Charity Registration No. 267322
EMMAUS BIBLE SCHOOL UK
ANNUAL REPORT AND UNAUDITED FINANCIAL STATEMENTS
FOR THE YEAR ENDED 28 FEBRUARY 2021

EMMAUS BIBLE SCHOOL UK
LEGAL AND ADMINISTRATIVE INFORMATION
Tr40tees
MI W D£y￿S
Mr M Gill
(Appointed 20 Decèmber
20201
Mr N Hartridge
Mr J Heron
Mr P JLThS
Di C Lar￿a$li
rA Russell
Charity number
267322
Prin¢ipal address
28-30 Larkhill Lane
LNerpool
L139BR
Independent examlner
Mr P J Bartrm FCCA
Ground Floor
11 Manvews Street
BA1 1JQ
8ankers
Bardays Bank rlc
101 ￿ltbY Roa(1
Ellesmere Port
Cheshire
CH65 OAD
Solicitors
Butther & Barltrw LLP
3 Royal Mews
Gadbrook Pa
Northwich
c¥￿ 7UD

EMMAUS BIBLE SCHOOL UK
CONTENTS
Trustees. reF
Indepewlent exanNnerfs reFN*I
Statèment of finanaal acti¥Fb"es
Balance sheet
Notes lo the fmancial statgments
7-13

EMMAUS BIBLE SCHOOL UK
TRUSTEES. REPORT
FOR THE YEAR ENDED 28 FEBRUARY2021
The trustees FKesent their reF¥)rt fina￿￿81 slatements for the year ended 28 February 2021.
The finanual statefflerts have prepared in accordanr£ wilh thg 8(££sunting tKJlicies sat out in note 1 to
the finan(ial statements arKI compty wrth the (thritys Deed of Trust. the charib.es Ad 2011 and 'Ae(x)unting
and Rèporting by Charities.. Statement of Recornrr￿nded Ptsdirx applicable to chariti'es preparing their
accounts in accordance with the FI￿claI Repvb"ng Standard appl￿ in the UK and Republic of Ireland
IFRS 1021 (effective 1 January 2019)".
Objectlves and activities
To advance the evangelical Christian faith by e*blishing and mainlainirvJ centres to le8th the Bibla, by
preparing Christians for Christian service al hc¥ne and abroad, by issuing and conducting correspondence
courses in Bibli￿1 and rel*ed subjects either in tyjok lorm or via intemet, by wblishing and dealing in
Christian lrterature by pmmoth.ng Ihe Christian message by such other means being cFwitable as the
Trustees shall deletmine.
To do such olher thing8 as 8hall be inudentd or c4Jnducive to the attainment of the alK￿e object and in
particular the followng..
To purchase. take on the, cf in exthange. hire or ¢knrwise a￿Vire any real or pèrsonal propwty atKI 8ny
rights or privileges whth the Charity think nece&%ary or convenient for the promtstion of its Ob￿CtIVes, and to
conslrud, maintain 8nd 8Ker any buikling$ or erections necessary or o)nvenient for the work of the Chanty.
To sell. let, mortgage, di$p03e of or bjm to acrxjunt an ￿ any of Ihe property or assets of the Charity as may
be thought expedient wth a view to the promob.on of the objecbvÈs of Ihe Charity. During the year we werè
gifted with a churdi building on adi￿nI land" thi5 has been indu(led in the baLan￿ sheet. 11 is proposed th81
during this curronl year that both site$ are sohl and new p￿rnIses be purthased. This will be a better use of
the assets of Emmaus Bible Schcd.
To undertake and exearte any trusts whth may lawfLdty be ￿dertaken by the Charrfy and may bè (x)rMluove
lo ils objectives.
To borrow or raise money for the purkwjse of the Charty on suth tern￿ on such s8oJrity as may be
thought fft.
To invest the mon*s of the Charity not immediatdy rg]uired for its purFoses in w u￿n 3uth investments
securities or property as may be thought fft, but so that monies subJ"e(* or represenb"n9 propety subjeci to the
jurisdiction of the Charty Commiss¢oners of England and Walès shall onty be invested in such seeunb.es and
with such san(jI￿ Irf any) as may for the tsme beiThJ be pre￿￿ by law.
To establish and support or aid in the esta￿lshMent arKI suppwt of any chafit8b￿ assooation or institution
and to substhbe or guarantee n￿eY for (*wilth purp)ses in any way conneclad vnth the purposes of the
Charity or Ca1￿lated lo further its oty'ectives.
To advance evangelical Chrisban Failh to WI￿ belong to thè fath and those who do noL
The trustees have due regard to YUKIa￿ issugj by tho Ch￿lty ci¥nmi￿0n in ¢tsoding what actN
the charity should undertake.

