THE REDEEMED CHRISTIAN CHURCH OF GOD
LORD"S VINE
Charity REG.No 1103374
FINANCIAL STATEMENTS FOR THE YEAR
ST
ENDED 31 DECEMBER 2024
MOSES-BOLE&CO
CHARTERED CETIFIED FORENSIC ACCOUNTANS
CERTIFIED PUBLIC ACCOUNTANTS & TAXI ADVISERS
& BUSINESS CHARTERED MANAGEMENT CONSULTANTS)

THE REDEEMED CHRISTIAN CHURCH OF GOD
LORD"S VINE
CONTENT
Trustees and Advisers
Trustees. Report
Independent Examiner"s Report to the Trustees
Statement of Financlal Activities
Balance sheet
Notes fornilng part of the Flnancial Statement
5-17

THE REDEEMED CHRISTIAN CHURCH OF GOD-
[RCCG] WINNERS TEMPLE
TRUSTEES AND ADVISERS
Minister In Charge:
Pastor Ade Oluwayinka
Trustees:
Samuel Oladele Bakare
Secretary:
Adeolu Adewuyi
Registered Office:
111 Brockles Mead Harlow
London. CM19 4PX
Charity No
1103374
Bankers
Barclays
Account: 00667854
Sort Code: 203698
Accountants:
OSES-BOLE&CO
CERTIFIED PUBLIC ACCOUNTANTSI TAX ADVISERS
CHARTERED CERTIFIED FORENSIC ACCOUNTANTANTS
& BUSINESS CHARTERED MANAGEMENT CONSULTANTS)
39 Saints Brelades Court
Balmes Road
London N15TW

TRUSTEES ANNUAL REPORT FOR THE REDEEMED CHRISTIAN
HURCH OF GOD - THE LORD'S VINE
FOR THE YEAR ENDED 31 DECEMBER 2024
OBJECTIVES AND AcfIvITIES
The Objects of the charity are:
Advancement of the Christian faith.
The relief of poverty
The charity pursues these objects through a place of worship located at
Ward Hatch, Harlow, Essex. The charity activities include Christian
Worship, Christian outreach programmes to increase Christian awareness
and spread the gospel of our Lord Jesus Christ, and the development of
the whole person, spiritually, mentally, and physically. The year 2024 has
continued the implementation of meeting her objectives of furthering the
Christian faith and alleviating the suffering of the people generally,
irrespective of their race, background, sex or faith
In determining how best to pursue these objettives, the trustees have
taken into account the Charity Commission's guidance on public benefit.
ACHIEVEMENTS AND PERFORMANCE
The 2024 financial year was a period during which the charlty had fully
emerged from the challenges of the COVID-19 pandemic, which continued
until 2023. However, we now hold programmes such as the Bible studies,
Friday prayer meetings in the Church buildings rather than on line.
However, the House Fellowships are still held online.
We continued with our regular help and assistance to the community. We
provided support to the elderly in the community by offering care, social
and recreational services to local elderly residents in the Mark Hall area of
the Harlow community. We also undertook visits to the homeless and the
hospital, providing donations of money and relief materials.
Essentials, such as milk, foodstuffs and clothing, are distributed to Church
members every Sunday.
STRATEGY
To pursue her objertives, the charity mobilised its various departments to
support the Church's attivities in this regard. The events and programmes

which helped build relationships with the community were held during the
year.
These departments include: Children Sunday School, Men of Honour,
Good Women Fellowship, Youth Ministry, Prayer and Intercessory Group,
Evangelism Group, The Vine Voices (Music) and Media Department. The
events and programmes which helped build relationships with the
community were held during the year. The events organised include:
Church annual seminar and community empowerment
We organised a Christmas Carol and Party for members and the
community. This event was well attended by members of the
community.
In the month of May, we had a good Women's conference, which
involved reaching out to women in the community.
We had a local Youth Variety Weekend aimed at discovering hidden
talents among the young people in the community.
We held a youth community evangelism drive. This is organised to
create awareness among the youth in the community.
We had a programme tagged 'Men of Honour, conference in
Ottober, targeted towards ministering to and empowering men in
the community.
The children's Church raised money to support Save the Children
Charity, Cancer Research UK, and Princess Alexandra Hospital,
Harlow. Food was donated to the Food Bank, Harlow.
The Charity continues to provide financial support to the Festival of
Life prayer event held biannually in London.
In the month of November, we organised a Children in the
community weekend
The church's yearly conference, aimed at empowering adults in the
community, was held in September.
Jesus in the Community Programme took place in December,
involving the distribution of food items to the homeless people in
the community.
RISK MANAGEMENT
The Trustees have conducted a review of the significant risks to which the
Charity is exposed. The risk register continued to be used to identify
major risks by area of activity, the nature of those risks, the likelihood of
the risks occurring, and the measures taken to manage them. The
Trustees review the risk register regularly at their meetings and are
satisfied that systems are in place to manage the risks that have been
identified. In particular, Insurance cover is in place, and the charity's

