REDEEMED CHRISTIAN CHURCH OF GOD-
[RCCG] CENTER OF JOY PARISH
Charlty REG.No: 1122987
TRUSTEES. REPORT AND ACCOUNTS FOR
THE YEAR ENDED 30TH APRIL 2022
MOSES-BOLE&CO
CHARTERED CERTIFIED PROFESSIONAL ACCOUNTANTS I TAX ADVISERS
& BUSINESS CHARTERED MANAGEMENT CONSULTANTS
Unlt 4L. Leroy House Buslness Centre
436 Essex Road, ISLINGTON
London
W13QP
Tel: 0207 704 2525

REDEEMED CHRISTIAN CHURCH OF GOD-
RCCG
CENTER OF JOY PARISH
CONTENT
TN*t••* and *41vi￿n
Tru•t••8' R•port
2&3
Ind•p•ndwt Examln•r'• R•portto th• Tnwt••8
stat•m•nt ol Fln•ncl•l Actlbrfll••
Not•• lonnln4 p•rt of th• Fln*n¢l•l 8t•t•m•nt
7t018

REDEEMED CHRISTIAN CHURCH OF GOD-
[RCCG
CENTER OF JOY PARISH
LEGAL AND ADMINISTRATIVE INFORMATION
Genaral overseer:
E.AAdeboye
Trustees:
Oluseun Aiibola Olubajo
Olufunsho Abolanle Adepoju
Adejare Moradeyo Adesanya
Olakunle May Oluwadare
Reg18tered Office:
6, Copperfield Road
Thamesmead London
SE28 8QB
Mlnister In Charge:
Pastor Olatope Adekahunsi
Treasurer:
Ovie Khator
Charlty No
1122987
Bankers
Barclays Bank PIC
93 Lewisham High Street
London
Accountants
MOSES-BOLE & CO
Certified Professlonal Accountsnts l Tax Advlsers
and Buslness Chartered Management Consultants
Unlt 4L, Leroy House Buslness Centre
436 Essex Road, Islington
London N1 3QP

THE REDEEMED CHRISTIAN CHURCH OF GOD- CENTRE OF JOY TRUSTEES
ANNUAL REPORT FOR THE YEAR ENDED 30TH APRIL 2022
Related Pa
Relationshi
RCCG Center of Joy is a member of Redeemed Christian Church of God (RCCG)
which has parishes all over the world. The relationship is govemed by an 'Agreement
for common purposes betw&n the parishes and RCCG mission.
ear
Devo10
ment activities and achievements in the
The church is beginniro to see its membership attendan￿ numbers back to the per
Covid days as we continue to experience increased new members joining the church
on a monthly basis. However. the church still carries on its Hybrid system of catering
for both online and in-church congregations.
Services currently been broadcasted across key platfoms - via Youtube, Fa￿boOk,
and Zoom application. This totally transfomed the way church activities were carried
out.
Developing and growing rts members and Workfor￿ remains a key priority with training
The church continues to focus on members spirrtual growth as a key priorty for the
church and continue to invest in various training and developmental programmes to
equip members, workers, and ministers of the church to deliver the church mission
and vision for the communrty and the nation at large.
More investment poured into preparing our youths to be better prepared for current
and future challenges.
Communl
Outreach
ramme
Activities during the course of the year includes -
Christmas Lunch with Jesus - every year as a charty we show Christ's love to the
community, especially with the less privileged where food hampers is shared ensuring
that many more people that cannot afford a good Christmas meal have one.
Christmas carol @ St James care home Dartford and the Pub - this activity is one of
the ways we put smiles on the fa￿S of many in the community as part of sharing the
love and joy of the Christmas season.
Carol service I Community church award - 2022 Carol service and award ￿reMOnY
to reward and celebrate the hard work of our teachers in the life of our children. The
award evening recorded a great tumout wth rnost of the invited school teachers of our
children in church turning up wrth their family for the events and they all have a great
time.

