Ch¥lty Number 1196050
ISAIAH61MOVEMENT
Report and Accounts
for the year ended
31 December 2024

ISAIAH61MOVEMEKr
Report and Acwunts
for the year ended 31 December 2024
Contents
Page
Charity Information
Trustees, Report
Statement of Trustees, Responslblllties
Independent Examiner's Report
Statement of Flnanclal Activltles
Balance Sheet
Notes to the Accounts
9-11

1&41AH61MOVEMEKr
Charlty Informatlon
for the year ended 31 Lle¢ember 2024
Charlty N￿nber.
1196050
Date of R4lslratlon:
05 Ortober 2021
Truste•s:
Mark Rowley
An8ela Campbell
Adele York
rim Morfin
Iresyed l January 20241
Slmon Benham lappolnted l January 20241
Trurt Objethes:
The advancement of the Christlan falth.
The prevention or relbef of poverty throughout the
United Kingdom, by providin8 financial support to
Indlvhjuals. charfties or other o￿an￿at00nS worki
to weveni or relle¥e poverty.
Re8btrr¢d Address:
clo TorevÈll Dent Umited
Chartered Certffied Atcouniènts
Centre of Excellence
Hope Park
Trevor Foster Wty
BFiADFORD
8D5 8HH
Independent Examlner.
samantha. J. Sutcliffe F.C.C.
Toreyell Dent Ltd
Chartered Certified Accountants
Centre of Excellence
Hope Park
Trevor Foster Wav
BRADFORD
BD58HH
Bankers:
Uoyds Bank
Page I

ISAIAH61MOVEMEr
Trustees Annual Report
for the year ended 31 DeCern￿r 2024
The trustees submit their Annual Report and Actounts forthe perx)d ended 31 t)ecembei 2024. which
have been prepared in accordance with the SORP FRS 102, Atcounting and Reportin8 by Charities
2￿)5 and the Charllbes Act 2011.
lsalah61Movement bs a 00 Foundatk*n registered Sth October 2021.
L￿*
The Trustees who seryed durlng the perlod were:
Mark Rowlev
Angela Campbell
Adele York
Slmon Benham
Page 2

ISAIAH61MOVEMENT
Trustees Annual Report
forthe year ended 310e¢ember 2024
Pr
Fknwclally
This has been a challenging year for us in raising the fund5 needed. however, God ha5 provided what we ha
needed often month by month. We made a l>okl decision to reduce our budget for 2025 by 40% to £207L and
we See the fruit in a more sustainable and funded mlnillry.
Op•Atlonalty
We partner with churches and their leader5 who recognise the problem that an estimated eight out of ten
Chrlstlans are not 5harlng thelr falth and know things have to change. Leadets who a￿ wlllln8 to prioritise the
Chan8e in Church cuhure to become Jesu54h*ln8 thurthe
Wlthout church leadershlp embraclng b61m, they are unllkety to see the translormatlon of the church culture they
seek 161m is not a course: Ihere is a rnuttl-year COMM￿Ment. We partner closely wlth the church team around ihe
three critical aspect5: Leadef5hlp, monthly Sund•y Churth servlce Inspfrltlon Ind challense. We brlng accountabilTtv
and share real-time data to anatyse their church through the i61.act setting" app. Thi5 data shows the cultural
hange we all work towards. We know of other mlnistry that cali 8Ne data on the Je5U5-sharlng artlvbty of
Indlvklual churches.
Why do we set Arts? There are suffic*nt iesources to Insp1￿ Christkns to share Jesus. i61m ask5 the br￿al
question. After the Insplratlon.. so whatT The161 dofference Ss setting Intentional Acts and turning good intentions
Into actitin. First. share Itfe, bulld frlendshlps. grow In confidence to share your fafth story. and finalty, share Jesus
by Invfting others to experlence HIM. All done tO8￿herjOUInevIno In the church communfty. If we don't wrlte
down our IntenUon5, set a date, and share them wilh other5, bulklln8 accounlablllty, we probabl¥ won't do hl
As Chrlstlan 8TOUPS mert reyl•rty, usin8 the i61m app to sèt thèlr Atts, pray, and encoufage one another.
they begln to take thelr Ilfelong 'good Intentlons. and make them happen. Many161m groups meet across the
the UK and have set almost 35(￿> Acts.
We filrn, edit and dIstrib￿e a new, hi8h-quality eptsode of i61@home. This is released monthly through our
YouTube thannel and from tt. shorter Y•k+S' mlnl4plsode. albwing teams or 8roups to journey quickly.
Groups watched fvll epL40des 51nce Sept'23 E 1250tr
• Flrst se8rnent views slnee 5ept'23 = 31MKh
Our app has engaged wlth bt Sn over 30 countrie5. We will continue to monitor any signfflcant growth and respond
accordingty. We 80 Into 2025 seeSng a tremendously increased confidence that God Is uslng161m.
We will continue to learn, adapt, and buikl lon8-term relation5hip5 With churches. We achieved 12 church
partnerships by the end of September 2024. In onty 5 months. this grew exponentially to 22 by January 2025.
Wè aim for 3540 by the end of2025, 75 bythe end of2026. and itYJ+ by 2027. Thiswould mean over 20.C
Christians actively sharing faith with their friends. The ultimate fruit we seek Is for many to find Je5US,' thelr vltal
ongoing di5cipleshipjourney is supported by eslablished friendship.
We are confident that over the coming years. we will see the cultural chan8e needed across the UK church and
Chrlstlans to return to His call that every church and every Christian should be inspired, equipped and wllllng to
devote time. enerBy and resources to Sharing Jesus.
Page 3

