REGISTERED ¢HARrrY NUMBER.. 1108135
naudi
Flnan
on￿1
.2Q21
L80 & ca￿￿1 P8rtngrs Ltd
Chartered cert￿￿d Aecount8nts
2S South Lane
New Malden
Surrey
KT3 SHU

THE KAN. B.EE
PRE
BYfERIAN CHURCH
oolonLs of th¢ FitL4nLial StalLmenis
Ended 31
ember 20
Roport ofthe Trustees
1 to 2
Independgnt EMarnin8ffs Report
Sta18m8nl ol Fi￿n0￿1 Actfvili6¥
Balan(* Sheet
Notes lo the FSn8neial Slatem8nts
6 tts 10
Detalled Slalerront of Flnanckl Act1￿￿$$
11

E HANBEET
REN PRESBYTE
ort ofihe Trusiccs
forihe Year Ended 31
The trusteos p￿sent their oport with the financial statements of the chartty for the year ended 31 December 2023. The
twst88s have 8dopled Ihg provisions of Actounbng and Reporting by charl￿¢$.. s￿&￿t￿l of Recommended Prad¢e
applic8bkg lo charities preparing Ih8ir accounts in accordance with th8 Finanual RerM)rting Stsnd8rd appliCa￿e in the UK
and Repub11c of Ireland IFRS 1021 (effective 1 January 20191.
OBJECTIVES AND ACTMTIES
Obl8ctlvoB and aims
To worship God wthin the Presbyterian faith.
To d8V8lop religious eduction for Kor8an 5peaklng ¢￿9r09all0Th h and around London.
To wovide a help network fty und8rptivileg8d Kor88n8 in Ih8 UK.
To support Korean comrnunty projects in Ihg UK. Europe and Korè8.
TD wovid8 flnanclal $Jpport for over8e88 Chn8Ian Missions.
Slgnlncant actlvltloll
PrO￿$10n of b￿nn￿allY financlal 8UPPOrtlor over8ea8 Chri$Uan ml¥$w in Europe, Korg8, China 8nd Africa.
Organklng religious edu￿￿On
Delivery of fin8nd818id and 8ehol&rshlps to Und•￿￿￿legod Kor•8ns In tho UK and Korea
Publ5¢ hn•fit
The chartty acknowledges Its requlroment lo dernonstrats dearty that il musl h8ve cha￿table purpo888 or airns,. Ihgt arè for
th? publ1¢ benefll. The Tru8tees ￿nflrrns that they have pald due r8g8rd lo the Ch8rfly Comrnlssi)n gu￿￿n(¥ on pu￿1¢
benefit belore deodlng What acllYllle6 the th8rity Shou￿ undertake.
FINANCIAL REVIEW
Fln4n¢lAI pts1￿10n
The re5u115 for the fln8ndal ptrltsd Brè sat out In the statsmenl ol Fln8nclal actSvili8s.
Ov8r811 the ch8rtly inco￿* lolalling £300,472 12022.. t287.e821 ￿th 8xpendbtur8 on ch&dtable aGtivllle$ Ilndutjlng other
CO81sl E288,299 12022.'£250,5541, resulllrva In a net surjus as al 31 DKember 2023 of £12,173 12022'.£37,1081
Total fvnds A8 At 31 D¢c¢mbor 2023 arts £521,S57 12022..£500,3841
Res0￿0• poII¢y
Th8 Iru$t80$ have consldered the of re8ervg8 thgy ￿$h to rglain, apprOatg to Ihg needs. Thls 1$ b8s8d on
the chadV5 SIZ8 and the level of financial C￿￿mItmantS held. Th• tN$le8S airn to 8nsur8 th• chartty wlll be able to conllnue
lo fulfll hs ¢hadt8￿8 obJ"eciiv& even rf Ihere k8 8 lernpor8ry shortf811 in Income cy unexpected expendlture. The trustee$ ￿￿1¢
nde8vour not to s•t asido fvnd8 unnecessarily.
STRUCTURE. GOVERNANCE AND MANAGEMENT
Gov•mlng docum•nt
The charfly 1$ eonlrdled by R8 9￿mIng docum8nt. cnn9trtulK)n.
Rl•k man•g•m•nt
The tnJ$lees have a dity to Identify and th& ri8k8 lo whlch th8 ch8rityth8rity L8 expo￿ and to ensure appropr181
conlrds ar6 in ￿￿e&l0 P￿de rgasonqblè assur8nce fjo8lnst tra￿ and error.
REFERENCE AND ADMINISTRATIVE DEfAILS
R•gl•t•i•d Charlty numb•r
1108135
Prtndpal 4ddre*8
1L London Road
nG$ton Upon Thame6
Surrey
KT2 6QJ
Tn￿￿88
J Y L88 Trusiee
Y Chung Trustee
TKIM
R Park Trustee
Page I

