REGISTERED CHARITI, NUMBER: 1154646
Report of the Trustees and
FinAncial Statements
for the I'eAr Ended 30 June 2024
for
Ev4ngelirRI Press ￿lissi0n& ry Trust

Evangelical Press ￿lI$S1onary Trust
Contents of ihe Financial Statements
for the l'ear Ended 30 June 2024
Pagt
Report of the Trustees
IDdependeni Examiner'5 Report
Statement of Financial Activities
Balance Sh¢et
Notes to the Financial Sta¢emenls
Detailed Statement of Financial ActiTrities
14

Ev#ngelitxl Press Nlissionary Trust
Report of the Trustees
for the l'ear Eniled 30 June 2024
The trustees present their report wilh ihe financial statements of the charity for the year ended 30 June 2024. The
trustees have adopted the provisions of Accoui)ling and Reporting by Cl)arities.' Statemenl of Recommended Praclice
applicable lo charities preparing their accounls in accordance ivith the Financial Reporting Standard applicable in the
UK and Republic of Ireland {FRS 102) (effective l January 2019}.
OBJECTIVES AIYD ACTIVITIES
Objectives and aims
The objects of the Charity, are to advance the Evangelical Christian Faith through the preparation. printing, publishing
and dislribulion of Chrislian literature w'ith the exception of anN' such literature published in the English langiiage.
Significant Activitie5
Evaiigelical Prc55 Missionary, Trust carrie5 Oilt its Core mis5ioiI by means of literature. radio broadcasiing. television,
audio visual materials. leadei'ship training and electronic media is used to communicate ihe Gospel of the Lord Jesus
Christ.
Public benefit
Tl)e Charity's aims and aehievements are sel out within this report. The activities set out in this report have been
undertaken io further the C.harity's charitable purposes for the public benefit. The Trustees have complied iyith the duty
under Section 4 of the C.harilies Aci 2011 lo have dlie regard lo piiblic benefit guidance piiblished bN' the Charity
Comniission and the Trustees have paid due regard to this guid31)ce in decidii)g M'liat activities the Charity should
undertakc. Public benefit is seen in the publisl)ii)g aiid promoting of Christian lileraiure and education materials for the
public in different couiilries and in different languages. primarily bul not exclusively Russian and French.
AcHIEVE￿IENT AND PERFORI¥IANCE
CharitAble activitie5
The principal activity of the Charity is Ihe publicalioii and sale of Clirisiiaii literature ii) the Frei)ch and Russian
laiiguages. Tliis literalure lias beer) distributed lo niany countries throug,li tl)e C"harity s represeiitatioii iii France. Ivory
Coast. Benin Republic and other French speaking Lounlries in Ihe world. Translcltion and production of literature in the
Russian language is cenlred in the Charily's subsidiary in Miiisk. BelarLIS.
The literature work of the Charity is supported by regular trainino and educational conferences held in a number of
Frei)ch speakingv African couiitries. Tlie speak'ers at these coiiferciices are drai￿ from indigenous personi)el augmented
by those from France and elsewhere. Conferences in 202Jl?4 ilere limited due lo the political and military unrest in
Eastern Elirope but those W'hich look place were a blessing.
The C.harity's activities in Easlerii Europe were managed by a wholly owned subsidiar). in Belarus, Faverdale Limited
Liability Company. Faverdale LLC helps to facilitate the distribution of the Cliarily's Russiaii literature in Belarus and
other Riissian speaking counlries. An ariniial Suinmer School of stlidv is sponsored lo help train and educate local
pastors and church ￿'orkerS. In light of the continuing iyar in Ukraine and the economic sanclioiis against Belarus and
Russia, distributioii of Russian Literature has been severely reslricled. Neverthel¢ss, Faverdale LLC lias been able to
continue to trade, in part sustained by translation work.
FINANCI.4L REI'IEW
Principal funding sources
The principal sources of funding are gifts and grants made bv individuals, other trusts and Charities together with the
sale of books produced by the Charity. The majority of direci costs of the Charity relate to the production and
distribulion of Ihes¢ book5.
Investment policy and objectives
The Trustees have the power to invest in any investmeiit they see fit, subject to conditions imposed or required by law.
Page I

