REGISTERKD COMPANY NUMBER.. U4938573 IEmglaMd And WAles)
RFGISTERKD CHARITY NUMBER: 1108696
THE INTERNATIONAL COMMUNITY CHURCH
FOUThDAflON LIMITED
Unaudited Flnancigl Siatements for tILe Year Ended 31 Deceniber 2023
Tudor Jolm Limited
NightingalL HDU5e
464R FA8t Street
Ep50m
Surrey
KT17 IHQ

THE ￿TERNATIONAL COMMUNITY CEtURCH
FOUNDATION LIMTTED
Contents of the Tr'inRncial Statements
foy the year ended 31 December 2(J23
Page
Report of the Trustees
Independent Examkner's Report
Sttttemellt of Flll4nciAIActiTrities
Bglanee Sheet
Notes to the Financi21 Statements
7 to 11

THE INTEREI'ATIONAL COMMUNITY CIIURCH
FOUNDATION LIMrrED (REGISTKRED NUMBER: 114938573)
Report of the Trustees
for the year ended 31 Dccember 2023
The tsu8tees who alBO directors of the ¢1￿￿ty for thc purp05es of the Compallies Act 2006, present their rqxjrt with
the finallcsal statements of the charity for the year ended 3 1 December 2023. The trnstees have adopted the provisions
of Accnunling Rnd Reporting by Chariti¢s' Stst¢ment of Re£omn]Ended PraL*ice applRc&bl¢ to chi?riti¢4 pr¢paring their
accounts in accordance with the Financial Reporting Standard appb"cable itt the UK and Republic of Ireland (FRS 102)
(effective l Jatmary 2019).
owKcrivES AND ACTIVITJES
The Chwi(y's obj¢¢ts ar¢ the advancement of religioTL and sllcb other puryoses a8 are charitable Under th¢ laws of
Englalld and Wales.
The Aim of tbe charity its tbe year ended 31st December 2023 was to support the activities of tni¢rnational Comlnunity
Church, 118 nti%sion5, educatioll aud outreacli wogratnmes, attd, where practicable, to increase the extent of these
ptO8rammes. TE￿oUgh these activities. the objective to pr(>vide charitable support aTLd education to the needy and Spread
the ulld¢rstanding ofthe ChrisiiallF&ith.
The ubjectsv¢ for tlie year was to raise sufficient funds to fll]ance the activities outlined Above. Specifically, to
llLe¢t th¢ cost of the staff, rent aJ]d office services of International Con)mutiiry Chwth, and to provide them with fi￿dE
for the supptrrt of ￿lsSiOnS it] Ronwjia. LK, and elsewhere.
AcHIEvEME￿T Af4D PERVORMANCE
The d]arity achieved ils putPOS¢ ID that it wK% able to provide sufficient ￿lld& ¢0 fund the activities of the Internaliotthl
Community Chitrch for the year.
'INANLIAL RKVtEw
The Charity has R policy by thicl) tlie Equivalent of at least 3 mc>nths outgoings ai¢ beld in a i.es￿ve bank account, OD
the expECtation that income meeis or ¢xctreds quJrterly outgoiJ]gs. Release of monies the reserve bank account,
which w￿￿Id tmpinge on the 3 mottth policy. r￿UIreS the authoris&tion of a quorum olTrustees.
The fiv￿Ing strategy rElies on pledB¢s, gifts and donations from the congrcgatioll of the International Community
Church.
The Ciwity's total income for the year ended 31si December 2023 was £235,191, which included donations and Gift
Aid.
Donations dtid Gift Aid w¢i'¢ 32.7Q/o lower this year than in tbe last financial year. The average monthly expenditure of
Inlernational Con)n)uwty Church has decreased slightly to £19.746 per month. Overall, tbere has been an decrease in
reserves.
Al 3181 December 2023, the total reserves of the Charity were £359,450 and bank bal&nces amounted to £516,382. The
reserve bank accOu￿t showed a ba]ance of £142,996, whi¢h was more than 4 times the aveThge ￿onthlY expenditure or
International Community Church.
The CharIt￿S incom¢ and ¢Ap¢n8es are managed and iti scrvÉce 501ely for funding tb¢ missionary and operating activity
of the Iniernational Commwiity Church.
All grants paid by the Charity go to tbe Inten￿lI011aI Cummtinity Church operattng account or the Mtssions 8ccourLt.
wkn.cli direets these mottics to Church spotJsorEd OT &￿LIk￿led Missio￿%. The total value of grants paid, iu the year ended
31st Deceniber 2023, amounted lo £233,771.
FLrruRE PLANS
Th¢ Tn￿tees, plans foi. future pei'iods are sitniLw' to tLiose of the curr¢nt ye&r.
Page I

