1-4k%?c.harW].nist"r.iÈ%.UK'
sachar Mlnlitrl•s UK
Charlty No,. 1192583
Charltable Incorporated Organlsatlon No: CE022876
Accounts and Truste￿ Annull R•POrt
Year Ended
31 December 2023

Is4ch<ir MiriiStr.i'ès U.K
Ac.c.L)i.Iijtrs-aiTrLI Triisfèes Aiiiiiifif--HfrpoYi f(sr rlie Year Fijcfed jY't)echih)b'er•O237.-
Index
Pay Nufflber
Charlty Information
Trustees, Report
Statement of Flnanclal Actlvltles
8alance Sheet
Notes to the Accounts
Detalled Statement of Flnanclal Actlvltles
Independent Examlnevs Report
9-17
18-20
21

44.r'.
tsgacfiat.'MiftJstrfes.UK-" :,
'A'ecoLlllts an
Charl
Info
lon
Tnjstees
The Trustees durlng the year ended 31 December 2023
Mr Nick Szkller
Mr5 Vanessa Edmonds
Mr Spyrakls Efthlmbu
MT Christopher Cobbold
28 Aprll 2023
28 Aprll 2023
G•n•rnl Manwr
Mr Chris Cobbo5d
Admln15tr•tor
Mf$ Jacqu8llnÈ 8arber
Flnandal Controller
Mrs Nadlne Crawlord-Plper
Rewstered Offlu Addf•SS
Bedford Hel¥hts
Brlckhlll Drlve
Bedford
MK417PH
Bafike
CAF 8ank Ltd
25 Klngs Hlll Avenue
West Malllng
Kent ME194JQ
The Charlty 5s operated under the rules stlpulated by the Chadtles Comm1$510n.
Overall manaBement of the Charity is the responslblllty of the Trustees.

1ssè<liar.Mliif5krie*ilK
'.Actoiiti¢¥.3nd.'TrngteèshAnnya)I *ÈpiifT.frir'tk"wYéar'.gntleii"Y.i".tSécÈ¥hber.oO.23".'
Trustees Re
ort
Charity Informatlon on structure Governance and Management
Chlrltablo Ststus
The Charity numbor 1192583 wa5 rgg15tered on 30 November 2020. Issachar
Minlstrles UK 15 8 Charltable Incorporated Organi5ation wlth Company Reqlstration
number: CE022876.
anlsètlon
The charity is focusslng on provldlng supportfor the eommunlty through the SL4ndav
Gatherln8s, occaslonal reglonal meetlngs and the Dlsclpleshlp Tralnln8 Inltlatlves. The
organ15atlon al￿ provldes resources for C+M Mlnlstries and Prophecy Todav.
The organisatlon employs four people, all on a part-time basls who are responslble
for key furbrtlons around admlnlstratlon, ftnanclal record keepln8 and edltorlal work
Th• b8lance of the 8cEivltles are ¢arrled out by eleven volunteer
The or8anisatlon ha$ a board of 3 trustees who direct the overall artlvities. The
trustaes have dele8ated day to day management to the General Manager who also
ha5 respon51blllty for Human Resources and Ilne managemenl of the employed staff.
All staff and volunteers work from home and as a result we have ? vlrtual buslness
offlce address Sn Bedford and stora8e facillties for booksand materials.
The charlty Is aware of Its GDPR re5ponslbllltles and comrnunlcates these
responslbllltles to Its SUPPOrters accordin8ly. Those on the database have expressed a
wljh to recelve communlcatSons from the charity. Supporters can request to be
removed from the database at any tlme. The databast Is malntalned and revlwÈd
regularly.
Rl k Mana
¢ment
ement
The Trustees fe8ularly revlew the major rlsk5 to whlch the charlty Is exposed and.
Whe￿ approprlate, In place sy5tem5 and artfvity to mitl8ate th05e r55k5. The
Trustees are committed to on8oin8 rlsk assessment and quality monitorlng processes.
A Trustee Indemnlty Policy is in place as well a5 Other relevant Insurance pollcles.
Ob
ectlves and A¢tlvlt
ès
The Charit￿$ obJertlves continue to be the advancement of the Christlan I3￿h In
accorda￿ with The Statement of Falth in such ways as the Trustees thlnk flt.

