with our Europg
Every Nation churches we have new works started In Lisbon, Glasgow. Zagreb, and Sweden. We
have also launched a new "Scou12040" initiative lo help all Europe churches send small missions
teams to all the nations in Europe where we do not yet have a campus-reaching church.
Flnan¢lal rovI•w
The Ministry is entirely dependent on the freewill giving of the members of the congregation. It was encouraging
to see good growth in the number of individuals who regularly support the ministry financially.
The annual gross income total was signlficantly higher than the previous year, Ihis belng due to iwo very
generous large gifts received, as well a steady increase in regular donations across the congregations. These
large gifts were received In our West Kensington congregation and were particularly significant as il ènabled us
to do the required renovatlons and absorb the increased lease Costs of the new opportunity we had to remodel
and create a magnificent new meeting space for the congregalion.
Allocatlon of In¢om•
Our general guidellnes for giving allocation from gross church income this year were as follows..
100/• of gross church income is set aside for supportirsg tha greater Every Nation vision. half15 /0) of
which Is usèd for advancing thè mission in Europe, and thé other half administèred by our head
office in Nashville for overseeing and advancing the mission across the world. We now have works
in over 85 nations! The Dir8clors confirm that the activities of both the Every Nation Europ8an and
International ministry that we support with these funds are fully in line with the slated objectives of
our chaflty. Every Nation International is accredited by the Evangelical Council of Financial
Accountability in the USA. with the financial statements and activities published lor public access
and scrutiny on the website at ww.ecfa.or9. The EN Apostolic Council is tasked with the
responsibility of monitoring and directing the use ol the international finances.
Each congregation furlher contributed 15/0 of gross income to a central department fund which
funds all the activities and ministries which we deem to be more effectively done in synergy, rather
Ihan as individual congregations. These specifically include the financial administration, audits,
senior oversight. website. database, HR functions, combined events, missions, church planling
initiatives.
The remainder of ea¢h congregation's funds are used directly towards local congregation minlstry
advancements.
Reserves
We aim to hold a-general unreslricled r8sèNè fund (th8 contingèncy fund) of £70,000, whlch Is roughly
equivalent to three months. worth of operating budget. This is dèemed necessary for ensuring uninlerrupted
continuity of the activities of the company since the regular tithes and offerings are not in any way guaranteed. In
the ev8nl that Ihls contlngency fund drops below this agreed mlnimurn, our policy Is to reset this contingency
fund to this level al the end of every financial year from unrestricted reserve funds.

EVERY NATION LONDON
TRUSTEES. REPORT (INCLUDING DIRECTORS, REPORT) (CONTINUED)
FOR THE YEAR ENDED 30 JUNE 2024
Reserves (continued)
Each congregationldepartment also holds 'savings reserve lunds" of any annual excess funds they have. and
these savings are allocated according to the congregalion core leaders directives. For example, the West
Kensington Congregation holds significant savings of close to £1 mil which are allocaled to a future 'Permanent
Place of Presencè" property of our own. Thls also Includes growlng restrlcted funds glven speclfKally to the
building project.
The European Churches Fund was posltlve at 30 June 2024, as shown In note 17.
At the end of the year. the charity had total reserves of £2,503.990 (2023'.£1,205.451), of which £259.855
{2023.£280.465) were restricted, £617,351 12023.'£526,3081 were deslgnated and £1.626,78412023:£398.6781
were general unreslricled funds.
Grant making pollcy
Every Nation supports nèw church plants in Europ8 which are being planted by Every Nation churches in
Europe. The amounts and lengths of support are decided by the Irustees based on information provided by the
hurches. We do this because of our conviction that planling new churches is one of the most effective ways of
advancing the objectives of our charity in the greater European context.
Fundraising
Every Nation London receives all of ils donation income from the fr8ewill glvlng of ils congregations. The Irusleès
are committed to maintaining the highest legal and éthical standards in the way our charity undertakes its
fundraising activities. All fundraising lakes place in-house, and we do not use any professional fundraisers. Oue
to the sizo of our congregallon and the number of donations of all sizes wa rèceive each wèék, we cannot lully
investigate each donation. We take precautions In our fundraislng to ensure the protection of the public, including
vulnerable persons, from unreasonably intrusive or persistent fundraising approaches, or any undue pressure to
donate. Our tèam takes seriously any expression of dissatisfaction we receive regarding our fundraising pTactlC8
and would aim lo resolve any complaints as quickly as possible. Any such complaints would be escalated to the
congregation Lead Pastor and the Senior Pastor first. If the complaint cannot be resolv8d. it will be further
escalated lo the church Board of Trustées, who will nomlnale a non-executive membgr of the Board to
investigate the merits of the complaint and any resulting actions necessary. If necessary, we will contact the
Charity Commission for advice and guidance. No complaints were made in the yéar to 30 June 2024.
Investment pollcy
The charity holds material programme-relaled investments in the form of a loan made to purchase a property to
facllltate a mlnislry programme. The loan Is recognlsed at cost andls fully rep8yable in the evenl the property Is
sold.
Rlsk management
The directors together with the Finance Board actively Consider the risks Ihal the company faces on an ongoing
basis and impl&ment procedures and Controls through the staff to manage.and mitigate those risks as they are
idenbfied.
Safeguardlng ri$ks.' The Health and Safèty, Child Protection, and Data Protection funclions are sel and monllored
by appointed officers.
Financial risks.. In the light of the consistency of our income levels over the past few years. and our reseNe funds
held, we do not currently foresee any fa¢tors that are likely to put the charity's financial p&rformance at risk.