EMMAUS BIBLE SCHOOL UK
TRUSTEES, REPORT (CONTINUED)
FOR THE YEAR ENDED 28 FEBRUARY2021
AGhievement5 and F*rtormance
Review of activiti•
The sourung. designing. prTrYwng, winting. puNishiThJ and swpptying of Bible sbJ(ty materiaL8 fJM)tinues to be
the central acbvty ol thg Ch8rty.
In the past year we have (xjrnpleted Ihe sale of Cadett Churth and the main Offi￿ building of Emmaus Bible
School UK and purchased 2&30 Larkhill Lane and moved the operation successful￿. This move has provided
appropriate accommodation for the work of the thaity so as to asstst in furthering our charitablè aims.
have also acquired Iwo fi8ts located above the Off￿eS of the thawity which provide fental income.
The Prospe(Ju$ and the website are continualty ￿)da￿ xnd St￿lents can and ordèr 26
available online.
We have a team of volunteèr tut(ws WIK) work in the Schocl aThJ Lrthers. wFb) work from home, whom we can
call on as and when required.
Our plans lo promote the woth ofthe Charity aryoss the c￿nty oMtinue wrth a to irK¥easing the supwjrt
lor the work.
Community Benefft
Through the free supply of Biblè study material, together wth a deth"coted personal bjtor. the Charity provides
students wth the means to a(tsss and moral codes lor th8 Ind￿ldual and society, which provide
guidance in lrfe, ry)mfort in times of sorrow. and personal InS￿ratIOn to improve self 8nd help others. The Bible
study material deals with rn8ny of the issues that people of 811 age8, naiionalitses, ethn￿ and SOCAal
ba(*grounds face on a day-ttsday bay"s.
Bènefits are evidentxd in the comments made by and the many letterts that we receive from students
and colleaguès old and new. Many prisoners and their families find purpose and meaning to their lives and a
new resofve to in ac4)rdance with the requiremènls of the on release and make reparation and a
positNe contribulion lo the society t￿ Ihey recognise they have wronpj.
Various prisons are ￿￿tted to ￿FV￿cl Bille studies and Sukwty stuty materias. All Sttjdy materials
used in the prison work ale sent withoui charge to the user. In addition a number of UK based Christian
organisations and overseas based MI￿OnarieS continue to frr4n the suppty of &"ble study material.
Financial reviéw
Full details of the finan(a￿ tr*sactions are containad in the 8ttached accounts. Total incoming resourcLs for
the year amounted lo £364.821. Resources ex￿nded 8mountgJ to £141,179 giving 8 profft 01 £223,642 for
the year.
Th& net as8ets ofthe charity at 28 February 2021 ￿re £508.287.
The Trustees have revi￿ed the Charl￿S neejjs reseryes in line wth guidance issued by the Charrty
Commission and havè that there is no need for reserves as wè onty have one fijll lime paid
emptoyee wtth 7 yeats Ser￿.
The Trusteés have introduced assessment prowlures to identify the major ri8ks to the Charity is
expos8d, with p8rticular relation to the financAs of the Trust.

