REGIsfERED COMPANY NtiNIBEK. I)037284> (Engl¥ud aDd Wales)
REGISTERED CIL4RITY NUMBER.. 244995
Report of the Tr￿Stee$
Unaudited FiDaD¢1￿ Stxtetheats
for the Year E￿￿e4[30 September 2025
for
0sw*id CbamlJer5 Publitxtlons Association
L4mited(Th¢)
Banks Sherid2n
DatLun House
EleGtra Way
Cheshire
CWI 6ZF

Oswald Chambtn PThblit•¢ioD5 As%Kiatio
Ltwit¢d(fhe)
Contettts ofthe Fitianti￿ Ststtlll¢Dts
for the year thdcd JO S¢p¢emb¢r 2025
Pag
Report of the T￿￿teeS
I to 4
Independent Eumittet'$ Rtytsrt
Statement of FiDgu¢ial AclivttK5
St*t¢meDt of FiDaDcial Position
Notes to the Finaneial Statements
9 to 12
Iktoiled StAttw¢Trt of FiD•ncial ActiwitX5
13

Oswxld Cknwbers Pllblicatiolls Associatio
L&mited(fbe)
Report of the Trnstees
for the ye¥r ended 30 SepteEDber 21125
The trustees of the charity also 2ci Is directors of the co￿panY re￿Stered in the UK for the purp05¢s of the Cothpanies
Act 2006 present their rewrt with the fmaDciai statements of the charity for the yw ending 30 Sept¢Jnber 2025. The ttustees
have adopted the provisions of Accounting and ReJx>rtiDg by Chariti¢s'. Slatement of Rewr[JM¢nd￿ Pratti¢e applicable to
charities prq>3ring their accounts in accordance with the FiDancial Rq￿l￿O Stsndord applitable in the UK attd Republic of
tr¢land { FRS 1021 l¢ff¢ctive l January 2019). The i¥)ard ts currendy rwreseJJied by I￿[SOl]S &wienced in Christian book
Publi￿110￿ authorshipy tKK>k5ellTng and business n]XTOgement and &8 wch the stability and objectives of the clwity continue
to ￿ in a strong ongoing w$ition foi the foreseeable ￿ttI[e. Continuity of appropriate governanee and succcssion plÈnDing
for i￿ard memters has Eeert a key part of vision deltvery during this fiJJan¢￿l year gnd the OUt￿￿rking of this as a first
ph&%e is explained below.
OBJEcrtVES AL¥D AC]IVITIES
Objettives and ainLg
The principal objective of th¢ company ID the period ulld￿ review was that of a UK registered chaFity engaged sn the
preservation of th¢ legary of. and maintenaJJce of the integrity. louether with PTQTnotion of the ChTisÉian Mewge through the
life and WOTks of the late Reverend 05￿d ChaTnb¢rs for wljotn we lyild the tQWTighl of preNiously pritited material datiE
from 1927.
Significant aetiviti
In order to a¢hieve the tsbjeuives of the ¢haTity. the trustees with ow Pa￿]en Daily Bread Ministrie5 in the USA to
whom we hav¢ grantcd publishing rights bave arranged for the mark¢tin& printin& distribution and retailing of the vaJious
writings of the late R¢ver¢lld OswTrJd Chambers to w)rldwid¢ de5tiuation$ #nd ouuets. The updat￿1 edition of My Utm05t
For His Highest Modern Classir L5 now available with 311 publication costs ttjei other than a quarterly knnus pay]nent to the
author depthdent on sales during tbe peTiO
DLring this Period the charity ha5 again contin￿￿ to provide fi￿dS for certain pubIith￿ EKM)ks in the catalogue to be given
t(1 Students in Seven s¢parate UK bascd Bible Collegfs together ivith Resource Grants ftsr those ewb1is1￿e￿ts for enhancing
their libraries and also donated free of charge to (ertatn Chri&ian organisations Wotking tn Third World and East¢Tn
European countrie5 such that a neiv re4dership of thcse wvrk5 is e5tablishd. Requests for new foTeigll trajjslations are
supported and arranged through our publishing partner5. We have 8t￿ nmde certain financial gE2nts to like minded Christian
￿l￿5trIeS for the promotion of Cljristian n￿terial by other writers and SUp￿rti￿O Organi￿1￿￿$ who assist in identifying new
authors who ivill publish Eook5 ID their language. Thi5 y￿r publicatioLs of Materi￿ and projects have been fiDanciaIly
supwrted in the Czech Republic, East Africa attd Latin America together with gr¥￿ts for training new auth(>rs through OUT
strate8ic partners Media A￿clatCS IDtCTnational.
Admijustrdtion eosts ex￿nded in the accoutttit)8 wiod are once agatn carefully monitoRd in order Èo maxttnise the
availability of funds for distribution in 8fdnts attd for the year to 30 Septeth 2025 are consistent with retent years in the
region of 13.5Yo of received revenue 2ttd thts Includes travel and accommdation to the USA for OUT 8J]nual series of Board
Meetings.
At our May AGM irt Grdnd Rapids. USA tnjsiees Rob Wyk£s at￿ CP￿riSa GuD&%ekerd ￿ dowj from the Board. Rob ]Jad
been 00 the Board for over 20 years and had se]ved as chair for a sI￿lfiL￿t period but had (kcided to dirrtt bis experietjce
and abilities in anotheT direction. Charisa had served for one three year term and found her titne coillrnittnent conflicted
by her full time eTnployment ￿ the UK. We iveTe pleased ￿ aptK>ini new tnL8tr& a5 replaccmtnts at the saJne AGM.
Andy Feu ¥ Principal of a UK Bible College is well versed in the works of Chalnbers and his ¢ontatts in the UK
will assist in outrea¢h to other ¢olleges itl addition th galekeepm in a number of Cbristian organisation5. John Maust had
recently retired a5 head of Media Asso¢iatcs Internationa], one of our key St]*￿¢ partners and he brirw a wealth of
exp¢rienG¢ in Christian publishing HorldiYid¢ aDd how best our financial r&8ource5 to appropriate ininistyies for
axiEnum ifflpact. A150 Carol Holquis¢ Stood down as tsur chair ￿)]1 tontinlle to selve on the board for a firther year and
we apFointed Rick DeH￿￿ as our new chair. Hi5 long &xperience in direcknn
- Our Daily Bread Ministrie5 will assist in
furthering our relationship with ow cO[thct￿ publish￿.
Pa8e I