finances are kept under review. Appropriate Disclosure & Barring Serrfices
checks (DBS), supported by regularly reviewed policies, are conducted for
all those who work with the children or other vulnerable groups within the
Charity. Internal controls risks are minimised by the implementation of
procedures which are in place to ensure compliance with the health and
safety of members of staff, volunteers, clients and visitors to the Charity.
We are satisfied that systems and procedures are in place to mitigate our
exposure to the major risks.
FINANCIAL REVIEW
The trustees are aware of the provision that a resen4e policy must be in
place to maintain a target balance of three months, worth of fixed
operational costs at any given time for the purpose of ensuring the
operational delivery of its charitable objerts during an unforeseen
downturn in income. Therefore, we have provided not less than fifty
thousand pounds in our account, aiming to generate more income for
further expansion.
The Charity's principal funding source continues to be the individuals who
attend church services and make contributions in the form of freewill
offerings, tithes and other voluntary donations. The donations also offer
the opportunity to make a claim under the gift aid scheme.
STRUCTURE. GOVERNANCE AND MANAGEMENT
The Charity is constituted under the Trust Deed dated 20 April 2014 and
is registered in the UK with number 1103374. It is governed by this deed
and is managed by a board of Trustees. Decisions are made by a simple
majority vote of the Trustees, who determine the strategic direttion of the
Charity.
The Church's day-to-day running is delegated to the Pastor by the
trustees. He ensures that all management control mechanisms to achieve
the charity's objettives are put in place. The trustees are consulted on all
important issues to determine the strategic direction of the charity's
activities. The Trustees meet formally as and when required to review the
Church's operational mechanism. According to the trust deed, the
Trustees are required to meet at least twice a year.
The management of the church is the responsibility of the trustees who
are elected under the terms of the charity Trust deed. The trustees who
were in office during the year are listed at the beginning of this report.

Future Developments
The Charity will continue to explore ways of furthering its charitable
objettives in an effettive manner by ensuring there is awareness of its
services and proartively seeking opportunities to be more involved in the
community. The charity aims to deliver services and attivities that cater
to the needs of individuals and foster a positive shift in the moral and
spiritual climate of Harlow and its surrounding environment.
We have now fully completed the building's expansion project. More space
has been gained and added to the Church seating area. This has resulted
to the huge transformation of the Church, both internal and external. The
seating arrangement now offers a more convenient and comfortable
atmosphere for the congregation.
However, we are continuing with the redecoration and sound installation
of the Church. We hope to complete these as soon we have enough
money.
TRUSTEES. RESPONSABILITIES STATEMENT
The Trustees are responsible for preparing the Trustees, report and the
financial statements in accordance with applicable law and United
Kingdom Accounting Standards (United Kingdom Accepted Accounting
Practice)
The law applicable to charities in England & Wales requires trustees to
prepare financial statements for each financial year, which give a true and
fair view of the charity's state of affairs and the application of resources
for that period. In preparing these financial statements;
Trustees are required to.. selett suitable accounting policies and
then apply them consistently.
Observe the methods and principles in the Charities SORP; make
judgements and accounting estimates that are reasonable and
prudent.
Prepare the financial statements on the going concern basis unless
it is inappropriate to presume that the charity will continue in
operation.
The Trustees are responsible for keeping proper accounting records
sufficient to show and explain the Charity's transactions and disclose with
reasonable accuracy at any time the financial position of the charity and
enable them to ensure that the financial statements comply with the
Charities Acr 2014, the Charity (Accounts and Reports) Regulations 2008
and the provisions of the trust deed. They are also responsible for

safeguarding the charity's assets and, therefore, for taking reasonable
steps to prevent and detert fraud and other irregularities.
This report was approved by the Trustees on
signed on their behalf by:
Doris Omoro
be
Member, Board of Trustee
and

