THE REDEEMED CHRISTIAN CHURCH OF GOD-
[RCCG] WINNERS TEMPLE
Charlty REG.No 1084773
TRUSTEES. REPORT AND ACCOUNTS FOR
THE YEAR ENDED 31ST DECEMBER 2022
MOSES.BOLE &CO
CERTIFIED PROFESSIONAL ACCOUNTANTsrrAX
ADVISERS & BUSINESS CHARTERED
MANAGEMENT CONSULTANTS
Unit 4L, Leroy House Business Centre
436 Essex Road
Islington London
N1 3QP
Tel." 02077042525
Fax: 02073542035

THE REDEEMED CHRISTIAN CHURCH OF GOD-
RCCG
WINNERS TEMPLE
CONTENT
Trustees and Advisors
Trustees. Report
Independent Examinor-s Report to the Trustees
Statement of Financial Actmtles
Balan¢• sheet
Notès forTning part of the Flnanclal Statom•nt
7-18

THE REDEEMED CHRISTIAN CHURCH OF GOD-
[RCCG] WINNERS TEMPLE
LEGAL AND ADMINISTATIVE INFORMATION
Genaral overseer:
E.Mdeboye
Trustees:
Pastor Y Bamgbose
Pastor T Eniola
Pastor Y Odogwu
Pastor A Adeslna
Pastor M Afolabi
Registered Office:
30 Wagner Street
London, SE15 1 NN
Minister In Charge:
Pastor Samuel Oladele Bakare
Charity No
1084773
Bankers
Barclays
Local Business Banking
Leicester LE87 2BR
Accountsnts
OSES4OLE&CO
CertIf￿d Prof•s5ional Accountants
and Buslnoss Chart*r8d Management Consultants
Unit 4L, Loroy House Buslness Centre
436 Essex Road
tslington. London
N1 3QP

THE REDEEMED CHRISTIAN CHURCH OF GOD[RCCG]
WINNERS TEMPLE - TRUSTEES REPORT FOR THE YEAR 2022
The Tnjstees have pleasure in submitting their report and accounts for the year ended
31st De￿rnber 2022. The financial statements have been prepared in accordan
with the accounting policies set out on pages 7 to 8 and comply wtth the statement of
Recommended Practice (SORP), issued 16th July 2014, and tr
Charity Act 2011 applicable law.
Ob'ective and Activitfes
The prlncipal objective of the Charity is the advan￿ment of the Christlan faith worldwide
and relief of poverty
The Trustee5 are delighted to report that the Church continue to be flourishing spiritually by
mlnistering to its community in the UK. The church is growing in term of membership and is
increasingly reaching out to the community.
Structure Governance Ma
Constitution
The Charity is consi)tuted under a Trust Deed dated 29th January. 2001 and Charity registration
Number 1084773 on the ￿ntral register of the Charity Commission of England and Wales.
Method of A
ointment or Election of Tn￿teeS
The management of Ihe charrty is the responsibility of the Trustees who are elected and co-
Opted under the term of Trust Deed
anlsatlonal Slructure
and Declsion Makin
The church is organised so that the trustees meet regularly to
manage its affairs. Two Mink8ters
who manage the daY-t￿daY administration of the church and two
volunteers(Drummer and Keyboardist),
Achlevement and Performan
We continue to be more focus and greater success were achieved in the area of evangelism
and community outreach. During Christmas we provided hampers for some of the less
privilege people in the local area and aEso sang for a group of elderly.
We held weekly Sunday services for members and also held one for the Children's church
which has now grown in the overall number attendees. The Church has successfully
organised all the conferences it planned, such as Men and Women conferences. There a
other uplifting actEvities that were organised during the year. such as fun day for the youth
and the Christmas celebrdtion.
Future Develo

