RCCG DOMINION ASSEMBLY Trustees Annual Report for Year Ending March 2025 (Re8iStered Charity Number- 11376071 Tel: +44 1512611577 Mobile: +44101785 316 9818 Email: rcc dominionliver ool hotmail.co.uk Webslte: vMw.dominionassembl .co.uk
Legal and Administrative Information Governing Document Trust Deed (signed Ilth October 20091 Registered Address 2B Gloucester Road Liverpool L6 4DS Senior employees and other senior voluntary staff Pastor Chijioke Ikerl I Pastor Christiana Ikeri Deacon Emmanuel Shotala Deaconess Kemisola Shotala Deacon Samuel Olayemi Ganiyu Deacon Omolara Koiki Deacon Kehinde Abolarin Deacon Augustine Sunday Deacon Abayomi Orebiyi Sister Fehintola Ganiyu Brother Kelvin Inade Brother Caleb 08unyemi I Pastor Olumide Isaac Aleshiloye Ichairmanl l Deacon Jeremiah Ukpon8 (Secretary) i Mrs Ekaete Nquot (Member) l Deacon Kehinde Abolarin (Member) eaconess Omolara Koiki (Member) Trustees Princlpal Bankers HSBC Bank 99-100 Lord Street LSverpool L2 6PG
Trustee Annual Report Aims and objectives. The aim of the church is to advance the Christian faith through the following: To evangelise in accordance with the mandate of Jesus Christ in the power of the Holy Spirit. The relief of poverty. To further such other charitable purposes for the public benefit as the trustees may determine from time to time Feeding and providing food for the homeless Campaign on the dangers of obesity and measures to avoid it through seminars. healthy food options and cookery lessons for mothers. Setting up care homes for abandoned children and children who will be referred from social services for a Christian upbrin8in8. The Board of Trustees confirm that all our activities have been considered in the light of the guidance provided in the booklet "Charities and Public Benefit" Meeting Objectives & Provision of Public Benefit Spreading the good news of Jesus Christ is central to all our activities, and we are committed to fostering a culture of evangelism across all our departments and programs. Throughout the year, our dedicated volunteers worked tirelessly to distribute tracts, share the gospel. and invite individuals to join us at church. Additionally, we hosted a variety of regular, faith- centred programs, both in person and online via Zoom, to help people 8row and strengthen their faith. These include: Sunday services Sunday School House Fellowship Bible studv Women's Fellowship Children & Youth Church Holy Communion service Daily Prayer Meetings Departmental Retreat and Seminar Jesus in the park/Summer BBQ Food Bank Dominion Assembly gave out about 100 Christmas food boxes to our local community through Primary and Secondary schools. We have assisted numerous students, widows and families by providing household equipment. e.g. furniture, etc. to help them settle into their new lives in the United Kingdom. Many of them are now joyfully worshipping with us.
Preaching the Gospel Our faith in Jesus Christ compels us to share the gospel, hoping to transform lives. We maintained active social media channels and expanded our outreach efforts. Our daily prayer meetin85 for the community continued online. focusing on opening people's eyes to the truth of Christ's salvation, fostering peaceful coexistence with neighbours, and addressing issues like drug abuse and the drug trade. The charity has also maintained strong partnerships with other local churches and organisations to further the work of God in Liverpool. We are encouraged by the efforts of World Evangelical Missions. managed by the RCCG Central Office, and continue to support and collaborate with them. Additionally, we work alongside Compassion UK. Togetherforthe Harvest. and Africa Missions Wales, offering both prayer and financial support. In February 2025, we graciously and to the glory of God hosted all the Redeemed Christian Church of God parishes in region 3. UK. for the Evolve Conference. Church Growth Church membership has really 8rown. especially among the African community. More families have joined us. The congregation is thriving in both numbers and spiritual depth. We have initiated a Youth and Young Adult church IYAYAI, which has commenced usin8 the Christ Church in Buckingham Road, Tuebrook, in Liverpool. Church Building Renovations We no longer experience leaka8e; all the roofin8 maintenance has been completed. We have shifted our attention to workin8 on the external walls. The next maintenance work will be the topmost part of the wall of the front of the buildin8. We have bought another 105 new chairs for the worship place durln8 this fiscal year, and we estimate a total of 400 chairs for the entire church. We also bou8ht a new Behringer Mixer and Stage Box for the service of God. Risk Management The trustees have examined the major strategic. business, and operational risks faced by the church and confirm that the systems have been established to enable regular reports to be produced so that the necessary steps can be taken to lessen these risks. We actively review the major risks which the church faces on a regular basis. Volunteers We are blessed to have over 80 dedicated volunteers actively contributing to the dvancement of God's work. We are deeply grateful for their ongoing support through prayer, financial contributions. and their faithful presence. Comments on the Accounts The statement of financial activities shows income of £140,148.00 and expenditure of £147,104.00, resulting in a deficit of £6.956.00. The church has maintained sufficient cash flow to support its day-to-day operational artivities.
