REDEEMED CHRISTIAN CHURCH OF GOD-
[RCCGJ SANCTUARY OF POWER
Charity REG.No 1120255
TRUSTEES. REPORT AND ACCOUNTS FOR
THE YEAR ENDED 31ST MARCH 2023
MOSES-BOLE&CO
CHARTERED CERTIFIED FORENSIC ACCOUNTANTS
CERTIFIED PROFESSIONAL ACCOUNTANTS/ TAX ADVISERS
And BUSINES CHARTERED MANAGEMENT CONSULTANTS
39 SAINTS BREIADES COURT
BALMES ROAD
LONDON NI 5TW

REDEEMED CHRISTIAN CHURCH OF GOD-
[RCCG
SANCTUARY OF POWER
CONTENT
TrustÈ•s and Advl8eYs
Tru8t888' Report
1bto3
Inde￿ndent Examiner's Report to the Trn$t098
ststementof Flnanctal Actfjvrtie
Balan¢• shegt
Not•# fomiing part of the Financlal Statsmènt
7t016

REDEEMED CHRISTIAN CHURCH OF GOD-
[RCCG] SANCTUARY OF POWER
LEGAL AND ADMINISTATIVE INFORMATION
Genaral overseer".
E.A. ADEBOYE
Trustees:
Mrs. Folasade Olanrewaju Olushanu
Mojisola Akinremi
Kehinde Ojediran
Catherine Atinuke Odumuyiwa
Florence Olufunke Akanmu
Registered Office
59 Haffield Road
Dagenham
RM9 6JR
Minister In Charge:
Pastor Daniel Oluwole Akanmu
Charity No
1120265
Bankers
Lloyds TSB
Market Place
Romford Branch
P O Box 1000
8X11LT
Accountants
MOSES-BOLE & CO
39 Saint Brelades Court
Balmes Road
IslingtonlHackney
London N15TW
la

THE REDEEMED CHRISTIAN CHURCH OF GOD
RCCG
Sanctua
of Power TRUSTEES REPORT YEAR END 2023
The Trustees have pleasure in submitting their report and accounts for the year ended 31st March
2023. The finantial statement has been prepared in accordan￿ with the accounting poltcies set out
on pages 8 to 17 and comply with the staternent of Recommended Prattice ISORP 2015}. and the
applicable law.
Structhre, Governance and Management Constltutlon
The Charity Is constituted under a Trust Deed dated and Charity is number on the central re8lSter of
the Charlty Commission of England and Wales.
The prlnclpal Oblettives of the Charity is the advancement of the Chrlstian faith worldwide and rellef
of poverty.
Method of Appolntment or Electlon of Trustees
The management of the charity is the re5ponsibllfty of the Trustees who are elerted and co-opted
under the terms of the Trust Deed.
Organlsatlonal Strurture and Decision Maklng
The church is organised 50 that the trustees meet regularly to manage its affarrs. There 15 a part-time
Mlnlster and Volunteers, who manage the day to day admlnistration of the churth.
Related Party Relatlonshlps
RCCG- Santtuary of Power is a member of Redeemed Christlan Church of God IRCCGI whlch has
Parishes all over the wortd. The relatlon5hip 15 8overned by an 'A8reement for common purpose5.
between the parlshe5 and RCCG.
Development actlvltles and achlevements lft the year
The members who are with us have grown spiritually due to the varlous trainings they have retelved
especlally the Minlster5. During this 2022-2023 Chrrstmas, our Youth Department visited Queen
Eliiabeth Hospltal in Romford Ichildren Departmentl and made presentatlon of gifts to 51ck children.
Furthermore, Our Women Department vlsited Summerfield Residential Home in Romford wlth
Chrlstma$ gifts.
Our weekly attendance has continued to inttease and our need for a blg8er place Is now a matter of
necesslty. The short temi solution was for Lrs to have two services every Sunday whlch is qulte telling
on the pastors and volunteers. We believe that God will provide a 501utlon in the comlng year. We
have continued to en8a8e wtth our community through the six projects that we run for the beneflt
of the community. In order to reduce crime Incldent In the wmmunlty, Evan8eli5m was stepped-up.
We also do monthly Envlronmental Clean-up of our Community to the admiratlon of our
Nei8hbours. We had during the year organised projects for the need of the homeless and the
Beneral publlc brin8Sng together people to have some BBQ accompanied with music and bouncy
castle for the chlldren. The best part of this event is that we invite people who have been freed from
drug use to share their testimonies to encourage other5 to do the same.
Risk Pollcv
The Trustees have assessed the major risks to whlch the a)arity is exposed, particularly those
relating to the operations and finance and are sat15fied with the risk managernent systems in place
to mitigate any risk exposure.