The Church will conb'nue to explore various ways of spreading the Gospel of Christ in an effectivi
manner. The charity is also looking to grow in membership and continue to develop its members
to make life-changing impact in society. Plant more parishes, and ￿)ntinue to support the existir
Projects.
Review of financial Positlon
The net incoming reSoU￿S for the
year amounled to £ (Year 2021£ ).
AJI these have been unrestricted
reserve and no fund is allotted to
restricted projects.
Risk Policy
The Trustees have assessed the
major risks to which the Charity is
exposed. particularfy those relating
to the operab'ons and finan￿ and
are satisfied with the risk
management System in pla￿ to
mits'gats any risk exposure.
Reserve Pollcy
The trustees have established a
policy whereby the unrestricted
nds not committed or invested in
tangible fixed assets [the free
reservesl held by the church should
be 3 months of annual expenditure.
We are confident that with every
precaution tsken and also
considering the pa￿ of growth in
the Charity's operats'ons and
finan￿, we would be able to sustain
the current activities of the church in
the event of significant decrease in
funding.
Principal Funding
This is provided mainly through
voluntsry tithes and offerings by the
church members and through Gift
Aid scheme. Realisable pledges are
also taking for specific projects
Approval
This report was approved by fhe
Board of T
stees on
Secretary."

MOSES-BOLE & CO
INDEPENDENT EXAMINEWS REPORT TO THE TRUSTEES
REDEEMED CHRISTIAN CHURCH OF GOD-WINNERS TEMPLE
I report on the accounts of the chaity for the year ended 31st December 2022, which are
out below and notes to the financial statements on pages 9 to 19
Respective responsiblllties of Trustees and Examiners
As the Charitls Trustees you are responsible for the preparation of the accounts; you
consider that an audit is not required for thi5 year (under section 144121 of the Charity Art
2011lthe 2011 act) and that an independent examination is needed. It is my responsibility to
Examlne the account lunder settion 145 of the Artl,.
follow the procedures lard down in the General Direttions given by the Charity.
Commisslon (under section 145{5) Ibl of the 2011 Act and
State whether particular matters have come to my attention.
Basis of Independent Examinerfs report
My examination was carried out in accordan￿ with the general directions given by the
Charity Commission. An examination includes review of the accounting records kept by the
Charity and a comparison of the accounts presented with those records.
It also include5 consideration of any unusual items or disclosures in the accounts and seeking
explanations from you as the Trustees concerning any such matters.
The procedures undertaken do not provide all the evidence thatwould be required in an audit
and consequently no opinion is given as to whether the accounts present a "true and fair
view" and the report is limited to those matters set out in the statement below.
Independent Examlnerfs Statements
In connection with the examination. no matter has come to my attention:_
11 Which give me rea9)nable cause to believe that in any material respect the
requirements
To keep accounting ￿CordS in accordance with section 130 of the 2011 Act,.
To prepare accounts which accord with the accounting records and to
complywith the actounting requirements of the 2011 Act have not beèn met
or
21 To which, in my opinion, attention should be drawn to enable a proper understanding
of the accounts to be reached
Moses O E Igunnubole, &VI IHONSJ, FAI4 CPF4 FF4 RP4 FT4 FCP4 FL
Managing Princlpal
MOSES-BOLE&CO
Chortered Certified ForensicAccountont
Certified Professionol Accountonts/fa
and Business Chartered Management Consultants
T¥ l *4410120 7704252$ Enwli [erOyF￿ge BuSinE55CeDnE.Unit ij.
.'+HIOI 2073542035 W*b

THE REDEEMED CHRISTIAN CHURCH OF GODtRCCGFWINNERS TEMPLE
STATEMENT OF FINANCNL ACTIVITIES FOR THE YEAR ENDED 31ST DECEMBER 2022
Incom• and endowments from:
Donath"ons and legacies
Ch8ritsble activities
1￿.998.56
196.998.56 198,039
1￿.998.56
196,938.56
198,039
R•source6 exponded
Expenditure o
Dirert Cost
Support Cost
GOverrnar￿ Cost
Total
107.348.59
74.175.44
1.955.¢J)
183A79.03
107.348.59
74.175.44
1,955.(X)
183,479.03
144.775
50.205
1.955
196,935
Not mov•monl in fvndg
11519.53
13.519.53
1,104
Total funds txought foThvard
Net movement in funds as aL
Ttstal funds carried forward
314.747.02
13,519.53
328.266.55
314,747.02
13.5T9.53
328.266.55
313.643
1,104
314.747

