Registered Charity Number
1096702
Redeemed Christian Church of God . His Glory Tabemacle
Unaudited Flnancial Statement5 For The Year Ended
31sf December 2023

Redeemed Chrirtian Church of God , HIS Glory Tabemacle
Contents of The Financial Statements
For The Vear Ended 31st December. 2023
Page
Report of The Trustee5
Independent Examiner'5 Report
Statement of Financial Aclivities
Balance Sheet
7-10
Detailed Statement of Financial Activities

Redeemed Chrlrtian Church of God . His Glory Tabernacle
Report Of The Trurtees
For The Year Ended 31rt De￿rnber. 2023
REFERENCE AND ADMINirrRATIVE DETAILS
Regirtered Charity Number
1096702
Principal address.
Unit 17 & 19 Bellingham Trading Estate
Frantharne Wav
Catford
SE6 3BX
Trurtees
Mr. Femi Agoro
Dr Frank Amp05ah
Mr Abidoun Adeboyejo
Mrs. Idowu Ojo
Mrs Mercy Ilebode
Secretary
Treasurer
Independent Exatniner
Lemo Corporate (Chartered Certified Accountants)
Accountants
815 Old Kent Road
London
SE15 INX
Bankers
HSBC
15 Wellington Street
London
SE18 6PH

Redeemed Chrirtian Church of God , His Glory Tabernacle
Trurtee'5 Report
For The Year Ended 31st December, 2023
The trurtees present their report with the financial statements of the charity for the year ended 31 December
2023. The trustees have adopted the provisions of the Statement of Recommended Practice (SORP)
'Accounting and Reporting by Charities, issued in July 2014.
RUCTURE. GOVERNANCE AND ANAGEMENT
Induction and training of new trurtees
New Trustees are given an understanding of the charity's objectives and the requirement5 of
the Charity Commission. They are also encouraged to attend appropriate external training events
where these will facilitate the undertaking of their role. Charity Commission bulletins/updates are a150
foMarded to Tru5tee5 as and when issued.
Organisational rtructure
The church is organised Futh that the day to day running of the church has been delegated to the
Parish Partor and the Charity Manager. The Trurtee5 are consulted on all material issues and determine
the rtrategic direction of the tharlty. Trurtees meet formally twi￿ a year and as and when required to
review the operations of the charity.
315t December 2023
His Glory Tabernacle is a member of the Redeemed Christian Church Of God (RCCG) which ha5
parishes all over the world. The relationship 15 governed by an 'Agreement For Common Purposes,
between the parishes and RCCG.
Risk management
The trustee5 have a duty to identlfy and revlew the rlsks to whlch the charity is exposed and appropriate
ontrols are in place to provide reasonable assurance against fraud and error.
OBJECTIVES AND ACTIVITIES Objectives and alms
The advancement of the Christian faith worldwide in accordance with the doctrines set out in the
Statement of faith contained in the schedule 2.2.2 the relief of poverty 2.3 the trustees must use the
income and may use the capital of the trust in promoting the objects,
FINANCIAL REVIEW
Reserves Policy
Freely available reserves are a pool of unapplied resources available to meet future demands on the charity's
resources. This is 'general purpose money that can be spent on any of the purposes of the charity. Reserves
are required to ensure the charity can meet its general business commitment5.
Principal funding sources
Currently. the principal funding sources of the charlty are from donation5 made by its volunteers and
members.
FUTURE DEVELOPMENTS
Missions will be a focus for the church into the near future as we seek to help alleviate poverty. We will
also continue to seek strategic and collaborative relationships with other local community organisations as
a means of achieving our objectives. Employment and education remain important means of relieving
poverty and to that end. we will organise seminars to equip members of the local community with skills
relevant for securing employment.

L4ND & BUILDING
The charity acquired Unit 17-18 Bellingham Trading Estate during the year ended 2019 a5 its permanent
place of Worship and refinance Unit 19 all together into the new purchase.
The Trustees are responsible for ensuring that proper books are maintained, for safeguarding the a55ets of
the charity, and for taking reasonable 5tep5 for the prevention and detection of fraud and other
irregularities.
The Board has reviewed the effectiveness of the system of internal control for the period to 31 December
2023 and for the period to the date of signing these accounts. There are no material weaknesses that would
have resulted in losses. contingencies and uncertainties that require a separate di5c105ure in these accounts.
Approved by order of the board of tru5tee5 on
behalf b
and signed on its
Mr Femi Agoro .. For Trurtee

