THE REDEEMED CHRISTIAN CHURCH OF GOD-
[RCCG] WINNERS TEMPLE
Charity REG.No 1084773
TRUSTEES. REPORT AND ACCOUNTS FOR
THE YEAR ENDED 31ST DECEMBER 2023
MOSES-BOLE &CO
(CERTIFIED PROFESSIONAL ACCOUNTANTsrrAX
ADVISERS & BUSINESS CHARTERED
MANAGEMENT CONSULTANTS)

THE REDEEMED CHRISTIAN CHURCH OF GOD-
[RCCG
WINNERS TEMPLE
CONTENT
Trustees and Advisers
Trustees. Report
Independent Examiner-s Report to the Trustees
Statement of Financial Activities
Balanc8 sheet
Notes fomiing part of the Financial Statement
7-17

THE REDEEMED CHRISTIAN CHURCH OF GOD-
[RCCG] WINNERS TEMPLE
LEGAL AND ADMINISTATIVE INFORMATION
Genaral overseer:
E.AAdeboye
Trustees:
Pastor Y Bamgbose
Pastor T Eniola
Pastor Y Odogwu
Pastor A Adesina
Pastor M Afolabi
Registered Office:
30 Wagner Street
London, SE15 1NN
Minister In Charge:
Pastor Samuel Oladele Bakare
Charity No
1084773
Bankers
Barclays
Local Business Banking
Leicester LE87 2BR
Accountants
OSES-BOLE&CO
Certified Professional Accountants
and Business Chartered Management Consultants
39 Saints Brelades Court
Balmes Road
Hackney I Islington
LONDON N15TW

THE REDEEMED CHRISTIAN CHURCH OF GOD[RCCG]
WINNERS TEMPLE- TRUSTEES REPORT FOR THE YEAR 2023
The Trustees have pleasure in submitting their report and accounts for the year ended
31 st December 2022. The financial statements have been prepared in accordan
with the accounting policies set out on pages 7 to 10 and comply with the statement of
Recommended Practice (SORP), issued 16th July 2014. and the
Charity Act 2011 and applicable law.
Ob"ective and Activities
The principal objettive of the Charity is the advancement of the Christian frdith worldwide
and the relief of poverty
The Trustees are delighted to report that the Church continues to flourish spiritually by
ministering to its community in the UK. The church is growing in membership and is
increasingly reaching out to the community.
Structure Governance Mana
ement
Constitution
The Charity is constituted 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 ofA
ointment or Election of Trustees
The management of the charity is the ￿SpOnsIbl11ty of the Trustees who are elected and co-
Opted under the term of Trust Deed
anisational Structure and Decision-makin
The church is organized so that the trustees meet regularly to manage its affairs. Two Ministers
who manage the day-to-day administration of the church and two volunteers (A drummer and
keyboardist).
Achievement and Performance
We conttnue to be more focused and greater success was 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 also sang for a group of elderly.
We held weekly Sunday services for member5 and also held one for the Children's church
which has now grown in the overall number of attendees. The Church has successfully
organised all the conferences it planned, such as Men and Women's conferences. There are
other uplifting activities that were organised during the year,. such as a fun day for the youth
and the Christmas celebration. We continue to attain success in the distribution of food
banks to the community.
Further to the above, this year we were able to renovate the church auditorium and floor
and lay a new carpet through the effettive use of church Gift Aid claims we received from
HMRC Charities.

Future Develo
ments
The Church will continue to explore various ways of spreading the Gospel of Christ effectively.
Thec
charity is also looking to grow in membership and continue to develop its members to make
a life-changing impact on society. Plant more parishes, and continue to support the existing
Projects are our continuous goals.
Review of Financial Position
The net incoming resources for the year amounted to £27,626.40 Iyr 2022 £13,519.53).
All these have been unrestricted reserves and no fund is allotted to restn'cted projects.
Risk Policy
The Trustees have assessed the major risks to which the Charity is exposed. particularly those
relating to the operations and finan￿. and are satisfied with the risk management system
In pla￿ to mitigate any risk exposure.
Reserve Policy
The trustees have established a policy whereby the unrestricted funds not committed or
Invested in tangible fixed assets [the free reserves] held by the church should be 3 months
Of annual expenditure.
We are confident that with every precaution taken and also considering the pa￿ of growth in
Charity's operations and finances,
we would be able to sustain the current activities of the church in the event of a significant
decrease in funding.
Principal Funding
This is provided mainly through voluntsry tithes and offerings by the church members
and through the Gift Aid scheme. Realisable pledges are also taken for specific projects
Approval
This report was approved by the Board of Trustees on Date......... ...
Secretarylchairman..
fybip.c) I: .EN.I bLIl..Signature.........

