CHARITY COMMISSION
FOR ENGLAPID AND WALES
Raynes Park Korean Church
Annual accounts for the period
01101124
To
Charfty Mo
1128349
3111W24
Section A
Statement of financial activities
Rmtriclod
Unrnstricted Incom• endowmènt
funds
funds
lunds
ommend¢d categorim by
actlvity
Prlor year
funds
Total funds
F05
Incomlng ro8ourcM INot• 31
Incom8 and ￿nd￿l￿n•￿* from:
D￿all￿n5 and lega0•
F01
F02
F03
F04
146.769
140,549
146.769
chari19b￿ a￿1v￿￿e6
othertyadlng ￿vItt••
In¥esimeni8
8oparat• m8wbwl itam of
Other
9)3
3,598
3,598
2,017
$07
150367
142 566
Total
Re8our¢e8 oxpfrnded (Note 6)
Expgndltur• on:
Rahlng fundi
CharithbLe 8¢il¥ltNI8
So￿rat8 m8t•rlal It•mal •ywA•
Olhor
133,064
133,064
116,002
sio
116002
Total
S12
Net In¢om•llexpondltur•l b•for• InvMlm•nt
galnslllouèsl
$13
814
17.303
17,303
26.564
N￿￿hn$1(￿S#fj5j on Invoslments
N•t Incom•llexp•ndttur•)
Extr4ordlnary Itèms
Tran•forn botWo•n fund•
Oth•r r•cognlsed galnslllos••8):
S13
sifj
S17
17.303
17.303
26,564
lolses S18
S19
Net movement In funds
17,303
17,303
26,564
Ro¢onclllatlon of funds..
230 174
247,477
203 610
230 174
Tcrtal funds brouohl
230 174
247 477
Total funds carrl•d fonvard

Firelox
Section B
Balance sheet
RestriGtsd
Un￿￿tricted inGom¢ Eb*iwffl•nt Tot•1 th1¥
fvn¢ts
fvnlts
nds
To¥1146t
year
Flxed a880ts
Intsngible assets
Tanglble assets
H•rltage as8•ts
Inv•*tm•nts
F01
F02
F03
F04
F05
(Notr 151
(Note 141
(Note 161
INoto 171
Tot•1 ¢lx8d •sstrts
5423
4875
4,875
Current assa
Stocks
(Nots 181
Debtor¥
Ihlote 191
Inv¢$tmont•
(Nole 17.41
Ca¥h at bank and In hand (Noto 241
Total cunent au•ts t111
244 348
226 490
227.531
CredltoY¥'. amount* 14llifi9 du• wlthift
one year
P40ts 201
2.294
2232
N•t eurr•n¢ as••trfll•blllU•sJ
012
225.2e9
Tol•l •M•tB l••• ¢unwt 114lJUld•• Èi¥
23D 174
Cr•dltorn'. •movnts falling du• th•r
on¢ year
INot• 201
Provl•lon¥ lor Ilabllltl
Toi•l n•t a8s•ts orll•bllftl••
Funds ot Iho Charlty
Endowment fund• (Noto 271
RMlri¢ted incorne lunds (Not• 271
Unrè8tr1cted fund•
B16
247.477
247.477
230,174
817
¥18
B1•
Rev•luation
Tot•1 fvnds &z1
47,
230.174
SKJned by om c* l%MJ truiW on bgh4fol
the tw$t￿l
Dale of
appr¢v•i
0110712025
Print Name
Jo
Mr Myury Soo Boe
¢C178 IEx¢•ll
0IIO¢Q025
I nf 17