Accotints ani*TfO"4t.'ées'A'nYitiBI.Reryi)r.Iilo*'t
Achlevemen
an
Performancé
Issachar Minlstrles UK (elsewhere referred to as'the charlv and 'the organlsatlon'l
was operational durlng thls perlod.
The Trustees have had due regard to the Buidance publlshed by the Charlty
Commi55ion on Publlc Benefft, and they See a fulfllment of these rasponsibilities as
follows-
l. Advanclng the Chrlstlan falth throu8h wrltSng. teachin8 and remlndlng people
of thls natlon'5 Chrlstlan herits8e and culture,.
2. Providlnl networklnl opportunities,. and
3. Encouragln8 and t8achin8 through books and newsletter5 and Interpretlng
current events In the Ilght of Chrlstlan values.
The charlty r•port$ a surplus of £6,33412022: £14,937) with Ineome not utilli•d treated a5
delerred Income. Included in the surplus Is net re5trlcted Income of £1.28912022.. £61.The
tot41 funds held bythe eharlty at thls Year End15 £21,240 and Is In allBnment wlth the
Charityls ReseNe Pollcy.12022 £14,9061.
serves Poll
The Tnjstees have aEreed to a ReseNÈ Pollcy 01 É18,000 at ihe flnancial year end. Th15
polky15 based on the ratlo tsf donations to expenses, and to fvlly satisfy Its flnanclal
obll8ations to staff and creditor5, worklng on a three rnonths, notlce period Lo settle all
debts should the charity be unable to continue Its operatlon5.
The charlty has applled for recognitlon by HMRC In order to reclalm Gfrft Ald. The charlty
does expect to recoup some Gift Ald retrospectivelv.

AceoitnEs'Dri(I'Tri3Stée5 Annual Repbitfurl
b3i'Eltdèci41.bdc¢in'ber 2023".";
Trustee Statement
Durln8 the course of the year the Trustee5 focused on preparlng and equipplng Chrlstians to
adapt and fulfil thelr personal ministry In thls fast changing world.
Issachar Mln15trles UK took over the tlnanclal respon51blllty for Prophecy Today Llmlted
(Reg. No. 094651441. a not for proflt company which 15 Ilmited by guarantee and facllltated
the marketlngi arbd sales of Cllfford Hill's book5 Includln8 the new tltle," 8ecoming an
Issaehèr People"
Re
Ib
The flnanGial statements have been prepared In accordance with the Statement of
Recommended Prartice Accounting and Reporting by Charltlès, preparlng thelr accounts In
accordance wlth the Flnan¢ial Reportlng Standard applicable in the UK and Republic of
Ireland IFRS 1021 and the Charltl¢s Act 2011and UK Gen•rally Accept•d prartlce és it applies
from ljanuary 2015.
The Trustees ore respon51ble for keepin8 accountin8 records whlch dlsc105e wlth re350nable
accuracy at any time the financial positlon of the Charrty. and whlch enable them to ensure
that the flnancSal statements comply wlth appllcable law and regulatlons. The Trustees are
also respon51ble for $afe8uardln8 the ass•ts of the Charlty and hence for takln8 reasonable
steps for the preventlon and detectlon of fraud and other Irregu18rltles.
The charlty's Trustees conslder that an audlt is not required for thls year under sectlon
144121 of the Charlties Art 2011 (the 2011 Act), however. the accounts are Indepondently
examlned.
These statements ha¥e been revlewed and agreed by the Trustèes In post at year end in
2023
The Trustees confirm that they are In a8reemefit wlth these responslbllltles and that they
keep up to date wth charlt¥ Law and are contlnuln8 to take the nece55pry actlon to ensure
that thelr re5poftsibllltles are d15charged wlth due dlllgence.
The report has been prepared havln8 taken advantage of the small companles. exemptlon in
the Companles Att 2006.
Nick Szkller
Vanessa Edmonds
Chalr of Tru#oos
Trustee and Treasurer
Approved on:
zo/i/zo z }