THE INTERNATiof4AL COMMUF41TY CItURCH
FOUNDATION LIMITED (REGISTERED NUMBER: 04938S73)
Report of thp Trusteej
for the year ended 31 December 2023
STRUCTURE, GOVERNANCE AND MANAGEMENT
Governing document
The llllernational CollllTLwty ch￿Ch Foulldatioll Lttnited is a company limited hy sbares, gov6rn£d by its
M￿nOra￿d￿m and Articles of Association dated 15th Octf)her 2na3. It is r¢gistercd a5 a charity with the Charity
Conllnissiott Its. sole bhaL'eholder is the Intcmaiitinal Comrnunity CbuTch Inc: which 15 registered in DoTreT, Delaware.
Ullit¢d Stst¢s of America.
Recruitment find appolntment of trustees
TTU5tees aTe recruited, nO￿luated aud elected by other Trustees following cl¢ar election rults set out ill the Articles Df
Associat￿0￿ of the charity-
In recruiting a Tn￿tee. eMpI￿lS ib pla¢ed on whether they have the necessary skills and co]lln]itU2ent (o be a Trnstee
and aE'o to ellsur¢ that, fur the Tru8tees collectively..
- The lev¢1 of financial professiollalisrn is high
- Tbat there is a balance of profe&%ional skills
- Tbat some meinbei"s ￿"e experiellced Trustees elsewhere. and
- Thatthere is as Ellu¢li continuity in the TNstees as practi¢abl¢.
OYganly&tion41 &tructure
The Tn]stees work ¢olledively and d¢l¢gate tasks to specific Tru5tee5 as necessary.
The day-to-day rullning of the chftrity is delegated to all admillistrator, who operates on the basis of authgfi%atioDS givell
by the TrLtstee5.
The Chdrity Laises fimds from the Congtegation of the Internatiollal Col)￿}￿￿1ty Church througb pledges and Oth￿ gifis
and dunalions.
Funding l¢v¢ls and finjncial health are reiiewed fornthlly by the Trnsiees twice per annum. and by a non)inated Trnstee
who is llot the Chairjnan, nionthly. Fin￿]cIal statements are prepared and circulated to all Tn]sie¢s njouthly.
The us¢ of fiwds is agreed by the Trustees {& quoiwn of fow is required) and reviewed twice per ￿t￿ll￿. Funds are
released on a quarterly basis. aiithoribed by th¢ Chaimmn.
From tini¢ to lim¢, monies are received for particular pU￿oseS e.g. for tlic support of a particular Mission￿Y. These
monies are identified at the time of receipt, and are accounted for separately and are th"sbursed accordingly.
lllduetioll and trailling of neTV trustees
Forn￿1 trdilling of Twstees 15 provided oll ai) 'as need¢d' bgsi8, Othenvise through the guidance and Experience of othei.
TNstees.
REFERENCE AND ADMINISTRATIVE DETAIts
Reglsteyed Company
04938573 (Englat]d and Wales)
Re¥istLifLbd Cbarlty n￿mber
1108696
Reglstered offiee
Nigbtingale Hou8e
4648 East Street
Epsom
Surrey
KT17 IHQ
Pag¢ 2