MOSES-BOLE & CO
Prott55ionai Accountènts and isUs&ftres=_
Managemer>tCon5ultants
INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES
REDEEMED CHRISTIAN CHURCH OF GOD-WINNERS TEMPLE
5t
I report on the accounts of the charity for the year ended 31 December 2023, which are set
out below, and notes to the financial statements on pages 7 to 17
Respective responsibilities of Trustees and Examiners
As the Charit¢s Trustees, you are responsible for the preparation of the accounts. YOU
consider that an audit is not required for this year (under section 144(2) of the Charity Act
2011(the 2011 art) and that an independent examination is needed. It is my responsibility to
Examine the account {under settion 145 of the Act).
follow the procedures laid down in the General Dirertions given by the Charity.
Commission (under section 145(5} {b) 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 accordance with the general direction5 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 includes consideration of any unusual items or disclosures in the accounts and seeking
explanation5 from you as the Trustees concerning any such matters.
The procedures undertaken do not provide all the evidence that would 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 Examinerfs Statements
In connection with the examination, no matter has come to my attention: _
l) Which give me reasonable cause to believe that in any material respect the
requirements
To keep accounting records in accordan￿ with section 130 of the 2011 Act;
To prepare accounts which accord with the accounting records and to
comply with the accounting requirements of the 2011 Art have not been met
or
2) To which, in my opinion, attention should be drawn to enable a proper understanding
of the accounts to be reached
Moses O E Igunnubole. BA (HONS.), FAI4 CPF4 FFA
Manoging Pnncipol
MOSES-BOLE&CO
CPA FIC ACA T..
Chartered Certified Forensic Accountants
Certified ProfessionalAccountants/Tax Advisers
and 8u5iness Chartered Monagement Cons
DA TE.. bg-2024.
Tel l 44410120 7704 2525 Etnail rnosest)oJefyd.com
Ler¢4 House Busines5Cent¥e,Ufitt
Faxi 4410120 73542035 Web/ W%•W.n￿ses-bole￿)rn 436ESSEX Roadldingion.Landon.
13QP

THE REDEEMED CHRISTIAN CHURCH OF GODIRCCGJ-MNNERS TEMPLE
STATEMENT OF FINANCIAL ACTrvmES FOR THE YEAR ENDED 31ST DECEMBER 2023
Fur
F￿d$
Furnts
by actmty
Income and endowments from:
Donations and legaaes
Total
Resources expended
Expenditure on:
Direct Cost
Support C05t
Governance Cost
Total
209.596.26
209.596.26
209,596.26
209.596.26
196,999
196.999
105,586.10
74.428.76
1,955.00
181,969.86
105.586.10
74.428.76
1,955.00
181,969.86
107,349
74.175
1.955
183,479
Net movement In funds
27.626.40
27,626.40
13.520
Total funds brought forward
Net movement in funds as shown above
Totsl funds carried forward
328.266.55
27.626.40
355.892.95
328.266.55
27,626.40
355.892.95
314.747
13,520
328,267

THE REDEEMED CHRISTIAN CHURCH OF GOD[RcCG]-￿NNERS TEMPLE
BALANCE SHEET AS AT 31ST DECEMBER 2023
Noles Unresthcb
Funds
Total
income
ment
Funds
Total
Funds
Year
Fixed a&sets
Tangible assets
Total fixed assets
311449.91
311.449.91
311.449.91 315.770
311.449.91
315,770
Current assèts
Cash at bank and in hand
Total current assets
48,753.04
4&753.04
48 753.04
Creditor8'. amtyjnts fdliry due 1 w.
Net current assetsllliabilth8sl
4.310.00
4.310.00
4,240
Total net assets or liabilities
355.892JS
355 892.95 328 267
Funds ofthe Charty
Unreslricied funds
Revaluation raserve
Total funds
355.892.95
355,892.95 328.267
355 892.95 328 267
Sign8d by onè IN5tees on behawof all the trustees..
Signature..
Date ofapproval. agl g f ￿ i*
Print Name..

