REGISTERED CHARITY NUMBER: 1103581
Re
rt of Ihe Trustees And
LI￿1n
onn
Stan Kellv & Co
Chartered Cenified Accountanis
Suite 2, W'enta Bu5ines5 Ccntre
l Electric Avciiu¢
Enfield
EN3 7XU

Livin
Contents of the Financial Ststements
rEn
Page
Report of the Trusiees
Independent Examiner's Report
Siatement of Financial Actii'ities
Balance Sheet
Note5 to the Financial Statements
8 10 13
D¢t¥il¢d Statement of Financial Activities
14 10 15

Livin
ort of the Trustees
The tNstees present (heir rekKbrt with the financial S￿eMen[S of the chartry, for the vear ended 31 December 2023. The
trustees have adopted the provisions of Accounting and ReFK)rting bN' Charities." Stdiement of ReconiTnended Practice
applicable io chariiies preparing their accounts in acc(Kda]ice with the Financial Retthing Standard applicable in the UK
and Republic of Ireland IFRS 1021 leffeciive l Januar). 2019).
O&IEcfivES AND ACTIVITIES
Objeetil'es #ims
The Objects ofthe charity are:
The advancement of the thristian religion worldwide- and
- The r¢li¢f of pov¢rty worldwi(k.
Public benefit sta￿ment
In deterniine how best to pursue theqes obieciives. the M￿CeS have tsken on tx)ard the chariti, commission's general
yuidance on public benefit and in particular ILS supplementary. public guidance on ihe advaneeinellt ol. religioi) for ihe public
b¢n¢ti¢.
.It pursues these objectives by ihe operation of a Cent￿ for christian worship at its premises in Barking. Essex. We l)ave
several communiiy based initiatives ihat f(Ku5 on a5SiSting the di5advdntaged and the less privileged in our local cominunity
and overscas..
W¢ also make regular donaiioTtS ¢0 5¢vernl exi¢rnal ¢)rgOn1￿170ns are better p10¢¢d ￿ further adv#nc¢ varigus ¢auses.
Our sile is accessible 10 all %vhen prob)rammes are being and events caier for people from all Works of life. l-his includes
youths. children, single. married. men and women.
ignifieant aetivities
Living tai¢h Conne¢¢ions ha5 0 poli¢y of SUFVOrting up and Coming smo11 businesses within the community.
Under the ab)reemeni for common purposes (see alx)veK Living Faith Connections parish has agreed to make annual
contribution to RCC(i IIJK}.
In addition. the church 5UPlX)rts missionary orbanisa(ions such as Festival of Life and the ￿.,Or1d EvanbTeli¢al Mi5S1011,
Atri¢an Mi58ion and other missions and proj¢(1s Within and ou15id¢ the UK. Th¢ church also provides 5UPIKlrt to meimbers of
the cong)regialion l ai the discreiion ofihe imsiees} thho are in need.
Volunteers
Livinb Faith Connections is graieful fly ihe efforts ofiis volunieers who are involved in service provision. It is estimated that
about 5(K)O volunteer hours were provided during the ￿rIt￿l. If this IS COll5ervatively valued at £1 1.44 per hour.'I'h¢
volunteer efforts amount to over £50,rAJo. The Charity. ensures that be￿ value is derived from the sterling efforts of its
volunteer team.
Page I