THE INTERTrIATIOf4AL COIMMUNIIY CHbRCH
FOiTNDATION LIMITED (REGISTERED NUMBER.. 04938573)
Report of the Trustses
for the ye&r ended 31 December 2023
Thisteeg
T A Snuggs ReLircd (rrsigncd 31.12.23)
G Cicrt7.-Rombach RttiTed (resiglled 31.5.24)
M5 1. N STh]ith REtir¢d Iresign¢d 31.12.23)
C K Smith Cbairman
H C S McLean Conmierctal Finance Manager
Dr R J Jones Hatchett, IV CEO (appointed 17.7.23)
A J Offor Investmcni Bllsine$s Dcvclopn)ent MallagET (appoillted 31.12.23)
K Sknb¢ (appoillt¢d I1.6.24)
Company Serretsries
C K
Indepcndont EXan￿ller
Tudor John Limited
Nightingalc Housc
46a8 East Street
Epsom
Surrey
KT17 IHQ
Approved by order of the board of tnJstees on ......
and signed on its behalf by..
C K Smith- Trustee
Page 3

Independent Ex4]nlner's Report to the Trustees ot.
The Intern&tlonal CommuDIty Church
Foundation Llmlted (ReglÉteved number: 04938S73)
Indppendent examiner's report to the trustees of The JnternAtlonal Coln￿ll￿fty Church Foundatloll Limited
('the Company,)
I report to the charity trustees on my cxamination of the accounts of the Company for the year ended
31 Dec¢mb¢r 2023.
Respnnsihllitles and basis of report
As thE cha￿ty,5 tEI]Stees of the Lornpany land also its directors for the purposes of compaLy law) you Hre re5ponsibl¢ for
tli¢ prep2￿1]0￿ of the accounts An accordance with the requiremcnls of thc CDn4Jatiies Act 2006 (th¢ 2006 Act).
Havi￿¥ satisfied myself that the accow3ts of tbe CoFnpaDy alE llot required to be audited under P￿t 16 of the 2006 Act
and are eli¥iblt for indcpendcnt cxamltsiitio￿, I rcport in respect of my examination ot'yL)ur lh￿1t￿$ accowits as Larried
out under qcthion 145 of thc Charities Act 2011 fthe 2011 Act,). In carrying out my exam1t￿tIOn I have folluwcd the
Dir¢ctions given by the Chanty Commi&sion ￿der Section 145{5) (b) of the 2011 Act.
IDdependeLt exalldller's stAtement
I hav¢ completed iny eXam1t￿Ll01L I confIrJn tbal no matters hav¢ corne to rny attenticFn in conne£tion with the
examination giving me cause to believ¢..
a¢¢ounttng recor￿9 were not kept ID respect of th¢ Company as required by Section 386 of the 2006 Act; or
the a¢¢ouDts do llot acGonl with those records: or
the accoullts do not comply WAth the accounting reqllirements of Section 396 of the 2006 Act other tban any
requirement tht the aecourLts give u true and fair view which is llot a mattet considered as part of an
inde￿ndent &YwiJination,' or
the accounts have not been prepared in accordance with the m¢thods aiid principles of the StateEllenL of
Recon]mended Practicc for accnunting and rq)orting by charities (applicable Lo chaiities preparing tbeir
uccounts in accordance the Fiiiallcial Reponing Standard applieable itt the UK and Republic of IrElaDd
IFRS 102)).
I bave collccrns and bave come across no other matters in connection witb the examitiation to which attention should
be drawn in thi.s report in order to enable a propw. UnderS￿di11g of th¢ account8 to be reached.
Hazel Day Bsc FCA DCbA
The Ins'titute ofcharlered ACC(R￿tantS in England alld Wales
Tudor John Limited
Nigbtingale Ho￿e
4648 East Strt¢t
Epsom
KT17 IHQ
Page 4

