COMPANY REGISTRATION NUMBER= CE010746
CHARITY REGISTRATION NUM8ER: 1174207
Gospel Patrons UK
Company Limited by Guarantee
Unaudited Financial Statements
For the year ended
31 December 2023

Gospel Patrons UK
Company Llmlled by Guarante•
Flnanclal Ststem8nt8
Ygar endad 31 Docembor 2023
Pago
Twstees, afinual report (Ir￿or￿)[Btlng Ihe drector's report)
Independent examirEf5 report lo thè Iru8lÈes
Statement of firn3noal a￿l¥ll*eS Ilrtluding Sncorne 3nd expe￿lI￿re accourti
St8lement of finand81 pos￿"0n
Notes lo the financlal 81alemenls
The lollowln9 pages do not fomi part of the flnanclal ststements
Detailed 51gternenl of fin8nclal activ1￿-e8
11
Notes 10 ts delalled sialemenl offinancial adrnilles
12

Gospel Patron3 UK
Company Limlted by Guarantsg
Trustees, Annual Report Ilneory>oratlng the Dlrectorfs R8POrtI
Y*ar gndèd 31 December 2023
TtrE trusleos, who are also the dlreclors for the wrposes of comparry law. pre8enl Ih6lr report and Ihe unaudited financial
$18t8m8nts oflhe ch8iNy forihe year ended 31 D8￿E￿[ 2023.
R6f•r8nco and admln15tratlvè dèta118
R¢glstsrèd charlty name
C>)spel Patr￿15 UK
Charlty rog15tratloD nurnb¢r
1174207
¢omp#rw r¢gl$tratlon numbor
CE010746
Prlnclpal office and reglstored
offlco
o Orch8rd Lea
Bayworth Lef
Oxford
OX15DF
Thotrustees
Mr S D Piltar
Mr B Stone
Mr A H K Sachak
Indeppndont &xamlnor
Alistar Russell FCA
Glbson Booth Chartered AccouDtsnlS
New Court
Abbey Road Norih
Shepley
Huddersfte
HDe 88J
Structure, yovèrnance and m8nagement
The charity has three Iruslees. S D Pillar. A H K SÈchak 8rKJ B Slone. The Trustee$ meet once per month lo rondutt
Charily buslness. In 2023, ihe charity had no employee5 and mèconstsllant who CQOFdinthd r￿￿or￿n9 events in the UK.
Oblectlvo5 and acifvitlos
Th8 oblecL ol the Charil3ble Inc￿rpOrated Organisalion ICIOI is. for lh8 publlc benefit. Ihe advancement of the Chr151ian failh,
principally Ibul wilhoul IimilaliorTrl byth9 teaching of the gospel of Jesu$ Chrfsi particularly as tt relales lo promoting the wlnciples
ofgerErosily. The charity athieves these otyecls by hosling re9￿areVentS Ihroughoul Ihe UKvthkh promote gener05ity amongst
business p80ple and mini51ry WLYkers.
Strateglc report
The foll￿ng secllon5 foi aGhlevÈments and perf0rfflat￿ and financL81 revlewfomi ihe 51ralegic rep(￿t ofthe charity.
Achl8v8monts and perfom)8nc&
The charity was reg￿tered on 10 August 2D17. and has started opprating from April 2020. Thrwghoul 2023 If* charfty hosted
four evenls in the City of London lor bu51rE5s and minlsty leaders. The avÈrage attendance ol these events was 82 and the
maillng list lor the charily. through whch il info￿S others of tts work and sha￿5 re50ur¢e$ conceming generosity lo ChriÈlian
rninislry has over 500 conlacis.
The Charily h081ed its first ever'national Gospel Patrons UK ConfÈtenc8' In J8nuary 2024. Muth of 2023w88 spentln preparation
for this event, Including cur8lioD of coni8nt for the event ar￿ Ihe fDmialion of an allendee list suitèd 10 Ihe event. Events
throughout the year showcased the rEeds opportunlllÈs of Ot￿r Chflsllan mlnistriÈs in varknus seclors (i.e Mis5iDn work,
Church Planting 8nd Ministry Tfainingl. and anecdotal ewdewe shows ihal a n￿￿￿er of those engaged ￿1h the charlties
inGreased Ihelr engagement %*ilh Chri51i8n charfl￿S eilher on a pro-ty)rto work basls, or Ihrwgh finandal gi¥lng.
The Tnjstees are of ItrE 9￿rIOn Ihal acl1vi￿"es in Iheyear have CDnlribul8d lo Ihe objedives of ltr￿ rdevantcharilies and hav&
therefo￿ L*en for th6 publk benefit. The tharity has cOnS￿ere￿ Ihe Charily Commlsslon's gUKlan￿ on Public Ber*frt.