THE REDEEMED CHRISTIAN CHURCH OF GODtRCCGJ-WINNERS TEMPLE
BALANCE SHEET AS AT 31ST DECEM8ER 2022
Last
Furvjs
FurKJ5 P￿d$
Xed as%ts
Tangiblè assets
Total fixed assets
315 71034
315.77024
315 rn1.34 30D 142
315.770.34 3LMJ 142
Current a55e15
Cash 8t bank and in
Totsi ass&ts
10
16.73621
16.73621
16 73621
CrndIt￿ amtyJntstslllTrJ (*u8 ￿￿tri￿ 1 >f.
4.240.
4240.00
4,425
Net¢u￿ent asse￿IllabIlitiesI
12 49621
Totsl aèsets ￿￿Jrr8nt Ik1kn1ts"&9
Crpditors.. amounts falliw due aftw 1 ￿.
PrevisiorB for liabil￿e5
Total netoss8ts
328
314 942
Fund¥ ofth• Charlty
Unre$iri¢ted funds
RBvaualion reserve
Totsl fund¥
32828855 314.942
¥28,286.55 314 942
Signed by0￿¢￿£￿￿ trusfees w behafofdl tstru%tee&.'
D8ts ofapprDval'.
Prtnt Namè".
(I" Q .

THE REDEEMED CHRISTIAN CHURCH OF G0D[RCCG]-￿NNERs TEMPLE
NOTE TO THE ACCOUNTS FOR THE YEAR ENDED 31ST DECEMBER 2022
1.1 8a¥ls of a¢¢ounti
at (Y)5t or transa¢It£￿ vak* unless otr*rww ststed in the rdevant notelsl to these
The acc￿nts have been prepared in accordarte writh the FI￿alKIal RerKKb'rvJ Statylard applotle
the UK and Rgpub¥c of InLqrKI IFRS1ff2} Issua on 18 Juty 2014 and Charii6s Ad 2011
and th8 Chanfy coThstitut85 a PL** b8n8fft as tJvfm•J by FRS11Y2.
1.2 Golthg ¢onc•rn
1.3 Chawo of ae¢•untlng pollcy
accounts presenl a true arx1 fatr the af1￿n￿l¥j pJlKi8s Iho% oulined in
tho note wEth thange in
1A Chang8S to a¢¢ounllw wtlmat•¥
No ch8nues to acownb'ng estimates have ocoJrr•J in tt¢ KWKXJ {3.46 FRS I￿2 SORPI.
1ll5 Materlal pvioryear •VTOrn
) matèdd thor 9￿)r iwn Ihe rEpNkng perityJ13.47 FRS 102 SQFH.

