CAmBRI￿E YEOLIM CHURCH
FINANCIAL STATEMBNTS FOR IHB YEAR ENDED 30TH NOVEMBER 2025
CONfENTS AND ADMfNISTRATtVE fNFORMATJON
coKrENTS
PAGE..
TDL8tees Re￿rt
Independent Examine￿ Report
StateJD¢nt of Finan¢iAI A¢tiviti¢s
Balallce Sheet
Notes lo the Fitwirial SlateJneDts
CHAIR..
Reverend Tae Kyu Kim
TRUSTEES..
Dr S SDD (TrwurEr)
MTS C H Lee (resigtted 261(Hr2025)
MT5MJKim
Mrs S Y YIM)
Mr Y M Bae (&ppollrted 27104r2(125)
PRINCIPAL OFFICE:
5 Howg* Road
Cambrid8e
CB4 3XL
CHARtTY NUMBER:
I1￿1216
CHARITY INCORPORATION NUMBER..
CE023263
lall Shipley FCCA
For aTKI on bebalf of.
Prentis & Co Ltp
Charttred AccouDtants
115c Mijton Rc*•J
Carnbridge
CB4 IXE
Barclays Bank
I ChuTchill Place
E14 511P

CAMBRIDGE YEOLDA CHURCH
PAGE I
FINANCIAL STATEMENfs FOR THE YEAR ENDED 30TH NOVLMBER 2025
TRUSTEES AhThUAL REPORT
The Tn]stees present their annual Teport forthe Cambridge Y￿1]M Church forthe year ended 30th November 2025.
The financial stateTn¢nts compty with the Charities Act 2011 and Accounting and Rq￿ting by Charities: Statement of
Recommended Practice applicable to clharities preparing their rnts in accordallce with the Fin8ncial Reporting
Stondard applicable in the UK and Republic of Ireland (FRS 102) issued October 2019 (effective l January 2019).
STRUCTURE. GOVERNANCE AND MANAGEMENT
CambTidge Yeolim Church (the cTrwity) is an incorp)rated entity governed under a Constibjtion of a Charitable
Incorporated OrgmisatiOD.
The Trustees are respoDsibl¢ for the ov¢rnll tnaTwgem¢M and control of Cambridg¢ Yeolirn Cbureh alld hold regul
eetings.
All Trustees give th¢ir tirn£ freely aDd Do relnwierdtion was paid th¢ yw as a TTustr¢. Tntst¢¢S ¢8n b¢
reimbursed for expenses attd one TnLgtee is poid as a Reveren
ORGANISATION AND APPO]NfMEhTT OF TRUSTEES
The charity is ruu by the TnL8lees. The T￿￿te¢S are tt)ade of n)embpJs of th¢ OrgaDi5atlo￿ ¢lKted allllualty 4tthe
ATJnual General Meetin
OBJECTIVES AND AcrtVITIES LND PLBLJC BENEFIT
The Trustees are &ware of the Charity Con)mission guida1￿ on Plthlic benefit and their operation of the Charity refleets
this.
The Tr￿sleeS believe the Charity ￿1Sfie5 its public benefft obligatiOD.
The object of the CIO is to &Jvance the Cbrillian faith for the benefit of the public through for example witlK>
limitstion by..
(i)
(2)
(3)
(4)
(5)
(6)
(7)
regular public worsbip. prayer. BfiJl¢ 5tt¥ty. Preathing a￿d teathi
the Communion of the Lord's Supper whieb SI￿11 norllhalty be observed at 14st once A year.
evatsgelism and Missio￿ localty. regionally, n*ionally and internationa]ty;
the teachin& encourdgemenL welcome and inclusioll of young pe4)ple"
nuTture al￿ growth of Christian discipl¢s:
giving al￿ ¢llCOUTaging pl8t￿al ¢aT¢,'
encouraging relatioJLships with and 5upw￿ othcr ChrIsti￿.
RISK MANAGEMENr
The Trnstees T¢VieW the Cl￿ri￿S activities ￿gulaT￿t0 identify signifi(w]t risks where pjssible. they take
appropriate mel9￿e% to mitigats ihose risks. Appropriate proccdure5 are in placc to idcntify, monitor, and r¢view
Ih¢s¢ risks on a regular basks.
FINANCIAL REV]EW AND RESERVES
The fv]w]rial results for tbe yeaT ended 30th Nov¢rnbeT 21Y25 show overau Slwplus on Unrestricted reserves of
£3,144 (2024: surplus £15,838).
Th¢ ch&ity has free reserves of £IX8.859 (2024: £188236 a￿j apolicy ofmAintsitJillg and building their
reserves to Cover any future drop5 in income and maintaining a more perttwicllt PIEsenGE in thE rity of Cambridge.
DuTing th¢ ￿riod, as allowed by the co￿￿1t￿￿on (al￿ in with many other religious ch￿lties). our pastor, who
is also tt Trnstee, w&s rell￿nerated.