THE REDEEMED CHRISTIAN CHURCH OF GOD[RCCG]-MNNERS TEMPLE
NOTE TO THE ACCOUNTS FOR THE YEAR ENDED 31ST DECEMBER 2023
ot• 1 Basis of pYeparnUon
1.1 Basis of aC￿￿￿tIng
These accounts have been prepared under the hisloriLzl (y)st I￿nVent￿)n wtth items reco3nlsed
al cost or transaction valLte unless otherwise stated in the relevant nole{sl lo these accounts.
The accounts have been prepared in arthrdanee wrth the Financial Reporttng Standard app￿rable
in the UK and Republic of Inland IFRS102) issued on 16 Juty 2014 and with the Charities Act 2011
and the Charity conslilutes a public benefft ag defined by FRS102.
1.2 Goln9 concern
Considering the stead level of incomlng resources and n￿bership numlw the Charfty is
a going coneem with no any known unforeseen circumstance
1.3 Change of a¢¢ountlng pollcy
The accounts present a true and fair vtew a￿1 the accounting WicBs adopted are tkne 0￿￿4ned in
the note with no thange in policy
1A Changes to accountlng estirnates
No changes to accounts'ng estimates have ¢xcurred in the rewrtrig periTrJ (3.46 FRS 102 SORP).
1.$ Materlal pvior y•ar •rrovs
No material prior year error have been identrf*d in the repwting peri￿1 (3.47 FRS 102 SORP}.

THE REDEEMED CHRISTIAN CHURCH OF GOD￿INNERs TEMPLE NOTES TO THE
ACCOUNTS
CONTINUED
FOR THE YEAR ENDED 31ST DECEMBER 2023
Accounting pollcies
Note 2
2.1 RECONCILIATION WITH PREVIOUS GENERALLY ACCEPTED
ACCOUNTING PRACTICE
There is no change in accounting policy in this period
2.2 INCOME
This standard list of accounting Oicies has been applied by the charrty except for those ticked No or
"Nla".
Where a different OT additronal policy has been adopted then this is detsiled in the box below.
Reco9nltlon of Income
These are induded in the Statement of Financial Actiwties {SoFA) ￿en..
. the charity becomes entiued lo th& re50urces,'
tt is more likely than not that the tnjstees ￿1] recerve the resOu￿S.. and
. the monetary value can be measure(S wrth SLrfficient reiiability.
Offsètting
There has b8en no offsetting of assets and liabilities. rK inwme and expenses.
Grants and donatlons
Grants and donalions are On￿ included in the SOFA when the general income recL*3ntbon criteria are
met15.10 to 5.12 FRS 102 SORP).
In the case of performance related grants. In￿me must onty be recognised to thg extent that the
charity has provided the specified gocmjs or services as entivement to Ihe grant onty occurs when the
perforniance related conditions are met (5.16 FRS 102 SORPI.
Legacles
There is nolggacy received durfng thls perfod.
Government grants
No govemment grant was received during this period.
Tax reclalnts on donatlons aml glfts
Gift Aid receivable is included in income when there is a valid declaration from the do￿r. Any Gift
Aid amount recovered on a donation is (x)nsidered lo be part of that grft and is treated as an addition
to the same fund as the inib'al donath"or¢ unless the donor or the te￿S of the appeal have specified
otherwse.
Cofttractual income and ￿r10M￿nC0 related grants
This is not applicable
Donated goods
There is no donated g)od.
Donatod s•rvlc•s and faci1110oS
Donated Servi￿ and facllities are included in the SOFA w￿n received at the value of the gift to the
chartty provided the value of the grft can be measured reliably.
Donated services and facilities that are wnsume(f immediatety are recognised as income with an
equivalent amount recognised as an expense under the appropriate heading in the SOF
Support costs
The charity has incurred expenditure on support costs.

