REDEEMED CHRISTIAN CHURCH OF GOD-
[RCCG] SANCTUARY OF POWER
Charity REG.No 1120255
TRUSTEES, REPORT AND ACCOUNTS FOR
THE YEAR ENDED 31ST MARCH 2021
MOSES-BOLE&CO
CHARTERED CERTIFIED FORENSIC ACCOUNTANTS
CERTIFIED PROFESSIONAL ACCOUNTANTS/ TAX ADVISERS
And BUSINES CHARTERED MANAGEMENT CONSULTANTS
Leroy House Business Centre, Unlt 4L
436 Essex Road, Islington, London, Nl 3QP

REDEEMED CHRISTIAN CHURCH OF GOD-
[RCCG] SANCTUARY OF POWER
CONTENT
Tru¥tee¥ and Advisers
Tru¥tge¥' Report
2to4
Independent Examiner'8 Report to the TnJstee8
Statsm¢nt ot Financial A¢tivitie¥
B¥lance sheet
Notes fom)Ing part of the Finon¢i•l Ststwn•nt
8t017

REDEEMED CHRISTIAN CHURCH OF GOD-
[RCCG] SANCTUARY OF POWER
LEGAL AND ADMINISTATIVE INFORMATION
Genaral overseer:
E.A. ADEBOYE
Trustees:
Mojisola Akinremi
Kehinde Ojediran
Catherine Atinuke Odumuyiwa
Florence Olufunke Akanmu
Registered Office
59 Hatfield Road
Dagenham
RM9 6JR
Minilter In Charge:
Pastor Daniel Oluwole Akanmu
Charity No
1120255
Bankers
Lloyds TSB
Market Place
Romford Branch
PO Box 1000
BX11LT
Accountants
MOSES-8OLE & CO
Unit 4L. Leroy Houm Business Centre
436 Essex Road
Islington London N1 3QP

THE REDEEMED CHRISTIAN CHURCH OF GOD
RCCG
Sanctua
of Power TRUSTEES REPORT
The Trustees have pleasure in submitting their report and accounts for the year ended 31st March
2021. The financial statement have been prepared In accordance with the accounting policies set out
on pages 7 to 8 and comply with the statement of Recommended Practice ISORP 20151. and the
applicable law.
Structure. Governance and Management Constltutlon
The Charity is constituted under a Trust Deed dated and Charity is number on the central register of
the Charity Commission of E￿land and Wales
The principal Objectlves of the Charity is the advan￿ment of the Christlan falth worldwide and rellef
of poverty.
Method of Appolntrnent or Electlon of Trustees
The management of the Charity is the responsibility of the Tn￿tee5 who are elected and co-opted
under the terms of the Trust Deed.
Organlsatlonal Strurture and Oedslon Maklng
The church Is organlsed so that the trustees meet regularfy to manage its affairs. There Is a part-time
Mlnister and Volunteers, Who manage the day to day administration of the thurch.
Related Party Relatlonshlps
RCCG- Sanctuary of Power is a member of Redeemed Chr5stlan Church of God IRCCGI whlch has
Parishes all over the world. The relatlonship is governed by an 'A8reement for common purposes.
between the parishes and RCCG.
Development actlvltles and achlevements In the year
The members who are wlth us have grown spiritually due to the various trainings they have received
especially the Mini5ter5. During this 2019 Christmas. our Youth Department visited Queen Ellzabeth
Hospltal In Romford Ichlldren Department) and made p￿sentatIOn of gifts to sick children.
Furthermore, Our Women Department visited Summerfield ReJidenti•l Home in Romford with
Christmas gifts.
Our weekly attendance has continued to In¢￿aSe and our need for a bigger place Is now a matter of
necessity. The short temi solution was for us to have two servi￿5 every Sunday which is qulte telllng
on the pastors and volunteers. We belleve that God will provide a solution in the coming year. We
have continued to engage with our community through the six projects that we run for the benefit
of the community. In order to redu￿ crime incident In the community. Evangellsm was stepped-
up.we also do monthly Environmentsl Clean-up of our Community to the admiration of our
Neighbours. We had during the year organised projects for the need of the homeless and the
general public bringing together people to have some BBQ accompanied wtth music and bouncy
castle for the children. The best part of this event is that we invite people who have been freed from
drug use to share their testimonies to entourage others to do the same.
Rlsk Pollcy
The Trustees have assessed the major risks to which the Charity 15 exp)sed, particularly those
relating to the operations and finance and are satisfied wtth the risk managernent systems In place
to mitigate any risk exwsure.
I | Page