Gospgl Patrons UK
Company LlmTrt8d by Guarnntsg
Tru$tse8' Annual Report Ilncorporatlng the Dlr8Ctorfs R¢portl l¢ontlnuodl
Yèar ended 31 Decèmber 2023
Flnantlal rovlew
At the year end the charity had ￿￿66trIcted reserves of £81.827. Income was £153,831. gnd was malnly made up of donaions
to1811iry £153.588. Expendllure wa5 £156.316. Thrs was the Ihlid year of aclivity for the charity. At the ￿ar end Ihe chatiiy had
£80.032 In the baT*.
Plans for future perlod5
The charily plans lo conlinuÈ hosts.ng evenls in 2023. beginning wilh a puillc launch of 11$ d￿￿mentary In J8nu8ry. The charity
11 m8ke ￿￿n$ 10 host a naliwal r*)nf8rerKe which will tske place in ear￿ 2024.
Reserves pollcy
The iruslees aim to maln18in a k¥el of unrestrfcled ￿SeNe8 to be abk lo cover ovethead expen(Illure for al le8$1 three m(rth$.
The ies8rve3 al the year erKJ wue £81.827.
The tru5tees' amual rewrt and the siralegk repDrt were approved on 31. August 2024 and 5pJrEd on beh81f of the board of
trustees ty..
Mr S D ￿lIar
TNslee

Go8pal PatronB UK
Company Limitèd by Guarantea
Independ•nt Examin8rfs Report to th8 Trustees of Go8P81 Patrons UK
Year ended 31 Decemb?r 2023
I report lo the Iruste8S on rny examlnallon of th? financial 8tsIeM￿ls of Gospd Palrons UK Ilhe chanly) for the year ￿￿e￿
31 December 2D23.
Rèsponslbllllle$ and basis ol report
A5 thè trustees ol Ihp charity you are resFx)nslble for ihe ptep8rallon of the fknandal statements In accordan￿ with
r8qulreTnerts of the Charilles Acl 20111'lf* ACVI.
I repDrt in respect of tny examination of Ihe ¢harity's fln8nclg1 staiemenis carrfed OLrt under section 145 of IhÈ 2011 Act and In
carrying oulinyexaminalion I have lollowed 911 ap￿IcaNe Direclk)ns given by the Charlty Commk%slon ￿r￿e[seCtIon 14515llbl
of the Act.
Indopendent gxamlnofs s(alemant- matter of concern Id8ntlfled
In carrying out rny ex4min8ts.on I noled a lap$8 of accwnling fe¢ord8 recording expenses. supp￿1￿ documentation had not
been kÈpl on several occaslons for charitaNe expenditure. 11 wa5 noted th81 expenditure iolalllng £625 did not have supportlng
re￿ip1S Qr invoitts, 811hovgh ￿ could bÈ Igaced out of fv bank. This expendilure has been included in the accounls. The Irustees
are aware Ih81 Improve(I record keeping should b& keptgolng forward, to suppori all expendllU￿. I confirm that there are no other
mall￿5 to which your allenlion should be (Jrawn lo enabk a proper undersiandlng of the accounts lo be reacw.
l ¢(h)firm Ihat no other mallers have come to ry allenlion in ¢onnecllon with my examlnauon giving MÈ cause lo belleve that In
y matsdal resperA'.
counliw recordswere nol kept In respect of the charlty as requlred by section 386 ofihe 2006 Act., or
the ftnarKxal slatemenls do not accord wilhlhase records., or
the fin8ncial slalemÈnts do not Comp￿ ￿th the accounling wu[r￿ne￿I5 Qf section of the 2(KJ8 Ad other than
any requirement that the 8¢￿u￿tS give 8 Yru8 and fai¢ vlew vthkh Is rlol a mattw c￿E1dered as p8rt of an
Independent ex8minab"M', or
the financlal slalements have not been prepared in accordartt vAlhlhè methods and princlples of the Statement of
Recommended Practice accounllng and reporting by ch8n1￿$ applicable lo charities preparino their account$
ctordan* with the Financial Reporting Slandatd appliCa￿e in Ihe UK and Republic of Irel&nd IFR$ 1021.
I confirm Ihalthere 8re noolher m81ters lowhithyour81tention shoukj bè drawn lo enatle a proper undetsiarrtling ollhexcounls
lo be reached
A1islalr Russell FCA
IrKJependeni Exam[r￿r
Gibson Booth Chartered Acwuntants
Newcourt
Abbey Road North
ShÈpley
HuddeTsftekJ
HD8 88J