Section C
Notes to the accounts
Note 1 Basis of preparatlon
Thls Section should be completed by all ￿￿1111¢$.
1.1 Basis of accountlng
These accoun18 have been prepared under the hislofical cosl conventKJn with item8 re¢cgnised at cost or
transaction value unless otheNise staled in the relevant note(sl lo these awunts.
The accounts have been prepared in accordance with".
the Statement of Rec(Nnmended Practice." Accounting and Reporting by Charitie8
preparing their accounts in xcordance wth the Financial Reporting Standard applicable
in the UK and Republic of Ireland IFRS 1021 Issued on 16 July 2014
and with.
arKI wfth.
the Financial ReFL)rting Standard ap￿icab￿ in th¢ Unitsd Kingdom and Republic of
Ireland {FRS 102)
• and with the Chanties Act 2011.
The charity conststutes a pullic benefft entty as defined by
FRS 102."
-rick aB 4Fpropriate
1.2 Golng concern
M thero •rn mat•rl•l unc•rtalnlles ￿•¢¢d to •v•nts oreondltlons th•t c•¥t slgnrflcant doubt on th8 Charftys
ablllty to ¢ontlnu• a8 • golng eoncem, pl•M• pn>vld• the lollowlng detalls orstate "Not •ppllcablo". 11
•pproprlat•."
An explanation as to those factors that sUPPOrt
the condusion Ihal the charty is a wing
concern..
Not Appllc•ble
Di8¢lo$ur8 ol any unc8rtainlie8 that make the
going con¢orn 888umptson doubfful..
Whore accounts aro not prepared on 8 going
oncern basis, please dlsclose this lact
together with the basi8 On which the trustee8
prepared the accounts and the reason why th8
charity 18 not regarded &8 a going conwn.
Not Appllc•bl•
NotAopplkable
1.3 Change of a¢¢ountlng pollcy
The accounts pre¥enl a true and fair view and the a¢counllng polici05 •Jopled arg th08e outlined in note { }.
Ye8"
".Tkk 88 apwoprtate
No.
Please dlsclose..
(l) th• naturn of the change In accounllng polky."
Not 0Okat>
fll) the rn•80ns wtyappfying lh• n•v accounllng policy
provldes morn rnll•ble and mor• rthant Inlorn7•tion.'
and
Not aFWicabltr
CC17a (Excell
P￿85-6
3010612025

(iii) the aft￿unt of the adjustment for each line affected
In the current perlod. each priorpeiT<)d presented and
thg aggregate amount of thg adjustment relating to
perlods beforn those presented. 3.44 FRS 102 SORP.
Not Applic81
1.4 Changes to aeeountlng estlmates
No changes lo accounting estimates have 0￿￿rred in the reporting period {3.46 FRS 102 SORP}.
Yes"
No"
"_ric* a8 8Fpropn8te
PIM$e dlsclo8•.'
(l) the nature olany ¢hang•s.'
Not AFf4Kable
(11) the effect of tho changg on Income and expense or
assets and Il•bllitles for tho ¢urnent perlod,. and
Not
(111) whern practlcable. the effKt of the chonge In on• or
mor• luturn p•nlo¢ts.
Not Aoppllcable
1.5 Materlal prlor year ern)rs
No mat•rial prior y•8T érror hav• Khnlrfi•d in th• rewrting period (3.47 FRS 102 SORP).
No.
'.TKk 88 approwwte
Ple•J• dl¥clos•."
(i) th• natur• of th• prtorp•rtod •nvr.
(11) for •ach prforp•rlodprns•nt•d In th• •¢¢ounts. th•
amount of tho ¢OrnCtlon ft>r each account Ilne Itenp
•ffected.' and
(Illj the amount ol the ¢onp¢llon at the beginnlng of the
earllestprlorperlodprnsentedln the ac¢ount&
CC17a IExc¢ll
Page5-8
301Ce12025

Section C
Notes to the accounts
Note 2
Aecountlng policies
Please complpte this note when fitsl rnKorting underFRS2102. S8¢itron 35 of FRS102, rnquirns 3 r8concml8t￿nS to be
presented, if all a￿ applicable.
2.1 RECONCILIATION WITH PREVIOUS GENERALLY ACCEPTED ACCOUNTING
PRACTICE
Please provlde a description
of th• naturè of èach change
in accounting policy
Non•
Re¢on¢llakn of funds perprevlous GAAP to funds detemilnod under FRS 102
Start of
End of
rlod
perlod
Fund balance8 •8 prevlou8ty
stated
AdJustm•nts.'
Fund bal•n¢• •• rn•tst•d
R•eoncllatlon of net Incomrfnet exp•ndltur•J pwpr•vlous GAAP to not Ineomrfn•t oxpwdirum) und•r FRS
102
End of
Net Incomelloxpendlturnl as prevlously
8tatod
AdJustm•nts.'
Prnvloua perlod n•t Incom￿(exp0ndIture)
•• rostatod
CC17a (Excel)
P•3e 7
3010612025

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11111111
1111111
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1111
1111
1111
1111
1111
11
111111
111111
111111

11111
1111111
111
1111111

11111
11111
11111
11111
11111
11111
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11111
11111
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111111
111111
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11111
11111
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llltiiiii
Illll
miiiii
11111