EVERY NATION LONDON
TRUSTEES. REPORT (INCLUDING DIRECTORS, REPORT) (CONTINUED)
FOR THE YEAR ENDED 30 JUNE 2024
Future plans
We believe that our core activities are deliverfng strongly io fulfilllng our mission. and Iherefore our main focus is
to continue concentrating on running these well. Areas in which we will be seeking to advance and add in this
financial year and going forward include:
In November 2023 our Wesl Kensington congregation will Start a second moming Service to
accommodate the growing numbers attending.
2. We are actively preparing for a new church plant in the South of London {Klngston), which wlll be
supported by a "transplant- of 50-75 people from the West Kensington con9regalion in January
2025.
3. In September 2023 our congregats'on in Ea51 London moved back onlo the Queen Mary University in
Mile End, meeting on Sur)day mornin9s, with the aim of more effectively engaging with the next
'generation. We are working closely wilh the leadership in Milè End to synchronise ministry
operatlons more effectlvely across our London congregatlons (West Kensington, Mile End and
Kingston).
Future plans {continued)
4. We will be actively involved through leadership, finances and missions in the continued support of
number of new church plants in Europe, including Switzerland and Sweden.
Budgot for 2024125
The budget sel for the next financial year 2024125 is a bold one focussing on a number of expansion investments
in staff and facilities. Employee msts have seen a significant increase compared to last year. particularly with
new Lead Pastors added for the Wesl Kensington congre9alion, additional staff for key ministries. as well as
some increases for staff members. The venue costs have also increased with the new lease and increase in
utilities prices, and a general inflation increase. The additional costs and budget deficits in all departments are
covered by each departments savlngs reseTv8s this year. The Board will fflonitor this with a midyear budg91
review and make any required decisions accordingly.
The board and eldership are confident that the new budg8t reflects the ministry prlorilies for the next year.
Slru¢ture, governance and managemènt
The charity Is controlled by its governing document, the Memorandum and Articles ol Assoclallon, and
onslltules a limited company, limi18d by guaranlee, as defined by the Companies Act 2006.
The trustees, who are also the directors lor the purpose of company law, and who served durlng the year and up
to the date of slgnature of the financial stalements were=
W Eckleben
(Resigned 13 September 2024)
C Lugi
W Schoonraad
P Howell
D Dani81
(Appointed 21 April 2024)
The 8oard of Directors appoinls new directors for renewable terms ol three years. We use resources produced
by Stewardship Services to induct new trustees and for ongoing trustee training.
The Trustees of Evèry Nation London conslsl of a selection of memb8rs of the Eldership and Finance Board. Our
church Eldership oversees the overall spiritual leadership direction of the church, and our Finance Board
oversees and monitors the finance management and reporting.

EVERY NATION LONDON
TRUSTEES. REPORT {INCLUDING DIRECTORS. REPORT) (CONTINUED)
FOR THE YEAR ENDED 30 JUNE 2024
This year the Eldership consistèd of..
Llz Lugi (Chairperson of the Eldershlp)
Alex Lugt
Wolfgang Eckleben
Aison Eckleben
Daniel Smart
Amanda Smart
David Daniel
Tamsin Daniel
This year the Finance Board conslsted of, in addition lo the Oirectors..
Mr Paul Howell (Chairperson)
Mrs A Schoonraad
Mr Matt White
Mrs Terry-Lin Sheppard is also appointed as an advlsor to the board and Is contractèd to complète all finance
reporting.
Slaff and volunteers
Both the Eldership and Flnance Board delegate executive funcllons to the $8nlor pastor and congregallon
pastors, who lead the staff and volunteers to fulfil the mission. The Finance Board and congregation pastors
comprtse the key m8n8gemenl personnel of the church.
The majority of the work of the charity is done by many committed volunteers and we employ a number of staff in
full-limè and part-lime positions for a varlety of pastor81, misslonal and 8dmlnislralive funcllons.
Average number full lime staff for this period.. 11
Average number of part-time staff for this period.. 4
Average Partner supported staff Iwilh part support from Every Nation).. 12
Interns.. 1
Rfrmun•ratlon
All salaries, remuneration and benefits declslons are made by the Finance Board. Pay grades of various
ernploymenl levels have been s81 by comparisons with various churches remuneration reporls. and comparative
jobs in the wider market. Salary reviews take place as part of the annual budget setting exercise, and all
Increases are based on performance reports from staff revlews. Any decisions relating to the senior pastors or
Iheir relatives are made by Ihe Board in Iheir absence.
Wlder network
Every Nation London is part of Ihe world-wide family ol Every Nation Churches and Ministries, whose slated
'end" is Ihat exist to honour God by establishing Chrisl-centered, Spirit•empOw8￿d, socially responsible
churches and campus ministries in every nalion." There are currently Every Nation churches in over 80 nations of
the world. We partner with th8 Every Nation family for the fulfilmenl of our mission, church planting, resources,
equipping. etc. Every Nation London commits 100A of its gross income towards this wider work, with half of thls
being directly managed from our London accounts and applied lo the work in Europe, and the other half being
managed by and reported by the Every Nation International office in Nashville, US.
We are also members ofthe Evangelical Alliance UK since 1995.