Flrture development
We are hoping to establish a new parish in 2017 as could not achieve this, this year as our baby
parish still needs supporting at this time. Our pursuit of acquiring a bigger place for the charity is
now very vigorous as it 15 now needed. A building committee is now in place and they have
requested that a new bank account be opened to tske 311 the building funds. This has been referred
to the trustees for approval.
The problem we have during winter at the end of the day at the shade project has continued to hunt
us and we hope to establish a night shelter in the near future if we have the monev.
Finally, we are looking into the posslbility of ownin8 and running our own orphanage in the southem
part of Nigeria.
Revlew of flnandal Posltlon
The net incoming resources for the year amounted to £4,050.0912020 wa5 £5.370.191
All these have been unrestricted reserves and no fund is allotted to restricted projects.
Reserve Pollcv
The trustees have established a pollcy whereby the unrestricted fvnds not committed or invested in
tangible fixed assets Ithe free reservesl held by the church should be 3 months of annual
expenditure. At this level. the trustees feel that they would be able to continue the current activitles
of the church In the event of significant drop in fundin8.
Prlnclpal Fundln8
Th15 Is provided mainly through voluntary tlthes and offerin8s by the church member5.
Pled8e5 are a150 taken for specific projects.
Statement of Trustees, Responslbllltles
The Charities Act requires the Trustees to prepare finanoal statement5 for each flnanclal
year, whlch give a true and falr view of the surplus or deficlt of the charity for that period.
Of the state of affairs of the charity and In preparing those financial statements, the trustees
are requested to:
l. Select sultable accounting policies and then apply them consistently.
11. Make judgements and estimates that are reasonable and prudent:
111. State whether applicable accountin8 Standards and statements of recommended practice
have been followed, subject to any departures disclosed and explained in the financlal
statements:
iv. Prepare the financlal statements on the 80ing concern basls unless it is inappropriate to
presume that the charity will continue in operation.
The Trustees are responsible for keeping proper accountin8 records which disclose with
reasonable accuracy at any time the financial posltion of the charity and to Ènable them to
ensure that the financial statements comply with the Charrties Act 1993 las amended by Act
20061. They are 3150 responsible for safeguarding the assets of the charity and hence for
taking reasonable steps for the prevention and detection of fraud and other irregularltles.
21Page

Tru#ees and other Inforn￿on
The members of the Board of Trustees who seryed durfn8 the year were:
Mojlsoja Aklnreml
Kehlnde Ojedlrnn
Cathorfn• Atlnuke od￿￿￿¥1￿*
Flor•nt¢ Ohrfunk• Akann
This report was approbtd by the Board ofTrustees on the C)1 - 01- 20X
$18ned o
ehalf by.
and
ry to the Board of Trustees.
31Page