Section C
Notes to the accounts
Nots 10
Detalls of certaln ltsms of expendlture
10.1 Fees for examlnatlon of the account•
Plaase pmvlde detalls of the amount pald for any statutory oxtamal scrutlny of
o¢¢ounts and other services pmvided by your independenl •xaminer. If nothing
wa8 paid please enter V. In the appmpriate box(es).
Thls year
Last year
Independent examlnerf• fees
1,000
1,000
Aggurance servlces other than audlt or Independent examlnatlon
750
750
Tax advlsory fee8
other fee8 Ifor oxamplo: financlal adv1￿, consultancy, aecountsncy 8orvlc08) pald
to the Independent examln6r
240
320
CC17a IEx¢ell
Page 18
301C612025

Section C
Notes to the accounts
(cont}
Nots 11
Paid employees
Please complete thls note if the charity has any employees.
11.1 Stsff Costs
Thls year
Last yèar
Salarles and wages
Soclal securlty costs
Penslon costs (defined contrlbutlon scheme)
Other employee benefits
58.730
49.923
1,292
750
80,772
1,292
500
51,715
Tolal staff costs
Thls year:
Pleasè provide detalls of expendlture on staff worklng for the
charlty whose contracts are wlth and ar0 paid by a related party
Last yoar:
Not
Itable
Ploas• provldo detalls of expendlture on staff worklng for the
charlty who8• contracts are wlth and are Pa￿ by a rèlated party
Please glve detalls of the number of employees whose total employ•e beneffts (excludlng employer
penslon costs) fell wlthln each band of £10,000 fmm £60,000 upwards. M thern arn no such transactlons,
please enter Yru6' In the box provlded.
No omployeos rKelved employee boneflt8 {excludlng employer
penslon costs) for the reportlng porlod of moro than £60,000
Not AppliGable
No¢ AppllEalJl•
Band
Number of em
Thls year
lo
Last year
£60.000 to £89.999
£70.000 to £79,999
£80,000 to £89,999
£90,000 to £99,999
£100,000 to £109,999
Thls
ear
Last
ear
Please provlde the totsl amount pald to key management
personnel Ilncludes trustees and senior management) for thelr
servlces to the charity. For spe¢lflc amounts pald to trustees,
See Note 28.
Not Applicable
Not Applicable
CC178 (Excell
Pag8 1￿21
0110712025

11.2 Average head count In the year
The parts of the charlty In whlch the
employees work
Thls year
Last year
Totsl
11.3 Ex￿ratIa payments to employees and othèrn {excludlng trustéeg)
Please complete If an ex-gratla payment Is made.
Please explaln the nature of tho
payment
Th18 year
None
Lalt y￿r
None
Please stste the legal authorlty or
reason for maklng the payment
Thls year
None
Last year
None
Thlg year
Last year
Please State the amount of the payment (or value of any walvor of
a rlght to an asset)
CC17a (Excell
Pag8 1￿21
0110712025

11.4 Redundancy payments
Please complete if any redundancy or temiination paym¢nt18 made in Iho perlod.
Thls year
Last year
Total amount of payment
The nature of tho paymont (cash, asset
etc.)
Th18 year
Last yoar
The extent of redundancy lundlng at the balance sheot d•t•
Please State the accountlng poll¢y for any rodundancy or
termlnatlon paymonts
CC17a (Exc81)
Page 19-21
01107r2025

