REGISTERED COThteANY NUMBER: 05874811 (Ing12lld and Wales)
REGISTERED CHARITY NUMBER: 1117490
Report ofthe T￿St￿ and
Audited Financial Statements for the Ended 30th June 2024
for
Creation Ministries IThternationg1
(UIQEurope) Ltd
Sheeo Sticklaud
Chartered Accountants
sts￿tOry Auditors
7 East Pallant
Chichester
West S￿$seX
P019 ITR

Creation Mimisthes International
(UIQEurope) Ltd
Coutents of the FAn3ncial Statements
for the Year Ellded 31)tb June 2024
Page
Report of the Trustees
I to 5
Report of tELe Independent AudAtors
Statement of Fin*nci21 Activities
Balanc¢ Stleet
io
Cash Flow Ststement
li
Notes to the Cash Flow Statement
12
Notes to tbe Fiuanelal StstemeDts
13 to 19
Detailed Statement of Finintial Activities
20 to 21

Creation Ministries Xntern2tional
(UKIEurope) Ltd
Report of the Thistees
for the Year Ended 30th June 2024
The trusttts who are also directors of the CR￿lty for the pu￿SeS of the Con¥anies Act 2006> preseiit tbeir report with
the financial statements of the chatity for the year ended 30tb June 2024. The I￿￿etS have adopted the provisiolls of
Accounting and Reporting by cE￿ities. Statement of Recommeuded Praaice applicable to c]Jarities pr¢paTin<r tbeiT
a¢¢ounts in accoTdallce with the Financial Reportillg Staadard applicable in the UK and Repubbc of Ireland (FRS 102)
(effective l January 2019).
Objectives and ain
The objectives of the charity are: to preach and proclaim the gospel of Jesus CILris¢ to support and promote the fact that
Genesis is a lit￿al, historical account of Ori￿s (itivolving the creation of ail things in six solar days, a globe-covuing
flool and an age of Ca. 6,000 yeaTS for Earth and the ujjiverse as a whol¢). to support Christians iti thelr faith aud
encourage the￿ to win others to Cljrist. We aim to do this in ￿ee niain ways: l) througb teaching and lectUriDg, 2) the
promotion, publicatioo sale alld distribution of books. magazines, and audio-visual n]aterials, and 3) through our
website and social m¢dia presence and promoting online resources on ¢reatiorn and related apologetics issues.
Publi¢ Benefit
We have Teferr¢d to tbe guidance contained in the Cbarity Conunission's gencrnl guidance on public bcrlefit when
reviewing our aiLn and objectives and in planning our futUTe activili¢s. Ill particular, the trustees consider bow planned
activiti¢s will contribute to the aims and objectives they have s¢L
CMI exists to provide the following services-.
Conduct speakng millisty- talk5, PUb￿C lectures, both live and ODbne"
PTodu¢e 'Creation tiwine, (distrAbuted to >110 countries) and tbe in41epth'Journal of Creation
Send out monthly Creation Update letters to subscribers"
Publish alld distribute books, DVDS and other resource5.
Host a dyllanllc and daily4bauging website (creAtion.com) with >13,000 cross-referenced articles (including
over 3,000 articl¢s in 51 languaoes other than Englisb), and hundreds of videos, podcasts, and audio clips.
In CMI, we consider that the main groups that benefit from our cllaritable activities are:
CbTisti8ns and the general public.
ChuTches and C￿lStiall groups.
S￿dents at schools and universities.

