t>JoJStgn En¥olppe10.. 204EAF*216M6>9487Q56984314F6C
Gaudium iibert3S
JEWISH VOICE MINISTRIES UK
(A COMPANY UMITED BY GUARAtItEE)
ANNUAL REPORT AND FINANaAL STATEMENTS
THE YEAR ENDED 310ECEMBER 2020
Companles House Reglstratlon: 6453709
Reelstered tharlty Number 1123300
'AA8EGSL6*
CQ10712021
COMPANIES HOUSE
•AA779FFC*
A13
*282
A17
#116
Co￿A￿lEs HOUSE

t1￿$￿3n En￿lDP? ID". 204EAF*216>426>94B7-056W314F6C
Gaythum Llbertas
JEWISH VOICE MINISTrIES UK
(Registration number: 112331Y))
Contents
Reference and Administrative Details................... ....................... ..
Trustee5 Annual Report..................................................-...................................................
Independent Examination Rep￿ for the Trustees ofjewish V•)ke Ministries UK.......
Statement of finandal Actsbrytsw the Ythv Ended 31 December 2020......................................... 10
Balance Shert as at 31 December 2020............................................................................................... 11
Ststem•rt of Cash FI(￿S- Year Ended 31 De£ember 2020................................................................ 12
Notes to the Flnanclal Statements forthe Year Ended 31 December 2020.......................... ............ 13

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G￿dI￿1 Libenas
JEWISH VOICE MINISTRIES UK
{Re8istration number: 1123300)
Referen￿ and Administrative Detsils
Registered cl￿rIty hlumber
112330)
Registeredoffice
42 Constellation Park
Cambridge
CB23 4JP
Prlndple office
36 Clydesdale Close
Borehamwood
Hertfordshire
WD6 2SO
Trustee5
Mrjonathan 8emis
Dr Ruth Fleischer
Ms Julie Elizabeth McKenzie Chalmers
Mr Ezra Benjamin Watnik lapp(Hnted No¥ 20201
Compunysecretory
Dr Ruth Fleischer
IndependentExaminer
Andrea L Campbell ACMA CIMA MIP
Gaudium Libertas Accounting Limited
272 Bath Street
Glasgow
G2 4JR

OorJJSwn Etheltye10'. 204EAF*216S428>9487-DW84314F6C
Gaudium Lil>ert4s
JEWISH VOICE MINISTrIES UK
(Registration number: 1123300)
Trustees Annual Report
The Trustees present the4r report and finanoal statements for the year ended 31st December 2020. The
Tmstees have adopted the prow5ions of the Statement of Recommended Practice1SORPI Accounting and
Reporting by Charities IFRS 1021 in p￿paring the annual report and financial ststements of charitable
c¢ynpany.
The financial statements complywith Charit￿$ Act 2011, the Companies Act 2LN)6, the Memorandum and
Articles of Association. and Accounting and Reporting by Charitie5.' Statement of Recommended Practice
applicable to charities preparin8 their accounts in accordance with the FSnanoal Reporting Stsndard
applicable in the UK I FRS 1021 published on 16Juty 2014 and updated in Bulletin l.
Otye¢the5 andArtlvltle5
The object of the charity is to advance the Messianic Faith in attordance in the UK and worldwide by the
promotion of any exclusively charitable purpose according to the law of England and Wales and in
particular..
Proclaim Messiah Yeshua to the wortd tothe Jewfirst aThJ a150to the Gentiles. through television.
festivals. literature and all other means:
2. Teach and train those who embrace Messiah. and equip to impact to them a love for Israel and
the Jewish people:
3. Relieve persons who are rthr and needy. sick. aged or otherwise in necessitOU5 orcumstsnces.
PublkBenefv
The Trusteesconfimithatthey have referredtothe guidelines obtained in the Charity Commission general
guidance on public benefft when reviewing the charity's aims and objÈrtNes and in plannin8 fLrtu
artivities.
STRATEGIC REVIEW
Achlevenjents ond Perfonnonce in 2020
Jewish Voice Ministries UK IJVMUKI partners and supporters were instrumental in the ministry's abS1ityto
successfully accomplish outreach actmties in 2020. tt was a challenging but fruitful year of humanitarian
efforts and Messianic congregational planting and Browth throughout the world.
2020Ethloplo 04rtreo
Jewish Voice held two Medical Outreaches and one specialty dinic w) Ethiopia in 2020. Both Medical
Outreaches were conducted in NEW locat￿nS. one in the northern town of Enwari among the Bete
Avraham and the other in the Southern Region of Dawro arnongthe Gefat in Tercha town. In addition. our
Ethiopia staff conducted a specialty clinic in Kechene amongthe Bete Avraham. Even though spiritLsal and
often physical opposition to our faith-based humanitsrian efforts was particularly strong in that area. our