Livin
ort of the Trustees
for the Year Ended 31 December 2023
ACHIFVF,MFNT AND PERFORMANCE
Charitable activities
Impacting our Community:
As a purpose driven church, we are a ￿a¢On and a lighthouse to our community. we emphasize the importance of
Relationships of service. Generosity & love to our nIem￿r5.
Mosi imw)nantly. we strive io make our Communi￿. Flourish through-.
BuildingT of relationships with irhdividuals and institutions in the corntnunity.
Pursuing our goals ihr(bugh social aciion and ouireaeh io setve the under privileged. deprived. desiiiutr and those who feel
rejeLled.
Providing plaifomis for people io connect with each ￿her through worship. music. drama etc.
Str¢n¥thening the faith of Chri5tian5 through sound biblical ieachiJi¥ f¢llowship ajid prdJ'¢r.
Pr()moting and encourdging other iniiiativcs thai adds io the gr0￿h and d¢vel(ymeni of the community.
We believe thai we have been sent 10 this port of th¢ world io bring the gospel With its allendani message and assuran¢e of
comfort, Yiciory and hope io people through artive engagemeni.
Chariiable Aehievements:
As part of our aim for community growth and engagement. we an owi door wlicy for all projects and initiatives run
by the council and other orgyani70tions within ih¢ conimunily.
But. did our besi to enbiabie and support people wiihin the c(Mnmunity through..
Community Event - We encourdged all our meM￿[S io cany oui community engagements as a family which we show'cased
regularly during our 5ervice5. Some of the iniLiative5 included:
Donation and en¥agement with the homeless, prdyer walk& hospitsl visits and donation& chatting to those who needed
encoura¥ement and someone io talk with
Communitv Engagements - We resumed our ph}'sical church and retained the online church to support those who were still
unable to attend due to health is5ue5 or were just not comfortable in doing so.
PTaver Line.. We held a daily prayer line where people could join in to pray for themselves. their families. the community,
nation. and the world at large.
Conferences & Events.. Differeni conferences and events M'ere held online: {financial seminar. family life, marriage. health
etc.} throu¥hout the year. The topic5 are al￿"3y5 relevant. inteft5tin& and cngagiti¥ with several b￿akup groups to address
individual qLlCStion5 and to provide 5UPPOrt.
Fo￿4 bank- In partnership with other I￿al wups. we colleci n(￿-￿rishable items via our bank which is opened
every Sunday. This is then collated and dropped off at the desi£nated coll￿tion trf)ints within the borough.
INve5trnent perfortNance
Thc trustces havc dccidcd that at prcsen¢ fund5 should be retaincd in banks and building socictics. Any changes in su¢h
banking arrdngements should be agreed by ihe kntrd. As faras kM)ssible. funds will be retsined in inkni bearing accounts.
Page 2

Livin
ort of the Trustees
for the Year Ended 31 December 2023
ACHIEVEMENT AND PERFORMANCE
Internal and external factors
Factors relevani io achieving objectives
Th¢ oth¢r singl¢ tnost important fact¢￿ is th¢ ¢ommitm¢nt from m¢m￿rS both fJnan¢ialty and in voluntary, hours.
FINANCIAL REVIEW
Financial position
Durin¥ the vear. the total income generated w'as £li4.681 (2(rp2.. £111.81?).
The Charity made a surplus of £8.?72 for the year en(led 31 DecemlKr ?023 { ?022.' surplus of £95).
After taking accouni of the operations. Ihe charit) s available fiu)ds stO(NJ ai a deficit of £41,940 for the year ended 31
DeLember 2023 {deficil of£iO.212 as ￿ 31 December 2022).
Principal funding sources
Th¢ ¢h¥rity's prin¢ip¥l funding is through m¢rntKr5' voluntary contribuiions and d¢)nations .
Reserves policy
Th¢ Inist¢¢s ar¢ aware of the requirement to have a reserve policy in place and aim to maintain 8 larget balance of a month's
worth of fixed operaiional cost ai any given lime. io ensure on going delivet), of its charitsble objecis during an unforeseen
down turn in income.
'Ihe Iruslees are fully aware thai (he current level of the unre￿ri￿ed fund is below the required level. 'l-he trnstees have plans
in hand 10 address this Siluaiiort and restore the reserwes io the level required. This will be achieved. amongst oiher iniliaiives
by cultin&T cost wherever possible. w'hi151 m05t of our re5¢rves have been used up duriiig the }'ew b¢cause ol. ¢lie e¢ononii
climate.
Going concern
The chariiy is still trading despite the challenges experienced during the year.
FUTURE PLANS
Living l.aith Connection5 continues to explore wa)5 ofevangelisin8 Ln an effective n)anner by raisins ils profile and bTetting
more involved in the community. The charil). aims to provide seryices and ocliviiies that are relevani to people on a
roundation ofihristian ten￿S and Etliefs in a bid ￿ effeci change in the mml and spiriiual Clima￿ ofthe local boroug>h and
tlie country at large.
Some of its plan5 include..
Working more with the council to develop more community projects.
The Charity aims at reaching out to the youth by 01￿]ng a youth eentre and creating space for the elderly. This
build a happier ¢omrnunity and impart the s(Kiety.
STRUCTURE, GOVERNANCE AND MANAGEMENT
Governing document
The charity is Controll￿ by its goveming documen( a deed of and constitutes an unincotpoJ7ted ch￿1￿.
Reeruitment and appointment of new trusttts
New trustees are appointed on the basis of the Co[￿lbul]0￿ thev will make to the governanc£ of the organisation atjd the
skills that they will cgntribute. Thej. are provided M'ith ¢opi¢s of the Charity Ci)mmission's guidonce to trnstees and given gn
introduction ts) the activities of the charity by the e.xiMing board.
Page 3