CAMBRIDGE YEOLJM CHURCH
PAGE 2
FTNANCIAL STATEMENTS FOR THE YEAR ENDED 30TH NOVEMBER2025
TRUSTEES ANNUAL REPORT................. .............JCONTINUED
ACHIBVBMENTS PERFORMANCE
DuTing the period 1st December 2024 10 30th November 2025, the cbarily eontinlled to n￿k¢ progress in fulfilling its
charitable objectives through a range of worship services, educationa] activities, fellowship prowammes, and ¢haritable
outreach. kegular Sunday worship seryices were held ID peMn at C&stl¢ Street meth￿ist Church, Cambridge
(CB3 OAH). These services were also liye-strearncd to enable members and others who ￿Ere unable to attend in person
to participate online. Sunday School programmes for children and young people were a150 condurted at the same venue.
In addition, the Charity organised a number of regular wup actiNiiies, including Th'eekdav Bible study meetings and daily
early morning sunrise prdyer SETViC¢S, which were made available both in person and online to encourage wider
parti¢ipation among member5.
To support fellowsbip arLd pastoral caT¢ Within the congtE8atio￿ the elwity contlnued to operate cell groups (sfftall
fellowship groups), which meet regularly to prowde spiritual Sllp￿rt and community among members. The c]￿rIty dso
supported missionary activities. providing financial a55iStance to Korean mi5si(bnari¢s seTr￿g in the United Kingdom
and overse￿. This in¢l￿ded supporting att outreach rntssion tyip to Greece to ￿l$t a Kore8D Missionary working in
the region. In line with its eolnmitment to 5erying the wider COTnrnunitv, the cbarity also supported loc41 and
international charitable intiiatives, including Besom Cambridge, a local cbarity supporting people in nee(L and the
Groundbr¢akcr Th¢rApy Centre in Nigeri4 which proNi(ks therdpeutic and support servicts.
STATEMENT OF TRUSTEES RESPONSIBILITIES
The Trustees are required by charity law to prq>are financial statements for ea¢h year which give a trne and fair view
of the 5ta¢e of affairs of the charity and of the surplus or deficit of the charity for thai year. tn pr¢paTing those fJnanci&l
statements, the Trnstees are requiredto:_
(a)
(bl
(¢)
Select suitable accounting policies and then apply them consistently"
make judgements and estimate5 that are reasonable and prndent.
prepare the tinancial statements on a goiDg con¢ern basis unless it is inappropriat¢ to pre5uin¢ the Charity
will continue in operation,.
state whether the policies adopted are in accordance with the Charities Act 2011 and applicable accDunting
standards alld Statements of Recomnkended PractÉce. subjeci to any material d¢pgrtur¢ disc105ed and
explained the fi]Lqncial stsiements-
observe the meth(Mts and principals of the Chariu¢s SORP.
(d)
(e)
The Truste£s are responsible for keeplng proper acwullting records ￿'hICh disclose ￿'1th re35ODable accuracy at any time
tbe fmkmcial position of th¢ clwity and to ensure that tbe fiDanci41 statements con]ply with the Charities Act.
The Trnstees are aiso responsible for Safeguarding the assets of the charity henc¢ for taking reasonable steps for the
prevention and detection of fraud and other irregularities.
The Trugtees confim they have referred to the guidance contsiDed in the Charity Commtssion'5 general guidance on
public benebt when reviewing the ¢haT]￿S aims and objectives and in planning ￿t￿re activities.
ON BEHALF OF THE BOARD OF TRUSTEES
SUNG
ON
TREASURER
2310312026
DATE

