CHRISTIAN ENQUIRY AGENCY Ltd
Company Number 8302274
Registered Charity No 1152730
REPORT OF THE TRUSTEES
AND FINANCIAL STATEMENTS
for the year ended
31st December 2021

CHRISTIAN ENQUIRY AGENCY
Registered Charity No 1152730
Company Number 8302274
PATRONS
Lord Alton of Liverp(M)I
Barones5 SherkKk
TRUSTEES
Moderator
Secretary
Secretary
Treasurer
VI￿ Moderator
Revd Dr. Joanne Cox-Darling
Revd Kèthryn Morgan Until September 2021
Eric Thompson frorn September 2021
Eric Thornpson
Neville Willerton
Rev Elizabeth Clutterbuck
istairjohnson
Steve Hollinghurst
Benjamin Aldous
Simon Woodman
Holly Adams
REGisfERED ADDRESS
Wilson Carlile Centre
50 Cavendish Street
Sheffreld
53 7RZ
BANKERS
CAF Bank Ltd.. 25 Kings Hill Avenue. Kings Hill, West Mallin&
Kent ME194JQ
M&G Charifund. laurence Pouthey Hill.
London EC4R OHH
INDEPENDEKf EXAMINER
Paul Grey

CHRISTIAN ENQUIRY AGENCY Ltd
Registered Charity 140 1152730
REPORT OF THE TRUSTEES
The Trustees present their annual report and the financial statements of the Agency for the year
ended 31st December 2021.
Legal Status and Organlsation of the Charity.
The Agency is a Registered Charity and was first established, by a Trust Deed dated 31st July 1987.
Management of the 4gency is vested in Trustees. who comprise the Moderator, VI￿ Moderator.
Honorary Secretary, Honorary Treasurer and one other or such larger number as the Trustees
themseFves shall determine.
Our Communications Manager Cherry Hamilton works part time for the Charity
Through the generous support of a charitable Christian trust (the Deo Gk)ria Trust). part-time
Secretarial assistance and office faalitie5 are provided for a nominal charge to the Agency, and in
addition. much of the routine da¥-t￿daY work of dealing with enquiries and referrals is carried out
by Deo Gloria's stsff. at no cost to the Agency.
The Trustees normally meet at least three times durirvd the year. Details of the Trustees are given
on Page 3.
The Agency was set up with the SUPFJOrt of the British Council of Churches, the Evangelical Alliance,
the Roman Catholic Church, the Black-led Churches and others. The Objects of the Agency are to
advance Christian religion and Christian education within England and Wales.
Activities
The Agency deals with enquiries relating to the Christian fatth. particularly from people who have no
existing contact with Christian communities. and are not ready to make contsct with a local church.
We give free. objertive. reliable and confidential information to those who are interested in the
Christian frdith.
The main channel through which we Eive inf0m￿tIOn is the website www.christianity.org.uk. Thi5
was completely redesigned in November 2010 and again in 2015 and a ￿rther redesign in 2019.
This has allowed the Agency to provide information to a tsr greater number of people than was
Possible through activities that were largely paper-based. The website contain5 about 80,(I)O words
of inforrnation abo￿ the Christian faith- inforniation about what Christians believe. and frequentlv
asked questions about faith. as well as seasonally Changi￿ features.
The website also enables people to make contact with the Agency. We are able to send those who
do so a Gospel. put them in touch wtth a local church, answer their questions, enter an email
conversation about what it means to have faith. or pray for them through a network of about two
hundred supporters who are committed to this task. It is our policy to send people what they ask
for, and solely what they ask for.
A Pfint-based ministry continues for those who prefer to receive information in this way, and we
continue to respond to requests for information that come because of the Agenrfs presence in ffee
newspapers. and because a freepost address is made known at exhibitions in cathedrals. and on
other literature made available to those who mi8ht be interested in the life and teaching of Jesus.
Gospels are now sent direct by Verite CM Ltd https-/lveritecm.coml
The redesigned www.christianity.org.uk Web￿te has been updated and edited by Cherry HamiFton
and the Trustees.