Creation Ministries Illternational
(UIUEurope) Ltd
Report of the Trnstees
for the Year Ended 30th June 2&24
Cbaritsble gctivities
STAFF UPDATE
We cuThently have seven stsff on the pay roll: 3 fjll time & 4 part till￿ (34aWweek). Two staff left us during
this 5nan¢iai year: A fi]11 tijue speaker (October) and our General MaJag¢r (March). We took on a Finance
Manager in MaTch (2 daY￿week) but our Ghfs other duties have been divided up between our admitt￿tive
staff person (who is working extra days each month), the CEO. and a staff TrTiterlsp¢aker. This bas meant the
latter two have much less tiro¢ for V￿lting articles than Previously.
In addition to three etnployees who get involved in speaking events, we have two associate speakers (one in
Englan(L one in Northern Ireland). A non-salaried web a&sistant woris fronl bome and several voluntary staff
faIthfi￿Y represent Cmt at events aTound the Country.
ADMKN & F￿ANCE
Cmt bcnefitcd from two legacies this finaJLcial year totalling £2,000.
Sales of £114k are 8.354)/o lower than last year, largely due to lower book sales of £IOL Theie was a lack of
new books from wtthin the mioisty this year. Lmport5 of books froJ3J the USA continue to be by sea freigbt in
order to reduce our Costs.
DonatioDS, excluding legacies, have decr¢ased by 8.020/c*.
Donation5 lor the social media project were £5,400. These have been held on balance for tbe new fiscal ye
and Thill be transferred to our sister organisation CMt-Au5tralia ￿0st stsff are thiving the project.
IIIAGAZINES & MAIL SHOTS
Creation magazin& Our subscription rdte bas dropped by about 50/0 sligbtly compared to the previous year,
now at about 2,500 (and just 26,500 globally). Digital subscriptions (either print-pIusJigÈtal or digitai-only)
make up about 300/0 of the wholc.
Journal of Creation. This bas been digital only since April 2020, subscriptions levelled off to about 400
subscribers for a year or so, but this bas de¢lined in tbe Last y¢aT and now stands at only 300 subscribers. It has
dropped steadily in all Cmt offices. global subs stand at 2,030. In spite of the continuing bigb quality of articles
and grapbic d&sigTk in both publications, an In￿easing oumber of people PTefer online resouT¢es. ir4¢1uding
CMI'S social media ltell￿.
Infobytes. E-mail higbjights of our iecent web content (plus some ¢lassi¢ articles &lld special off¢rs on
resources) are still sent fortThigbtly. helping to bring in orders and new C￿Stor0erS.
E-mail shots promoting webinars- successful in ¢onne¢ting with people of many Dations.
PUBLIC EVENTS
WbiLe priuted magazine and journals are in l¢ss demaod, tb¢re is no sbortage of invitations from churches wishing to
bost a CMI speaker. The increas¢ in the r¢quests from countries in mainland Europe, noted ill last year's repor¢ h&s
continued.
Breakdown by counlrylregion: We were involved in a totsl of I I l events. 94 live spe&lang events: England
(46), Scoilalld (4), Wales (8), Northern Ireland (9). Republic of Lreland (4), Switzerland (4), Italy (2), PolatLd
(3}, Germany (4), HLuLgary (5). GTeece (5).7 exknThition oi voluateer eveats (totallitig 4 weeks). 12 online
speaking events.
CMI speakers spoke at the lolloiYiJJg events (SOLnetimes pairing up at events): Lucien Tuinstra (48), Philip
Bell (44), Gavio Cox (15), Andrew Sil)ley (8). Pbilip Robinson (8).Guest speakers: Rod Walsh from Australia
(i).
Type of events: As well as churcbes.. university Students (Hungary, l). youth camps (2), youth groups (3. one
in Hungary), a Bible college (l).
Online webinars and webcasts: We ratL I I webinan (CMI + 3 guest speakers), averaging 130 conu¢ctions
and a Saturday webcast with four speakers (Noventher), >IOO connections.
Radio Interviews: There were two iLlterwiews wltb a Christian prograu]me on Talk Radio Europe whicb
streams to English-spcaking people across Spairk and two on Life FM in Cork.
Creation m*Gazine. 17 articl¢s'. Lu¢ien Tuinstra (5 + 4 Focus items), Gavin Cox (5). AJ]drew Sibley (4). Philip
Bell {3 + 2 Focus items).
Journal of Creation. 7 articles: Lucieu Tuinstra (2), Andrew Sibley (2), Gavin Cox (2), Philip Bell (l).
Page 2

Creation Ministries International
(trKIEurope) Ltd
Report of the Trustees
for the Year Ended 30th June 2024
creation.com website. 51 articles in totsl: Andrew Sibley (19). Luciell Tuin5trn (10 + I co-authored Pbil
Robinsou), Philip Bell (10), Gavill Cox (6). Pllll RobiDson (3), Ton)myFietwell (l), other (l).
Newsletters: Frotn May, th¢ Prayer Nev￿ and Update (both quarterly) were replaced with Cr¢ation Extra (now
8 timesty¢ar). cr￿tion Extra is still sent 0￿With Creation ￿￿￿azille.
Books.
From the Horse's Mouth (a compendium (Jf quotstions about origills). Philip Bell began writing this in
early July and it is close to 90f/lo complete.
The Jurassic Coast of Ellgxan￿ Andrew Sil)ley is finalising the last round of edits.
FINANc￿L R￿￿Ew
Principal fundxng SOUTces
Regarding our General Fund unsolicited donations are still our principal source of clwitable illcome. secondarily, the
profits from the sale of literatUTe. Our aim l)as always bccn to fimd staff Sa]￿leS tbrougb the donations and this has been
et yoaT on year. In p&8t years, any surplus bas been mad¢ availablc to support our itin¢raut speaking ministy in the UK
and overseas.
Financial position
Totsl ill¢onK for the year anwunted to £353,298 (2023: £539.245), all of which w&$ unrcstri¢ted.
Total expendibJt¢ for the year was £360,633 (2023: £399,245), all of wbich was unrestricted.
Total fimds at 30th June 2024 were £445,878 (2023: £453,213), all of vthtchweTe unrestricted.
Reserves policy
Reserves are held at a sufficient level to meet three month's payroll costs of the charity at any one time. Reserve thds of
the charity are held in separate deposit a¢¢ounts. It is not the policy of the clwity to invest donors, rnoney in bigh-risk
funds.
FUTURE PLANS
Conferences. Our next major cotsference is scheduled for 20-21 September 2024, in Leeds.
Foreign Trips. Ministy events are already scheduled for.. FRANCE (7 ¢hurcbes in Britiany, October),
FINLAND (5 churcb events in Turbj and HelsiJki, November). NEW ZEALAND (& major conference and a
cbuTch in Auckland, January), SIV￿ZERLAND & GERJAANY (March). HUNGARY (April), and PORTUGAL
(Juneljuly).
Weblnars. From Septemb¢r, we will corttitiue tbssc on a bxmonthly b&sig.
Staff appointmellts. W¢ wish to find another full-time 5peak¢rIV￿Iter to jolts the te￿ If possibl¢, also Someone
to fulfil and ￿ll-tIMe admin role with managerial responsibilities.
STRUCTURE, GOVERNANCE AND MATrIAGEMEf4T
Governing docujnent
The cllarity is controlled by its governing docunJenL a deed of trus¢ and ￿nStituteS a limited co￿panY, limited by
guarantee, as defined by the Companies Act 2006.
Recruitment and appointment of new trustees
There ￿e six trustees and the aim has been for the tnakerup of these people to reflect a diversity of skills and experience.
specifically (though not excl￿sIVelY) as this relates to the work of a Christiann]inisty organisation. Currently, ttvo of the
trustees work for Creation ministy orgauisations overseas (one in Canada witb a background in electronics and sitellite
systems" the other in Australia who was formerly a professional botanist). ttvo have a strong f￿ancIal backgtound. one
Nvas an rr data-base expert alld one is all rr professional. All are cotnnitted ¢vangelic21 Christians who a￿ee
wboleheartedly the StatemeDt of Faith and aims of the charity. Futtwe peTsoDnel will be recruited accordingly,
taking into aGcoullt any perceived lack in the ￿0Up,$ pooled experience". ideally. persons wRth a proven pedigree of
commitmerAt to our ministy anLVor comtDend¢d to the Boar
Page 3