MOSES-BOLE & CO
idn¥genientCon5ultants
INDEPENDENT EXAMINER'S REPORTTO THE TRUSTEES
REDEEMED CHRISTIAN CHURCH OF GOD [RCCG] SANCTUARY OF PO
I report on the accounts of the charity for the year ended 31 March 2021, which are set
out below and notes to the financial statements on pages 7 to 17.
Respective responsibilitles of Trustees and Examiners
As the Charity's Trustees, you are responsible for the preparation of the accounts,. you
consider that an audit is not required for this year lunder section 144121 of the Charity Act
2011lthe 2011 attl and that an independent examination is needed. It Is my responsibility to
Examine the account lunder section 145 of the Act),
follow the procedures lald down in the General Directions given by the Charity,.
Commission {under section 145151 Ibl 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 directions 8iven 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
explanations from you asthe 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:_
11 Which give me reasonable cause to believe that in any material respect the
requirements
To keep accounting records in accordance wlth section 130 of the 2011 Act.
To prepare accounts which accord wtth the accounting records and to
comply with the accounting requlrements ofthe 2011 Act have not been met
or
2) To which, in my oplnion, attention should be drawn in order to enable a proper
understanding of the accounts to be reached
Moses O E Igunnubole, BA {HONS.J, FAI4 CPF4 FFA, FIPA,-FTA F
Munaglng Prlncipol
MOSES-BOLE&CO
FIC...
Chartered Certified Forensic Accountants
Certified Profe55ionol Accountontsnox A
ond Business Chartered Munagement Consultants
DA TE.. 0 7- 61-2022.
Tel I d44 IQI 20 77042525 Em6il I MoS￿b01￿139I.(OM
Leroy Hotrse 8usifje5sCÉntre.Unit ij.
Fax j A4101207354 2035 Web/ ￿vJw.r￿$eS.krt)￿￿Orn 436 ￿$ExRoad.1S1irngtOn,L0nd0Tr.Nl 3QP

REDEEMED CHRISTIAN CHURCH OF GODtRCCG]-SANCTUARY OF POWER
STATEMENT OF FiNANCIAL ACTWMES FOR THE YEAR ENDED 31ST MARCH 2021
Prior
ar
Funds
FurvJ8
FuTrJ$ F
Incomlng resourc•*
Ineome and ondowm•nts from:
Donations and legaoe5
Total
81.203.27
61.203.27
61203.27
81303.27
64.239
64339
exp•ndltur• o
Direct Cost
Support ¢o$t
Governanc4 Cc4t
Total
4￿,845.38
15.207.
1.1CQCQ
67.153.18
40.845.38
15.207 80
39,110
18,659
1.100
68,889
67,153.18
Not 1ncomg11gx￿.l ￿f01* InTkn•fvnt 9•h￿IrA￿l
Extraofdin•ry btarn8
Tran$far5 funds
Olh•r r•¢o9rtl••d o•In•l(lo•￿￿.
Gains and losee$ on maluation of fixed
Other gainsllloss681
14•t mov•m•nt In lund•
4050
S.370
R•¢oncllJallon ol fund
Total funds bmught forward
Totsl fund• ¢•rrl•d lo1￿
10 831.87
14 881.78
14

REDEEMED CHRISTIAN CHURCH OF GODIRCCGFSANWY OF POWER
BALANCE SHEEf AS AT 31ST IAARCH 2021
T(lal
Fur¥h FurwJB Fwvjs
Flx•d a•••ts
Tanglble assets
Total fixéd assets
2.890
337.31
7.31
Cash * bank and
Totsl ojrnnt 888ets
1.1￿.(￿￿
1.11XI.(#)
1.1
Net ￿r[￿nI au•WllbabUthsl
14.881.76
10.831
CrtyJitty8'. aft￿￿nts fallwy duB 1 7
Prov￿4 for118t*ll￿O
881.71
10
32
Totsl not a8$8ls or ltht
Fund• ofth• Charlty
unr•strid￿ lund$
R•valuation r680
T¢)tsl fvnd•
10,832.
14.881.78
14.881.76
1.71
02. tsl-
Slgn•d by on• or InAt•e• ofal
Prfnl Nome.. tr( HE￿Al￿