ISAIAH61MOVEMENT
Trustee5 Annual Rep(xt
for the year ended 31 Dffember 2024
With people, churches and funders being inspired by His Spirit. we see that it 15 indeed possible to change Church
Culture to be more Jesus Sharing.
lsaiah 61 ¥ 1
The Splrit of the Soverelgn IORD ts on me.
because the LORD has anointed me lus all)
to prodalm good news
ReMThes Pol
As a relatbvely new Charlty. we alrn to have three months of cash fiow held In a separate reserves aCCOUftt. We are
aware that reserves are thert to be used when the charity exper*nces cash flow Issues. Our reserves have already
been used on a couple of occasions. We accept that as a new 5t•rt ploneerln8 Charlty and wlth 4 challengln8 and
unpredktsble fundralslng environment. our ieserrfes will flurtuate.
We want to prlorltlse ￿PIen1$hIng our reserves wheneverwe have more than slx month5 of fvture bud8eted
cash needs wtthln our current bank account. Thts pollri will be annualfrrf amended If needed.
Flnand l Revlew
Full detai15 of the f+nanclal transacllons are contalned In the attached accounts. The total Incomlng resources for
the year were £275.44812023 .' £244.2281. after deductin8 resources expended of £294.78012023 ..£307.1791.
the net expenditure for the period was £19.33212023: £62.951).
The net a$5ets of the Charty at 310ecember 2024 were £11.33912023= £30.6711.
Angle Campbell. Chair of trustees and Drjohn Kirby, Founder
Paee 4

