C.14AI)11 Y C()IMMIC (.'ION.
FOR I_NGI.AND AIID IhlALES
I'rustep.s' Anriijal RLJporl foi" tli(: r)priod
11111 JL,I?U'> J -1 u
'I'11(1812il"di',
Llia rily i)a￿l￿. Woi'ld IVIissioii K>nCiQ.¥.y (-li urcli ()f (J()cl
Cki¢2rity r&!qi4tl'¢it.ioii nuinbLJr.' I'141-1,'44
01.)Ic',c.tiVi:J rj lid Apl.iviti os
SORP refeience
Summar'y of the purposes of
the clidrily as s*1 OLII in ils
governing dociinienl
Para 1.17
1. To rJ(Av¢ini'e th: C.kii'istiaii faith fc)i-
tlie bi"n6,f il i)t' the public.
2. 1.0 furllier Juch rh£irit¢ilile
purpoioLiS f or tlie piibli¢ herietit. as
are eXr.lLl￿C1VL11Y Ll)ai'ilable
aLcoi'diiitJ to the lawkfi of EnglJiid
arid Walcs as tl)p tru-teps may
ti'om time to time dLlermi ne.
l. What the charity does..
Ttie prevention or relief of poverty
Overscaas aid I f(Imine relief
Rel igioii.% acl'ivitie
ErivironmLJnt I ci)nservation I hei'il'age
Recrettl'.iori
2. Who the charity helps..
Ckiildreii l young peoplo
Elderly l old peoplp
otlier chai'itie8 oi. voluntary hodies
otl)er defi lied gi'oups
The ge.neral pijlilic I marikind
J. How the charity helps..
Provides services
Tlie trustees have. had due regard to tlie.
guidance issuo.d by tlie Cliai'ity
ComrriissiDYI on public benefil.. when
exercising tl.ieir duties and planninq
ac.tivities foi, thp year.
Sunimary of the main
arlivitlQ5 in relation lo those
purposes for the public
benefit, in parlicular, the
aclivilies, pr(ijp.rls or services
idenlifipd in the accounts.
Para 1.17and
Slalernenl confirming
whether the Iruslees have
had regard lo the guidance
issued by the Charity
Commission on public
benefit
Pala 1.18
AddiLIC)Ilcil inf(Ii'ination loptinndl)
Yoij maj Llioosp. lo incliide further f Islémpnls wliere I'elovcinl aboijl.,
ORP iefereficp
Pafa 1.38
Polic.y on iJranl making
Para 1.B8
F)oli¢y on social illveslmenl
iiicludin
ro
ram re131ed

iriveslnienl
Pa¥a 1.38
Conlribuli()n rriade by
volunteLI"
Olhei
Jlch ieiierri ri ts a nd l)iThrl()riTli1nce
SORP refeience
We have doveloped iiito a m ulti-awai'd
winriing group 01200 niaiiily (:orisisting
of yoijng Éqdults, impleinented q J
projeLtS, i11￿lIng to rrialie d difference in
rommunities tlirough care horyie
entei'tainmeiits, cleanups, yourig
tIV¢ils, gardenin.c3, wcLding, bals¢lm
hing, fdrming, painting graffiti
removal, gum i'emoval, bloDd drives, food
donations, cheoring and disaster relief.
Summar'y of IlTre niaiii
achievements of the charity.
idenlifying the diff'erence the
cliarily's work has made lo
the cirLumsl(Inces of ils
beneficiaries and any wider
benefils lo society as a
whole.
PBia 1.20
Additional informatiori loptiorial}
YOLI nia
choose to include further slalemenls where relevant about..
Achievements against
objectives sel
P2ra 1.41
Performance of fundraising
activities against objeclives
sel
P3ra 1.41
Inve£lmcJnl perlorm811fL
a(JaIn￿>t objpclivo.s
Pais 1.41
Ollier