REDEEMED CHRISTIAN CHURCH OF GOD[RCCG]-SANCTUARY OF POWER
NOTE TO THE ACCOUNTS FOR THE YEAR ENDED 31ST MARCH 2021
1.1 B•¥l* of acc4Mmti
Those accounts have teen prepared histoncal c(Jnventicffj with rterns recognisod
at cost or tran5actson value V￿e$S otheA￿* ststgJ in 1hè relevant rth(¥l to Ihese accounts.
The accounts have tttn prepared In 8c¢ordants wth.
' and wth.
the Ststemwt of RecomrnerbJgJ Plac1￿e.. AC￿￿tiNj and Re￿rts"1￿￿ by Chartti
prepanr4J their am?unts in accordanc8 w&ith the Finanual Rewrb'rF Standard
appl1eab￿ In t￿ UK and of IrelorKI IFRS 1021 iB8wd on 16 Juty 2014
and wth.
t￿ FirwKAal Repot"rrfJ Stsndarf *￿ble in the Uniw ar*J R•publlc
of Ird&ThJ IFRS 1021
and the Charitiej Ad 2017.
Th* ¢harty con8tilute$ • publK benefft entity aa d8fiMd by FRS 102..
1.2 O•lh# ¢on¢•rn
1.3 ¢h•no• of a¢¢gwtbnp pollcy
The actsjunts pr•8ent a ￿ •ThJ lalr and thg pOlKI￿ •JoFled are ou111r￿d In
the note wlth no chaw in pol
4.4 Ch•ngM to a¢¢•uhtlng ••tlm•t
No changes to a￿oun￿.￿a e8timale8 havg in the rwting {3.46 FRS 102 SORPI.
1.0 M•t•rl•l wl•r ymr •rnx•
No m•t•rfal prlor year•tror t¢en vjenthw in th• rem'ro pèrbJ13.47 FRS 102 SORPI.

REDEEMEO CHRISTIAN CHURCH OF GODtRCCG]SANCTUARY OF POWER
NOTES TO THE ACCOUNTS
CONTINUED) FOR THE YEAR ENDED 31ST IIARCH 2021
Nots2
2.1 INCOME
This stsndard list of 8mnts"ThJ pc4icae8 has been by the c*wity except forthose IKk8d No or
la" whe￿ 8 or add￿C￿l f*$ adopbl Ihis is detw'w in lh8 Lwjx belthv.
A¢￿￿￿1￿1• pollcl••
R•eognltlon ot Inc(Mi•
These are included In the Statement of Finantyal A￿l￿b•S ISOFAI vAw"
. thè charty becom8s entiued to the resources.,
. tt L8 more likety than not that the trttstees wll re￿1Ve the r•source5,'
. th8 monetsry valu8 be m&*ured with sulka'ent reliabilty.
Ofls•ttlng
Thero is no legacy received during this pericrtl.
Grnnt• and don•tlo
Grants and donab'ons arè only ind￿je{l In the SOFA V•l)en the ggrnral IncThM reo)gnrtTh cthia ern
mel15.10 to S.12 FRS 102 SORPI.
In the caw of performance relatad grants, irKome must onty b8 rwnwd to th8 axlent Ihal the
chadty has provided the 3pe(ified gO￿J8 ci semces a5 ¢nbUemenl to the grnnt onty ttujrs when tho
performanc8 r•lAted conditk*8 m&t {5.16 FRS 1tr2 SORPI.
L•gacl
Thèra 18 no legacy reedve¢J dL¢riNJ Ihl8 Fénod.
No govemmenl grant w48 dwing thi8 Pe￿d.
r•clalm• on don•tlon• and glft•
Gift Aj'd r0c8iv8￿e Is Induded In Jn¢om• when there18 a Val￿ ¢Jedgr8bon frcffj the donor. Any Gift
Aid amount r•covered on 8 don8trem B o)n$idered to be part ofthat gift 8nd is Ir88tgd as an addfaon
to same fund as the initial donab.on unless th8 ￿￿Or Of ￿ t8nns ol th8 èrwl have sw'fied
Contrnctual In¢om• and p•rfonTrmn¢• v•l•t•d gr•nt•
Th5818 not gppllcablè
This 18 not Appluble
Don•t•d *•rvlcM and f•¢llltb•*
Donated serviees 8nd faulitie5 are induded in the SOFA when r￿￿¢d at the value of tho gfft to the
charity provided Ihe valua ol the gift can te measured ￿1rably
Donated services and 18¢I11ties that are CL)rwmgd immediatety rwnised as inconE an
equivalent amount recognised as an expense under the appropriats heading in th• SOFA
Support cost•
The charity has In￿rred expenditu￿ on suppyt tx)sis.
Volunt••r h•lp
The value of any voluntsry help reLe￿ed Is not indwJ8(I In Ihe ax￿jrts txjt bs d￿.￿j in Ihe
trustees. onnual rep)rt.
Not appl￿b￿ during thi5 p￿￿.