Volunteer help
The value of any voluntary help receive(l is not included in the ac¢x)unts but is described in the
truslees. annual reporL
Income from intergst. royaltles and dlvidends
Not applicable duiin9 this p8rrod.
Income from membershlp subscrlplions
Tithes and offering received from the members are in the nature of a gift are recognised as Donattiins.
and Legacies
Settloment of insuranc• clalms
Insuran￿ daims are only included in the SOFA when the general income recogntiion crtterra are
met {5.10 to 5.12 FRS 102 SORP) and are induded as an ttem of other inixjme in the SOFA.
Investment galns and losses
This includes any realised or unrealised gains or losses on the sale of investrn8nts and any gain or
loss resulting from ￿Valu1n9 inv&stsnents lo market value at the end of th8 year.
2.3 EXPENDITURE AND LIABILITIES
Liability re¢ognitron
Liabilities a￿ recognised where it is more likely than not that there is a legal or constnJctive obligation
cornmitting the charity to pay out resources and the arncMJnt of the obligation can be measured with
reasonable certainty.
Governance and support costs
Support costs have been allocated between govemance ￿}sts and other supwrt. Govemance costs
comprise all costs involving public accountabilty of the charity and its compliance v•7th regulation and
good practi¢8.
Support costs include central functions and have been allocated to actiwty cost categon'es on a basis
consistent the use of resources. eg allocating propety costs by floor areas. or per capita. staff
costs by the time spent and other costs by their usage.
Grants wlth parformanco ¢ondltions
The Charity is not awarding grant lo any organisatii)n
Grants payable without perfonnance conditions
Where Ihere are no conditions attaching to the grant that enables the donor chartty to realisticalty
avoid the commitrnent, a liabilty for the full funding obligation must be recognised.
Redundancy cost
The charity made no redundancy payments during the reporting p8ri0d.
Deferred Income
No material item of deferred income has been induded in the a¢xounts.
Crodltors
The charity has creditors which are m8asured at setuemenl amounts le￿ any trade discounts
Provlsions for Ilabilitles
A liability is measured on recognibon at its historical cost and then subsequenliy measured at the
best estimate of the amount required lo settle the obligation at the reporting date
Baslc ftnan¢lal Instrnments
The charity am)unts for basic finan￿al instruments on initial reccrfJnthon as per paragraph 10.7 FRS
102 SORP. Subsequent Tr￿asurement is as per paragraphs 11.17 to 11.19. FRS 102 SORP.

2.4 ASSETS
Tangible fixed ass•ts for use by ¢haFtty
These are capitalised rf they can be used for more ts￿n one year. and cost at reast
They are valued al cost.
The depreciation rates and methods used are disclos&J in note 7.
Inlangible fixed assets
The charity has no intangible fixed assets. that is. nor￿mOne$ary assets that do not have physical
substance but are idenb"fiable and are controlled by the charily through custody or legal rights. The
amortisalion rates and methods used a￿ disdosed in note 7.
They are valued at cosL
Herftago ass•ts
The charity has no herilage assets. that is. non-monetary assets historic. artists"c. scientific.
technological. geophysical or enwronmental qualities that are held and maintsined principalty for their
contribution to knowledge and cutture. The depreciation rates and methods used as disdosed in
note 16 is not applicable during this period but rf available they are valued al cost
Inv•stm•nts
Fixed asset invgstments in quoted shares. traded bonds and similar investrnents are valued at initial
at ￿st and subsequenvy al fair value (their market value) al the year end. The same treatsnent is
applied to unlisted investments unless fair value cannot be measured reliably in which cas8 It is
measured at cost less impaimienl.
Investjnenls held for resale or pending their sale and cash and cash equrvalents with a malurity date
of less than 1 year are treated as current asset investments
Debtor8
08blors lincludlng trade debtors and loans recelvablg) are measured on inibal ￿COgn[bOn at
setdement amount after any trade discounts or amount 8dv8nced by tho chanty. Subsequenlly. they
are measured al the cash or other consideration expected to be recejved.
Curr•nt asset Investments
The charlly has has investments which rt holds for resale or peThJing thelr sale and cash and cash
equivalents wth a maturity date less than one year. These indude cash on deposit and cash
equivalents wlh a maturty dale of less than one year held for investrnent purposes rather than to
meg1 short teryn cash commrtments as they fall due.
They are valued at fair value excapl where they qualify as basic financial irkstruments.
POLICIES ADOPTED ADDITIONAL TO OR DIFFERENT FROM THOSE ABOVE
There is no any other policies adopted.

THE REDEEMED CHRISTIAN CHURCH OF GOt￿￿NNERs TEMPLE NOTES TO THE
ACCOUNTS
CONTINUED
Note 3
FOR THE YEAR ENDED 31ST DECEMBER 2023
Analysls of lrton
Ahafysls
Restrlct•d
unre8￿Cl•d h)come Endowment
Funds
Fund#
Funds
Prlor
year
Fund8
Total
Funds
Donauons and l•gad*'
Donal￿￿￿ and grRs
GrftAd
Other
Total
170234.64
39.285.87
75.75
209,596.26
170.234.64
39.285.87
75.75
209.596.26
161,633
34.347
1.019
196.999
Charftabl? actMtiOS:
Other
Total
TOTAL INCOME
209.596.26
209,59&26
196,999
other Inforn￿On:
All In¢ome Ih the prlor y•ar was unreSt￿¢t8￿ •xcept for (￿se provlde d•s¢rfptlon and amounts)
reason for th• ¢onverg10n.
thln the Incom• it•ms abov• th• followlno It•#M are m*terfal: (plaw dls¢los• th* Mthre,
amount and any prfor year anwnts): IIONE
11