Ikeview ol Iti& ('I'iariiy s
financial i)usilion al Ilie L'nd
c)f Ihp period
Pai3 I.?.1
ri.1iidJ ol 1.'32.lJ JC IU.04., liiijl.ki iTILorne (if
¥...4 1 ?.,lijll l {.!xi){JridiKui'iJ ol 5:".214,'1'1O.YIi.
Loii%icIL'I' thl firi<iiiridl
s121eme.nt explaining the
Pard 1.?2
Tlii charily Iicl:-
why_ll ie
dl'Li hLld
P*2ra 1.22
t.o (-c)vi'.r
<L'asorio f()r kiJldiiiiJ 7.eru
rese.rve
Details of luiid nidlei-lijll J In
dpfiLII
ExplAndlion of aiiy
uncerl¢1inlies abc)ul Ilie
charily conlinijin J( as 4 rJoiiig
concern
P313 1 22
Pard 1 24
Pdrd 1.23
IhLS ('.h'ii'ity l.dri i-.uYitiniiA a:;
t 12 rrio(Iih,:
Ailditional iniorniaiiori lo¥?tii)11311
You ma
Ghoose lo include furllier 4lale.rrip.rils wherp relevant aboul..
The chaiily's principal
SOLirces of furids liricluding
any fundraising)
PaFa 1.47
Invest￿lent policy and
objeGlivp.s inLluding any
social investment policy
adopled
Para 1.46
A description ol the principal
risks facing the charity
P2ca 1.46
Olher

,bii'LIGY.U , l.siJiJctsff ia ni-
a 11 i-j Ivid n(iq<!iy}{&ri'l
Description of chai'ily's
Type of governirig clocumenl
Pdra 1.2J
jWLJm()I'iiiicI um diid IKI-IILl#¢' incorpvr-..4ted
06108120.10 as arnencled l)y SPeClLII
I'esoliitiorits ddted 21 IU312.01 I d
regi-tg.rc,d 41t C.<)mpan ies klDU¥¢ on
2,'110-41?DI-I
Lorripdny
How is the charity
¢onstiluted?
1c.li iiiiincori)or£ilLd
loSOClcliion, CIO)
l-rLislee selecliori nielhod.
including details of t1ny
cori.Elilulional provisioiis (-
election lo post or name of
any person or body entill@d
to appoinl one oi. Inore
Iruslees
P3ra 1.25
Paia 1.25
V3y appoiii*'niEirit
Additiorial iiifoi'iritsltion Itspiioridll
You ma
choose lo include further slalemenls where relevant about..
Policies and procedures
adopted for the induction and
training of Iruslees
Para 1.51
The charity's organisational
structure and any wider
network with which the
charity works
Para 1.51
Relationship with any related
parties
Par8 1.51
Other
Charity name.
Other namp Ihp charil
islered ckiaril
nuffiber
Ch2rily's principcil ddresr
World (vli88iori oocipl ChurLI"i of God
1141135
Ep;.offl Point
84-90 &abt flreet
EPSOM
Surrey
KT171HI

Ndinv (Jl pprson loi. bvdyl viililled
o a Joint triistPL
JOO LF41-'OL KIM
Ltrvy Addms
.IONC',WO() C,I-101
-IAI-I-IYLONG
.IAII(i
,IAI"'KVVANC.J HEO
IIA I PJi4AFL. KI N
fjo
13
14
15
16
18
19
20
Cor
orate trLislees names of Ihe director's al tlie dale the re
orlwas ap
rc)ved
Dire¢toi' namp.
Name DI Iruslees holdirig lille to properly be.longirig lo Ihp charity
Trijstée. IlaTne
lJIltPS <Jl.'t&cl if not ior wtic)lÈ'..Lgar