Gaudium Liberus
JEWISH VOICE MINISTRIES UK
(Registration number: 1123300)
team was able to persist and break rfft¥ 8round. In November. we s￿￿5sfullY held the first medical
outreach since the start of the COVID-19 pandemic in Tercha town. That outreach arted as a precursor to
our ministry partners at 8KMC planting a new con8re8ation in that area. In just eleven full days of Clinrc
operations in 2020, we were able to serve 14816 patients.
20205outhern Afvco Outreodjes
JVMI was fOr￿d to cancel three Medical Outreaches in Zimbabwe due to the govemrnent closing the
borders in response to the COVID-19 outbreak As a result. we held an unprecedented humanitarian
outreach in N0￿Mber. Ourteam of intemational staff. local staff and Lemba leadership, distrityjted 4.C
121b bags of ri¢e and 4,[￿) ba85 of commeal in five separate regions. The entire outreach was completed
in just over a week The direct distribution pr￿lIded the opportunity to share the Gospel in Lemba
communities in a unique way. The result was 3.110 households receiving vFtsI help at a crucial timel Also,
our congregational partners reported an increase of 165 new congregants as a direct result of the
outreach.
In addition. Global Outreach leadership visited South Africa in January and made great progress with the
government. The visit produced a key endorsement letter that is needed to secure permissions to hold a
medical outreach soon. We hope to pick up where we left off On￿ government offices fully reopen.
2020Summary
In a year filled with postponements and Can￿lIatiOns. we were able to continue to break new ground.
We conducted medical clinics in two new Ethhjpia lotstions and held a much-needed humanitarian
OUt￿a¢h that impacted fNe separate areas of ￿rnbabWe. We also receNed an important letter of
endorsement In South Africa. 2020 was a year of unwecedented hea￿h concerns, yet the Lord allowed
JVMI to reach so many with hope and aid that was desperateky needed.
2020 Mlntstry Flgures
We rejoi￿ in the following results of our outreach work during 2020:
4 Outreath Events= 2 Medical Clinics. I Speciatty Oinic and l Hwnanitarian Distr￿tIon
14.816 patients treated at Medical ainics in Ethiopia
3.110 households weived humanitarian aid in Jmbabwe
149 people entered the Prayer Centres al our Medical ainKs
3,gM people received Indiwdual LifeStraw unrts
70 families received Ltfestraw Family units
2 communities received Lrfestraw Community units
Nnanclal Revlew
During the year income totalling £595.287 12019 £780.9281 was received arKI expenditure totalled
£601.85512019 £869.4661. This has resulted in a deficit of £6.56812019 deficit £88,539)

DO￿Sh3n En¥elcy ID.. 2o4EAFw￿2l6￿26Y-94B7-￿wa4J14Ffjc
GaUd￿M Llbertas
JEWISH VOICE MINISTrIES UK
(Registration number: 1123300)
At the year end the charity had total funds of £135.61412019 £142.1831 including unrestritted funds of
£133,95812019 £1405271. restricted funds of £1.65612019 £1,656) and designated funds of £nil12019
£nill.
ReseThespolicy
The trustees have set a I￿rye policy which requires:
Reserves be maintained at a level whKh ensures 3 months of expenditure of the organisation'5
core activity could continue during a period of unforeseen difficulty:
A proportion of reseThe5 be maintained in a readily accessible form.
The calculation of the required level of reserves isan irtte8ral part of thecharity's plannin& budgeting and
fO￿aSt cycle.
It takes into account=
Risks associated with each stream of income and expendFture being diffe￿nt frtyn that budgeted
Planned art4vity level
Charity's commf(ments
The Trustee5 aim is to hold £l(X).C(10 of unrestricted reselves in line with the policy set out above. At 31
December 2020 the charity had unrestrirted reserves of £133.95812019 £140.5271.
Designated funds at 31 Oecember 2020 were £nil12019 nil as detailed in note 131.
Restricted fuftds at 311)ecember 2020 were £1.656 {2019 £1.6561 these were held lor specifK purposes
as set out by the donor.
The 8oard of Trustees will review the current re5erie poliry on a regular basi5 to assure currently
maintained reserves are In alignment with fvture levels of activities and related risks.
Plans for Future Periods
We look forwar(J to continued expansion of our ministry efforts induding Medical Outreaches, Festivals.
Cong￿83t10nal Leadership Development. and strategic relationship building with emerging Jewish or
historically'lsraelite" corrrnunities around the ¥wTld during 2021 and beyond.
Structure. Govemance and Management
Conrtltutlon
The charity is a company limited by guarantee and is Eovemed by its Memorandum and Articles of
Association dated 14 Oecember 2017. The wmpany was registered as a charity on 25 Marth 2CK)8. The
charity began operating on l January 2(KB.