THE REDEEMED CHRISTIAN CHURCH OF GoD-￿NNERs TEMPLE NOTES TO THE
ACCOUNTS
CONTINUED
FOR THE YEAR ENDED 31ST DECEMBER 2023
Analysis of •xpendltur•
Rtstrieted
UnTe5tr1¢ted income EndO￿n
Funds
Funds
Funds
Prlor
year
Funds
Totsl
Funds
Gift Aid Admin Charges
Central Office
Outreach {Evangelisml
Wortd Evangelism Missvjn
Holy Communion
Honourarium
Welfare & Hospitslity
StEcial Holy Ghost Expenses
Stipendsl Alowancesl Salaries
Chc¥rl Key Boardl Music Expense5
Booksl CDSI Tapes
Childrenl Teenage/ y￿th /Sunday School
Trainin￿ Conferen¢el Congresslseminars
Smart Pension
HMRIPAYE & NIC )
4.321.45
8,700.fK)
2.720.00
4.321.45
8,7(X).00
2,720.00
3,778
7,815
439
7,585
135.99
1,450.00
8,727.80
3.¢YJO.00
6￿,936.64
15,736.97
400.00
892.94
3.592.00
3,840.00
6.132.31
13599
1,450.00
8,727.80
3.000.00
45,936.64
15.736.97
400.00
892.94
3.592.00
3,840.￿]
6,132.31
2,800
9,246
2.000
45.465
12,970
300
475
290
5,916
8.270
105,586.10
105,586.10
107,349
Cleaning & Pest Control
Donath"ons, Gifts & SubSCn"pti￿
Water Rale
Media Ex￿nSeS
Security
Rgpairs, mainten8nc8 Renewals
Printing, Postage and Stslionary
Telephone
Computer Cosv IT1S0￿are Exr
InsurancelParkinglLi￿nceS
T￿nspOrt & Travet Expenses
Consultancy sermces
Advancement and Prornotion
Bank Charges
Refreshment and Entertainment
Depreciation
Electricity, Gas ,Fuel and Oil
Manse (Accommodation}
Cowd-19 Expenses
Fu81 & Motor xpenses
Equipment Expensed
Hall Rentals
1.241.34
4,747.26
684.14
2,025.68
1,241.34
4,74726
684.14
2,025.68
1,357
3,501
1.520
115
9.499
2.241
1.182
165
1,439
9,735
1,600
126
557
987
11,655
2,936
23,953
89
818
95
65
10.340.08
857.25
1.163.69
10.340.08
85725
1.163.69
1,542.07
9,901.25
1.600.00
1.542.07
9,901.25
1.600.
601.27
567.64
10,214.43
3.667.00
23.952.66
60127
567.64
10.214.43
3,667.00
23.952.66
1.323.00
1.323.
74.428.76
74,428.76
74,175
TOTAL EXPENDITURE
180,014.86
180,014.86
181.524
12

THE REDEEMED CHRISTIAN CHURCH OF GOD4YINNERS TEMPLE NOTES TO THE
ACCOUNTS
CONTINUED
Noto 5
Details of cort•in It•ms of expendlture
5.1 Fees for exaffnination of the accounts
Please provide details of th8 amount paid for any stattjtory extemal s(#￿tInY of accounts and oth
servlces prDvided by independent examiner. If nothlng was paid please enter ￿. in the approrxiate
boxlès).
GOVERNANCE COST
FOR THE YEAR ENDED 31ST DECEMBER 2023
Thls Year La￿ Y•ar
Independent exam1￿$ fg9S
Legal & Professional Fee51Subscription
AssLTrrance services olherthan audit ty independent examination
610.00
610
Tax advisoryfees
Other fees If￿ example.. financial athee. umgjttancy, accx)untancy
Bookkeeping paid to the irKfependent examiner
1,345.00
1.955.00
1.955
13