THE INTERNATIONAL COMMUNITY CHURCH
FOUNDATION LIMITED
Statement of Vlnan¢lAI A¢tivitie$
ncorpDfAtlnE Income E3pendlture Account)
for tbe year ended 31 December 2023
2023
Total
funds
2022
Total
fiwds
u￿¢strICted
t]d
Restricled
fi]nd
Noteg
4COME AND EF4DOWMENTS FROM
Donations und legacies
205,347
25,090
230,437
342.335
Investsnent itscome
oth￿ illLome
4,714
40
4,714
40
523
41
TotRI
210,101
25,090
235,191
342,899
EXPF.liDITURE ON
Raising funds
3,177
3.177
3.122
Ch4rlt4ble aeti?itie5
Missions
35,426
35,426
198,345
15,286
4LM).307
Icc
198.345
201,522
35,426
236,948
418.715
NET INCOMEI(EXPENIJITURE)
Trzn5fers betsyeen funds
8.579
{4,418)
110,336)
4.418
(1,757)
(75,816}
Net Inovenyent funds
4,161
(5,918)
{1.757)
175,816)
RECONCILL4TION OF FUNDS
Total fi￿d8 bmught forward
355,289
5,918
361,207
437.023
TOTAL FUM)S CARRtED FORWARD
359,450
359,450
361,207
The notes foi'm part of these financial statements
Page 5

THE INTERNATIONAL CONIMUTrIITY CHURCH
FOtJTrlDATIOJY LIMITED (REGISTERED NUMBER: IM938573)
Balan¢e Sheet
31 December 2023
2023
Totsl
fimds
2022
Total
UJ]restricted
fund
Regtricled
fimd
Notes
CURRENT ASSETS
Debtors
Ca dt bank
8,490
516J82
8,490
516,382
10.850
513.791
524.872
524,872
524,641
CREDITORS
Ajnoullts falling due withill one year
(165,422)
(165.422)
{163,434)
NET CURRENT ASSETS
359.450
359,4_5Q
361.207
TOTAL ASSETS LESS CURRENT
LIABILITIES
359,450
359,450
361,207
NET ASSETS
359,450
359,450
361,207
Fuf4DS
UnrEbtricted futsds
Re8tri¢ted fi￿dS
359,450
355,289
5.918
TOTAL FUNDS
359,450
361,207
The Ch￿(&ble compan) ss eniitl¢d io eX￿￿ptiO11 fn)m audit ￿￿der Sectiuii 477 of the Companic% Act 2006 for die yEar
ended 31 Decemb¢r 2023.
The members havE not required the company to obtain an auth't Df its financial 5taten￿llts for th¢ year ended
31 De¢¢mbrr 2023 in aGcordance with Scction 476 of the Cornpallie8 Act 2006.
The trustees acknowledge their responsibilities for
(a)
ells￿1￿8 that the charitable company keeps Aceounting i'ecords that conu)ly with Seetiong 386 and 387 of tbe
Compat]ies Art 200() alld
pwaring financial statemettt5 whÉch give a trne and fair view of the state of affairs of the Gharitable GomparAy as
ai the end of ead] financial y¢ar aiid of its surplus or dcfLClt for eacl) fsnancial yeaT in accordat)ce with ibe
requirements of Sections 394 and 395 and which othcrwysc comply with the r¢quiremenls of the Companies Act
2006 rclating to fmancial 8taien*nts, so far as appli¢abl¢ to thG choritable Gompany.
(b)
These finanLial siatemenls have been prepared in accordallce with the provisions applicable to charitable compallies
subject to th¢ snlall companies regime.
The financial statements were %?pproved by the Board of Trustee5 authorised for issue
2.3..-..9.. -..1.4....... aud were signed on Ats behalf by..
on
C K Smith - T￿￿tee
The notes fom part of thest f￿anCIal 8tat¢nwits
Page 6

