CHRlS'f APOSTOLIC CHURCH
REDEMPI'ION CHRIS'I'IAN CEI+4TRE
52 MEADWAY ENFIELD
MIDDLESEX EIY3 6NX
CHARITY REG 1129511
FINANCIAL ,STATEIIrfENTS
FOR THF. YF.AR ENDED 31ST MARCH 2025

CHRIS'I, APOSTOLIC CHURCH
REI DEMPI'ION CHRISTIAN CENTRE
FOR THE YEAR ENDED 31ST MARCH 2025
LEGAL AND ADMINISTRATIVE INFORMATION
TRUSTEES:
Mrs Ogunsanya Olufunso (Chair)
Revercnd Olufemi Sanni
Mi. Jidemola Yisa Omolayo
Mi. Opeyeini Olawale Famurewa
Deaconess (Ms) Junnette James
SECRETARY:
Ms Bolakale Gl-ace Olatunji
CHARITY NUMBEIR,.
1129511
BANKF.RS:
METRO BANIC PLC
I SOUTHAAMPTON ROW
WCIB SHA
LONDON
ACCOUNTANTS:
DANIEL FAMOK & ASSOCIATES
ACCOUNTANTS & FtNANCIAL CONSULTANTS
UNIT 209, SECOND FLOOR
TUDORLEAF BUStNESS CENTRE,
2-8 FOUNTA YNE ROAD, LONDON
N15 4QL
CONTENT:
I. TRUSTEES, REPORT
2. STATEMENT OF FtNANCtAL ACTtvtTIES
3. BALANCE SHEET
4. NOTES TO THE ACCOUNTS

CHIUST APOS'foLIC CHURCH
REDEMP'fioN CHRISTIAN CENTRE
TRUSTEES, REI PORT
The Tiust¢¢5 hav¢ pleasure in submitting theii. report and a¢￿Unts foi. the yeai. ended 3 1st March
2025
Th¢ financial statements have been PlEpai'ed in accordance with the accounting policies set out
on i)ageE 5 to 9 and comply wit]) the Statement of Reeoniincnd¢d Pi'actice (SORP 2015) and the
applicable law.
Coiistitution ob ective5 and
oui. work
The chai'ity is constitutcd undei. a Constitution adopted 1st January 2008 and is a registered
Chai'ity numbei. 1129511
The objcctivcs of the Charity as set out in the Constitution are..
{a) T]ie advanccmcnt of thc Clii'islian faith and
Ib) Tlie rclief of persons wlio are in cundilio115 of haTdship or distress or who are aged, sick or di%abled.
(c) The promotioii of fulfilment of such othei. ch81'itable puryioses bcneficial to the commiinity.
The Tiust was involved in Chri%tian outreach programmes designed to inei'ease Christian
awaiciicss and.8picad the gospel of our Loi'd Jegus Chi'ist.
i-inci
al activities of the ¢h*ri
to
ether witli or
anisatioii of
Develo
ent activities and achievements In the
ear
Tl)e Ti'u.%tee8 21e pleased lo iepoit that the Church continued to be successful spii'itually by
ministei'ing to many people. The church has improved in Inembei'ship sti'ength ai)d is increasingly
reacliing out to t]ie cointnunity.
Risk Polic
The Ti"ustees have ass¢sscd the majoi. I'isks to which the T]￿st is exposed paiticularly those
relating to the operations and financc and are satisfied with the i'isk management system$ in
plac¢ to mitigat¢ tli¢ risk cxposure to the Charity.
Review of tlie fiiiancial
osition
Tlie net incoming iesouices for the yeai. amount¢d to a dcficit of £14,815 (Yeai. 2024 was a sury)lus
of £17,296) and all of wliich arc set against the unresti'icted i'eserves of tl)e ¢hai'ity.
Board of 'l'i'ustees
Tlie Ineinbcrs of t])e board of trllskes who serv¢d during tl)c financial yeai. were .'
Mrs Oglinsanya O]u￿ns0 {Chaii')
Reverend Olufemi Sanni
Mi. Opeyemi Olawale Famui'ewa
Mi" Ademola Yisa Omolayo
Deaconess (Ms) Junnette James
roval
Tliis rcport was giv¢
its behalf by'.-
I'ov
the board of tt'ustees on tile 30d) Janu81y 2026 and signed on
Secretary Ms Bolakale Grace Olatunji