05w*ld Cbambers Publications Association
LiTrited(fhe)
Report of tht T￿￿ttr5
for the year ended 30 Septsmber 2025
OWECTIVES AND ACTIVITIES
Public benefit
The trustees are aw3Te of theiT r£S￿￿$1b]ll￿ts to aci in xc0rda[￿ wth the Charity CornmissÈon when planning ond
undertakii)g their 2divities specifically (x>ntLedion with public knefit and ifs guidanc¢ on ch￿ltieS promoting the
advancemertt of ieli8ioTh. The clwity therefore r¢rnains comwitt¢d to rE)3k1￿￿ available as Thidely and gppropTiately as
ssible the pllblish￿ works of th¢18t¢ Revere¥￿ Osw7]d Chambas by printin& di5trtl>utio]4 and gifting of his
and also providiDg fi￿)ding for vatious transl*i0￿$ In￿ langwes other than English.
Our annu￿ revenue is provided solely by way of Royalty ineortje rettived in the a¢counliJ)g Ewiod and this has been higher
than anticipated in comparison to recent prtvtous years with a 34% illtrease o)rnpar&l to the last year. This together with our
publishing partierfs firture marketin8 plans provide a solid basis for ongoing adivities of the charity (o promots it's vision
and aims. This h&s come from MY)rld￿de twk sa]es but primaTily in the USA mark& ¢ontiDues to be strong. The
tnjstees knve a]so now agreed a separnie to publish the new Modern cl￿1( dition in the UK with a Britith based
publisher Hodder and these editions are ]K>W available for distribution and purrbase. Pl3ns are being PTepar&l to engage with
key individuals in Chtistian n]inisty withtn the UK itt orthr ￿ revtve interf* in the ￿￿kS to awÉ(kF readership.
During this year we have fimded a sFr¢ial aitton of Christtau History magazine in the USA. devoted entirely to the life and
work5 ofOswTrld and Biddy CILamb¢r5 and a]1 costs bave been di5cbarged ￿thin this accounlÈng period. With our publishing
partners Our Daily Bread ministri￿ platLS are kitjg pryTed for a video pr&8eDtation of their liv&8 with 5peciali* fil
producers in the US
We continue to maintain and ws5Th1 ly expattd our contscts ivith UK based Bible Collges durin8 the next year and
beyond which will allow to pmvide free issue copies of the new UK Modern Cknic edition but al￿ fi]nd certain
resources for use by the ColleBes for their students. iogether with pwmotion ofthis tstle through (PUT toota¢ts in the UK. The
year 2027 marks the centenary of the first public&Lion of My UtttKkSt For His Highest a[￿ we intend to ￿se this mtlestone in
marketing initiatives ill ly)th the UK and USA.
FINANCIAL REVIEW
Financial position
The finallcial position of the charity at 30 SeptemF*r 2025 for the wior year, Is DN)re fvlty detsiled tn the
accounts. can be su[Th￿Sed &s follows".
2025
2024
Net i¢J¢OsneJ(eWditu￿j
(26978)
{5.677)
U￿￿1Cted reY¢nue funds available for the8ettrai purrw of the charity
87.147
I 14,125
Total fvnds
87,147
114,125
The trustees consideT th¢ finan¢ial perfor]na￿e by the thaFity duTing the year to bave been 5ati5fattory and ¢onsider that the
chariry is in a Strong position to ¢ontinuc its aGtiThitie5 the ￿Min{l
- year and that the ¢haTStys assets are adequat¢ to
fulfil its obligations.
Prilltipal fnttdints 5oiirces
Income is pThmarily received a5 a r¢5uIt of royalty payments from the publication of by the late Reverend OswaId
ChambeTS wl1i¢h the charity holds th¢ rights to. These roya]tie5 are th¢n utilised to Pr￿ide fundi￿ to print and distribute
fiJrth¢r publi¢atiorLS of o￿vald Chatnber5 work5 and to suprx)rt organisatiorLS and m2nistrics ￿1th 5irnilaJ aims objectives.
Pa8e2