Ooajstw EIr￿￿]Pe ILk. Z04EAF[&2fts428>94B74￿P8¢3q4F6c
Gaudium L&¥erL
JEWISH VOICE MINisfRIES UK
{Registration number: 1123300)
Trustees
The Trustees, who are also directors for the purposes of the Companies Att 2￿￿. who seNed during the
perbod were:
Dr Ruth Fleischer
Mrjonathan 8ernis
Mrs Julie Elizabeth Chalmers
• Mr Ezra Benjamin Watnik
The members of the charity may nominate and appoint new Trustees to the Board. Unless the Board
decides otherwise the minimum number of trustees is three and the maximum number is ten.
Recruitment 15 undertaken as necessary through the identification of skills gaps at trustee level.
The Board of Trustees are the key management personnel of the tharity in charge of directing and
ntrolling the charity and running and Ok￿ratIng the charity on a day to day basis. All Trustees give their
time freely and no Trustee remuneration was paid in the year. Details of Trustees expenses and related
party transactions are disclosed in notes 8 and 15 to the accounts.
Risk Monogement
A review of the major risks.to which the charity is exposed was conducted as part of the initial activty
assessment arKI implementstion. Major risk fartors identifieil are as follows..
• Financial sustainabifity. In¢￿ding stabtlity and securrty of donations as well as the ability to generate
new names n￿$Sary for growth:
Reputation riskwhere the charity or its agents comrnit acts that d￿na8e its reput*ion resulting in an
inability to raise funds or awareness of its mission.
The Trustees review risks on an ongoing basis and satisfy themselves th* adequate systems and
procedures are in place to manage the risks identified. Where appropriate. systems and procedures have
been established to wniti8ate the risks the charity faces. Internal control risks are minimised by the
implementstion of pro￿ureS for authorisation and review of all transactions and projects. Budgets and
key perfomance indicator5 are prepared and reviewed throughout the year to ensure that financial
targets are being evaluated and resources are being utilised as directed.

DocuS*n En￿Ope1￿. 204eAF96Q163426>94B7-DSQ84314F6C
G￿dIUM Llbenas
JEWISH VOICE MINISTrIES UK
(Registration number: 1123300)
STATEMENT OF TRUSTEES, RESPONSIBILMES
The Trustees (who are a150 directors of the Jewish Voice Ministries UK for the purposes of company lawl
are responsiblefor preparingthe Trustees. Annual Rek)onand the finanaal statements in accordance with
applicable law and United Kingdom Accounting 5tandard5 (United Kingdom Generally Accepted
Accounting Practice).
Company law requires the Trustees to prepare financial statements for eath financial year. which give a
true and fair view of the state of affairs of the charitable cornpany and of the incoming resources and
application of resources, including the income and expenditure of the charitable company for that period.
In preparing these financial statements. the Trustees are required to=
Select suitsble accounting polioes and then apply them consistentlv:
Observe the methods and principles in the Charities SOAP 2015 IFAS 1021-
Make judgements and estimates that are reasonable and prudent-
State whether applicable UK accounting standards have been foll¢)wed. subject to any material
departures disclosed and explained in the fu)ancial statemertts..
• p￿pare the h"naft¢ial statements on the going COn￿M basis unless it is inapprowiate to assume that
the charrtable company will continue in operation.
.The Trustees are responsible for keepingaccounting records that disclose with reasonable accuracy at anv
tirne the finanaal posrtion of the charrtable Company and enable them to ensure that the financial
statemenis comply wth the Charities Act 2011, the Charity (Accounts and Reports) Regulations 2008 and
the provisions of the trust deed. They a￿ also responsible for safeguarding the assets of the charitable
Company and hen￿ for tsking ￿sOnable steps for the prevention and detettion of fraud and other
irregularities.
Approved by The Trustees on
and signed on their behalf by:
DrRuth Fleisd
Trustee