CAMBRIDGE YEOLIM CHURCH
PAGE 3
FINANCIAL STATEMENTS FOR THE YEAR ENDED 30TH NOVEMBER 2025
rNDEPENDENT EXAMtNERS REPORT TO IHE TRUSTEES OF cAMBRI[￿E YEOLLM CHURCH
I Tep)rt on the accounts of tbe Charity for the year ended 30th Novemlw 2025.
RESPONSIBILITIES AND BASIS OF REPORT
As th¢ ch&rity trustees of the C]0 you are Teswn517)le foTthe weparation of the accounts in accordance with th¢
Tequiremejtts of the Charities Act 2011 (IheArf).
I T¢[￿ in r&4)ect of my exaMin￿On of the CIOI accoutts carried out Lmder Section 145 of the Act. In callying out
my examinthon I bave followed all applicable diTed10￿ giveD by the Charity Commi￿10n under section 145(5)(b) of
the2011 Act
DEPENDENT EXAMtNERE STAfEDAENT
I have completed my ¢xaminatioL l th8tno n)awial matters hav¢ o)me to my fftttentioll in connection with th¢
examination giviug cause to believe that in any material res
acc4)UDting records were I￿¢ k¢Frt as required by 5¢Ctil)D 130 of th¢ ACL or
the awouDts do nol accord with those record5. or
the accout)ts do not compty with the applicable Tequirnents concerning the forni and contents of accounts
set out in the Charitie5 (Accounts and Report5) Regulations 21yJ8 other than any requirement that the
a¢couDts giye a Irue ￿ fdir, which 15 llot a matter considered as part of an independent examinatii)n.
I have no Conc￿ and have come across no other matters in connection with the exam&nation to which attention should
be drawll in this report IT) order to enable a PToper undeTStanding of th¢ accounts to be reachetL
JAN SHJPLEY FCCA
FOR AND ON BEHALF..
PRENTIS & CO LLP
CHARTERED ACCOUNTAKrs &
115¢ Milton Road
CB4 IXE

CAMBRU)GE YEOLIM CHURCH
PAGE 4
FINANCIAL STATEMENTS FOR THE YEAR ENDED 30TH NOVEMBER2025
STATEM8Nf OF FINLNCIAL ACTIVITIES
Total
UJ)restricted
2025
Unrestiicted
2024
COME
Donatiollg, ￿al￿ts and gift aid TecoveTJbl¢
TOTAL INCOME
Notes
123.837
134.870
123,837
134.870
EXPENDITURE
120.693
119,032
TOTAL EXPENDITURE
120.693
119,032
NFf MOVEMENT IN FUNDS FOR THE YEAR
3,144
15.838
RECONCILL4TION OF FUNDS
Total b&14DCC brou8bt fongard
Total fi]nd balaDC¢ C4TfiEd forwllrd
189,604
173,766
192,748
189,604
The Staternent of FiD8ticial Activities illcludes all galljs and lo￿ recognised in the year.
The on pages 6 to 9 forni Imrt of these financial statements.