Oswxld Chaml)ers P￿bIl¢all0ry5 Associatio
Limited(fbel
Report ofthe Tnth¢¢5
for the year ended Jll SepttmbeT202S
FINANCIAL REVIEW
Reserves policy
There are no restricted reseNes only a selleral teseTve al￿ all donations givell to benefjctaties are given frte from restriction
in the use ￿ Ion8 &$ they seTve the purFose of the rr]inistry to which they have been direct￿. The tr￿￿te¢s have bcen actively
working over recent years to reduce the reserves accumu]ated in the Wbil￿ ensuring that the IKnefici3Ties tho weive
sistance are doing W￿rk that in ke￿ing with the charttys D￿ill aitns and objectivu.
STRUCTURE, GOVERPIANCE AND MANACEMENr
Governing documeDt
The charity is controlled by its governiThg docwtrf a deed of al￿ r4)nstitul¢s a litnittsj (y)]wy, limit￿ by 8uar¥ntee,
as d¢fjned by th¢ Comp#ni¢s A¢1 21Kh5.
RecruitweDt #lld *ppoiDt]JJ¢Dt of new tTUStees
TFU5tees a￿ appoin*d by the tnerllb¢TS in genera] tn¢eiing5 as and when required thie to ￿1[eMe￿( or resI￿ation.
Other infonuatiou ¥bout tb¢ cbarity and its ¥dt*Trties
The ¢haTity Continues t(> b¢ dependant the v(>luntary smi¢esof its tr￿ste¢S and swrtas in aehievin8 its objectiyes.
REFERENCE AND ADMINISTRATIVE DETAILS
R¢gist¢r¢d CowpaDy
Q0372845 (EI￿land Wales)
Registered Cbarity Bumber
244995
Registered otrice
87 Templegate Avellue
Leeds
West Yorkshire
LS15 OHL
Trnst¢es
I Cant
NSGTay
Mrs C Holquist
R J Wykes (resigned 22.5.25)
Mrs A BoucheT-Pye
Miss C R D Guna5ekera Book editor (resigned 22.5.25)
R W Dehaan Jr Retired book publisher- Chasr
A M Du F¢u College PrincÉpai {appointed 22.5.25)
J D Mau5t Retired {appointed 22.5.25)
Company Secretary
I Cant
Page 3

