THE REDEEMED CIIR15fiAN CNURCH OF GOD (RCCG)
UVING PRAISE SUNDERLAND
Charity Reg No: 1130145
TRusfEES' ANNUAL REPORT AND FINANCIAL sfATEMENTS
FOR THEYE4R ENDED 31 MARCH 2021
Pyl

THE REDEEMED (HRlStM CHURCH OFGOD IRCCGI LMNG PRAISE 9JNDERLAND
Reference and AdministrknvÉ f￿￿lIS
Trustees, Annual Report
Independent Examiner's Report
Statemertof Financial Actmties
Balante ShÈÈt
Note5tothe FinancÉal Slatem*its
io

THE REDEEMED CHR15llAN (HURCH OF GOD IRCCGI UVING PRAISE SUNDERLAND
REFERENCEANDADMINISTrATIVE D￿All5 OFTHEIILARirY. (ISTRU￿E5 &ADVISERS
FOR THE YEAR ENDED 31 MARCH 2021
TrI￿￿È$
Pa5tOf Adio LawTwce Fa&ba￿- Chairman
Dr Obiukwu Chieozie Iwuchukn
Mr Rotitni Matthew
Pastor EAMeFxrye
Pastor Wllson ￿ndaY Emezanena Eriioh
Pastor Musa Bako
Praise Hall
Pall￿n Road
Jrnjerland
Charity RewrtraI1￿ N
1130145
Independert Examiner
Ayoks Consulti￿¥ brnited
Ilntemational Accountant)
7th Ftoor
Banker5
6arclays Bank PJC
Chester Road BrarKh
135 Che5teT Road
The BalarKe
SuTrderl8nd
2 Plnfoldsireet
Tyneand Wear
SR4 7HP
Sheffidd
SI 2GU
Py3

THE REDEEMED CHRIStWl OIURCH OFGOD IRCCGI IMP￿ P￿￿SE SUNDERLAND
TRusfEE5' ANNUALREPORT
FOR THE YEAR ENDED 31 MARCH 2021
Thetrusteessubmitted their reFKJrt a￿￿the financialstatements of The ￿rIstian Churth of GCMI IRCCGI
liTr&ing Praise &Jnder1a￿ forthe year ￿ed 31 March 2021. Thetru5tee5¢0nfimied thattheannual ￿￿rta￿d
rirtancial of thecharitycoM￿Y vAth thecurrefttstatutory reqtsirem&￿of the charitygovemirvddocuments
and the Prow￿on$ ofthe 5tstement of RecLanmend8J Pracbce IYJRPI'AttoUrti￿¥ aNI Rern byCharitiÈs'
issued in March 2D)5.
STATUS
The chaTitywas constituted un¢Jer a Twst d￿& datd 4 May2(tfJ aTrJ Ès retsered in ￿and and Wajes wrth
charitynutnbw 1130145.
APPOINTMENTOR ELErnON OF TRUSTEES
Trugeesare dttted and ¢tropted uththetermsofthetrust(
ORGANIMnONALsfRUCTURE AND DEasioN MAXING
Thechariry isorganFsed in gKh mannerthat ￿Itsth?tr￿￿ee5to marw itsaffairL The PastorFn
Charge manages thetytrdaya¢Yminthaticffloftltethurth
RELATED PARTY RELATIONSHIPS
The charity 15 a parish of The RedeeMedChr￿roTrChurrh of God IRCCGI wlwch has paiishe5 all o¥erthewodd.
The tharity's relatiC>ftthipwithothgr RCCG parishes isg0ver￿ tryan Agreement fDrC0mff￿Th Purp)ses'.
PRINCIPAL FUNDING
Fund¢ng has been prowrded maintythrough tithe5 and offerires bychurch menknsastHell as&ftaid.
Fundingwas red￿ed for theyearurKler re¥iew duetotheCrMd-19 pandemicwhich necessitated restrictNe
me4suwto ¢ombatthe5pread. Me09J￿ like50aal distancing and limrtationson largegatherings made
members not to be phyg(ally wewt in churth.
We recetveda grantof £l.(M)O from SLmtsland Crty CwrKil to cuShi￿the eff￿t ofthe r￿￿e lo&$ and
to supportthèovethead expemses.
OBJEcfsAND ALTIWTIES
The printipal object ofthetrust isttE 3dvancemefft of thrisbanfaith VA￿￿1W￿3nd propaeatingthe Gospel of
ourlord and Sa¥ioUrj￿ (hri5L
The ch3rity,s5trategyforachie¥ingthe*obi￿i￿ in othto bwefftthe putJic isto ￿3th outthiouBh our
varioLS5 programmes and tharitswe octMbe5to the ofwr immediHtecommunity.tIE Cityof &Jnd¥land
nd 5urroundir¥town55uch 45HartEewd. Hettr￿ le Hols H(m¥ht￿ le5wingand Wa5hiWon.