Livin
ort of the Trustees
STRucfuRE, GOVERNANCE AND MANAGEMETrrr
Organisational structure
The church is organised so rhat ihe injstees med regularly io manage its atTairs. The miniS￿r in charge manages the day to
day adtnini5tration of the church.
Connected chariiies - Living Faiih Connertions is a parish of the Redeemed chri￿lan Church of God - a ne￿Ork comprised
ol'churches all over the world.
There is an agreement for conimon purpose entered inlo by Living Faith Connecti(XLS with the Redeemed Christian ChuKh
of God which documents ihis relaiionship.
Induction and training of new trustees
Policies adopted lor the induction and training of tr7￿CeS. Ex1￿1n8 In￿lee9 are provided with trainings as and when
required.
REFF.RENCE AND ADMINISTRATIVE DETAJiS
Registered Chorit). number
1103581
Prineipal address
301 l.on&? Riding
Basildon
SS14 IQR
Trustees
Pastor O Odugbile
MT C T Adeoye
Mr O O%adiibba
MT F. Adcycmi
Independent Examiner
t)T F.nimaniiel Oloke, FCCA
Sian Kelly & Co
Chartercd Ccrtified Accountants
Suite 2, Wetila Business Cenire
l EleciriL Avenue
nficld
EN3 7XU
Approved bv order of the board of trustees on 28 (kI0￿r 2024 arKI signed i)n its behalf by..
Pastor O Odllgbile- Trustee

Exami
Faith Conneeiion5
nr
RCCG LiTrin
Independent examiner's report to the trustees ofRCCG Lii'ing Faith Connections
I report to the charity iruslees on my exatninalion of the accounts of RCCG Li￿]ng Faith Connections {the Trust) for the year
ended 31 Dwember 2023.
Responsibilities and basis of report
As the chariry irusiees of rhe 'In￿t you are reswnsible for the preparation of the accounts in accordance wirh the
requirements of Ihe Charities Ac(2011 {'the Aet.).
I report in respea of m}, examination of ihe Trusvs accounts carried out under Seciion 145 of rhe Act and in caryying out my
examinaiion I have followed all applicable Directi(￿5 given by the Charity Commission under Section 145{5Kb) of the Aci.
Independent e¥aminer's statement
I have Lolmpleled rn}. examincllioll. I tonfim that no material matters have come to my attention in connection witl) the
¢xaminaiion giving m¢ caus¢ io b¢li¢v¢ in any mat¢rial rtsrttl..
accounting records were noi keo in respeci of ihe Tn￿1 as required by Section 130 of the Act: or
tli¢ accounts do not accord with those records; or
the accounLs do nor compl). with ihe applicablc requirements concerning the forni and content of accounts sei out in
the Charities {AccounlS and Reports) Regulaiions ?(M)8 oiher than anv requireinent thai ihe accounts giwe a true and
fair view which 15 not a matter considered part of an indqjendeni examinalion.
I have no concems and have come across no Imher mallers in connection with ihe examination to which auention should be
drawn in thi5 rewrt in order to enable a proper Unde￿(anding of the accounts ￿ be reached.
DT Emnthiiu¢l Ulok¢, FLL'A
Sian Kelly & Co
Chartered Certified Accountants
Suite 2. Wenia Business Cenire
l Electric A venue
Enfield
EN3 7XU
28 OctoÈer 2024
Page 5