Redeemed Christian Church of God , His Glory Tabernacle
For The Vear Ended 315t December. 2023
Independent Examiner's Report
To the Trurtee5 of
Redeemed Chrirtian Church of God , His Glory Tabernacle
I report on the accounts for the year ended 31 December 2023 set out on pages five to ten.
Respective responsibilities of trurtees and examiner
The charity's trustees are responsible for the preparation of the account5. The charity's trustees
consider that an audit is not required for this year (under Section 14412) of the Charities Act 2011
(the 2011 Act)) and that an independent examination 15 required. The charity's gro55 income doe5
exceeded £250,000 and l am qualified to undertake the examination by being a qualified member of
ACCA.
It is my responsibility tD:
examine the accounts under Settion 145 of the 2011 Act to follow the procedures laid down In
the General Directions given by the Charity Commission (under Section 145(5)(bJ of the 2011
Act); and to rtate whether particular matters have come to my attention.
My examination was carried out in accordance with the General Directions given by the Charlty
Commission. An examination includes a 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 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 statements
below.
Independent examlner's rtatement
In connection with my examinatlon, no matter has come to my attention-
l) which give5 me reasonable cause to believe that. In any materlal respect, the requirement5 to
keep accounting records in accordance with Section 130 of the 2011 Act; and to prepare accounts
which accord with the accounting records and to comply with the accounting requirements of
the 2011 Act have not been met- or
(2) to which. in my opinion, attention should be drawn in order to enable a proper Ljnderstanding
of the accounts to be reached.
For and on Behalf of Lemo Corporate
Lemo Corporate (Chartered Certifted Accountants)
Accountants
815 Old Kent Road
London
SE15 INX
Date.........................................-...

Redeemed Chrirtian Church of God. His Glory Tabernade
Statement of Financial Activities
For the year ended 31 DeceTnber. 2023
2023
Total
Fund
2022
Total
Fund
Unrestricted
Restricted
Notes
Income Resources
Incoming Resources From Generated Funds
Voluntary Income
Building fund
Other Income
Bank interest received
286.702
286,702
253.997
76,009
76.009
362.711
362,711
253,997
Resources Expended
Charitable Actlvitles
Physical & Spiritual Need
Governance Costs
273,465
1.910
273.465
1,910
155,061
1.449
Total Resources Expended
275 375
275,375
156,510
NFf INCOMING RESOURCES
87,336
87,336
97,487
RECONCILATION OF FUNDS
Total Fund5 Balances blfwd
814,400
814.400
716,912
Total Funds Balances cl￿d
901,736
901.736
814.399
The Notes Form Part of These Financial Statements

Redeemed Chrirtian Church ofj God HIS Glory T8bernacle
Balan￿ Sheet
as at31 December 2023
2023
2022
Unrertricte
d Funds
Restricted
Funds
Notes
Total Funds Total Funds
FIXED ASSErs
Tangible assets
Other Tangible a55ets
110.340
1.826.766
1,937,106
35,472
1,759.616
1,795.088
CURRENT ASSETS
Cash at bank and in hand
12.070
12.070
5,174
CREDITORS
Amounts Falling Due within one Year
{50.897)
(50,897)
(75.299)
NFf CURRENT AssFrs
(38.827)
(38,827)
170,125)
TOTAL ASSFf5 LESS CURRENT
LIABILITIES
1.898,279
1.724,963
CREDITOR5
Amounts Falling Due after one Year
996.542
(996,542)
(910.563)
NFf ASSETS
996.542
901,737
814,400
Unrertrltted Fund5
Unrestricted Funds
901,737
814.400
TOTAL FUND5
901.737
814,400
The financial rtatements were approved by the Board of Trustee5 On.....
were signed on its behalf by:
and
Approved by Board of Trurtees
Mr Femi Agoro (For The Trustee)
The Notes Form Part of These Fir*ancial Statements
Page 6

Redeemed Christian Church of God , His Glory Tabernacle
Notes to the Financial Statementss
for the year ended 31 December 2023
ACCOUNTING POLICIES
Accounting Convention
The financial statements have been prepared under the historical cost convention,
and in accordance with the Financial Reporting Standard for Smaller Entities
(effective January 2015), the Charities Act 2011 and the requirements of the
Statement of Recommended Practice, Accounting and Reporting by Charities
(issued July 20141
Incoming Resources
All incoming resources are included on the Statement of Financial Activities when the
charity is legally entitled to the income and the amount can be quantified with
reasonable accuracy.
Resources Expended
aggregate all cost related to the category. Where costs cannot be directly attributed
to particular headings they have been allocated to activiiies on a basis consistent with
Ihe use of resources.
Grants offered subject to conditions which have not been met at the year end date
are noted as a commitment but not accrued a5 expenditure.
Tangible Fixed Assets
Taxation
The charity is exempt from tax on its charitable activities.
Fund Accounting
U nrestricted fund5 can be used in accordance with the charitable objectives at the
discretion of the trustees.
I VOLUNTARY INCOME
2023
2022
Tithes & Offerings
Bank Interest
Building Fund
Other Income
Gift Aid
241,891
182,707
154
26,877
17,935
76,009
362,712
6,455
64,681
253,997
2023
2022
Grants received, included in the above, are as follows..
Other Grants
76,009
64,681