Evangelical Press Mission#ry Trust
Report of the Trustees
(or the l'ear Ended 30 June 2024
FINANCIAL REI'IEIV
Reserves policy
The C.liarity holds unreslricled funds to cover ongoing costs in relation to tlie ruiining of the Charity. The level of
reserves are reviewed by the Trlislees regiilarl>' Ihroiighoul the period. The minimiim level of reserves for the ongoing
needs of the Charity is reviewed by the Trustees on an annual basis. This review encompasse5 Ihe nature of income and
expenditure streams, Ihe need to nialch income with con)milm¢nts and the nature of reserves. The Trustees therefore
coi)sider il prudent lo l)old unreslricled reserves ii) Ilie gyeneral fui)d ii) tl)e foriii of free reserves {lolal funds less tl)e
amouiil lield in fixed asselsl. wl)ich aniouni to ai l¢a51 six moiiihs, running Losts. Reserves as al 30 June 2024 amounied
10 £54.755 1202J'. £41.8841.
This is considered sufficiei)t to cover the ongoing Losts in relation to runi)iiig the charity.
FIITURE PLANS
The Chdrily continues lu seek 5pon50rs lo fiind the translation and printing of fiirther Chrislian lileraliire in the key areas
of activity.
STRIICTIIRE, C.OVF.RN.4NCF. AiYD N1ANAGEMENT
Governing document
ThL Ch&ll'ily is Lontrolled by ils governing dociiinent, a deed of trust and ¢onstiliiles a Charilable Incorporated
Orgyanis4l1ion IQ'IOI.
The Cliarily reL7islered on 19 Novenlber 2013.
Recruilmenl And appointment of new tru.%tees
'I'l)¥ 'l'rusl¢¢s ha￿.¢ IIIL PC)IVLr lo appi)inl anv i)thcr PLrson ds a Trustee subjcct lo a iiiaximum of twelve 'frLislees.
OrgAni$Ationxl structure
'l-IIL 'I'rii%lLLS arl r¥SPOI)4ible lor all decisions and acliviiies iviiliiii Ilie orgaiiisalion. SpecialisLd Lommiiiees are
responsibl<. 10 Ihe Board for Ihe operalions of the F rL'nch langiiiagie work 4ind for the Riissian langjuabie ￿OrK IhroLlbFh
Faverdale LLC,.
Induction and trmining of new trustees
New Trustees will be ii)viled and ei)LourMged 10 3tlend a Iraiiiing session al Ihe I'llarily's re&Jistered offiie 10 familiarise
Iheiiiselves iviih the Charily and the contL'Xt iii wliiLli it upiral¢s. Thlv will bL provided with a copy of Ihe ciirrenl
version of tli¢ ¢onstitulion and a ¥opy of IliL' CIO'S latLst TruslL'es' Annual RL'porl Jiid stalLlliLnt of acLounls.
Related pxrties
The EvangJeliLal Times Limited is considered to b¢ a related party. Delails of related party transa¢lion5 are shown in
Nole 14 to the accoun15.
RETr EREIYC'E AND ADVIINISTRATIVE DETAII.S
Re%istered Ch#rilv number
11 $4646
PrincipAI address
89 Brentry Laiie
Breiilry
BRISTOL
BSIO 6RH
Trustees
RWFay
J H Rubens
J D Norris
A Rowell (resigned 8 August 202.7)
J D Siobbs
Page 2

.i'*n2elical Press lli.¥5ion4r)' l-rusl
Report of the Tru51ees
for Ihe I'exr Tr"nded 30 June 2024
RF.Ffr:RENI 'CL *1ND,ID%IINlf>TRATII:F. DF.TIlll.S
Indcpendeni fr"xgmincr
('hrisioph¢r BLaumoni BA11 lonsl. Bfp. I".CA. tfhA
('li¥'e 0￿.Ln l.l.P
C"haMLfLd Ac¢oLtntants
140 ConisLliflc Road
I)ARI.IXI(i I'O
( o l)urham
E)1.1 7RT
Ilppro¥cd b>. ordir of ihe board of IruslLLs on .1 kebriiary. ?O?S and signLd on iLs bchaifby..
J l) Sii)bbs - 'l-ru8leL