Livin
Statement of Financial Activities
for the Year Ended 31 December 2023
31.12.23
Unrestricted
rund
31.12?2
Total
funds
Notes
INCOME AND ENDOWMENTS FROM
Donations and legacies
134.681
EXPENDITURE ON
Chariiable aetivities
ch￿ilable aciivilies
121J58
103,997
Other
7,720
Tot41
126,409
NET INCOME
8,272
95
RECONCILIATION OF FUNDS
Tolyl liiiids broiiLThi furward
(91.212)
(50.3071
TOTAL FUNDS CARRIED FORWARD
(41,9401
{50,2121
The notes forni rffjrt ofihese finan¢ial sthtements
Page 6

Livin
Balance Sheet
31.12.23
Unrestricted
rund
31.1? 22
Total
funds
Notes
FIXED A8¢*ETS
Tangible assets
132,$41
131,939
CURRENT ASSETS
Cash ai bank and in hand
{23,$54)
{21,9841
CREDITORS
Amounis falling due within one year
(150.937)
(160,1671
NET CURRENT ASsET￿(LIABILITIES)
{174,491)
TOTAL ASSETS LESS CURRENT
LIABILITIES
(41.940)
{50.2121
NET ASSETSIILIABILITIES)
(41.940)
150,2121
IlnrL'%iriLied funds
{41.940)
150,212}
TOTAL FUNDS
{41,940)
150.212)
The financial statements were apr￿Ved by the Board of Trusitts and atsthorised for issue on 28 October 2024 and were
signed on its behalf by..
Pastor O Odugbile- Trustee
Mr C T Adeoye- Trustee
The no￿5 forni w ofihese financial siatements
Page 7

Livin
Note5 to the Financial Statements
for the Year Ended 31 December 2023
ACCOUNTING POLICIF.S
Basis of preparing the financial statements
The financial sthiements of the charity. which is a public benefii entity under FRS 102, have been prepared in
accordance w'ith the Charities SORP (FRS 102) 'Accountin¥ and Reportin¥ b), Charilies.. Statement of
Recommended Practice applicable io charities preparing their accounts in accord￿]Ce with the Fiiiai)cial Reporting
Siandard applicable in ihe UK and Republic of Ireland IFRS 1021 (effeciive l January 2019}', Financial Reporting
Siandard 10? 'The Financial Reporting Standard applicable in the UK and Republic of Iieland. and the Charilies Act
2011. The financial staiements have prepared under the hisiorical cosi conveniion.
Incorne
All income is recognised in the Siaiemcni of Financial Aaiviiies once the charl￿. has eniirlemeni to the funds, it is
pn)bable ihat the income will be received and the amount can ￿ measured ￿liablY.
Expenditure
Liabilitie5 are recognised as eypendiiure as s(M)n as thffe is a legal or consiructive obligation committing the charity
¢0 that ¢xpendiiur¢, il is probabl¢ that a transf¢r of ¢¢ononii¢ kn¢fits will be requir¢d in s¢tileni¢nt and th¢ ainount
of the obligation can be nieasured reliably. Expendiiure is accounied for on an accThals basis and has been classified
under headinb)s that aggregate all cosi related 10 ihe caiegory.. Where costs cannoi be direcil>' auribuied io particular
headings they have been pllocakd to aclivilies on a basis coDsisieni M'ith the use of resource5.
Tangible fixed 055¢1s
Depreciation is provided at ihe following annual rdles in order to write oifeach asset over its estimated useful life.
Plant and machinery
Fixiurcs and filtingis
Computer cquipniLni
2￿￿ti on ¢osi
2(Po on cost
2(P. o on Cost
Taxution
I'hc charity is exempt from tax on its charitsble actlvllies.
Fund accounting
Unrestriclcd fiinds C￿ be used in a¢¢ordantt wilh the ¢haritable obj¢¢tives at th¢ dis¢retion of d)¢ trv5te¢s.
Restricted funds can only be used for particular restricted purposes iiithin the objects of the Ch￿lty. Restrictioiis
ari5c w'hcn 5pccificd by thc donor or whcn funds are raiscd for ￿rtiCUlar rc5trictcd purp05CS.
Further explanation of the nature and PUTP)se of each fund is included in the notes (o the financial statemenis.
Hire purchase and leasing commilments
Rciitals paid iitlder operating leases are charged to the Statement of Financial Activitie5 on a straight line basis over
the period of the lease.
Page 8
continued...