Section C
Notes to the accounts
cont}
Note 12
Definod contrlbution pension scheme or dofined benefit scheme accounted for as a
deflned Gontributlon scheme.
12.1 Please compl•¢0 thts note Ma deffned contrlbutlon penslon $¢henM Is oporalgd
Thls year
La8t year
Amount of ¢ontrlbullon8 recognl8ed in the SOFA as an •xpon8•
1,292
1,292
Please explaln the ba$18 for allocatlng the Ilablllty and expense of
deflned contrlbutlon pension Scheme botween activiti￿ and
between r88tr1cted and unre8trlcted funds.
Unrmtrlctod funds
Unre8trkted funds
12.2 Pl••s• eompl•t• thls sectlon whK• the charlty particlpa¢•s In • d•flned benefft penslon plan but18 unable to
ascertaln Its share of the underlylng assets and Ilabllhles.
Pl•a80 conflmi that although th•
•cherna 5$ aGGountod for a8 a defined
contrlbutlon plan, It Is a definad tsan￿tt
pl•n.
Plea88 provkle Such Inforniatlon a•18
avallable about tho plan's surplus or
deflclt and tha Impll¢atlon8, If any. for
tho rnportlng ¢harlty for th18 year and
la•t year, If dlfffrronl
Not Appllcable
12.3 Please complete thls soctlon where the chartypathlpat•s In • multl4mploTrwdefined benofft penslon plan
that Is account•d for as a doflned conlrlbutlon plan.
D•J¢rl￿ th• extent to whlch th• ch•rlty
can be Ilable to the plan tor other
onlltlg5' obllgation8 under the terni8
and condltlons of tha multl4fflployor
plan. If thls18 dlfferent for last year,
provldo dots11•
Not Appllcab
Provldo an explanatlon of how any
Ilablllty arlslng from an agrooment wlth
multl4mployer plan to fund 8 deficlt
has been detsrnilned. If thls l• dlfforont
for last year. provlde detall8
Not Appllcable
CC17a IExc•ll
Page 22
31)10612025

Section C
Notes to the accounts
Icontl
Note 13
Granlmaking
Pl￿se complete tlts note rfthe chaiity mad8 anygrants orI*%Jali￿ whKh in aggrogato fonn a matwialpart of the
charilable activities undertaken.
This year:
13.1 Anal￿19 of grJnl¥ pald Ilnclud•d In co•t of C￿rItabl# *cli¥ibes)
rant• to
Analys
Grnnts to individua
Support GOBts
Total
ActNity ￿ prqect 1
Act￿lty (* prq¢et 2
Activity CY p￿e¢t 3
Tolal
13.2 Gr•nts mad• to In•titutlon•
Please pmvldo
d•talls of ¢harlty$
URL
Ilty charlty has m•d• grnnts to p•rtlcuI•rlnstitsrtl￿ that •r• m•terf•l In th•
context ollts grantm•klng. Detalls of the l￿d¢U￿on supported. puryjose of th•
grnnt and totslpald to each Instltudon Is av•ll•ble on the chartty* srt•.
No
Provldo d•t•ll$
Namm of In#titutlon
rot•l •mount of
r•nt• ald £
Toé•l9rants to In*ti¢utioN In reportlng p•rfod
O¢herU￿n8￿se￿9r￿
TOTAL ORANTS PAID
Last year:
13.3 Anal l• of
Includ•d In cost of ¢harftabl• a¢tfvlil8•1
rants to
in•titulion•
Anatys
Grnnts to indlvldua
Support ¢o•ts
Total
A¢tNty or yolect 1
CC178 IExt*l)
P&Je Z&24
01107r2025

Ath"vty or project 2
tivity v project 3
Advty or prol8Ct 4
Total
Pleaso enter"Nll" Ilthe ¢h•rity do•8 not Id•ndfy4n(VoT •llo¢ate support wts.
13.4 Grnnts mad• to Insdtutlon•
Ple•s• provid•
d8laHs of charlty's
URL.
y charity has made lo partkular thatarn nmteflalln th•
Context ofits grantmaklng. D•tolls oi th• htstftution $upport¢d, purpos• ol th•
grant and lotalp•ld to •ach Inslftukn Is •vailabl• on th• charftys web stte.
No
Provld• dot•ll8
Iwlow
Totsl amount of
rnnts pald E
2,520
N•m•s of I￿tItUtIOn
Purpo••
Unlted Kingdom
Greé
Missionary suppNI- 4 mi8$*Marns
mis8￿ry 8UPP)rt
missionary support
mMsKynary gupport
missionary supwt
Middle East
Meal 8eThico for thg homeless
Missi￿#ry 8UPPOrt.workirwJ with al¢oholics
Donation
720
720
Ukralne
720
Burklna Fa80
South Kor•a
720
Tear Fund
1,810
1.835
11.979
910
Rellef for sufferfng
Vval
Vlgiling Korean ml$$ionarie$
Reliel for suffering
Jackets for Home1•88
1,190
Total 9rants to Instllutlom In repothg perfod
Othor un•natyseaTgrnnts
TOTAL GRANTS PAKJ
22.924
0%07r2025
CC17a (Excdl
Pap 2>24