Dorig Omoro
Member, Board of Trustee

MOSES
BOLE&CO
INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES
REDEEMED CHRISTIAN
HURCH OF GO
RS TEMPLE
I report on the accounts of the charity for the year ended 311￿ December 2024, which are
set out below and notes to the financial statements on pages 7 to 17
Respertive Responsibilities of Trustees and Examiners
As the Charitvs 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 Act) and that an independent examination is needed. It is my responsibility to
Examine the account (under section 145 of the Act),.
follow the procedures laid down in the General Directions 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 condutted in accordance with the general directions provided 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 a150 includes 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 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 connettion with the examination, no matter has come to my attention:_
l) Which give me reasonable cause to believe that in any material respert the
requirements
To keep accounting records in accordance 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 Act have not been met
or
2) To which, in my opinion, attention should be drawn in order to enable a proper
understanding of the accounts to be reached
Moses O E Igunnubole, BA (HONS) FAIA, FCP4 FF4 FIP4 FTI FIC CPFA...
Managing Partner
MOSES-BOLE&CO
Chartered Certified ForensicAccou
Certified ProfrssionalAccountants/TaxAdvisers
And Business Chartered Manogement Consultants
DATE.. 2 s -@q-2025
." +44 758 407 5572 r: +44 020 7¥23 4680 E. mo$*t￿.C(ffi ￿. MOS￿￿¢)>￿ L. 39 St Brd&J&8 Ba￿￿$ To￿. L(*th. United FQnG¥Jom, N1 5rw

THE REDEEMED CHRisnAN CHURCH OF GOD LORD"S VINE STATEMENT
OF FINANCIAL ACTivrriES FOR THE YEAR ENDED 31ST DECEMBER 2024
Restricted
Note Unrestricted income EndowmE
FurKI8
Funds Funds
Prior
year
Funds
Total
Funds
Income and endowments from".
Donations and legacies
202,9)9.85
202.909.85
Resources expended
Expenditure on:
Direct Cost
Support Cost
Govemance Cost
202,909.85
202.909.85
222,728
222,728
68.258.06
54.778.10
2.690.00
68.258.06
54.778.10
2.690.00
73,796
56,351
2.690
Total
125.726.16
125,726.16
132,837
Net nyovement in funds
77,183.69
77.183.69
89.891
Total funds brought foThiard
Total funds carrled fonvard
465,615.09
542.798.78
465.615.09
542,798.78
375,725
465,615

THE REDEEMED CIIRisfiAH CHURCH OFGOD LORD"SVR4E
BALANCESMEEfAS AT 31sr DECEMBER 2024
FIX$￿ 08$8ts
Tangib￿ a$80ts
Total ffxed 8588ts
Fur*& Fu
555.410.58
555 410.58
555 470.58
Cash at bank in hand
Total tsJrigfft439a
757.06
Not ¢UErent8ssewiiLgL4IMes)
1IJ81f4
11.382.74
4.807
37432
539
rotal nttassets orliabrftttes
Funds olthè Charlty
S7.￿12
,986.12
69,248
ReV￿UatiOn tese
Titr*lfvnds
541fd8.78
541798.78
485.615
Signaknjra..
FknTrtNaTh'.

THE REDEEMED CHRISTIAN CHURCH OF GOD LORD"S VINE
NOTE TO THE ACCOUNTS FOR THE YEAR ENDED 31ST DECEMBER 2024
Note 1 Basls ol preparation
1.1 Basis of aceountlng
These accounts have been prepared under the historical cost convention wtth items recognised
at cost or transaction value unless otherwise stated in the relevant note(s) to these accounts.
The accounts have been prepared in accordance with the Financial Reporting Standard applicable
in the UK and Republic of Inland (FRS102} issued on 16 July 2014 and with the Charities Act 2011
and the Charity constitutes a public benefit as defined by FRS102.
1.2 Golng concern
Considering the stead level of incoming resources and membershlp number the Charity is
a going concem with no any known unforeseen circumstance
1.3 Change of aecounting policy
The accounts present a true and fair view and the accounting policies adopted are those outlined in
the note with no change in policy
1.4 Changes to accounting estimates
No changes to accounting estimates have occurred in the reporting period (3.46 FRS 102 SORP).
1.5 Material prlor year orrora
No material prior year error have been identifieA in the reporttng period {3.47 FRS 102 SORP).