Future development
We are hoping to establish a new parish in 2017 as we could not achieve this, this year as 0￿r bèby
parish still need5 SUPPOrting at this time. Our pursuit of acqurring a bigger place for the charty Is
now very vigorous as it is now needed. A bvilding commtttee is now in place, and they have
requested that a new bank account be opened to take all the building Mnds. 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 possibility of owning and running our own orphanage in the southern
part of Nigeria.
Revlew of flnanclal Posltlon
The net Incomin8 reSOur￿S for the year amounted to £-1,592.411 was £1,912)
All these have been unrestrltted reserves and no fund is allotted to restricted projects.
Reserve Policy
The trustees have established a pollcy whereby the unrestritted funds not committed or invested in
tangible fixed assets Ithe free re5erves] 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 activltles
of the church In the event of si8nificant drop in fundin8.
Prlnclpal F4tndin8
This is provided mainly through voluntary tithes and offerln8s by the church members.
Pledges are also taken for speclfic projerts.
Statement of Trustees. Responslbllltles
The Charities Att requires the Trustees to prepare financlal statements for each financlal
vear, which give a true and falr view of the surplus or deficit of the charity for that period.
Of the state of affairs of the charity and In preparin8 those financlal statement5, the trustees
are requested to..
l. Select sultable accountin8 policies and then apply them conslstently;
11. Make judgements and estlmates that are reasonable and prudent..
111. State whether applicable accountlng standards and statements of recommended prattice
have been followed. subject to any departures disclosed and explained in the financial
statement5,'
fv. Prepare the financial statements on the goin8 concern basis unless It Is Inappropriate to
presume that the charlty will continue in operation.
The Trustees are responsible for keeping proper accounting records which disclose wlth
reasonable accuracy at any time the financial position of the charity and to enable them to
ensure that the financial statements comply with the Charitie5 Att 2011 They are also
responsible for safeguarding the a5set5 of the charity an(J hence for taking reasonable steps
for the prevention and detection of fraud and other irregularitie5.
21Page

-.￿ m￿b￿￿& tsl ihe a?did vl Tiu¥r¢e5 who ieThvtl ttuJJnAthul
Mcsjisola Ak¢n¥or
cath*ineA￿Thuk* Qttumu¥Sw&
Imis resoit 4opfoveiJ h￿thE BoJrd o?Tiusie*s on tbp
OT.. Et..knSl￿f
-tPl.*F-I Aht 8oard olTIwpe5.

Trustees and other infomiation
The members of the Board of Trustees who served during the year were..
MoSisola Aklnremi
Kehlnde Ojediran
Catherine Atlnuke Odumuylwa
Florence Olufunke Akanmu
This report was approved by the Board of Trustees on the
signed on its behalf by..
and
Secretary to the 8oard of Trustees.

