RLGIS-I"bKLD LHAIU'I'Y NiTMBER: 1103581
rtoftheT
Financial Ststements for the Year Ended 31
24
for
RCCG Livin
FAith Connections
Stan Kelly & Co
Chartered Certified Accountants
Suite 2, Wenta Business Centr
l Electric Avenue
Enfield

RCCG Livin
Faith Connections
ont nts f the Financial Sta
em
for the l'ear Ended 31 December 2024
Page
Rep)rt of ¢he Trnstees
Independent Examiner's Report
Statsment of Financial Activitics
Balance Sbeet
Noles to the FI￿ne￿Il Statemthts
8 to 13
Detailed Statement of Finantial Aelivities
14 to 15

RCCG Livin
Faith Conneetions
rt of the Trnste
for the Year Ended 31 December2024
The trustees present their rep)rt with the financial statements of the charity for the year ended 31 Decemb¢r 2024. The
tnJst¢¢s hav¢ adopted th¢ provistons of Accounting and Rewrting by Chariti¢s: Statement of Recommended Practice
applicable to charities preparing their accounts in a¢cordance with the Fitwtcial Reporting Standaftl appli¢able in the UK
and Republic of Ireland (FRS 102) (effeuive l January 2019).
ORJEcfivES AND AcfiviTIES
Objectives aims
The Objects of the charity are:
- The advancement of the christian religion worldwide ' and
The relief of poverty worldwide.
Public benefit statement
In detsmiine how best to putsue theses objectives th¢ trnstees have tak￿ on l)oard the charity commission's general
guidance on public benefit and in particular its supplementary publi¢ guidance on the advancement of religion for the public
benefit.
.It pursucs these objcctive5 by the operatiOD of a centre for christian worship at its premise5 in Barkin&. Es5cx. Wc have
severa] community based inltiatives that f￿llS on assisting the disadvantag￿ and the less privileged in our local ￿MMUnity
and overseas..
W¢ also make regular donations to several external organisations that are better placed to further advance various ￿Us¢S.
Our site 15 accessible kn all when progrdmmes are being tun and events cater for p￿PIe ftDm all wo￿5 of life. This includes
youths. children. Single. Marrie￿ men and women.
Significant activiti
Living faith Connections h&s a policy of supporting up and coming small businesses within the community.
Under the agreement for common purposes (see above). Living Faith Connections parish has agreed w make annua]
contribution to RCCG (UK).
In addTrtion, the church SUPEXJrts missionary organisations such as Festival of Life and the World Evangelical Mission,
Afiican Mission and other missions and projects within and outside the UK. The church also provides suppx)rt to members of
the cong￿88tiOn ( at the discretion of the trnstees) wTrM) art in need.
Volunteers
Living Faith Connectiffls is grateful for the efforts of its volunteers who are involved in service provision. It is estimated that
about 5000 volunteer hours were provided during the period. If this is conservalively valued at £12.21 per hour.The
volunt¢cr efforts amount to over £61,1)00. The rharity en5ur¢s that best valu¢ is derived from the sterling efforts of its
volunteer team.