Llwhtd(The)
Report of the Trustees
for the ye¥r 30 September 2025
REFERENCE AND ADMINISTIL4TIVE DETAits
IFJdeptttdent Examiner
Stuart Banks Bsc FCA
Bat￿S Sheridan
Datum House
Electra Way
Crew¢
Che8hir¢
CWI 6ZF
This report be¢n PTtpared in accordance with the 5rttiaJ provisio￿ of Part 15 of th¢ Companies Aet 2006 Telating 10
small compglljits.
Approvcd by order of the ix)grd of ttusteeson...
.. and sigDedon its idjalf by."
I C8rtt-Trustee
Pagc 4

Indepettdemt ExamiDer'5 Report to the Trustees of
Oswxld ch￿nher$ PublicatiODs Aswtiatioll
Limited(Tbe)
Ind¢p¢ttdenÈ examiner's Teport to the tntsttts of Oswald Cbwbtrs P￿bIle*t1ollS AssociAtioll Limited(fb¢l I'the
Cornp#ny')
I report to the charity tr￿￿eeS on my exaMi[￿On of the of the CoEDpany ftsrthe year ended 30 September 2025.
Responsibilili¢5 b￿1$ of report
As the charitys tn￿te£S of the Company (aTLd al&) its directors for the pwp)s¢s of eonjpany lawl you aTe resEx)JJsible for th¢
preparation tsf the accounts in accordancc with the of the CowÈs Act 2006 Cthe 2(M)6 A¢t).
Having satisfied myself that the atcounts of the ComtAny required to be audited und¢r Part 16 of the 2006 Act artd
aTe eligiblc for independent ex2niinatioJL I rew>rt in r￿pe¢l of my ex2BJinatson of your chatitys accounts a5 (zJrie<f out
under Section 145 of the Charities Act 2011 {Ihe 2011 Act). En carrying out tlly ¢xaTDinatsots I have follow¢d the Directsons
given by the ChaTity Coti)mi￿lon und￿ Sediott 14515) (b) of the 2011 ACL
Illdep¢4deDt exx￿Iller,S statement
I have completed my examinatsoSL I rotffirni tko matters bave comc tts my ailetition in connection with the examination
giving me cause to believe..
accountÉng records were not kept in rwofthe Company &$ rqutr&l by Section 386 of the 2(M)6 Ac¢ or
the accoullts do n(>t a¢¢ord those record5" or
the accounts do tlot comply wryth the accouTJtiDg reqUi￿ellts of Sertion 396 of the 2[￿ Act other than any
requirem¢nt that the ¥counts give a tnje atld fair view wljith is not a ttMtt¢r o)nsideTed ￿ part of an iTLdependent
xatninatioTJ" or
the accounts have n(pt beell warcd in a¢¢ordaote %*ith the tnethod5 gnd prtociple5 of the Ststement of
R￿o￿ll￿ended Ptactice for accounting and re￿￿ting by charities {appli¢able tr> c]Jariti£% prcparing theit accounts in
accord￿Ce with the Finattcia] Rep>rtiug Staudatd applicable in the UK and Republic of Ireland (FRS 102)).
I have no concerns al￿ have come acro&s no other matters in eotJDection with the exam1r￿tioD to which attenuon should b¢
drawi in this report in ordeT to enable a prO￿r understanding of the aecouDts to be reach￿.
Stvart Batjks Bsc FCA
BaT&s Sheridan
Datum House
Ele¢tra Way
Crewe
Cb¢shir¢
CWI 6ZF
Page 5

osw￿1 Chambers PDblitatiOJLS Ass•ciatio
Statement of FillAlltial Aeti¥itSts
for the year ended 3(1 Scpttmber 2025
2025
UrJTestriGted
fiujd
2024
Totsl
funds
No1¢5
INCOME AND EFIDOWMETraYS FROM
Investment income
Other illcom¢
789
67,101
89,856
Totsl
90,316
67,890
EXPENDITURE ON
Charitable attlvities
Govemance
Direct charitsble expenditure
Book OrdeTs
9.234
106.102
1,958
12.582
56,407
4,578
Totsl
117294
73,567
NET INCOTrIEIIEXPENDITURI)
{26.9781
(5,677}
RECONCILIATIOTri OF FUNDS
Total hjnds brought fonvard
114,125
I 19.802
TOTAL FUNDS CARRIED FORIVABD
87.147
114,125
Th¢ notes forni part of these fu￿￿tI81 S￿￿En¢￿ts
Page 6