THE REDEEMED CHRISTIAN CHURCH OF GOD4VINNERS TEMPLE NOTES TO THE
ACCOUNTS
CONTINUED
FOR THE YEAR ENDED 31ST DECEMBER 2022
Note 2
Accounting policies
2.1 RECONCILIATION WITH PREVIOUS GE14ERALLY ACCEPTED
ACCOUNTING PRACTICE
There is rK) change in accwnung prficy in this perknj
22 INCOME
This standard list of ￿￿￿ting w)IiLY85 h88 b88n aprA￿l by th& chanty &xcaptfortlw No or
'Nla" Where a drf1e￿nt or additional ￿lIcY has been attywJ then Ihis is detsiw in the tK*x bgk)w.
Recognltlon of in¢0
These are included in the Statement ol Fina￿Aal ￿￿¥1￿*S ISOFAI wl*n".
. th8 charity ba￿￿e& enlthd ¢0 the re￿￿r{*s".
' it is more likety Ihan notthat Ihe trustee5 rE￿Ne the res￿[￿.. and
. th9 monew value can bo rneasuTrd ¥￿th suffiLaent rElkgtilty.
Offsettlng
Ther* has been no offsotlkng ofassets and batmbbes. ¢xuK¥Jme 8ThJ expens8S.
Gvanls and donatlons
Grants and donations are only 1ndthI￿ In tho SoFAwhgn th& g8nwal inc£•no Wnlts.￿ L¥i18ri8 ar8
mel15.10 10 5.12 FAS 102 SORPI.
In the cas& of perforn8nf* ￿lated grants. lrn>)m6 must£ty bè rvc£¥Jnfrs8d to thè exlentthatth8
charity has pro￿ded the $pets￿ goods or 58rwces as entiuemeftt to th8 granl orty 0(￿[5 vth8n the
perfomiance rdated CDndth"on5 are rnet15.16 FRS 102 SC*£PI.
Lo9aclo5
There is no legacy r￿￿ed thJriThJ this p8nTh1.
No govemment grant was rncsiv8d during tN5 WK>J.
Tax reclalm• on donatlons and glft*
Grft receivabk is indu¢Sed in Intr)￿ when ther8 E a Yalid (kndarabon frr)m the d￿0￿. Any Gsft
Aid amount recov8r8d on 8 is (ubsKle￿j lo be part of that gtft anrs ks treatwj a5 an addlbon
to the Same fund as Ihe kn￿81 d(x)ation ufi1￿ the thnororth8 t8rms ofth8 8PP881 have specified
oth￿se.
This Is not aprAI￿￿e
Donated goods
There is no donated good.
Dothated *¢r¥l¢a and fa¢Kllie¥
Dw8ted service5 and faultbe5 are induded in the SOFA *th8n recs¥•J alth8 value of th8 gift to the
charity provided the valu8 ofts grfi ran b8 measured ￿"ably.
ac￿2t&d Serv￿88 an(5 fatilthes that￿￿ ¢w$Urr￿ irnmgdi*ety a￿ as *ith an
8quivalent amount recognised as expense urMYertr* oppropriate headiry in the SOFA.
Support cost*
The has irKurr8d exp8Th1riur8 on surwt ¢xots.

Volwteor help
The value of arEy vol￿tary hdp we￿1¥&j 15 r*Jt ind(thd in tha atsx)unts t￿rt is in the
tru$1888' annual reFK¥t.
Not applicabl8 during thi5 period.
Income fvvjm mernbor¥hlp subscrlploo
rithes and offering receiveé I￿[n ttE members are in Ihe r•tyre ora grft are re(wnW as Donations.
and Legaoes
Setllemont of clalm
Insuran¢E Gkim5 ar8 indwjed in SOFA %•fien the gen•d r8o)Jnthw (xiteri8 ar8
m8t15.10 to 5.12 FRS 102 SORPI ar*J a￿ iDdudgJ as an rtem (￿Other ino)me in the SOFA.
Inv•stm•rrt galn• and Joss•
This Includes any reallsod ￿ unrealised gains cfj108ses on the s* ol 1n¥eSb7￿ts and any gain or
loss resulting from r*dluing in¥estmerts to market valuo 4t th8 8nd of year.
2.3 EXPENDITURE AND LIABILrriES
Llablllty vecognlllon
Liabilities are recognised there it is rrKKe likety than ncl t￿lthere is a bJal OT O)nstnKti4* Obl￿81￿)
commiltyn9 the charlty to Pay OLrt r8wwre5 aryj the amoutrt ofthe Can be measured wlth
reasonable certainty.
compris? all CA)sts Invol*1￿ publK of Ihe charty and rts ctsnp￿a￿8 *4th 8ThJ
praeb'ce.
Support costs Indude ￿r￿[al fijnCt￿ hav8 been Jkn(•ted to acamty cx)st ￿t¢gL￿g on a bws
¢onsist8nt With the ￿e ol r8swr¢es. eg aIlL￿ati￿J property Iljorareas. c* p8r r4xla, Staff
costs by the tsme Spent and other (Osts by their usaoe.
The Charty is not 8warding ￿ant to any (wyani58bon
Orants payable wftho¥l p•rfOrnwI￿e ¢•MditiOn8
Whew thore are no conditions attxhing to the grdnt that eftab￿ the d¢)nLYtharty to ￿$1￿81￿
avoid the comrnitmenL a liability fortro full furKJiw rt4gaI"c￿ must ￿ reC¢4n￿J.
Redundancy ￿$t
The charity madè no rtdur¥Jarry paymerts during the ￿￿rting
No rnat$ro1 item of dafer￿ i￿￿[rE has been irK*Jded in the acc*xJnts.
The charity has crgjitors vthi(* arB m8a8uTh1 at *tderneth less any I￿Je di8counL8
Prnvlsl•ns for li•bllOtIos
A liability 15 measur8d on recognitw at its histOriL*I co* and 5ubsequendy measured at tha
best e5tirnate of the atnount reqtjired to 5etll8 the obligation at the rewbng date
aasl¢ flnanclal Instrumonts
The Gharity accounts fcK bas￿ finanoal in5trum8nts on inrt¢l rBcognil*)n as w parngrnph 10.7 FRS
102 SORP. Sutssequ8nt rrtsasurwrnnt is as per paragrap￿ 11.17 t* 11.19. FRS 102 SORP.