EVERY NATION LONDON
TRUSTEES. REPORT (INCLUDING DIRECTORS. REPORT) (CONTINUED)
FOR THE YEAR ENDED 30 JUNE 2024
Statomant of trustses. r•sponslbllitle8'
The trustees, who are also the diredors of Every Nation London for the purpose of company law, are responsible
for preparing the Tnjslees, Report and the financial slalements in accordance with applicable law and United
Kingdorn Accounting Standards {United Kingdom Generally Accepted Accounting Practice).
Company Law requires the trustees to prepare fin8ncial statements for èach financial year which give a true and
fair view of the state of affairs of th8 charity and of the incoming resources and application of resources, including
the income and expénditure, of the charitable company for that year.
In preparing these Ilnancial Slalemenls, the trustges are requlred to..
select suitable accounting polici8s and then apply them consi51enlly,'
observe thé méthods and principles in the Charities SORP.,
- mak8 judg8menls arKI estimates that are reasonablè and prudent"
slate whether applicablé UK Accounting Standards have been followed, 8ublect to any material departures
disclosed and explained in the financial slalem8nts', and
prepare the financial slalements on the going concern basis unless it is inappropriate lo presume that the
harily will continue in operation.
The trustees are responsible for keeping adequate aecounllng records that disclose wllh reasonable aceuracy at
any time the financial position of the charity and enable them to ensure that the financial stalemenls comply with
the Companies Act 2006. They are also responsible for safeguarding the assets of the charity and hence lor
taking reasonabl8 steps for the prévention and detection of fraud and other irregularities.
Audltor
In accordance with the company's articles, a resolution proposing that Xeinadin Audit Limited be reappointed as
audilor of tho Company wlll be pul at a Gen8ral Meeting.
Dlsclosur• of Informatlon to auditor
Each ol the Iruslees has confirmed that there Is no information of whlch they are aware which is relevant lo the
audit, bul of which the auditor is unaware. They have further confimed that they have taken appropriate steps to
identify such relevant information and to establish that the auditor is awar8 of such information.
Conclusion
We are confldenl that the aclivities of Every Nallon London. and the use of resourGes 83 desGrlbed above and
detailed in the attached financial slalemenls, reflecl a committed pursuit and fulfilment of tho aims and objectives
of the Trust for the public interest, and that we are in a slrong position to wntinue fulfilling our mission to "make
dis¢lples and make a difference"
The trustees, report was prepared in accordance with the special provisions relating to small c4ynpanies within
Part 15 of Ihe Companies Act 2006 and approved by the Board of Trustees.
C Lugt
Trustee
Dated.. 12 March 2025
AJ6x LL19t
Pavid Pani6]
D Danlel
Trustee
Daled.'12 March 2025

EVERY NATION LONDON
INDEPENDENT AUDITOR'S REPORT
TO THE MEMBERS OF EVERY NATION LONDON
Opinion
We have audited the financial statements of Every Nation London (the 'charity'l for the year ended 30 June 2024
which ¢omprise the statement of financial activities, the balance sheel, the stglemenl of cash flows and the notes to
the financial statements, including a summary of significant accounting policies. The financial reporting framework
that has been applied in their preparation is applicable law and United Kingdom Accounting Standards, including
Financlal Reporting Standard 102 The Fin8ncial Reporting Stand8rd applicable in the UK and Republic ol Ireland
(United Kingdom Generally Accepted Accounting Practice).
In our opinion, the financial statements..
give a true and fair view of the stale of the charitable company's affairs as at 30 June 2024 and of ils incoming
resources and application of resources. including ils income and expenditure, for the year then ended.,
have been properly prepared in accordance with Unitèd Kingdom Genèrally Accepted Accounting Practice;
and
have been prepared in accordance with thè requirements of the Companies Act 2006.
Basls for opinion
We conducted our audit in arcordance with Intemalional Standards on Auditing IUKI {ISAs {UK)) and applicable
law. Our responsibilities under those slandards are further described in the Auditors responsibilities for the audil of
tlje financial statements section of our report. We are independent of the charity in accordance wilh th8 ethical
requirements that are relevant lo our audit of the financial statements in the UK, includlng the FRC'S Ethical
Standard, and we have fulfilled our other ethical responsibililies in accordance with these requirements. We believè
that the audrt evldence we have obtained is sufficient and appropriate to provlde a basis for our opinion.
Concluslons relatlng lo golng concern
In auditing the financial statements, we have concluded that the Iruslees, use of the going conc8m ba.sis of
accounting in the preparation of the financial slalemenls is appropriate.
8ased on the work we have performed, we hav8 not identified any material uncertainties rèlating lo gvgnts or
conditions that, individually or collectively. may cast significant doubt on the charily's ability lo conlinue as a going
Concern for a pèriod of al least twelve months from when the financial statements are aulhorised for issue.
Our responsibilities and the responslbllllies of the trusl8es with respect lo going concern are described in the
relevant sections of Ihis report.
Other Informatlon
The other information comprises the Infomiation included in the annual report other than the financial statements
and our auditorfs report Ihereon. The Iruslees are responsible for the other information contained within the annual
report. Our opinion on Ihe financial statements does not cover th6 other informallon and. except to the exlenl
olhefwise explicitly slated in our feport. we do not express any form of assurance conclusion thereon. Our
responsibility is to read the other information and. in doing so, consider whelher the other information is malerially
inconsistent with the financial slalernents or our knowledge obtained in the course of the audit, or otherwise appears
lo be materially misstated. If we identify such material inconsist8ncies or apparent malerial misstatements. we are
required lo determine whether this gives rise lo a material misstalement in the financial slalemenls themselves. If,
based on Ihe work we have performed, we conclude that there is a material misstalemenl of this olher informalion,
we are required to report that fact.
We have nothing to report in this regard.
Opinions on other matters prescribed by tho Companies Acl 2006
In our opinion, based on the work undertaken in the course of our audit-
the infom)ation given in the truste8s' report for the financial year for which the financial statements ar8
prepared, which includes the directors, report prepared for the purposes of company law, is consislenl with the
financial statements; and
the dir8Ctors' report included within the trustees. report has been prepared in accordance with applicable legal
requirements.