ATEMENT OF FINANCIAL AcrivinES
For the year ended
31 Deum￿r2013
1073
Unr•strktqd
2023
TOTAI
20
Unr•thld•d
TOTAL
Charftabl• Attl¥ttl•i
10.830
3,324
14.154
10,282
3,850
14.132
Donal￿Tr$ Recd¥ed
llncludlniufll1￿1I0n ql
D•fwr•d In¢•m*l
60.113
965
81,078
87.644
87,644
710
?io
Tol•1
91.653
95.942
97.gji
101.711
Em￿ndI￿ra on:
Adm￿￿•￿¥0 •nd
Ch•rlt•bl• CDsts
86,608
09,601
3,QC
97,644
Tot•1 4dmln1str•l￿•lff￿
th4fftJbl• •xp￿d￿￿r•
86
84.608
Incom•lexp•ndllur•
5.045
1,289
6,334
14,931
14,937
Toi•l lundi broutht
fDAvard
14.900
14,906
-31
-31
Totrlfvnth arrf•d
1,295
21.240

(ssa¢tsarMtnlstr.le'&'.U%::
Aecti(¥rt'tsand'trasr2ÈtAriftti-?I'Rètt'dltfor'tht,Yé3Y'Fn£fed 34piJé¥ei71ber2rf21:.'
BALANCE SHEET
A5at
JI De¢omber 1023
2023
2022
Curr•nt Assets
Cash at bank and In hand
20,521
44,027
Amount owini from Prophecy Today
14,706
15,306
TOTAI A55ETS
35,227
59,333
Credftors: amounts falllni due wlthln
one y4ar- Deferred Incom•
.13.225
-44,027
Cr•dStor$- Attrnals
-762
400
Tot•1 Curr•nt Assets
13,987
-44,427
N•t wrr•nt assets
-13,9B7
44,427
Totsl Msets le55 ¢urrent Ilabllltl•i
21,240
14,906
The funds of the ¢h•rlty
Unrestrlcted Income fvnds
5,045
14.931
Restrlrted Income funds
1.289
UnTe5tTlcted income brought
fonvard Ilncludin8 prlor year
dSu5tmentl
Restricted Income funds 8rouEht
loN4ard
14,9LKI
-31
TOTAL FUNDS
21,240
14,906
Nick Szkiler
Chairof Trurtees
anessa Edmonds
TNstee and Treasvrer
Dated. ZO/q/ ZO Z 4

135aeharMlniairie¥U¥'-
'rust<g¥Aniiiial',Itep"ei¥l'.fDpthe'Ye3rÈndèd...37'£1)é¢e"rnb"wr-.?oY3'.
e5 to ttte Flnanclal S
l. Ac¢owitln8 Poll¢les
B•sls of accoufitlng
The Inanclal ststements have been prepared under the hlstorlcal cost conventlon In
accordance wlth the Charities 508P IFRS 1021'Ac¢ountin8 and Reportlng by Charltles:
Statement of Recommended Prartlce applicable to charltles preparln8 thelr accounts In
accordance with the Flnancial Reportlng Standard appllcable In the UK and Republlc of
Ireland IFAS 1021 leffertlve l January 20151,. Flnanclal Reportlng Standard 102 ihe FlnaTiclal
Reporting Standard applicable in the UK and Republic of Ireland IFRS 1021, and the Charitles
Art 2011 Art.
ISSACHAR MINISTAIÉS UK meets the deflnltlon of a public benefrt entity under FAS 102,
Assets and liabillties are Inftlally re¢o8nlsed at hlstorlcal cost or transactlon value unless
Oth•￿Ist stated In the relevant accountlng pollq notelsl.
The flnanclal statements are prepared In 5terlln81 whlch Is the funrtlonal currenry of the
charlty. Monetary amount5 In these flnanclal statements are rounded to the nearest £.
Fundi
Unrestrlrted funds- are monles avallable for use at the dlscretlon of the trustees In
furtherance of th•ir charltgble oblectSve5 unless the fijnds have been deslgnaied for other
purposes.
Restyicted funds -monles suble¢t to specific condltlons imposed by the donor orfundraisinu
events held for particular purposes. An¥ balance remalnlng unspent at the year-end Is cèrried
forward Bs a balance on that fund.
Inwmlni rnsoums
All Incoming resources are Included In the statement of flnanclal ?ctlvltles when the Char¢tV 15
ent6tled to the income and the amount can be quantified wlth reasonable accuracy. The
followln8 specSflc pollcles are opplled to partlcular cateqorles of Income..
Inwme Is recognised when the charity is le8ally entitled to it after any performance
conditlons havè been met, the amounts can be measured rell8blyi and ￿ Is probable that
income will be received.