EMMAUS BIBLE SCHOOL UK
TRUSTEES. REPORT (CONTINUED)
FOR THE YEAR ENDED 28 FEBRUARY 2021
Plans for the Future
Vve plan to expand the WO￿ in w.sons by ￿p￿Inting a tharity rewesentatNe who (xn promote the use of our
Bible study courses with Pris￿ Cha￿1n$ and to seek (trbfication of the ￿UlSeS so that they woukl qualfy as
part of a prisoner's edu¢ational requirement. We are exploring ways of provhying support for prisoners who
have engaged with our courses in wson to fvrther support them Wa￿calty on release by assisting with
rehabililalion, accommodation and training in Bible studies and lrfe skills. ￿ ￿an to promote the use ol
smartphone app Bible study tod whith wll be attractive to a yourwJer audience arvj hopefvlly encourage
interest in our paper based courses. a￿ kKtyk"trng into providing an aUdi￿Vis￿al Ve￿On of our Bible study
courses as well as exploll.ng the use of the (x)urses in schocls. Mhin the general population we want to
Increase the range of our Courses and develop material that wll complement our o)urses that Gqn be used by
those who are socially isolated and unawe or unW￿ling lo attend mainstream Christsan Servi￿$.
Structure, govemance artd management
The charity is éstsbltshed under a Deed ofTrusL
Thé trustees servad during the year aThJ up to thè date of signature of thè finanaal statements were..
Mr W Downs
Mr M Gill
Mr N Hartridge
Mr J Heron
Mr P Jonas
Dr C Lancashire
MTA Russell
{Apw"nted 20 December 2020}
The day to day aLliv￿eS ofthe tharty ¥e managed by the Tmstèes and ils eM￿0Ye&. Al Ihe end ofthe year
the charity employed one fijll time of staff. The Trust8ès meet quarterty each year vith additional
meetings as require(l.
The tNstees' report wa¥ approved by the Bootd of Tnmtees.
Mr W Downs
Trustee

EMMAUS BIBLE SCHOOL UK
INDEPENDENT EXAMINER'S REPORT
TO THE TRUSTEES OF EMMAUS BIBLE SCHOOL UK
I report tts the trustees on my examinabon of the financ*al statgments of Enmnaus Bible &th(xA UK {the
d)arityl for the year ended 28 February 2021.
Responslbllltles and basis of rel￿rt
As the trustees of the charty you are Te5pO￿tIe for the We￿3￿10n of the finanaal stslements in
accordance wth the requirements ofthe ChariliesAd 2011 (the 2011 Art).
I report in respect of my examination of (thri￿$ finan(ial statements ¢a￿led ￿J1 under section 145 of
the 2011 A¢* In carrying out my examination I have folky•￿d all ￿ applicable DIreCt￿￿S given by the
Charity Commission under section 14515llbl ofthe 2011 Ad.
Ind•p•ndent examinerfs statement
Since the charity's gross income ex(wled £250,(KKJ your examiner must be a member of 8 body listed in
se(Xion 145 01 the 2011 Ad. I Clpnfimi that l am qualified to undèrtake the examination be(suse l am a
member olTheAssooation of Chartered Certrfied Acc¢xJntants. vthK* is one ofthe listed trxjdies.
Your attentiL)n is dTawn to the fart that the th31ity has prepared finanoal ststements in accordanr£ with
Accounting and Reporbng by Charities preparing their accounts in accordan￿ with the Finanaal Reporting
Standard applicable in the UK and Reputs1￿ of Ireland IFRS 11Y21 in weference to the Accounb"ng and
Reporting by Ch8rities.' Statement of Recommended Prartice issued on 1 April 2005 wh￿h is referred to in
the extant wul8tion$ but has rThv been wilhdrawn.
l understand that this has iwi d￿e in order for finanoal ststements to provide a Inje and fair view in
ac￿)rdanCe wlh Generally Accept8(l Accounting Practtt effeclNe ftx rep)orting periods begirhning on or
after 1 January 2015.
I have comKAetgJ my examinalk)n. I c￿nfi￿ that ￿ matters have (￿me to my attention in (ThnÈ¢titsn with
the examination gNiThJ me cause to bdieve that in any material ￿$l*Cr..
accounb.ng records were not kept in respert of ts thanty as requir￿ by sedion 130 of the 2011 Aca,.
or
the finanual ststements (h) rKst accord wth those reo)rds'. or
the finanrAal statements do not o)mpty with the applicablè requirernents conceming the form and
content of accounts set out in the Chanbes (Accounts and Rewrtsl Regulaih)ns 2008 011￿[ than any
requirement that the accounts give a true and fair view W￿"th is not a matter consdered as part of an
inde￿ndent examinabon.
I have no concems and have ￿me auoss no other mattérn in conwthon wFth the examination to which
attention should be drawn in this reryjrt in order to enable a uThJerstandiThJ oflhe finanrAal statements
to be reached.
Mr P J Barton FCCA
ART Accountants Limited
Ground Fk)or
11 Manvers Street
Bath
BA1 1JQ
D8ted.. ..¥.! It l&1