Indtpendtnt Euminer's Report to tbt Trusttts of
Evanzelic￿ Press MiSSiODary Trust
Independent eJaminer's report to the tn￿¢¢3 of Evaugelical Pres8 Missionary Trust
I report to the chan'ty trustees on my ex8mmation of the accounts of EvaD¥elical Pre&8 m￿lonary Tn￿ (the Trust) for
the year ended 30 June 2024.
Responsibilitiu aDd basis of report
As the ch8n.ty tr￿SteeS of the Trust you are responsible for the wepar&tkon of the acCO￿ts in a¢coTdance with the
requirements of the Chatities Act 2011 {'the ACV).
I report in respect of my examinatt.on of the Trus¢s accounts carTied out under Section 145 of the Act and in caryin8 Out
my examination I have followed all applicable Directions glven by the Charity Commission wAder Section 145(SKb) of
th¢ A¢t.
todependent tsxminer'¥ $tatell*nt
I have completed my examination. l ¢onfirn) that no M￿erial matters have come to my attention in connection with th¢
examination ￿ving me cause to believe thai in any matrrial respect..
accounting Tewrds V￿re not kept in respect of the Tnst a5 required by Section 130 of the Act: or
the aeeounts do noi accord wth those records. or
the accounts do not comply wth the applicable requirements concerning the forn and cnnteni of acCO￿ts set out
in the Charities (Accounts and Rewjrts) Regu]abons 2008 other than r￿ul[emen1 that the acrA)unts give a
true and fair view ￿lch is not a marter considered &s part of an independent examination.
I have no concerns and have come across no other matters in connection with the examination to Nth'ch attention should
be dra￿$ in this report in order to enable a proper understanding of the accounts to be reached.
-pa
Christopher Beaumont BA (Hons). BFP, FCA DChA
Clive Ow LLP
Chartered Accountants
140 Con]￿liffe Road
DARLtNGTON
Co Durham
DL3 7RT
3 February 2025
Page 4

Evangeliral Press Missionary Trust
Slatement of Financial Actii'ities
for ihe Year Ended 30 June 2024
2024
Total
funds
2023
Total
funds
Unrestricted
fund
Restricled
funds
Notes
INCOME AND ENDOWMENTS FROM
Donations and legacies
25,467
61,750
44,785
Charilable activities
Charitable activities
29.978
29,978
27,239
Tot41
66.261
25,467
91,728
72,024
EXPENDITLIRE ON
Charitable activities
Charilable activiti¢s
73,581
5,256
78.8.17
66,518
NET INCOMEI(EXPEi%DITURE>
(7,320)
20.211
12,891
5.506
RECONCILIATION OF FUNDS
Total funds brought forward
41,884
41.884
36,378
TOTAL FIINDS CARRIED FORWARD
34.564
20.211
54,775
41.884
The noles forn] part of these financial slatements
Page 5

F.1 MnRcliral Pre55 11 li55ion#rv I'rusl
Bihlancc Sheel
JO June2024
?0?4
Toial
funds
?o?.I
UnrL51ricted
rund
RL.%lri¢lLbd
lunds
funds
Invesin)L'nis
i..$00
1.500
Si()¢K's
l)Lhii)r
C .71 bank
10
1.948
1.468
4.190
1..141
.19.SS.1
1.4(y8
45.686
45.084
I'R Tr'.I)I'I ()R%i
Ilnii)uiit% r.'Illinb• diiL iiiihin ) L4ir
14.7001
I l.11()4
5.3.ti75
40.-184
14,S(14
?0.?11
4.775
41.884
14 4(14
41.884
41.884
'I'()'I'.11. F'l Nl)
$4.77£
41.884
!O!S and ￿¢r¥
J l) S11)hbs
The noiL'S fomi part c)l-IhL%c financial siaiiminls
l)ab4 6