2.4 ASSETS
Tanglblt fixed assets for by charlty
These are rapilali59d if they can bg used for more th￿￿ on8 y88r, arf ￿$t at least
They a￿ v81u8d at cost.
Th8 d8precotion ratss and mett)ods used 8re disdosed ill note 7.
Intrnglbl• Ilx•d assels
Tho Charity has no Intanglbla fflxed assets. that L8, mTrnTronetary assets that do rth havo physical
5ubstsnc& but are identifiable and are controlled by the chaity through custody or legol rights. Th8
thtnortisation rates and methods used are disclo* In note 7.
Th8y ar8 val￿4 at cost
Herlta90 assets
The charity has no heritag8 assets, that is, non-mon8tsry assots wth hisiori¢. ar￿$t[c. $cientffic,
techndogi(al, geophysical or ￿virOn[ne￿I8l qualities that are held and m81ntain8d principally for th8ir
Contri￿tK)n to kno1￿￿dge 8nd cultu￿. The depreclafjon ratès and mothod$ used as di5cIo8ed in
note 16 is not 8ppli¢8bl¥ during this peri￿1 but rf availabK8 theyare valued al cost
Investments
Fixed asset investments in quoted shares. traded bonds an(J Similar investrnents are v8lued al Init￿lY
at cost and subseouenly at fair value Ilheir rnark8t value) at the year end. The same treatment is
applied lo unlisted investsnents unless fair value cannot bg rn8a5ur8(I r81iably Sn which case it 1$
measutyd at cost18ss impairment.
Inve$trnents held for r8sale or pending thelr sab 3nd c88h and cash equlvalents ￿1th a maturty date
of less than 1 year are treated as currÈnt asset investments
Debtors
Dablors linduding trad8 debtors and loans recewablel a￿ measured on initial recognition at
setuemenl amount after afty trade discounts or amount advanc8d by thg ¢harty. Subs8quently. they
a￿ moasur8d at th& cash or oth8r con$ideratiDn expected lo be receivad.
CuTf•llt a8SOt In￿1￿8￿￿
The charty has has investments which It hold5 for resal8 or pending their sale and cash and cash
equivdl8nts with a maturity date 18ss than one year. Th8$e Include cash on dèposit and ¢ash
quival8nts wrth a maturity date of k55 than one year held for investrnenl purposes rather than to
m8et short tgrm cash cornmitm8nts e$ th8y fall du8.
They are valued at fair valu8 except whgre they qualify as bas1¢ financiql in8tnJrn8nts.
POLICIES ADOPTED ADDITIONAL TO OR DIFFERENT FROM THOSE ABOVE
There is no any other poli￿85 adopted.
io