THE REDEEMED CHRISllAN CHURCH OF GOD IRCCGI Uv1￿ PBAISE SVNDERLAND
TRUStEES'ANNUAL REPORT Ictytbnuedl
FOR THE YEAR ENOEO 31 MARCH 2021
REUGIOUSACTivinES
In the sprinEof 2020. the government re5trietion plated onthe 8atheriAg 0Fp2op1e￿a lockdovm ad¥erselyaffected
the ieliwou5 activitie5 of rrM)5tchurchES Ind￿[1￿￿ Rccfj Lrwng Praise&ttthdand.
The charitycondycied &JnthyWtsTship ser¥iees, midweek BÉblèTeathingsand Praw Meetingsto build up tk
faith of its rnernber5 and the people in the Commun¥ty￿rIualtyW[th ontythe P*ish PastoraThJ twovolunieers to
assiston thevirwal meeting5et u
Wea150 ofrdll4sed fewfaith rdated SeETHna￿ vIrt￿lIYY￿th￿t9jppr￿t ofseasorth minsttroffaith toguide
members of thethurth on Vario￿5￿5￿ of tsEChti5tian faith.
We partner￿ with fourothwchurches tr> set up a rewchrithan A8airst Povty ICAPI Debt Centre in the Ctty
of SundeFland. This vas aimed at supwrtingchristiall facingdebt challwge byprnMdinEne¢essarycounselling
In handlinEand easingthe debt burden. Wewerecommitted to a rnonthly contritKJtion of £ICK) towardsthis goal.
tapacities¥nthin thechurch 8roupsam¢wt vthich Éty1￿.
Men'sfellowship
women'sfellowship
Jouthfeltowsb.sp
Your*g ladiesfellowship
Mu&c rnIn￿try
ospitality ministry
Multimedia mirristry
child￿ ministry
UsheTing unit
Christian education ministry
STRATEGY
The charitywas a￿et0 athievefewof its objecthve5￿￿thlSfinanQal period byorBaniyryvariou5 eNEntsMrtually*
by variousgroups and departments in thechwch as merJtK)r￿￿ab
CORPORATE SOCIAL RE5PONSIBILtTY
Thetrust also engages in wmmunity and corporate xKtal resFw¢sibrlithe& k*me of the events and actwtbe5
organised annually bythethartty in the tommunrty Irdude: The MeTh's FelkJwsh¢p Conference. TheGood women
of inffluence Co{rferen￿. The G¢)EdenAge Fello4¥ship la mOntt￿y8et.together0f the5enioT CitiZW51 resident in the
community.
PAVETHE WAY PROJE
Thi5 15 H rnorithly project ernbarked w bythetnjst that in¥o1*5thedeaningupof owsurrounding area5 and
picking litter5 on the Street. Thi5 proje¢1 which has received recogn￿onfrOM the Counol wasaffected by the pondemic
Py5