Creation m]ntstri￿ International
(tIlQEnrope) Ltd
Report of the Th￿CeS
for the Year Ended 30th Julle 2024
STRUCTttRE, GOVERIYANCE AND MANAGEMENT
Lnduction and traAnillg of neiv trustees
Trustees are Anducted forn]ally by the Board and D)ade familiar with the guidelines of the ChaTities Commission for
tr￿Stee$ - both lawful requirements and the n¢ed to act in the best interests of Creation MiDiStries Illternational. They are
encouraged to find out about the requirement of charities to d¢monstrate public bell¢fi¢ n￿￿E￿ng money (wh¢re
llec¢ssary)' the supervlsion and roanagement of stsff and volunteers, h¢aith alld saf¢ty amd equal opportimities" the
mallagemellt of resources and equipn)ent belonging to the ¢barity. Those vtho have no prior experienc¢ &8 a tn￿t¢e are
made aware of their liabilities and encouraged to look illto the possil)le risks associated with belug a charity trustee.
REFERENCE AND ADMINISTRATIVE DETAILS
Registered Company number
05874811 (England and Wales)
Registered Charity number
1117490
Registered office
15 Station Street
Wbetstone
LeicestershiJe
LE8 6JS
Trustees
Dr D Batten
A Beber (appoint￿ 19.3.24)
R Fangrad
M J Foster (resigned 23.5.24)
D R Gradon
D R Moore-crispin (resigned 16.1.24)
G Thomas (appointed 12.7.24)
Company Secretary
PBB¢ll
SeJ)Jor Statutory Auditor
Paul Wright FCA DChA
Auditors
Sh¢¢n Stickland
chart￿ed Accountallts
Stabjtory Auditors
7 East Pallaut
Chichester
West Sussex
P019 ITR
STATEMENT OF TRUSTEES, RESPONSIBILITJES
TILe tTr]st¢¢s (who &re also the directors of Creatiou MiDistries International (uK￿vroPe) Ltd for the purposes of
company law) are responsible for preparing the Report of the Trustees and the financial statements in accordance with
applicable law and Unitsd Kin8dom Accounting Standards Iullited Kingdom Generally Acc¢pted Accouatino Practi¢e).
Page 4

Creation Ministries International
(UKtEurope) Ltd
Report of the Trustees
for tbe Year Ended 30th June 2024
STATEMENT OF TRUSTEES, RESPONSIBILrnES- continued
Company law requiffs tbe trustees to prepare fin3ncial statements for each ful2￿la1 year give a tNe and fair ￿eW
of the state of affairs of th¢ Cbarffitable compaoy and of tbe incoruing resources aud application of resources. includÈng
th¢ income aDd expenditure. of the charitable company for that perio(L Ill pTepaTifAg those financial staten￿llts, the
iTUStees are r¢quired to
select suitable accounting policies and then apply them consistently,
observe the methods and principles in the Cbarsty SORP.
make judgements and estimates that are reasonable and pruden¢
prepare th¢ financial ststemeJts on the going Concern basis unless it is inappropriate to presume tbat the clwitable
company will continu¢ in business.
The trustees are responsil)le for keeping proper accounting records which disclose with reasonable accuracy at any time
the financial position of the cbarttable company and to eD2ble them to e[￿lle tbat the financial ststeEnents coTrply witb
the Companies Act 2006. They are also responsible for safegUard￿g the assets of the charitabl¢ Company and hence for
takyJ]s reasonable steps for the prevention and detection of fraud and other irregularittes.
In so as the trustees are aware:
tbere is no relevant audit inforroalioll of which the ch￿l￿ble ¢on]panYs audito￿ are unaware. and
tbe trustees have tak¢n all steps that they ought to have tsken to make themselv¢s aware of any Televant audit
inforniation aTJd to establisb that the auditors ate awdre of that inforn]auoL
AUDTTORS
The auditors, Sheen Sticklanl will be proposed for re-appointroeut at the fortbcotning Annual General Meeting.
This report bas been prep￿ed in accordanc¢ with the spexial provisions of Part 15 of tbe Companies Act 2006 relating
to sm211 companies.
-)%ii Ne￿￿¢<,2*
Approved by order of the board of ttustees on .... .
. and signed on its behalf by.
P B Bell - SeGTetary
P2ge 5