RCCG Livin
Faith ConnettiOD5
Re
ort ofthe Trusttts
for the Year Ended 31 Ikcember 2024
ACHIEVEMEiYf AND PERFORMANCE
Charitable activities
Im￿cting our tommunity:
A5 a purEX)se driven church. we are a beacon and a ligbtknuse to our Lvmmunity, we empha5iz¢ the imFN)rt8n¢e of
Relationships of service, Generosity & love to our members.
Most itnrK)rtantly, we strive to make our Community Flourish through:
Building of relationships with individuals and institutions in the community-
Pursuing our goals through social action and outreach to serve the under wiviiege& deprived destitute and those who feel
rejected.
Providing platfomis for peopl¢ io connect with other through worship, music, drama elc.
Strengthening the faith of Christiarts through soulld biblical teachin& fellowship and prnyer.
Promoting encouraging other initiative5 that adds to the growth and developtnent of the o)mmunity.
We believe that we have been sent to thts part of the world to bring the gospel with its attendant message and assurance of
comfort, vi¢tory and hope to p¢opl¢ through ￿tiVe ¢ngag¢m¢t]t.
Charitable Aehievements:
As part of our aim for communty growth and engagemenL we operate an open d￿r PKJlicy for all prOj￿ts and initiatives run
by the council and other organizations wtthin the communtty.
BUL did our best to engage and sUPFX)rt people within the community through:
Commtknity Evcnt - Wc cncoLtrascd all our MCmb￿S to carry out wmmunity ¢nsos¢m¢nts os a knily Mthffteh we shoivcosed
regularly during our setvi¢¢s. Some ofthe initiatives included..
Donation and engagement with the homeless, prnyer walk& hospital visits and donatiOILg, ehatttng to those who needed
encouragement and someone to talk with
Community Engagements - We resumed our physicdl church and retained the online church to support those who were still
unable to att¢nd to h¢alth is5u¢s or just not comfortable in doffing so.
Prayer Line". We held a daily prdyer line where P¥&le (%)uld join in to prdy for themselw their families the community.
natio￿ and the world at large.
confer¢n￿S & Events: Different cOnferen￿S and ¢v¢nts w¢r¢ held online" (financial seminar, family life, marrtage. health
etc.) throughout the year. The topics are always TelewanL inier¢stin& and engaging with several breakup groups to address
indivtdual questions and to provide supw)rt.
Focd bank- In partnership with other local groups, we collect non-perishable items via our fothj bank stand whicb is opened
¢v¢ry Sunday. This is then collated and dropped off at the designated collection points within the borough.
lllvestment perforniallce
Tlk¥ LtUs1¥¥s hÈlV¥ d¥cided that at p￿sen￿ funds should be rethincd in bat]ks and building societies. Any changes in such
banking aTfdngemcnts should bt agrccd by thc board. As far a5 ￿$Sible, fimds will b¢ r¢tsined in interest bearing acciyunts.
Page 2

RCCG Livin
Faith Connectio
Re
rt of the Tru5tee5
for the Year Ended 31 December 2024
ACHIEVEMENf AIYD PERFOR￿cE
Internal and external factors
Factors relevant to achieving objectives
The other single most imry)rtant f￿tOr is the commitinent from members both financialty and in voluntsry hours.
FINANCIAL REVIEW
Financial position
During the year, the total income generated was £134.681 { 2023: £134.681).
The Charity made a surplus of £3,53) for the yw ended 31 December 2024 { 2023: surplus of £8272).
After taking account of the operdtions. the charity's available fi￿dS st(M)d at a d¢fi¢it of £38.407 for the year ended 31
December 2024 (deficit of £41,940 &s at 31 December 2023).
Principal funding sourc
The charity's principal fiu)ding is through members. voluntary contributiotts and dOn￿lOnS.
Reserv£s policy
The tn&stees are aware of thc rquircmcnt to havc a rc5ervc w)li¢y in place and aim to maintain a targct balance of & month's
worth of fixed operational cost given tim4 to ensure on going delivery of its charitable objects during an unforeseen
down turn in in¢om¢.
The tNstees are ￿llY aware that the cwrent level of the unrestrirted fi]nd 15 below the required level. The ttustees have plans
in hand to address this situ&ion and restore the rese￿￿5 to the level requird This will be achieved, amongst other initiatives
by cutting cost wherever wjssiblq whilst most of our reserves have be£n used up duTing the year I￿￿￿se of the e(x)nomic
clirnate.
Going concern
The charity is still trading d￿pIte the ¢hall¢nges experienced during the year.
FUTURE PLANS
Living Faith Conneaions wntinu£5 to explore ways of evangelising in an effeciive manner by rdi5ing its profile and getting
mor¢ involv¢d tn thc cornmuntty. The charity airns to provid¢ s¢rvI￿ ond activiti￿ that are relevant to pwle on a
founilation of chrislian tenets and beliefs in a bid to effect change in the mora] and spiritual climate of the local borolfgh and
the country at large.
Some of its plans include:
Working more with the Lx)uncil to develop more community proj¢cts.
The charity aims at reathing out k) the youth by opening a youth centre and cr￿ing space for the elderly. This
build a happier community and impad the society.
will
STRucfuRE, GOVERNANCE AND MANAGEMENT
Governsng document
The ch￿lty is controlled by its governing documenl a deed of trust and constitutes an unincorw)rnted charity.
Recruitment gnd appointtnent of new trustees
New ttusl¢¢s are aptK)inted on the basis of the contribution they will mak¢ to the governance of the org3mi5atiOtE and the
skills th￿ th¢y will LunLtibute. Thvy ￿ p[uvid￿ wi￿1 cupies of tlic Charity Con]tni55l(￿'5 guidance to tsusttts and givcn an
introdu¢tion to the activities of the charity by thc existing board.
Page 3