THE REDEEMED CHRISTIAN CHURCH OF GOD LORD"S VINE NOTES TO THE
ACCOUNTS
CONTINUED
FOR THE YEAR ENDED 31ST DECEMBER 2024
Aceountlng polleies
Note 2
2.1 RECONCILIATION WITH PREVIOUS GENERALLY ACCEPTED ACCOUNTING
PRACTICE
The￿ is no change in accountiro policy in this period
Note 2
22 INCOME
This standard list of accounting policies has been applied by the Charity except for those ticked No or
'Nla" Where a different or additional policy has been adopted then this is detailed in the LM)x below.
Recognitlon of income
Thoso are included in the Statement of Financial Activities (SOFA) when".
. the charity becomes entitled to the resources"
. it is more likely than not that the trustees will receiv8 th8 resources; and
. the monetary valu8 r￿n b8 measured with sufficient reliability.
Offsetting
There has been no offsetting of assets and liabilities, or income and expenses.
Grants and donatlons
Grants and donations are only included in the SOFA when the general income recognition criteria are
met (5.10 to 5.12 FRS 102 SORP).
In the case of perfomiance related grants. income must only be recognised to the extent that the
charity has provided the specified goods or services as enttuement to the grant only occurs when the
perfomianGe related conditions are met (5.16 FRS 102 SORP).
Legacles
There is no legacy received durFng this peri&J.
Accounting policies
Government grants
No govemment grant was reoived during this period.
Tax reclalms on donatlons and gifts
Glft Ald recelvable is induded in income when there is a valid d8daratTron from the donor. Any Gift
Aid amount recovered on a donatitjn is c￿nSIdered to be part of that gift and is treated as an addition
to the same fund as the inttial donation unless the donor or the temis of the appeal have spectfied
Othe￿iSe.
Contractual Incon￿ and Perf0rnw￿e related grants
This is not applicabl8
Donated goods
There is no donated good.
Donated services and facilities
Donated services and facilities are included in the SOFA when r￿1Ved at the value of the gift to the
charity provided the value of the gift can be measured reliably.
Donatsd seNices and facilities that are consumed immediatety are recognised as income with an
equivalent amount recognised as an expense under the appropriate heading in the SOFA.

THE REDEEMED CHRISTIAN CHURCH OF GOD LORD"S VINE NOTES TO THE
ACCOUNTS
CONTINUED
FOR THE YEAR ENDED 31ST DECEMBER 2024
Support costs
The charty has ir￿Ere(j expendiiure on supwjrt txjsts.
Volunteer help
Th6 value of any votuntsry help r8c£ived is Tr)t Incr￿ in the but is described in the
twstees. annual reporL
In¢ome frorn Interestg royalti￿ and dlvidends
Not applicsble during this period.
Income from membershlp sthcrlptlon•
Tithes and offering T8cetved from the members are in the nalure ofa glft are reo)gnised as Dr￿tiOrLs.
and Lggacies
S•ttlen)ènt of Inwranee clalms
Insurance cfaims are onty indud6d in the SOFA the general inc¥xn6 re()Jgnilion uSteria are
met15.10 to 5.12 FRS 102 SORP) and are indude¢l as an item ofother Income in the SOFA
Investment gains and losses
This includes any rèajised or unrealised gaTr)$ or losses on thp sale of in¥estsnen15 aThJ anygain or
loss resulting from revduiru invostrnents to market value at the ond of the yoar.
2.3 EXPENDITURE AND LIABILITIES
Llablllty rncognltlon
Liabilities 3r6 recognised where it is more likely than not that there is a legal or construcbve obligation
committing the Charity to pay out reSoU￿S and the amount of tha obligation t*n be measur&J valh
rea￿nable txrtainty.
Governance and support costs
Support costs have been all(￿￿ted behYe8n govemance o)sts and othor supt*yL Gov8rrrance costs
o)mprise 811 costs involvrng public eco￿n1#bI1ty0fth0 chanty and rts ￿Mpl￿dn￿ regulab.on and
good pracb'ce.
Support costs indude txnlral fUn￿lonS and have baen aljorxw to a(*¥ity u&st cstwies on a basis
ojnsistent knth the usè of Ies(MJr￿. eg alloc*ng propety costs bYfi0￿ areas. ￿ per opita. stsff
o)sts by the tim8 spanl and oth&r costs by I￿1r usage.
Grants wlth perf•rnwnc• ¢onditlons
The Ch8rity is not awarding grant to 8ny organisation
Where there are C%)r￿[tionS attathing to the grant (hat enabtes thè donor (*arityto realisiicalty
avoid the ￿mmItment a liabiltyfor the ftrn fvnding obligation must be recognised.
Redund•n¢y cost
The ctharity made no redundancy Pa￿nents during Ihe reporting
D•fgrrod in¢om•
No material item of deferred inc#Jme has be8n indthled in the acojunts.
Credltors
The charity has creditors ￿leh a￿ measured at sethment amourts less any trade discwnts