EMMAUS BIBLE SCHOOL UK
STATEMENT OF FINANCIAL ACTIVITIES
INCLUDING INCOME AND EXPENDITURE ACCOUNT
FOR THE YEAR ENDED 28 FEBRUARY2021
Un￿tricted Restrf¢t•d
funds
fund
2021
2021
Total unreSt￿ted Restriraed
furNIs
nds
2(r20
2020
Total
2021
2020
en
Donation5 and le9￿JeS
Charitable 81#ivities
Investments
Other inc4)me
174,053
14
167
178,587
12.C
186,053
14
167
178,587
80.394
12,749
93,143
Total incom•
352.821
12.¢J))
364,821
85.9
12.749
98,655
Charitable adivrties
129.179
12,IlXJ
141.179
68,024
12.749
80,773
Net income for the yearf
Net movement in funds
223.642
223.642
17,882
17,882
Fund balance$ * 1
March 2020
284,645
284.645 401,350
401,350
Fund balances at 28
Febwary 2021
508.287
9)8.287
419.232
419.232
The stat¢ment of finanaal actr¥ities indude5 all gains and 1088e8 reo)gnis&J in the year.
All inwme arKI expenditure derive frc¥n wrthnuing ac*vrbes.

EMMAUS BIBLE SCHOOL UK
BALANCE SHEET
AS AT 28 FEBRUARY 2021
2021
2020
Fixed assets
Tangible assets
10
176.IXN)
266,OCKI
Curr•nt assèts
Stocks
Debtors
Cash at bank and in hand
11
8.228
15,0(X)
130,IK)4
322.681
332.287
153,232
332.287
153.232
Total assets less current liabilitie¥
.287
419.232
Income funds
Unr
General unrestricted fttnds
Revaluth'on ￿SerVe
508.287
284,645
134,587
508.287
419,232
508.287
419,232
The finanaal statements were apprDved bythe Trustees ￿ ..
gliLIt,
Mr W Downs
Mr P Jor48S