MOSES-BOLE & CO
INDEPENDENT EXAMINEWS REPORT TO THE TRUSTEES
EDE
Proi&%Sipnai Ac(LU.?tsr￿LSd￿d B￿SInesS
MartagementCorysultant5
I report on the accounts of the charity for the year ended 311sf March 2023. whrch are set
out below and notes to the financial ststements on pages 7 to 16
Respective responsibilities of Trustees and Examlners
As the Charitys Trustees. you are responsible for the preparation of the accounts: you
consider that an audit is not required for thi5 year (under 5ettion 144(21 of the Charity Act
2011lthe 2011 att) and that an independent examination 15 needed. It is my responsibility to
Examine the account (under section 145 of the Artl:
follow the proodures laid down in the General Oirections given by the Charity;
Commission (under settion 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 given by the
Charity Commission. An examination includes review of the accounting record5 kept by the
Charity and a comparison of the accounts presented with those records.
It also includes consideration of any unusual rtems or disclosures in the accounts and seeking
explanations from you as the Trustees Con￿rning any such matters.
The procedures undertaken do not provide all the evidence that would be required in an audtt
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 respect the
requirements
To keep accounting record5 in accordance with sertion 130 of the 2011 Act,.
To preparé accounts which accord wfth the accounting records and to
comply with the accounting requirements of the 2011 Act have not been met
or
To which, in my opinion, attention should be drawn in orderto enable a proper understanding of the
accounts to be reathed
Moses O E Igunnubole. BA (HONSJ FAI4 FCP4 FF4 AP
Managing Pt7rtner
MOSES-BOLE&CO
CPFA..
Churtered CertifledForensicAccountonts
Certified ProfessionolAccountontsnt7xAdvisers
And Business ChorteredMont7gement Consultonts
6)/
T&1/ +4410120 77042525 Emalti ￿￿)Ses￿￿￿LcTh￿ LwHous@8u4nessCetfft.Lknit 11
Fax/44 roi207354 2035 V*bi 436ES5EXR￿1L%hWtOn. L￿,￿7 3QP

REOEEMED CHRISTIAN CHLIRCH OF GOD[RCCGJ4ANCTUARY OF POVIER
STATEMENT OF FINANCIALACTtVlTIES FOR THE YEAR ENDED 31ST MARCN 2023
Notes
Re5tri¢ted
Un￿strIcted Endowmer
FuThJs
Funds
Funds
Prior
ye8r
Fund$
Tota
Fun(ts
ft•comrno*derf ¢a¢•yoYi•s by actlvlty
In¢omlMg r•¥ourc
Income and ondowmèrts from..
Donations an¢ ￿93￿e&
Tow
R•8our¢•¥ •xpènd•
Exp•ndlture 9th:
Direct Cost
Support Cost
GOve[n8n￿ Cost
Total
73.348.85
74318.85
73.348 85
73,348.8S
67.070
67,070
52,249 55
21.591.71
1.1￿.00
74,941.26
52.249.55
21.591.71
1.10000
74941.26
48,￿3
YS.724
M•t rnovem•nt In fvnd8
64158
-1692.41
-1S92.41
Rocon¢lJlation olfundsi
Total fvnds browhl forward
rotal iunth ¢arrr•d fonvard
1.912
16.793.78
15 201.37
16.7WJ.78
15 201.37
14,882

REOEEMED CIIRLSTIAMCHIJR¢II OFGOOIRCCGJ.SAwclliARV QFPOWER
81Lthck ShCET ASA T 3T4T ¥4PCK10i3
L#ii
l•p#t4 4¥4cts
rrlA'
IIC*Y67
t?M7r*7
CJip•.'bJp* 4-447*4r•J
14
44t3YJ
4r.3y4
421) 1•
l Jwtrj
. I
15211 JF
T4ts1
15W137
4i.J