INDEPLNDENT EI XAMINER'S REPORT
I'O THE TRUSI'EES OF
CHRIST APOSTOLIC CHUIICH
REDII MPTION CHRISTIAN CENTRE
CHARITY Tr4UMBER 1129511
FOR'I'HE YEAR ENI)LD 31ST MARCH 2025
I IEpoit on the Financial Stateinents of the Ti'ust foi. the yeai. ended 31 st Mai'ch 2025. which are
set out on pages 3 to 9 below.
Rf.SPECTIVE RLSPONSIBILII'IES ofi TRUSTEES AND XAMINER
The eliarity's trust¢es aiE respon%il?Ic foi. the pi'eparalion of the accounts. The chai'ity'q ts"ust¢es
consider that an audit 15 not I'cquii'ed foi" this yeai. undei. section 43 (2) of the Cl)ai'ities Act 2011
(The 2011 Act) and that an indep¢ndcnt examination is needed.
It is my responsibility to
examine the accounts undei. section 43 of the 2011 Aet,
follow tlie pi'occdui'es laid down in the geneial Dir¢ctions given by the Chai'ity ComEni55ion
[ undei. section 43{71(b) ] of the 2011 Act, and
* state whethci. pai'ticulai. mallcrs have come to my attention.
BASIS of< INDF.PENDENT EXAMINERIS STATEMENT
My exaiiiination wa8 cai'i'ied out in aceordance with tl)e get]eral DiiECtions given by the Chai'ity
Commission. An examination includes a I'eview of Ihc accounting iecords Icept by the Twst and
a conipai'ison of thc accounts pi'esejited with those i'eeurds. It also includes coiisideration of
any unusual items or disclosuiT in the accounts, and seeking exi)laDations from the trustces
concei'ning any such mattels.
The proccduiES undeil8ken do not pi'ovide all the cvidence ihat would be requii'ed in an audit
and consequently no opinion is givcn as to wlietliei. tl)e accounts present a'liuc and faie view
and tl)e report is limited to Ih05e niatteiE set out in the statement below.
INDEPENDENT EXAMINER'S STATEMENT
It) coniiution with my examination, 110 matlei. has come to my attentio
l} which gives me rcasonable cause to b¢lieve that in, any material respect, th¢ rcquirements..
* lo keep accounting records in accoi'dance witl) scction 41 of the 2011 Act. and
* to pi'eparc accounts whicl) accoi'd with the 8¢¢ounting recoi'ds and comply accounting
requirements of the 2011 A¢t havc not been mel. or
2) to
ic
n, atten
be i'eaclied.
uld be drawn in ordcr to enable a pi'oper undcrstanding
MRD.A.
AfNI
DANIEL FAMOK & ASSOCIATES
ACCOUNTANTS & FINANCIAL COONSULTANTS
UNIT 209 (SECOND FLOOR), TUDORLEAF BUSINESS CENTRE
2-8 FOUNTAYNE ROAD. LONDON - NI 5 4QL
30th January 2026

CHRIST APOSTOLIC CHURCH
RFDEMPTION CHRISTIAN CEN'I'RE
STATEI MENT OF FINANCIAI. ACTIVITIES
FOR THEI YEI AR ENDED 31S'I' MARCH 2025
Notts Uthrtstrifted Restricted
Funds
Funds
Total
2025
Total
2024
INCOMINC. RC4 SOURCES
liieoniing Resouicesfi'oiii geneiaÉedfuiids
Voluntary In¢oine
HMRC Gift Aid tax Irclai1Th8
liicopiiiiig Resoiipc¢3fpopJi Cliapilable Acliijilies
OtlieF' IiicoFPiiP?g Resoui ces
24,819
12,060
24,819
12,060
26,077
2,508
6,377
6,377
19,940
Tot411i)eomlng Resoui'ces
43,255
43,255
RESOURCES EXPENDED
Chui'ilable AcliviÉi£
55,109
55,109
30,404
Govei'nance cosls
2,960
2,960
825
Total resources e%pended
58,069
58,069
31,229
IYET MOVLI MF,NT IN FUNDS
(14.815)
(14,815)
17,296
RECONCILIATION OF FUNDS
Total funds brought forward
Total funds carried forward
4,712
(10,103)
5,127
5,127
9,839 (7,459)
(4,976)
9,839
Tlici¢ were no ieeognised gaÉns or los%es for tl)e year oihcr than thosc included in the Stateinent
of Financial Activities. All incoming resources attd resources expended deriv¢ from continuing
activities.
The notes on Pages 5 to 9 form pai't of these aeeounts.