11
111111
111111
111111
111111
111111
111111
111111
111111
111111
li

Sectioii C
Notes to the accouiiis
Not•17
Inveslm8ntassots
17.1 Hxod a8s•ts In￿$1m0nts Iplpaso pn>vido lor ea¢h of In¥•8knonl)
CAsh
CatyryJ Ilalr) val￿ al btginnir¥J ol
p8dod
Add: addllknns to
penod.
Le88.' d18PQ8a* at val
Lw•.' Imp•1m￿nts
Add: Rw•rso1 of Imp•1m￿n
AthVld•du¢t): transfw inlloth> in I
p6dod
A￿￿{d•￿￿t). net ge1n10￿) on
r6Voluaik)n
Ifalr) VBlu8 ot ¢rn1
'pl•a￿ •p•elfy*ddhknr• rn•uNlng Irvxn
•cqul•ttl¢)n• throuBh comb*Tr•tknM. Ir
Lottdtrn Stock Exelmnqe DPNY Offlcl￿Lh1 or¢qufv•lw¢ Foroth•T••Mt¥ wh•rn th•rn18 nonw*•¢&vk• on• trad1dffl•￿rt
17.2 Pl•a•• provbd• a bMikd¢wN of In¥wtm•nts •hown *bo¥• *or••lng wlth th• b#knnc• •hxt mw 804
dlff•r•ntl*tlng l*lw•gn th￿￿ h•ld •tlalr •nd thog• h•kl It cg•t Iw• kwlrnwnL
Th1• y•4r.'
Anaty•h of Inv••lmorrt•
Cvh or u•h •qul¥al•nts
Ll•t•d Inv••tmMt¥
InvHtm•nt prop•rti
Oth•r Inv•8lm•nts
Total
Grnnd tolal IF•lr ¥•lu• •ty••r•nd+¢o•t I￿ knpdnr*)
Lisly•ar.
Anaty•l• of Invmtrnon
F4lr v41*4lbw•nd
I IM• Imp•lrm•iit
a•h ￿ ￿*h •qulval•nt•
LIBted
In¥••tm•nt prty•ril
SOCI￿ In¥o8kn8n18
othlr In¥••tsn•nts
Total
Grnnd totsl IFalrv*lu• aty••r•lth￿¥t
¢¢17•
2￿7
JOICWL025

17.3 Wyour charlty holds hnv••lm•nt prop•rti•s. pl•••e compknts th? fouowlng nots:
Thil y•ar
La8t yoar
111 Expknln th• m•thod• and •1gnlfiunt a￿umP0￿M In
d•t•fmlnlhg th• lalrva*J• of Iwowrty hthl by th•
charmy
1111 N•mo or Ind•p•nd•rty•M￿r, Ilappll¢•bl•, rnlvmnt
quqimG•tlon•
1119 Provlrt• d•tslhol •rry r••blctlon• on to r••ll
Inv0￿mont propgrty <*on th• f•mltt*bK• ol Iiicoin• or
dlsp¢A41 proc8od8
Ilv) Explaln •mi ¢wirnctual obllq•Jon• forth• purGI••,
co￿tructbort ord•v•loprn•n¢ ol InvMtm•rt prowbty orlor
rop•lr¥. malnt•Mnc• or•nh•n¢•mknt•
17.4 Pl•*i• pro¥ld• a Ix••kdown ol ¢utt•ntau•t kn¥0*lm•nts. Wapplk•bl•. •gr••lng wlth th• b•l•nc• •ho•L
An4￿1¥ of ¢yrr•nt ••*•t Intmkn•n¢•
L*•ty••f
C*•h or ¢Mh •qylv•k•nts
244.390
220,490
prop•rtl•
Soclal Inv•¥tm•iit•
Other InvMtm•n
Tot•1
244.
226,490
17.6 Guarnnts••
La•t
pra￿d• d•i•ll• wrwrt ot *rty ¥U￿nts• m•d•to
oron b•halfof4 thlrd wvty
Nam• ol ¢h• •ntlty ¢r•ntitl•• Ilw•
gu•r•rht
Pl•ug •xpthln how th• gu•rnnts• furth•rn ¢h•rW• •kn•
CC170 l&xt4D
30106n02S