Risk Pollc
The trustees continue to assess the various risk facing the church, especially in the
area of church financial Sustenan￿ and continue to review and put measures in pla
to mitigate any of such.
Future Develo
ment
Work continues wrth other parishes in the RCCG Church to plant more churches with
the aim of fulfilling the goal of RCCG Global Mission worldwide.
Rèview of Financial Position
Our cash flow saw good improvement partly due to increased numbers of new
members and increasing commitinent of our members in their giving and contribution
towards church work. Also, the cost saving exercise implemented through the year
helped lower the Y-(>Y direct cost.
As the Cost of Living Crisis continues to affect many in the communty we are brazed
to help as many members through the crisis srtuation.
We anticipate COLC crisis and high energy cost could potentially affect the church's
cash llow and at the moment putting meaSU￿S in place to mrtigate any effect on the
church operations.
The Trustees will once again like to 8cknowledge the extra contributions made by
many members especially during challenging times of the year. Many members
contributed towards special projects and procurement of key materials and equipment
for the church as requested.
We continue to pray that Jehovah will continue to meet them at their point of need.
They will not experience shame or sorrow in Jesus mighty name. Amen.

REDEEMED CHRISTIAN CHURCH OF GODtRCCG]
CENTER OF JOY PARk8H- TRUSTEES REPORT
•¥ert of *rAkn*drcy
Irrn9ukgrhlos.
, iti .
Igmd ￿ N8 b•Wty.

MOSES-BOLE & CO
INDEPENDE￿r EXAMINER'S REPORT TO THE TRUSTEES OF
THE REDEEMED CHRISTIAN CHURCH OF GOD- CENTRE OF JOY
I report on the accounts of the charity for the year ended 30 APRIL 2022, which are set out below
and notes to the financial statements on pages 7 to 18
Respective responsibilities of Trustees and Examiners
As the Charitls Trustees, you are responsible for the preparation of the accounts; you
consider that an audit is not required for this year lunder settion 144121 of the Charity Act
2011lthe 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;
CommSsslon (under section 145151 Ib} of the 2011 Act and
State whether particular matters have come to my attention.
Basls of Independent Examinerfs report
My examination was carried out in accordance with the general direttlons given by the
Charity Commisslon. 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 dlsclosurÈs In the accounts, and
seekin8 explanations from you as the Trustees concernln8 any such matters.
The procedures undertaken do not provide all the evidence that would be requlred in an
audlt and consequently no opinion is 6iven 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 Examlnerf5 Statements
In connectlon with the examlnation, no matter has come to my attention:.
l} Whlch glve me reasonable cause to believe that in any materlal respect 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
21 To which, in my opinion, attention should be drawn in order to enable a proper
understandin8 of the accounts to be reached
Moses O E Igunnubole. 49A IHONSJ FAIA FCPA FFA CPFA
MOSES-BOLE&CO
FTA FIC...
Churtered Certified ForenS￿ACcOuntonts
Certified Professional A¢countontsnaxAdvisers
And Business Chortered Monogement Consultants
DA TE.. ITr 4f -2022
Tel. 444(0120770fj 2525 ErNAjl I rno5es￿?¢OiCCffj LwHwse BU%ne55CeMre,U￿t
Fax.'A4101207354Z035
".mop.s.b￿e￿(th 436ESSEX RoadWwwtth).LoTrdon.
30P

REDEEMED CHRISTIAN CHURCH OF GODIRCCG]<ENTER OF JOY PARISH
STATEMENT OF FINANCIAL AGTIVITIES FOR THE YEAR ENDED 30TH APRIL 2022
Restrict8
Notet Lthr6stA¢ted income Endowman
Funds
Funds
Funds
Prior
year
Funtt$
Tol
Funds
Inwme and end¢)wmeTrts from..
Don81ions and1og8c(ts
Total
R••ourcg• •xp•ttd•d
Exp•ndltMrn oni
Dlr8cl C05t
Support Cost
Governanco Co8t
Total
115,821.91
115,821.91
115 821.91
115,B21.91
111353
111,353
38.072.76
88,268.19
2 270.00
108,610.95
38.072.76
88.268.19
2,270.00
108,610.95
97,868
62.252
162,3
W•t mDv•m•nt In fund•
7,210.96
7.210.96
51,037
I1•¢•n￿N•t1l￿ ol
Vnr8slrthd Fund Brought Fotward
Nel Mo¥8menl of funds for th& y88r
Tot81 funds carrlod fonvard
22,201.52
7,210.96
29 412.48
22,201.S2
7,210.96
29 412.48
22.445
244

