Studiorum Novi Testamenti Societas
AnrKwl Rem and Flnancial Ststoments
forthe Year Ended 31 May 2024

Studiwum Novl Testamentl Sodetas
Referen¢e and Administrative Details
Trustses. Report
Independent e¥amlneVs report
Statement of financlal actMtle5
Balan￿ Sheet
Notes to the finanual statements
5tatementof financlal arti¥ltie5 perfurKI
7t09

Novl Testamenti Sodetas
Reference and Ad￿￿nIStratIve Detalls
Charlty Number
Trustees
Pmf. Joseph Verhtyd￿ IPresldentl
Prof. John Barclay (Past President)
Pmf. Aryela Standhartin8er IPresident- Elert)
Prof. Bemado Estrado12021-24)
Prof. Moisés Mayordomo12021-24)
Pmf. Judlth Hartenstetn12022-25
Assoc Prof. Janet Spittler (2022-251
Prof. Slmon Butticaz {2023-26)
Iricky B￿lab￿skIl2023- 261
S•uetsry
Prof. Todd Still
AS￿9￿￿1 S¢¢retsry
PrDf. ChTSstlna Krenecknr
Asslmni Secretsry
Treasurer
dependent Examlner
PJE AcC￿ntants and Adviso
23 College Street
Lampeter Ceredlgi
S448 70Y
Page I

Studlonun Novl Testan*rtl Sodetas
Tristee5' Report
The Trustees have pleasure In presentiry their repfyt and the unaudlted fin￿￿31 statement of the tharfty for the
year ended 31 May 2024.
STrUCTURE. GOVEftNAPKE.024D MANAGEMENT
The Society is 8overned by the constTtution, last amended In ￿ust 2004. and its obiert Is"the furthernnce of
New Testament studies internationalty, indudin8 Within its Inte￿t'S tharltsble initiatives." The Soaevs
Investment pOw￿S are conferred by the Trustees. Att 2000. Futmls are held by TSB. No trustee is in recelpt of
honoraria.
OWEcnvESANDAcfMnES
In -frJrtherano of New Testament St￿lieS Internalon•lty, indud1￿ within its Intere5t< charitable initiatives", the
Society ha5 an International function as the prlmary elected Soaety, Is Increa51ng sponsoriry charitable
5nltiative5 in Africa, South Amerlca. Indi4 Sthrth East Eastern Europe and Russia. In plannin8 our artlvltles for
the year, we kept in mind the Charity Commi55i13n's guldance on public benefit at our tru5tees' mÈth85.
The seventy.seventh General Meetln8 of the 5otsety was held Inpt50n. bein8 hosted by Unlvv5it4it Iwen, 2>29
July 2022. The Society Wds extremely gratefvl to Profs. Markus Ohler and Markus Tiwald for their tireless work ?5
co-chalrs. and to the l(Kal organlz&n8 committee for makk¥ thls meeting possible ar￿ for hostlrysuch a Successful
meeting.
The 5ocieVs provlded substantial fvnds to offset the travel. confererKe and svbs15tence costs of thirteen
sponsored members and Buests attendi￿ the annua meetin8 from various geo8rdphlcal re8ions in Ilne with its
sponsorshlps policy.
The Society Continues to provide free subscriptions to the Societys iournal and monograph serles for selerted
regional libraries In developin8 countries.
The trustees agreed in October 2014 to introduce a new electronic systern for Collecti￿ membershlp fees and
outsource this tssk to Cambridge Untversity Press at a set price per membersNp fee ¢olle¢ted. In conjunction wlth
this access to the onllne versIt￿ of the Societvs journal ts granted to all its members free of charge. The trustees
are continuing to monltor the new system and the nevAy incuffed handling costs a55ociated wlth It dosely in order
to assw the overall finandal impllcations.
The trustees are Sat￿fie￿wIththe It￿1 ofreser¥es in thefitnds. thatthe income tsadequate to pursue theactivltles
of the Society, and that no $18nificant risks are faced by the In pursuin8 its aiins.
Approved by the Trustees on ......... ...... ......
and si8ned on thdr behalf br.
Prof, P. Foster (Treasurer)
RegSstered Office:
Sthool of 06v5hlty, Unfversityd EthThbW￿.
Mound Plac4 Edinbur8h, EHI 2LX
Pa8e 2

Independent Examlnees Report to the Trustees of
Studlorum Novl Testamentl Socletas
We report on the acC￿ntS of the Trust for the year ended 31 May 2024, whith are set out on pages 4 to
Respeth responsibllliiesol tn￿¢$and exarnln¢r
The trustees are re5pon5ible for the preparation of the a¢counts. The tTUStees conslder that an wdit Is not
roquired for this year under sectlon 144(2) of the Charilies Art 20111the 2011 Act) and that an indèperKlent
examination 15 needed.
Havlng sattsfied ourselves that the thaity is not 5ubiertto audit under company law and is ell8ible for
Independent examlnatlon. it is our respwibilityto:
exarnh￿ the accounts un(ler sectlon 145 of the 2011AcL'
follow the procedure5 lald In the Genefal (liTeCtI￿ 8iven by the Charity Commlsslon under
section 14515) (b) of the 2011 Art."
state whether particular matters h￿e come to our attentlon.
Basls of Independente¥￿￿er's vop
Our examlnation was canied out in aryordance with the General fxreetion5 Biva) by the Charfty Commisslon.
An examination indudes a revlew of the accountln8 records kept by the tharity and a comparison of the
accounts presented with those record5. It also IncI￿leS e¢nsider)Ilon of any unusual Items or disclosures In the
accounts, and seek5n8 explanatior￿ from you as trustees u#)cernln8 any suth matters. The procedures
undertaken do not provlde au the evldence that would be required in an audit and consequently no oplnion Is
given as to whether the accounts present a true and falr vlew and the report 15 limited to those matter5 Set
oul In the statement below.
Independertex•mkner'$ 5tatsm¢nt
In connettlon wlth our examlnatlon. no matter has come to wrattentlon-
111 wh•th gives us rea5crfbable cwse to ￿lieve thatin any material re¥)ert the requlrements..
to keep accountlng records in accwdance T*ith sectlon 386 of the A¢ and
to prepare accounts which accord with the aCt￿ntIl8 rec￿d$ and compty wth
accountifi8 requlrements of sectlon 396 of the Comp•)ies Art and with the methods and
prlnaples ol the Statement of ReCom￿nded Practice: Account1￿ and Repwtln8 by Ch¥ilies
have not been nKL or
121 to which. in Qur opinion, attentEon should be in order to enable a proper Wbder5tandln8 of the
accounts to be reach￿.
PJE Accountants and
Advisors
Date:...
23 College Street
Lampeter
Ceredigion
SA48 7DY
Pa8e 3

