Lharity number: 1136408
REDEEMED CHRISTIAN CHURCH OF GOD ('RCCG') THE crry OF GOD,
DARTFORD
TRUSTEES, REPORT AND FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 DECEMBER 2024

REDEEMF.D CHRIsfIAN CHURCH OF GOD ('RCCGI ryE CITY OF GOD,
DARTFORD
coFrrENTS
Page
Reference and administrative detsils of the clwity. its truste&s and advisers
Trustees, Rcport
Independent Examiners. Report
Statement of Financial Activities
io
Balance Sheet
li
Notes to the Financial Statements
12-17

RF.DEEMED CHRISTIAN CHURCH OF GOD ('RCCG') THE CITY OF GOD,
DARTFORD
REFERENCEAND ADMINIsfRATIVE DEfAILS OF THE CHARrrY, rrs TRusfEES AND ADVISERS
FOR THE YEAR ENDED 31 DECEMBER 2024
General Oversccr
PasLvr. E. A Adeboye
Trustees
Mrs. Adeyinka Adetola Ogunnaike
Pastor. Babatunde Adewale Sofowora
Pastor in Charge
Pastur Adetutu Sofoword
Charity Registered No
1136408
Principal Offi
193 Crayford Road
Crayford
IL)ndon
4HA
Accountants
Lighthall Consult
(Chartered Certified Accountants)
Unit 128 First Fl(x)r
415 High Street
LA)ndon
Ei5 4QZ
Bankers
Barclays Bank PIC

REDEEMED CHRISTIAN CHURCH OF GOD ('RCCG) THE CITY OF GOD
DARTFORD
TRUSTEL8' REPORT
FOR THEYEAR ENDED 31 DECEMBER 2024
The trustees have pleasure in presenting their annual repurt and the financial statements of The
Redeemed Christian ChuTcb of God ('RCCG') for the year ended 31 De￿rnber 2024. The T￿￿teeS
confirm that the annual report and financkal statements of the chuTd] comply with the Charities
Acts of 2011 and the Statement of Reeonunended Prdctice in accordance with the Financial
Reportins Stsndard for Smaller Entities (SORP FRS 102).
a. CONsrrrvlloN
The Church is constituted under the church governing document and registered on the 16th of
June 2010 with the Charity Commission with a charity registration number 1136408.
The management of the church is the r￿ponsibIlity of the T￿￿tees, who are co-opted
in accordance with the tern￿ set out in the church's governing documents. There were
no changes to the Board of Trustees during the year ended 31 December 2024.
However, one individual, named Kolawole Omooba, has been removed from the list of
trustees stated in this report. Although the charity had co-opted Kolawole Omooba. he
was never fornially registered as a trustee with the Charity Commission
New Trustees are edur ti
' andtrained in theirlegal obligations underthe charity law.
The Trustees are also Upuated on the decision-making pro￿￿es and current financial
performance of the tharity. Trustees are encouraged to attend appropriate external
training events which will facilitste their knowledge in their role. The Charity
Commission updates are also forwarded to Trustees when issued.
(L ORGANISATIONAL 8fRucfuRE AND DECISIONMAKING

The Church is organizcd such that the day-to-day running of the church has been delegated to
the Parish Pastor and assisted by a member who oversees the Finance and Administrative
functions of the charity. The Trustee determines the charity's Strategic direction and is
consulted on all material matters. Trustees meet formally when required to review the church's
operations.
To provide more stability and a sense of community, the trustees purchased the church
building, previously rented as a pernianent place of worship, on 21 February 2024 for a totsl
cost of £633,087.62. This cost is made up of the property purchase price of £630,000 and
other incidental cost of purchase of £3,087.62
e. RELATED PARTY REIATIONSIIIPS
Redeemed Christian Church ()f c￿)d -The City of God is a member of the Redeemed Christian
Church of God (RCCG), which has parishes all over the world. The relationship is governed by
an'Agrccmcnt for Common Purposes between the Par￿b¢S <ind the Central Office of the RCCG
in the United Kingdom.
The Trustees have thoroughly assessed the major risks and have systems in place to mitigate
them. Ensuring the church's operations and finances are safeguarded is crucial for its
stability and growth.