Livin
Note5 to the Financial Statements- CODtinued
for the Year Ended 31 December 20LI
TRUSTEES, RF.MUNERATION AND BENF.FITS
One trustee was engaged a5 a pastor and paid £41.&16 as 5titThd and allowanc£ for the year ended 31 Decetnber
2023. ( £39,847 for the yearended 3 1 t)ecernber 2022).
Trustees expenses
There were no
31 Decen1￿r 2022.
trusiees. expenses paid the year ended il De£ern￿r 2023 nor for the year ended
STAFF COSTS
The averdge monthly number of employtts during the yvdr was as follows:
31.12.23
31.12.22
Management
and 5UPlX)rt stsff
No employ¢¢5 received ¢molumenls in excess of £60.IKKI.
COMPARATIVES FOR THE STATEMENT OF FINANCIAL A￿]VITIEs
UnrestTiCted
fund
INCOME AND ENDOWMENTS FROM
Donations and legacies
EXPF.NI)ITURF. ()N
Ch#riiablt #ctivities
Charitable activities
103.997
Oiher
7,720
Total
NET INCOME
95
RECONCILIATION OF FUNDS
Total fund5 broiight foTW'ard
(50,307)
TOTAL FUNDS CARRIED FORWARD
(50.212)
Page 9
continued...

Livin
Note5 to the Financial Statements- CODtinued
for the Year Ended 31 December 20LI
TANGIBLF, FIXF,D A&5ETS
Improvements
to
Fixtures
and
fittings
Plant and
rnachinery
property
COST
Ai l January 2023
Additions
199.419
2&060
765
97.049
At 31 DeCem￿r 2023
199.419
26J25
97.049
DEPRECIATION
Ai l January 2023
Charge lor year
7&61XI
f15,849
153
Ai 31 December 2023
7&6
2&213
NF.T BOOK VALUF.
Ai i l D¢¢¢nib¢r ?023
120.729
612
11.2(Kl
Ai 31 December 2022
120.729
11.200
Moior
vehiLles
Compuier
¢quipnieiit
Totals
Ai l January 2023
Additions
40.910
421.803
7&4
Ai 31 December 2023
40.910
DEPRECIATION
At l Janugrv 2023
Charge for year
40.910
289,864
Ai 31 December 2023
40.910
290.017
NET BOOK VALUE
At 31 December 2023
10
132,551
Ai J l December 2022
131.939
Page 10
continued...