Qh)uJ&gn EobElryo ID.. 2D1EAF96-216>420SV87￿65s4314FffL
Gaudlum LlbeTr35
JEWISH VOICE MINISTRIES UK
(Registration number: 1123300)
Independent EXaMinat￿n Rewt fr￿ the Trustee5 of Jewish Voice Ministries UK
l ￿pOrt on the accounts of the thartty forthe year ended 31 December 2020 which are set out on pages
10 to 21.
Respe¢tlve responsiljilities af trustees and examiner
As the charity's trustees of the Company land also its dirertors for the purwses of company law} you are
responsible for the preparation of the accounts in accordance with the requirements of the Companies
Act 20061'the 2(X)6 Act.).
Having satisfied myself that the accounts of the Company are not required to be audited under Part 16 of
the 2CQ6 Act and are eligible for independent examination. l ￿k￿)rt in respert of my examination of your
charity's accounts as carried out under seciion 145 of the Charities Act 20111.the 2011 Act'l. In carryin8
out my examination. I have followed the Directions gI￿n by the Charity Commission undersettion 145151
{bl of the 2011 Act.
sis of Independent examinerfs report
As the Company's gross income exceeded £250.IXiI. I confirm that l arn qualtfied to undertake the
examination as a member of the Chartered Institute of Management Accountsnts. one of the listed
bodies.
.1 have completed my examination. I confirm that no matter5 have come to my attention in connertion
with the examination giving me cause to believe..
accounting records were not kept in respect of the Company as required by section 386 of the
2006 Art: or
the accounts do not accord with tlM)se records- or
the accounts do not comply with the accounting requirements of section 396 of the 2￿6 Act
other than any requirement that the ac¢£)unts give a 'true and fair vtew, which is not a matter
considered as part of an independent examinatton; or
the accounts have not been prepared in accordan￿ with the methods and principles of the
Statement of Recommended Prartice for acwunting and reporting by charities applicable to
charities preparing their accounts in accordance with the Financial Reporting Standard applicable
in the UK and Republic of Ireland IFAS 102).
I have no concems and have come across no other matters in connection with the examination to which
aitention should be drawn in this reph)rt in order to enable 3 proper understanding of the accounts to be
reached.
18￿6r2￿￿1
Andrea L Campbell A￿. CIMA MIP
Gaudivm Libertas A￿OUntIng Limited
272 Bath Street. Glasgow G2 4JR
Date

Dati￿un En%%lopE10.. 204EAF8&2163428>94B7-056984314FeC
Gauthum Llbertas
JEWISH VOICE MINISTrIES UK
(Registration number: 1123300)
Statement of Finanaal AC(ivities fcY the Year Ended 31 December 2020
(Including Income gnd ExpenditureAccount ondstotementof Totul Recognised Goins ond Iossesj
Toi•1
2019
55•.15•
571.211
750.182
29.819
927
717
717
59.
$33UP)
Net Inoyvmeniin fvr
{U,$3g1
1410.527
142.1BJ
13
230.722
Balances uvrled f(vwanlat 31 DKernber ZQZO
All transartions are derived from continuing activitses
All recognised 8ains and losses are in¢luded in the Statement of Financial ALtNities
T¢t•l
2018
715.484
29.819
34.6q8 791182
29,819
927
723.696
58.172
812
Tothith¢ob7M
Cog1 org￿ra￿r￿￿tr
hanla￿*￿bfft5
71.149
821320
N&t mThfementknfvm*s
109 489
182 ￿+.72?
340.211
140
io