REDEEMED CHRISTIAN THE CITY OF GOD 

FOR THE YEAR ENDED 31 DECEMBER 2024 

## DARTFORD 

## **OBJECTIVES & ACTIVITIES** 

- The advancement of the Christian religion and faith for the benefit of the public 

- The furtherance of charitable works and the purposes of the charity for the benefit of the public community, as the trustees may decide from time to time 

It pursues these objectives through the operation of a centre for Christian worship at its premises in c/o 193 Crayford Road, Crayford, London, DA1 4HA and by programmes of events aimed at reaching out to the one-church together with a range of community-centred projects. 

## **PUBLIC BENEFIT STATEMENT:** 

The Trustees are aware of their responsibility to ensure that the activities and objectives of the Trust are charitable and benefit the public. In determining the best way to pursue these objectives, the Trustees have taken on board and its supplementary public guidance on the advancement of religion for public benefit. RCCG, The City of God, though a religious Charity, has core community-based projects and outreaches focused on benefitting the public and its immediate community. 

## **a. STRATEGIES FOR ACHIEVING OBJECTIVES** : 

- **Emergency Food Support** : The City of God contributes food items to the Dartford Food Bank to help provide emergency food and support to individuals and families facing crises 

- food insecurity in the community. 

- **Empowering Parents, Especially Mothers** : Recognising the importance of parental influence on child development, the City of God organises educational seminars and community events aimed at supporting and uplifting mothers. Events such as and are designed to equip mothers with knowledge and encouragement, ultimately benefiting the children they raise. 

6 



Supporting Chlldren with FAlueationa] thallenges: Through its annual event
"Unlocknng Your Tre<wres", the City of God provides tsrgeted support for children
experiencing educational difficulties. The event includes seminars and workshops
that help parents discover effeetive ways to nurture and support their children's
learning and development.
The City of God provides financial support to other charitable or%anisations and
Christian events.
b. VOLuwfEERS
The Charity deeply appreciates the unwavering dedication of its volunteer workforce. Their
contributions are invaluable and fonn the backlx)ne of many of the Chariws initiatives. While it
is impossible to quantify the impact of their efforts. the Charity ensures that volunteers are
supported through a structured training Programme. This Programme is designed to promote
their welfare, spiritual growth, and socioeconomic development, helping them thrive both within
and beyond their roles in the Charity.
The volunteers continue to provÉde an invaluable contribution in the following main departsnents:
Administration/Publication
Finance
Treasiiry
Men fellowship
Women Fellowship
Evangelism
Choir
Usher
Chil(Iren's Church
Youth Church
Hospitality
Protocol
Welfare
The trustee will allocate grants to other charitable organisations that share similar objectives with
the church. The church has committed to making an annual contribution to the central office of the
Rcdeem¢d cl￿1￿(1{*ll Church of God. Additionally, it offers support to congregation members who
are in need.

REDEEMED CHRIsfIAN CHURCH OF COD ('RCCGJ THE cfiYoF GOD.
DARTFORD
TRusfEE8' REPORT (￿ntinued)
FOR THEYEAR ENDED 31 DECEMBER 2024
There has been tremendous ￿wth in the physical and spiritual life of the church during the year
and in the advancement of the Christian faith in alr0rdan￿ with the doctrine set out in the
Statement of Faith as contained ID our governing documents. The chaiity continues to provide
financial supw)rt to other ckwities o￿ating within its obie(*s.
The charity also provides financial Sup1￿ to the Festival of Life Prayer event held bi-annually in
the UIL
The have a strategic plan to build up a general reserve that is supw)rted by liquidity for
the future. This will enable the Charity to be in a sound financial position to continue meeting its
financial obligations and be ￿￿ltiOned to ￿ntinUe to deliver its charitable objects in the
long terni.
The eharity continues to explore ways to ewangeli* effectively by raising its proffle and gettlng
more involved in the a)mmunfity. The charitys Mem1￿bIp has grown and continues to grow and
develop its members to make a tM)Sitive impact OD the o)n]munity
The clwity has achieved and aims to (x>ntinue to achieve the following in the near ￿tllre.
Furtheranc£ ofthe Go￿]
Shepherding the people of G
Organising seminar8 and (X)nferen￿Sto emtx)wer ￿eM￿rshIp ofthe church &eommunity
Getting members of the thurch involved in effective lay ministy.