CHRIST APOSTOLIC CHURCH
REDEMPTION CHIUSTIAN CENTRE
BALANCE SHEET AS AT 31ST MARCH 2025
Notes
2025
2024
IXED ASSETS
Tangible Fixed Assets
36,649
38,165
CURRENT ASSETS
Sundiy Debtois
Cash at Bank and in Hand
4,045
1,888
1,045
18,672
5,933
19,717
LESS CREDITORS:
Amounts falling due within one year
700
887
IYET CURRENT ASSLTS
13
5,233
18,830
CREDITORS:_
(Amounts falling diie after more than one yeai.)
(46,857)
{47,157)
TOTAL ASSETS LESS LIABILJTIES
REPRESENTED BY:
2025
2024
Resti'icted Funds
Uni'estricted Funds
A2
5,127
(10,103)
(4,976)
5,127
4,712
9,839
io
Approved by the Board of Trustee5 011 the 30th January 2026 and 5iglled on its behalf by .
Mi's Ogunsanya
ufunso (Chair)

CHRIST APOSTOI,IC CHURCH
REDEMPTION CHRISTIAN CEN'I'IiE
NO'rLs 'ro i'HE FIINANCIAL STATEMENTS
FOR THE YEAR NDII D 31ST MARCH 2025
I. ACCOUNTING POLICIES
Thc financial slalements have bccn prcpaicd in accordance with the accounting policies set out
in notes to Ilie accounts and coniply willi Ilie charity's ¥oveniinB docurnent, Ilie Cliai'ities Act 2011 and
Accounting and Repoi'iiiig by Cliarilies.. Sialemeiit ofReeointnended Practice {SORPI applicable to cliarities
piepaiing Ilicir accounts in accoiylaiice willi tlie Fjnartcial Reporling SlandaTd dpi)licdble iii the UK aiid R¢i)ubli
of Ireland published on 16th July 2014.
1.1 Incoming Resources
Volunta
Income
Income fi'om tithes and offei'ings collected are included in volunlaiy incoming resouttes whe
these al'e ￿¢¢Ivabl¢.
Other Income
Thcse cai?ii)I'ises othei. miseellaneous income and accounted for in the pei'iod in which it is
entitled.
Glft Aid Tax Rc
mcnt Claim
Tax repayments due from HM Revenue & Customs in respect of memberg, giving are included in
incoming iesources and restricted for building funds when received.
Cash flow statement
Tlic Charity lias lakeii advantage of Il)e exemption in financial R¢porting Standai.d No I fron] th¢
requirements to produce a cashflow statement on the grounds that it qualifies as a small chai'ity.
1.2 Resources ex
ended
Rcsour¢es expended are included in the Statement of Financial Activilics on acctual bases,
inclusive of any Value Added Tax (VAT) whicli cannot be recovei'ed. Certain expenditure are
attributable to spe¢ifie activities and have been in¢luded in thosc eost catcgori¢s.

CHRIST APOSTOLIC CHURCH
RF.DEMPTION CHRtSTIAN CEI NTR
NOTES TO'I'HE Tr'INANCIAL S'I'ATEI MEI NTS
CONTINUED
FOR THE YEAR NDED 31ST MARCH 2025
1.3 Tangible Fixed Assets foi. use by the ehai'ity and Depreeiation
Tangibl¢ fix¢d asset5 foi. usc by th¢ Chai'ity are stated at cost less depreciation.
Depreciation is calculated to wi'ite off the cost less estimated i'esidual value of fixed assets, over
theii. estimated useful lives on the following basis:
Equipment and Instum¢nts
250/¢ per annum.
2. CHARITABLE ACTIVITIES
2025
2024
Pastoral Allowances
Evangclism & Overseas Missions
Volunteers, Publicity & Media
Honoraria and gifts
Rent and Service Charges
Donations and Chai'itable Activities
Membei's, Welfai'e & Supports
Pi'inting, Postagc and Stationery
Utilities, Electricity and Heating
Financial Charges, Commission and Fees
Travelling & Motor Expenses
Insui'ance Premiums
Internet and Web costs
Hospitality, Refreshment & Events
Security, Health and Cleaning
Equipment Repaii. & Renewals
Depi-ccialion of fixcd asscts
Telephone & fax
6,582
7,198
4,535
960
8,059
12,744
3,733
299
207
105
2,494
182
1,911
7,192
1,903
445
2,531
50
3,345
323
2,516
3,349
183
637
2,480
420
289
2,021
809
30,404
362
3,130
241
584
1,516
2,180
55,109
3. GOVERNANCE COSTS
2025
2024
Legal and Professional fees
Accountsncy and Independent examinations
2,460
500
2,960
325
500
825