Section C
Notes to the accoiints
Icontl
Note 19
Debtors and prepayments
Please complete this noto If the ¢hatty has any
d•btors orprnpaymonts.
Thls year
Last year
19.1 An•ly818 of d•btorn
Trnd• debtorn
Propayments and •¢¢ruad Incom•
othor debtorn
1,041.0
1.041.0
Totsl
Pl••88 complet• 19.2 wh•rn a m•twlal dobtor Is roeovvabl• morn than • Jwrafter the reportlng date.
19.2 An4ty81• of dobtorn r•¢o¥arnbl• In mor• th•n 1 year Iln¢ludod In dobtorn •bov•l
Thls y••r
Last yoar
Trade d•btorn
Prepayments and •¢¢ruod Incom•
Oth•r debtorn
Total
CC178 (Excel)
Page 31
301W2025

Section C
Notes to the accounts
Icont}
Note 20
Creditors and accruals
Pltsso complete this not• M the charity has any credikn5 oraccrual&
20.1 Anaty818 of creditor8
Amounts falling due wlthin
one year
Thls yoar
Last year
Amounts falllng due after
more than one year
Thi• y•ar
Last year
Accruals for grnnts payab
Bank loans and overdrafts
Trado credilors
Payment8 recelved on a¢count lor contracts or
perfOrniance￿o1at0d grants
A¢crua18 and doferr•d Incomo
2.294
2,294
2,232
Taxatlon •nd •ocl•l socurlty
Othor ¢redltor•
Tot•1
32
20.2 Deferred Income
Please complet• th1$ noto Mth• ehartty has d•lerr•d Incom•.
Th
ear
Last
ear
Please oxplaln the rnasons why Income Is def•ff•d.
Movomwrt In deferndlncome •¢¢ount
Thh yur
Last yoar
Balan¢• •t tho •tsrt of th• rnportlng perlod
Amount8 added In currnnl p•rlod
Amounts rnleased to Income from pr¢vlou• perlods
Balance at the end of th• r•portlng perlod
CC17a {Ex¢ell
Page 32
30106r2025

SLLilOiI C
Not• 24
Cmh •t ￿nk and in h•nd
Th1• y••r
La•ty••r
Short t•Th￿ cmh In¥Mtm•nl•llM• th•n 3 m•tur#y d•*)
8hon t•im
Ca•h Ot b•nk •1￿ on ￿nd
185,544
T•t•l
Z44.348
226,4frJ
CC17a (Exe41
0110712025

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11 &1

Section C
Notes to the accounts
{contl
Nots 29
Additional Disclosures
The following arn significant matters whlch aro not eovered In oth•r nots• and nood to ￿ included to
provide a proper undarstanding of thè accounts. If thèm is insufficient room here, please add a
separate sheoL
None
CC17a IEx¢ell
P4e 36
0110712025

CHARITY COMMISSION
FOR ENGLAND AND WALES
Independent examinerfs
report on the accounts
Section A
Independent Examinerfs Report
Rèport to the trusteesl
members of
Raynes Park Korean Church
On accounts for the year
onded
3121 December 2024
Charity no
(if any)
1128349
Set out on pages
I report to the trustees on my examination of the accounts of the above
charrty ("the Trust.) for the year ended 31° De￿rnber 2024.
R88ponsibilitiès and
basis of report As the charity twstees of the Trust, you are responsible for the preparation
of the accounts in accordance with the requirements of the Charities Act
2011 {'the Act.).
I report in respect of my examlnation of the Trust's accounts carried out
under section 145 ofthe 2011 Ad and in carying out my examination, I
have follovml the applicable Dir8¢1ions given by th8 Charty Commission
under section 145{5){b} of the Act.
I have completed my examination. I confim) that no material matters have
come to my attention (other than that disclosed below ') in connection with
the examination which gives me cause to beI￿ve that in, any matenal
respect:
accounting records were not kept in accordance with section 130 of
the Act or
the accounts do not accord with the accounting records
Independent
examinor's Statsment
I have no concems and have c¢)me across no other matters in connection
with the examination to which attention should ￿ drawn in order to enable a
proper understanding of the accounts to be reached.
. Please del8te th8 words in the brackèts rfthey do not apply.
Slgned:
Date:
Name:
Roland Alan Mitchell
Relevant profe$slonal
quallfication(sl or body
{if any):
Association of Chartered Certrfied Accountants
Address:
173 Wainscott Road,
Frindsbury Extra. Rochester.
Kent, ME2 4JX
IER
October 2018

Section B
Disclosure
Only Gomplete rf the examirer needs to highlight matters of concern (see CC32,
Independent examination of charty accounts.. direth'ons and guidance for
examiners).
Giv8 here briof details of
any items that th&
examiner wishes to
disclose.
None
IER
October 2018