THE REDEEMED CHRisnAN CHURCH OFGOD IRCCG} UVING PRAISE SUNDERIAND
TRUSTEES'ANNUAL REPORTICtsntinuedl
FOR THEYEAR ENDED 31 MARCH 2021
FAMILY PICNIC
Despitetheverywarm weatherof summer. thetTUSt couW Th)t rts communlty based ann￿81 farn1￿ pKnic due
to the I￿kdOWn Oc￿510￿ed bythe pandemi
CHRIStMAS ACFIVMES
The chaiityorganised a Christinas c3rol 5er¥ice on a l¢)w scaleduetothe government lockdown measure. The trust
volunteers parkncipated in sharing Christmas carts and hampws care Imies based in Millfield aml Pallion
communttyto spread the Christsnasjoy.
sTATEmE￿oF1RvsrEEs. RESPONSIBILMES
The charsty trustee5 are responsitAefor wep8ringtt￿TAlstees. Annual ReFQrt andfinancial statements in
accordance with applicable lawandthe United KIWM AccouMir*stsThYard5 (United ￿nE(hiM Genual
A¢ceptedAccountI￿ Pra￿lte).
The law applicable to charitres in England and Wales requiresthe truSt￿t0 preparefinancial ststements for
each financial yearwhi¢h give5 a true and fairview of the ststeof affair5 of thecharity and of the incoming
resources and application of resourcesof the charityforthat p￿10d. In Prepari￿thÈfinInClal siatements. the
trustees are reqviredto:
Selert suitable accounting poliues andthen apptythem
Observe the methods and principles in the Charities SORP;
Make judgernent estimatesthatare reasonable and prudent:
Prepare thefinancial statements on the goi￿(0n￿M basis sjnless Èt is inappropriateto presume thatthe
charitywill continue in 0￿ration.
Thetrustses retognise their responslbllittes to keep ￿coUnting f&(￿that &Lsclose with reaw*ble
accuracy at anytlmethe fJn3ncial posttion of the C￿rity enable them to ensure thatthefinancial
Statements COMP￿ withthe CharrtyAct 201L They are also respon%b￿f0r s3feguar(ling the assets ofthe
charity. heneÈtskir£ reaSona￿e$ter￿ forthe kyevention aThJ detection of frnud and other irregularities.
The appended financial statements have been yvepared onthe accnAI ba55and have been examined by an
independent examiner, whose report is a150 appended.
Approved by the trustees and signed on their behalf ty:
Name..
FyL(lo
Pogtion:
gnature:
Date".
Page6

THE REDEEMEDCHRISTIAN OIURCH OFGOD IRCCGI UVING PR￿SE YJNDERLAND
INDEPENDENT EKAMINER'SREPORT
TO THETRUSfEES OFTHE REDEEMED CHRisnAN CHURCH OF GOD UVING PRAISE PARISH
I reportto thetn￿eesOn ¥Tryexamination ofthe aCcO￿ts of The Redeernal Chrisban Church ofGfyJ IRCCGI
Liwne praise parish for the year ended 31 March 2021which i5set out on poge58- 12
RESPONsIBiullESAND BAYSOF REPORT
As the chartytrustees of theTTus4 are resFMJnsibleforthe preparation of theaccounts in accordarKe ¥￿th
the fequirements of theChaTttie5Act 20111'TheAtt"I.
I report in respeLtof rnye¥amypliDll oFtheTrust'saccountscarFied undet secbon 145of the 2011Att and in
tarryng rny examirwtl0￿ I havefollowed all the aFwtCa￿e Direct•)nsg¥¥en 1ryv￿OIa[tty CoTh[ni5￿0rt
under 14515llbl of them
INDEPENDENfEX4MIN£R'S STATEMENT
I have completed my e*2mination. I confirm that no material mattets have come to my attention in Conl￿On
with the eKamin*ion mecau5eto tdie4Ethatin anymaterial res￿.
l. accounting records were tmrt kept rn rw oftheTruAasrequired irySLttion 130ofthÈA¢' or
2. the accounrsdo Th)t accord with r￿ords.. or
3. the accounts do ￿t cornplywith apFAti3ble req￿rernents c¢xcemingtt* form and ofthe accounrs
set out in the Charitie5 IAccounts afid Reports) Regulations20D8 otherthan anyiEquirements thatthe
actout*t5 wve a'true and fair, View whith is ntsta Matt￿ cOn￿dered as p3rtof an indeperthtexamination.
I have no conwn5 and havecLXnÈ across rK* olher matter5 in connettion the examination towhich
attention Should be dTrwn in thts reportin orderto enable a WOPErur￿5￿a￿finB0f the accountsto be
reached_
Abiodun Akintebi FAIA
AY0￿ Consulting Limtted
7th Floor
The Balance
2 Plnfold5treet
Sheffidd
512GU
Pw7