EMMAUS BIBLE SCHOOL UK
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 28 FEBRUARY 2021
Accounting policies
Charfty Infr*mation
Emwnaus Bible SC￿)0$ UK is an unIn￿rated 7knse wveming d￿rnent is a Trust Deed..
1.1 Accounting convention
The finanaal statements have been p￿pa￿l in acwrdance wth the tharivs Igoveming dctumentl, the
Charvties Act 2011 and "Accounting and ReFMxb"ng by Charit￿$.. Statement of Recommended Pradic
applicable to c*arities prepaiing thwr ￿cL)untS in ￿e0rdan￿ with the Finanaal Reporting Stsndard
applicable in the UK and Republic of IreJarKI IFRS 1021 leffeclwe 1 January 20191" The charity is a Publlc
Benefft Entity as defined by FRS 1W2.
The Charity ha5 taken advantsge of the provison5 in the SORP for charilie5 apF4ying FRS 102 Update
Bulletin I not to prepare a Statemènt of CaBh Fkws.
The finanaal statements have departed from the Chaiitie5 (Accounts and Reports) Regulations 2￿8 only
to the extent feqLIi￿d to provKl8 a true arky fair view. This departure has involved folkjwing the Ststement
ol Recommendeil Pracl*% for charilies app￿"ng FRS 102 rather than the version of the Statement of
Recomrnended practi￿ whK* is referred to in the Regu￿"9n$ but which has $￿ce been withdrawn.
The financial slalernents are prepa￿d in sterling. is the *J￿tiOnal cxJrrÈrry of the tharity. Monetsry
amounts in these finanaal stalements are rounded to the I￿rest £.
The finanoal statWr￿ts have been prepared urKler the hisknical cost convention. modffjed to it)dude the
revaluation of freehold propefbes and lo indude investm8nt properties and certain fingwal instruments at
fair value. The principal accountiThJ wh"oe$ awed are set out bakxt.
1.2 Going cort¢em
At the b.me of approving the fina￿3a1 statement8. the tnjstees have a reasonable expectation th* the
charity has adequate resources to continue in operational existence for the loreseeable future. Thu5 thg
trustees continue to thpt the gryng (￿Cern basts of acxxmjnts'ng in preparing the finanaal statements.
1.3 Charotable funds
Unrestricted funds aR aval￿ble for use at the L*s(Yetion of Ih8 trustees in fvjrtherance of their charitable
objecbves.
Restricted funds are subiefx to speofic (￿nd￿n$ by as to how thty may ￿ Ltsed. Thè purpose6
and uses of the reslrirted fund3 are set out in the notes to the finarKial statements.
Endowment funds are gjbiect to speofi¢ o)Jnditsons by donors that the ￿pital must be m8int8ined by the
charity.
1.4 Ineome
Ineome is recognised when the d*rty is legaty entilled to it after any performance conditions have been
met. the amounts can be measured relk8bty. and li is probab￿ that inc4)me wll be receiv6d.
Cash donations are recognised on receipt Othèr donations are TecognisÈd Or￿ the charity has been
notified of the donation. unless perfommnce wndrtions require deferral of the amount. Income t8X
recoverable relab.on lo donat#)ns received uniler Gift or theds ol covgnanl is recognised at Ihe timp
of the donatK)n.
Legacles are recogni8ed on receipt or oth8Th¥￿ rf Ihe tharity has b8•n nobfied of an impendirvJ
distribkjtion. the amount is known, 8nd recwpt is expecaed. If the amount is not known, Ihe legacy is treated
as 3 coniinytsnt &sset.

EMMAUS BIBLE SCHOOL UK
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 28 FEBRUARY 2021
Accounting poli¢i•8
(Continued)
1.5 ExpgnditUTe
Liabilities are recognised as as there is a l&Jal or ￿￿$t￿K￿l￿ obL411c￿ committing the th8tity lo pay
out resources.
1.6 Tangible fix￿ 88$8ts
Tangible fixed assets are inthalty measured al cost arHI sub5eqL• nwaswpd al cost or valuation, nel of
dèw8(i8b"on 8nd any impairment losses.
Oepreciatson is recognised 50 8$ lo write off the cost or ¥a￿atIon of assets less their residual v8lues over
their useful Iwes on the foll￿ving ba￿".
Freehold Land at)d buildings
Fixtures and fftb.ngs
Not dèpre(i8ted
25% reduong bakr
The gain or k)ss arising on the thspjsal of an asset i8 fjetermined as the drfference between the sale
proceeds and the catrying value ofthe asset, and is retryni%ed in net incomellexpendituiel for the year.
1.7 Impainnent of fixed assèts
Al each reporting end date. th8 rh8nty reviews the carrying amounts of its tangible assets lo detemiine
whether there is any indication that those assets have SUffe￿d èn impaÈmient loss. If any suth indiGqtion
exists. the recoverable amount of the asset estimated in ￿￿er to d8t8fmine the extent ol Ihe impaimenl
loss Irf any).
1.8 Stocks
Stocks are stated at the I0￿r of eAJst and estimated selling pr￿ less o)sts to complete and sell. Cost
comprises dire(X materials and, where apFS1(xb￿. direcl Labour costs and those overheads that have bÉen
incurred in bringing the 8toc*s to th&r present kyxlion and C¥JtYJ￿0n. Items hekj for distribution al no or
nominal consideration are measured the I￿er of replacement o)st and cosL
Net reali98ble value is the estimated selling price less ￿1 estimated f£J8ts of complet*)n and costs lo be
incxjrred in marketing. seling and distritmjbon.
1.9 Cash ¥rKI cash equivalents
Cash and cash equivalents indude rash in haThJ. dek¥)srts hekl at ¢xll with banks, other $hort-tem liquid
investmènt5 with original maturiiies of thiee morths and b￿k overdrafts. Bank ov¥rdrafts 8re
shown within borro￿￿)$ in ojrrent liabilibes.
1.10 Fin•n¢ial in¥truments
The charity has elected to app4y the provisKJns of Sectw)n 11 'B8￿C Financial Instnjments. 8nd Section 12
'Olher FinanrAal Instrltments Issues, of FRS 102 to all of ils finanrAal ￿S*DJments.
Finanaal instruments are rec4vJnised in Ihe chariVs bolance sl*el when the charity bÉeomes paty to the
contractual prowsions of Ihe instrumenL
Financi81 a88ets and liaknlilies are offset, wrth the rEt arr￿nts pres*nlwl in the finanaal statements. when
there is 8 leg811y enforceable right to Set off Ihe reo)gnised amounts and there 13 an intention to settle on
net ￿"$ or Its wlise the asset and set#e the IKqlJ"lty ￿￿LM11ane0usIy.