riAridk-.
rjescriplion of the assets
held iii this Ldpacily
()i'l h'..11,alf ot (i i'.ljj.xr
NdfTie and objects ol th
charity on wFio%e behdlf Ilie
dsspls dre Iield and liow tfriis
falls wilhiii th?. ciJslo(lian
Lhdrilij's objL)c.l.
t)etail% ol drrangp.mp.nls for
safe cu%lody arid
secJregrilioi) of such ao4)(.Is
Irum tho charity'￿ Own £JsspIs
Addi cional iii'lcirindtion lupticJiial}
Nill'Yie% Lind cidt1rpsr￿@.￿ j)f d¢1vi￿el'; l(.)PLlI)nal irifrJrni<Jtii)nl
-rypL ol
liame
arlvisei.
NaNie of chie.f ei(ecutive or name￿* of senior stafl meinhers Ioptional irifoi'niationl
Exenipiion from disclosure
Reasori for non-disclosure of kJe
ersonnel details
Olhor o
jtiorial inf'oi'171al'ion

l-.)ot:Ic)I"
derl¢if¢ t1111 t ili(!y hJ)J+Th ai)pr()vL,d tli(: tru4)tee'
iep(Ji't above.
igiiecl on Tr.ieh¢l11' of tlio r-Tricirity'4 trustep"
JaeP,wang 14eo
Tru" Irp.e
,.14nJ,
261061?025

Ch¥lty Reg￿tratIOn Number.. 1141135
Company RegL$t￿￿ofi Number: 07338815
WORLD MISSION SOCIETY CHURCH OF GOD
FINANaAL sTATEME1￿r5
FOR THE YEAR ENDED
31 A1￿usT 2024
illii
•AEDLNVRZ•
20110r2￿25
cO￿ANIEs HOUSE
A10

WORLD MISSION SOCIETY CHURCH OF GOD
LEGAL AND ADMINISTrATIVE INFORMATION
FOR THE YEAR ENDED 31 AUGUST 2024
MR JOO CHEOL KIM
MR MICHAELJAN KING
MR T￿mYEoNGjANG
MRWEKWANG Heo
MR IONGWOO CHOI
1141135
Charlty Mumber
Company Number
R¢glsternl Offlce
07338815
Unit 6 Caxton PARK
Wrfght street
Manchester
M16 9EW

WORLD MISSION SOCIETY CHURCH OF GOD
CONTENTS
FOR THE YEAR ENDED 31 AUGUST 2024
Trustees, Report
statèmert of Financial Activities
Balance Sheet
Notes to the Financlal Statements

WORLD MISSION SOCIEfY CHURCH OF GOD
TRUSTEES, REPORT
FOR THE YEAR ENDED 31 AUGusf 2024
The tfustees present th*r annual report and financlal ststements forthe year ended 31 August 2024.
Tn•st••s' r•port and fina￿1•1 statements
The trusttes who a￿ also directors of the charity for the purposes of the CompanTres Act 2006. present thelr report
wlth the financial statements of the charity for the year ended 31 August 2024. The tnjstees have adopte(J the
P￿VisIOnS of Accounting and Reporbng by Charities: Statemènt of Recommended Prattice applicable to charities
preparlng thelr accounts in accordance with the FInanc￿l Aeporting Standanl appll¢able in the UK and Republk of
Ireland IFAS 1021 leffertlve l January 20191.
The trustee5. who 44Y a150 the dlrectOW5 for the purF¥)se of c4)mpany law. and THho served durfn9 the year and up to
the date of SIwatu￿ of the fSnanclal ststements t*ere:
MR JOO CHEOL KIM
MA MICHAELW KING
MR TAEHYEONG JANG
MR JAEKWANG HEO
MR JONGWOO CHOI
Truste•s' r•sponslbllftl•s stat•m•nt
The tNstees. who are also the ￿1￿CtorS of Charity For knrld Mlssion SOCW Church Of God ft)r the purpose of
company law, are responsiblè for prèparing the Trustees, Report and the financlal statements In accordance wlth
applicable law and Unitèd Kingdom Accounting Standards (united knngdom Genèrally Accepted Accounting Practice).
Company Law require5 the trustees to prepare finaftcial statements for each financial year which glve a tnJe and fair
view of the state of affairs of the charity and of the thcomlng resources aNI applic•tion of re50uKes, including the
Income and expendlture. of the charitable company fty that year.
In preparing thèsè financial statements. the trustees a￿ required to".
select suitable a¢couniing policles and then apply them cohsistÈntty-
obseThe the methods and princlples in the Charitsés SORP..
make judgements and estimates that are ￿aSOnablE and Prudent..
stste whether appllcable UK Accounb"ng Standards have been followed. 5ubiert to any material departures
dlsclosed and explained in the financtal sratements.. and
prepare the finaficial statsments on thè g￿ng cTr)cern Iiasts unless It is inapwopriate to presume that the chartty
will ccntinue In operation.
The tmstees a￿ responslble fr¥r keeplng adequate 4rcovftting reconJ5 that d15c105e with reasonable 4t any
tSme the flnanclal posltlon of the charity and enable them to ensure that the financial ststements comply with the
Companies Act 2006. They we alg0 responsible for safeguarding the assets of the charity and hence for takn'ng
Teasonable steps for the prevention and dettttion ot fraud and other irregularsbes.
Thls report was ap
ved by thè trustee and slgned on its behalf ty.
MR JAEKWAN
Trustee
HEO
Date: 30 May 2025
Page1 of7