Report of the Independent Auditors to the Members of
Creation Ministries International
(iJIQEDrope) Ltd
Opioio
We have audited the fill￿¢121 statements of CTeation minis￿eS Ijjternational (UKtEurope) Ltd (th¢ 'cPLarRtabl¢
company? for the year ende4130th June 2024 whicb cotnprise the Statement of Financial Activities, the BaloJ3ce Sheet,
the Cash Flow Ststement and notes to the financÉal statements. including a sumnw of signthcant accounting policies.
The finaucial r¢porting framewoTk that has been applied in their preparation is applicable Iaw aud United Kin(vdorn
A¢¢ounting Standar(ts (United Kingdom Generdlly Accepted Asxounting Pra¢tic¢).
In our opinion th¢ financial statenThts:
give a tN¢ and fair view of the state of the ¢￿￿table colDpan￿S affairs As at 30th June 2024 and of its incon)3ng
resources and application of resources, iDcludÈng its income and expenditure, for th¢ year then ended"
have been propttly prepared in accordance with UDited Kingdom Gellernlly Accepted Accounting Practice. and
ave been pr¢par¢d ill accordance with the requirem¢nts of the ConwaDies Act 2006.
Basis for opinion
We conducted our audit in accordaace wÉth InternatiorLal St8nd2rds on Auditing (UK) USA5 (UK)) 2nd applicable law.
Our responsibilities under those standards are filltber described in the Auditors, rcsponsibilities for the audit of the
fmaucial staternellts section of our report. We are itidepeodent of the cI￿ltable Company ID ac¢ordauce with the ethical
requirenkents that are relevant to our audit of the fmancial stateLDeDts in the UK inclvdiog the FRC'S Ethical Standard,
and we have fulfilled our other ethical Tesponsibilities in accordance witb these requirements. We believe that the audit
evidence we have obtained is sufficient and appropriate to provide a basis for our opiJ)io
Conclusions relatiug to going Concern
In auditing tbe financial statemellts, we have concluded tbat tbe trustees, use of the going concern basis of accouoting in
the preparation of the financial statements is appropriate.
Based oll tbe work we bav¢ perform&1, w¢ have not identified any material uD¢ertsinties relating to events or conditlons
tha¢ individually or colle¢tively* O]ay c&st significant doubt on the charitable companys ability to continue as a going
¢onc¢rn for a perxod of at leagt twelve months froni when tbe financial stat¢ll￿nts are authorised for issue.
Our responsibilAties and the responsibilities of the trustees with respect to goitig concern are described in the relevant
sections of this report.
Other inform2tioll
The trustees ar¢ T¢sponsible for the other infornRtion. Th¢ other information fA)wises tbe infom]ation included in the
Annual R¢port, other tban the fumnoial statements and our Report of the Independent Auditors thereon.
Our opinion on th¢ finark¢ial stat¢rnents do¢s not Cover thc other xoforn)alion #nd, except to tbe extent otherwise
explicitly stated in our report, we do not express any forni of assuFanoe conclwion thereo
In CODnection with our audit of tbe financial statements, our respousibility is to Tead tbe other infornjation and, in doiJg
so, consider whether the other infornjation is materially inconsistent WAth the financial statements or our lojowledge
obtained in the audit or otherwise appears to be n)aterially misstateiL If we ideutify such material inconsistencies or
app&r¢nt material misstatements, we are required to detenlline NvhetheT this gives rise to a matetkal rnisstatement in the
f￿￿￿¢1&] statements themselves. If, b&sed on the work we have perfoTmed, we conclude tbat there is a material
isstatement of this other illf0rn￿tiO￿ w¢ are required to report that fart. We have nothiag to report ill tbis regard.
Opinions on other m2tters prescribed by the Companies Act 2006
In our opinion, based on the Work vndertaken in the course of th¢ audit:
the infortnation given in the Report of the TTUStees for tbe financial year for which the financial statements are
prepared is consistent with the fiaancial statetnents. and
tbe Report of tILe Trust¢¢s has been prepared iti accordance witb applicable legal requirements.
Page 6