EMMAUS BIBLE SCHOOL UK
NOTES TO THE FINANCIAL STATEMENTS {CONTINUEDI
FOR THE YEAR ENDED 28 FEBRUARY 2021
Aeeounting poli¢i•#
Icontinugdl
8asle fiFwncial assèts
Basic finanual assèts. whith indude debtors and cash and bank baiantss. are initially measured 8t
transaction price induding transaCtH￿ costs and a￿ subsequentty carried at 8rnorbsed cost using tho
effe(Xive inlerest meih¢xl unless the arrangement Cwstrtutes a transacaion, where the transaction
is measured at the present value of the future lec￿pts dIs￿unted at a mawket 18le ol interest. Financial
asstrts das5ffied as receivable wrthin one year are not amorb"sed.
Basie financial liatslilles
Basic finanual SiabilitEs, induding Ixeditors and bank k)ans a￿ initi'ally recogni5ed at Iransaction pnce
unless the arrangement conststlrtes a finanL?ng transactKJn. where the d8bt instrument is measured 8t the
present value of the future payments discounted at a market rate of interest. Finanaal liabilitiès dassified
as payablewithin one year are r¥)t arTK)rtwl.
Debt inslnjments are SL*sequenty carnie¢l at cost. u&ng th# effe(Iwe interest rate method.
Trade CTeditots are obligakn.ons to pay for go(xls or seN(%s that have been ac4uired in the ordinary courge
of operations from suppliers. Amounts Payab￿ are dassrfied as oJrrent liabilrties rf payment is due within
one year or less. If not, they are PTesenled as norrfurrent liab51rties. Trade creditors are recognised initialty
at tr8nsadion wice and SLsbseouantty m8asured at anK¥lised ¢￿)￿1 uwng the effedive interest method.
Derecognition of finaneial liabilities
Financial liabilitses are derecognised when the thari￿$ cfjntrSdu￿ 0￿￿atrO￿$ expirè or 8re discharged or
(xncelled.
1.11 Em￿0Y￿ boneffl3
The cost of any unus&J holhlay entiknent ￿ re￿ynised in the peri(xl in which the employeè's services
are receNed.
Termination beneffts arg wni5ed as an expense when the charity is demonstrabty
cxjmmffted to teminate the employmert of an employee or lo provide teThination benefits.
1.12 Retlrem•nt b•n•fits
Payments to defined O)ntritMJIK￿ retirernent benefft sthemes * d￿rged as an exponse 8$ they fall due.
Critical aceountlng estimates and judgomwts
n Ihe application of the Chariils accounthig pcAKies. the trustees are required to make judgements.
Stimates and assumpts.ons about the carrying amount of assels and Ila￿.1￿1eS that are not ￿adity appa￿nt
from gthei sources. The estimates and 8sxKiat&J asSumpti￿S ale b8sed on histOriCAI experien￿ and
other factors that are cOn￿dered to be rele¥8nl. Actual resuhs may from these estimates.
Thè esbmales and undertying assumpt1￿$ are revie1￿d ￿ an wirs basis. Revisions to a(XXMJnting
estimates are recA￿ll15ed in the peric*J in the estimate is revised where the revision affects onty th8t
period. or in the period of the revision and fuiure periods Whe￿ the revision affects both ¢urrent and future
P8ricyJs.