WORLD MISSION SOCIETY CHURCH OF GOD
STATEMENT OF FINANCIAL AcrivmES
FOR THE YEAR ENDED 31 AUGUST 2024
A•comm•nd•d ￿te90￿¢S
by •ctlvlty
UnV•strI￿ fvnds Total Fynds 2024 Tot•1 Fyhds 2023
frnm:
Oonatior*s and le9ades
467.711.00
467,711.00
467.711.00
467.711.1)0
Expendltur• •*:
Ralslng fvnds
27.762.53
27.762.53
Charitable activities
1.550.00
1.$50.00
237.347.47
237.347.47
26￿66￿00
266.660.00
M•t Incom•ll•xp•ndltuv•)
204051.00
201.051.00
tlet m•vem•nt In funds
201.051.IX•
201,051.1)0
R¢¢•ndll•tlon of fiFnds:
Total funds brought forward
2.954.117.00
2,954,117.00
2.954.117.00
T•t•l ￿ndS urrled hr*ard
3.155.168.lJO
3.155,168.00
2,954,117.00
Page2of7

WORLD MISSION SOCIEfY CHURCH OF GOD
BALANCE SHEET
FOR THE YEAR ENDED 31 AUGUST 2024
A•¢omm•nd•d cat•g0rf•s by
tlvlty
Flxed assets
Total Funds 2024
Yotsl Funds 2023
Tangible assets
2.532.425.00
2.543.530.00
Total fixed •ssets
2.532.425.00
2.543.530.00
Current assets
Debtors
3.333.00
Cash at bank and In hand
620.960.00
414.604.00
Ibtal curr•nt aM•ts
624.293.00
414,604.00
Creditors.. amounts falllro due wlthlTr
one year
4.01.7.00
1.550.00
Net cuff•nt ass•tsllll•bllltl•s)
622.743.00
410.587.00
Total A•t ass•ts w Il•bllltl•s
3.155.168.1>0
2,9M,117.00
Funds of th• cl￿rIty
Unrestricted funds
io
3.155.L68.00
2.954.L17.00
Restrlcted Income fijnds
io
Endowment funds
io
>tal funds
3.ISS.168.00
2.954,117.00
For the year ended 31 August 2024 the c¢)mpany was entStled to exemption from audlt under 5ettion 477 of the
Cempanies Art 2006 relatlng to small companies.
The member5 have not required the c<Knpany to obtsin an audit of ts attounts for the year In questlon In
accordance wlth sectlon 476.
The trustees acknovAedge their ￿SpOnsIb￿ltieS for cmiplying with the rewirements of the Companies kt 2006 with
respert to acctyjnting ￿cOrdS aftd the preparation of accounts.
These accounts have been prepared and delNer¢d in •ccottlance wtth the provislons applKable to companles subjert
to the smèll companies regime.
The financial statéments wèrè approved by the tnjstees on 30 May 2025 and signed bÈhalf bw.
MR JAEKWANG HEO
DIRECTOA
Date . 30 May 2025
Page3of7