BAU4NCE SHEET AS AT 30Th APR& 2ff22
T￿1
FuThJs FUTr
FundB
Fl¥￿ ass&t8
TangIb￿ assgts
Totsl fixed a588ts
7.525.19
7.525.19
7.$25.19
12,242
12.242
Jrrent assats
Debto
C&sh at bank lft hgThJ
T(Aal current 888et8
12
30
2270
N8t as8•tsllU*lld891
21
T¢)tal n8t 888ei8 or (latlllle8)
Fund• ofth• Charlty
Unrgstrlctsd funds
Tot•1 lund•
12A8
S￿ned by one or
S*nabJro.'
Pdnl Narn•."

REDEEMED CHRISTIAN CHURCH OF GOD[RCCG]4ENTER OF JOY. PARISH
BALANCE SHEET AS AT 30TH APRIL 2022
Restn"(tsd
Total
Last
Year
Total
Funds
Fun(ts
Funds
Fund$
Flxèd assets
Tangible ass81
Totsl fixed assets
7.525.19
7.525.19
7.525.19
7.525.19
12.242
Current 88sets
Dabtcxs
Cash at bank and in hand
Total currenl a58ets
24.152.29
24 152.29
24 152.29
12,230
12,230
Credrtors.. amounts fallh)g due wllhln one,
2265.1Kl
2.265.C#)
2.270
Net ￿rront assètsllllabllitle8)
9.960
Total net assèts or Illablllt￿l
Funds of th• Charlty
Unrèstricl•d funds
Totsl funds
29 412.48
29.412.48
29.412.48
22,202
Slgn8d by one or trug1ts8 on bohamof *1 Ihg trust￿..
Slgnatur•'.
Dato of approval..
Prfnl Nam&'.

REDEEMED CHRISTIAN CHURCH OF GOD CENTER OF JOY PARISH
NOTE TO THE ACCOUNTS FOR THE YEAR ENDED 30TH APRIL 2022
Note 1 Ba*ls of proparatk
1.1 BMI• 01 •ce￿ntIng
Thwde ￿coUnt$ hav8 b88n Prep￿￿ under the h￿￿1G￿l ¢x)st ¢(￿¥6n1￿￿ itwns rwJnis•J
t Cost or transaction walug iJr18SS 01￿￿75e statod in th8 rdwdnl rKts(sl to Ih8se acc¥Junts.
Tho acwunts ha¥8 b8en propared In accordance wth Fironrial Stsndard appli(atAo
in the VK and Republic of InLond IFRS1021 tS8ued on 16 J￿Y 2014 aTrJ vffjlh ch8n.lias Act 2011
and th8 Charlty cor¥stilutes a putAlc t￿￿fil as dafined by FRS102.
1.2 Golnu ¢oDc•rn
1.3 Ch•nq• of a6￿￿￿11￿¥ •oll¢y
Tho accounts prè88nt 8 Iru• 8nd folr aThJ the Bc¢tyJW a&¥rt•J are thw ouU4n•l
th8 not8 vthh no in Fdlcy
1A Chang•• t• •¢Mumtlno ••tlm•t
No ¢haThJg¥ to attcthtlrs •sUmo1g8 cteurr•J In tho rgFatlThJ p*k*J13.46 FRS 102 SORPI.
I.S IA•t•rlal prfor y•w •vvorn
No mbtorfal prkrf >*ar or￿ have been idtntifi*J In the rwbr¥J p•1¢>J (3.47 FRS 102 SORP