Studiorum Nov5 Testamenti Sodetas
Statement of Flnanclal Activitles for the Year Ended 31 May 2024
Tolal Funds
2014
Total Funds
2023
Funds
Funds
Incomlni resources
IncomiThg resources from
generated funds
Voluntary income
Total incomin8 resources
42.7(Kl
42,7C#)
42,7Th)
42,7(K)
43.820
43.820
Costs of generating funds
Costs of 8enerating
voluntary income
Total resources expended
17298
17.298
26,7n
17.298
17.298
26.773
Net mLwements in tunds
25,402
25,402
17,047
Recon¢lll•tlon of fvnds
Totsl funds brought forwwd
Total funds carried forward
11&770
144,172
7,246
7,246
126.016
151.418
108.969
126,016
All ofthe charitys actNities derive from contlnuln8 operations during the above pernd.
Page 4

Studlorum Novl Testam￿11 5¢Kletas
Balano Sheet as at 31 May 2024
Current assets
Debtors
Investments
Cash at bank and In hand
22S
225
12
152.336
126.874
Qedltors: Amounts tsMln8due￿0Th
one year
Netamffit assets
Netassets
The lunds ol the th¥ltr.
Restrlthd funds
7,246
7.246
Unwestrkted ￿ndS
Un￿tricted Income funds
li
Total ¢haYltyfvnds

Notes to the Flnandal Statements for the Year Ended 31 May 2024
l ACCOUntb￿ polkles
la51s of preparatlon
The financial statements have been prepared under the historf¢al cost convention and *) attotdante wlth
Accounting and Reportin8 by Charitles: 5tstement of Recommended Prartice appllcable to tharities
prepafin8 their accounts in accordano with the financial Reportin8 Standard applicable in the UK and
epublic of Ireland (FRS 10211Charities SORP IFRS 10211. the Financial Reportin8 Standard applicable in the
UK and Republic of Ireland IFRS 102) and the Companies Act 2006.
Funds
The General Funds represent the funds of the Society which are not subjett to any special restrlctlons
fe8arding their use and are *ailable for application to the general purpose5 01 the Society. These include
the Internatlonal Fund which ha5 been de51gnated for a pardculw purpose by the Trustees.
The Llbrary Fund represents the funds of the Society whith are S￿leCt to a speoal restriction and are only
available for application to specifie library projects.
Pa8e 6

Studiorwn P&)¥1 Testamentf So¢letas
Statement of financlal actlvltles by fund for the Year Ended 31 May 2024
ERAL FUND. Ufvrestrkted
So(kn Substrlpilons
41408
43.510
In¢ome from In*stmMts & thiiwest
292
205
Other Sour¢es
Conference Surplus (share)
Reimbursements of Expenses
TOTAL RECEIPTS
Seuetary
42,7(Kl
43￿20
Honorarium
Expenses
2323
2,323
Asslstant Secretary"
Internatkinal thliiatlwg
Honorarium
Expenses
L450
L450
Flnance
TreasurÈrfs Honorarium
Accounts Fee
Bank Charges
Software/Websjte
L750
858
918
113
322
1353
2,806
Conferente
Fare5 & Accommodation
15,945
20,186
20,186
45
TOTAL PAYMENTS
17298
26.773
SURPLUSI (DEFICffj FOR YÉAR
25.402
I7￿?
Net assets at 31 May 2023
118.770
101.723
Transfer from Other Funds
Net assets at 31 May 2024
144,172
118,770
Page 7

Studlorum Novt Testamentl Sodetas
Statement of finaKlal actlvitles by fund for the Year Ended 31 May 2024
LIBRARY F
TOTAL RECEIPTS
European Ubrary ff￿d
TOTAL PAYMEP4TS
SURPiUS I (DEFICIT) FOR YEAR
Net assets at 31 May 2023
7.246
7,246
Net assets at 31 May 2024
7.246
7,246
Page 8

Studlorum Novl Testsmentl So(letas
Statement of financlal actfvhk5 by fimd for the Year Ended 31 May 2024
Total
2013
Fund
Fund
8ank & Cash Balances
Nat. Savin8s Investment Alc
Uoyds TSB AIC
144.865
144165
7,246
7.246
IS2.111 126,649
152.111 126.649
Debtors
36W Ordlnary Share of 25p
225
225
225
22S
225
Llabllliles
Unpaid Honorarium
Examlnerfs Fee
918
918
918
918
858
858
Total Assels less LIa1￿lItIeS
144Jn
7246
15L418 126.016
Page 9