THE REDEEMED CHRISTIAN CHURCH OF GOD4YINNERS TEMPLE NOTESTO THE
ACCOUNTS
CONTINUED
FOR THE YEARENDED 31ST DECEMBER 2022
Afi*•l8 ol Incom•
Not• 3
Anoly•l¥
Unreslrttod Inrome Endowm•nt
FundB
Funtl¥
Funds
Total
Funds
FunLts
[k)nat￿n58￿d9M
Grft Nid
Thank89fvkng
BuildirvJ
Other
Total
le1,6￿.36
34,346 83
I61,6￿.26
34.346.63
161,009
34.650
1 018.57
1,018 57
196.99&56
2.380
198.039
¢hBrSt•blo aetlvltl•s:
Olher
Totsi
TOTAL Ile¢OME
196,998.56
196,998.56
198.039
Other Inlwm•tl•tt:
All tnGome ITh th• ptl•r ywr w¥ y*r••tflct•d f4r. (Plea￿ pr•vld• d•scro￿lOn NmDunts1
TMwr• fund Is Int• Ihcomo In th• vwrtlTrJ perlo4 pl*••• #lv• th•
withln th• Incomo It•m* obov• tho lollowltyy It•rn* •rn mat•rl•l: Ipl•Me th*clo* t1￿ natur
amount and pvloT y•ar amoyrf¥l¥ NOIIE

THE REDEEMED CHRISTIAN CHURCH OF GOD-WINNERS TEMPLE NOTES TO THE
ACCOUNTS
CONTINUED
FOR THE YEAR ENDED 31ST DECEMBER 2022
Note 4 ATralyAl• ot •¥p￿dIt￿r*
R85tr1cteil
unreSt￿ctsd income
Prlor
AnNly¥ls ol gxp8ndltsr•
EndowmBF
T*)tal
Fund$
year
Fund5
Funds
Fund
Funds
Grft Aid Admin Charges
Central Office
Oulr88ch IEY8ng8lL%ml
Wodd Evangelism
Hoftourariwn
Welfare & Hospitalty
Spgcial Holy Ghost Eynsas
Slipendsl AJlowance81 S81arie5
Choirl K&y Boar(V Music Ex￿￿95
B(KJksl CD￿ Tapes
Childrenl Teen8gel Youth Isunday Schor
Trainingl Conferencel c(￿￿$1$6￿1n8rs
Smart Pension
3,778.13
7.815.00
439.00
7,585.12
2.800.00
9,246.00
2.(YlO.00
45.464.67
12.970.00
300.00
475.00
290.00
5,918.
8,269.67
3.778.13
7.813.00
439.00
7,585.12
2.800.00
9.246.00
2.000.00
45.4e4.67
12,970.00
3,812
7.507
275
5.248
3.450
12.503
2.000
e9,548
14,191
650
3,085
235
3.240
19.031
475.
2￿.(M)
5,916.00
8.269.6T
HMRIPAYE & NIC I
107,348.59
107 348.59
SUPPORT cosr
Cl88nin9 & P881 Control
Lknnalions, Gits & Sub5(rptions
Water Rate
Media Expenses
SeGurily
Repair8, m8lnlen8nce 8fKI Rèr*wal$
Printing, Postag8 and Stationary
Tdepthr
CompLrterCosV ITISofvare Ey8ns88
In5urancelParklnglLic8nces
TransrNJrt & Tr8vel Expenses
Consultancy setvices
Advancement 4rKI Promotion
Bank Charges
Refrgshmenl arKI Entsrt8inment
Deprecialion
Eleclricty, Gas.Fuol and Oil
Manse (Accommodation)
Covid-19 Exp8ftS8S
Fual & Motor xpèn$e$
Ewipment Expensed
Rentals
1.356.90
3.501.07
542.69
1,520.02
115.(M)
9.499.05
2.240.65
1.181.97
165.00
1.439.33
9.734.77
1.600.00
125.99
557.34
987.06
11.654.59
2.936.29
23,952.72
89.
816.(K)
95.(NJ
65.(
1,356.90
3,501.07
542.89
1,520 02
11500
9.499.05
2.240.85
1,181.97
165.00
1,439.33
9,734.77
1,600.00
125.99
557.34
987.06
11.854.59
2,936.29
23.952.72
913
3,10S
293
315
120
10,610
1,788
2,239
228
4,185
7.104
210
1.029
1.569
9.012
2.846
586
2.017
105
332
816.00
95.OD
74175.44
74.17&44
50.205
TOTAL EXPENDITURE
181.524.03
t81.$24.03
194,9BO
12