EVERY NATION LONDON
INDEPENDENT AUDITOR'S REPORT (CONTINUED)
TO THE MEMBERS OF EVERY NATION LONDON
Matters on which we ar• requlred to report by exceptlon
In the light of the knowledge and understanding of the charity and its environment obtained in the coursè of thé
audit, we havo not identified material misststemenls in the dire¢lors' report included within the trustees, report.
We have nothing to ￿port in respect of the following matters in relation to which the Companies Act 2006 requires
us lo report lo you if. in our opinion..
adequate accounting records have not beèn kept. or returns adequate for our audit have not been received
from branche5 not vlsited by us,. or
the financial statements are not in agreement with the accounting records and retums., or
certain disclosures of trustees, remuneration specified by law are not made., or
we have nol received all the information and explanalions we require for our audit: or
the trustees wère not entilled to prepare the financial slalements in accordancè wlth the small companles
regime and take advantage of the small ¢ompanies' exemptions in preparing the trustees, report and from thé
requirement to prepare a strategic report.
R•sponslbllltlo9 of trust•OS
As explained more fully in the statement of trustees, r8sponsibililies, the trustees. who are also the directors of the
harily for the purpose of company law, are responsible lor the preparation of the financial statements and for being
salisfied that they give a true and fair view, and for such internal control as the trustees determine is necessary lo
enable the preparation of financial slalements Ihal are Ire8 from material misslalemenl, wh8lh8r duè lo fraud or
error. In preparing the flnancial slalemenls, the Iruslees are responsible for assessing the charity's ability to
continue as a going concern. disclosing. as applicable. matters related to going concern and using the going
onG8rn basls of accounting unless the trustees eith8r Intend lo Ilquldato lh8 charltablè company or to cease
operations, or have no realistic allernalive bul to do so.
Audltofs rgsponslbllltles for the audlt of thè flnanclal 31atements
Our objectives are lo obtain reasonable assurance about whether the financial slalemenls as a whole are free frorn
material misslaternent, whelhei due to fraud or error. and to issue an auditor's report that includes our opinlon.
Reasonable assurance Is a high level ol assurance bul is.not a guarantee that an audit conducted in accordance
with ISAS (UK) will always detect a material misstatement when it exists. Misslalemenls Can arise from fraud or
error and are consldered material if, Individually or in the aggregale. they could reasonably be expected to influence
Ihe economlc decisions of users taken on the basis of these financial slatemenls.
The extent to whl¢h our procedure5 are capable of detectlng irregularllles, includlng fraud. Is detailed below.
Based on our understandlng of the charily, we identified that the pnncipal rlsks of non-compliance with laws and
regulations related to employment and financial reporting legislation and we considered the extent lo which non-
compliance mi9ht have a material effect on the financial slalemenls. We also considered Ihose laws and regulations
that have a direct impact on the preparation of the financial slalements such as the Companies Act 2006 and the
Charities Act 2011.
We assessed the susceptibility of the charity's financial statements lo material misstatement, induding obtaining an
understanding of how fraud might occur. by making enquiries of management, considering the inlemal conlrols in
place and discusslon amongst the engagement team.
We detemined that the princlpal risks were related lo posting inappfopriate loumal entries to increase revenue or
reduts expendituré, management bias in accounting èstimates. presenlation of separately disclosed items and
management override of controls.

EVERY NATION LONDON
INDEPENDENT AUDITOR'S REPORT (CONTINUED)
TO THE MEMBERS OF EVERY NATION LONDON
In response to the rlsks identified we designed procedures which included, bul were not limited lo..
agreeing financial statement disclosures to undertying supporting documentation
identifying and testing joumal entries
reviewng Trustees meeting mlnules
evaluating the charity's internal controls
challenglng slgnlflcant accounllng estlmates
There are Inherent limilatlons in the audit procedures described above. The more removed that laws and
regulations are from finanoal transactions. the less likely il is that we would become aware of non-compliance.
Material misstatements that arise due to fraud can b8 harder lo delèct than those thal arise from error as they may
involv8 deliberate wncoalment or collusion.
A further descriptlon ol our responsibilltles Is available on the Financlal Reporting Council's website at.. hllps'.11
wvm.frc.org.uklaudltorsresponslbllilies. This description fomis part of our audilorfs report.
U8• of our roport
This report is made solely lo the charitable company's members, as a body, in accordance with Chapler 3 of Part 16
of the Companies Act 2006. Our audit work has been undertaken so that we might stale lo the charitable company's
Members those matters we are required to slate to them in an auditor's report and for no other purpose. To the
fullest exl8nl permitted by law, we do not accept or assume responsibility to anyone other than the charitable
company and the charitable company's members as a body, for our audil work, lor this report, or for Ihe opinions we
have formed.
Paul Nowton FCA {S•nlor Statulory Audltor)
For and on behalf of Xeinadin Audit Limited, Statutory Auditor
Accounlanls
5 Robin Hood Lane
Sutton
Surrèy
SM12SW
Dale: .24 Mar¢.h.?.Q.15

EVERY NATION LONDON
STATEMENT OF FINANCIAL ACTIVITIES
INCLUDING INCOME AND EXPENDITUREACCOUNT
FOR THE YEAR ENDED 30 JUNE 2024
Unrèstricted Restricted
funds
funds
2024
2024
Total Unrnstrlcled Restrlcted
funds
funds
2023
2023
Total
2024
2023
Notes
as r•stated
ao restated
Income from:
Donations and legacies
Charitable activities
Inve51rnents
2.897,804
3,949
11,581
435,995 3,333,799
3,949
11,581
1,325,119
6,536
3,081
326,222 1,651,341
6.536
3,081
Total Incoma
2,913,334
435,995 3,349,329
1,334,736
326.222 1,660,958
Expènditura ¢)n:
Charitable activities
1.626,594
456,605 2,083,199
1,402,062
282,610 1,684.672
Total expenditure
1.626,594
456,605 2,083,199
1.402,062
282,610 1,684,672
N•1 In¢omel(•xp•ndlture> and
rnovemont In funds
1,286,740
(20,610) 1,266,130
(67,326)
43.612
123,7141
Ro¢onclllatlon of funds:
Fund balances al 1 July 2023
As orlginally reported
Prior year adjustrnent
A5 reslaled
924,986
32,409
957,395
280,465 7,205,451
32,409
280,465 1,237,860
1,024,721
236,853 1.261,574
21
1.024.721
238,853 1,261,574
Fund balances at 30 Jun•
2024
2.244,135
259,855 2,503,990
957,395
280,465 1.237,860
The statement of Ilnancial activille3 Includes all gains 8nd10gses recognised In the year. All income and expendlture
derive from continuing activllies.
10-