Tithes arml offering from Ihe ￿*MterS are in the n￿re gfft are r￿niSed as DonalThs.
and LegacAes
S•ttlom•nt of Insuran￿ clakn•
Insuran￿ dairns are onty Ir￿uded In the SOFA wtten the general criteria are
met15.10 to S.12 FRS 102 SORPI and are i￿luded as an rtem ofothw inc4Jme in the SOFA.
Inv•8tm•rtt g*ln• •nd l¢w
This includes any ￿alISed or unreali$8d gains or on lh& sab of investrnents 8ny 98ln or
1086 resU￿ng from revaluing Investrmerts to mark•t atth& of tho yo9r.
12 EXPENDITURE AND LIABILITIES
Llablllty r•¢ognltlon
'abilib'es are recognised ￿er* rt is mor• Ilkètythan rot th81 the￿ is 8 *al or f>)nsbuc*ve oiYig8t
cornrnitting the charity to pay oui r&sour¢e$ and the amcxjnt of the otyvJ8bon can be m8a8ured with
r&a80nable c*rtainty.
aov•man¢• •nd •Up￿rt e••ts
Support costs have been alkrated beh¥een govemartt f4)sts and oth¢r Governance r￿sts
¢ompnsè all Costs involving pU￿1C acwntsts.lty ol th¢ th•nty and its D)mpliance wrth regulabon and
good prath¢è.
Support ¢0818 Indude central fijnctions and hav• boen allcated to admty ¢o$l categories on a basis
consistent vAth the use of re80urces. eg allocab"ThJ propèty ¢osts by llotsr ¥re8s, or ptsr capts. staff
costs by tt)e 1Sme 8pent and othér costs bythwr u$999
ar•nt• wlth p•rfornMnc• condllk4M
Thg Charfty Is not 8wardlng grantto any O￿lsatiC
Or•nts p•y•bl• wlthout p•rforn*nc•
Whore there art no ¢ondit'ons attachirg to Ihè 9ranl that enables the thinor c*aity to realisticalty
avoid thè comrnrtrn•nC a Ilabilty for the full furvjiny r*Iryaf￿n mu8t be reL¥Jgnssed.
R•dund•n¢y ¢Mt
The charity Made no r8dund8ncy payrf*nts *JuriThJ the rwtiTh3 wh)d.
D•f•rr•d Incom•
No malgri81 item ol deferred income has been i￿1(￿￿ in the amnts.
Cr•dltors
The charity h¥s c￿￿11018 which aTe rneawr￿ at 88tU8m8nt anThwnts bss arby Irad• di8counts
Provhlons for Il*bllltl••
A Iiabillty is measure(1 on recogr¥¢ion 8t ts o)st and Ihen subwi• ￿￿a$(tred at the
best esttmate ofth& amount required to setue the 0￿￿C￿l atthe Tem'rKJ date
a•1¢ Ilnan¢l*l Instrnm•nt•
The ¢h8rty 8¢¢ounts ft)r basic financaal instrumenls on inttial recognition as paragraph 10.7 FRS
102 SORP. Subwuenl measurement is as ￿ paragraphs 11.17 10 11.19. FRS 102 SORP.
2.3 Assrrs
Tanglblè flx•d us•ts lo¥ by Charlty
These are capitalised if they can be used for more than year. and cosl al least
They are valued at COsL
The depreoation Tates aThJ Meth￿ts u$8d ￿ dixlo¥•J in rth 14.
10