Evangelical Press Missionary Trust
Notes to the Financial Siatements
for the l'ear Ended 30 June 2024
ACCOiINTING POLICIES
Basis of preparing the financial statements
The financial slalements of ihe charity.. whiLh is a public benefit eiitity. utider FRS 102. have been prepared in
accordance with the Charities SORP IFRS 1021 'Accounting and Reporting by Charities.. Statement of
Recommended Practice applicable to charitie5 preparing iheir accounts in accordance with the Financial
Reporting Standard applicable ii? the UK aiid Republic of Ireland IFRS 102) (effective l January 2019,1,
Financial Reporting Standard 102 'The Financial Reporting Standard applicable in tlie UK and Republic of
Ire1￿]d.. and the Charities Act 2011.
The financial statements are prepared on a going concern basis under the historical cost convention, modified to
in¢lude certain items al fair value.
The trustees have a rea50nable expectation Ihal the charity will have adequate resources lo continue in
operational existence for the foreseeable future and believe Ihat it Is appropriate to continue lo adopt the going
coi)cem basis of accounting in preparii)g the financial slatenienls. The financial Statements are prepared in
sterlii)g (£1.
The Significant Mccoiinling poli¢ies applied in tlie preparalion of these financial slalements are sel out below.
These policies have been consislentl). applied to all y'ears presenled iinless otherwise staled.
Income
All inLome is recognised in tl)e Statemeni of Finaiicial Ac(ivities once the charity has enliilement to ihe funds, it
is probable thal the income will be received and the ¢imount can be measiired reliably.
Expenditilre
Liabilities are recogiiised as eipeiidilure as sooi) as Iliere is a legal or constructive obligation coniniittino
¢liariN to that expei)dilure, it is probable tlial a trai)sfer of econoniic beiiefils ivill be required ii) settleinenl ai)d
the amoiini of the obligation can be nieaslired rL.liabl)'. Lxpendiiiire is &ccoiinted for on an accriials basis and has
been classified under h¢adings that aggregate all cost related to the calegory. ￿'here costs Lannot be directly
attribllted to particular headings tliey liave been allocated to activities on a basis consisleIit with the use of
resuurces.
Stocks
Stocks are valued al the lower of cost aiid estiinated sellin
price less costs lo sell.
Taxation
The cl)arity is exempt from lax on its charitable aclii'ities.
Fund aceounting
Unrestricted funds can be used in accordance with the charitable objectives at the discretion of the Irustees.
Restricted funds can only be used for particular restricted purposes iviihin Ihe objecls of tli¢ charity. Restrictions
arise M,hen specified by the donor or when funds are raised for particiilar restricled purposes.
Further ¢xplanation of the nature and purpose of each fund is included in the notes io the financial statements.
Foreign currencies
Assets and liabilities in foreign currencies are translated into sterling at the rates of exchange ruling al the
balance sheet dale. Transactions in foreign currencies are iranslated into sterling at the rate of exchange ruling al
the date of transaction. Exchange differeiices are taken into account in arriving al the operating result.
Investments
Investments are slated at cost less provision for pernianent diminulion in value.
Financial instruments
Basic financial instruments are recognised at amortised cost ivith charges recognised in profit or loss.
Page 7
continiied...

Evarbgelical Press Missionary Trust
Notes to the Financial StAtements- continued
for the l'ear Ended 30 June 2024
ACCOIINTING POLIC.IES- continued
Critieal xccounting judgements and key sources of estimation uncertainty
Estimates and judgements are continually evaluated and based on historical experience and other factors,
including expectalions of future events thai are b¢liev¢d to be reasonable under the circumstances.
Critical accounting estimates and assumption5'.
The cl)aritJ' niake5 estiinales aiid as5uniplions conceming tlie future. There are no resulting accounting estiinales
and assuniplions thai have a sigiiificanl risk of causing material adjustmeiil lo Ihe carrying amoui)Is of asse15 and
liabilities within the next financial year.
Crilieal areas of judgeiii¢iil'.
li) Ilie applicaiiui) of tlie cliarity's a¢¢oui)liiig policies the Iruslees are required to nlake judgenienls, eslimales and
assumptions aboul Ihe carrying aniounts of certaiii assets and liabililics. The estimat¢s and associated
assuniplions are based on historical experience and other factors ihal are considered to be relevant.
DOIYATIONS AND LEGAC'.IES
2024
2023
Donalions
61.750
44.785
IiiLonie from doi)aiioiis and Icb?a¢ie5 w'a5 £61,750 1202.3.. £44.785) of wliich £25.467 12023.. £15,371) Ivas
attributable to reslriLled and £36.28.112021.. £29.4141 was altribiilable to iinreslricled fiinds.
INC.ONIF. FROM C'IIARITAHI.Tr: ,IC"I"IVITIF.S
2024
2023
Aclivily
C"harilable aclivilies
PLiblishinbJ income
29,978
Iiiconie from cliarilable aclivilie5 Iva5 £29,978 12023.. £27.2.191 of ivlii¢li £nil 12023.. £nil) was attributable lo
reslrilled ai)d £?9.9781?0?"
£?7.?_391 Ivas allribulable lo uiireslriLled fui)ds.
C.HARITABI.E ACTIN'II'IF.S C'OSTS
Support
Costs Isee
nole 5}
Direct
Cos15
Toials
Charitable a¢liviti¢s
74.691
4.146
78.837
£5,256 12023.. £15.371) of the above costs were attributable to restricted funds and £73.58112023: £51,147)
werL aiiribulable to unrestricted fund5.
Page 8
continlied...