Report of the Independent Auditors to the Metnbers of
Creation Ministnes Intern2tion21
(iriuEllrope} Ltd
Matters on which we are required to report by exception
In the light of the knowledge 2nd Understanding of the charit2bIe company and its ellviroiLiyient obtained in the ¢OUTse of
the audit, we have not identified mat¢riai misstat¢ments in th¢ Report of the Tn)ste£s.
We have nothing to report in respect of the followi-ng matters ￿ere the Coo]panies Act 2006 requires Ds to report to you
if, in our opinion:
adequate accounting r¢coriL8 have not be¢D k¢pt or r¢turns adequate for our audit bave llot been received from
brdo¢hes Dot visited by us. or
the fU￿A¢la1 ststemeJJts ar¢ not in agreement with the accounting TecA)rds and returns; or
certain disclosures of trustees, reLlluaeration specified by law are not nllde" or
we bave not ￿e1V¢d the inf0m￿tion and explanations we require for our audit: or
the trustees were not entitled to take advantage of the small compaoies exemption from the req￿]reMellt to prepare a
Strategic Report OI in preparing the Report of the Trustees.
Responsibilities of trustees
As explained more fillly in the Ststement of Tntst¢es' RespoDsibilities, the In￿eeS (who are also the diTectors of the
charitable company for the putposes of company law) ar¢ reSpO￿lbIe for the preparation of the fU￿n¢121 statements alld
for being satisfied that tbey give a trne and fair vi¢w, and for such interrLal control as tbe Inistees detrmine is necessary
to enable the prepardtion of finall¢iai statemellts that are fr¢¢ from material misst&tsm¢nL vthether due to fraud or error.
In preparing tbe fll]ancial staten￿llts. the tTh￿te¢S a￿ r¢sponsilJle for asse&siDg the ckwitable CoMpan￿S ability to
¢ontiuue as a going Conce￿ disclosin& as applicable, matteTS related to going concern and using tbe going concern
basis of accounting unless the tDJStees either intend to liquidatr the cbaritable company or to tease operations, or have
o realistic alternativ¢ but to do so.
Our responsibiJAties for the audit of the finallci21 statements
Our objectives are to obtain reasonable assurance about wbetber tbe financial ststemeDts as a wbole are free from
a￿teriaL misstatemen( llloetber due to fraud or eryor, and to issue a Report of the Independent AuditOTS that includes QUT
opinion. Reasonable assllrance is a level of assurnce, but is not a guarantee tbat ao audit conducted in acwrdance
th ISAS (UK) will always detect a materÈal misstatement when it ¢xists. Misstaternents can arise from fraud or error
and are considered material if, illdividually or in the aggregaie, tbey could reasonably be expected to infiuence the
¢conomic decisions of users taken oo the basis of these fmancial stat¢roents.
The extent to whicb ow procedures are capable of detecting itregLknities. including fraud is detsiled below:
¢oquiry of mar￿geMent, those cbarged with governance and the entitys soliGitOTS around acttul and potential
litigatioD and ¢laims'
enquiry of entitys staff to identify any instances of non4ompliance with laws aDd regLdations'
reviewing minutes of meetintrs of those charged with governance.
reviewing f￿ancial statement disclosures and testing to supporting documentation to assess cowliance Thith
applicable laws aud regulations. and
auditing the risk of management ov￿ride of controls ill¢ludillg t￿OUgh testing journal entries and other adjusknents for
appropTiat¢ness, and evaluating tbe business rationale of significant transactions outside the nornul course of busiDess.
A fi]rth¢r description of our responsibilities for the audit of the financAai staternents is located on the Finantial ReportiDg
Council's website at www.fr¢.org.uklauditorsresponsibilities. This description forn)s part of OUT Report of the
Independent Auditors.
Page 7

Report of the IDdependent AudAtors to the Members of
Creation Ministries Illtern2tional
(UIUEnrope) Ltd
Use of ollr report
This report is made solely to tbe Ch￿Itable COD)pauYs members. as a boty, in accordance with Chapter 3 of Part 16 of
the Corupatiies Act 2006. Our audit woik Iw been undertsken so that we might state to the ¢]￿ltable CoMpan￿S
menthers those malters we required to stste to tb¢m in an auditOTS' report and for no other puryjse. To the fullest
extent permitt¢d by law, we do not accept or assume iesponsil)ility to anyone oth¢r tban the cbaritable c05llpauy and th¢
charitsb
an3ls members &8 a body, for our audit wort for this repoTL or foT the opinioDS we have fonn¢d.
Paul Wrig
FCA DCkLb& (Senior sts￿tory Auditor)
for and on belkalf of Sheen Stickland
Chartered Accountants
Statutory Auditors
7 East Pallant
Chicbes
West Sussex
P019 ITR
Date: ...i.I,i.ij4,...........................
Page 8