REDEEMED CHRISTIAN CHURCH OF GOD CEKfER OF JOY PARISH NOTES
TO THE ACCOUNTS
CONTINUED
FOR THE YEAR ENDED 30TH APRIL 2022
Iloto 2
2.1 INCOME
This stsndar¢J bst0faco￿Th1lry rthfjs ha$ been bythe rt•rityex¢6rrtfor Ihos8 tirknl No or
"Nla". Where a drfferwrt or￿rt￿nal kK4icy ha¥ adok*ed Ij￿ thls Is In Iha ￿ b8kx.
R•eo9nltlon of
The8e ar& In¢lu¢th1 In lh8 Statsrnent of Flnathl A¢Uvth8 (SOFA)
. lh8 charty becornes 8nlid8d to th& resourr*s".
' it 1$ moro Ilkely Ihgn not Ihat b* Irustees will recwve Ih8 r88C4rn.' 9TrJ
. Ihg mongtsry vaw can bo m￿su￿a *llh wfflc*nt rdth"bty.
Oll¥•ttlng
Th8ra KB r8C8Ned durfThJ th15 Ferkd.
Or•nts •nd dw•tlott•
Grants and dOn8tT0￿ are only induded In tha SOFA th8 g8rnrBI inc4Jm• ty#•rfo •
met15.10 to 5.12 FRS 102 SORPI
In Ihe c888 of perlomarK8 reLg18d grants, br￿0￿ rmst b8 rwn15•J to Ihe ethnt that th•
charity has providod the spo¢ffi0(I gwJ8 or servKes as gnbtlemgntto thg grunt onlyttoJr5 thè
perf0mian￿ re18tsd condlluw are m¢t15.16 FRS 102 SORPI.
L•Bachs
rher818 Trj Wcy r8C8W durtThJ thIB F￿￿.
Gav•mm•nl yyants
Ng govgmment gr4Thts ha8 been
Tax r•¢l•lm• on dtsn•tl•h• o11ts
Gfft Ald ra¢olv8ble b I￿1￿￿8(1 In Incomo vknon lther• ￿ • ￿ld ¢Jedwakn fm Ihe doncrf. Ary Glft
amLwnt r￿0v0￿￿ on a donabon 18 o)nsthrod to bo Part of that grft and Is treBt8d as an addition
lo the 88m¢ fund 9$ lthl ¢onoJon Ihg twm8d thg app801 hav• *p￿fi•l
Contrnctu*l In¢tsm• *thd p•rfO1rn￿ r•l•t•d •rnnts
This is not apkl1c4￿0
Don•t•d oood•
Thi$18 nol 8Pt4i¢8N•
Don•t•d •••wl¢•• •nd l•¢lllll•
Donated s8NSc8s and f8CRI￿88 8r8 Indu￿￿ In the SOFA atth• ofthe gm to th•
charity prowded the value of the gift can be Mea￿ed rella￿y.
Donated 88rvic88 and r￿li￿eS thal are CL¥wmad Imm•J• 8ro rwxtyJnlÉ•J as an
eqUIv￿ent amount re￿nISe{la9 an apwopnate h••JiTrJ in tho SOFA.
Support co•t•
Th¢ ¢harlty h8$ incuffed eyp8n(Httwe cn
Volunt••r h•lp
The value of any volun*ry hglp recw k not In Ihe arLounts trmji * dè#¢rfbèd kn th•
trustees. annual reporL
In¢tsm• from Inl•r••4 roy•lll•• •nd dMd•nd•
Thi5 is indutled in Ihe wxwnLs rec*iFrt 1$ 8nd th8 WtKAJnt ￿1Vable Lxn b8 mliably.