RCCG Livin
Fgith ConnectiotLS
rt vf (hr TruJi¥&
for the Year Ended 31 December 2024
STRucfuRL GOVERNMCE AND MANAGEMENr
Organisational s¢ructure
The church is organised so that the rrustees meet regulaTly to manage its affair5. The minister in charge manages th¢ day to
day administration of the church.
Conn¢¢t¢d ¢hariti¢s - Living Faith Connections is a parish of the Redeemed Christian Churth of God - a network comprised
of chLtrches aIl over the world.
There is an agreement for common purtK)se entered into by Living Faith Connections with the Redeemed Christian Church
of God whi¢h documents thAs relationship.
Induetion and training of new trustees
Policies adop*d for the induction and training of trustees. Existing trustees are provided with trainings as and when
required.
REFERENCE AND ADmI￿1￿[l4T1VE DETAIiS
Regislered Charity number
103581
Principal address
301 Lono Riding
Basildon
Essex
SS14 IQR
Trustee5
Pastor O Odugbile
Pastor C T Adeoye
Mr O Osadugba
Mr E Adeyemi
Independent Examiner
Eiiiiii￿1￿el Olokn
FCCA Stan Kelly & Co
Chartered Certified Accountants
Suit¢
Wenta Business
Centre, l Electric Avenue
Enfield
EN3 7XU
Approv¢d by order of the board of trnstees on 21 (k￿b￿ 2025 and signed on its behalf by:
Pastor O Odugbile- Trns￿e
Page 4

Inde
ndent Examiner's Re
ort to the Trnstees of
Livin
Faith Connections
Indepelldenl examiner's report to the trustees of RCCG Living Faith Connections
I rrport to thr rhority trustccs on my cxamination of thc a￿Unts of RCCG Livitis Foith Colm￿tIonS (the Tn￿t} for th* yeAr
ended 31 tkcember 2024.
Responsibilities and bgsis of report
As the charity truslees of the Trust yoii are resEXYDsible ￿ the p￿para￿n of the accounts in accordance with the
requirements. of the Charities A¢1 2011 {Ihe Act,).
I rep)rt in respect of my exyrnination of the Tws¢'s accounts canied out under Section 145 of th¢ Act and in carrying out my
examination I have followed all applicable Direciions given by the Charity Commission under Section 145{51(b) of the Act
Independent examinerfs ststement
I have completed my examinalion. I confirm that no mat¢rial matters have come to my artenuon in connection with the
examination giving me cause to believe that in any material re4)ect:
accounting records were not kept in resFrtt of the TTUSt &% required by Section 130 of the Act. or
the accounts do not accord with th(L%e re¢ords; or
the accourAts do not comply with thc applicable requirements conceming the forni and content of accounts sel out in
the Charities (Accounts and Reports) Regulatio￿8 2￿8 other than any requirement that th¢ accounts give a true and
fair view which is not a matter conSide￿d as part of an itmlependent examination.
I have no concerns and have come acmss no other rnatteTS in Lx)nnection with the exwnination to which attention should be
drdwn in this report in order io enable a propcr understsnding of the ac(x)unts to b¢ reached.
DrE
manuel Oloke. FCCA
Stan Kclly & Co
Chartcrcd C¢rtifi¢d A¢¢ountants
Suite 2. Wenta Business Centre.
l Ele¢tri¢ Avenue
Enfield
EN3 7XU
21 October 2025
Page 5

RCCG Li￿￿
Faith Conneetions
Statemeni of Financial Activities
for the Year Ended 31 December 2024
31.12.24
Unrestricted
fund
31.12.23
Total
funds
INCOME AND ENDOWMENfs FROM
Don￿l￿nS and legacies
126J99
lJ4.681
EXPENDITURE ON
Charitable activities
Charitable adivities
I20,￿6
121,358
Other
1160
5,051
Totsl
123,066
126.409
NET INCOME
3533
8272
RECONCILL4TION OF FUNDS
Total fi￿d5 brought forwatd
(41940)
(50,212)
TOTAL FUNDS CARRIED FORWARD
{38,407)
(41.940)
The note5 fonn part of these financial 51*ements
Page 6