REDEEMED CHRISTIAN CHURCH OF GOD[RCCGJ-SANCTUARY OF POWER
BALANCE SHEET AS AT 31ST WRCH 2023
ReStr￿ted
Nots8 Unrestricted income Endowman
Fur￿5
Fund5
Funds
Total
Ls$t
Ye8r
Total
Funds
Fixed assets
T£ngib* assets
Total lixed s$sels
12,087.67
12,087.87
12,087 67
12.087.67
8.929
8,929
Current as80ts
Cash at bank a￿d In hand
Total current 8$sets
4,213.70
4 213.70
4.213.70
4 213.70
8.965
8,966
Credttorn: amounts falllng due ￿thin o
Nei current assetsllliabilibesl
Total essets less current li8bilitie5
1,100.(K>
1,1CQ.00
1.100
3.113.70
4113.70
7,afjs
15.201.37
15,201.37
Creditors". amounts falling due after yf
Provisions for liabilities
16,794
Total net assets or liabl￿t￿$
Funds of the Charity
Unr&str￿ted funds
Revaluation reserve
Totsl funds
15.201.37
15,201.37
15,201.37
15,201.37
16,794
15 201.37
15.201.37
16,794
Signed by one or trustees on bahaw of all the tru5ts•5.'
Signature..
Date of approv81..
Print N8me'.

REDEEMED CHRISTIAN CHURCH OF GOD[RCCG]-SANCTUARY OF POWER
NOTE TO THE ACCOUNTS FOR THE YEAR ENDED 31ST MARCH 2023
No¢• 1 B•81* ￿ pr•paratlon
1.1 Ba818 of aceountlng
These a(*ourts have been p￿pa￿d underthe historical cost convention with items ￿C0￿nr$ed
at cost or Iran8aclion value unle58 otr*rwise Staled in the rele¥8nl notelsl to Ihese accounts.
The 8ccounts have been prepared in accord8nce with
' and with.
Stalernent of RecommerKled Pr8ctrrE' Atcounting and Reporting by Charpbes
preparing fvir accounts in ac¢ordance with the Financial Reporting Standard
8ppllcable in the UK and Republic of Ireland IFRS 1021 issu*J on 16 July 2014
the Fhancial Reporting SlaThYard applitrable in United lfjngdom 8nd Rewblic
of IreL4rh1 IFRS 1021
and Wlh th8 Charit￿S Aet2011.
' %trith'
The tharFty￿nStIfutes a Publ￿ benefft enlty8s defirÉd by FRS 102."
1.2 Golny etsncern
Consid•rf*g tho ste&dieveloflne(Jmlng resou￿+5￿ndthe￿ts8￿￿ numbwthe c￿￿ty15
a concern with no onyknoLvn Unfor￿0￿ ¢1￿Ul￿sta￿¢8
1.3 Chaffjge of accourfing polley
Thè accounts present a and lair view8rKI the actounbrKJ wliues adopted are those oulline(I
the note Wtih no change in policy
1.4 Changes to aCC•UknUng •¥tlmat••
No ch8nge& to accoun¥ng estimates have 0¢cUn￿ in the reporbng peric#113.46 FRS 102 SORPI.
1.8 M•tsrla• prfor y••r error¥
No m8lÈrial pnfrr￿ar errorhave klenlffied in the reporting KEriod13.47 FRS 102 SORPI.