Incomo momhevshlp *ubJcrlptlons
Tth88 arKI offering reth8d frrm th& rnmbars the Y•ttJr8 ofa gfft •0 rwiwsed as Lknticffj.
and L8ga¢ies
8•tll•m•nt al In•yrnn¢• dalm•
Insuran￿ c18iThs ar8 only includ8d in fv SOFA wtt8n the general incA)me rwJrMlion cxiteria are
t15.10 to 5.12 FRS 102 SORPI arxl are as an Item of other irt(*ne ITh Ihe SOFA.
Inv•¥tffl•rtt galn¥ •nd IOM
ThLs includes any ￿81￿￿ed or unre81ised the * ol ar¥J gein or
l¢)s¥ r85ulting from revahJiryJ Inv8stsn8nts to mawkelwug 8t Ihe oltts swr.
2.2 EXPENDITURE AND LIABILrriES
Ll•tslllty rncognltlo
Llabilltie5 Org recogn1s60 whe1• tt L8 rncrfp Ikety Ihan Ihatttwv ￿ a Wl orc•*truth ¢Jbl1Jgl￿
rnmltknng th8 charrty to p8y ¢rtJt reJwrt•s and th8 arnr¥Jnl 01t￿ obww c*n be m8a6uro¢1
r8a80nabb certalnty.
Oov•rnJn¢• and *upport ¢••ts
Support COSt$ have been allocai•d b8Mefffi •)¥wnaTrx cc4ts and others￿. ¢>)wmw ctéts
compnse all (x)8ts Invdvlng publlc actoUnta￿IIty oftha dwnty and fts CCffiF4i8n¢¢ t*llh r8wlabM
good practice.
Support COBts Irt1￿10 centr81 fvJncbDns aTrJ ho￿ W *¢8bJ to a(aMty cost catsg)riè¥ on 8 bgsis
consistent %*ith Mo of rosourcas, ry 8IKxab'ng ￿perty f•JJls tyllw8reo8. ¢x p¢rcapita, $taff
Costs by the tlme $pent and otw e0818 bylh8lr uwje.
Oran1* wlth p•rf•rnianc• ¢4)ndltl•n•
The Charfly Is not aw8rdirwJ grant to any Or9?￿sa￿
Whera Ih&r8 are no t￿)ndItiO￿$ 8tl8chiTrJ * thè grant Ihot enabksthg to r•AUs*"calty
8vcitd Ihtr commitmenL g Iiabilty lunthrMJ c*4yJon must b& recognised.
R•dumdancy ¢Mt
The ¢h8rty made redundorKy F￿￿18 durfNJ th• re￿9 p*knJ.
D•f•rT•d In¢om•
No matsiial ltsm of defeffed In￿￿? has bth) ITr￿￿ In 8cwJnts.
¢r•dltov•
The charity has cr•Jltor8 whlch arn rneav￿ 0t8d1l8r￿ amtyjnts arytrnde dI￿￿nIS
Provhlvn• IlablWe•
A118bllty Is meawred ￿ Tecognitknn 81 its hL$l￿¢s1 c*)st and Ij￿ 8ubsequ8nly [[￿￿ed attho
be$t 88tirnate of th8 wnount requlred to S8tUe the 81 the rycwbng
Ba•lc flnanelal kn•trnrn•nts
Th8 charrty ar￿j￿ts for basicfinanual irtytrUrn￿ts on knrfal fwration as pw para9rnph 10.7 FRS
102 SORP. subseq￿•t rn08wremwrt is 8$ P8r parwth 11.17 to 11.19. FRS 102 SORP.
2.3 ASSETS
T•nglblo flx•d •￿ts for by chmrfty
T￿s9 ar8 c8pitalised if Ihoy can b& u88d for Tnore than swr. aTrJ oJ*&tlg88t
They are valued al cost.
The d¢prea&tion rates ond meth¢yJs u88d Are dl8dc*l in 14.