Go$pg1 Patrons UK
C¢Jmpany Llmlted by Guarantèe
ststement of Financial Actlvltie8
Ilncludlng Incomg and expend1￿￿e a¢counti
Y¢ai ¢nd8d 31 DoGember 2023
2023
unre¥1ri￿ed
funds
2022
Toial fuThJ$
Tolal funds
Note
In¢omo and ondowments
Donation5 and leg8des
Inweslment irtome
87.395
812
67.395
812
153.588
243
Totsl income
68,207
68.207
153.831
Expendlturo
Ex￿ndIture on charilable ¥livit*S
Total expendtturo
74.722
74.722
156.316
74,722
74.722
156,316
Net expenditiiro and nèt movemont In funds
16,5151
16.515)
12,4851
R8conclllatlon of funds
T0181 funds brought foward
79.342
79,342
81.827
Total funds carrfed lo￿ard
72,827
72.827
79.342
The 5t8lement of finarriel actiw1￿9 Indudes all gal￿8 and1055es recognlsed In the year.
All knccffle experxliture derfve trom conllnithng acilvllle8.
The noto8 on pages 6 to 9fomi part of these ftnancijl 8tatèmtrnts.

Gospèl Patrons UK
Company Llmltad by Guarantee
Statgm8nt of Flnan¢lal Position
31 December 2023
2023
2022
Note
Flx8d assets
Tangible fixed a5se15
13
2,144
2,825
Currant a88etS
Deblors
Cash at bank aThY h hand
14
19.S(X)
S4.103
1.(￿0
80.032
73,603
81.092
Crèdltors.. amounts falllng du8wlthln onè yoar
2.920
4,575
Ntrt curr8¢lt assets
70.683
76,517
Totsi a680ts I￿5 ¢Yttsnt Ilablllll88
72.827
79,342
Not as8et¥
72.827
79.342
Fund8 of the ctwtlly
Unrestrittèd fund8
72,827
79.342
Totsl cha14ty funds
16
72,827
79,342
These ftnancial stste￿nIS have been p￿pared in ￿anCe ￿th the provisi￿5 ap￿1¢abra lo companle5 svbsecl to Ihe sfftall
c(Anpanles' regbne.
These finanual 51alemenls were 4pproved ty the bogrd oftrusiees and aulhork8ed forissue on 31 August 2024. and are s￿ned
on behalf of the bjard by..
Mr S D Plllar
Tiuslee
The notes on pag95 6 to g fomi partol these flnanclal statsments.