Redeemed Christian Church of God , Hi5 Glory Tabernacle
Notes to the Financial Statement55
for Ihe year ended 31 December 2023
2 GOVERNANCE COSTS
2023
2022
Accountancv
Legal fees
950
960
1,910
750
699
699
3 Wages and Salaries
Social security Costs
67.553
2,412
69,965
40,818
1,375
42,193
4 Tangible Fixed Assets
Choir Furnlture &
Equipment
Fittings
Motor
vehicles
Total
Cost
At l January 2023
Add itions
At 31 December 2023
78,646
82,174
160,820
72,518
10,730
161,894
82,174
244,068
72,518
10,730
Depreciation
At l January 2023
Charge for the year
At 31 December 2023
62,440
3,241
65,681
53,517
3,800
57,317
10,485
265
10,730
126,422
7,306
133.728
Net boolc value
At 31 December 2023
At 31 December 2022
95,139
16,206
15.201
19,001
110,340
35,472
265
Freehold Land and Buildings..
2023
2022
Historical cost
1,826,766
1,759,616
5 Crediiors: amounts falling due within one year
2023
2022
Bank loans and overdraft5
Trade Creditors
SeNice Charges
39,319
35,980
49,756
50,897
75,299

Redeemed Christian Church of God , His Glory Tabernacle
Notes to the Financial StatementSS
for the year ended 31 December 2023
6 Creditors: amounts falling due after one year
2023
2022
Mortgage loans
Obligations under finance lease and hire purchase contracts
Bank Loan5
909,821
52,289
34,432
996,542
910,563
910,563
7 Movement in Funds
At 01 01 23 Movement
At31 1223
Unrestricted funds
General fund
TOTAL FUNDS
814,400
814,400
87,337
87,337
901,737
901,737
Net movement in funds, included in the above are as follows..
Incoming Resources Movement in
Resources
Expended
Funds
Unrestricted funds
General fund
Total Fund
362,712
275,375
87,337
362,712
275,375
87,337

Redeemed Chrirtlan Church of God . His Glory Tabernade
Detailed Statement Of Flnancial Activities
For The Year Ended 31 De￿rnber. 20223
2023
2022
Unrertrfcted
Restricted
Total
Fund
Total
Fund
INCOMING RESOURCES
Tithes & Offering
Building fund
Other income
Gilt Aid
Total Incomlng Resources
241,890.58
26.876.58
17.934.98
76,008.50
362.710.64
241,890.58
26.876.58
17.934.98
76,008.50
362,710.64
178,461.25
27,144.00
6.724.00
41.667.50
253.996.75
RESOURCES EXPENDED
Charitable Adivitles
Donations & Subs
Books & Manua15
3.520.00
129.00
3.800.00
4,646.00
2,124.00
2.243.00
3.520.00
129.00
3,800.00
4.646.00
2.124.00
2.243.00
6.035.00
40.00
3.150.00
2.460.00
1.678.00
1,545.00
1,288.00
11.136.00
27.332.00
Honorarium & volunteer
WEM & Central funding
Travelling and Subsistence
Printing. postage & stationery
IT Software and Con5umable5
Church Activities & Exp
26,579.00
43.041.00
26.579.00
43.041.00
Governance C05tS
Accountancy fees
Professional charges
950.00
960.00
1.910.00
950.00
960.00
1.910.00
750.00
699.00
1.449.00
Support Corts Mana8ement
Rent & rates
Light & heat
Bank charges
Insurance
Telephone & fax
Repairs & maintenance
security - Service Charges
Service Charges
Wages & salaries
Social Security
Equipment expensed
Other Legal and Professional
Finance Charges
Depreciation charge
49,435.00
4.108.00
1,671.00
1.195.00
2.195.00
10.104.00
49.435.00
4,108.00
1.671.00
1.195.00
2.195.00
10.104.00
38,040.00
3.324.00
1.563.00
1.310.00
4.422.00
5.623.00
10.365.00
261.00
67.553.00
2.412.00
10.365.00
261.00
67.553.00
2.412.00
1.845.00
40.818.00
1.375.00
350.00
3.500.00
66.797.00
10.828.00
230.424.00
3.500.00
66.797.00
10.828.00
230.424.00
22.604.00
6,455.00
127,729.00
TOTAL RESOURCES EXPENDED
275.375.00
275.375.00
156,510.00
Nyf INCOME
87.335.64
87.335.64
97.486.75
10