THE REDEEMEDCHRtSTIAN CHURCH OFGOD IRCCGI LMNG pK4fsESUNDERLAND
srATEMENTOF RNANCIALACllVTllESFOR THE YEAR ENDED 31 2021
Funds
Funds
Total
Total
2021
2021
2021
2020
INCOMING RESOURCES
Ijonat￿nS. legaaes & ￿mIlar1r￿0rnlDg re50ur¢es
Activitie5 infurtherance of chairtrfsobiett
633Y)
63.950
72.504
18.216
other Income
5,930
Total Incoming Resources
72.317
79.757
96,651
RESOUR￿ EXPENDED
Charitable Expenditure
3.669
5,140
Managemert and GovemarKeCost
Total fles0￿r￿ Expended
63.777
83.283
67,446
88.423
Net IncominyJlOut8oin8) Resourcesforthe)Ear
4.872
1?.312
8.227
BALANCEAT BEGINNING OF THEYEAR
6.910
7.191
BALANCE AT ENDING OFTHE YEAR
IL782
9.436
21.217
15,418
p¢e8

THE REDEEM£DCHRWN CHURTh OFGOD IRCCGI LMNG PR￿ SUNDERLAND
BALANCE SHEYfASATYEAR ENDED 31 MAR(112021
2021
2020
FIXED ASSErs
Tangible Assets
17.064
23.325
CURRENT ASSETS
Debtor and Prepayments
Cash and bank balan
20.633
8.515
8,S15
20,633
SHORTTERM UABILMES
Tred[to￿ lamountfalling duewithin a ￿rI
116,4801
122.9351
NEf CURRENT ASSErs
4,153
114,4201
LONG TERM LLABILfflES
Creditors lamountfa11i￿ due aftèr morethan one year)
NEfkssErs
21,217
CHAAITY FUNDS
Unrestricted
IL781
9.436
21,217
6,910
1.996
Restrirted
8.905
Approved bythe trustees arKI $i￿d ontheir behalf by:
Name..
Positton..
Slgnature-
Date:
Page9