THE REDEEMED CHRISTIAN CHURCH OF GOD-WINNERS TEMPLE NOTES TO THE
ACCOUNTS
CONTINUED
FOR THE YEAR ENDED 31ST DECEMBER 2023
Note 6 Paid employees
Please complete this note If the chartty has any employees.
6.1 Staff Costs
This Year
Last Year
Salaries and wages
Social security costs
Pension cosls (defined
Other employee benefits
Total staff costs
69.889.30
6,132.31
3,840.00
69,417
8,270
5,916
79,861.61
83.603
Please provide details of expenditure on staff working for the charity whose contracts
are with and are paid by a related paty
Please give details of the number of employees whose total employee benefits
(exduding employer pension costs) fell wthin each band of £10.000 from £60.000
upwards. If there are no such transacb'ons. please enter Yrue. in the box provtded.
No employees received employee benefits (exduding employer pension costs) for the
reporting period of more than £60,000
Band
£60,000 to
£70,000 to
£80,000 to
£90,000 to
£100,000 to
Number of employees
NIL
NIL
NIL
NIL
NIL
14

THE REDEEMED CHRISTIAN CHURCH OF GoD-￿NNERs TEMPLE NOTES TO THE
ACCOUNTS
CONTINUED
Not• 7
FOR THE YEAR ENDED 31ST DECEMBER 2023
Tangible r￿d assets
Frg8hdd
land &
bulldlngs
ma¢hingry Flxtwos &
Computèr & & motor
fftttngs
Equlpment whicles
Tot41
At the Winning of th& year
280,806.58 57.459.32
41.925.07
380.1g).97
Additions
1.694.IK)
4.200.00
5,894.00
Disposals
Al end of the year
280,806.58
59.153.32
46.125.07
386.084.97
7.2 Depra¢iation and impalmients
'Basis
Freehold Propety
Motor Vehicle
Fixture5 & FÉttsngs
Church Equipment
Computer Equipment
25°
25%
25%
25%
ReducirKJ Bdance
Reducing Balan
Reducing Balance
Redts¢ing BalarKe
"' Rate
At beginnSng of the ygar
Disposals
Depr￿lation
Impaimient
Transfèrs" (Add or Deduct)
Al end of Ihp year
30.￿.59
34.352.04
64,420.63
7271.18
2.913.25
10.214.43
37.339.n
37.295.29
74.635.06
7.3 Net book value
Nel book value at the beginning of Ihe Yr.
N81 book valug al the end ol tha
280,806.58
280.806.58
27.￿.73
21,813.55
7.S73.03
8.829.78
315,770.34
311,449.91
7.4 IMpairn￿nt
Please provide a description of the evenls 8ThJ circumstances that led to the roccunition
reversal of an Impairmgnl loss.
14.5 Revaluation
If an accounting policy of revaluation is adcyted. please provide..
the effective date of the revaluation
the name of indep8ndent valuer. rfapFdl(sble
thg methods aprlied and signfficanl assumplior
the catyng amount that wcAJkl have been recognised had th8 assets been carrlod under the
Cost model.
14.6 Other dlsclosures
lil Please state the amount of cx)sts. rf any, capttalised in the CA)nstrucknn of tangible
fixed assets and the capitalisatM)n r* used.
lill Plèase provide Iho amount of I￿¢t￿al LKffnmitments for wuisition of tsngible fixed
assets.
(iiil Details of the existerrce and tsrrying aM￿nts of ￿an1 and wuipment to which the
charity has restriCt￿j tttle or that are plwj￿l as se(xJrity for lialJ"lib"e&
. The'transfers. row is for movèments tet¥%*en fixed asset catwtes.
. Please indicate the melh(xJ of depreciation by deletFng th8 methc¥J not a01ca￿e ISL- Stra￿h1
line.. RB = reducing balance). Mso pleas8 indicate the rate of depwatK)n'. for str8ighl line. what
is the anlicipateil life of the asset lin year5): for reducsThJ bala￿. what is the percentsge annual
dedLJCtion.
15

THE REDEEMED CHRISTIAN CHURCH OF GOD-WINNERS TEMPLE NOTES TO THE
ACCOUNTS
CONTINUED
FOR THE YEAR ENDED 31ST DECEMBER 2023
Noto 8
cr￿ltOrS and accruals
Please complete this note if the charity has any ￿edItorS or accruals.
8.1 Analysis of creditors
Amounts falling
due after more
than one year
Amounts falling due
bmthin one year
Accruals and deferred income
Total
4,310.00
4,310.00
4.240
4.240
16

THE REDEEMED CHRISTIAN CHURCH OF GOD-WINNERS TEMPLE NOTES TO THE
ACCOUNTS
CONTINUED
Note 9
FOR THE YEAR ENDED 31ST DECEMBER 2023
Cash at bank and in hand
Thls Year
Last Year
Short temi deposits
Cash al bank and on hand
Total
44,875.72
3.877.32
48,753.04
16,039
697
16.736
17