THE INTERNATIOI¥AL COIWMUNITY CHURCH
FOUIYDATION UMITKD
Notes to the Financial Statements
for the ye4r ended 31 December 2023
ACCOUI4TING POLICIES
BASIS OF PREPARll¥G THE FINANCIAL STATEMEN]'S
Thc fJD%Lncial statcmcnts of the ch￿"￿table compally. which is a public benefit entity under FRS 102, have bern
pr¢paTed in accordance with the Charities SOkP11,'RS 102) 'Accounting and Reporting by Cbarities.. StatrmeDt
of Recommended Practice appli¢able w charities preparing their accounts itt ac¢ordancc with the Fillancial
Reporting Standard appticable in the UK and Republic ot Ireland (FR8 102) (¢lfEctive l janU￿Y 2019),,
Reporting Standard 102 The Financial Rcportittg Statsdard applicable in the UK w]d Republic of
Ireland, and the Conjpatiies Act 2006. The finallc1￿ statrments have been prep￿d under the historical cost
convention.
COME
All income is i'ecognised in thE Statement of Financial Activities once the cE￿ity hts enlitlem¢nt to the filllds. it
is probable that the incorne will b¢ received and the amount can be measured reliahly.
EXPENDITUR
Liabilities are i.eco￿lsed as cxpelldiLure as s(kotL as thtie is a legal or constsuctive obligatfioll coillmittsllg the
cball.ty to that expenditurc, it is probable that a tr&nsfer of economic benefits will be required in 8ettl¢ment and
the amouELt of the obligation can be measured reliably. Expenditure is &ccounted lor ott an acctua15 basis and has
beell ¢lassified under headings that aggregate all cost related to the etttegory. wile￿ costs cannoi be directly
attributed to particular I￿adIng6 they have been 211ocated to a¢tivitlQ8 on a basis consistent wEth the use of
resources.
Grdnts offered subje¢t to Conditions wlll'¢h bave not beeTr]net ai the year ewl date are no(ed as a commitJJJtnt bul
not a¢¢￿¢d as ¢xp￿idItUre.
TANCIBLE FLXED ASSETS
Depreciation ig prowded at the following &nnllal rates in ordei. to write off each asset over its ¢stimaÉed usefi]I
life.
Fixtures and fitti]Jgs
25 /ll on cost
TAXATION
The charity is exen]pt from corporation tax on its charitable activitics.
FUb'D ACCOUTr4TING
Unrestricted fiumts ¢an be used in accordance with th¢ charitsble objectives at the diseretlOD of the twstees.
R&stricted funds Can only be used for panicular restrieted purposes within tbe objects oc Ihe charity. R￿trictionS
arise when Specifi￿ by the dollor or when fvnds arc rais¢d for particul&r restricttd pwp05eS.
FOREIGIN CURRENCIES
Assets and liahilitics in foreign cvrrencies 81.¢ trdnslated into sterling at the rates of exchange ruling at the
b8laD¢e sheet date. TransactsDlls for¢igll currencies are translated itito Sterlillg at the rdte of exchange ruling at
the date of transaction. Excbange differences are taken into accouttt iti arriving ai the operating r¢suIt.
Page 7
continued...

THE INTERNATIONAL COMMUNtTY CIIURCH
FOUNDATION LIMITED
Notes to the Flllandal Statempnts- Continued
for Ébe yegr euded 31 De£ember 2023
II¥VESTMKNT INCOME
2023
2022
Deposit account interest
4.714
523
RAISING FUNDS
RAIS]TrIG DONATIONS AND LECACTES
2023
2022
Suppott costs
3.177
3,122
TRUSTEES. REMUTr4ERATION AND BENEFITS
There were no trustces, retnulleration or other benefits for the year ended 31 December 2023 nor for the year
ended 31 December 2022.
TRUSTEES, EXPENSES
There were no trustees, expenses paid for the year ellded 31 December 2023 nor for the year ended
31 D¢cattber 2022.
COMPARATIVES FOR THE STATEMENT OF FllYAf4CEAL ACTIVITIES
Unrcstricted
fund
Restricted
fund
Total
fimds
4CO,ME AND ENDOWMENTS FROM
Donations and Icgacies
331,572
10.763
342,335
Illvestmellt income
Otber incon
523
41
523
41
Total
332.136
10,763
342,899
EXPEf4DITURE ON
Raising funds
3,122
3,122
Charltablc a¢tlvlti
Mi58ions
15,286
15.286
400.307
Icc
400,307
Totzl
403,429
15,286
418,715
r4ET INCOMFJ(FXPF.NDITURE)
(71,2931
(4,523)
175,816)
RECONCILL4TIOry OF FUP4DS
Total fimds brought fonvard
426,582
10,441
437,023
TOTAL FUNDS CARRIED FORWARD
355289
5,918
361,207
Page 8
continued...