Provlslon$ ft¥r Ilabllitles
A liability is measured on ts¢ognition at Tts historical tsxt and then subsequenlty measured at the
best $strmate of the amount required to settte the oblwJation al the reFthing date
Baslc flnanclal instruments
The chadty a(wints for basic financial instrunwnts cm inTtral r8(wnition as per paTraraph 10.7 FRS
102 SORP. Subsequent measuremont is as per pardgraphs 11.17 to 11.19. FRS 102 SORP.
2.4 ASSETS
Tangib￿ fix•d assets for us• by charfty
Thesg are capitalised if they can be used for moro than one y8ar. and cost atlgast
They are valued al cost
The depre(>ation rates and n*thods {￿ed ar8 disck)sed in note 14.
Intangible fixed assets
The Charity has no intangible fixed assets. thal is. n0n41K￿etsry assets that do not hav8 physi(xl
substance bul ara identifiable and are controlle(I by Ihe charrtythrough ujstody or legal rights. The
amort15ation rates and methods used are disclosed in note 15
They arè valued at co8L
Harrtage assets
The charity has no heritage assèts, that i8. n(Nl-rnonetary a&%ets historio artistio sctentif
technological, ge0ph￿s[Cal or environmentsl qualitiès that aro hejd aThl mainlaiTreil principallyforthgir
Jnlribulion to kno￿edg8 and culture. The depreciats.on rates and ￿￿thodS used as dEd0￿ in
note 16 is not applicable dunrKJ this peri(yJ tyjt rfavailable they arè valued at cos
Investments
Fixed asset investn7ents in quoted sha￿, traded trK)nds and similar inve5trnents are valued at inilially
al cost and subsequenuy al fair value (their market valLt&l at Iho yEar end. Th8 sam6 trèatment is
applied to unlisted Investments Unl￿ fair value ¢xnnot b8 measurèd reliably in whieth (*se r( is
measured at (a)st l&ss impaimjent.
Investments held for resale or pending theirsale arKI cash and cash equlvalents vAth 8 mattjrity date
of less than 7 year are treated as current asset investsy)ents
Sto¢ks and work In progress
Stocks held for sale as part of nonwcharitsble trade are m8asur&J at the Jow or cost or net
realisable value.
Goods or servi￿$ provided as part of a charitsble auivity are measured at net Tealisable value
based on the service potentsal provided bY1ter￿ of stcrk.
Work in progress is valued at Cost lass any foreseeablè loss tt￿t is lik8ty on tha contracL
Dehtors
Debtors lincludirKJ trade debtors and loans ￿Ceiv3b1eI a￿ r[￿aSur￿d on initi.al wnrtion at
settlemerit amount after anytrdde discounts or amount advan￿￿ by the tharity. Subsequenlly,
are m&asured at thè cash orother con$iderat*)n expected to be re￿Ived.
Currènt a$set Investments
The charity has has In￿lments which il h￿d5 for resale orper￿Ing therr sale and cash and cash
equivalents wth a tnaturity dale less than one ￿ar. These iftdude cash on deposit and cash
equivalents wth a matUTty date of less than one year held for invesknent purposes ratherthan to
meet short term cash c(xnmitments as they fall due.
They are valued at fair value 9￿pt where theyqualify as basic finanoal irk5trumsnts.
POLICIES ADOPTED ADDITIONAL TO OR DIFFERENT FROM TIIOSE ABOVE
There is no any other policies adoptsd.
io