The Trustees are responsible for preparing the Trustees, report and financial statements in
accordance with applicable laws and regulations.
Under charity law in England and Wales, trustees are legally required to prepare financial
statements for each financial year that provide a true and fair view of the church's financial
position and its surplus or deficit for that perio(L These .statements must comply with the format
and content prescribed by regulations and be accompanied by a trustees, annual report, which
()iitlineg the ehureh's activities, achi¢vcments, and public beiiefii delivery..
Select suitable accounting policies.
Make judgments and estimates that are reasonable and prudent.
Prepare the financial statements on a going concern basis unle&s it is inappropriate to
Presume that the church will continue in operation.
The Trustees are legally responsible for maintaining proper accounting records that accurately
reflect the financial position of the church at any given time. These records must enable the
Trustees to ensure that the financial statements comply with the requirements of the Charities
Act 2011. Furthermore. the Trustees are accouutable for safeguarding the church's a**bets and
must take reasonable steps to prevent and detect fraud, financial mismanagement, and other
irregularities
The Trustees approved this report on -
and signed on its behalf by
Mrs. Adesinka Adetola Ogunnaike
Mr. Baba
nde Sofowora

REDEEMED CHRISTIAN CHURCH OF GOD I'RCCG,) THE CITY OF GOD
INDEPENDENT EXAMINATION REPORT:
We have examined the state.ment of financial activides, including income and expenditure and
balance sheet for the year ended 31 December 2024 on pages io and ii. These financial statements
have been prepared under the accounting ￿)lIcieS set out therein and the requirements of the
Statement nf Recommended Practi￿ in accordance with Financial Reporting Standard for Smaller
Entities (published September 2016).
The responsibilities of the Trustees for preparing the Tr￿￿tees, Teport and the financial statements
in accordance with applicable law and the United Kingdom Accounting Standards (The United
Kingdom Generally AC￿pted Accounting Practi￿) are set out in the Ststement of Trustees,
responsibilities.
The Trustees have considered that the audit of the financial statements requirement under section
144(2) of the Charities Act 2011(the 2011 Act) does not apply.
We have been appointed under section 45 {3) of the Charities Act 2011 and report under section
156 of that Act. It Is our responsibility to independently examine the accounts, without perforn]ing
an audit and report to the Trnstees.
This report is in respect of an examination carried out under section 145 of the Charities Act 2011
and in aecordance with the general Directions gtven by the Charity commissione￿ under section
145 (5) (b) of the 2011 Aci. An examination includes a review of the accounting records kept by the
harity and a comparison of the accounts presented with those records. It also includes
consideration of any unusual items OT disclosures in the accounts and seeking explanations from
the 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 -
statement below.
4 fair, view. and the report is limited to those matters set out in the
Based on our examination. no matter has eorne to our attention that gives us reasonable cause to
believe that in any mateiiaI respect accounting re(x)rds have not been kept in accordance with
section 130 of the Charities Art 2011, or that the accounts pr￿nted do not accord with those
records or complywith the accounting wuirements of the Charities Act 2011. No matter has come
to our attention in connection with our examination, to which, in our opinion, attention should be
drawn to enable a proper understanding of the ac(rJunts.
Signed by.
Lighthall Consult
(Chartered Certified Accountants &
Tax Cunsultants)
Unit 128 First Floor
415 High Street
London
Ei5 4QZ
10

REDEEMED CHRISTIAN CHURCH OF COD ('RCCG') THE crry OF GOD
DARTFORD
STATEMENT OF FtNANCIALAcrIvrrIES
(Incorporating Income and Expe.nditure Accounts)
FOR THEYEAR ENDED 31 DECEMBER 2024
Restricted
income
funds
Elecommended eategories by activity Notes
Unrestrieted
nds
Total funds
2024
Prior ye
funds 202
Incoming resources
Income and endowments from:
Donations and legacies
"haritable activities
)ther
rotal
122,864
33,906
156,770
281,911
15,845
1.fj,8
06
28
Kesources expended
Expenditure on:
"haritable activities
ieparate material item of expense
)ther
io
97.748
97,748
136,214
180
rotal
180
2,160
loo,
28
loo
74
.¥et income/(expendiknre) before
investment gains/(losses)
Vet gains/losses) on investments
¥et income/(expenditure)
Extraordinary items
.¥et movement in funds
37,781
33,906
,687
144,756
781
06
1,687
14
37.781
33,906
71,687
144,756 fr
Lleconciliation of funds:
rotal funds brought foThrard
rotal funds carried forward
172.406
210,187
69
676
212,1
283,863
67,
212,1
19
All disclosures related to the. c.ontinuing operations. There are lio rccognised gains or losses
other than those disclosed above.
The notes on pages 12 to 17 forni part of th&se financial stateme.