G08pel Patrong UK
Company Llmltsd by Guaranteo
Notes to Flnanclal StatemontS
Year endgd 31 Decembèr 2023
Gen8ral InForrnation
TIE chority [% a publlc benefrt enlity è reglslered charlty in EwlarKI and Walès and Is 8 cfF81ilable Irrorporaled
(hganytsalion. The ofihe prindpal office ￿ CJO Orthard Lea, 8ayworth Lane, Boars Hlll. Oxford, OX1 SDF.
Smemènt ol¢ompllanco
These flnancial slalements have been prepared in cofflpllanceTrMlh FRS 102, The FSn8ncia1 RepDrfing Slandard applkable
in the UK and the Republic of lieland., the statement of R8¢ommended Pracllce ap￿Icab￿ lo tharilies pieparing
accounts in accordance wlh the Financial Reporting Sta￿ard 8pplicable in the UK 8nd Republlc of Ireland IFRS 1021
Icharllles SORP IFRS 102118pd th8 Ch8111ies Acl 2011.
Accounung pollclg5
Basls of preparatlon
The financlal slatements havÈ been ryepared on It￿ histor￿1 cost basss. as modified by the revaluaibn ofcertalnflnand
assets arKJ liabllllles and inveslmenl propertles me8swed gt fair valL* through Income or ex￿n￿lI￿re.
Th8 fln8ncS81 stat￿ne￿I5 A￿ p￿pared In sterfing. Is the function81 currency of enlity.
Golng concern
There ar8 no malerlal uncerfainl￿5 about the chariiys ability to continu&.
Judgements and key sourcès of 88tlmatlon unGgrtalnty
The preparation of the financial slaleTnents reqLires tngnagemeDI lo mak& ludg8menis, eslimales and asÈLmpiions that
affect li* amDunls reported. These eslitnaitrs and IWernents ere continu31ty revlÈwed and are based on extkrfence arKI
other fact(￿. including ex￿tt8110ns of future events thai ate bdle¥ed lo be reasonable undeithè circumsiances.
Fund a¢¢oundng
Unrestricted funds are avaIla￿e for u8e al Ihe d￿c[ell￿n oflfÈ Iru8tees lo fumher any of Ihe ch8riVs puiposes.
Incomlng resources
All Income 15 included ill Ihp 518iemenl of finarKial aclwilies when enlM4em8nt has passed to the ¢harity, ￿ is probable that
the econotnK beneffls 88s0cialed wlhlhe IransaclSon will flowlo the charity a￿d the amount can te rellgbly tnea$ured. Tr
following specrfic pdiaes are applEd lo particu18r categories of income..
Incom8 from donations or gran15 is recognWse(S Iheie is ey￿ence of8ntlt￿M6￿l lo the gift, receipt is probable and
ils arnounl can bÈ mtr8sured reliatAy.
Rèsources expended
Exper￿rture i% rtrcognised on an acctua15 basls a8 allaknlity is incurre(J. Expenditure Indudes any VAT whth camot b
rully recovered. and 15 Class￿led under headings of Ihe slalement of finan￿81 aeliwlies lowhich11 tÈl8te$.'
- expefjdilure on charitablÈ actlviles Includes all costs incurred by8 tharity undertBklng aclNilès thalfurthgrlls char￿￿ble
81ms for the benefit of it5 benef￿larie￿. Induding IhosÈ support cosls and costs rel81ing lo the govemance of the ch31ily
apportioned lo charitable activities.
other expenditure includes all èxp8rKJilure that Is neither related 10 raislw funds for
Ihe charity norpart of ils expendllure on charitable Ècllwlies. All cosls are alk)caled to Èxpèndllure c8tegorie5 refiecting the
use of Ihe resource. C)irecl costs allTrbu18ble lo a single activity arè allocaled direclly lo that activity- Shared cosi8 are
apporbmed bèiween tho aclivilEs they contrib￿6 lo on a reasonab￿, jusliliable and consislent ba￿s.
Tangiblo assèts
TaruiNe assets are hitlally recorded al ¢(61, and subÈequenlly Staled al cost ￿$& any accumulated depretyatst)n and
imp81rment losses.
Pgpreolaiton
D8predatioD Isca￿A31e￿ soa& lowrfteoff Ihecoslorvaluaiion ofan asset. less its residuJ valve, ￿er1￿ u8elulecononThc
Ilfe of Ih8t 28sel as follows..
CompLrterequipTnenl
20% Slrmlght lin8