THE FL4NBEET KOREN PRESBYfERL4N CHbliCH
n of the Trustees
for the Year Ended 31 Deccmber 202
REFERENCE AND ADMINISTRATIVE DETAILS
Independent Examlner
8yung Hun Lee FCCA
Lee & Capital Partners Ltd
Chart8r8cI Cerbfied Account8nts
25 South Lane
Now Malden
Surrey
KT3 SHU
Approved by ord8r of the board of trus¢e85 on 15 Octob8r 2024 and Synqd on it$ behaK by..
J Y Lee. TN8tee
Page 2

Inde[￿nd¢ll1 Examiner's Re
rt lo the Trustees_oL
HE HANBEET KOREN PRESBYTERIAN C14URCH
1nda￿nd•￿t 8xamlner'8 rnport to the trustse8 of THE IIANBEET KOREN PRESBYfEWAN CHURCH
l ￿port lo the charity tw$le8s on my exarnin8tion of the 8¢eoLLnts of THE HANBEET KOREN PRESBYfERIAN CHURCH
(the Trust) for th8 year end8d 31 December 2023.
Re8ponslblltt1￿ and basls of report
As the charity trustee5 of the Trust you a￿ re8pon8lble for the prepara￿On of the ac(twnts In a¢cc¥dance wlth the
r8quir8ments of the Charities Act 2011 l*h8 Acri.
I r8p)rt in raspect of my exarnin8tion of the Tru$Vs aecounts carfed out under Section 145 of the Act and in e4nyng out my
examSnat￿n I have folk)wgd all applicable Dir8clions given by th8 Charty Commlssk)n ￿nder S8ction 14515llbl of th8 Act.
Inde￿n￿Ont •xarnln•r'8 •tstem•nt
Sin¢¥ your Cha￿￿$ gro$$ income 8xc8eded £2$0,￿j0 your ex8mln8r must be a m8mber of a listed brxly. I csn ￿nfIrM Ihat I
am qualified to und8rtak8 th8 ex8min8tion because l èm a member of the A8soCIati￿ ol Chartered Certw AccoJnlants.
whicl) is of the lis18d bodies.
I have completed my examln8tion. I wnfimi Ihal ng malerf81 matier8 have come to my 8ttentbn in conne¢ion wlh thg
examlnatbn giving me cause to believe thst In any matsrial rèspgd..
a¢countlng rgwrds ww8 not k8Pt in ros￿¢1 of the Trust as NUIr￿ by Sèctson 130 orth• Aet.. er
th8 accounts do nol acGord those r8cordB", or
thg accounts do not comply with the appIl￿ble require￿nts concgmlrq the fonn and cont?nl ol 8tt4unts set out In
Ch8rllies (Account8 and R8POrt51 R8gulatbns 2008 olhar than any raquirem8nl that the accounts glve a twe and
falr wew whkh16 not a matter considered 88 part of an indepand8nt ex8rn1nalion.
I hivo no coneems and eomè •¢ro88 no other matters In conneGlk)n ￿1h the trxamlna￿on to which attentlon should be
drawn In th55 report In ord8r lo 6nabl8 g prop8r understsndlng of the accounts lo be rgachod.
Byung Hun Le• FCCA
Lee & Capbtsl Partntsrn Ltd
hart8r8d C8rllfied Aecountants
25 South Lan8
New Malden
Sur
KT3 SHU
15 October 2024
Page 3