Evangelical Press l¥lissionary Trust
Notes to the Financial Statements - continued
for the l'ear Ended 30 June 2024
SUPPORT COSTS
Govemance
05ts
Charitable activities
4,146
Support costs, included in ihe above. are as follow's..
Governance costs
2024
Charitable
activities
2023
Total
activities
Professional fees
Iiidependent examinews fees
1,946
2,200
2.214
4,146
2.214
TRIISTEES, REMUNERATION, AND BEIYEFITS
Tliere ivere no Iruslees, ren)uneralion or other benefits for tlie year ended 30 June 2024 nor for the year ended
30 June 2023.
Tru5tees' expense5
During the )'ear ended 30 June 2024. expeiiscs totslliiig £4,916 ivere reimbursed or paid directly to 2 Trustees for
travel and adillinistralive work120?3 £873 to l Triisleel.
COMPARATIVES FOR THE STATEMENT OF FINANCIAL AC'.TIN'ITIES
Uiirestricted
fund
Restricted
funds
Total
fui?ds
INC'O)IE AND ENDOM'I¥IEI%TS FROM
Doiiatioiis aiid l¢gaci¢s
29,414
15,371
44.785
Charilable activities
Charitable activilies
27.239
Total
56,65)
15,371
72,024
EXPEIYDITIIRE ON
Charitable activitie5
Charitable activities
51,147
15.371
66,518
NET INCo￿lE
5.506
5.506
REC.'ONC.ILIATION OF FUNDS
Total funds brought fonvard
36.378
TOTAL FI,'NDS CARRIED FORM'ARD
41,884
41,884
Page 9
continLied...

Evangelical Press Missionary Trust
Iyotes to the Fin#nciAI Statements - continued
for the Year Ended 30 June 2024
AVERAGE NUMBER OF EMPLOYEES
The average number of employees durinu the year was nil (2023.. nil).
FIXED ASSET INVESTfvIENTS
nveslment in
group
undertakings
COST
At l July 2023 and 30 June 2024
1,500
NET BOOK VALUE
Ai io June 2024
1,500
AI 30 June 2023
1,500
The £1,500 investmenl represent5 the charity's l OOO/o equity investnient in Faverdale LLC in Belarus.
Tlie most recent results available were as follows..
2023
2022
Aooregate capital aiid reserves
E averdale Liniited Liability Company
40,596
26.172
Profiilllossl for ihe year
Faverdale Limited Liability c.ompany
6,923
4,403
The reslilts shown above are for the year ended 31 December 20?"
io.
STOCKS
2024
2023
Siock5
2,948
4,190
DEBTORS: AMOUNTS FALLING DUE WITFIIN ONE YEAR
2024
2023
Trade debtor5
Other debtors
Prepayments and accrued income
1,062
406
141
,200
1.468
1,341
Page 10
continued...