lssatharMinlstrte5 UK-.
Arttiurfltna':.Tru5tges.'AniflJBI.*i¥poh-'for th'e
Notes to the Flnandal Stataffl•Tts- C¢yntinued
CHARITABLE INCOMÉ
l)on•tloDs Rttelved
Income from donatlons compr15e Income generated from the followln8 sources:
Donatlons re￿ived
Membershlp subscrlptlon5 where these are In substance
Gifts In klnd and donated services and lacllities
Legacles
Income from donJtlons and le8acles Is defined In the Charftles St•tement of Recommended
Practlce IFRS102 50RPI at paragraph 4.31 and 4.32.
Charftabl• A¢tl¥ltl•$
This includes
Sale of goods gr serv5ces as a charitable artlvtty
Sale of goods made, or seTvlce$ p￿ded by the charltable beneflclarles
Income from charltable actlvlties is dellned In the Charltles Statement of Recommended
Prartlce IFRS 102 SORPI at para8raphs 4.33 to 4.34.
Where Income. relatln8 to 5peclfic accountlfi8 perlods, Is recelved In advonce, thls 1$ deferred
on an accrual'5 b4sls to the period to whlch It relates. Such deferrals are Includéd In current
Ilabilltles.
EXPENDITURE
These comprlse all the expendFture Incufred In meetin8 the charltable oblectlves Ineludln8
amounts spent on..
The dlrect prov15ion of charltable servl
io

Accobrils?fftfTrilSteès AhhUalilÈobrt fdr theYe3r Endèd,>'i,6eceriilJÈi.?ii?3':
Notes to the Fln&ndal Statements- Contlnu¢d
2. Incom• from ChaTltable Actlvltles
2023
2023
2023
Unrestrftted
Funds
Re5trlct¢d
Funds
2022
TOTAL
Tot•1
Charltable
Actlvltle5
10,830
3,324
14,154
14,132
TOTAL
10,830
3,324
14.154
14.132
3. Incom• from Donatlon$ R4eèlv*d
2023
UnTestrldod
Funds
2023
R¢strSrt•d
Funds
2023
2022
TOTAL
Tot•1
Donatlons
Recelved
49,311
965
50,276
87,644
Utlllsatlon of
Deferred Income
30,802
30,802
TOTAL
ao,1
965
81,078
87,644
li

Aecounts and"Y,rii4teé5Atl"rittsi￿p0it*l5tr-¥he.yea￿ Èa¢iÈ' d.',3&.:'0"*cenlb".è￿ts23
Notes to th• Fln•ndal Statsrnents-contlfiued
Expeiidltuie on thwltable Actlviiles
Unr•stilrt•d
Fund5
Reslrl¢ted
Funds
2023
2022
2023
2023
TOTAL
TOTAL
Charltabl•
Expendlture
Support costs-
admin
Governance Cost-
Independent
ExBmlnerf5 Fee
22,994
3,000
25,994
19.240
62.577
62,577
67,204
660
660
4(V3
Adlustment
377
377
TOTAL
89.608
12

-Ad¢oun
hlotes to the Flnandal Stst•mÉnts- Contlnued
S. Dlrert Charll•ble
Expen
Unrestrlrted
Funds
Rastrlct•d
Funds
2023
TOTAL
2022
TOTAL
HEART Insert
Charges
PropheryToday
Cost5
Mlnlstry Posta8e
C05ts
Cort of Book
purchases for resale
SON pnd Emall
Costs
1,030
1.030
5,500
1,656
1.656
6,459
4,740
4,740
1,198
3,038
1,614
3,503
3,503
625
Re8lonal Meetln8S
Crosslng Over and
Oanatlons for
Speakers
10,667
10,667
1,360
1.360
TOTAL
22.994
25.994
19,240
6, Total stsff £0rts for th• y••r ended JI DKember 2023
w•re:
2023
2022
alarfes and wages
36,332
43,274
ension costs
1,257
1,424
37,589
44,698
There were no ernployeEs whose annual remunefatSon was £60,000 or mole.
Saiailes and PensltsTh costs ère ngt amounts after allocallon charges tt) ProPhewTod3y£6,5C￿I2O22
E8,3001
13