E FL4NBEE
BYTE
iaicmenl of Financial Acliwiiies
or
31.12.23
Total
fuTrds
31.12.22
Total
fund
Unrestricted
fund
R¢strirt¢d
fund
Notes
INCOME AND ENDOWMENTS FROM
DonaliDn5 and legaGie5
300,234
300.234
287.e41
Investment income
238
238
21
Total
300,472
3W.472
287.662
ExPEN0￿URE ON
CharMabl• actlvlths
Ch8r118bl8 8ctiviU88
288,299
288,299
250.554
NET INCOME
12,173
12,173
37,108
RECONCILIATION OF FUNDS
Total funth tsroughl f￿48r
80,123
429,261
S09,384
472.278
TOTAL FUNDS CARRIED FORWARD
92,296
429,261
S21,557
$09.384
The noies fom) part of these financial statemcnts
Pa8e 4

Bdlan¢e Shcet
31.12.23
Toial
funds.
31.1222
Tol81
fwjd
UnTeStriCted
fuDd
Resthcted
fund
Notes
FIXED ASSETS
Tangible assets
22,302
429,261
451,563
439,977
CURRENT ASSETS
Cash at bank
87,568
87,568
70.￿1
CREDITORS
Amount8 falling du8 Wthin one ygar
117,5741
117,5741
11.4941
NET CURRENT ASSETS
69.994
e9.994
69.407
TOTAL ASSETS LESS CURRENT UABILITIES
92.298
429,261
521,557
509,384
NET ASSET8
92,298
429,261
521,557
509,384
FUNDS
Unreslrfclod lund8
Restricted fund6
92.296
429.261
80,123
429.261
TOTAL FUND8
521.557
The ftnanel81 statements w•m approved by the 80ord ol TNslees And aulhort8ed lor luu& on 15 October 2024 and were
jiqned on its behalf by..
YP
R Paffrt- Trust8
The rEote5 fomi part of these financial statements
Pag¢ 5

THE HANBE
REN PRESBYT
HURCH
oies to thc Financial Siaiements
for the Y¢èLEnded 31 DeLemb¢r 2021
ACCOUNTING POLICIES
Ba818 of preparfng the thnanclal statoments
Th8 financial statamenls of the ¢harlty. which Is 8 PU￿1¢ benefit entSty under FRS 102, have been prepatsd In
aco)rd8nce with Iho Charitie8 SORP IFRS 1021 'Accountiry and R$p(Ating by Charitios.. Ststem8nl of
Recommend￿ Practice applicable lo eharili6$ preparfng Ih8ir accounts in accordanc8 wllh the Financiol Reporting
Standard 8Oicable in the UK and Republic of Ireland IFRS 1021 (effective 1 January 20191,. Finan¢k81 Reporting
Slandard 102 'The Finanaal Reporting Standard ap ￿lca￿a in the UK and RepuLlic of Iraland. and the Charities A
2011. Th8 fln8nci81 st8temants have been prepared underthe historKal c05t con￿ntIon.
In¢om
l income is receon188d in th8 Sta*ement of Fln8n¢ig1 Activi￿05 once th8 charity h95 enti￿•mont to the fvnd5, 11 is
Proba￿ that th8 IncLYno wlll be rec8N8d and the amount (an ￿ rn888ur8d r811ably.
Expendltur•
Lkgbililies aro recoonised a5 exp6ndltur8 as a5 thèr• Is a legal or constructive oblSgatlon ￿mmittIng tho charfty
to that expendllure, 11 is probablo Ihal a tr8nsfsr tsf ecfjnomk ben8fi1s will b8 raouSred In $etUemenl Mnd amount
of the obligat￿n can be measured reliably, Exp8nditure is ac¢tyJnled lor on 8n accru8ls basis and has boon
cla55ifi•d under headings that aggr￿at8 811 cost relstsd to the category. Where costs c8nnol b8 direLlly &tlrfbulgd to
Paiticular headings th8y have been allocat8d to activities on a basks consistent wrth the use of r8sources.
T•nglbl• fix•d as￿￿
Depreciation 15 provided at thefollThthng annual rate6 In Order to wrflè off •ach asset over its 98tsrnaled u8efvl Its.
Improvement lo propoty.. 2SYo on r•ducqng balance b8818
Plant & mathin8ry.' 25% on raducing balanc8 ba$is
Flxtur85 ￿ng8'. 25% on reduelno ba18nco ba61$
Tixatlon
The charity Is 8Kempt from tsx on Ils charit8U8 actwllle8.
Fund •¢eountlng
Unrnstrbct•d funds can be u8ed in accordance wth Ihe charftabl• oblectfves at the diwet*)n ol Ihe tru8lee$.
R•siriCted lund8 can only be used for p8rticular restricted purposes wllhin th8 objects of the charity. R•slrfctions
ari88 when 5P8¢￿1&￿ by the donor or whon funds are r81sed lor p8rtkular rnslrlcted purFwe8.
Further 8xplanatK)n of the natura and purp08e of each fund Is indudad In th• nole8 to the financlal 8iatsmenl6.
Hlro pur¢ha•• •nd lea•lng commltm•nt•
R8nla15 paid under oper81ing lea58s 8r8 charged to Iha Statement ol FinancLql AclbvM88 on 8 stralgm Ilno b88is ov•r
the penod of th8 lease.
P•n•lgn Colts and oth•r po$t￿•tIreM*rtI b•n•fft•
Th8 charity operates a defined conlribulion p&n6Dn scheme. Conirtbulons payoble to tha eharftW6 P8nslon 8ch8m8
are charged ¢0 Sta18menl ol FinarKial Activiti85 in lh8 period to whlch Ihgy relate.
Page 6
ontinued...