Conclusion In the face of ongoing economic pressures, including inflation. elevated energy costs, and the increasing cost of livin& the faithfulness of God has been evident among us. Over the past vear, the Church has continued to move forward and achieve meaningful progress. With God's help, we remain focused on sustaining and strengthening this positive trajectory in the coming year. We gratefully acknowledge Almighty God as the source of the Church's growth and development during this period and anticipate many more fruitful years ahead. Slgned On behalf of all the trustees- Dominion Assembly Date..
RCCG Dominion Assembl Annual accounts for the 0110412024 Chènty No 1137607 eriod Pemd end d• 3110312025 CC39a Section A Statement of financial activities Rv4trithd Income fund Endowm•nt Totsi Jalt yoar D88crfpt]on6 tyy natyral citsgory Totsl thkl y•ar Incomlng resourcos INot• 31 F01 F2 F03 F04 FOS DonAOnI. g•S ¢3i¥nl 140.148 140 148 155856 Sakn• Incom• Int•r• •nd dKldthidi Total Incornlng r•sourc•s $01 Rg$ourc88 exp8nd•d INot•s 4-71 140.148 155.856 ¢NI ol 180 5.759 22.859 12.623 2782 180 180 22 859 23 639 2665 36.316 36318 10079 (JwEywKIIL¥• 11 937 Total Trsourr•$ expended 9X N•lln¢Omlnl0UE¥Ohy rWjou b•l¢w• 147 104 142825 8,9S8 6,956 13.031 other recognlsed galnsllloss•sl Gains 8nd losses on w8¥vn offi¥th1 assets lorlhe charit*s IMI use Gains and losses on IntrEnt assets Netmovement In funds 6.956 Total funds brought fonyard .686 Tot81 funds cwri6dforward $10
Section B Balance sheet ToiAI ymr Totsl ltty•ar Fixed assets Tanglble as58ts F01 165.162 F02 152339 IN¢X• 81 Investments IN¢)ts 91 Total Current assets Stock and work In progress Debtors INot8 101 (Short tenn) Investmonts Cash a¢ bank and In hand 9.519 10,848 11,605 Tothi ¢urMt •ets Credltors: arnounts falllng du• tlthln o year INote111 775 Net Curnt•sSrtfl1•bl1lu•sJ Totsl assets less curnent Il•blllti•S Creditorn.. 019 lalllng duo aftor on• y••r INote111 Provlslons lor liabllltl•s and ch•r is 121011 124218 014 •t•ts 81$ 51. Funds of the Charity Unr8Strlcted lunds Dlnated funds Total unwtrfcted furtds trIct0 Income lunds INot• 121 Endowm•n¢ funds INot• 121 B11J ei? B19 Total funds Signed by or tru5t8850n t•haffaN thè trustees SwJnplurv Date of a¥yoval 17-1-2
Section C Notes to the accounts Note 7 Bas18 of preparavon Thls S8¢llon shouldbe completedbyall th•rIts. 1.1 Ba$1$ ol a¢¢ounUng These accounts have been ppa(8d on Ihe basis of hi5tori¢ eost {exrW thal in¥8Stm8nts arg shown at market valuel in accordan wth. Accounting and Re rtin9 by ChareS- Slatement of RefthirneThJed PraclKe ISORP 20051.. ' and wth. Accounb"NJ SlaThlards,' Financkql Standards for Smalknr Enterpr1 IFRSSEI.. or and with thè Chantses Ac ex¢e t for the folk ".Tkk 88 8pwoprf•' rfal reWant dis¢k4wg4 SI in th8 pack hwe bew gi¥• PaSe lK"kCJtrng S¢erwJwdB", il dSUf8S coMped In trse xcwnts ha¥e be reslit kn Ihw rIr• ty the FRSSE. Wae tkk 'Flnancaal Rewrbng Standards fr Smr Enrprtses IFRSSEI.. . dep8rtufe8 from th•c4Thw h•% been m lh8nde8 98 d81811$ ofa thanges in Ih8 x0$. 