CHARITY COMMISSION
FOR ENGLAND AND WALES
Trustees, Annual Report for the period
From
0110112024
To 3111212024
Charity name: RAYNES PARK KOREAN CHURCH
Charity registration number: 1128349
Objectives and Activities
Summary of the purposes of
the charity as set out in its
governing document
P•r• 1.17
To worshlp God within the Presbyterian fr4lth.
To develop religious education for Korean
speaking congregation in and around London.
To provide a help network for underprivileged
Koreans in The U.K.
To support Korean communlty projects In the
UK, Europe and Korea.
To provide financial support for overseas
Chrlstlan mlssions
Provision of quarterly financial support for
overseas Christian missions in Ukraine, Greece,
Lebanon and the Unrted Kingdom
Summary ofthe main
activrties in relation to thosè
purposes for the public
benefrt, in particular, the
activities, projeds or
services identified in the
a¢count8.
Par• 1.17 w#J
1.19
Organisation of religious education and church
and sport activities for youn8er members of the
Congre8at￿n.
Dellvery of financlal ald and food ￿lIef to
underprivlle8ed Koreans In the UK and Korea.
statement confirming
whether the trustees have
had regard to the guidance
issued by the Charity
Commission on public
b8nefit
Parn1.18
The trustees have had re8ard to the guidance
issued by the Charity Commission on Public
Benefit. No trustee Is receivin8 any benefit or
salary from the charity.
Addltlonal Infomiatlon loptlonal)
You ma
thoose to include further statements where relevant atrx)ut:
SORP relerence
P•r• 1.38
Policy on grant making
NIA
Parn138
NIA

Policy on social investment
including program related
investment
Para 1.38
Contribution made by
volunteers
NIA
Other
NIA
Achievements and Performance
SORP rnfer•n¢e
Summary of the main
achievements of the charity,
identifying the difference the
charity's work has made to
the ¢I￿UM$t3n¢es of rts
beneficiaries and any wider
benefits to society as a
whole.
The Church was able to support its various
charitable activities and in particular:
Parn 1.20
The church has malntalned Its support for
missionaries amountin8 to £22,92412023
£20,860).
Amounts paid out were as follows:
To missK)naries and refugees in:
UK- Hojun8 Min £720
UK- S H Keene £720
UK- Myun8sn Chun8 £720
UK- E R Ko£360
Greece- £720
Ukraine - £720
Burkina Fa50 - £720
South Korea - £720
Misslonary vlsitors In UK £910
Jackets for Suffers in UK -£1,190
Refugees in the Midde East £1,610
Meal Service- Southall £1,835
Missionarysupwrt in Wales £11.979
Other thurch activities included outdoor
worship.
Additional infomiation (optional)
You ma
hoose to include further statements where relevant about

Achievements against
objectives set
Pwa 1.41
Perfomiance of fundraising
activities against objectives
set
P¥ra 1.41
Not Applicable
Investment perfomance
against objectives
Par• 1.41
Not Applicable
Other
None
Financial Review
Review of the charty's
financial position at the end
of the ponod
Parn 1.21
The charity relies solely on donations from
Sunday Collections at Church Ser¥i¢es. There
have been no other fundraisin8 actlvltles In
2024.
A summary of its income and expenditure 2024
120231 on its core objectives was a5 follows:
2024
2023
£150,367 £142,566
Income
Expendlture:
Religious Educatlon £ 86,464 £ 73.597
Social Support
£ 22,924 £ 20,860
Community Projects £ 11.749 £ 10.50S
Governance costs
£ 11,927 £ 11,040
Surplus / (Deficit) £ 17,303 £26,564
Statement explaining the
policy for holding reserves
stating vthy they are held
PAM 1.22
The charity keeps on deposit sufficlent funds to
ensure that it can meet its commitment5 to
meet annual salaries and rent of the church
hall for about 12 months in advance.
£244,348
Not Applicable
Amount of reserves held
Reasons for holding zero
reserves
Details of fund materially in
deficit
Explanation of any
uncertainties about the
Para 1.22
P•r• 1.22
Para 1.24
Not Appllcable
P•rn 1.23
Not Applicable