Livin
Note5 to the Financial Statements- CODtinued
for the Year Ended 31 December 20LI
CRFDITORS: AMOUNTS FALLING DUE WITHIN ONF. YEAR
31.12.23
31.12.22
Trade creditOTS
Oiher crediiors
150,937
160,166
150.937
160.167
LOANS
An analysi5 of the ma￿Tity of loans is given below-
31.12.23
31.12.22
Amoiint5 falling due within one year on demand-
Oiher loans
5,099
MOVEMENT IN FUNDS
Nel
movement
in funds
Ai
31.12.23
Ai 1.1.23
Unrestrleied funds
Generdl fund
(g12121
8,272
141.940)
TOTAL FUNDS
{W2121
8,272
141,940)
Nel movement in funds. included in the atrmive are &$ follows:
Incoming
resources
Resources
expended
Movement
in fui)ds
Unr¢Striet￿ funds
G¢n¢ral fund
134.681
{126,409)
8,272
TOTAL FUNDS
134,681
(126,409)
5,272
Pagell
continued...

Livin
Note5 to the Financial Statements- CODtinued
for the Year Ended 31 December 20LI
MOVF.MENT IN FUNDS- Continued
Cornparatives for movement in funds
Net
rnovement
in funds
At
31.12.22
Ail.1.22
Unrestricted funds
General fund
(50.307)
95
150,212}
TOTAL FUNDS
(50.307)
95
150,212}
Comparative rtei movement in fuThJs. included in the above are &% follows..
Incomii)g
resources
Resources
expended
Moveinenr
in fui)ds
Unre.strieted funds
General liind
95
TOTAL FUNDS
95
A cuffent year 12 months and pri￿ year 12 month5 Combin￿ positi{￿ is a5 follows..
Net
movement
in funds
At
31.12.23
At 1.1.22
Unre5tricied funds
General fund
(50.307)
8.367
141.940)
TOTAL FUNDS
(50.307)
8.367
141,940}
A current year 12 months and prior year 12 month5 combffted net movemcnt in fithds, included in the above are as
follows:
Incoming
resources
Resources
¢xpend¢d
Movement
in fund5
Unrestricted fund5
General fund
246,493
(238.126)
8,367
TOTAL FUNDS
246,493
(238.126)
8,367
Page 12
continued...

Livin
Note5 to the Financial Statements- CODtinued
for the Year Ended 31 December 20LI
CONTINGENT LIABILITIES
There i5 a potential liabiliry of £213.970.89 arising frIMn HMRC discovery assessments on past gift aid re￿rns. This
matter is noi conclusive as there are on going discussions and ogreements on the above amounts and claims.'lThi5
matier has not prosyessed ￿￿'0nd this wbilion since 31 December 2019.
10.
RELATED PARTY DISCLOSURE.S
There were no related paty Iraiisactions for the year ended 31 DecemE¢r 2023.
Page li

Livin
Detailed Statement of Financial Actii'ities
for the Year Ended 31 December 20LI
31.12.23
31.12.22
INCOME AND ENDOWMENTS
Donat10115 And legacies
Tith¢% and nfferings
134,681
Total incotning resources
134,681
EXPENDITURE
Charitable activities
Hall hire
Welfare and ￿eneV01¢D¢¢
Minisiry, expenses
World ¢vanbTelical mis5ii)n
Honorariums-guest ministers
Chiirch runningy expenses
RCC(r central oifice
Transport and iravelling
Printin&> and reprobiraphy
Music ¢xpenses
Media expenses
Stipcnd and allowance
Plant and machinery
17.974
2,289
18,658
3,135
2,525
1.050
3,875
2.330
730
1.200
876
702
21,0
8.796
20,550
7.693
39,847
112,143
97.258
Other
Hire of plant and machinery
Stora&Fe cost
240
6,580
6,820
Support costs
Management
Insurance
Telephone
761
1,474
3J66
2235
Finance
Bank charges
Cards merchani ￿st
2,773
1,283
4J63
4,056
This page d￿S not forn] part of the statutori, financial statements
Page 14

Livin
Detailed Statement of Financial Actii'ities
for the Year Ended 31 December 20LI
31.12.23
31.12.22
Finance
Information technology
IT Support
448
Governance costs
Independent examinews fees
900
Total resources expended
126.409
Net income
8,272
95
This page d￿S not forn] part of the statutori, financial statements
Page 15