THE REDEEMED CHRISTIAN CHURCH OF GOD-WINNERS TEMPLE NOTES TO THE
ACCOUNTS
CONTINUED
FOR THE YEAR ENDED 31ST DECEMBER 2022
Note S
Detsi￿ ol certaln Items of •xp•ndllyre
5.1 Fees forey8mination ofthè ￿x￿jnts
Pl8a8t wovid8 dglails oflhe a￿Kx￿t pavj ￿*￿yS1&Jknry ￿of￿Xwnty•￿l 0lh8r
5eMces ¥Movid&J iWwNhnt9¥2min8r. t￿￿1 8rtsr17 in ttE awDwiate
bc>X(e51.
Year isst Y•ar
I￿8pondent gX3min8rfs fees
Legal & Professi￿￿1 Fepslsubsryts
610.
610
Texadvw 1888
B(x)kketr￿rwJ P3￿ iothe indeFerKlwrttrY£ffH
1.345.(Kl
1.345
1.955
13

THE REDEEMED CHRISTIAN CHURCH OF GOD-WINNERS TEMPLE NOTES TO THE
ACCOUNTS
CONTINUED
FOR THE YEAR ENDED 31ST DECEMBER 2022
Note 6 Pald employees
ease complete this note rf the charity has any eMp￿yeeS.
6.1 Staff Costs
This Year
Last Year
Salaries and wages
Social security cJJsts
Pension costs (defined
Other employee benefrts
Total staff costs
69.417.39
8.269.67
5.916.1Xl
69,&18
19.031
3,240
83,603.06
91,819
Please promde details OfeX￿drtUre on staff working for th8 tharity ￿$8 ￿ntracts
are with and are paid by a related party
Please give detsils ofthe number of employees whose total employee benefits
(excluding eM￿0Yer pension costs) fell wihin ea¢* band of £10.OIK) from £60,000
upwards. If there ar8 such transaetKffts. please enter Irue, in the pro￿ded.
No employees received ernployee benefits (8xduding employer pension wstsl for the
reporting period of more than £60,(KJO
Band
£60,000 to
£70,000 to
£80,000 to
£90.000 10
£100,000 to
Number of employges
NIL
NIL
NIL
NIL
NIL
14

THE REDEEMED CHRISTIAN CHURCH OF GOD-WINNERS TEMPLE NOTES TO THE
ACCOUNTS
CONTINUED
FOR THE YEAR ENDED 31ST DECEMBER 2L122
Note 7
T#ngible flxed a¥sets Freehold
mxhirwy F￿1[￿95 &
IwildirvJB
At the W*irdng dthe y
273.1{￿.58
37.8765)
41.925.07
352.WB.15
At*Jitions
7,7[KI.￿ 19.W.82
27,282.82
D55posaL8
At end of the year
280,806.88 57
41.925.07
380,1W.97
7.2 Deprec6atlon impaSrniebtt&
-Basis
Ft88hdd Property
Motor Vehide
Fixtures & Fitbng5
Church EWip￿￿nI
puter Equi
R•thJ¢iwvJ Bak7r
25%
Re(knorvJ BaLqrxx
Al b8ginrNng of Ihe year
Disrosals
DepreGiabon
Impairmenl
Tr8nsfers' (Ath or Deduct)
At end of the year
20.938.34
31.827.70
52.766.04
9.1x125
2.524.34
11.654.$9
,(fj8.59
34.352.04
64.420.63
7.3 Net book valuo
NÈt tM)Ok v81ug at the beginniTrJ ofts Yr.
Net book valtsE at Ihe end ofthe yoar
273.108.58
16,938.16
280,80&58 27,3S¥J.73
10.097.37
-03
300,142 11
315.770.34
7A Im￿[￿1￿nt
reveTs& ofan Im￿m￿t bss.
1&5 Revalua￿On
Ifan accounting pdKy of malLA1K￿ ￿ a*pbJ.
th8 eff￿1Ve date ofthe r8valL*D
th8 n8m8 of independent V81utr. rfapr4K
lil Pkne slate the atnwnt of tr•)rro*1￿ Karty. the f*Awr￿ of*Ne
fryed assets and the i¥thli8*kn r*e ￿d.
Illl Detall8 oflhe 0￿stanCe and 8mcqJnts ofprcwty. arKI ￿Hr￿￿to￿tI￿
charity ha5 restricted Ill￿ trthat are a5 sevjrty li*ilth5.
' Heasè inditxte th8 Mat￿ of dek¥ec48liC￿ by ddelir4J the metrK¥J ntrt ISL= strayat
rin&'. RB- reduurvJ b8￿nts1. Aso pleas8 rate ofd4Thi*w.' ts str4hE line. what
is the 3ntripat8d Ima ofthe 8558t lkn ywsl". Warre. ¥th8t is anr•
doduclbn.
15