Inlanglbl• ftx¢d
The charity has intangibl8 fixéd assets. that L8. Th)n-M￿813ry assets that do nrt tsve
substsnce but a￿ identifiable and are ¢x)ntr(ASed byth8 (4iaritythfwgh or b9al rights. The
a￿0￿.￿atr)n rata8 antt melhods us•J arE disdosed 15 Thay are walued at cost.
H•iltag• a*set•
The charity has hantagg ass8ts. that is non47yThtsry￿ts arbstic, 8dontific,
tsthnologic41. geophysical or enwronmental q￿￿1￿88 that are hdd ma￿t￿n&j prinopalty
ntribulK)n to knowWg8 8rrfl cufture. Thg dEwecipJth ratas rnefvds us•Y 8$ disd08ed in note 16.
Theyare valu&J at (x)st.
Inv••lm•nt•
Fixe<l asset inVeStr￿nts kn quotsd shares, Iwèjad ttrfK18 *rndar iiwesbwls are at InFtlally
8t cost and subSeq￿nIV atfairvalue Ilheir market valu81 al the yearend. Tho s8me tr￿trn￿t LS
appllèd to unlisted ¢nvestrnents unless lalr valuè canrK)t ￿ measut•J r￿￿btyln ca58 il is
moasured at Gost18ss imp8imienl.
Investments held fgr rosBIg ￿ P8ndlng ts￿r s•le and cash and r￿sh *1lh a rngttjrftydate
of18S8 Ihan 1 y88r8re tr88tod as wrront S$￿1 inves1rn8nts
8to¢k* and In progr•
Stc¢k$ held for 8418 a8 part ol nonrfhantsbb trade arv m•88ur•J at tha t￿81 orn& real1sat￿O valu•.
Goods or $orvi￿9 provided a5 part of a chartt8Èle [r￿re•l at n•t rndlsat40 VAIug
based on thg 8oNIc8 Potsntial promded by Items of sb>*.
Wob1( In pFogre88 is volu•d at CO8t Iw ¥ny lor?8￿￿ that i¥ ￿Y10 ¢xoJron th• ¢￿trac*
D•htov•
Debtors Ilncludlng tr*Se debtors 8nd I¢￿8 ￿e￿v81?￿l ar• rne8sur8d (m In￿al reu4nlllon at
settlement 8mount after any trèk discojnts or 8munt by Ihe eharity. Subsequondy. t
gro rn6asurad 8t the cash or othor to t• rec4¥*d.
¢umiDt ••*•t Inv•¥tm•nt¥
Thè ¢h8Nty ha$ h8$ Investmènts It for r88aK8 t*pgnthng theIr￿• cash and cash
equiv8lenl$ wlh a mabJrity d8to1883 Ihan one ￿r. Tl*se indLAl• c4sh on d9PC6rt c8sh
8quivaleTrt8 wllh a maturity dale ol ￿sS th•n c￿fr hold lorwN•sbx•nt PLvpc485 rth
m881 $hort lerrn cash ccxnmiknonts 88 tsylall duo.
Thgy gire valued al fair v41ue ox¢•pt tlw ou•1rfY￿ b*ic firnnciil irthm*ts.
POLICIES ADOPTED ADDIT1014AL TO Oft DIFFeAeiir FROM ANOVE
There 1$ rKI any other poll¢aes a#wteèJ.

REDEEMED CHR1871AN CHURCH OF GOD CEKTER OF JOY PAAISH NOTES
TO THE ACCOUNTS
CONTINUED FOR THE YEAR ENDED 30Th APRL 2022
Prlor
FurMI
Funds Funds
Funds
Tithe$ & Off&rfng8
BulldiNJ
Gfft Aid
Intresl Re¢th6d
Yotal
93.755.39
4.558.56
17,507.31
93.755.39
4.558.56
17,507.31
0.65
115.821.91
73,YJO
3.408
14.492
115021.91
91,401
Other- Gain w diskwl orf Veltr
T¢rt•l
TOTAL IIICOM•
115.821.91
11*821.91
92.901
Oth•r