ISAIAH61MOVEMENT
St*ement olTnJtees ResponslbllltSes
for the yew ended 31 December 2024
The trustees are responsible for preparing the Report of the Trustees and the financial ststements In
accordance with applicable law and United Kingdom Acccwnting Standards.
The law applocable to charftles In England and Wales. the Charty Act 2011 and the provisions of the trust
deed requlres the trustees to prepare financial Statements for each financlal perlod which 8fve a true and
falr vlew of the state of affalr5 of the Charlty and of the Incomlng resource5 and application of resources,
Includlng the Income and expendliure, of the Charlty ftlr that perlod. In preparlng those financial statements,
the trustees arÈ required to
Select suitable accounting policies and then app￿ them consistently;
observe the methods and principles in the Charity SORP:
make judgements and estimates that are reasonable and prudent:
prepare the flnanclal statements on the 8olng concern basls unless It Is inapproprl*e to
presume that the Charlty wlll contlnue In buslness.
The trustees are re5ponslble for keepln8 proper accounllng records whlth disclose wrth reasonable accurxy
at any tlme the financbal posltlon of the Charty and io enable them to ensuie that the flnanclal 5tstements
compty wlth the Charftles Act 2011 and the provlsk+ns of the tft￿t deed. They are also responslble for
safe8uardlng the assets of the Charity and hence for tskln8 reasonable steps for the preventlon and detectlon
ot fraud and other irre8ularfrtles.
Page 5

ISAIAH61MOVEME14T
Independent ExamlnePs Report to the Tntstees ol ISAIAH61MOVEMErir
for the year ended 31 December 2024
I report to the tnistees on my examination ofthe accounts of I￿AH61m0V£mENTf0r the perlod ended 31
December 2024.
ResponslbllltS•s and bas15 of r•pLvt
the charlty trustees you a￿ responsible for the preparation of the accounts In accordènce with the
requlrements of the Charitles Art 2011 l*he Arf)
I report In ￿SPect of my examinatlon of the accounts carried out under Mctlon 145 of the 2011 Art and In
carryln8 out my examination I have followed all the applicable Directlon5 8lven by the Chaflty Commlsslon
under sectlon 1451511bl of the Art.
Ind•pend•nt •￿In•f.$ statsm•fit
I have completed my examlnation. l ¢onfimi that no materlal matters have come to my attentlon In
connectlon wlth the examlnation 8lvln8 me cause to belle¥e that in any materlal rt5pect:
l accountlng records were not kept In respect of the Charlty as required by sectlon 130 of ihe Act. or
2 the accounts do not accord whh those fecords: or
3 the accounts do not compty with the applKabk requirements concernlng the forni and content of
accounts set out In the Charlties (Accounts and Reports) Regulations 2(M18 other than any
requirement that thè accounts give a 'true and fair ¥lew' whlch Ss not a matter consldered as part of
an Independent examlnaiion.
I have no concerns and have come across no othef matters In connection with the examlnatlon to which
attentlon should be drawn in this ￿POrt in order to enable a proper understsndin8 of the accounts to be
reached.
antha.J. Su
Tovevell Dent Ltd
Chartered Certllled Accauntsnts
Centre of Excellenre
Hope Park
Tr•vor Foster Way
BRADFORD
8DS 8HH
Date:.
Pa8e 6

ISAIAH61MOVEMEpir
Statement of Flnanclal Acllvltles
for the year ended 31 December 2024
Total
Fund5
2024
Total
Funds
2023
Unrnstrkted Restrlrted
Funds
Funds
Note
Donations and grants
Interest Income
275.448
275,448
244,09)
Totsl
275A48
275.448
Ra151ng funds
Charltable actfvttbes
Governance costs
24.306
269.754
720
24,306
269,754
720
24,076
282,503
Total
294,780
N•t In¢om•
119J321
119,332)
162,9511
Tr*nsf•r b•tw••n funds
Funds brO￿ttt forvArd
30.671
30.671
93.622
Tthl lund$ ¢arrled lorw•rd
11.339
11,339
30,671
Page 7

labKe She
lor the yNr ended 31 Oe¢embeT 2924
Tot41
v•strfrted
Funds
Funds
2023
2024
TaTr8lble Ass
Cash at bank and in ￿nd
12.059
12JJ59
12.D59
12.059
31,271
31,271
Ulbllltl
Credlt*xs: amounts due
thln yt•r
(7201
720
N•t cuvrefft
IL339
IL339
30,671
Tot¥1 Asmts i•si Ll•bllftl•s
IL339
IlJ39
30,671
Credltors:
mounts due •fter
more than one ytar
Net Ats•ts
11339
IL339
Funds
Unrestrkted fvnd5
Restrkted funds
IL339
30.6YI
IL339
30,671
The Financial Ststements We￿ approved by the Tru5tee5 on_.2 rlo *12S
Anqel• Campbel
Ch•lr ￿Tn￿le￿I
Page 8