EVERY NATION LONDON
BALANCE SHEET
ASAT30 JUNE 2024
2024
2023
a$ rèstated
Notes
Flxed assets
Tangible assets
Programme rèlated investments
11
12
52.968
100,000
30.278
100,000
152,968
130,278
Current assels
Debtors
Cash at bank and in hand
13
365.454
2,135,252
111,621
1,093,442
2,500,706
1,205,063
Credltors: amounts falllng du• within
one year
14
{149,684)
{97.481)
Nel currént assets
2,351,022
1.107.582
Total assats less Current Ilablliti•8
2,503,990
1,237,860
Income funds
Reslricled funds
Unreslricled funds
Designated funds
General unrestricted funds
16
259,855
280,465
17
617,351
1,626.784
526,308
431,087
2,244,135
957.395
2,503,990
1.237,860
The financial statements were approved by the Trustees on 12 March 2025
C Lugi
Trustee
AJ6x LLL9t
D Daniel
Trustee
Pavid Pani8J
Company reglslratlon number 4942206
11

EVERY NATION LONDON
STATEMENT OF CASH FLOWS
FOR THE YEAR ENDED 30 JUNE 2024
2024
2023
Notes
Cash flows Irom oporatlng aGtlvltles
Cash generated fromllabsorbed by)
operations
24
1.069,853
166,674)
Investing activities
Purchase of tangible fixed assets
Proceeds from disposal of tangible fixed
assets
Investment income received
{41,2671
(11,648)
1,643
11,581
3,081
N•t cash used In Investing a¢tlvllle•
(28,043)
{8,5671
N•t cash used In flnanclng activllies
N¢t increasel{dgcrease) In cash and Cash
equivalents
1,041,810
{75,241)
Cash and cash equivalents at beginning of year
1,093,442
1,168,683
Cash and cash equlvalents at end of year
2,135,252
1,093,442
12-

EVERY NATION LONDON
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 30 JUNE 2024
Accounting policies
Charity inforn)alion
Every Nation London is a pr.ivate company limited by guarantee incorporate(l in England and Wales. The
registered office Is Clo Fulham 8oys School, 9 Beaumont Avenue, London, W14 9LP.
1.1 Accountlng eonventlon
The financial slalemenls have been prepared in accordance wilh the charlty's Memorandum of Association,
the Companies Act 2006 and "Accounting and Reporting by Charities.. Stalement of Recomm8nded Practicè
applicable lo charities preparing their accounts in accordano with thé Financial Reporting Standard
applicable in the UK and Republic of Ireland {FRS 102) (effective 1 January 2019).. The charity is a Public
Benefit Entity as definèd by FRS 102.
The financial stat8ments are prepared in steriing, which is the functional currency ol the charity. Monetary
amounts In these financial statements are rounded lo the nearest £.
The financial statements have been prepared under the historical cost convention. The principal accounting
policies adopted are set out below.
1.2 Golng concern
Al the lime of approving the financial slalemenls. the Iruslees have a reasonable expectation that Iht charity
has adequate resources to continue in operational exisl8nce for the foreseeable future. Thus the trustees
continue to adopt the golng concem basis of accountlng in preparing ihe financial slalements.
1.3 Charitable funds
Unrestricted funds are available for use at the discretion of Ihe Iru51ees in lurtherance ol their charitable
objectives.
Restricted funds are subject lo specific condilions by donors or grantors as lo how they may be used. The
PLtrposes and uses of the restricted funds are set out In the no18s lo the financial statements.
1.4 Incomo
Income is recognised when the charity Is legally entitled to it afler any performancé condillons have been met.
the amounts tsn be measured reliably, and il is probable that income will be received.
Cash donations are recognised on receipt. Other donation5 are recognised once the charity has been notified
of the donation, unléss performance conditions require deferral of Ihe amount. Income tax recoverable in
relation lo donations received under Gift Aid or deeds of covenant is recognSsed al the time ol Ihe donation.
Legacies are reco9nised on receipt or otherwise if the charily has been nolified of an impending dislribulion,
th8 amount is known, and receipt Is expected. If Ihe amount is not known, the legacy is Ir8ale(J as a
contingent asset.
The charity has relied significanlly upon volunteers in carrying out ils activities during the year, particularly
local church activities. In accordance with paragraph 6.18 of the SORP, the role of volunteers has not been
recognised as income from donaled services in the accounts.
13-

EVERY NATION LONDON
NOTES TO THE FINANCIAL STATEMENTS {CONTINUED)
FOR THE YEAR ENDED 30 JUNE 2024
Accountlng pollcles
(Contlnuedl
1.5 Expendlluro
Expenditure is recognised once the￿ is a legal or construclive obligation to transfer economic benefil lo a
third party. il is probabl8 Ihat a transfer of economic benefits will be required in settlemenl, and the amount of
the oblig8tion can bè mèasured reli8bly.
Expenditur8 is classified by aclivity. The costs of each activity are made up of the total of direct costs and
shared costs. induding support costs involved in undertaking each activity. Direct costs attributable to a single
activity are allocated directly to that activity. Shared cosls which contribute lo more than one activity and
Support costs which are not allribulable lo a single activity are apportion8d between thos8 activities on a basi5
consistent with the use of resources. Central staff costs are allocated on the basis of time spenl, and
deprecialion charges are allocated on thè portion of the asset's use.
Grants payable are recognised at the earlier of when they are paid or bec0rn8 conslructive obligations.
The nature of Ihe work of the church is consldered to be so integrated that the rA)re charitable activity costs
are considered lo be for the one aclivily. The support cost5 attributable to the.fundraising activity are
consldered minimal. Nethertheless an allocallon has been shown in Noté 5 10 the accounls.
1.6 Tanglble fixod a8s•t•
Tanglblè fixed assets are Initially measured al cost arKI subsequently measured al cost or valuation, nel of
depreciakn'on and any impairment losses.
Depreciation is recognised so as to write off.the cost or valuation of assets less their residual values over their
useful lives on the following bases-
Plant and 8quipménl
Fixtures and fillings
Compulers
Motor vehicles
Over 4 years
Over 4 to 5 years
Over 3 years
Over 5 years
The gain or loss arising on the disposal of an asset is determined as the difference b&￿een the salè
proceeds and the carrying value ol the asset, and is recognisèd In the statement of financial activities.
1.7 Impalrrnent of flxed assets
At each reporting end dale, the charity reviews the carrying amounts of ils tangible assets to determine
vthÈlher there 1$ any indication that Ihose assets have sulfered an impairmenl loss, If any such Indlcalion
exists, the recoverable amount of Ihe asset is eslimaled in ¢yder to determine the exlent of the impairmenl
loss lif any).
1.8 Cash and cash equivalènts
Cash and cash equivalents include Cash in hand, deposits held at call with banks, other short-lem liquld
investments with original maturities of three months or less, and bank overdrafts. Bank overdrafts are shown
within borrowings in current liabillties.
14-