RCCG Livin
Faith Collllections
Balance Sheet
31 Deeember 2024
31.12.24
Unrestricted
fund
31.12.23
Total
nds
Notes
FIXED A&SETS
Tangible assets
132J98
131551
CURREi¥T ASSETS
Cash at bank and in harml
(23,188)
(23.554)
CREDITOILS
Amounts failing due within one year
(147,617)
(150.937
NET CURREiYf ASSETS/(LIABILITIESI
(170W5)
(174.491
LIABILITIES
(3&407)
{41,940)
NET ASSETSI{LIABILITIES)
138,407)
(41.940)
FUNDS
Unrestricted funds
(3&407 }
(41,940)
TOTAL FUNDS
(38,407 >
(41,940)
The fiiiwi¥ial siaLrJnvnts were approved by the Board of T￿￿teeS and authorised tor issue on 21 October 2025 and were
signcd on its behalf by:
Pastor O Odugbile- Trustee
PLstor C T Adeoye- Trustee
The notes forn) part of these financia]
Page 7

RCCG Livin Faith Connections
rio
e Financthi Ststetnents
f r the Yegr EDded 31 December 2024
ACCOUNfiNG POLICIES
Basis of preparing the flnancial stgtements
The f￿an(la1 5tat¢menls of the charity, which is a public benefit entity under FRS 102. have been prepared in
accordance with the Charitics SORP (FRS 102) 'Accounting and Reporting by Chariti¢s: Statement of
Recommended Practtce applicable to eharities preparing their accounts in accordance with the Financia] Reporting
Standard applicabl¢ in th¢ UK and Republic of Ireland (FRS 102) (effcctivc l January 2019),. Financial Reporting
Stsndard 102 'The Financial Reporting Stsndard applicable in the UK and Republic of Ireland, and the Charities Act
2011. The financial stslemenls have b¢en prepared under the historical cost convention.
Income
All inwme is ]Ecognised in the Statement of Fil￿¢1￿1 Activities once the charity h&5 entitlement to the fvnds. ti is
probable that the income will be received and the amount can b¢ measu￿1 ￿lIablY.
Expenditure
Liabilities are re¢ognised as expenditure as s(x)n &s there is a legat or wnstru¢tive obligation committing the ¢harity
to that expenditure, it is probable a transfer of economic benefits will be r¢quir¢d in sertlement and the amount
of the obligation can b¢ masur¢d r¢liably. Expenditure is accounlsj for on an accruals b8sis and has been classified
under headings that aggregate a]1 cosi related io the category. Where costs cannot be directly attributed to particular
headings they have been allocated to activities on a b&%is consisteni with the use of resources.
TADgible r￿ed *ssets
Dcpreciation is provided at the following arffival rates in order to ￿lte off each &sset over its estimatrd usefid life.
Plant and M￿hinery
Fixtures and fittings
Computer equipment
21f/o on Cost
2￿/0 on cost
2￿/0 on cost
Taxation
The charity is exempt from tsx on its chaTitable activities.
Fund accounting
Unr￿tr1ded futtds can bc uscd in accordan¢¢ with th¢ ¢lTrnritllble objectives at the discretion of the tntsteeB.
Restrictcd funds only be used for E)articular restricted purwses within th¢ objects of the charity. Restri¢tions
arise when specified by the donor or when funds are rdised for particular restricted puwes.
Further explanat&on of the nature and PUTpose of each fimd is included in thc notes to the financial statements.
Hire purchase and leasing commitments
Rentals paid under operating le15es are charged to the Ststemenl of Financial Activities on a straighi line basis over
the peTiod of the lease.
continued...