charty continuing as a going
concern
Additional information Ioptional
You ma
choose to indude further ststemerts wher8 relevant about:
The charty's principal
sources of funds {inGluding
any fundraising)
Para 1.47
Members donations
Invèstment policy and
objectives including any
social investment policy
adopted
Not Applicable
1.46
The major riskls that members Sunday
collections may be insufficient to cover
contractual obligatM)ns. To manage this risk,
annual budgets are prepared and approved by
church members in December of each year for
the next yearcommencingjanuary. The actual
receipts and payments for each quarter are
reported to members in the month after each
quarter, so that a constant quarterly check is
made on collections and obligations. In
addltion, church members who are employed
agree to pay a fixed proportion of their income
In the fomi of tlthes, which forms the
guaranteed minimum which the church can
antldpate to meet Its annual commitments.
A description of the principal
ri8ks facing the charity
1.46
The other mah)r rlsk Is over the cash and
cheques spent by the charity. All cash spent
must be authorised within the annual bud8et,
and cheques and cash issued for charity
expendlture must be properly supported bv
recelpts, which are summarised weekly and
authorised
two responsible trustees.
Other
Structure, Governance and Management
Description of charity's
trusts..
Type of goveming document
P•rn 1.25
Trust Deed
How is the charty
constituted?
Parn 1.25
Unlncor
rated Assoclatlon

Trustee selection meth¢)Js
induding detsils of any
constitutional provisions e.g.
election to post or name of
any person or body entrt
to appoint one or more
trustees
Para 1.25
213rd$ majority of the Church
Addltlonal Inforniatlon (optlonal)
You ma choose to include further statements where relevant about..
Trustee5 are selected from the elders of the
church, and follow the Presbyterian system of
induction and training as laid down in the
Presbyterian manual adopted from the
Presbyterian Church of South Korea.
Policies and procedures
adopted for the induction
and training of trustees
Para 1.51
The Church is a member of the Presbyterlan
Church of Korea and Its pastors are selected
from P￿Sbyterian seminarie5 in the Republic of
South Korea.
The charty's organisational
slrudure and any wider
ne￿ork bwth which the
charity work8
P¥0 1.51
Relationship with any
related parties
P•r• 1.51
None
Other
Reference and Administrative detsils
Chari
name
Other name the charit
uses
istered charit
number
Charity's prinopal address
Ra
NIA
1128349
133 Claremont Avenue, New Malden. Surrey. KT3 6QR.
nes Park Korean Church
Names of the charlty trustees who manage the charlty
Date• acted 11 not lor whol•
Tru•ts• n•m•
Offlc• Ilf any)
Namè of person lor body) •ntitl•d
toa
int truJtg¥
ifan
213rds of Congregation
Mr Jae Min Kwon
Chairman

Mr Myung Soo Bae
Mr Seng Hyun Jo
Secretary
Treasurer
213rds of Congregation
213rds of Congregation
10
12
13
14
15
16
17
18
19
20
Co
orate trustees- names of the directors at the date the re
DSr•etor nam•
wasa
roved
NIA
Name of trustees holding title to property belonging to the charty
Tru•t•• namg
D•t•• •ct•d If not forT*hole
NIA
Funds held as custodian trustees on behalf of others
Description of the assets
Not Applicable
heid in this capacity
Name and objects of the
charily on whose behalf the
assets are held and how this
Not Applicable

falls within the custodia
thanty'8 objects
Oetails of 8rrangemenTS lof , Nol A￿lea￿e
safe custody and
segregation of such aasets
from thÈ charty's own
asseis
Additional inforniation loptionall
Names and addr*ss*9 of adviserd Ioptional infomi•ts"onl
Type of
Nam•
Addr&s•
dvl¥¢r
AG¢ounta R A Mrt=hell & Co Ltd . 173 IhainsGtJtt P.oail. vvdfr￿th. R￿ter. Kent IJE2
nts
4JX
Name ol chlof 8x•cutlve or nam•• of Mnlor •tsff m•mb•N IOptlon•l Informitionl
Exemptions from dlsclosure
R8a$on for non.dlsdosurg 01
.￿etson￿l dat&'l6
Not Appll¢•b
Other o
.￿tIonal infomiation
Non
Declarations
The trusto•¥ dKl*rn tlb•t th•y havg approv•d tha trust•g$' report abov•.
Slgn•d on bohall of th• chartty'8 tru•ts••
Slgnaturo($).'
Full namds) Mr Myun9 Soo 88•
Posilion leg Se¢rotsry? ￿eGretary
Chalr. etcl
My 5eng Hyun Jo
T￿asurer
Da¢9