ISAIAH61MOVEMENT
Notes to the Accounts
for the year ended 31 December 2024
l A¢countln8 Polldes
a) ACC￿￿tIng Conventlon
The Financial Statements have been prepared under the historK cost basis of accountin
and are in accordance with applicable accountin8 Standards, the Charities SORP IFRS 1021 and
the Charilies Art 2011.
b) Income and endawments
All income and endowments are included In the statement of financ￿1 activities when the charMy
is le8alty entitled to the income and the amount can be quantified with reasonable accur•cv.
Costs of generating funds:
Voluntary income comprises tithes and freewill offerings from church members and others
attending church Services. The Tru5tee5 Consider Ft imprartKable to attribute costs to this
Income deemlng all costs to be chariiable actNrties.
¢) Expendltyre
All expenditure is accounted for on an accruals basis as a liability 15 incurred and Includes
VAT which cannot be fulty recovered.
Charitable artivities compfises the direct Costs of the projerts and activrtles
related io the delivery of artivitres and 5er4ices to its beneficiarbes.
It Includes both costs that can be alkKated directly to such activltles and indlrert Costs necessary
to support them.
Other Costs comprises the dSrect costs of the Char￿ that are not related to charltable
activities or fund generation. The Tiustees consider that any apportionment of Indlrect C¢￿ts
would not be materlal.
d) FIX￿ Assets
All Fixed Assets are included at C05t less accumulated depreciation.
Depreclation 15 provided to wrlte off the c05t orvaluation. less estimated reshlual values
of all fftxed assets except freehold land. over ihelr expetted useful Ilves.
el Taxatlon
The charty is exempt from tsx on its charitable artfvltres.
Fund Accountln8
Unrestricted fvjnds can be used in accordance with the charitable objectbves at the dlscretion of
the trustees.
Restritteil funds can onty be used for particular rertritted purposes within the objerts of the charty.
Restrirtions arise when specified by the donor or when funds are raised for particular restricted
purposes.
Page 9

1&41AH61MOVEMEMT
Notes to the Accounts (continued)
for the year ended 31 December 2024
2 Income and endry￿efits
Total
Funds
2024
Total
Funds
2023
Funds
Funds
Grants and donatiolls
275.448
275,448
244,060
275,448
275,448
244,060
3 Resour￿ Expend•d
Unrestrkt¢d Restrlcted
Funtts
Funds
Total
Fund5
2024
T¢>tsl
Funds
2023
RalslNd Funds .
Fundra151ng and major donor work
24,306
24.306
24,076
24,306
24.306
24,076
Ch•rltsbl• *￿¥11￿.
App development, website build and destgn
Coach resources, tralning and support
Church based mlnlstry support
Partners and coaches conference and home worklr
IT operatlons, system development and admln15tra
Mlsslon engagement
Leadershlp* project management and reportlng sys
72,￿8
84.422
26.087
23.184
5.264
36,559
22,230
72,LTh)8
84,422
26,087
23.184
5.264
36,559
22,230
56,889
97,678
25.189
24.911
17,572
34,140
26.124
Z69.754
269,754
28Z.503
Governance costs:
Independent Examiner's fee
720
720
720
no
600
Page 10

1SAIAH61MOVEMENT
Notes to the Accounts {contlnued)
lor the perlod ended 31 December 2023
4 Crediti)rs- lalllng due wlthln (￿e y••r
Trtal
Funds
2024
Total
Fund$
2023
Ftsnds
Funds
crua
720
720
61YJ
720
720
Page 11