Numberofstsff
2023
2022
AdmlnlstTrtfve
Volunteers
li
TOTAL
?. D•btors due In one
ear
2013
2012
mounts due from Prophècy Today
14,706
15,306
14.706
15,306
nx)urts Du•15 th n•t ¥ft•r movomont ofr.
Z023
2022
undry payments made on behalf of PT
150
Ilocation ot Salary payments to ProphecyToday
6,500
8,3CQ
Ilocatlon of ProfesslonaS sUPPQrt fees
750
+M brotsght forward amounts
6,486
mounts Recelved from ProphecyToday
et m0￿mant fw the year
1S,306
14

Is*Èhar'MlriistrfesUK. f,=. .
'Aeiobnkn¢idTrWÈ'tees Annual,Flepiirt loy th'e.Yéai Ènded >i:,De¢vmbe¢i21123:'
NDt•s to th• Flnandal Stthments~ Cantlnued
8. Credltors due In one
ear
2023
2022
efL¥Ted Income
13,22S
44,027
rua
AL
13,885
44,427
9. Mo¥em¢nl In Funds- Ufirejlrlrted Funds Current Ye•r
Balance at
Intomlns
Outyoln8
Balance •t
0110112023
Regour¢•s
Resources
3111212023
Unrestrlcted
Funds- Current
14,900
91.653
-86,608
19,945
year
Tatal
14,91JO
9L653
46,608
19,945
UnTe$trfcted
Funds- Prev10119
year
Ba1￿ce at
In¢omlni
Outlolni
Balance •t
0110112022
resources
sources
3111212022
Unrestrlrted
Fund5
-31
97.931
3mO
14,90Q
Total
-31
97,951
14,900
15

'. 1 é$4&Dr*llMtstiies'Uk
.'Accolinls'.arii4,frtJ*tees A'nt(IlaI.'*epo￿ffJr.t￿evear.￿ffded'.￿..(jé.￿eM1j￿r.:￿oI¥..
N<>t•s to the Financlal Ststemefits- Contlnued
10. Mo¥•ment In Funds- Restrlcted Fund$ Current Yeai
11. Movement In
fvnds
RestrlLted Funds-
Current Year
Balance at
0110112023
Incomlng
resources
alance at
3111211023
r•sour￿5
Restrlcted Funds
TOTAL
4,289
4,289
-3,000
1,295
1,295
R•strkt•d Funds
Pr•¥l4ui Year 2021
Ba14n¢• at
OIIOV2022
Intomlni
resoyrces
Outiolni
fespurces
Balan￿ ot
3111212022
Rertrlcted Funds
3,850
3￿50
.3,844
YOTAL
Restrlcted Income and expendlture relate to donatlons received for speciflc book resources,
State of the Natlon CDS and de518nated amounts recelved and expended for Sunday
Gatherlni meetlngs.
16

Atiaunt5 i< ndYhilE'tyés*hnuailpepbit'ldrtii¢Yètrfniièd3'.1 bècerT?ber?t>23 '...
11 Analysk (rf net assets b•tween funds
Unrestricted
Funds
Restrlcted
Fund5
Total Funds
Unrestricted
Funds
Restricted
Funds
Total
2023
2023
2023
2022
2012
2022
Fund balancffi •5 it
31 O•¢•mber 2023
rewtht•d
Cosh and Debtors
33.938
1,289
35.227
59,327
59,333
Less Credltors •nd
accruals
.13,987
.13,987
-44,427
44,427
D•l•nce •t year •ftd al
Dernmb¢r
14,906
19,951
L289
21,240
14,900
17

iS￿haT￿1,nistr,lÈs￿.x...:
Arcotint5 3hfvrustèé¥ Arfttft81 Repbft'ittrtlietst Erfded'41
'cphibél:?ogy:
Not•5toihe Fthand•l Statements- ContSnued
Detalled Statement ol Flnan¢lal Actlvltles
INCOME
2023
X112
Webinar5
5.949
652
Sale of Resources
2,195
4.442
Re8lonal Meetings
2,686
TOTAL Charltable Artlvltles
,830
5,094
Des￿n￿l￿dIR•￿1Ieled Funds..
8ecomin8 an15sachar People
1,699
State of the Natlon
1,625
4,529
Other Deslgnated Income
965
3,850
TOTAL
Ot518nated/Restrlcted
Incorne from Other CharSL7ble
artlvltlqs
4289
8,379
Sunday Gatherlng
2,591
387
Prophecy Today Donations
6.228
3.615
Gener81 Donatlons
37.636
20.828
Deferred Income utlli5ati¢)n
30,802
Legacy Income
2,856
300
Total In￿e before Interejt
95.232
101,776
18