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GaUd￿M Lkns
JEWISH VOICE MINISTRIES UK
{Registwatbon number: 1123300)
Balance Sheet as at 31 December 2020
15.782
144.912
61.046
198.195
Cash at bank
1KI.694
259241
lfftjunis falling d￿¥￿h1n0￿ year
io
(25.079)
1117,058
1x614
142.183
NET ASSETS
135
R*r•s•nt¢dby.'
Reslricted lunds
Unrestricted funds
Dwnaial l￿dS
TOTAL F1ft40S
12
13
13
133.
140,527
135.614
142.183
For the year ending 310ecember 2020 the (￿npanY was entitled to exemption from audtt under
section 477 of the Companies Act 21))6 relating to small companies.
Oirectors, resFw)nsits'lttie5-
The members have not required the companyto obtain an audit of its accounts for the year in
question in accordance with section 476:
The dirertors acknowledge their responykn-lities for c¢ynplyin8with the reqijirements of the Art
with ￿Spect to accounting records and the Preparat￿n of accounts.
These accounts have been prepared in accordance with the provisions applicable to cornpanies subjert
to the small companies. regime.
Approved by the Board of Trustees on
and signed on their behalf by:
Dr Ruth
Trustee
isther
The notes on pages 13 to 21 fomi part of these financial statements.
li

DowSgn En7&*lwe fj.. 2O4ENF5>216>4Z6>9487￿5690•JI4F$C
Gaudium LlbÈFras
JEWISH VOICE MINisfRIES UK
{Registration number: 1123300)
Statement of Cash Flows- Year Ended 31 December 2020
Y•arend•d
314)gc-2020
Cornp•ratlvg
31-D•¢-2019
{53.9391
1121.7881
Net ¢a8h Ir4)m operatlng acdvltie8
Cash flow from Inveslkng •cOvllles
Inte￿t received
717
927
Net cash flow from Im7•$ting acllvltles
153.282)
1120,861)
N•t Incr•a8• irt ¢a•h and Cash •qul¥al•nts
C•sh cash equlv#l•nts at 1 January 2020
198.195
319,056
Cash and cagh equival•nts at 31 December 2020
144.912
198,195
Ca•h and ¢4oh ?qub4al•nts conthts ￿.
Cash al bank •nd in h•nd
144.912
12

DooJS¥n EnbYlcpe1tr. 204&AFg￿l6>l26>9lO7iJS6g6I314F6c
Gaudlum Llbertas
JEWISH VOICE MINISTrIES UK
(Registration number: 11233001
Notes to the Financial Ststements for the Year Ended 31 December 2020
ACCOUNnNG pouaES
Basis of prep¥atlon
Jewish Voice Ministries UK 15 a company limited ty 8uarantee in the United Kingdom. In the event
of the charitable tompany being wound up. the liability in respect to the guarantee is limited to
£1 per member of the charitable company. The address of the registered office is given in the
charity information on page l of these financial statements. The nature of the charitsble
company's operations and principal activrties are set out on page 3.
The charity constitutes a public benefit as defined by FRS 102. The financial statements have been
prepared in accordance with Accountingand Rewrting by Charities: Statement of Recommended
Prartice applicable to charities preparing their account in a¢wrdan¢e with Financial Reporting
Standard applicable In the UK IFRS 1021 issued on 16 Juty 2014. the Financial Rep)rting Standard
applicable in the United Kingdom IFRS 1021. the Charities Act 2011 and UK Generally Accepted
Practice as it applies from l January 2015 and updated by 8ulletin l.
The financial statements are prepared on a going con￿rn basis under the historical cost
onvention. modified to include ￿rtain items atfair value. The financial statements are prepared
in sterling which is the functional currency of the charFty.
The significant accounting policies applied in the preparation of these financial statements are set
out below. These policies have been consistently applied to all years presented unless otherwise
Stated.
Income
Ail income is induded in the Statement of Financial Activities ISOFAI when the charity is legallv
entitled to the inwme after any pertorrnan￿ conditions have been met. the amount can be
measured reliably. and it is probable that the I￿orne will be recer¥ed.
Voluntary income induding donations and gifts is induded in full in the SOFA when re￿1Vable.
Programme incorne is included in the period the programme is aired and when entitlement has
occurred.
Expendlture
l expenditure is accounted for on an accrua15 ba515 and has been classified under headings that
aggregate all costs related to the category. Expenditure 15 recognised where there is a legal or
construrtive obligation to make payments to third parties, it is probable that the settlement will
13