1.2 Chang• In bag18 of accountlng There has b88n no changè 10 the accounlkng poPth8 IvahJat)n nJs and methoJB of accDuThb'ngl sin¢• last y•ar IS excapt for th6 fouowingl. l JI no changej have t4en to Wthsthen d•lth thwThryds. 1.3 Changm to prgvIou8 coUnts No changes have teen m•Jt to accounts for previou$ ygar5155 •xcept lor the follw"ThJl. 55 rfno ¢hws have mad8 103CCOUAts ft)r pthen deteie ¢1werds.
Section C Notes to the accounts Icontl Note 2 Accounting polic188 Thls st3ndardlistof •ceounts"ngpoli¢M has b¢en •Pp1Clbythe clwityex¢eptf0rtr8o ¢1818t•d. Wheré • (wif•r8 oradditlon4lpoll¢ylJs b•en tedthen thls Is dotthdln thebox below. INCOMING RESOURCES Rgcognltlon ol Incomlng r•8ourc•¥ are ILthd m the statem01 Flnanca81 (s(fAlt.. Ihe rrK)nÉtarv valkW m8wed th suffthni abIlty. In¢omlng r•Sour wlth r•lat6d 0xporrtUr Ihe irojmiry rEowrGeo ar r81 are repDrteil 9toss In the SOFA. Grants aTY ¢JonalKrt [Uad In the SoFAthw tho ¢anty has Grants and donatyo r•cL•lmi on Inrtsnlw resc4 frcffj ta¥ r¥ In Ihe S)FA attro s•ntrthn8 as tha gmto Ind glft• IW 1818te Contrictual Income •nd PorformHnc• we1 grnn Gfft8 In klnd Gffis In kiTrJ aro ac¢ourbW ts •t • r¢osthat49 aslknal•dthwr It>th•charty omuntxtL4qIty rewJ Gfft$ In klnd sabè ¢Ji8bMAKn wo th• AC4x718 a&gfft6 whw sold d181Atxrt by the chaty. Grfts in kind th• w• in th• SOFA AS r•)urwth8n Dorwtod •gThl¢w Ind facllttl The59 ar• in 1Mi1Vj re¥wrrAs •oufvalant amwnl In rwu •¥pondedl there I tnellto thanty 15 reu(mbty QLnIrfb. mawrOb pnd malertal Tho vakjtr on Iheae rosrrn15 the estimated valL b) the charity olths Volunts•r b•lp The value Of TrKlw¢ary r•11$ Mt the but li de8crfW h t trnstees. annud reF#YI. Investment Incom• In when r•that40. Investmènt galns and lo•M• Thvd je5 anyqth or th$<¥) the Sa oflnvostrmrts and arrygaln LYhJ53 from revaIng Inveslryn¢¥to mwetv8lue alth8 of tho EXPENDITURE AND LIABILITIES Llablllty rncognftlon Lwblilies are rntyjuS8d 85 eorm # thw• A a W or ¢Uv)&on Grnnl¥ twlth p•rfomMn¢• Where the th8rfty gi a fc<tt8 plni brj a 8pedfiG1ovoI of s¢rvke ¢ondttloM Grants pyabl• wllhout perfommnco ndOnI Those 8re onty rertyJnised In the acoymts rynmthnant has m Ihere ar• no ¢tthS to rÈkbrvJ IJ the oran¢ r¥Mn in the oJntrc4 of the th8rity ASSETS Tanglblo lEX M•ts for are Ca$8 t used rrKfethwntw )w. oxlal Iwost ÉSOO. T by chavlty arn valuJ at cost rx a reaxmtrAe vabJe rwt. Investrts qw¢ed a rsxyJnwJ stoc extharvJe arevalu&J at m81 ai the wr eThJ. (Jher assers Ind atlFU5tee5' iEst esb.male of rnaTkel value. Stockv •nd wotr In progr•s8 Tr8e are al ofcostry market Wdlue. POLICIES ADOPTED ADDITIONAL TO OR DIFFERENT FROM THOSE ABOVE