EVERY NATION LONDON
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 30 JUNE 2024
Accountlng pollcles
{Conllnued)
1.9 Flnanclal instruments
The charily has elected lo apply Ihe provislons of Section 11 '8asic Financial Instruments, and Section 12
'Olher Financial Instruments Issues, of FRS 102 to all of ils financial instruments.
Financial instruments are recognised in the charity's balance sheet when the charity becomes party lo the
¢ontraclual provisions of the inslrumenl.
Financlal assets and liabililies are offset, wllh the net amounts presented in the financlal statements, when
there is a legally enforceable right lo set off the recognised amounts and there is an inlenlion to settle on a
nèt basis or to realise the asset and settle the liability simultaneously.
Baslc Ilnan¢lal asséts
Baslc flnanclal assets. whl¢h include debtors and cash and bank balances, are Inltlally measured al
transaction price inrluding transaction costs and are subsequently carried al amortised cost using the
effective inl8r8sl method unless the arrangement constilules a financing transaction, where the transaction is
measured al the present value of the future receipts discounted at a market rale ol interest. Financial assets
classified as receivable within one year are not amortised.
Ba$lc flnanclal Ilabllltlo$
Basic financial liabilities, including cr8ditors and bank loans are initially recognised al transaction price unless
the arrangement conslilutes a financing transaction, where the debl instrument Is measured al the present
value of the future payments discounled at a market rate of interest. Financlal liabilities classified a5 payable
within one year are not amortised.
Oebl ins'truments are subsequently carried at amortised cost, using the effective interest rate method.
Trade crèdStors are obligations lo pay for goods or services that have been acquired in the ordinary cours8 of
operations from suppliers. Amounts payable are classified as current liabilities if payment is due within one
year or less. If not, they are presented as non-currènt liabilities. Trade creditors are recognised initially at
transacllon prlce and subsèquèntly measured al amortlsed cosl uslng the effective Interest method.
Derecognltlon of financlal Ilabllltles
FinanGial liabilities are derecognised when the charity's contractual obligations expire or are discharged or
canc8118d.
1.10 Employee beneflls
The cost of any unused holiday enlitlement Is recognlsed in th8 perlod in which the employee's services are
received.
Termination benefits are recogni5ed immediately as an expense when the charity Is demonstrably commilled
lo lerninate the employment of an employee or lo provide lerminalion benefits.
1.11 R•tlrèmènt boneflts
Payments to defined contribution retirement benefit schemes are charged as an expense as they fall due.
15-

EVERY NATION LONDON
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 30 JUNE 2024
Critical accounting estimates and judgements
In the application of the charity's accounting policies, the trustees are required to make judgements, estimates
and assufflplions about the carying amount of assets and liabilities that are not readily apparent from other
sources. The estimates and associated assumptions are based on historical experience and other factors that
are considered to be relevant. Actual results may differ from these estimates.
The estimates and underlying assumptions are reviewed on an ongolng basis. Revlsions to accounting
estimates are recognised in the period in which the estimate is revised where the revision affects only that
period, or in the period of the revision and future periods wherè the revislon affects both current and future
periods.
Donatlons and l•ga¢lo8
Unrostrlcted Re8lrl¢lod
funds
funds
Total Unrestricted
funds
Restrlcted
funds
Total
2024
2024
2024
2023
2023
2023
Donations and gifts
Tax recoverable
2,345,179
552,625
430,017 2,77S,196
5,978
558,603
1,108,770
216.349
323,482
2.740
1,432,252
219,089
2.897,804
435,995 3,333,799
1,325.119
326,222
1,651,341

EVERY NATION LONDON
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 30 JUNE 2024
Charitable activltlos
Dirgct costs
Grants
payable
2024
Support
costs
Total
2024
2024
2024
Local Church
Community, Youth & Kids
Campvs Ministry
Ministry Equipping
Missions & Church Planting
International Ministry Support
Excéptional expenses from savings
1,181,024
82,159
17.169
115,796
22,343
207.923
36,063
200,129 1,381,153
82,159
17.169
115.796
100.674
350,185
36.063
78.331
142.262
1,662,477
220,593
200,129 2,083,199
Direct costs
Grants
payable
2023
Support
costs
2023
Total
2023
2023
Local Church
Community, Youth & Kids
Campus Mlnlstry
Ministry Equipping
Missions & Church Planting
International Minlslry Support
Building2Rebuild
Exceplional expenses from savings
862,815
62,822
40.520
76,782
25,202
109,942
158,002
30,088
196,5111,059,326
62,822
40,520
76.782
82.150
174.982
158,002
30,088
56.948
65.040
1,366,173
121,988
196,5111,684,672
17-