WORLD MISSION SOCIETY CHURCH OF GOD
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 AUGUST 2024
l. A¢¢ountlng Policles
The prlndpal accourting I￿lI¢leS adv￿￿ by the Charity. wlwch is a public beneflt entity. In the preparation of the
accounts are as follows.
1.1 Basls of pr¢paratlon
These accotsnt5 have been prepared under the historical cost convention. as rn¢dilled by the indusic+n of charitabFe
prope￿*5 and fixed asset investments and investment properties at valuation.
These accou1￿ have t)een prepa*￿ In •ccordance with -kcountOng ar￿ Report•ng by Charbtles.. Statement of
Recommended Practlce applicable to char¥knes preparfjng thelr 4¢counts in •c¢orfance with the Financlal Reportlng
Standard appllcable in the UK and Republic of Ireland IFRS 1021- leffecU¥e l January 20191- (Charities SORP IFRS
10211. the FlnaAclal Reporting Standard ap￿kable In the IJK aThl Aepubllc of Ireland IFRS 1021 and the Charltles Att
2011.
These accounts are presented in pounds S¢erlin9 and rounded to the neare￿ pound.
1.2 Golng concern
The Trustees have prtpartd financTral prnjections. taklr4J into consideration the current economk condlttons and
have. at the tlme of approving these accounts. a rEaSona￿e expettation that the charity has a(lequate resources to
continue in operatlonal existence for the foreseeable futu￿. Thus they conb'nue to adopt the golng concem basis of
a¢¢tsuntlng In preparing the account*
2. Income from Donatlons and Legacles
Afftalysls
Total fvnds 2023
Donatlon and glfts
467.711.00
467.711.00
467.71LOO
467.711.00
3. Expendlture on Ralsing Funds
An•ly$l$
T•tal fund5 2024
Total fvrtds 2023
U9ht. Heat & Water Expense
27.762.53
27.762.53
4. Support Costs
Totsl fvhds 1024
Total funds 2023
GovernaDc¢ C•sts
Accountants fees
1.550.00
1,550.00
Page4017

5. Other Expendlture
Totsl lunds 2024
Totsl fvnd$ 2013
An•tysls
Depreciation Charge for the Year-
Motor Vehlcles
Oepreclation Charge for the Year-
Computer Equtpment
Wages & Salaries
Waste Collection
Sundries & InsvrarKe
Travel & SLtbsistence
Rental £xpÈnsÈ
Hlrlng & Leaslng
Food Support
Repairs & Malntenance
Post. ststlonary & Advertisir
Rate & Councll Tax
Fire & Safety
Telephone & Internet
gank Charges
Sponsorshlp Costs
Business Rate
10.351.00
10.351.00
1.327.00
1.327.00
99.773.00
184.00
6.028.00
711.00
99.773.00
iB4.00
6.028.1)O
711.00
65.410.00
171.1)0
6.630.00
768.00
168.00
2.024.43
1,478.00
389.00
2.002.00
io.000.00
29.933.04
2>7.347.47
65.410.00
171.00
6.630.00
768.00
168.00
2.024.43
1.478.00
389.00
2.002.00
io.000.00
29.933.04
137.347.47
6. Tangible Fixed Assets
Frn•hold L•nd &
8ulldlws
Flxtyrgs &
Flttkng$
ConbPUt•r
Eqylpment
6.1 Cort or valuatlf
At 01 September 2023
Additlons
2.479.226.00
42.785.00
64.622.CM)
8.988.00
573.00
Oisposals
Revaluatlons
Transfers
At 31 August 2024
2,479,226.00
42.785.00
65.195.1)0
8,988.00
6.2 0¢prnclatlon and IMpalrn￿nts
At 01 September 2023
Charge lor the year
Dlsposals
Revaluations
7.694.00
42.780.00
1,617.00
6.316.00
4.035.00
1.327.00
Transfers
At 31 August 2024
.010.00
46.815.QQ
2,M4.0
6.3 N•t book value
At 01 September 2023
2.479.226.00
35.091.00
21,842.00
7.371.00
At 31 August 2024
2.479.226.IXI
ZO.775.IX>
18,380.00
6.044.00
Page5of7