REDEEMED CHRISTIAN CHURCH OF GOD ('RCCG? THE CITYOF GOD DARTFORD
BAIANCE SHEET
AS OF31 DECEMBER 2024
2024
2024
2023
KED ASSETS
Notes
2023
Igil)le Fixed knets
12
676)T73
12,870
676J773
12.870
Itors: a￿Ollnts falling due within one year
h at bank and in hand
28
20
28,673
EDITORS:
205,965
)unt falling due within one year
266
1&407
unt falling due after one year
199,305
kRITY FUNDS
ricted funds
stricted funds
73.676
39,769
210
06
28
66
The financial statements were approved by the Trustee5 on -
and signed on their behalf by
Mrs. AdeyiR]ka Adetola Ogunnaike
Mr. Babatunde Sofowora
12

REDEEMED CHRisfiAN CHURCH OF COD ('RCCG') THE crry or GOD
DARTFORD
NOTES TO THE FINANc￿E sfATEMENrs
FOR THE YE4R ENDED 31 DECEMBER 2024
1.1 Basis of preparation of financial statemcnts.
The accounts have been prepared under the historical cost convention and in accordance with the
tatement of Recommended practi￿ in accordance with Financial Reporting Standard for Smaller Entities
Accounting and Reporting by Charities (SORP FRS 102) published 31 March 2018.
1.2 Fund aecounting
General funds are unrestricted funds that the Trustees may use at their discretion to support the overall
objectives of the c.hiireh.
Designated funds are also unrestricted but have been earniarked by the Trustees for specific purposes.
Restrietp.d fiinds are funds that must be used in line willi ?ppeeific conditions set by donors or raised by the
church for specific purposes. The costs &ssociated with raising and administering these funds are charged
directly to the relevant fund.
1.3 Income and Endowments
All incoming resources are recognised in the Statement of Financial Activities when the church becomes
legally entitled to the income. xnd the amount can be measured with reasonable dccuraey.
Gifts in kind donated for distribution are recorded at their valuation and recognised as income when they
are distributed to the projects. Gifts dollated for resale are reeognised as income when sold.
Donated facilities are reeognised at their value to the ehurch¥ provided the value can be reliably measured
and the cost is borne byathird party. No amount is included in the financial statements for services provided
voluntarily by ehureh members or other volunteers.
1.4 Expenditure
All expenditure is recognised on an accruals basis and is categorised ullder expense headings that group all
costs for allocation to activities. whe￿ costs cannot be directly attributed to specific actiNryties, they are
allocated based on a method Consistent with the usage of the resources.
Support costs are those incurred directly to support the Church's objectives, induding project management
activities carried out at Headquarters. Governance costs are those Telated to the administration of the
Church VAnd ensurillg wmpliance with Constitutional and statutory requirements.
13

REDEEMED CHRisfIAN CHURCH OF GOD ('RCCG') THE crrYoF GOD
DARTFORD
FOR THEYEARENDED 31 DECEMBER 2024
1.5 Tangible Fixed Assets and Depreciation
Tangible fixed assets are stated at cost le&8 depreeiation. Depreciation is provided at rates Calculated to write
off the cost of fixed assets, I￿S their estinmted residual value, over their expected useful lives on the
following basis.
Office and Church Equipment: 25% straight line
Furniture & Fittings: 25% Straight line
Other Equipment: 33.3% straight lille
i. Income and endowments from:
Restricted Unrestrirted Total
Fimds
Funds
Funds
2024
2024
2024
Total
2023
Total income and endowment
Donations
06
100
2. Donations & Other Lega¢ie8:
Planned giving (Bu￿dIng Fund)
Income tax reeoverable- gift aid
Collection at all services
Totsl
2024
2023
32,910
43,689
20
12
21,906
281
li
Other Ineome
Total
Totsl
2024
2024
2093
Rental Income
Interest income
15,000
,000
14