EVERY NATION LONDON
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 30 JUNE 2024
Grants payable
Instltutlons Indivlduals
2024
2023
International Ministry Support
Missions & Church Planting
Relief of Poverty
142,262
39,482
142,262
73,915
4,416
65,040
51,125
5.823
34,433
4,416
181,744
38,849
220,593
121,988
For the year ended 30 June 2023
86,099
35,889
2024
2023
The main grants were made lo:
Every Nation Church Inc, Brent￿ood. Tennes5ee
Ukraine Kalros Camp for klds
Giving to IKhelhelo via Stewardship
Oonalion lo Centrepoinl building fund
Other instilulional support (under £1.0001
142,262
4,254
10.309
20,000
4,919
65,040
3,600
3,000
2,000
12.459
181,744
86.099
Support coots
Support Governance
costs
costs
2024Support costs Governance
costs
2023
Depre¢iatlon
Propety
IT & Tele¢om$
HR & General
Accounting
16,934
42,365
12,407
94,930
25,645
16.934
42,365
12,407
94,930
25,645
17,000
40,900
9.282
97,861
25,528
17,000
40,900
9.282
97,861
25.528
Audit fees
7,848
7,848
5,940
5.940
192,281
7,848
200,129
'190,571
5,940
196,511
Net movement In funds
2024
2023
Th8 net movemenl in fvnds is staled after chargingllcrediling)..
Fees payable for the audit of the charity's financial slatements
Depreciation of owned tangible fixed assets
Profit on disposal of tangible fixed assets
7,848
18.578
{1,644}
5,940
17.000
18-

EVERY NATION LONDON
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 30 JUNE 2024
Trustees
Mr W EGkleben was paid £52,300 (2023..£50,784) plus pension contributions of £5,200 (2023:£5,0761 in his
capacity as a Senior Pastor. and not as a trustee, as permilled by the governing document. Mrs A Eckleben,
his spouse, was also-paid £45,30012023:£43,439) plus pension contributions of £4,50012023'.£4,3141 in her
capacity as a Senior Pastor. Miss A Eckleben, a daughter of Mr W and Mrs A Eckleben, was paid £32,846
(2023'.£24.632) plus pension contributions of £97612023.'£730) as an employee.
Mr D Dani91 was appointed a Iruslee on 21 April 2024 and was paid a salary of £12,883 plus pension
contributions of £385 from that point lo the end of Ihe year in his capacily as Senior Pastor. Mrs T Daniel, his
wrfe, was also paid £8,333 plus pension contributions of £250 in this period.
No remunerallon was paid to. any other trustee during the year nor to any person connected to them.
No trustee received reimbursed expenses other than for items purchased on behalf of the church.
Employee•
The average monthly number ol émployees during the year was:
2024
Number
2023
Number
28
24
Employment ¢osts
2024
2023
Wages and s81anes
Social security costs
Other pension costs
961,216
91,292
45,182
696,708
64,620
38,437
1,097,690
799,765
The charity's activities are generally carried out by volunteers. Staff Costs include redundancy payments of
£Nil (2023.£5,805).
There were no employees whose annual remuneration wa$ more than £60.000.
Remuneration of key management personnel
The remuneration of key management personnel was as follows-
2024
2023
Aggregate compensalion
265,447
186,374
10 Taxation
The charity is exempt from taxation on ils activities because all 115 income is applied for charitable purposes.
19-

EVERY NATION LONDON
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 30 JUNE 2024
11 fangiblè fixed assets
Plant and Fixtures and
*qulpm•nl
ttlng8
Computers Motor vehlcles
Total
Cost
Al 1 July 2023
Addilions
Disposals
104,029
11,471
52.990
13.227
(2,OS8)
40.892
6.661
197,911
41,267
{2.056>
9,908
At 30 June 2024
115,51)0
64,159
47,553
9,908
237,120
Dgpre¢latlon and Impalrment
At 1 July 2023
Depreciation charged in the year
Eliminated in respecl of disposals
94,967
6,070
42,068
4,549
12,059)
30,598
6,927
167,633
18.578
12.059)
1.032
At 30 June 2024
101,037
44,558
37,525
1,032
184,152
Carrylng amount
At 30 June 2024
14,463
19,601
10,028
8,876
52,968
AI 30 June 2023
9,062
10,922
10.294
30,278
12 Programm• r•lat8d Snveslments
Concesslonary
loan
At 1 July 2023 and at 30 June 2024
100,000
An interest free loan has been advanced to enable a supported missionary to purchase accommodation. The
loan is ￿PaYable when the property Is sold. The loan Is measured al cost and wlll be adlusled for any
impairment in the future as necessary.
13 Debtors
2024
2023
Amounts falllng due wlthln one year:
Tax recoverable
Other debtors
Prepaymenls and accrued income
239.972
55,244
70.238
56,888
47,866
6,867
365,454
111,621
-20-

EVERY NATION LONDON
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 30 JUNE 2024
14 Creditors.. amounts falling due wtthin one year
2024
2023
Trade credllors
Other creditors
Accruals and deferred income
6.011
68,151
75,522
27,612
26,081
43,788
149,684
97.481
15 R?1Srement ben*lit schemes
2024
2023
D•lln•d conlrlbutlon 8chomos
Charge to profil or loss in rèsp8Ct of defined contrlbutlon schèmes
45.182
38,437
The charity operal8s a defined contribution pension scheme for all qualifying employees. The assets of the
scheme are held separately from those of the charity in an independently administered fund.
16 Re3trl¢t•d fund•
The reslficled funds of the charity comprise thè unexpended ba18nce$ of donation$ and gran1$ held on trust
subject to specifi¢ conditions by donors as to how they may be used.
At 1 July 2023
Income Exp•ndlturè
At 30 Jun•
2024
Chlldren and youth
Foodbank
Missions & Church Planting
Needy families
Other
Property Fund
Slough Property Fund
Staff Support
Europe Leaders Scholarship Fund
The London Apostolic Fund
Hous8 purchase fund
Christmas Hamper
166
300
11.083
2.987
(2,987)
1300)
(44,509)
(4)
{85)
166
50,623
17,197
125
58,034
6,643
91.925
1,185
11,000
100,000
3,081
1,438
3.121
59,472
6.643
62,199
1,185
9,872
100,000
377,491
(407,2171
(1,1281
375
1375)
280.465
435,995
{456,605)
259,855
21