CHRIST APOSTOLIC CHURCH
DEMPTION CHRISTIAN NTRC
NOTEIS TO THE IIINANCIAL SI'ATEMEI NTS
CONI'INULI D
FOR THE YEAR ENDED 31ST MARCH 2025
4. NE'f MOVEMENT IN FUNDS FOR THE YFAR
2025
2024
The net movement in funds foi. the year is stated aftei. chai'ging..
DepiEciation of tangibl¢ fix¢d a55els- foi. use by tl)e cliai'ity
Accountancy & Independent Examinei s Fees
1,516
500
2,535
500
5. TRUSTEES, REMUNERATION
No Tivslee has had expenses reimbui'sed in the year.
There is no staff w1105c cinoluments exceeded £60,000 during the yeai.
6. TANGIBLE FIXED ASSETS
MISSION'S E
UIPMENT
TOTAL
2025
TOTAL
2024
LANDS & DEV & FIrriNGS
Cost .. As at 1st Api'il 2024
Additions during the yeai.
A5 at 3 1st March 2025
32101
63,112
62,631
481
63,112
32,101
63,112
Depreciation: AS at 1st April 2024
Chai'ged foi. the year
As at 3 1st March 2025
24,947
1,516
26,463
24,947
1,516
26,463
22,926
2.021
24,947
Net Book Value At 31st March 2025
r4et Book Value At 31st Mai'ch 2024
32,101
6,064
38,165
39,705
7. DEIITORS.. AMOUNT FALLING DUE WITHIN ONE YEAR
2025
2024
Sundry Debtors
4,045
1045

CHRIST APOSTOLIC CHURCH
REDEMPTION CHIUSTIAN CENTRE
NOTfi,S TO THF. FINANCIAI. STATEI MEI NTS
C.ONTINUEI D
FOR THE YEAR ENDEI D 31ST MARCH 2025
CREDITORS: AMOUNT FALLING DUE WITHtN OIYE YEAR
2025
2024
Othcr Ci'cditors
Acctuals
200
500
700
20(1
687
f187
9.CRLDITORS:
Amounts fallin
due be
ond one
ear
2025
2024
UK Business Bounce B2ck (BBL) Loans
46,857
47,157
The BBL loan is the British guaranteed loans gi'anted through UIC banks to support
businesses affected by the hain]ful effects of the Covid-19 pandemic. The BBL loans
are i"epayable over 60 months at 2.50/0 pei. annum (witli intei'est acci'ual and loan
repayments waived during the first twelve months). The Charity's BBL cui.rent status qye
behind scliedule and not fully perfoLThing in accoi"dance with its oi"iginal i"epayment plAn.
10. RELATED PARTY TRANSACTIONS
Tlie Charity has a very close iElationship with Pastor Yisa Olufemi Sanni, who is the father
of Mrs Roseline Abimbola Sanni-Ajose (a pi'ioi- yeai. tiustee). Pastoi. Yisa Sanni is the
Minister-in-chai'ge of the Chui'ch and has i'eceived the sutn of £4,931.60 as ministerial
allowance dui'ing the year ended 3 1st March 2025.
Pastor Yisa Sanni is on full time seivice to the church and his rninisterial allowancc was paid
at an arm's lengtli tL'ansactions and covcrs his local tt'avclliiig, telephone expenses and dry
cleaning of special robes t'equii-ed for the position.
11. UIYRESTRICTED FUNDS OF THE CHAIIITY
Unrestrlcted
TotAI
2024
Balance as at 1st Api'il 2024
Movement in the ￿ndS for the yeai.
Balance as at 3 1st March 2025
4,712
(14,815)
10,103
{12,5841
17,296
4,712

CHRIST APOSTOLIC CHURCH
RF,DF.MPTION CHRISTIAN CENTRE
NOTEIS TO THf. FINANCIAL S'I'ATEMEITr4TS
CONTINULD
FOR THE YEAR LNDED 31ST MARCH 2025
12. RESTRICTED FUNDS
rvlissions
Funds
Total
2025
Balance as at I st April 2024
Movement in the funds for the year
Balance as at 31 st March 2025
5,127
5,127
5,127
5,127
13. ANALYSIS OF NET ASSETS BF.TWEEN FUNDS
Unre5ti'icted Resti'lcted
Funds
Funds
Total
2025
Tangible fixed assets
Net C￿'rent Assets
36,649
5.127
41,776
5,233