Intanglbl• fix•d ass•ts
The tharity has intsngible frxed #wts, that 18. rKyFnN)netsry assets that do not have FthysK
substance but are identsfiabSe and are (x)ntrolknJ by ths tharity through ￿$todY or rights. Tl
amorbsation rates and Moth￿1S usgj dK*do￿l rth 15 are atcosL
H•rft*g• as••ts
The ¢hanty h&% herrtage a888ls. that is. r￿rH￿0netary assets wilh hithic. arb"sb"o saenfft.
teChn￿OgICal. geophysical or environmentsl qUal￿eS that are held and maintsined pn"tYJP81ty tr their
contribution to kno￿ts￿9e And rAj￿r￿. The dekwation fatss and methods used as disdosed in nots 18.
They aw valued at eo8L
Inv••trn•nt•
Flxed asset invastments kn quotsd shw•s, trade(I tonds aThJ Invè8bnents are ¥alu*J at inib81ty
at CO81 and subsequenty at fair valu• ltheir marktrt V8lue} at tr* year end. The 8am• Ireatmenl Is
applied lo unlisted investm8nt8 unloss faIrval￿ wnot te m88SLml relwy case rt 1$
measured al cost less impaimwnt
Investments hdd for res8￿ or pending their and cash aThJ czsh w]uNal*)t8 a matunty date
of th8 than l y68r arg treatsd as ￿ffent a888t irNe51ments
Stock• •nd work In progVW•
Stocks held ftsr sale as part of nonthrtsbl¢ trade are measured 81 th8 hy*w ucost or rn81isatAe value.
Goods or servicos provided as part of 8 ¢hantable 8cbthty are moasured 81 not realisabl& ¥￿￿e
based on th• serwco potontial provitJ¢d by rtem8 of $t&*.
Work in prcgrgs8 is V￿U¢d 8t o)st le88 8ny lore8eo8Ue k)88 that 18 I'kety to won th• ojnlrn
D•btorn
Debtors (including trade debtors and loons Teew8bl81 are measur&J inth.al 1wntt￿n
8etttement amount after any di8counts or amount thanc*d by the Charty. Subwuenty. Ihey
ar8 measumd at the cash ci cthr eon*Jerakn to bo r•c￿d.
Curr•nt •u•t Inv••tm•nts
The ¢harity has h¥$ inv8Strnenls it holds for resale ￿ pending their sa￿ ¥ThJ cash and
equivalents wrth 8 molurity dat¥1g$s than on& year. The8e I￿lUde cash on depowl and cesh
equlv81enls wrth a m81udty dale ol less than one y￿1 hdd fty inVestn￿ r8thw than to
meet shortterm txsh comrnrtm¢nts a8 they f811 due
They are valued 81 fair value except ¥the￿ thty qualify 88 bo$￿f￿￿nC4d in8trumonts.
POLICIE8 ADOPTED ADDITIONAL TO OR DIFFEREKf PROM TIIOSE ABOV
There Is no 8ny ottier pollclv¥ 4adopied
11

REDEEMED ¢HWSmAN CHURCH OF GODtRCCGI-SANCTU*RY OF Ptr
NOTES TO ThEACCOUFirs
CC*mNUED
FIXITHE YEAR ENDED JIST IIARCH 2VLI
Pth)r
Fund•
Fund¥
Fuhdts
Fim
TllhBs
$3,180.33
5.650.94
1,840.0)
53.180.33
5.650.94
1.8do.(K)
55.818
5931
1,933
107
105
ThanksgNh
Bu1￿M¥J
Afrkan
Sr*cw> ThHnksoMno
M18C￿lanI￿￿ Ir¥)
Tolal
60.0)
382.
0120327
6130J27
1130327 64330.
12