Creation Ministiies International
(U]UEurope) Ltd
Statement of FfingncKal ActKvAtfies
(Incorporating an Incotne and ExpendAture AccouDt)
for the Year Ended 30tJA Jwie 2024
2024
Totsl
fijnds
2023
Total
funds
UTrttstrict￿l Restricted
fi]nd
Notes
INCOME AND ENDOWMENfs FROM
Donations and le￿CleS
229.015
229,015
402,789
Charitable activities
Prornotio￿ sale and distributton of religio
literature
113.658
113,658
131,921
Investment income
Otber income
9,375
1,250
9,375
1,250
4.535
Total
353298
353298
539,245
EXPENDITURE ON
Raising fimds
9,430
9,430
7,773
Charitable 2ttivÉties
Promotio￿ sale and d£stribution of religious
Literature
351,203
351,203
391,472
Tot2]
360,633
360,633
399,245
NET tNCOMEI(EXPENDITURE)
(7,335)
(7,335)
140,000
RECONCILIATION OF FUNDS
Totsl funds brought forward
453213
453,213
313,213
TOTAL FUNDS CARIUED FORWARD
445,878
44S,878
453,213
The notes fonn p&rt of these f￿￿)cial statenients
Page 9

Creation Ministries Interllational
(UKIEurope) Ltd (Wstered number: 05874811)
Balance Sheet
30th Julle 2024
2024
Totsl
fjmds
2023
Total
fjjllds
Notes
FIXED ASSETS
Tangi￿le assets
12
3,489
3.489
8,689
CURRENT ASSETS
Stocks
Debtors
Casb at bank and in hand
13
14
84,247
13,071
366,320
84,247
13,071
366,320
77,104
6,428
369.185
463,638
463,638
452,717
CREDITORS
Amounts falling due within one year
15
(21,249)
(21,249)
(8,193)
NET CURREIYT ASSETS
442.389
442,389
444,524
TOTAL ASSETS LESS CURRENT
LL4BILITIES
445,878
445,878
453213
NET ASSETS
445,878
445,878
453.213
16
Unrestrxcted fijuds
445.878
453213
TOTAL FUNDS
445.878
453,213
These f￿all¢la1 statem¢nts have been prepared in accordaoce with the provisions applicable to ¢haritable companies
subject to the small companies regi￿e.
The flnancial stat¢m¢nts were approved by tbe Board of T￿￿teeS and authorised for iss
i &L .Iq.a v.TA a 142.¥and were siglled on its bebalf by:
on
D R Gradon - Trustee
The notes fortn part of these financial statements
Page 10

Creation Mllllistn￿ International
{UK￿￿r0Pe) Ltd
Cash Flow Statement
for the Year Ended 30th June 2024
2024
2023
Not
Cash nows from operatAll(V activities
Cash genet2ted from operations
tntcrest paid
(7,549)
(5.480)
145,642
(7,845)
Net ca8h (us¢d in)/provided by operating activities
{13,029)
137,797
Casb flows investing activities
Pureh&8e of taogible fixed assets
Sale of tangible fixed assets
Interest received
(461)
1250
9,375
(6.039)
4,535
Net c&sh provided bY1(￿ed irL) investing activities
10,164
(1,504)
CknaDge cash and tash equivalents in
the reportiug period
Cash and casll equivalents at the
begiDDing ol the reporting period
(2,865)
136,293
369.185
232,892
Cash and cash equivalents at the end of
the reporting period
366,320
369,185
The notes forn] part of these fu￿1claI st*m¢ats
Pagell

Creatioll MinistrAes International
(l[K￿￿rOpe) Ltd
Notes to the Cash Mow Statement
for the Year Ended 30th June 2024
RECONCILIATION OF NET (EXPENDrruRE)IiYCOME TO NET CASH FLOW FRO
OPERATllYG ACTIVtrIES
2024
2023
Net (expenditUre)r￿COrne for the reporting period (&s per the
Statement of Financial Aetivities)
Adjustnjents for:
Depreciation charges
Profit on disposal of fixed assets
InteTest received
Interest paid
Increase iti stocks
(Increase)Id¢crease in debtors
InCTcase1(de￿eaS¢j ill creditors
(7,335)
140,000
5,661
(1,250)
(9,375)
5,480
(7.143)
(6,643)
13,056
5,930
(4,535)
7,845
(4,262)
2,282
(1,618)
Net easb (used in)Iprovided by operations
(7,549)
l45,642
ANALYSIS OF CHANGES IN NET FUNDS
At 1.7.23
Cash flow
At 30.6.24
Net cash
Cash at bank and in hand
369,185
(2,865)
366,320
369,185
(2,865)
366,320
Tot21
369,185
(2,865)
366,320
The notes form part of thes¢ fllwicial statements
Pa￿e 12