Funding
Throughout rts history, the Agency has derived the greater part of its income from grants from the
denominations and charitable trust5 which support its v￿rk. Grants from denominations have been
significantly reduced during the last two to three years. partprf because financial p￿￿ureS are directing
denominational resources to their own agencies. and also because of the reduced level of our own
activty- Full details of such grants appear in Note 2.
We are also very much indebted to the local churches and individuals who made voluntary donatiorts to
support the work of the AgenLry during the year.
Achievements and perfomiance
During the year. we have continued with the further development of the website at
www.christianity.org.uk. including the development of rew material and the establishment of a facility
for access from mobile devices. We are greatty indebted to the many people who have written and
developed the webstte content.
We are enonnously grateful to the Trustees of the Deo Gloria Trust for their continued support which is
so vital to the aEenLYs operation, and to the contribution of Church Amiy.
Financial Results
Details of the financial transartions in 2021 appear in the accounts. Overall. income exceeded
expenditure by some £3378. The Chrity maintains a Contingency reserve of £20.(KKI.
Future Development
Whilst work still continues to update and improve the website. the agency is also seeking to develop
new initiatives. and to this end. the Trustees will 3150 be seeking to build up the agenrfs funding to
ensure future viability. We are committed to develop resources that respond to the culture of mobile
technology users. strapped of time and concentration. and to res￿nd to the different way British
people think about their lives.
Public benefrt
The trustees have taken into account the Charity Commtssion's generdl guidan￿ on public benefit and
the specific guidance on the advancement of religion. Through the inforniation made freely available on
our website and materials supplied to enquirers, and by meetin8 requests for further a55i5tance, for
example. by introductions to local Christians. we seek to provide a service to all people who are seeking
to find out more about Christianty for themselves.
Statement of Trusteeg Responsibility
Charity Legislation requires the Trustees to prepare Financial Statements which give a true and fair view
of the stste of affairs of the Charity as at the end of the financial year and of the surplus or deficit for the
period. In preparing the Financial Statements, suitable accounting policies are to be adopted and
consistently applied, to the best of the Trustees. knowledge and belief. making reasonable and prudent
judgements and estimates as necessary. The Statement of Recommended Practice for Accounting by
Charities is to be followed, together with applicable Ststements of Standard Accounting Practice. The
Trustees are responsible for maintaining adequate accounting records. for safeguarding the assets of the
Charity and for preventing and deterting fraud and other Irr￿Ular[tie$. The Trustees are also required
to indicate where the Financial Statements are prepared other than on the basis that the Charity is a
going COn￿rn.
Signed on Behalf of the Trustees
June 2022

INDEPENDEMf EXAMINER'S REPORT
to the Trustees of
CHRISTIAN ENQUIRY AGENCY Ltd
I report on the Accounts of the Christian Enquiry P£ency Ltd for the year ended 31st December
2021 which are set out on pages S to 10.
I report to the trustees on my examination of the accounts of the at*)ve charity l.the Tru5ff I for
the year ended 31st December 2021.
Responslblltles and basls of repixt
As the charity's trustees. you are responsible for the preparation of the accounts in accordance
with the requirements of the Charities Act 20111.the Acr}.
I report in respect of my examination of the Trusvs accounts carried out under sectK)n 145 of the
2011 Act and in carrying out my examination. I have followed all the applicable Directions given by
the Charity Commission under section 145{5)(b) of the ACL
Independent examinerfs statement
I have completed my examination. I confirm that no material matters have come to my attention
in connection with the examination {other than that disdosed below I which gives me cause to
believe that in. any material respect=
- the accountin8 records were not kept in accordan￿ with sertion 130 of the Charities Act: or
- the accounts did not accord with the accounting records; or
- the accounts did not compty with the applicabfe requirements conceming the fonn and content
of accounts set out in the Charities (Accounts and Reports} Regulations 2(K18 other than any
requirement that the accounts give a 't￿e and fairf view which is not a matter conside￿d as part
of an independent examination.
I have no concems and have come across no other matters in connection with the examination to
which attention should be drawn in this report in order to enable a proper understanding of the
accounts to be reached.
Paul Grey
Juty 2022

STATEMENT OF FINANCIAL ACTIVITIES
For the Year ended 31st December 2021
Note
Unie5tricted Restricted T¢Aal Funds TO1￿ Funds
Funds
Funds
2020
Donations and Legaoes
Gift
Grants Receivable
Investment Income
Other Sales
Other Income
Totsl Incoming Resourc•s
4.394
771
12.IMJ
13.611
T71
12.000
13.611
12.0
30.776 £
30.776 £
21,082
Fundraising
Charitable Activities
6.256
40,887
27398
27,398
Totsl Resourctt EuperKled
27,397
27.397
47,143
116,7801
Net Income
3378 £
3.378 E
{42A411
Fund balanc8s brwht forward at 01101r2020
89.664
132.505
Trdnsf•Ys 8otw••n Fu￿1
Fund balances canled fam￿rd at 31112r2021
93,042 £
93.042 £
89,664
Note
3V1212021
3111212020
less Depreciation to 01JD1113
Disposals at Valtsation
Less: Depreaation for the Yearto Date
Current A55et Investment
Cash at Bank
Sundry Debtors and Prepaid Expenses
13,533
9,724
93.041
89.664
Sundry Qeditors and Ac(rued Charges
93.041
89,664
93.041
£ 93.041
Unrestricted Fund5
General Fund
Contingency Reserve Fund
Restrirted Funds
73.041
20.(
69,664
20,000
io
£ 93.041

The Chrlstian Enquiry AgevKy Ltd
Income and Expenditure Account
for the year ended 3tst December 2021
Total
2021
Total
2020
Total Incoming resources
Resources expended
Operating deficit/surplus for the year
Net Gain/Loss on Investments
Net Income for the year
30.776
27.397
3.378
21.082
47,143
-26.061
-16.780
42,841
3.378
Other comprehensive income:
Revaluation of fixed assets
Net assets transferred to endowments
Total comprehensive income
3.378
42,841
The income and expenditure account is derived from the Ststement of
Financial Activities wtth movements in endowed funds excluded to compty
with company law. All income and expendtture is derived from continuing
activities.