THE REOEEMED CHRISnAN CHURCH OF GOD LORD'S VINE NOTES TO THE
ACCOUNTS
CONTINUED
Noto 3
FOR THE YEAR ENDEO 31ST DECEMBER 2024
PAor
Funds
Funds
Funds
Funds
Funds
Donations, Gifts. Tithes and Offering
Gift Aid
Totsl
160A73.97
160A73.97
42,435.88
202.909.85
186,543
56.185
222,728
201909.85
Other In¢om
TOTAL INCOME
202.W9.85
202.909.85
221728
Oth•r Infonn￿On.
All Income ITr the prior y•ar wa• also unrest
In¢ludlng the prfor year.th¢re ¥vas no Mate1￿ Incon￿ th• above th•t requF*e dlsclosure
of Its nature and amounL
li

THE REDEEMED CHRISTIAN CHURCH OF GOD LORD'S VINE NOTES TO THE
ACCOUNTS
CONTINUED
Noto 4
FOR THE YEAR ENDED 31ST DECEMBER 2024
Unrestrlctod Income Endokn
Fund$
FutKIs
Funds
Prfor
Total
Funds
Visiting Minister HonDrarfum & Ey4Ense5
Conference Attendance
WEM
Sunday Sch(bJl trraining Expws
Outreach & Evangelism
RCCG- Central Office
Gifts & Donations & chaEitsbJe
We￿are
Pastor"s Salary & AJfowanL*
Pension
Youth & Chli dren Departrnerrt
Church Maffttenan￿ Experts
Choirl Key Boardl Music Expenses
Funds
2,7LX).
1.340.CK)
2,71J).00
1,340.00
1,800
2.955
15,929
1.080
1,027
1,450
973
3,330
36,600
3,190
200
4,093
1.170
73,796
710.(KJ
4.786.51
828.(h)
3.3￿.00
39.020.32
4.741.62
841.97
4.363.44
4.984.20
68.258.Q6
492.00
770.00
4,786.51
828.00
3.390.00
39.020.32
4.741.62
841.97
4.363.44
4.984.20
68.258.06
TransFK)rt & Travel
EntertainmenllRefreshmsnL%
PA YEINIC
Vehidè Expenses- road tax. pa￿ng. licence
R8pair5 & ￿t￿tenance
Prlnting. Postage & Stathjnary
Telephonè, fax,¢nlemet& Zw)
Insuranca. L￿enceS & Renew
El8ctri(ity & Gas
Water. Gèneral Rate
Bank Ch8rges. interests & commisstcffts
compub.ng & Soflw8re Expenses
Consultary leè8
Deprecialion
Se¢urity & Fire c￿ Expensfjs
Subscriplrons
Cl8aning
Rènt
Gfft Aministratkjn Cost
hAulb' Medl8 slUd￿C(mnMu￿k8ti￿ Exps.
3.030.43
4.184.09
5.849.83
4.919.75
6,310.16
4.536.12
2.346.C6
3.030.43
4.184.1>3
5.849.83
4.919.75
6,310.16
4,536.12
2.346.06
443.￿)
4.573.91
235.00
1,830.92
1.441
2,387
2,939
3,556
4.803
3.063
1.508
2.088
6,175
222
7,228
210
4.573.91
235.
1,830.¥2
7.340.
730.
7,340.
205.Tr3
164.89
171.45
1.992.06
4,667.95
1.246.49
54,778.10
4,205
2,723
164.89
171.45
1.Wd2.06
4.667.95
1,246.49
¥778.10
130
13.028
6,180
465
56,351
123.036.16
123.03&16
130.147
12

THE REDEEMED CHRISTIAN CHURCH OF GOD LORD'S VINE NOTES TO THE
ACCOUNTS
CONTINUED
Note 5
FOR THE YEAR ENDED 31ST DECEMBER 2024
Detalls of certain items ot expendlture
10.1 Fees for examination of the accounts
Please provide details of the amount paid for any statutory extemal scrutiny of accounts and other
services provided by your independent examiner. If nothing bfds paid please enter 'O' in the appropriate
box(es).
GOVERNAMCE COST
This Year
Last Year
Independent examinerfs fees
600.00
Assurance SeNi￿S other than audrt or independent examination
600
365.00
365
Other fees (for example: financial advice. consultancy. ac(x)untancy s8fvii
paid to the independent examiner
1,725.00
1.725
2,690.00
2,690
13