THE FIEDEEMEDOIRtW CHURCH OF GOD IRCCGI UVING P￿sE SUNDERLAND
NOTESTO THE ACCOUNTS
I. ACCOUNTING POLiaES
lal The accounts are prepared underthe historical c05tcortvention and in accordancewith applicablÈ
acounting stsndards. Theyfollow best practice as set out in Ihe Statement of Recofflmerthd Pradice:
Accounting and Rewt¥ngby CharitieslSORpI MaFth 2fX)5 a5 mtrjified for ynallercharitie5.
Ibl Income and exp￿1￿1r0 is accounted foronan acuuals b
Icl Fixed assets compTrse motor¥ehid4 fumitureand f1ttir￿ comwtereouii*nent and musical equipments
Tangible fixed assets are ststed at cost les5 (kweciation. Depreoation is prw¢Jetl at rates cakulated to
wrFte off thecost offixed assets le55 knrestimated residual value ￿th￿r e￿￿ted use4ul li￿On th
followin8 bases:
M￿{01 equlpmo
FurnilutE4nd fittirJ85
25% stra*htlin
25% straight line
25% straight line
25% 5tratBht line
Motorvehicle5
Idl un￿$tri￿￿dfijndS a￿ Incoming r￿UrCeS r￿e*￿EdfOrthe0bi￿0f the chafity withoutfurther sFEafied
purposeand a￿a¥ailable asgwwal fund&
lel Re4trtcted ftjnds are subJectto reStrt￿On thelre¥tvxkn impowj bythe1rdlm￿r￿
Fur¥15
Total
Total
2021
2. DONATrONS. LEGAaESANDSIMILAR
INCOMING RESOUR
Tithe
53.126
53.126
54.238
Offering
Thankswvin8
9y3
9.543
15.442
1281
1.281
2.824
63.950
63.950
72.$04
Funds
Tots5 Funds Total Funds
2021
2021
2021
2020
3. ACnVITIES IN FURTrIERANCE OF
CHARITY OB3Ecrs
Building F￿nd
Grft Aid
8,170
8.368
10.047
8,868
18,216
Pxelo

THE REDEEMEDCHRIStIATrl CHURCH OFGOD IRCCGI UVING PWSE SUNDERLAND
NOTESTOTHE ACCOUNTS
UnreAriCr￿J Re5triL*ed
Fund5
Funds
Totsl
Tottl
2021
2021
2021
2020
4. CHARITABLE EXPENDrrvRE
DonatioTr
1521
Hollorariurrj
950
950
7¢N)
Hotd & Accommodation
596
Wehie
957
957
Refreshment & Hosprtality
153
153
1323
3.669
5.140
Unre51ricted Restricted
Funds
Fund5
Total
Totsl
2021
2021
2021
2020
5. MANAGEMENT & GOVERNANCECO
WEM & COF
2.320
2.320
2.06D
IrtsuraTrce
S.672
5,672
5,658
AdminisÈrattve
L633
1,612
Prlntlng
91
91
Stationery & Postage
Profe55iDnal Fees
127
127
1?80
4211
4.211
Deweciation
7.010
7.010
4.621
Rent & Rate
lo.￿￿)
io.rA)o
13.460
R￿lfS & Mainienance
19,649
Staff C05t
26.387
26.387
24020
Telephone & Inte*
571
571
I,trJi
Travds
1.889
Training & 0￿401Th￿￿
273
273
1.329
Bank Charge5
991
991
T26
Utilitie5
2.031
2.031
1.247
63,777
63.777
83,283

THE REDEEMEDcHRts1￿N CHURCH QFGODIRCCGI LNING PRAISE 5UNDERLAND
NOTES TOTHE ACc(xj￿rs IConttTruedl
M￿ra1
Computer Furnitu￿ &
Equipment EquTprneAt
Fitbn85
6. TANGIBLE FIXED AS
Vehicle
Totsl
At l Apn"12020
34329
2.645
21,967
68.169
AdditionsdursnBtheyear
At 31 Marth 2021
750
750
34.329
9228
3395
21,967
68,919
At l April 2020
Charged forthe year
At 31 March 2021
17.709
5311
2579
18.745
4.189
1.209
1.392
7.010
51,855
21W8
7,020
20,137
Net Bookvalue
At 31 March 2021
12.431
2.208
595
1,830
17.064
At 31 March 2020
16.620
3.417
3.222
23325
2021
2020
7. CREDITORS.. AMOUNT FAIUNG DUEWTtHIN ONEYEAR
16,480
22,935
16.480
22.935
2020
RESERVE ICHARtTY FUNDI
Balance b/f
Incoming Reyjur
6310
1,996
13781
88.481
7.569
72.317
7,440
8.170
Expended Resource5
67.446
74.681
13,743
Priorperiod Adjustrrt•
8alanceclf
16.5131
6.910
11.781
9.436
1.996
Py12