Gospel Patrons UK
Company Limitod by Guarantee
Notos to the Flnancial Stat8montS (conllnuedj
Year endèd 31 December 2023
A¢countlng pollcle8 (contlnued)
Flnanclal Instruments
A finan￿al ass&t or a fIn8n￿87 liabiliiy is rec(wJnised only the entity becomes B patty lo thÈ contractual provis￿r￿ of
Ihe I￿1￿¥￿e￿I.
Basic finantial inslrumnls are re¢ognlsed 81 the ￿Ount iecehable or payable ind￿1￿ng any rel¥led Iransaclion
costs. Unless the arrangÈment conslilules a financing Iransa¢tion, where 11 Is re￿g￿￿e￿ al the presenl valu& ofth8 futLYe
P8ymenis d8COLniled al a matket rale of Interest for a similar debt insirumenl.
Donatlon$ and ltrgacles
Unreslrirknd
Fund$
Totsl Funds
2023
Unreslrlded
FuDd$
Tola5 Fund5
2022
DonatloDs
DonalSon3
67.395
67,395
153.588
1S3,568
Investmènt Incomo
Unresirided
FurKIs
Total Funds
2023
Unre51fiCted
Funds
Tolal Fund5
2022
B8nk Intere81 receiVa￿e
812
812
243
243
Expendltura on Charfftablo acUvltl95 by fund type
UnrestiSrled
FurKIs
Tolal fun(Ss
2023
Unrestflded
Funds
Tolal Funds
2022
Provlslon of re50urce5 and promotlonal w51s.
In¢luding evenis
Donalion5
Support costs
18.089
550
$6,083
18,089
550
58,083
109,232
109,232
47.084
47,084
74.722
74,722
156.316
156,316
Expondltur8 on chaTltablo a¢tJvltlas by actlvlty typB
Acti￿1￿5
un(tertake
direcuy SuppDrt cos15 Total funds 2023 Total fund 2022
PrO￿810n of resources arxl promotional costs.
hclvdlng ￿en
Donation5
Govemanc8 cos18
18,089
550
53,903
71.992
550
2,180
154.291
2,180
2,025
18,639
56,083
74.722
156,318

Gospal Patrons UK
Company Limit•d by Guarant80
Note5 to the FlnancFal Statements (continuedj
Year ended 31 December 2023
Anplysl8 of 8UPPOrt cogts
Travel
rolal 2023
Total 2D22
Gener81 offlce
GO￿rnan¢t costs
Trav
Consultancy
3.512
2,180
618
49.775
3.512
2.180
616
49.775
2,805
2.025
2.999
39.255
56.083
56.083
47.084
Nèt èxpondbture
Nel expendllwe 15 slaled after chargingllGredilingl'.
2023
2022
08wecialion of tsnglble flx8d assets
881
510
10. Indepondont oxarnlnallon le88
2023
2022
Fee5 payable lo Ihe independent examlnerfor..
Indeper￿ent examination of the financial siatemenis
2,180
2,025
11. Staff costs
Ttr￿ average head count of ernployees d￿ng the year was-12022."-1.
No ernployee ieeepved emk4oyee beneflts ofmore than £60,000 durlng Ihe year P022'. NID.
12. Trutstèè remunoratlon ond bxponses
No remuneration or olher benefils in respecl of servi￿5 provided lo the Chanty We￿ ￿te1Ved ty the Tru5tee5 Irom Ihe
Charity or a related enlity. No Trustees eKpen5e5 have been Incurred during year.
13. T8nglb58 flxed as$&ts
Computer
equipment
ost
At 1 January 2023 antt 31 D8cemb•r 2023
3,404
D8proclatlon
Al 1 January 2023
Charge for the year
At 31 Dootrmbor 2023
579
681
1,260
Carrying amount
At 31 December 2023
2.144
Al 31 December 2022
2,825