REDEEMED CHRISTIAN GHURCH OF GODiRCCG]4ANCTUARY OF POWER
NOTES TQ THE ACCOUNTS
COIfflNiED
FOR ThE YEAR ENDED 31ST IAARCH 2D21
Ntst• 4
Anatysls of •xp•ndliwY•
Prlor
yu
Fund8
Fun
Fund• Funth
Fund8
DIRECT COST
Vvorfd Evango118rn Mis8lon
F85tival of Lrfè
RCCG.Central Office
Hontsurariun-Vbs￿'Thj Miiwsbrs
W8llar
S8minars & Cgnf•renr
Ministy Adv8n%>ment
Pastor8 All¢)wanc
Prfrmi8es Cost
Choir, Key board 8TrJ Mu8ic Exp8nM•
BDoks. CD5 and TaF4S
Other D￿atron￿ Grfll
1.986.49
1,986.49
2.562
1,100
1,200
2,800
1,228
3,7CQ
1,4￿.00
1.050.C
7.940.C
I.4(M).￿]
1.050 LXI
7.940.(X)
1.OJO.Q)
1,C((J LXI
S(￿.
24,750.1)J
24,750.iXI
18,150
200
3CK)
3.270
1.51889
1,518.89
Suppoirr COST
Plannin9 Permissi￿ EyF•lf••
Ropoirs and moirtenanca
Printry, Po*age 8TrJ Statswy
Ele¢tri¢ty & G
Inluranc
Busingss rats
Accom¢*ation & Trav•1 Expgns
Sports Expens•i
R•freshm•nt Entort8irTh•nt
Training
DepreeAation
Fuel. parting & Motof ExF*nws
C¢Jmputsng & ￿ Eyp•r*
C18aninglS￿rtty
Covid Expenses
stor￿9 Exp•n801
687.0)
2.051.32
687.c¢J
2.051.32
635.C#)
513.21
383.19
1519 20
990
3.977
3,013
513.21
383.10
2.519.20
70)
1.560
1.920
1,014
1.187
1,480
942
1,075.¢J)
2.112.45
1.e04 9)
351.54
820 10
942.02
1,075.CKI
2,112.46
1.804.90
351.54
820.10
1,855
668 83
e68.83
12 $23.29
15
TOTAL expcNDITURI
06.053.18
63,386.67
07,769
13

REDEEMED CHRISTIAN CHURCH OF GoDtRCCG]￿ANCTUARy OF POWER
NOTES TO THE A¢¢OUNfs (CONTINUED
FOR THE YEAR ENDED 31ST IAARCH 2021
Note S
5.1 Fees for examinalh)n of the accx)unts
Please provide details of the amounl paid for any statulory exlemal scrutiny of xcounls and
other services provided by your independent examiner. If nothing was pahl please enter'o.
in the appropriate box{esl.
GOVER•IANC2 COST
This Year Last Yfrar
Independent examinerf8 fee8
Legal Fees IFilingl
Assurance services other than audrt or independent examinatw)n
325.co
125.(K)
325.00
125.00
Tax advisory fees
Other fees (for example.. financial advi(x. acc<yJntancy servti8F
paid to the independenl examiner
850.00
650.00
1100.00
1,100.00
14