DouJ&gn Envelcye ID.. 204EAF**216>426>94B7-056984314F6C
Gaui*um Llbertas
JEWISH VOICE MINISTRIES UK
{Registration Dumber: 1123300)
Accounllrq Polkles contlnued
be required, and the amount of the obligation can be measured reliably. It is categorised under
the following headings-.
Costs of raising funds are those costs incurred in attrath"n8 voluntary income.
Charitable expenditure comprises those costs incvrred by the charKty in the deltvery of
its activities and services for its benefKiaries. It indudes both costs allocated dI￿rtI¥ to
such activities and those costs of an indirect nature necessary to support them.
Support costs allo(atlon
Support costs are those that assist the work of the charity but do not directly represent charitable
activities and include office costs. Bovernance costs. and administrative payroll costs. They are
rficur￿d directty in support of e￿ndIture on the objects of the charity and include project
management carried out at Headquarters. Where support costs cannot be directly attributed to
particular headinBS they have been allocated to cost of raising funds and expenditu￿ on
charitable activities on a basis conslstent Wtth use of the resources.
Fund-raising costs are those incurred in seeking voluntary contributions and do not include the
Costs of disseminating infomiation bn supKM)rt of the charitable activities.
The anatysis of these costs is i￿lUded in note 5.
Fvnd5 accoiinting
Unrestricted general funds are funds which cart be in a¢cordart¢e with the Charitable obj'ects
t the discretion of the Trustees.
Restricted fvnds are funds that can only be used for particular restrirted purposes within the
objects ofthe charity. Restriction arises when specified by the donor or when funds are raised for
particular ￿Stritted purposes.
Designated funds represent funds assigned for Joint Ministry projects. The designated fvnd
balance has been represented to ensure that fund balance is Stated accurately and reflects the
designation policy adopted by Trustees.
Debt0￿ and Uedito￿ receivablel payable within one year
Debtors and creditors with no stated interest rate and receivable or payable within one year are
recorded at transaction prKe. Any losses arising from impaimient a￿ recognised in expenditure.
Cash at bank and in hand
Cash at bank and in hand are short-term, highty liquid investments that are readily convertible to
known amounts of cèsh that are subject to an insignificant risk of thanges in value.
14

Do￿5￿n En¥elop8 ID.. 204EAF*216>4￿￿8IB7￿S696d3lIF6c
call￿M Lu￿rtas
JEWISH VOICE MINISTRIES UK
(Registration number: 1123300)
A¢¢ountlNg Polides cont•nued
Taxatlon
The ¢harity is an exempt tharity within the meaning of sthedule 3 of the Charities Art 2011 and
therefore considered to Pas5 the tests set out in Para8raph I Schedule 6 Finan￿ Act 2010 and
therefore rt meets the deh"nrtion of a charitable ccffipany for UK corporatbon tax purposes.
Forelgn currerty
Foreign currency transactions are Fnitially recognised by applying to the foreign currency amount
of the spot ex¢han8e rate between the functional currenry and the forei8n currency at the date
of the transaction.
Monetary assets and liabilities denorninated in a fO￿l8n currenw at the balance sheet date are
translated using ihe dosin8 rate.
1.10 Golng concem
The finanoal statements have been prepared on agoing concern basi5 0$ the trustees believe that
no material uncertainties exist. The trustees have considered the level of funds held and the
expected level of income and expenditure for 12 months from authorising these financial
ststements. The budgeted income and expenditure Trs sufficient with the level of reserves for the
charity to be able to continue a5 a going cryKern.
1.11 Judgements and key s(wrees of estlmatlon ￿￿ertaI￿v
Accounting estimates and judgements are continually evaluated and are based on historical
experience and other factors. induding expectatiors of future events that a￿ believed to be
reasonable under the Circumstan￿5.
There a￿ no key assumption5 concerning the future and other key sOUr￿S of estimation
ncertainty at the reporting date that have a significant risk of causing a material adjustment to
the carrying arr￿Unts of assets and liabilities within the next financial year.
15