Section C Notes to the accounts cont Note 3 Analys1¥ of ineomlng resources Ineominq rnsour may be furth6r8n8lysedlfthls *x)uldh8lp the ro&d8r ofth• a¢¢ounts. Unr8strlctod R1cl•d Thls yaar La6t year Anal SSS Donath)n6- Tithes Donatk)ns - Offenn Donath)ns- Thank Donations- S&d Donation$- Other Income Donalion5- First Fruits Oonaiions- Buildi Tax Reclaimed CJonalions- Food bank Other Incofflè Rent Inccffje Gifts Don8tli)n8, legacles and Grants 80.286 23.639 3.938 4.641 80,266 23,639 3.938 4.641 8.224 1.629 10 17 236 565 867 520 1.629 10 so 17.2 565 Total Fundrnlslng Total Shop salg8 Total Interest and divlilends Totsl F808 for charttable 58rvlc85 Total Grnnt5 for S8rvices Total
Section C Notes to the a¢¢ounts IconLI Note 4 Analysls of resources expend¢d ROurceS eypended may be furth8r analysed Ir thls would h81p th? rgadgr of th• accounts. Unrestrlcted Restricted Th1$ yaar Last year Ana Wages. salarle$, nsions and Gross W3 Travellin Hote 33,070 2,438 807 33.070 2,438 807 26.254 2.184 148 Nl Total Cost of fundralslng •v•nts vortisin 160 180 Total 180 R•nt. rateg and Insuran¢8 Rent Insuranc6 General Rate6 Water Rale8 2.215 1.381 269 1.208 318 1.757 318 5.759 5,75 Rop81rs anil malntenanco airs and Renewals Vehicle Fuel Vehicle re airs 8nd 58ryi Vehiclè Iicences Cleanin 17469 493 17.469 21 345 545 406 1 343 Total 22,859 Llght and hoat Gas Electrici 3,419 7,445 ,864 9.319 9.319 Totsl Talaphone postago and stationery Tele hor and Fax Office Stallone Mobile Char es Com uler and Sofh¥are 6(X) 600 123 120 447 1.375 120 120 942 Internet Total 2,665 Donauons and Grants HOnOurUM Welfaie onshorsh National Pro ects- Central Office Outreach Work- WEM Dnference & Events Trainin Pro ects Local Pro eths- Merse 6038 464 454 1.200 24 C68 544 75 26 056 1.081 325 1 081 325 2.500 39,464 29.464 35,711
Section C Notes to the accounts Icont.) Not• 4 Lagal and professlonal Anal sl8 of rpBour¢es ex Professional Fees Charitable Ex ndilure- Grants Pa Audit Fees nd•d 416 4.490 2¢J) 416 4,490 200 2(M) To¢al Bank ¢h8rges and Int•r••t Bank Char es Loan Inièro$t Pak1 149 9.930 149 g.930 169 16 445 Tot•1 .07 79 oth•r ExpgndlluTe recialion Furnitu/FIttI Vehicl8 De ¢all¢n PrnIses Ex nses Sund Ex Refreshments 6.011 3.139 1.400 292 e.587 2.212 1.400 435 571 1,712 rea8bon 1400 292 To¢al 11. 11,937