REDEEMED CHRISTIAN CHURCH OF GODtRCCGJ-SANCTUARY OF POWER
NOTES TO THe ACCOU14TS IcoKnNUEOI FOR THE YEAR ENDED 31ST AIARCH 2023
Not• 2
Z1 INCOME
This standard list ofac£ounb"IvJ has teen ap* by ts Chathye￿pt fvr those ticknd No
'Wla". Where a dfverrt Oradd￿"0nal KW)Iw h85 been •Jcyt•Y then thts i5 dgtaikd in the t*)x b810w.
Rgcognltloh ￿ Ineom•
Th95e 4re induded in the St4tsment of Financol ISOFAI *then.'
. the chanty beC0rr￿ onlrtltyy to the resourt8S."
. more11(ety than not that the trustee¥ w￿1 r8t•rb* th8 rBstyJr¢•¥,' •rttJ
. the mongtary val￿ can bg me•S￿￿j **h 8uffKwrt ￿￿¥b￿ty.
A¢cownth¥ p•Jlel•s
l>ll••ttl
There ts no *acy durthg thi•
OrnTrt* and don•tl•n•
Grants and donat￿nS •r• inthtsj In SOFA I￿￿1 r•ecgnkn'on cntena 4r•
mot15.10 to 5 12 FRS 102 SORPI.
In tllo ¢ase of porferrnan¢e f•lAt¢d grnnls. incom? musi onty be re¢c¥Jnwd to the extent thwt th•
¢hanty h88 provideé th8 •pe¢rf￿d goods or $¢ThK•8 01 eAt￿￿onI to tm gr•nt onty th•
p•rtorn•ncg r81otsd Col￿tt*)￿ ore mot15.16 FRS 1tr2 SORPI
Ther• is no *cy duriw Ihr• port￿.
Oov•rnrn•nt ￿ntI
No goveMm8nl grant WA¥ p*trA.
T•x r•clalm• on d0nthtkn￿ •nd g1ft•
Glft Aid recewable ￿ IncliKJed In Ineome tlw• kn • vafKJ d•eLgr•Uon from Ihe ¢SJnor. Any Grfl
amount recov•r•d on • d¢)n8tton * consthrnd to te pfirt ￿ th8t grfl ond •¥ an •Jdltbn
to tho Some fun# as the inttwl ¢Jonation unkns thè olth& ¥ppe•l $F•>f*d
Th18 Is not ippllcab
Th1• Ja not Ippli¢8bt•
Don*t•d wwlcm •hd l•eMftI••
Donated $oryU$ 8nd faell￿￿# ar• indud•d in the 80FA twhon •1 valy• ¢rflh¢ gift to t
¢horty provrfed value ol the gfft c•n bo rn885UtsJ ￿liab
Donated servrc8s an(J faci1rt18$ thotar¢ c0nsuft￿d ar• recognw IB In¢Th an
equlvaleni amount ￿¢¥n￿ed •¥ an exww• underth the SOFA.
Support ¢o•t•
The charty has In¢u￿•d eywndlture on ¢￿ts.
Volunt••r h•lp
The vahJe of any voluntary h&* ff•c¢N8d va not In¢luded in Ihe a¢￿Ints but ra des*JW In the
trust8e$' onnual report.
Not applicab￿ during Ihi8 per￿1.

Income from mombershlp svbs¢rlplions
Trfthes and offering recewed from tho memb&rs aro in the nature of 8 gfft aro recognised a$ Don8tson8
and Legac￿$
settlen￿￿t of Insur4ncg clalms
Insurance claims are only in¢luded in the SOFA whon the ger￿[al income re¢ognilion Crilena are
m8t15.10 to 5.12 FRS 102 SORPI arjd are Included as an iten7 of other income in ttt8 SOFA.
Investmènt galm and 108M8
Thi8 includes any real￿e£l or unreali6ed gain5 or10$$68 on the sak of Investments and any gain or
loss resutting from revaluing investment5 to market vslue at th8 end of the year.
2.2 EXPENDITURE AND LIABILITIES
Llablllty re¢oynlti•n
Liabililles are ￿coun1Sed wh8r¥ it 1$ more likely than not thai there ts a legal or constwctwe ob1￿JabOn
comrnitting the ¢hafity to pay oul resources and the amount ofthe oblpJation can be measured with
r8a$onabLg certainty.
Gowernanee and support Costs
Support cgsls been allocated between governan￿ costs and other supwrt. Govert)ance costs
comprise all costs involving public accountabillty of the ¢hanty and its complpance wth regulation and
good practi¢e.
Support costs include c8nir81 fun¢tKsn5 and have been allocated to actfvty cost categorie5 on a bas1$
¢onsi51eni with the use of r&SOur￿5, eg allocating pmparty Costs by fioor arsas, or per rèpita. staff
costs by the tim8 $P&nl and other ¢osls by th¢ir usage.
Grants wlth perlomiance eondltltswd
The Charity i8 not awarding grant lo any org8ni5ation
Grant8 payable wlthout porforniance condltltsTrs
Wher* there are no conditions attaching to ttT6 grant that enabbs the donor charty to ￿alIStIcal￿
avoid the c￿￿Mil￿&￿t, a liability for the Tull funding oblvJation rnu$t be racogni$ed.
Rodundahcy c￿1
The charrty made no ￿und8n¢yPaYments during the reporting perbd.
Deferrèd IMcom8
No m8terial item of d8ferred income has been included In the ac¢ount5.
Cr•dltov*
Th6 ¢hanty has credrtors which are measur8d al setuement amounts ￿$$ any trade discounts
ProvFslons lor JlabJlltle8
A liability is measured on recoJnilion at its historical cost and then subsequentty me8$ured 8t the
best estimate of the arnounl required to Sett￿ th& obliq81ion ai th8 fepothng date
8asle IlnaRelal in•trument8
The charity accounts for ba$K financial instfuments on initial rsc0gnit￿n as per paragraph 10.7 FRS
102 SORP. Subsequent rneasurgment 1$ as per paragraphs 11.17 te 11.19. PRS 102 SQRP.
2.3 ASSETS
Tanylble flxèd 4s8•ts tor by charlty
These are caprtalised ifthey can be v5ed for morg than one year, and c051 gt least
They are valued at co$t.
The depreciatron rates and method$ used are disclosed in nots 14.