C4)tsJS*Jn En*loFe ID.. 204£AFWA16>426>9187-C)569B4314F6C
Gaudium Llbenas
JEWISH VOICE MINlSfRIES UK
(Registration number: 1123300)
INCOME FROM DONATIONS
Total Funds
2020
2019
2020
2019
2020
2019
0onth.ons
Tax recoverable ￿ gfft aid
524.877
26277
690.916
24,568
20.057
34.698
544,934 725.614
26,277 24,568
$71211 750.182
INCOME FROM CHARITABLE AcfMTIES
UThr•stri¢ted Funds
2020
2019
Restrict•d funds
2020
2019
2020
2019
Sale of educational
materia
23.359
29,819
23,359 29.819
23359 29 819
INVESTMENT INCOME
Unrestri¢tsd Funds
2020
2019
Restrl¢t•d funds Reslrfctod fvnd8
2020
2019
2020
2019
Inter￿t ￿Ceivable on
bank and cash ¢Jeposits
717
27
717
927
717
927
717
927
16

Gaudlum Llberu5
JEWISH VOICE MINISTRIES UK
(Registration number: 1123300)
ANALYSIS OF EXPEPIDITURE
Total
20X* 2019
a)20
2019
ng Dlr•rt¢i
Ral¥lng Fun¢ts. SypportCo*ts
39A67
48.178
11.142
as17 ￿.118
9 158 11,142
4472$ $9.2•0
4a.725
Charltsbh funds - DIMct cots
193.955
20.057
214.lJ12 25J.233
32.3JS 48n
197,2% 374937
SIS30 S2 350
494113 738,398
Educ•bonal o)sts
Jtynt Minlsty pioiec
Donation5 payab
197.236
52.530
476.
375.937
52.350
705.195
20.057 33,203
Ch4rtt•* Suppprt Cty*&
Trans￿¥s1On and prothK*￿ ojsts
49.534
534 51.630
7 4WJ 13 170
67.017 71
57.017
71.808
SS •6• 466
All costs are albocated betwe￿ the expenditure G)tegorie5 as noted abcwe on a basis desi8ned to reflect
the use of the resource. Costs relatingto a particular ath.vity afe alhxated directty. others are apportioned
on an appropriate bays. for example, time spent. per capits or floor area.
SUPPORT cosrs
Ihrnstrf¢ted Fund$
2020
2019
Gmup Travel
Outside Semos
.196
Postage and pnnthng
C¢mputèroJsts
Conf8r•nce and meth"r8s
Baok tharge
Sundry costs
Licen￿ fees
27
627
5.119
12,
241
1.514
178
1,374
223
Govemancé c¢sts
17

DoaJSvJn Erb%￿￿ ID.. 204W*216>426>9487-W984314F6C
Gaudlum Llbertss
JEWISH VOICE MINISTRIES UK
(Registration number: 1123300)
GOVERNANCE CO
Unw•stri¢t•d Fund•
2019
Ir*JeFendent Examin*"on fee
TRUSTEE REMUNERATION & STAFFcosrs
The trustees consider the board of trustees as the key management personnel of the charity in
charge of directing and controlling the charity and running and operating the Charity on a day to
day basis. All trustees give their time freely and no trustee remuneration or any other financial
benefits was paid in the year. The trustees were not reimbursed for expenses.
The charity did not employ any staff duringthe year.
DEBTORS
unre•trIc￿ Funds
2020
2019
Tax recovefatle on 9fft3 donthns
Prepayrnents
Amounts frryn Joint
5.215
10.567
7.036
16.718
37,292
io.
CREDITORS: AMOUNTS FAWNG IXJE WITHIN ONE YEAR
2019
Du8 to Jewth Voice PAnk8tres Intemali￿I
17.889
7,1￿1
24.143
92,914
25,079
117.057
ii.
SHARE CAPITAL
The company is limrted by guarantee and has no share capital. The liability of its members
limited to £1 per member.
18