' liccounts and trusiÈéS Anti"(ial"R'efr"apt'fc)rth@'Yè.atrtrfde"rt".31 U).ecerAtYert"033'. -
2023
20Z2
In¥¢rtments
&ank Interest recelvable
710
Tot•1 Int•r•st Incoffle
710
TOTAL INCOME
95,942
101,781
DIREcf EXPENDITURE
HEART Insert
1,030
5,50)
PropheryToday Costs
1,656
6,459
Mlnlstry Postag* Costs
4,740
1.198
Cost of Purehaslng Books for
resale
8ecomln8 on Issachar People
REStrlrted Spend
38
1,614
3.000
SON and Emall Costs
3,503
625
Re8lonal Meetlnis
10.667
Desi8nated Spends
TOTAI Charlty, OesS$nated and
Restrlrted spend$
1,360
3,844
25,994
19,Z40
Admlnlstratlv• •nd other Support
Costs:
Salaries. Staff Costs includin8
travelllng
36,332
43.274
Penslon
1.257
1,424
Staff Travel
585
410
Telephone. Stationery and
General Office CDSt5
4,778
2,315
19

Attotinti"3n<i'.TrU'&éès:Arinu?I'Re￿ .
I￿15t71e*uK
Or.theYeèYEAdgt141.be¢emlléi.'QO?¥
Staff Away Days
250
1,991
2022
Virtual Offlce Cost
3,649
2,185
Flnance Charges Istrlpe, CAF, Take
Payments)
Webhostlng, loom and IT related
costs
812
685
4,607
3,972
Insurance
689
Contract Staff Payment
9,618
10,308
Total Offl(• Expenses
62,577
67,204
Expenditure Adjustment
377
Independent Examinatlon Fee
400
Tot41 ¢•9ources expend
89,608
86,844
Exp•hdltur•
6,334
14,937
20

Issachar Ministries UK
Accounts and Trustees Annual Report for the Year Ended 31 Decembef 2023
INDEPENDENT EXAMINERS REPORT
ISSACHAR MINISTRIES UK
FOR THE YEAR ENDED 31 DECEMBER 2023
Independent ex•mlner's report to the Trustee5 of Issachar Mlnlstrl85 UK
I report to the trustees on my examlnatlon of the accounts oflssachar Mlnlstrles UK I'the charltv'l
for the year ended 31 December 2023.
ResponslbSlltles and b￿lS of report
As the trustees of the charlty you are responsible for the preparatlon of the accounts In accordance
wlth the requlrements of the Charltles Act 20111.the Act'l.
I report In respect of my examlnatlon of the charltrfs accounts carrled out under sectlon 145 of the
2011 Act and in carryin8 Out my examlnation I have followed all the applicable dlrectlon5 given bv
the Charlty Commls51on under sertlon 14515llbl of the Act.
Independerf ex•mlnees ststement
I have completed my examln3tlon. I confirm that no material matters have come to my attentlon In
connectlon wlth the examlnatlon glvlng me cause to belleve that In any materlal respect:
accountlng record5 were not kept In respect of the charlty as requlred by sectlon 130 of the Act,.
or
the accounts do not accord wtth those records.. or
the accounts do not comply wlth the appllcable requlrement5 concerning the form and content
of accounts set out in the Charltles IAccount5 and Reports) Regulatk*ns 2008 other than anv
requlrement that the accounts gSve a 'true and falr, vlew which 15 not a matter consldered a5
part of an Independent examlnatS0n.
I have no concerns and have come acros5 no other matters In connectlon with the examlnation to
whlch attentlon should be drawn In thls report In order to enable a proper understandlng of the
account to be reached.
J R Caladlne FcCA￿A FCIE
Caladine Limited
Chartered Certrned Accountants
Chantry House
22 Upperton Road
EastbouTne
BN21 IBF
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