REDEEMED CHRISTIAN CHURCH OF GOO CEKfER OF JOY PARISH NOTES
TO THE ACCOUNTS
CONTINUED
FOR THE YEAR ENDED 30TH APRIL 2022
An*¥l• of •Mpw￿l1uY•
Prfor
Total
Fund8
Furrth5
Ftsnds
Gfft Administra
Honourartum
St￿￿￿5 & AJkiw8rth 8ry1 Wag
Chc¥r, Key bo*d arKI MLBk Ew
8wks, Coy and Ta￿8
IJ25.80
1.488.00
t2,(WJJ.OD
9,gX).¢rtJ
113.19
1,439.11
3.889.16
2.1110)
4.745.50
1,488.(Kt
12.(￿.(X)
9.￿.(¥)
113.19
12,0
PAYEINIC
Otr*r Don81(xrfGfftI, Wewwa & F
EvaWLrym Mk88k)n
Afdcan m6s￿V0th￿r p*oh
3,889 16
2.172.(YJ
4.745.50
103
4.199
2.141
38 072.76
28,622
In•urarto
R•rt
Travel Exp•nw8
Bank cha￿
R•freshm8ni
D•pra¢￿t￿n
Elocthcty. GB&, Fud •Tr1 F
Sm8rt Ponsi
Fh)tor Expen88$ lknc4udknM ro*1 tsxl
CovK1 Exp•n8ai
Equpfftenl Exp￿80d
Rwalr6 ￿ rnolnionokK•
PW• •ThJ
1270.97
272J4
57.82427
1270.97
272.34
57.624.27
483.56
243.
363.37
5275.39
1.560.Tr)
1.559
871
47.638
105
5.275.39
75
5219
1.6WJ
1,543
207
1,7
218
C￿en1￿
3S0
-19
68.19
TOTAL eXPINDITURIi
IOB,341
,B74

REDEEMED CHRISTIAN CHURCH OF GOD CENTER OF JOY PARISH NOTES
TO THE ACCOUNTS
CONTINUED
FOR THE YEAR ENDED 30TH APRIL 2022
5 Fees for examlnation of the accounts
Please providè details of the wnount paid for any statutw e￿￿nal scrutiny of armhnts a￿1 otlw
S9Nices provided by your Inde￿ndent examiner. If N)thing vas paid please entsr V in the appropriata
boxlesl.
Th1• Yw Latsl Y•ar
OOVERNAMCE COST
Independgnt examin•rfs fees
L￿81 Fee8
Book.keeplng & A￿OUntrrt
920.00
¥20
Assurance 58rvie•s otherthan aLhJit ty Ind9F￿d￿nI axafflin•
Tax 8dv180ry feeB
70.00
13

REDEEMED CHRISTIAN CHURCH OF GOD CEPITER OF JOY PARISH NOTES
TO THE ACCOUNTS
CONTINUED
Yan¥lble fix•d asmts
FOR THE YEAR ENDED 30TH APRIL 2022
FLxtures
E4ulpm•nt&
Fiitfing5
Bulldlng
Vghfdo
Tolal
At th6 beginThno of the year
AddltJon$
52.191.93
52.194.93
Revaluauor
559.00
Diapos818
Tr8nsfers' or
At end oftre year
51753.93
6.2 D•pro¢latlon and InwirnJon¢¥
"Bs$15
8uildlngs
Fixwr88 & Filtir
Equipm6nt
Motor VohK4•
Compui¥r
52,753.93
5.45%
ghttino
Strathl L4
Str8ighl Li
Straight Lmg
Stra ht Line
25%
25%
At beginnlrs of tho
DIspoBals
Dopraclallcn
Irnp8trmont
Tran8fer8' (Add or Ded￿1)
At 8nd of tha year
39.953.35
39.953.35
527&39
5,275.39
45,228.74
6.3 N•t book valu•
N81 book v81ue at tho Wlnn*rvJ of thg Yr.
Nel book vgluo 8t tho end ofth•
0.4 Imp•1￿•￿t
••88 prevkle 8 dea¢hptkn of the •vwts rwnW
rever8al ofan 1rnp8￿t k48.
1.5 R•v4lu•iion
If an 8Gcouniing p￿￿V of revaluakn k 8dorled. Fl•aJ• wtykJ8".
Ihe 8fftsthg d8t• of*he rn¥*uwb'on a NIA
45.228.74
12.241.58
12.241.58
7 525.19
the nam• of kndepend•nt vduor. +fawic*bh= NIA
th• mèlhcé¥ awled 4nd fvYA
the carrying amouftt that been rec(w￿j had assets c•fvJ uTrJ¢rtt
¢08t model.
6.6 Oth•r dl•cknur
lil Pl&ase 6ts1e the 3mwnl o1borfry￿rya Iwls. rfany, oflawitle
fixed ￿1$ and the CaptaI￿tK￿ used. ¥ NIA
01} Please wovide Ihe amwnt of￿1>£￿1 (￿MI￿ne￿￿ ft¥ acqth fiyay
0588ts. = NIA
(Vil Oetall$ oftho oxi8t8nC8 and ¢8rrykng mnts ofproperty. rlant and eqwwb) tha
thadty h#8 r•strtcted tFtte or thgt ar* p￿ged as s￿lty k)r fiabilltses. = NIA
14