EMMAUS BIBLE SCHOOL UK
NOTES TO THE FINANCIAL STATEMENTS ICONTINUED)
FOR THE YEAR ENDED 28 FEBRUARY 2021
Donations and le9acSeg
Total unres1rlc￿ Restrideil
fijnds
Total
2021
2021
2021
2020
2020
2020
Donations and gffts
L8gaciÈs re￿1¥able
34.246
139,807
12.¢X#)
46,246
139.807
12,749
93,143
174,053
12,OCiI
186.053
80,394
12.749
93.143
Charitablg a¢tivities
2021
2020
Course faes
14
1n¥￿tsnents
Unrestrlcted UnrestriLled
funds
fvnds
2021
2020
Rental incom
Interest receivable
4.800
167
167
Other Incomè
Unrtstrlctod
Total
2021
2￿20
Net gain on diskwl of tangible r￿ed assets
178.587
10-

EMMAUS BIBLE SCHOOL UK
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 28 FEBRUARY2021
Charitabh athiii
2021
2020
Staff costs
DeprecAation and impairnwrt
Cost of sales
Labwr cosis
Conference I travel
Printing, stationery and Kthtsge
Advertising
Equipment hire
Repairs and maintenanc
Insurance
Bank char99¥ and interest
Telephone
Heat. light and Fowef
Other I gffts
Stsff travel
Legal and profwional fees
Ge￿ra1 expenses
17,2T7
16,089
3.042
20,250
15.366
2,367
1.451
2.009
370
3.588
2,057
10
1.476
2.353
9,980
124
22,035
19.
1,224
2.3
1,782
29,653
2.391
15
2,813
2,864
20.500
1,325
16.358
241
141.179
80,773
141.179
80,773
Analysis by fund
Unrestricted fvnds
Restricted furKI$
129.179
12,(
68,024
12,749
141.179
80,773
TruJtee¥
The trustees all give fredy their time and experb.se WIth￿rt any fomi of Temunaration or other benefft in
cash or kind12020 - £niry. Eypenses paid to the Injstees in the year tolalled £nil12020 - £2,36n. These
expenses were for 2 trustees and We￿ for the reimbursemenl oftravel expenses.

EMMAUS BIBLE SCHOOL UK
NOTES TO THE FINANCIAL STATEMENTS ICONTINUED)
FOR THE YEAR ENDED 28 FEBRUARY 2021
Employees
The average m¢MtFty nLwnbar ofempw duriThJ thg wag..
2021
Number
2020
Numbèr
Employment costs
2021
2020
Wès and salaries
Social security costs
Other ￿nSIOn (xjsls
16.980
14.321
Y97
771
297
17,277
16.089
10 Tangible fixed awts
Fr*•hohJ IwrKI Ffixtsres and
and buildlngs
Totsi
Cost
At 1 Marth 2020
Addthons
Disposals
2e6.m) 52,530
176.000
I266.¢￿})
318.530
178,(Krt)
{266.CMJO)
At 28 February 2ff21
176,(KYJ
228,530
Depreciation and impalmi•nt
At 1 Marth 2020
52,530
52,530
At 28 Fèbwary 2021
52,530
Carrylng •nt)unt
At 28 February 2￿21
176.1XK)
176.(KJO
At 29 Febnjary 2020
266.CYJO
11 Stock¥
2021
2020
Flaw materials and <xJrMimables
8,228
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EMMAUS BIBLE SCHOOL UK
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED}
FOR THE YEAR ENDED 28 FEBRUARY2021
12 Restriet•d funds
The in(x)me fijnds of thè (*arity indudè rèstricted knds ts)mprising the fr11￿￿n9 unex￿Trded balances of
donations arHI grants on trust for specth putposes".
Movement Sn fund
Movemènt in funds
Incomlng
Res¢Jurce5
olance at
OXk*nded 2B Fobwary
2021
Other
Prison WLYk
749
12.lJXI
(7491
(12.(ml
12,(XK>
{12.CXX)I
12,749
112.749)
(12.(IXJI
13 Relatsd party tr¥n8actlons
There were no disdosablè related party trans8dions dumg the year (2020- nono).
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