05w￿d CbAthbers PllblieatioJ￿ A5swi¥tiOn
Llmtted(fht)
Stxttthtnt of Financial Pwilio
30 September 202)
2￿25
Unyestricted
fvrtd
2024
Total
funds
CURRENT ASSETS
Debtors
Cash at ba￿k
58.127
29.710
65288
49,462
87.837
114,750
CREDITORS
All￿Unts fdiing due within one ye4r
{690)
(625)
NET CURRENT ASSETS
87,147
114,125
TOTAL A&SETS LESS CURREPIT
LIABILITJES
87,147
114,125
NET ASSETS
87,147
114.125
FUNDS
Unrestricted
87,147
l14.125
TOTAL FttNDS
87.147
114,125
The charitable comwdlly IS entitled to exemption from ￿Jd￿t uttder Section 477 of the Co]npaThi&s Act 2006 for the year ended
30 Septemt*r 2025.
The members have not required the company to obtain an a￿lit of ats financi￿ statements for the year ended
30 Septemlxr 2025 in aceordance witb Se¢tiou 476 of the Con]paDi&S AÉ* 2(M)6.
The trust￿ acknowled8e theirrtsFrf)nsibiliti# for
la)
ensuting that the charitable comparty kws aeo)Lmtin8 re￿)r&s that comply wth s￿lIOns 386 and 387 of the
Comp2nies Act 2006 and
prepoFing fJnanciaI statettMIts which give a true and fair view of the state of affaiTS of the ch2ritable cotnpany as at
the end ofeach financial year of its St￿p]uS or deficii lor each fiDancia] year in aceordancc the Ttquirements
of Sections 394 and 395 attd whicb otherwis¢ colljply with Ihe requiretnents of the Compatiies Act 2006 relating to
firwi¢ia] st3t¢mertt% so far Is appliL3ble to the ¢haTttsble (￿mp￿.
(b)
The notes fom) part of th￿e ftThaDcial 5tateffl￿ts
Page 7
continued..

Oswald Chambers Publications Assotlation
LI￿1ted(fbe)
StsteJDÈnt of Financial Positiott-
311 Septeml>er 2025
These financial statements have been Prepared in xcordance wtth the wJvision5 applithle to clwitable compantes subjttt
to the small companies regime.
The financi3J stst¢me]its were apprnved by the Boald of TnLSte￿ and auth0rxS￿ for issue on .
and were si8tted on its beha]f by..
I Cant- Trustee
The not￿ fonn part of these financia] staiements
Page 8