REDEEMED CHRISTIAN CHURCH OF GOD CENTER OF JOY PARISH NOTES
TO THE ACCOUNTS
CONTINUED
FOR THE YEAR ENDED 30TH APRIL 2022
Not• 7
Dobtors and pr•paym•nts
Pl88s8 complete this note rf lh8 charity h&8 any d8btOfS ￿ Prepawnts.
7.1 Analysls of d8btor8
Th1$ Year
Last Y•ar
Trade debtor5
Pr8payments and a(twed IncgJ)18
Other debtors
Total
Please cx)mplet8 7.2 where a material debtor is recOvera￿e more than a year after the reporting date.
7.2 Analysis of debtors recoverable in more than 1 year lincluded in detst￿$ above)
Thls Yè•r
La•t Yoar
Trade debtors
Prgpayments and accnJ8d incomg
Other dabtcffs
Total
15

REDEEMED CHRISTIAN CHURCH OF GOD CENTER OF JOY PARISH NOTES
TO THE ACCOUNTS
CONTINUED
FOR THE YEAR ENDED 30TH APRIL 2022
Not• 8
Cash at bank and In h•
Th18 Year
Last Y8ar
Short temi deposits
Cash al bank and on harKI
Other
Total
11,222.12
12.930.17
6,534
5,696
24,15229
12.230

REDEEMED CHRISTIAN CHURCH OF GOD CENTER OF JOY PARISH NOTES
TO THE ACCOUNTS
CONTINUED
FOR THE YEAR ENDED 30TH APRIL 2022
Not• 9
Cr•ditors and aC¢n￿lS
Please complete this r￿le if the thority has arhy credffi or 8c£nth.
Amounts falling
dL￿ aftar mor
than one year
This Year Last Yoar
9.1 Analysis of Cr￿ltOrS
Amounts falling due
vthhin one year
Th1$ Y•ar Last Y￿r
Accruals fw grants paya￿8
Bank loans and Ovefdrafts
Oth¢r Creditors
Total
2.265.00
2265.00
2.270.00
2.270.00
9.2 Doforrod Incom•
Please complete this note if Ihe charity has def8rrod IncLTh.
Pl8as8 gXF4aln the re88on8 why Irwme18 delerr&l.
IAovem8nt In deferred Incorne oc£ounl
Th1* Y•ar
Last Y•ar
Balance al the start of tho ￿pOrtIng perknd
Am¢)unts added in current period
Amounts released to in¢ome from prevl¢Ju$ pgrknts
Balance al the 8nd of the reF*Xtin9 pgric4J
THERE IS NO DEFERRED INCOAIE DURING THIS PERIOD
17

REDEEMED CHRISTIAN CHURCH OF GOD CENTER OF JOY PARISH NOTES
TO THE ACCOUNTS
CONTINUED
FOR THE YEAR ENDED 30TH APRIL 2022
Not• 10
THERE ARE NO ANY •lgnificant matt•rn whl¢h ar• not Gov•fod In othw notss and n•gd to
Included to provide 4 wop•r undwstsndlng of th• •ccounts.
18