CAMBRIDGE YEOLtM CHURCH
PAGE 5
FINANCIAL STATEMEKfs FOR THE YEAR ENDED 30TH NOVEMBER 2025
BALANCE SHEET
2025
2024
FIXED ASSETS
3,889
1,368
CURREKt ASSETS
Cash at bar
D¢b¢oTS
178,642
18.521
176,518
18,715
TOTAL CURRENf ASSETS
197,163
195.233
CURRENT LIABILITIES
Creditor5
8.304
6,997
NET CURRENT ASSETS
188.859
188.236
TOTAL NET ASSETS
192,748
189,604
THE FUNDS OF THE CHARITY
Unr¢stri¢i¢d in¢om¢ funds
192,748
189,604
TOTAL CHARITY FUNDS
192,748
189,604
The financial statements were approved by the Board of T￿￿¢￿$ on 13id lkn ao
SUNG
IN SON
TREASURER
The notes on pages 6 ￿ 9 fonn part of th¢5e fLnanciai statem￿ts.

CAmBRI￿E YEOLIM CHURCH
PAGE 6
FINANCIAL STATEMENfs FOR THE YEARENDED 30TH NOVEMBER 2025
NOTES TO THE FINANCIAL STATEMEKrs
ACCOUNTfNG POLICIES
(a) BASIS OF PREPARATION OF FfNANCJAL STATEMENPS
The fmancial ststemeDts have beenpT¢pared undeT the historical cost convention with iten]s ￿C0S￿l88d
at cost or tratLWtion value unles9 othenvise ststed iti the relevant wtes to these fuwicial statements.
The financia] statelluits have been prep￿c￿ in accordance witb tbe StAtrmeJrt of ReeoTfJTrKnded P￿l¢e.
Accountillg and Reporting by ChaTiti¢s preparing their acCOw￿ in acc4Jrdance with thE Finallcial
Rewrting Standard applicable it[ the Lnited KingdoTn aJKI Republic of Ireland (FRS 102) issued October
2019 (effertive 1st JaDUary 2019) thE Fiu4Dcial Re￿ting str]K￿ applicabl¢ in the United Kingdom
and Republic of Ir¢l2Dd (FRS 102) aDd the ck￿l[leS Act 2011.
The TTr￿ee5 CQDsiderthere are no material U[￿￿￿¢5 alx)ut the Chariws ability to continue as a
(b) tNCOMB
In¢orne r¢Ffe8ents the amount deritrtd from the cb8rttys OTdinory a¢tivities. Income is Tecogn15ed in
the period An whieh the charity is entided to receipt atld the arDouut call ￿eaSured witb r¢asonable
certainty. No income is 8tatEd n¢t of aswciated ¢xrKndTtt
(c) EXPENDITURE
All expenditure is accowtted for on att ￿[TUa]S ￿575.
Charitable expendilure wmprises those c05ts incutTed by the cbarity itt the delivery of its a¢tivities
and services to benefici8r&es. Governance c(k8ts include costs associaied with meeting the constitutional
and stalutory requirements of the chaTity and ¥r¢ pgrt of the chaTity adivitie8. Exrxnditure is allocated
to CxpeT￿ knding5 on a direct cost basis.
(d) FIXED ASSETS AND DEPRECIATION
Tangible fixed assets are stated at cost le&8 dqy￿1atlott. Depreciation is provided at rate5 (￿culated to
writc off the cost of fixed I￿$ their estima￿ residual value, over tb¢ir ¢xp¢¢t¢d us¢fiJl lives 011
the following b&sis:
Computer ¢quipment
Fixtures aTKI fittings
25 /(* straight line
25% strdight line
{e) STATEMEN[ OF CASHFU)WS
The Truslees have opted to take adv8ntsge of thc am¢nibncnt to CF￿ltIeS SORP FRS 102, where&% ollly
]8rger Charities are required to pryare a State￿ellt of C&5bfiow.