Intanglbl• Axed as8•ts
Yh8 chaTty h8$ intangible fixed assets. that ￿. noTrmoJ*teryaS8¢ts thatdo not hasp (thys
substanco but are Idontffjabk and are contmw bythe c*arty IhrDugh fxjstffj or ￿goI rghts. Tho
anKsrtisatiOTr fatss aTrl rneth￿ used 8re dr5ck>s8d in ncée 15 Try are v8lu&J zt &JsL
H•rttag• au•ts
The charty has heritaga a58ets, that ￿, r￿￿netary zssets th htst(W •tith. ¥uerrtlnc
technological. geophysNI orenvironwtsi qtsah￿s that are hekl and MaintsN￿j pnrK8palty for thoir
c¢nlr*uth'on lo kntr*48dsp and cutture. The rates and meiws i￿* as dis¢l)sed in not• 16.
awe valued at cost.
FiKed a5sth inve8trnents kn q￿)led 8hares. tradod ar￿ sin(lar inv8$tsnents art valwd at Initiil
at cost and subsequonty ai tsir Valuts Ilhwr mOrf¢01 valuel al yearend. Tho $amo treatment va
appl*d to unlisted h)ve¥tiMnts unkns falr ¥•lue corwt b• rr*•surad t*hich uso tt r8
mea$ured 8t cost bs8 Irnpaim￿.
Inve8tmonl$ ￿ld for re$8kn or their5akn ush arbj ca•h *llh a rn8￿rty dat•
of th th8n 1 mr are traated as cutrent auet in¥e51w
8tock* and w￿￿
Stocks forsak8 #S p4rt of noTreharrtab￿ trats arv rneas￿ at Jwirorcmt or r*t r•¥Th8¥bkn v81th•.
Good8 or $ervr8s pfovhaed as part of a charitablg acUvity ar• •t Mt r•aioabk• v¥lug
basod on the Se￿C0 potsnliol provN￿d by iterns of ¥l¢ek.
Woth in progfo$8 il V8luod at COSI •ny loro89th fom th* * IW to QCfJJr ¢)n the contr
D•btorn
Dobior% linclutting lrnd• ¢Jgbtorn ltrar* rK•Nqbknl arn rrwuW ￿ inth'al r￿￿rt￿n #i
$ettlemani amount 8ftar Bny trade d￿￿Unts or am¢wftt 4d¥anc•Y by c*4nty. Subs¢quMuy. t
81• rnoa¥iire¢ at tho cash or other ¢on•¥J¢T&kn eAP•Chd to ￿ r•£*￿.
C¥rr•fvt *•••t Inv•¥tm•nts
Th• charty ho1 has In¥estm¢nts whtth bl hohjl for w•f• or wndlftg th•lr ialo aThJ c•ih and eg•h
oquIv8lents wrth A matuAty d8to th than one Th05e irKIL*Ye ¢a$h on ¢Jepo8rt and c•sh
8quivaJ8nls wlh 8 m8tuNity dat• of than year W lor m￿￿￿tpUlF￿￿ r4th•r
m•91 ihort Itnn ca$h wnmthents 41 thoy fall due
They v8kJad At lair valuo gxceo W￿r0 Iw quAIty u ts•1￿ ffn•nct•l N¥trum•rt•.
POLI¢IE• ADOPTED ADDITIOW TO OR DIPFeReNT FHOAI Th08ft A￿¥5
Th•w 1$ no any Olh•r pttllc￿s •dopted