THE INTERNATIONAL commu￿lTy CHURCH
FOUF4DATION LILWTED
Notes to the Flnancial Statements- contlnued
for tbe year ended 31 Detember 2023
TANGIBLE FIXED ASSETS
fittings
COST
At l jaI￿ary 2023 and 31 December 2023
2,603
DEPRECIATION
At l January 2023 and 31 Dccembrr 2023
2,603
NET BOOK VALUE
At 31 December 2023
At 31 December 2022
DKBTORS: AMOUYTS FALLING DUE WITHIN ONE YEAR
2023
2022
Other debtors
8,490
10,850
CREDITORS: AMOUNfs FALLING DUE ￿TI[[N ONE YEAR
2023
2022
An￿￿￿t5 owed to participating ttitere5ts
Other creditors
Accrued expenseg
165,322
100
162,922
11)0
412
165.4?2
163,434
MOVEMENT IN Fuf4DS
N¢t
movement
in fi￿dS
Tr&n5fcrs
between
fvnds
At
31.12.23
At 1.1.23
LTllre5tricted fund
General ￿lld
355,289
8,579
14,418)
359,450
Restricted f￿lld$
RG8triclcd futsd
5,918
110,336)
4.418
TOTAL FUNDS
361,207
{1,757)
359,450
Page 9
continucd...

THE INTERNATIONAL COMMUNITY CHURCH
FOUNDATION UMITED
Not￿ to the Flnanclal Statements- ¥ontknued
for the year ended 31 D￿ember 2023
MOVEMENT IN FUM)S- cvnthiued
Net D￿VeMent in fund8, inch￿ed in the above ars &4 follows..
[nc0￿]ng
resow'c¢s
Resources
expellded
Movement
in fi￿d5
Umrestrlcted f￿lld5
Gcnrral fLll
210,101
1201.522)
8,579
Restrlcted funds
Restricted futtds
25.090
135,426)
(10,336)
TOTAL FUNDS
235,191
(236,9481
{1,757)
Cotnparatives for movement funds
Net
movement
in fimds
Al
31.12.22
At 1.1.22
UllrestrKcted fuDd$
General Smd
426.582
(71.293)
355.289
Restrleted fuDd5
Restricted
10.441
(4,523)
5,918
TOTAL FUDIDS
437,023
(75.816)
361.207
Comparativ¢ net moven]ent in funds, included in thc above are as follows..
In¢(Trming
resources
Resources
expended
Movcn]ent
iu fluids
Unrestricted fund5
Gelleral fL￿d
332.136
(403,429)
(71,293)
Restrieted funds
Restricted fi]nds
10,763
{15,286)
14,523)
TOTAL FLN)S
342.899
(418,715)
(75,816)
Pag¢ 10
continucd...

THE INTERNATIONAL COMMUNITY CHURCH
FOLINDATION LIMITED
Notes to the FIM*nelal Statements- tontlnued
for the year ended 31 DKember 2023
io.
RELATED PARTY DISCILISURES
There were DO related Pdfry tran5actiODS for the v¢&r ended 31 December 2023.
ii.
CALIID UP SHARE CAPITAL
Authorised, allotted, issued a[￿ fidly p2id..
Nominal Vah
2023
2022
ci
100
Ordinary
£1
100
loo
Pagell