BYTERIAN CHURCH
Note5 to the Fi[￿nCi&l Siaiemenls- coniinue
for the Year Endcd 31 DLLembLr 2023
INVESTMENT INCOME
31.12.23
31.12.22
Deposit 8fAXAJnt Interest
238
21
TRUSTEES. REMVNERATrON AND BENEFirs
Thore were no Iru5tees' rernun8ratv)n or 0th8r benefits for the year ended 31 D8￿m￿er 2023 nor lor th& y68r end6d
31 D8¢ombor 2022.
Tru$tO•8' •XPonM•
Thwe were no tru8tO•9' oxpens6s pald for thè year and8d 31 Decamb8r 2023 nor for the year anded
31 December 2022.
COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTPIITIES
Unreslricted
furMI
Restricted
ruD(I
Total
fun(1s
INCOMe AND ENOOWMeNTS FROM
Donat￿n8 8nd18gacios
287,641
287,641
In￿stMent incorr
21
21
Totsl
287,862
287.662
EXPENDITURE ON
Charltablo actlvFtI•¥
Charitab18 aclivili85
250.554
250,554
NET INCOME
37,108
37,108
RECONCILIATION OF FUND8
Tolal funds brought forward
43.015
429,2e1
472,278
TOTAL FUNDS CARRIED FORWARD
80.123
429,261
509,384
Page 7
continued...

AN
HURCH
ole% to the Financial.S￿l¢MeryQx_$OQ￿
for the Year F.nded 31 DeL'eTnber 2023
TANGIBLE FIXED ASSETS
Improvements
Freehold
prop*fty
Plant #rtd
n￿chillery
property
COST
Al 1 January 2023
Additlons
429,261
113,927
26.541
1,528
Al 31 DècemL*r 2￿3
429,261
173,927
28,057
DEPRECIATION
Al 1 January 2023
Charge for year
109,116
1.203
21.504
1,641
Al 31 Decemtrkr 2023
110,919
23,145
NET BOOK VALUE
Al 31 DecemtÉr 2023
429,281
4,922
Al 31 Decam￿r 2022
429,281
4,811
5,037
Fixn)res
Moror
vchiclcs
riiiings
Totals
COST
At 1 Janu•ry 2023
Addltbon8
43,982
613.711
19.021
17,495
Al 31 Oe¢emè¢r2023
43,982
17,495
632,732
DEPRECIATION
Al 1 January 2023
Charge for year
43,114
217
173,734
7.4
4,374
At 310e(8mber2023
43.331
4.374
181,169
NET BOOK VALUE
At 31 Dec4rnber2023
851
13,121
451,563
At 31 Deeombèr2022
868
439,977
Page 8
tontit)ued...