RCCG Livin
Faith Conneetions
IYotr¥ tv the Financi¥l Ststernellts- cvutillued
for the Year Ended 31 December 2024
TRUSTEES, REMUNERATION AND BENEFITS
One ttvstee was engaged as a pastor and paid £33,400 as stipend and allowance for the year ended 31 December
2024. ( £4E.846 for the yvdr ended 31 tkcember 2023).
Trnstees, expenses
There were no trUs￿e$. expenses paid for the year ended 31 December 2024 nor for the year ended
311)ecember 2023.
AFF COSTS
The average monthly number of employe￿ during the y¢or was as frlliows:
31.1124
31.12.23
Management
and suptx)rt staff
No employecs rcccivcd emolumcnts in cxcc5s of £60,￿0.
COl￿PARATIVEs FOR THE STATE.MENT OF FINANCIAL AcrtVlTIES
Unrestricted
fund
INCOME AND ENDOWMEiYfs FROM
Donations and l¢gaci¢s
134,681
EXPELYDITURE ON
Charitsble activities
Charitable activiiies
121,358
5,051
Total
126,409
NET INCOME
8,272
RECONCILIATIOIY OF FUNDS
Total funds brought forward
(50,212)
TOTAL FUNDS CARRIED FORWARD
{41,940)
Page 9
continued...

RCCG Livi
Failh ConDects)ns
Noi t the Flnanclal Statements- contlnueil
for the Y￿r Ended 31 December 2024
TANGIBLE FIXED ASSETS
Itnprovements
FiX￿re5
and
fittings
Plant and
machinery
propeity
COST
At l January 2024 and 31 Decernber 2024
199.419
26025
97,049
DEPRECIATION
At l January 2024
Charg¢ foryear
26213
At 31 December 2024
78,6
26J06
NET BOOK VALUE
At 31 December 2024
120,729
459
112w)
At 31 December 2023
120.T29
612
1121)0
Computer
quipment
vthi¢l¢s
Totals
COST
At l January 2024 and 31 December 2024
40,910
58J65
422508
DEPRECIATION
Ai l January 2024
Charge for year
40,910
58J55
2￿,017
153
At J l ve￿Mber 2024
40JIO
58J55
290,170
NET BOOK VALUE
At 31 December 2024
io
132J98
Ai 31 December 2023
10
132.551
Page 10
continued...

RCCG Livin
Faith Connertions
Iyotes to the tr'inanci41 Stst¢tnents- coiitinued
for the Year Ended 3
r 2024
CREDITORS: AMOUNTS FALLING DUE WtrHIN ONE YEAR
31.12.24
31.12.23
Other creditot5
147,617
150,937
MOVEMENT IN FUNDS
movement
in fi]nds
At
31.12.24
At 1.1.24
Unrestricted funds
General fund
{41940)
3&13
(3&407)
T(YfAL FUNDS
{41940)
3,533
(38,407)
Net movement in ￿ndS incI￿je￿ in the ab)v¢ are as folloms..
Incoming
Resources
expended
Movement
in funds
Unrestrirted futt
General fvnd
126599
(123,066)
3533
TOTAL FUNDS
1269)9
(123,066)
3533
Comparntives for movement in fvnds
Net
movement
in fi￿d$
At
31.12.23
At 1.1.23
Unrestrirted funds
General fjjnd
(50.212)
.272
(41,940)
TOTAL FUNDS
(50,212)
8,272
(41,940)
Page 11
continued...

RCCG Livin
Faith ConDe¢tions
otes to the Fitiancial StatemellLS- eontinued
for the Year Ended 31 December 2024
MOVEMENT IN FUNJ)S- cottttnued
Compardtive net movement in funds. included in the above are as follows..
Incoming
Resour￿5
expended
Movctncnt
in funds
Unrestrieted funds
General fvnd
134.681
(126.409)
8.272
TOTAL FUNDS
1)4.681
(126.409)
8.272
A current year 12 rn¢)nths and prior year 12 months Combin￿ wsition is as follows..
Net
rnovement
in funds
At 1.1.23
31.12.24
Unreslricted fuD(Ls
G¢neTh￿ fiind
(50212)
11.805
(38.407)
TOTAL FUNDS
(50.212)
11,805
(38.407)
A cutTent year 12 months and prior year 12 months combined net movement in fimds. included in the above are as
follows:
Inc()mlng
Movement
in funds
expended
Unrestricted funds
General fimd
261280
(249,475)
11.805
TOTAL FUNDS
261280
(249,475 }
11,805
Page 12
continued...

RCC
Livin
Faith Connections
rioies io tkne Finallclal sthiemeDLS- conliDued
f r the Year Ended 31 December 2024
RELATED PARTY DISCLOSURES
There were no related paty transactions for th¢ year ended 31 December 2024.
Page 13