Gospel Patrong UK
Company Llmbtod by Guaranteg
Notes to thg Flnanclal Statements (conllnuedj
Year •nded 31 December 2023
14. Dèbtws
2023
2022
Prepaymems and 3cctLEd Incom8
otherdeblors
19,5
19,5
IS. CYodltors-. 8moLEnt8falllng duowllhln oneyear
2023
2022
Accruals and deferr&J Incotne
Olhercredmors
4.575
920
2,920
4.575
16. Anatys18 Ot charltabl•funds
Unr8strlcted fund8
Al
1 January 2023
At 31 Decemb
2023
Inc(m
Expendrfure
General funds
79,342
66,207
174,7221
n.827
Al
1 January 2022
Al 31 0e￿rnber
20T2
IrKome
EX￿r￿J11Ure
General luDd5
81.827
153,831
1156.3161
79.342
Unre51ricted genernl fund8 are 8vallabl8 fu use al Ihe distt811on of IheTwslees in thefurtherance of the ge￿r￿ tharflab
Qbpct￿es.
17.
Related parutrs
DurirvJ Iht period the cotnpany receSved donations of £14,000 3nd £35.48512022- £76,205.24, £35,242.51 iespe¢livety
from S D Pillar and B Slone. £920 was owed at the yeor èrKJ12022'. EI.060) lo First Fruiis Gospel Foundation, a ¢h81ity in
syhich S D Pillgr is a tntslee. A donatlon of £nil 12022 - £3201 was also recelve(I from INS ch8rtty in 2022. A seN
agreetnenl was enlered into duriw the yegr w￿h First FruSts Gospel Foundallon lo shafe the ¢051s of 8 subconlract(Y. of
£39,81512022. £rwll.

Gospel Patrons UK
Compgny Llrnltsd by Guarante¢
Management Informatlo
Yoar ènded 31 Decembèr 2023
The followlng pagos do not forni part of th9 flnanclal 8tatomonts.
io

Gosp81 Patrons UK
Company Llmlt•d by Guarantee
Dotailgd Ststem?nl of Flnanclal Activities
Year ended 31 Dècombèr 2023
2023
2022
Incomp èndowmont8
Don&tlon$ and legacle5
Donat￿n$
67,395
153.588
Inve5tmerrt Incom8
Ba￿ inleresl receivable
812
243
Total IncLThe
68.207
153,831
Expendlture
Expendittsr8 on charllable actlvttles
Purchases
Other molorllravel e051s
Legal and wofesslonal fees
Qlhei offio cos
Lkkyecialion
Event COSIS
Donalion5
5.534
616
51.955
2.831
681
12.555
S50
100,268
41,280
2,295
510
8,964
74.722
156,316
Total expendlture
74,722
156,316
Net •XPondltvre
16,5161
12.4851

Go$￿1 Patrons UK
Cornpany Limlted by Guarantee
Not85 to the Detailed Statement of Flnanclal Actlvltl88
Year endod 31 Decembèr 2023
2023
2022
Expendltur8 on charitablè actlvltlos
Provlslon of resources and promotlonal costs, Includlng ovonts
Activities undertaken directly
Promotional resources. videoB and boL*s
Evenl costs
5,534
12,555
100,268
18,089
10g,232
Support costs
Travel cosls
ConS￿l￿nCY
Olher oly1￿ c0515
Dewecialion
618
49,775
2,831
681
2.999
39,255
2.295
510
53.gD3
45.059
Donatlons
Activities undertaken directly
Oon8Uons
550
Governance co8
Jvernance c051g- accountancy fe25
2,180
2,025
ExpendltUTg on chat1table aGtlvltlo8
74,722
158,318
12