Creation MiDistries Intern2tion21
{uI￿￿r￿Pe) Ltd
Notes to tht Financial Statements
for the Year Ended 30th June 2024
ACCOTJNTtNG POLICIES
Basis of prep2fiDg the financial statements
The fjnallcial statements of the chaTitable company, ￿l¢b is a public benefit elltity uThdei FRS 102, have been
prepared in acwrdan¢e with th¢ Ch2rities SORTr (FRS 102) 'Acwunting and Reporting by Clwities: Ststernent
of Recommended Pradice applicAble to charities preparing their acwullts in accordance with the Financial
Reporting Standatd applicable in the UK and Republic of Ireland (FRS 102) (effective l January 2019),,
FÉnancAal Reporting Standard 102 The Financial Reporting Standard applicable in the UK and Republi¢ of
Ireland, and the CompaNes Act 2006. The finallcial statements have been prepaTed under tbe historical cost
convention.
Income
All incotlle is recognised in the Siatement of Financial A￿1vitieS once the charity bas entitIen]eut to the fimds, it
is probable that the iDcom¢ will be received and the amount can be measured reliably.
Expenditure
Liabilities are recognised as ¢Kpendittwe as soon ￿ there is a legal or constructive obl££ation corrmitting th¢
charity to tbat expenditure, it is probable that a traDsf¢T of econoLnic benefits will be required in settl¢ment and
the amoullt of the obligation can be measured reliably. Expenditsre is a¢¢ounted for on an accruals basis aud has
been Classrfied under headings tbat aggregate all cost related to the eategory. WheT¢ costs caonot be direelly
attributed to particular bea(lings they have been allocated to aetivities on a b&sis consistent WAth tbe ￿e of
resources.
Governance eosts
Governance costs comprise the Costs of governance arrangements Ythieb relate to the general rullDing of the
Charity.
Allocation and apportiollment of costs
Wh¢re costs ¢at]oot be d[r￿tlY atrributed to particular headings they bave been allO￿ted to activities on a basis
consistent with the use of resowcL's.
TangAble fjxed gssets
D¢preciatiou is provided at the fcTrllowing annual rates ITJ order to Ivrite off eacb asset over its estimated use￿1
life.
Fixtures and fittings
Motor vehicles
Computer equipment
25Q/¥) on cost
200/0 on cost
250/0 on cost
Assets with eith￿ an initial cost exceeding £200 or a useful economic life exceeding three years are eapitaLised.
Stocks
Stocks are valued at the lower of cost and net realisable value, after making due allowaAee for obsolete and slow
moving itetlls.
Taxation
The charity is exempt fron] corporation tax on its clwitsble activities.
Fund accountin
Unrestricted funds call be used in a¢cordance with the ch2ritable objectives at the discretion of tkne trnstees.
Restricted fi￿dS can only be used for particular restricted pu￿0$¢8 within tbe obJ￿ts of the cbar_ty. Restrirtions
arise when spe¢ifi¢d by the donor or when funds are raised for particular restrtcted purposes.
Further explanation of the naL￿￿e and purpose of tach fi￿a is included in the notes to the f￿anCIal ststernents.
Page 13
continued...

Creation Ministries International
(TjK￿VrOpe} Ltd
Notes to the Financial Statements- continued
for the Year Ended 30th June 2024
AcCOU￿NG POLICIES- continued
Foreign turrencies
A&sets and IthbilÉties in foreign currencies are translated into sterbng at the rates of exchange n￿Ing at tbe
balance sheet date. TransactioLs in foreiga currenci&% are traosi&ted into sterling at the rate of exchange rnling at
the date of transactioL Excbange differences are taken into account in artiving at the operating resulL
Pension costs and other post-retirement benefits
The charitable company operates a defined ¢ontn￿lltioll pension scheme. Contnlutions payable to the clwitable
companys pension scheme are charged to the Statement of Fillanciai Activities in the period to which they relate.
DONATIONS AND LEGA￿s
2024
2023
Donations
Legacies
227,015
2,000
246,806
155,983
229.015
402,789
llYVESTMENT INCOME
2024
2023
Deposit accouttt interest
9,375
4,535
INCOME FROM CHARITABLE AcfiviTIES
Activity
ProraOtio￿ sale and distribution of religious
literattwe
Promotio￿ sale and distribution of religious
litevature
2024
2023
Sales
113,658
124,014
Conference fees
7,907
113,658
131,921
OTHER JNCOME
2024
2023
GaTn on sale of tangible fixed assets
1,250
Page 14
cori.tinued...

Creation Ministries International
(uK￿UrOpe) Ltd
Notes to the Financial StatemeJJts - tODtinued
for the Year Ended 30th June 2024
RAISING FufqDS
Raisillg donations and legacies
2024
2023
Van expenses
DepTeciation
3,769
5,661
1.844
5,929
9,430
7,773
CHARITABLE ACtTVITtES COSTS
Support
costs (see
note 8)
Dir&t
Costs
Totals
Promotio￿ sale and distnBution of
religious literature
348,503
2,700
351,203
sirppoRT COSTS
Governance
Costs
Promotion. sale and distribution of religious
literature
2,700
NET INCom￿(ExPENDITuRE)
Net in¢orne/(expenditure) is stated after ¢harw/(creditiog):
2024
2023
Auditors, remuneration
Depreciation - owned assets
Surplus on disposal of fixed assets
2,300
5,660
(1,250)
2,200
5,930
io.
TRUSTEES, REMUNERATION AND BENEFITS
There were no trustees, remuneration or other benefits for the year ended 30th June 2024 nor for the ye& ended
30th June 2023.
Page 15
Continued...