3. Charitable Donations to Institutions
Restricted
Funds
Unrestricted
Funds
Tot21
Total
Funds
2024
2024
2024
2023
Charitable donations
26,06
4. Illst of Institutions Donations Payable
.Vame of institution
Donation description
2024
RCCG- Central, WEM and Area Offices
Advancement of the Christian faith worldwide
22,872
Ikssions and other Churches
Advancement of the Christian faith worldwide
3,192
3,196
28
5. Expenditure by Charitable Activity
Restricted Unrestricted
Funds
2024
Total
Funds
2024
Total
Funds
2023
2024
Advancement of Christian Faith
26,064
26,064
28,724
26,06
28
6. Governanee Costs
Restricted Unrestrieted
Funds
Funds
2024
2024
Total
Funds
2024
Tviul
Funds
Accountants, remuneration
180
180
15

7. Dllrel￿ Costs
Basis of
Ajloeation
Advancement of
Christian falth
2024
Totsl
Totsi
2023
2024
Visiting speakers, expenses
We]fare
Conferenees
Health & Safety
Children & Teen church costs
Mothers club costs
9,400
3,900
9,400
3,900
13,805
420
663
1,869
240
716
1,711
240
716
1.711
Actu
Aetu
Actu
600
16

8. Support Cost
Basis of
Allocation
Advancement of
Christian faith
2024
Total
Total
2024
2023
Entertainment, hospitality
Hall and Chair Hire
Communication
Advertising and publications
Repairs and maintenance
ures & Fittings
Travelling expenses
Insurance
Printing? Postage & stationcry
Salaries & Wages
Office Admin
Bank charges
Rent and rates
Premises Cost
Mortgage Interest
Consultancy Fees
IEgal and Professional Fees
Media
Instrumentalist & music expenses
Depreciation
Actual
4,147
4,147
7,331
Actual
Actual
Actual
Actual
Actual
2,445
2,445
1,965
3,017
3,717
70
3,717
70
220
210
210
iio
iio
73
Actu
1,910
1,910
1,570
23
Actual
Actual
4,500
580
283
0.21
283
Actual
Actual
11,921
8,492
986
11,921
8,492
986
43,032
Actual
Aetual
Actual
Actual
Actual
Actual
4,410
2,955
720
720
2,310
13,265
4,882
17,900
2,784
17,900
2,784
55,693
5,69
90,1
9. Expenditure on Charitable Activities
ACti￿tieS
undertaken
directly
2024
Donations to
advance
Christian faith
2024
Support
eosts
Total
Totsl
2024
2024
2023
Charitable donations
Advancement of Christian faith
26,064
26,064
71,684
28,724
107,489
15,991
55.693
26,06
17

Total
2024
Totsl
2023
2024
2024
Charitable donation8
Advancement of Christian faith
26.064
26,064
28,724
io
io. Net Income/(Expenditure): Thi8 is stated after Cha￿IDg depreciation of tsngible fixed assets,
premises cost, and accountants. remuneration
This is stated after charging
Depreciation of tall￿1)Ie fixed assets and premises costs
Accountants, remuneration
2024
2023
4,882
180
Dllring the year, no trustee received any remuneration.
During the year, no trustee received any benefit in knnd
During the year, no trustee received t￿Y reimbursement for expen8e8
ii. Fixed A￿ts
land &
Buildin
Equipment
2024
and equipment
2024
Fittings Totsl
2024
2024
Cost
At i January 2024
Additions
At 31 December 2024
11,442
088
088
34943
3,182
46,566
Depreclation
At i January 2024
For the year
At 31 December 2024
182
1,092
28￿94
1,193
30,679
800
60
Net Buok Value
At 31 December 2024
088
At 31 December 2023
io
88
18

12. Creditors
Amounts falling due within one year:
2024
2023
Aecruals
Accrued Mongage Interest
12,280
86
266
6,660
Amounts falling due after one year:
2024
2023
Mortgage repayment
40
17
407,
14. Funds of the Charity
Unrestricted
Funds
Restricted
Funds
Total
Fund21
Total
2024
2024
2024
2023
At i January 2024
179,119
39,769
218,888
74,132
Surplus/Defieit for the year
37.781
33,906
71,687
144,756
At 31 December 2024
216
00
218 888
19