O$w￿d ChaTrber5 PublicAtKTrJts Assotiation
LimitedlThtl
TrqoteJ to thc FInand￿ Stattthtnts
for Ibt year eDdtd 30 Stpttthber 21125
ACCOUNTING POLICIFS
Summary of sigThificant aCCOWD¢iDg policies
The PTin¢ipl¢ att(>unting policies applied tn the preparation ofthese financiat ststements 2Tt setout below.
These FK>li¢ies have been cott8Éstently appIl￿ts all year5 present￿ ￿lesS otheTh￿ statsA.
B#sls of prepArAtion
The fjnancial statements of the ch8Jitthle comwJnyJ whith is a public bejjefit entity under FRS 102, have been
prepared in accordance with the ChaTiti¢s SORP (FRS 102) 'AethulltiDg alld Re￿rtI￿￿ by Charities.. stalen￿nt of
Recommended Pr&LtÉce applicable to tharities preparing theiT accounts in a{￿rd￿￿e with th¢ Fi]]ancia] Rerrf)rting
Standard applrtsble in the UK attd Republic of treiand {FRS IIY2) {¢ffertive l J•)uary 2019X.. The finanGia]
statements have been PTep8red uttder the hisLOriLxI eost eonvention.
The hmdioll212nd presentational curreDcy of th¢ financiat ststaTThts is the Pouod Strrlin8 (£). Monetary arnu￿ts in
these finatxcial statements are munded to the nearest £.
Golng ¢onttrn
There is risk that the royalties which provide in(y)tne from *l)ich grattts are Jnade Mryll decrease in the Mture,
however the clwity h&5 been receiving adcquate f￿]n ¢I*s¢ Toyatues and disuibuting it by ￿?Y of grants and
donations for t￿)re than 75 years.
No material Ut￿e￿￿ti&$ that DW doulA on the #btlity of the ¢h8rity to conlinue a% a going concern has been
identified by the ts7￿. OD this basis the oJnsiikr it appttypri2te to prepare the financia] st3t¢ment on a
80in8 eollcem b&8iS.
Nalur¢ of incoThe
Other incozlle r¢presetLts the walu¢ of myalti¢s tettived from the publÉcation of writlen Kvtks for ￿tilch the charity
owls the publiG*ioTL Tights.
ID¢ome reeognition
Incojne is recognised in the statwle￿ of finan¢ial attivities {SOFA) on a receivable basi4 when a tTrtJsaction or
other event results in an incre&se in the charity5 auets OF a reductioo in its liabtliti&8 and only wh¢n the charity h
le8ai entitlemenl the income is PTobable atld can be measurAI reliai>ly.
Income subject to ternjs and conditions which lllet before the charity is entided to the res(>UTte is not
recowsed until the conditioDS have b¢¢n Tn
Expendith
A liabiliry and the ]%lated expenditure is recognised a Itgal or ￿nsti￿ctiVe obligation ￿lsts as a r¢su]t ora p&qt
even¢ it is probable that a traosfer of economic benefits wtll b¢ r4tsired iti settlement and the all￿vnt of the
obligation Can be reliably measure<L
GT8nts offered subject to ¢onditi4)w whieb have not met ￿ the year end 41ate are noted &8 a eommilrnent but rtot
a¢cTued as expe])diture.
Page 9
ontinued...

oswald Chamkn PllbIiCat￿￿ AssofiatAo
UTril¢dlTh¢
Plotts to the Fkn#neial St*t¢w¢Dts- continued
f•r the y¢ar ended 30 Sept¢mb¢r Z025
ACCOUNTING POLICIES- Contin￿ed
Taxation
The trustees consider thatthe charity satisfi&8 the Lests set out in Paragr41h I Schethd¢ 6 of the Financ¢ Ad 2010 for
UK corporation tax pUry￿￿. Aecorditjgly, the clwity is po*ntidly ex¢ttwt from t￿li0n in respect of itlcome or
Capital gains received withitl categori&5 covered by Cb2Pter 3 Part I l of the CoTWJation Ta¥ Ad 1992. to the extnt
that 5uGh irlf0￿C or gains are applied exclusively on the specific thaTitsbl¢ obj¢¢ts of the charity and for no other
purpose. Value Added Tax És not recoverable by the charity and thttefor¢ tncluded in the rel¢vaDt ¢￿Sts ij) the
Swement of Financial Attivitie5.
Fund actouDtiDg
Restricted fimd5 can on]y be used for particular r£strietsd ￿thin the obJ￿ts of the clwity. Restri¢¢Loris
ise Sp￿[fied by the donor or raised partia￿or restrickd putPTr5e5. There tto re3triGt
funds at present
Designated filnds are unre5trict&l fijnds e￿rrna￿ by the Irustees for a ￿rtIcular purpos& There are no de5ignat¢d
fimds ￿ present.
Foreign cllYrtt*ties
The financipj slatements are prepared rn wbund stcrlmg Trvhich i5 the financial c￿￿enCY of the con4)atry.
Foreigll CUTren¢y traTtsa¢tiOEJ5 are initialty record￿ by applyin8 to the forei￿ c4]JTency anJ)unt the SKKTrt exchall8e
rate betweenthe functiona] Djrrency ar¥1 the forei￿ currenry at the date of the tr3nsa¢tion.
Monetary assets and liabilities denomit)ated in foreign tutteney ai the baiantt sheet aTe translated U5Kng the ¢105iDg
rate. Foreign Currency gains aJd los￿ resuitittg from the setdem•]i of trnjsadions and from the translation at period
end exchan8e rates of ttN)rtet2ry assets and liabilitifs dentsminated ill foreign CLtrrencie5 are r￿Qg￿lS￿ in the Income
Staternent.
Debtors
Debtors a￿ measurd Attheirr¢coveTable a￿￿)Ullts &8 atthe Statement ofFinatict81 Posttion date.
Creditors and proTrisions
Creditors and provisions for Itabilities and charges ate reo)gnised and [neas￿ at their t￿{￿¢￿j atnounts as at the
Statement of Financial Posttlon datr.
WltydiDg up or dis501￿110￿ of the Charity
If up)n winding up or di5501utiOD of the charity there rett)ains any assets, after the satisfaction of all debts and
liabilitie5. the represented by the accumulaied fijnd shall be ts3nsletred ￿ some other ¢h2titsble body OT
bodies having simi]arobjccts to the charity.
Page 10
continued...