Cre2tion Minithès International
(uK￿￿rOpe) Ltd
Notes to the Financial Statements- continued
for the Year Ended 30th June 2024
10. TRUSTEES, REMUN£￿￿TION AThD BENEFfi8. ¢ODtinued
Trnstees, expenses
Durillg the year ended 30th June 2024 ¢xpenscs totalling £79 (2023: £J)iE) were reimbursed to one trustee for
travel expenses.
ii.
STAFF COSTS
2024
2023
Wages and salaries
So¢Aal security costs
Other pension costs
168,046
10,161
7,923
189,426
11.485
9.471
186,130
210,382
The average montbly nuniber of etnployees duTiDg tlle year was as follows:
2024
2023
ChaTilable Activities
No employees received emolum¢ats in excess of £60,000.
The totsl valu¢ of ¢n￿lOYee benefits received by key n]anageD]ent during the year ¥VdS £36246 (2023: £34,588).
12.
TANGtBLE FIXED ASSETS
Fixtures
Motor
vebicles
Computer
equipment
fittijw
Totals
COST
At 1st July 2023
7.038
19,100
28,276
460
(483)
54,414
460
(483)
Additions
Disposals
At 30tIL Juue 2024
7,038
19,100
28,253
54,391
DEPRECL4TION
At 1st July 2023
Charge for year
Eliminated on disposal
2,509
1,510
15,280
3,820
27,936
330
{483)
45,725
5,660
(483)
At 30th June 2024
4,019
19,100
27,783
50,902
NET BOOK VALUE
At 30th June 2024
3,019
470
3,489
At 30th June 2023
4,529
3,820
3a0
8,689
Page 16
continued...

Creation Ministnes Intern2tion91
(UKIEurope) Ltd
Notes to the Fijjantial Statements - continued
for the Year Ended 30th June 2024
13.
STOCKS
2024
2023
Stock
84,247
77,104
14. DEBTORS: AMOUNfs FALLING DifE IvIT￿l￿ ONE YEAR
2024
2023
Trade debtors
Gift aid to be re¢laim¢d
VAT
Prepayments and accnjed illcoroe
105
8,763
1,678
2,525
1,422
3,407
1,599
13,071
6,428
15.
CREDTTORS: AMOUNTS FALLING DUE WITKtN ONI YEAR
2024
2023
Trade creditors
Social security and other taxes
Other ¢reditOTS
CMI Australia
CMI USA
Accnllls and deferred income
8,427
1,853
347
6.578
200
3,844
1,155
2,639
199
4,200
21,249
8,193
16.
MOVEMENT TN FUNDS
Net
movement
in funds
At
30.6.24
At 1.723
Unrestricted funds
General fund
453213
(7,335)
445,878
TOTAL FUNDS
453213
(7,335)
445,878
Net movement in knds, included in the above are &8 follows:
coming
Tesources
K¢sources
expended
Movetllent
in funds
Unrestricted funds
General fi]nd
353298
(360.633)
(7,335)
TOTAL FUNDS
353298
(360,633)
(7,335)
Patse 17
coThtinued...

Creation Millistries International
(v￿￿￿rOpe) Ltd
Notes to the Financial Statements - continued
for the Year Ended 30th June 2024
16.
MOVETrIENT IN FtfNDS. tontinued
Compar2tives for movement in funds
Net
movem¢nt
At
30.6.23
At 1.722
Unrestricted funds
General filnd
313213
140,000
453,213
TOTAL FUNDS
313213
140,000
453,213
cOmp￿ative net movement in funds, iD¢lud¢d in the above are &8 follows:
Incoming
resources
Resources
expended
Movement
in fijllds
Unrestricted funds
General fi￿d
539,245
(399,245)
140,000
TOTAL FUNDS
539245
(399,245)
140,000
A current year 12 months aod prior year 12 months combined position is as follows..
Net
rnovement
in funds
At
30.6.24
At 1.7.22
Unrestricted funds
Genernl fuThd
313,213
132.66S
445,878
TOTAL FUNDS
313,213
132,665
445,878
A current year 12 months and prior year 12 n)onths combined net mL)vement in funds. included in the above ale
as follows..
IoGorDing
resources
Resources
expend¢d
Movement
in fiwds
Unrestritted funds
General fL￿d
892.543
(759.878)
l32,665
TOTAL FUNDS
89? 543
(759.878)
132,665
Page 18
continued...

Creation Ministries Interll2tional
(UIQEurope) Ltd
Notes to the Financfial Stat¢mellts- tontinued
for the Year Ended 30th June 2024
17. RELATED PARTY DISCLOSURES
The entity bas a director in ¢orDmon with the cOEY￿any that provid￿ paytoll services. TraDsactions are on an
atms length basis and totalled £628 for th¢ year ended 31)th June 2024.
Page 19

Creation Ministries Internation21
(UIUEurop¢) Ltd
Detsiled Statenjent of FinanciaI Athities
for the Year Ended 30th June 2024
2024
2023
Charitable acttvities
Brought foTward
Closing Stock
Conferellce costs
Bank charges
427,270
(84,247)
445,891
(77,104)
12.640
7,845
5,480
348,503
389.272
Support tosts
Governance tosts
AuditOTS' remuneration
Accountancy and legal fe&s
2,300
400
2,200
2,700
2,200
Total resourc¢s expended
360,633
399,245
Net (expenditure)fwcome
(7.335)
140,000
This page does not fottn part of the statutory financial statements
Page21