EVERY NATION LONDON
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 30 JUNE 2024
16 Restrl¢tgd funds
{Contlnued)
Provlous yoar:
At 1 July 2022
Income Expenditurg
At 30 June
2023
Children and youth
Foodbank
Mlssions & Church Planting
Needy families
Other
Propety Fund
SIou9h Property Fund
Staff Support
Europe Leadèrs Scholarship Fund
The London Apostolic Fund
House purchase fund
541
106
300
43.370
14811
166
300
11,083
10.634
(42.921)
93
56,396
6,643
53.207
2.335
7.000
100.000
32
1,638
125
58,034
6.643
91,925
1,185
11,000
100.000
270,776
{232,058)
11,1501
16,0001
10,000
236,853
326,222
(282.610)
280,465
Chlldren and youth
These funds are used for children and youth programmes and inilialives run by the congregations
Foodbank
Funds used lo support the local foodbank in Stratfora
Mission8 & Church Plantlng
These funds are used on mission trips and for 5UPPOrting and encouraging new church plants
Needy families
These funds are used to support families in financial need
Prop•rty Fund
Funds given for our vision ol leasing I renting I purchaslng etc a propety for our Sunday Services and or
offices
Slough Prop•rty Fund
Funds given for our vision of leaslng / renting I purchasing ecl a property lor our Sunday Services and or
offices in Slough
Staff Support
Funds giving for support staff salaries
Community Presence
Funds given for refurbishing the office and creating a presence In the community
Europe Lead•rs Scholarship Fund
Funds given to support new leadership d8velopmenl across Europe
School of Mlnistry
Funds given towards running the School of Ministry courses
The London Ap05tolic F.und
These funds were received lo support the slaffing and other costs of the GOEUROPE2040 vision.
House purchase fund
These lunds were given to support rnissionaries when purchasing accommodation.
-22-

EVERY NATION LONDON
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 30 JUNE 2024
17 Unrèstricted funds
The unrestricted funds of the charity comprise the unexpended balances of donations and grants which are
not subjeGI to sp6cific conoitions by donors and grantors as to how they may be used. These include
designated funds which have been sèl aside out of unreslricled funds by the trustees for specific purposes.
Al 1 July 2023
Income Exp•ndSture
Tran8fer•
At 30 Junè
2024
European Churches Fund
Communily Presence Fund
Social Responsibility
General funds
38,444
487,864
39,228
{130,447)
142,262
89,487
487,864
40.000
1.626.784
40,000
{182,2621
431,087
2,874.108
{1.496,147>
957,395
2,913,334
{1,626,594)
2.244,135
' Prnvlous year:
At 1 July 2022
Income Expendlture
Transters
At 30 Jun•
2023
European Churches Fund
Community Presence Fund
General funds
65,763
666,608
292.350
27,935
{120,294)
65,040
(178,7441
113,704
38.444
487.8FA
431,087
1,306,801
{1,281,768)
1,024,721
1,334,736
11.402,0621
957,395
European Churches Fund
Funds set a part for supporting, teaching, equipping and encouraging, the leaders and congregalions of all
Every Nation Churches in Europe.
Communlty Presence Fund
Funds 811oc8led for our vision of leasing I renting I purchasing I refurbishing etc a property for our Sunday
Servlces and or offices to establish a place of presence.
18 Analy818 of net as8•t3 bgtween fund8
Unrestrlctod
funds
2024
Rèstrlcted
funds
2024
Total
2024
At 30 June 2024:
Tangible assets
Programme related assets
Current asselsl{liabilities)
52,968
52,968
100,000
2,351.022
100,000
159,855
2.191.167
2.244,135
259,855
2,503,990
-23-

EVERY NATION LONDON
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 30 JUNE 2024
18 Analysls of nét assets belween lunds
(Contlnued)
Unrestricted
funds
2023
Restrictèd
funds
2023
Total
2023
At 30 June 2023:
Tangible assels
Prograrnme relaled assets
Currènt assetsllliabilitl8s)
30,278
30,278
100,000
1,107,582
100,000
180,465
927,117
957,395
280,465
1.237,860
19 Op•ratlng loa8• commltments
Lo$so•
At the reporting end dale the charlty had oulslanding commitments for lulure mlnlmum lease payments under
non4ancellable operating leases, which fall due as follows..
2024
2023
Within one year
Between tsvo and five years
177,337
26,630
203,967
20 Related party transactlons
Transactlons with related partles
During the year the charity entered into the following transactions with related parties..
Unrestricted donalions of £1,442.273 {2023:£357,785} were received from trustees and related parties during
the year.
21 Prlor year adJustm•nt
A prior year adjuslmenl has been mad8 lo correct an error in the calculation of the accrual for holiday pay in
previous years. The prlor year figures have been amended and the effects of the Gorrections are detailed
below.
As prevlously Prior year
staled
adjustment
As restalod
General lund expenditure
General fund balance brought forward at 1 July 2022
Accruals and deferred income
1.409,535
267,414
88,497
7,473
24.936
32,409
t,402,062
292,350
43,788
-24-

EVERY NATION LONDON
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 30 JUNE 2024
22 Members
Each member ol the company commits to contribute an amount 01 £10 if the charity is wound up.
23 Analysis of Changes in net lunds
The charity had no matèrial debt during the year.
24 Cash generated from operatlons
2024
2023
Surplusl(deficit) for the year
1,266,130
{23,714)
Adjustments for:
Investment income recognised in statement of financial activities
Gain on disposal of tangible fixed assets
Depreciation and impaimient of tsngible lixed assets
111,5811
(1.6441
18,578
13,0811
17.000
Movements in working capital:
(Increase) Sn debtors
Increase in ¢redilors
{2S3,833)
52,203
169,064)
12,185
Cash generated froml(absoib•d by) oporatSon•
1,069,853
166,6741
-25-