DwSvJn Ert¥d(4ye ILk. 2o4EAF￿21G34ZO&￿97l￿￿43l4Ffjc
Gatsithum Libertas
JEWISH VOICE MINISTRIES UK
(Registration number: 1123300)
12.
REStRicfED FUNDS
Current year 2020
Israeli Fbtcaust S￿l￿r5
General ￿dical Chcice FL￿1
Clher snru funds
12.185
5.158
1714
(12,1851
{5.1581
(2.7141
20.057
Israeli Holocaust Sur¥i¥ors- fvnd to support SUNIVOTS from the Holocaust.
General Medi¢•lClinics Fund-fund tosupportthe medical clini(s in Ethiopiaand Southem Afrrca operated
by Jewish vol￿ Ministries International.
Other small funds - fund to provide clean water to those in AfrKa by providing Lrfe Straws and water
education during medical clinics. In addwtion to support programs in Israel.
PrKK year 2019
01th.2019
In¢onw Expenditurn 314le¢-2019
Isr*li Ftthxau51 SunA
General Wi¢al Ch)i¢e FuThJ
Qher srr¢l funds
19.946)
(22,371)
I￿)
22,371
19

DotyJS4n ID-. 201w*21￿426m4B7-D56g843llF6c
Gauthum Llberts5
JEWISH VOICE MINISTRIES UK
IRegistration number: I1233￿)
13.
DESIGNATED FUNDS
Cutt•nt year 2020
At
D•slgnatlorn
R•￿¥*•d
31.De¢.2020
Joint Ministy proj￿1 fvThJ
197.23S
197.236
Joint Ministry projert fund - these funds are set aside as part of the Joint Ministry Agreement with Jewish
Voice Ministries Intemational al￿ Jewish Voice Mintstries Canada. which provides a formalised
commitment to fund ministry projects.
Pre¥lous year 2019
At
14>2019
Ilov•ment in Funds
Expenditu1*
At
31.De¢-2019
Joirrt Ministy l￿d
374.545
374 $45
14.
Af4ALYSIS OF NET ASSETS BEWWEEN TOTAL FLV4DS
Restrktrd
Fund
T¢)t•l
2020
¢Un￿t >•ar 2020
Fund¥
¢urrEnt A58ets
159.038
160.693
CurrEnt Irabilts¥
125.0791
125.0791
133 958
135614
Totsl
2019
Funds
Funds
Pre¥lou¥ ￿ar 2019
Current Assets
Current liabilths
257,585
117.058
259.241
117.058
142 183
RELATEO PARTY TRANSAcf10145
A management charge totalling £63.752 12019 £82,612) was payable to a related US charity.
Jewish Voice Ministrie5 Intemational. The US charity is related to Jewish Voice Ministries UK by
rtue of the common director Jonathan 8emis. At the year end the tharity owes Jewish Voice
Ministries International £17.88912019.. £24.143).
20

Do￿$￿Jn En¥elrge ID.. 2o4EAF*-216>426>gW-D￿1314Ff
Gaud￿rn Llberw
JEWISH VOICE MINISTRIES UK
(Registration number: 1123300)
During the year to 31 December 2020£7,01812019: £7,077) wa5 paid to Ruth Fleischer. a Trustee
of the charitable company for services rendered for actin8 as accounting liaison.
During the year, the charitable company pr￿ided outside support £9.6Q) 12019 É9,CIJ)I to
Yeshua International. The charity 15 related tojewish Voice Minisiries UK by virtue of the Common
director. Ruth Fleischer.
During the year. the charitable company provided outside support of £10.5CK)12019: £12,000) to
New Testsment Manna Christian ministr￿5.
During the year, the charitable wmpany prowded outside support of £197.23612019.' £375.9371
a5 part of the knnt Ministry Agreement vAth US related charity. Jewish Voice Ministries
International and Canadian related charity. Jewish Voice Ministrie5 Canada. The US an(J Canadian
Charity are related to Jewish Voice Ministries UK by virtue of the Common director Jonathan
Bernis. At the year end. the charity had no amounts owed from the Joint Ministry in 202012019..
riill in relation to the Joint Ministry A8reernent and income paid in advance. From the total
amounts paid durin8 2020 to the Jewish Voice Ministries International byjewish Voice5 Ministries
UK, a balance of £68,525 remains unused due to Covid-19 impact and reduced spend. This will be
carried fonvard by the International operation into 2021.
16.
RECONCIUATION OF EXPENSE TO NET CASHFLOW FROM OPERAnNG AcfivrnES
2020
2019
Net exper￿ for year
Interest recewab
Decrease in debtors
Dee￿aSe in ¢￿dit￿5
{6.568}
1717)
45.264
{91,978)
{88.539}
{9271
{46.1721
13,850
121786
21