REDEEMED CHRISTIAN CHURCH OF GODtRCCGJ4ANCTUARY OF POWER
NOTES TO THÉ ACCOUNTS
coKnNUED
FOR THE YEAR ENDED 31ST IOARCH 2021
Nots 6 Tanglbl• Ilxed a$80ts L•asehold Akntor Comwrtw
F&F.
Idlr
11,981.22
15,887.19
At th8 boginning of the y68T
&VJ5.97
5.559.27
5,559.27
Addilon8
Rwolu•lorM
Transbrs" (Add or Dgduci)
90&97
17.$40.49
21.446.46
At etKI of Ihfr yeaf
6.2 D¢pro¢latlon and Impalrnwnts
"B85iS
Long Terni Lea$ettohY Prw*ty
MotorVehKle
Fixtures & F￿lIng¥
Office Equipment
Com
uknr Equ[kw￿nI
R¢dudrg 8alar
25% Redu¢v￿ BelBftce
25% Red￿Ing BaL?￿O
25%
R￿Uring B8*nt*
25% Wudn Baigwi
** Ratè
1,T24.22
11.272.46
12,996.70
At beginnlng ol the ￿ar
Dl$po8al8
D•pTgciation
lrnpaimgnl
Tran&fer8' (Add or
At oN1 of th• y•ar
1,567.01
2,112.4S
12.839.49
15.109.15
2.289.e6
6.3 Not br￿ val
t book value at th? b•glnnlng ol ts Yr.
Not book v?lu• at Iho end ol the yoar
2,181 7S
1.63&31
708.74
701.
2,8￿.49
337.31
.4 lrnp•lrnwrt
Pl9880 pfovh* a d•acrtptlon of th• 8¥￿ts ￿ Cffwn•thr￿ knd r•c(*dnitkn ar
r•¥erAal ofan biyknwil W.
S R•v•luatlon
an 8ceouThdrva ofrw4a*Jatt*b provth..
•ll•th• dAt• oflh• rn¥gluabJn- trIIA
the name of Indepo￿t vakw. Ifappllcat* E NIA
the rnothoth appl* ar¥1 syJn￿nt a•BwnptyM= NIA
th• c8rying amount th8l*ruld havg b•￿ T8c4ni￿ had tho aNÉ•ts bèan cani*J undor
o)sl model.
6.6 Other d￿¢1￿￿¥
lil PK8asg siato the wnount d btsrro*tr￿ costs. l•ry, c¥tsthaed kn th• oftsrv4b
assets 8nd the ￿prtaI￿at￿*n fats wd. = WA
1111 Pka8e provth affKJuni of Contr•[￿ et￿mI￿nents forthè ￿4￿￿11￿ oftsrvJbb
assets. NIA
IMI olthe existenc• and c*nWr¥J ofwr4wty. plwt aypj to the
tharity has restnct8d trtle or Ihai are ￿￿ed a5 IAbUkns.- NIA
15

REDEEMED CHRISTIAN CHURCH OF GODtRCCG]-SANCTUARY OF POWER
NOTES TO THE ACCOUNTS
CONTINUED) FOR THE YEAR ENDED 31ST MARCH 2021
Not• T
Creditors and aecruals
Please complet8 this rtote rf the charity ha5 any or acuuls.
Amounts falling
due 8fter more
than one year
7.1 Analy818 of credltors
Amounts falling (k
7Mthin c￿e year
Accruals for grants payable
Bank loans and overdr8ft8
Other Creditors- Treasurer
Payments received on a¢￿Unt for contrats or r
Accruals and deferred income
Taxab'on and S￿la1 security
Taxation and ￿191 socunty
Total
1,100.00
1.11XI.IJ)
1,11XI.00
1,11JO.IXI
0.00
THERE IS NO DEFERRED INCOME DURING THIS PERIOD
16

REDEEMED CHRISTIAN CHURCH OF GODtRCCG]-SANCTUARY OF POWER
NOTES TO THE ACCOUNTS
CONTINUED) FOR THE YEAR ENDED 31ST MARCH 2021
Noto 8
Cash at bank and lo hand
This Year
Last Year
Short term deposits
Cash at bank and on hand
Other
Total
9.644.45
9,041
9,644.45
9,041
17