1. ACCOUNnNG POLIUE5
Thefollowin8accOunb￿ poliaes are used miswin toall to be rnatsri￿ in relationtothe
CharFWs affairs=_
lal The accounts are pr*pared on a g1xr￿CL￿rMTr basi5. undÈrthe listLxoI c¢Jst(OTh¥Enti(xk ar•J on an aaluals ba￿* Where
applicable. the principlEsembc*lied in ￿l$ed Ststerrertof Recrynrnerml￿ practi￿-A¢t￿rtI￿ Repurtin8byChariliEs"
issued in March 2(￿}5. and ap￿1(a￿e Untted Kingdom Acc(XJnti￿5taodardS 0￿f￿10￿1*d.
Ibl offi￿ Fumiture Equipment is capitalised. and depreciation iSWNMJed atrates7•rt¥th areexpectedtt¥write off the c05t, less
any rÈsidual value. iylet the È(onc￿ic lifeof theas5eL Equspment auwI￿d bef￿ 3tst t*￿t￿be￿ 2￿5 isdewÈ(iated at25% of
written down value pÈr annum: equiprrentacquiTed after thatdate 15 deK*euated at 25% of cost per annLHrE. The hEII annual
d)af8e isappliÈd toall assetsry￿￿d atthe ac(OJrtl￿ date. PrKJtto Istjanuary 1997. Office F￿nI￿reWa5￿)tdepre￿aIed.
2021
2020
Toral
Totsl
FuTrJs
FuThls
Baptist Unson
Deo Gloria Tnjst
EbenezerTrust
In¥ham PCC
Jerusalem Trust
Moravsan (hurch
6.(￿) 6,(AKJ
PaT&am*) CIO
12.
12.0(M)
12.CK)O
2021
2020
Total
FuThls
Totsl
Fund5
Funds
M&G lJbathur•l Ilevaluation
M&G Chavifvnd Interest paid over
16.780
£ 13.611 £ 3.902
13.611 E
2021
2020
Totsl
FuThJs
Totsl
Fund5
Funds
6.256
£ 6.256
2021
2020
T¢)tal
Funds
Totsl
Funds
Funds
Operation olthe Chrfsban En4uiry hgew.
Payroll Costs.
Clwcal ￿PpOrt
Insurar
Postage. Stationery&Telepkne
Travelli￿ and Sub5iSteA
19.4r2
19.472
19,762
373
373
374
i?0
878
369
4340
15.161
120
IA43
3.135
f 27.398 £40,887
1.443
27.398 E

& STAFF AND TRUSTEE&
2021
2020
FuThls
F￿dS
Totrl
Totsl
Funds
19.472
19.472 £
19A72
19.762
£ 19.472 £ 19.762
7. FIXED ASSErs.
2021
2020
offi￿ FUrTh￿re and Equipment
C05t less Depreciation at BeEinnin8of Year
Addition5 at Cost
14ett 8ookValue at End ofyear
DEBTORS AND PREPAYMEiirs.
2021
2020
Recoverable IncuTheTa¥ ￿6rf1 Aidpd [￿atior
Prepaid Expensesand &JThJryLkbtor5
9. CREDITORS ANDACCRUEO ¢HAJIGES.
2021
2020
Oevelapmentof Outreach Media
Expefise aaimsand Sundry Credr(ors

Donations tothe thaTtty by TIL￿tee5 arnoun￿lO£76ol2o20..
11. FIJNDS.
Komirrf l)rt8LMng Unrealifed Tran5fer5 Carrled
at Ll.2021
Funds at 31.IL2022
UnrestrECted Funds:
GersÈrÈl Fund
CoTrtin8enc¥ Peserve FuThl
Reth￿ed Fund
69.664
20ml
30,776
127.39n
73.042
20.￿0
89 664 £ 30.776 £
11 ASSETS 8Y FIIM).
Current
Liabili￿ NetA%sets
unrestrit￿ Funds:
RestsItt￿ Fund
13.S33
93.041
13.533
93.041
The unrestricted General Furxl ts usedl1ydayt0dtyn￿a￿l thiThtyknOtthetharity
The contin￿r￿ Reserye fvT*J 15 a tWfiH)d. setsswje ￿ ￿Tn￿knthe pur[￿$e ofprwdingsuffiaertfvndsln
Case of the thartty bein8 closed.