THE HANBEET KOREN PRESBYfERIAN CHURCH
Noie$ 10 the Financial Sthtemenis- ¢ontinlloL
for the Year Ended 31 December 2023
CREDrtORS.. AMOUNTS FALUNG DUE W￿H1N ONE YEAR
31.12.23
31.12.22
0th8rereditor5
17,574
1,494
MOVEMEMf IN FUNDS
Nel
tnovem¢nt
in funds
At
31.12.23
Al 1.1.23
Unr•strlctgd fund•
G8n8ral fund
80,123
12,173
92,296
R•8tr1¢t•d fvnd8
Restrict6d Income funds
429.261
429.261
TOTAL FUND8
12,173
521,557
N81 movgmgnt In fund$, In¢ludod In tha ab)ve ore 88 follw..
InLomin8
re&uurces
Resour¢es
¢x
Movem¢nl
in funds
Unrn¥trfct•d fund•
G$ner81 fund
,472
1288,2991
12,173
TOTAL FUNDS
300,472
1288,2991
12,173
Comparatlvos for mov•rn•nt In fund•
Nel
rnovement
in fvnds
At
31.12.22
At 1.1.22
Unr•atrlct•d fund•
Goneral fund
43,015
37.108
80.123
R••trfet•d lund•
ReSt￿Ctsd Income funds
429,261
429,281
TOTAL FUNDS
472,276
37.108
$09,384
Page 9
continued..

THE FL4NBEET KOREN PRESBYfERtAN CHURCH
olo to the Financial Sia*rnents-
for the Year Ended 31 Deccinbcr 2023
MOVEMENT IN FUNDS- contlnuod
Comparativ? nel movgment In funds, i￿juded in the abovg are a$ fdk)w$'.
Incoming
Tesourccs
Rcsourccs
expended
MoNement
in funds
Unmtrlctsd fund8
G8n8ral fund
287.6e2
1250.S541
37,108
TOTAL FUNDS
287.882
1250.5541
37.108
Acurrent 12 months and year 12 months comblned po$iUon16 as fdtrw&'.
Nel
movement
in fijnds
Al 1.1.22
31.12.23
Unrnstrl¢t•d fund•
General fund
43,015
49,261
92,296
RMtrt¢t•d fund•
Restrfcled Income fvnd6
429,261
429.261
TOTAL FUNDS
472,276
49,281
521,557
A current year 12 months and prkjr year 12 rnonlhs combSned net mov8m8nt Sn fvnds, Induded In the al)ovg are a¥
fdlow8.'
Incomin8
resouTee8
RcéouTCCS
expended
Movcmcnt
in fvnds
Unmtrfct•d fund•
Gongral fund
588.134
1538,8531
49,281
TOTAL FUNDS
588.134
1538,8531
49.281
RELATED PARTY DISCLOSUR£8
There wem m related party trans8eton8 f¢rth• ￿#r 6nd•d 31 Docombor 2023.
Page 10

THE FL4NBEET KOREN P
e￿lled Stsiemeni ofFinancial Activiiie5
for the Ycar Ended 31 December 2
31.12.23
31.12.22
INCOME AND ENDOWMENTS
Donat10￿ and1•g•¢1•$
Oonalions
Glft akl
261,007
39,227
256.247
31.394
300,234
287,641
Invostmont Incomo
Deposit account intemll
238
21
Totsl Incomlng mourco5
300,472
287.662
EXpEND￿uRE
Ch¥rtt8ble gctlvltles
W8ge5
Employer Ntc
Pension5
Church rant & runnlng ￿&t
Insurance
Mlsslon support
Education
S¢hol8rshlp
Spgakors
Cal8dng and evant
Books and tralnlng supwrt
Condclence
Advert
Prinlln9. P06¢ag9 & 81a1￿)nory
Compuler co81
Telephone & intemel
Subscriplbn
Motor & Ir8v•l +y￿n8•S
Gift
Slaff-relo¢atJon
En18rtalnmgnl
Sundry exp8ng
Bank chargès
Improvemen18 to prop8ty
ant 8nd machlnery
Flxtures and fittings
Motor v8hlc188
135,150
8,229
7,909
21,219
3,640
30.447
24.272
2,400
5,746
9,214
11.337
2,670
111,491
5,523
1.321
16,072
2.959
28,328
27.694
2,700
7,515
5,755
3.657
1,760
1,305
3.417
482
1,038
489
994
395
3,918
791
6,291
1,57S
1,156
795
3,496
5,634
12,626
721
1.604
1,679
289
1.203
1,641
217
4,374
287,099
248.818
Support ¢0•ts
Gowtrm*nc• ¢o•ts
Accounlancy an(J legal fees
1.200
1,73e
Total resources expended
288,299
250,554
N•t In¢om•
12,173
37.108
Thi5 pagc docs not fomi part of the statutory financiaj siatetn¢nts
Page 11