THE REDEEMED CHRISTIAN CHURCH OF GOD-WINNERS TEMPLE NOTES TO THE
ACCOUNTS
CONTINUED
FOR THE YEAR ENDED 31ST DECEMBER 2022
Note 8
Credltors and accruals
Pleasè complete this note if the charity has ￿Y (x¢(kn NaCC￿aL￿.
Amounts falling
due after more
Ihan onè yoar
8.1 An4ty5is of credltors
knounts falliThJ thje
within Or￿ year
Accruals and delerr&Y incomg
Others
Total
4.240.IXI
4,820
16

THE REDEEMED CHRISTIAN CHURCH OF GOD-WINNERS TEMPLE NOTES TO THE
ACCOUNTS
CONTINUED
FOR THE YEAR ENDED 31ST DECEMBER 2022
Ntst• 9 Provisions for Nabllltles and chary•s
flease Complete this ￿te rf have irKlud￿I in charity 8xpeNJiture any provisM8. A
provision is made *then the charity ha5 a I￿￿111ty of uncwtiin trnrrmj orarrwrL
9.1 PIEa50 pro¥ld•'.
. a bitffdescription ol any ot4Worn% on ts ba￿rte sh￿1 arThJJnt and
bming of wultiThJ Pa￿r￿ts.
. an indI￿￿on ofthe uncertatnbe5 about the arrKxJrrt ￿tt"MI￿4
- an indication ofthe uncertaiTrb"es the amjnl ￿11￿)56 w11kn￿,. a￿1
. the amount ofany exp￿￿ TeKntr￿rs￿rn8rt StstirvJ ts 8rTrJJrrt ofany assetthat has bgan
rEcowSsed for that ¢xp¥ted r81mbu￿ernenl
9.2 mO￿rnents In rocoyn150d wov151oTrB and fundlny comMkn￿rt durfng the pDdod
Th1* Year
Last Year
Balance at the start of the ￿POrting [￿K*j
Amounts add8d in ￿rrent
Amounts tharged against the provis&)n in the currentP8fiL*J
Unus8d 8mounts reve￿ during the p6ricd
8&lance at the 8nd of th8 resyyb'ng periL*J
9.3 For 8ny funding 0)mmitm￿l that 1$ as a Ik8blty or PThKle details
ofcommlbnent made. the lime frame of that c(xnmthiefit. any performanctrTrlatsd wrKJtbons
details of how the QJfflSTMtff*ni will be luTrJed l*ilh uxtracts w*tal eypeThYiJJre separatdy
Idontifi*l.
9.4 Where unresthcted fiJnd5 fAve twn dsswJn8ted to a fvnd ryThmitmert F48aset1isdrtse th8
naiure ol any amounts de*gnated ar*1 thè lik8ly b"mirvJ Lrflt*t eXp8r*artU￿.
17

THE REDEEMED CHRISTIAN CHURCH OF GOD-WINNERS TEMPLE NOTES TO THE
ACCOUNTS
CONTINUED
FOR THE YEAR ENDED 31ST DECEMBER 2022
Note 10
Cash at bank and in hand
Thi5 Year
Last YeaT
Short tsrm d8posits
Cash * bank aThJ on hand
Total
16.039.04
697.17
16.73621
16,997
2.228
19,225
18