Oswald Cb¥JDbers PublifatiOJJS Associ¥tiOII
LiTrittdlTbe)
Nottt to tbt Ststtmutts- cOntiti￿¢￿
for the y¢#r ¢￿ded 30 Sept¢wber 2025
IVESThIENT INCOME
2025
2024
Depisit a¢¢ount inter&%t
460
789
CII4PJTABLE ACTtVlTIES COStS
fithdirtg of
activities
(see note
4)
Totals
Governan¢e
Direct charitable exp¢nditur¢
Book Oidets
9234
24,892
1.958
9,234
106,102
1,958
81,210
36,084
81,210
117294
GRA￿s PAYABLE
2025
2024
Direct charitable eXpelld1t￿rt
8E.210
22.560
The total 8rants paid to instituttoks dltring Iheyear w&8 as follows:
2025
2024
Various wnts ofI￿S than £5,Wl eath
MAI Europe
Bible Educationa] setvices
Letra Viva
29,351
37,878
6,000
7,981
17,560
5,000
81,210
22,560
TRUSTEES, REMUNEIL4TION AND BENEFITS
A ￿tire[￿ent gift of £577 iva5 paid during the yw ended 30 September 2025. There were trustees. ren]uneratio
or other benefits for the year ffljded 30 Septth 2024.
Pagell
continued...

Oswald c1￿MberS Pubiitations Ass•cixtio#
LiTri¢td(Tht)
Notes to the Fijtsncial St#tements-
for the year ended 30 Septejthr 2025
TRUSTEFS, REf+lUNERATION AND BENEFITS- rootinued
Trntets, esp¢u5VS
The nature olthe trt￿tt5, wds the reimbursementof travel atMI Subsistence eosts..
The numberof tn]stees' to w1￿M eXpet￿ M%re retmbwsed w&8 5.
DEBTORS: AMOuf￿S FALLING DUE wfnllN ONE YEAR
2025
2024
Other debtors
58,127
65.288
CREDITORS: Amoufffs FALLING DUE wfniiN ONE YEAR
2025
2024
690
625
RELATED PARTY DISCLOSURES
There w￿e tjo related pty trawactions forthe year ett)ded 30 sept￿ 2025.
Page 12

05wald Chambers Publi￿tiO￿$ Association
Limitedctht)
l)etailed StstemeTrt of Financial Attivitses
for tbe year ended 30 Septtmbtr 21)25
2025
2024
INCOME AND ENDOWMENTS
IDvestmeDt incowe
Deposit account tnterast
789
Other kncome
Royaliies from the exploitation of intrllectual
property
Exchange rate differences
57,827
9,274
(210)
89,856
67,101
Totsl resourees
90,316
67.890
EXPENDrr￿IE
Ch#rAtxblt attivttles
Tnjstees, expenses
Book Orifjers
Software licejcts attd expeDses
Meetin8S
Postage
Bal￿ charg&%
Actourttancy
Writing & publication costs
Sales tx)nus
Sundry
Trustee retirement gifts
Grants to institutions
8.341
1.958
11.939
4.578
46
1.982
2201
196
90
893
19,954
1,724
150
577
81210
70
643
31.255
494
22.560
117294
73.567
Tots] resources expended
117,294
73.567
Ntt expellditu
126.9781
{5.677)
This p2gt does not fonn partof the yau]¢ory finarttial statements
Psge 13