REDEEMED CTrIRl8llAII CHURCH OF GODtR¢C¢J4AHeTUARY OF pO￿A
MOTES TOTHEACCOUNTS ItONTIWUEO
tlof• 3
afkn¢orn•
FOR T￿EY￿AREMDE￿ gISTWH 2fy23
PA¢Jr
y•4r
FuTrd*
FuTrdA
TotBI
Punda
Fund•
Titho
0￿etingS
rhankgtyking
62,560.76
9,804 09
1.184.00
62,56Q.76
9.604 09
1.184 00
80.453
4.583
1.974
20
60
67,070
Afri￿￿ MI*￿0￿
TOTAL INCOME
73,348.86
73,348.8S
Oth•r

REDEEhlED CHRISTIAN CHURCH OF GODIRCCGJ4ANCTUARY OF POWER
IIOTES TOTHEACCOUNTS IcofrnNUÈDI FOR THE YEAR EIDED 31ST MARC112023
Anatysls of expendlture
An*lysl8 of
R•strfct8d
Unr88tr1ct•d Incomo Endow
Funds
Funds
FundB
Total
FLtndts
DIRECT COST
Worfd Evarwellstn Mwl
RCCG-Centr81 Offic8
HonouQrium-.Vis￿I￿j Minister8
Welfare
Semin8ts. COnfe￿n￿$ & Retreats
MItt￿try Advancèmenl
PaslDts' & Ministers'Allo¥vance5
Premises C051
Books. CDS and Tapes
Gifts & Donations
Zon81 Sub￿pilOnS
y8ar
Funds
1298.77
1,200.00
5(K).00
5,379 31
5,935.50
1.100.00
10,800.(K)
21,450.00
400.00
2,085 97
2.100.00
52 249.55
1,298.77
1.200.00
500 00
5,379.31
5,935.50
i.100.(h)
10,800.(X)
21.450.00
400 (N)
2,085.97
2.100.00
S2 249.5S
1,388
1,200
6,170
5,001
g(M)
10.800
19.800
325
2.750
5UPPOftT ¢08T
Telephone & Iniemet
Repairs an¢ mainten8nce
Pnniin9, Postage arKI Stauonary
ectlluty & Gas
InsLKance
Busin8$5 rates
Accomodalion & Travel Expenses
Refreshment an(J EniertainmÈn(
Training
Dep￿tIatiOn
Fuel, psrking & MolerEkpenses
Compul¥i9 & IT ExpeTr8¢8
Joumals & Periodicals
Sports ConiributiOn8
Cleanin9lSe¢uTrty
Zoom Expenses
Storage £4)enses
48.33S
74.99
450.00
775.71
426.05
1,033.56
6Sg.69
1.375.78
2,400.00
990.00
4,029.20
4.927.25
74.99
450 00
775.71
426.05
1.033 56
659 69
1,375 78
2,400.00
990.00
4.029.20
4.927.25
785
1.985
2,291
770
2.978
3,281
233
150
1.095.19
2.500.00
143.88
710.41
21 591.71
1,095.19
2,500.00
143.88
710.41
21 591.71
1,QOO
250
TOTAL EXPENDITURE
73.841.26
73.841.26
64,05B
12