cAmBR￿￿E YEOLIM CHURCH
PAGE 7
FINANCIAL STATEMENTS FOR THE YEAR ENDED 30TH NOVEMBER 2025
NOTES TO THE FfNANCIAL STATEMENTS
EXPENDITURE ON CHARTfABtE ACTIVITIES
Total
Unrestricted
2025
TotAI
Unrestricted
2024
Gross wages
Employees pension
FJnployeP5 N*ionaL ILsutaDCe
Inswance
67,782
.559
1.657
354
2,073
895
2.596
1.500
12,380
8,808
280
455
1292
72,949
1,786
2,106
288
1.304
892
5,676
3,442
8.327
4,60i
334
619
1,532
643
1,980
2,167
12
139
1.710
7.335
Posts¥e, stotiollery and advertisitig
Housing support
Speak¢rs
Misslontiries
R¢nt
Safeguarding
Software aDd subscriplioDs
Misc¢lIa￿0￿s
Depreciation
Jndepend¢nt Examinalion fee
Sunday Scbool
Donations
Books
Travel
Church Events
1071
1448
3,7LM)
498
8,593
120,693
119,032
STAFF COSTS
2025
2024
Salari¢s
67.782
72.949
The average number of employees duritig the period w&s 4 (2024: 3).
No metnberof staff e4rn¢d more £60.(IXI.
The keyrnatwement wsonnel of the tsity cotDPTi5¢5 the Board of Tn￿te£s.
A Trustee, Reverend T KillL was remunerated £53,884 durtngtheyear (2024: £47,675).
Trustees are allowed to b¢ rwnun¢rat¢d under th¢ ¢haTiW5 Constibjtion. The Board of T￿￿tee5 considEr
the level of renumeration to bE ill li￿e with compsrable ro1&5 in the lo￿1 area TTU5tee5 take no pwt
in the deci5ioDs regarduig their employnKnt alld remuDeT4ti0

CAMBRIDGE YEOLIM CHURCH
PAGB 8
FINANCIAL STATEMENTS FOR THE YEAR ENDED 31JTH NOVEMBER 2025
NOTES TO THE FINANCEAL STATEMENrs
FIXED ASSETS
Fixtlwes and Computer
Fittings Equipm¢nt
Total
COST
Balao¢¢ ot 1st De¢¢mber 2024
Additiot)s
600
2,535
3.227
3,135
3,227
Balance at 30th Noveth2025
600
5,762
6,362
DEPRECIATION
J3alaDce at 1st D￿ember 2024
Charge for th¢ year
360
150
1,407
556
1,767
71h5
Balance at 30th Novetnber 2025
510
1.963
2,473
NET BOOK VALUE AT 30tb NovembeT2025
90
3,799
3.889
FIXED ASSErs
- PRIOR YEAK
COST
Ba]wKe ￿ 1st DccemFKr 2023
Additions
Fixture5 and Computer
Fittings Equipment
Totsl
1,304
1,904
1,231
Balance at 30th November 2024
2,535
3,135
DEPRECIATION
Balance at 1st Decemt¢r 2023
Cljarge for the ycar
210
150
914
493
1.124
643
Ba]ance at 30th November 2024
360
1,407
1.767
NET B(KIK VALUE AT 30th Novcmber 2024
240
1.128
1.368
DEB TORS
2025
2024
Prepa5Toents
Gift aid recoverable
254
18,267
233
18,482
18,521
18.715
CREDITORS
2025
2024
Net Iiages and social security
Ac¢nJals and defeTred income
6,114
2.190
4.901
2,096
8.304
6,997

CAMBRIDGE YEOLIM CHURCH
PAGE 9
FNANCIAL STATEMENTS FOR THE YEAR ENDED 30TH NOVEMBEEi 2025
NOTES TO THE FINANCIAL STATEMENTS
MOVEMKNT ￿ FUNI)S
Balance at
1st
Novemt*r
2024 Income Expenditure 2025
Unrestrict¢d funds
189,604 123.837 (120,693) 192,748
Ba]allce at
1st
Balan¢t at
30th
November
2023 IDCQJD¢ Exp¢nditur¢ 2024
. PIUOR YEAR
Unrc5trActsd fi]Dd5
173.766 134.870 {1 E9,032) 189,604
RELATED PARTY TRANSAcfIoNS
Durillg the >tar 4 TnL￿￿ wtte r¢imbur8ed for vgxiow expen5e5 as chU￿b Speakers, office supplies,
travel and subsistence with exwLqes totalling £4.584 (2024.. £2,823 for 5 Tru5*es).