EvAngelical Press1¥1issionary Trust
Notes to the Financial Statements- continued
for the l'ear Ended 30 June 2024
12.
CREDITORS: AMOIINTS FALLING DIIE WITHIN ONE YEAR
2024
2023
Trade creditors
Other creditors
2.676
2.024
2,411
2.411
4,700
13.
MOVEMENT IN FUNDS
Net
movement
in fuiid5
At
30.6.24
At 1.7.23
Unrestricted funds
General fund
41,884
17,3201
34,564
Restricted funds
French work
20.211
20.211
TOTAL FIINDS
41,884
12,891
54,775
Net moveinenl in fund5, included in the above are as follows..
Ii)coniing
resources
Resources
expeiided
Movcn)enl
in funds
Unre5trieted funds
General fund
66,261
173,5811
17,320)
Restrieted funds
French work
25,467
15,2561
20.21
TOTAL FUNDS
91,728
{78,837)
12,891
Comparatives for movement in funds
Nei
movement
in funds
At
At 1.7.22
Unrestricted funds
General fund
36,378
5.506
41.884
TOTAL FIINDS
36,378
5,506
41,884
Page 11
ontinued...

Ev4ngelical Press Missionary Tryst
Notes to the Financ ial Statements- continued
for the Year Ended 30 June 2024
13.
MOVEMENT IN FUNDS- continued
Comparative net moveiiient in funds. included in the above are as follows-
Incoming
resources
Resources
expended
Movement
in funds
Unrestricted funds
General fuiid
56,653
(51,147)
5,506
Restrieted fund5
French work
15,371
115,371}
TOTAL FIINDS
72,024
166.518}
5,506
A current )'ear 12 monil)s and prior year 12 nionths combined p05ilion is as follows..
N'et
movement
in fuiids
Ai
30.6.24
At 1.7.22
Ilnrestricted funds
CJeneral fund
36,378
{1.8141
34,564
Reslricted funds
Freiich work
20,211
20.211
TOTAL FI',N, DS
36.-178
54,775
A current )'ear 12 months and prior year 12 months combined nel movement in funds, includcd in the above are
a5 follows..
Incoming
resources
Resources
expended
Movement
in funds
Ilnrestricted funds
General fund
122,914
(124.728)
(1,814)
Restricted funds
French work
40,838
(20.6271
20,211
TOTAL FUNDS
163,752
(145.355)
18,397
Movement on individual funds are shown above.
The purpose of each fund 15 as follows:
Unrestricted General Fund
These funds represent unrestricted resources available for the general work of the charity.
Restricted Funds
French ￿'ork
These funds represent resource5 available for the Charity's work in Africa.
Page 12
continued...

Evangelical Press ￿lis$lon￿ry Trust
Notes to the Financial SIAtements- continued
for the l'ear Ended JO June 2024
14.
RELATED PARTY DISCLOSIIRES
During the year donations amounting to £461 12023: £1.9801 th'ere received from Trustees. In addilion. Trustees
were reimbursed expenses of £4.916. as detailed in nole 6.
J D Norris is a Trustee of ihe Dame Violei Wills Charitable Trusl. During ihe year donations amounting to
£1,00012023.' £90011 were received.
The Evangelical Times Limited recharged expenses of £12012023.. £1.100) during the year.
In addition. the Trust received donalions of £10,058 12023: £7,399) from The Evangelical Times Limited.
Orego Limited. a company in which tlie sole director ivas A Rowell, a Trustee. charged administration services in
the amount of £nil12023: £2,800) during tli¢ year.
Evangelical Press Services Limited. of which J Norris is a Director, during the year donated £13,000 {2023..
£nil).
RW Fay and J Norris are Trustees of The Gospel in Action Trust. During the year there were no doiiations
received12023= £12.6001.
Page 13

Evangelical Press Missionary Trust
Detsiled St4lement of FinaneiAI Activities
for the YeAr Ended 30 June 2024
2024
2023
INCOME AND ENDOWMENTS
Donations and legacies
Donations
61,750
44,785
Charitable activities
Publishing inconie
29,978
27,239
Total incoming resources
91,728
72,024
EXPENDITURE
Charitable aclivities
Royalties
Bank charges
OtTice services
Cost of books 501d
Advertising
Overseas Inission support costs
Foreign exchange
169
827
2.284
35,884
407
1,154
966
3.175
17.742
80
41,134
53
290
74,691
Support eosts
Governance costs
Professional fees
Independent examiner's fees
1,946
2,200
2,214
4,146
2,214
Tolal resources expended
78.837
66.518
Net inconie
12,891
5,506
This page does not form part of Ihe statutory financial statements
Page 14