THE REDEEMED CHRISTIAN CHURCH OF GOD LORD"S VINE NOTES TO THE
ACCOUNTS
CONTINUED
Note 6 Paid employees
Please complete this note if the charity has any employees.
6.1 Staff Costs
FOR THE YEAR ENDED 31ST DECEMBER 2024
This Year
Salaries and wages
Social security costs
Pension costs (defined
Other employee benefits
Last Year
39.020.32
36.600
4.741.62
3,190
Total staff costs
43.761.94
39,790
14

THE REDEEMED CHRISTIAN CHURCH OF GOD LORD"S VINE NOTES TO THE
ACCOUNTS
CONTINUED
FOR THE YEAR ENDED 31ST DECEMBER 2024
Note 7 Tangibh fixed asw Freehold
land &
l)uildings
machinary
& motor
hiclès
Fixtures,
ffttings &
eguipment
At the ￿ginn[rO of the year
Addidons
608.70624
34,849.00
21.025.59
664,580.83
395.697
44.750.00
15.678.92
At end of the year
60.428.92
268.884
653.45624
34.849.00
36.704.51
7.2 Depreclation and impaimwnts
Basis
Freehold Propety
Motc¥ VehKle
Musical Equipment
Office Equipment
725,009.75
664,581
20% Straight Line
20% Straight Line
20°A stra￿h1
Rate
At beginning of the year
DisposaL%
Depreciation
At end of the year
102.762.40
38,260.50
21.235.37
162.258.27
158.053
102.762.40
7.340.90
28.576.27
38,260.50
7.340.
169.599.17
4,205
162,258
7.3 Net book Wdlue
Nel book value at the beginning of tr
Nel book valu8 at the end of the yea
237,060.09 _
3,411.50
3.411.50
2,650.53
8.128.24
236.299.12
555,410.58
236,299
502.323
7.4 Impalnnent x NONE
No description of the events and circumstanc&s that led to the reclwthn or
reversal of an impairment loss.
7.5 Rgvaluatlon
An accounting Wicy of revalu8tion is not adopted during this ac(LxJnting pwic#Y.'
the effective date of tha revaluation = NIA
the rFame of indopendent valuer, rfapplicatd8= NIA
the Meth￿j$ ap￿led and signfficant assumptions= NIA
the carryng amount that wcwld have been reCrXJni￿ had the assets t¢en carried wKlerthe
cost mod8L
7.6 Other disdosures
(i) Please stale the am(xJnt of borrowing o)sts. if any. caprtalised in the (a)nstructa)n of tangible
fixed assets 8nd the capitslis8tion rate used = WA
(Sil Please prowde the amount of contracknal conmrtments f(* the a￿ul$ll10n of langibte r￿ed
assets = NIA
{iil) Details of the e￿$tenCe and carrying amounts of propety. plant and eqUipn￿nI to ￿lch the
ch8rity has restricted titie or that are pl￿ged as seojnty for liabilrtFes - NIA

THE REDEEMED CHRISTIAN CHURCH OF GOD LORD"S VINE NOTES TO THE
ACCOUNTS
CONTINUED
Note 8
FOR THE YEAR ENDED 31ST DECEMBER 2024
Crndltors and accruals
Please ct)n7plete this note rf the charity has any txeditors oracmls.
8.1 Analysis of creditors
Amounts falh due
Wrthin
M(K8 Than
l Year
l Year
Prkxyear
Amounts falling due
Within
More Than
1 Year
1 YeaT
Other crgdilors (Card balance)
Accruals and defe￿ed income
Mortgage Repayable By Instalment
Total
8.692.74
2.690.tJ)
1,342
57.986.12
57.986.12
11,382.74
4,807
69,246
69,246
82 D•ferred In￿n•
THERE IS NO DEFERRED INCOME DURING ThIS PERIOD
16

THE REDEEMED CHRISTIAN CHURCH OF GOD LORD"S VINE NOTES TO THE
ACCOUNTS
CONTINUED
Note 9
FOR THE YEAR ENDED 31ST DECEMBER 2024
Cash at bank and in hand
This Year
Last Year
Cash at bank and on hand
Total
56,757.06
56.757.06
37.346
37,346
17