REDEEMED CHRISTIAN CHURCH OF GOt4RCCGI-SAfrICTUARY OF POWER
NOTES TO THE ACCOUNTS ICONTINUEDI FOR fHE YEAR EPIDED 31ST IIARCH 2023
D•talls ol eertaim it•rns ol
5.1 Fee8 for Èxaminats"on of the accounts
Pleasa provide details of the amount paid fof any statutory ext￿1 scr￿1nY of accounts and
other sewtces provided by your independent examiw. Ifnothing was pald ptease enter ￿,
in the appropriate box{es)
GOVERNANCE COST
ThIB Year La•t Year
Independent examinevs f8es
Legal Fees {Filingl
Assurance seThices otherthan a￿lit of ind&pend8nt examfftati¢)n
Tax advisory lees
Other fee3 {for example". fin8n¢ial a¢kn"¢e. accounlan¢y sèrvi¢e8)-
paid to the independent eX8￿ner
325.00
125.00
325.(Kt
12500
650.IxJ

REDEEMED CHRISTIAN CHURCH OF GODiRCCGFSANCTUARY OF POWER
IIOTES TO THE ACCOUNTS ICONn14UEDI FOR ThE YEAR ENDED 31STIAIRCII 2Q23
Notè 6 Tanwble fixed as*•ts Le•8ehoW 4(rtor Ftsrnkur4 Flttlngl
buffdlrbgB
At oflhe
7*Jl*F
4.843.97
22,170.42
27.014 39
8￿.95
7.187.94
Disws815
TTrnsf8rn' IP&JorD8
At end olts yfrar
W7.91
.734.37
6.2 D•pr•Gl•tlon Iftwirm•nts
-BasJs
3420133
otcK V8h*o
h￿re6 8
Offlcé Eouipm¢nl
Cornputef Equi
25% Rethw Bats
2$% R•Jw¥vJ 8akn
R81•
At btyinnlry of tha >
DIspo8aL4
2.91324
15.17222
18,¢)B5.46
Irrwmwnl
Trnn*tsr5" c* D•Juca)
Atend of lh8
3,3•).53
4.029.20
3.55191
18.562.75
.3 N•t book
Not book Val￿91 ￿ téoknrlr¥ ofth•Yr.
N¢1 bxk aithe•￿ ofbh >
8.4 Imp•lm*nt
.930 73
I916￿0
6.99J.20
10.171.12
8.928.93
11Q87.67
rov8r8•1 of•n
6.6 R•¥alu•tlon
Iran 8Ctxiuntiro ￿m•lU11k￿)
thé•ffecth d•te0ft￿ NIA
tN* n•rn0flnd¢F•I￿ ¥•W, NIA
th¢ meu￿dI iF4￿J¥r￿] NIA
e4>51 mod
6.6 Oth•r d￿¢1￿UY••
fixed 8Mets and ￿ ¢apf0kn•￿ r•te WY. z WA
8JsetS
(rfil t}el*￿althO e￿$￿e andc￿r￿arTr￿
ty has restri(tsd bu8 LYth81 are a5 WA
14

REDEEMED CHRISTIAN CHURCH OF GOO[RCCGI-SANCTUARY OF POWER
NOTES TO THE ACCOUNTS ICONTINUEDI FOR THE YEAR ENDED 31ST MARCH 2023
Ntylè 7
Creditors and ac¢Th•lg
Please comp18te this note if thè chanty has any u8ditors or accwals.
7.1 Analysi$ of eredho
Amounts falling due
within one year
TP)is Y
ar La t Year
lknrount5 falling
due after more
than one year
This Year Las
Accwals and deferred income
Total
1,100.00
1,100.00
1,100.00
1.100.00
THERE Is NO DEFERRED INCOhlE DURING TrIIS PERIOD
15

REDEEMED CHRISTIAN CHURCH OF GODtRCc￿4ANCTUARy OF POWER
NOTES TO THE ACCOUNTS IcofvmNUEDI FOR THE YEAR ENDED 31ST hlARCH 2023
Note 8
Ca*h at bank and In h•
Thls Y•ar
C88h at bank and on hand
Total
Last Year
4,213.70
£213.70
8.9S5
8,965
16