7. Debtors: Amounts falling due wlthln one year
Total funds 2024
lunds 2023
Other debtors
3.333.00
3.333.00
8. Cash at bank and In hand
Tot•1 funds 2024
T•t•l fvnds 2013
Cash at bank and h hand
620.960.00
620.960.00
414,604.00
414.604.00
9. Credltors: Amounts falling due wlthln one y••r
T•tsl fvhd$ 2024
Ibt•l fvndg 2023
Other creditors
1.550.00
4,017.00
4,017.00
1.550.00
10. Charlty funds
10.1 Detslls of mat•rl•l fvnds held and movements during the CURREKf reportlng
perlod
Furtd balancès
brou9ht
forward
Fund b¥l•fices
c•rrled
lonmard
Incom• E¥pendI￿re Trthnsfers
G•lns and
las￿S
Fund n•m•s
funds
2,954.117.00 467.711.00
266.660.00
3,155,168.00
2,954.117.00 467.711.00
266.660.00
3.155.168.00
10.2 Detslls of m•terial fvnds held and movem•nts during PREVIOUS reporting
perlod
Fund balances
brought
forward
Fund b•lances
¢arrled
forward
Mmes
Galns ¥Jnd
losses
Ilnrnstrlctsd
funds
2,954.117.00
2.954,117.00
2.954,117.00
2.954.117.00
Page6of7

10.3 Ttansfers between funds
Thls Y•ar
Amourt
8etween unrestrfcted and restricted funds
Between ehdowment and restrirted lunds
Between endowment and unrestricted fvnds
Last Yèar
Amount
Between unrestrlcted and restricted funds
Between endowment and restrict￿ funds
Between endowment and threstricted furrf15
P8g67of7

INDEPENDEDNT EXAMINER'S REPORT
WORI,I) MISSTON SOCIETY CHIJRCH OF GOD
Chari
No: 1141135
Account for Year Ended 31-08-2024
I report on the account s of the Trust for the year ended 3110812024, which are set
outonpage 01 to 04.
Res
ective Res
onsibilities of Trustees and Exa]niDer
The Charity's trustees are Tesponsible for the preparation of the accounts. The charity's
trustees consider that an audit is not required for this year under section 144 of the
Charities Act 2011 (the Charities Act) and that an independent examination is needed.
It is my r¢sponsibility to..
Examine the accounts under section 145 of the Charities Act
To follow the proceduTes laid down in the general Direction given by the charity
ComissRon (linder section 145 (5) (b) of the Charities Act, and
To state whether particular matters have come to my attention.
Basis of Inde
endent fi xAminer's state￿ellt
fvIy examination was carrRed out in accordance with general Directions given by the
Charity Commission. An examination include a review of the accounting records kept by
the charity and a comparison of the accounts presented with those records. It also includes
considcration of any unusual itcms or disclosurcs in the accounts, and seeking explanations
from the t￿Steel concerning any siich matters. The procedures undertaken do not provide
all the evidence tbat would be required in an audit, and consequently no opinion is given as
to whether the account present a 'true and fair. view and the report is limited to those
matters set oiit in the statement below.
Inde
endent Examiner's Statement
comieclion with my examination, no material Tnatters have Come to my attention which
gives me cause to believe that in, any material respect:
Accounting records were not kept in accordance with section 130 of the Charities
Act or
The accounts do not accord with the accounting records.
I have corne across no othcr matters in connection with the exan]ination to whkch attention
should be dTawn in order to enable a proper understanding of the accounts to be reached.
zmal
li (IFA)
Institiites of Financial Account
450 Cheetham Hill Road, Manchester, M8 9LE
Date.. 3010612025