Seclion C Notes to the accounts Icontl Note S 5.1 Tru8t88 eXrS He8$8 prévld• det•ll$ of the amount of anypaym•ntorrelmbur56ment of 0-0I.p0ck•ff expens05 m•d• to trustses orto thlrdpartles for expenses incunEd by trvstee$. Mno expense5 werepalci please enter'None' in the 8ppmprl•te boxles). t)thail$ of certaln item• of •xyndlturn Th1$ yoar Last y•ar Number ol tru8ta•s who W+ pald •xponso• NIA NIA Natur• of the Total amount pald 6.2 F88s for examlnatlon oraudlt olth• accounts P18aseproWde details ofthe amountpld for any Statu ¢Yt8ma15crudny ofaccounts and oth servlce5 provldfjd by your1ndwondrt oxamlnerorwdltor. Ilnothlng L¥8S paldpleas• •nt•r NONEln the •pproprlate box(esJ. ygar Last y••r IndenOnt oxomln&f8 or audliorn. t• lor rwrtlng on tr ounts other f•¢s (for exampl•.' adv1. ¢owwuftancy. accountancy 8oTvlcwl pald to tho Indwnd•nt •xarnlnor or audOr 2c¥J 200
Section C Notes to the accounts (conti Note 6 Paid employos Pla8se complote thls noto If th• ehariiyhas any efftploy06S. 6.1 staff Costs Thi5 year Last yr Gross wag•s, Solarlgs and ne1[ts In klrKI Employer's Natlonal InsurarK• cog1• P•nslon costs 30.0 3,070 24,000 2,254 T¢)tal staff costs 33.070 28.254 8.2 Average nLThb&r ollull-tlm• •qUal•nI •mploy•gs In th? year Thè parts of th• ehadty In whlch th• employ& work Th1$ yèar Number Last year Nurnr Total 6.3 Deflned contrlbuuon pen51on s¢h•m* Please complete M8 d•llned contribuiion Brf•f d•tsll$ ol tho Scheme enslon schem8 Is Thls year Last y•ar The coots ol th• •chwrn• to th• ¢haT for th• Th• amount of any corrtrtbutlo outstsndlthg ai the yur •nd The •mount of any corrtributlon8 prep•ld •tth• y••r
Section C Notes to the aeeoiints Icontl Note7 Grantmaking 7.1 Total value of grnnts rnn Institutions Total arnount Indlvldual$ Total amount for whleh made Tot•1 7.2Grdnts mad• to In$tlan Total arnount grants pald Names of Instltuuons Purpose Total gTrnts to InSUtiOnS
S¢ction C Notes to the accounts (conti Note8 Tangible fixed ossèts .1 Gost orvaluatlon Fr••hotd land & bulldlngs Other & bu11n9 Pl1 m•¢hln•ry and n)tor vehklg1 FiYturg¥. ffttfing& and Payrnefits o account and assets und•r constructlo Total Balance brought forward ditsons 247,208 15.n6 262,945 21,973 21.973 Rev8lualion8 Dlsposa Tronsfers. Balance earrl•d lorward 247.208 37,709 284,917 8.2 Accumulat depr8clatlon and Impalrnit provlslons Bas1$ SL SL SL SL SL Rato 8al8rK brought fomaré D•precAlion charge lor vear Irnpoiment provis$ 1CO.779 3.826 110,805 6.011 6,011 Revaluallons Disp¢)sa Transf8rs' 3.139 3,139 119,755 Balance C8T roThv8rd 112,7 6,965 .3 Net book yu• Brought forwtd CarrEd forward 140.429 134.418 11.910 30.744 152,339 165,162 8.4 Rovoluatlon If any Ilxedassets h8ve lJe8n r•Yaluedple8w ¥8 detalls orth• v8luwandm•thod of v•luatlon ' Th8 Ir8nsfgrs"mwis form0¥8m8nts 0hOn Ted8tC8t8eS. -Plea indK8te lh8 method Orde¢$81 bydelehng (he tr#n01 appficab18 (SL = slraighl Ime,. RB= reducing ba18nG8). Also pl*as& indicale the rate OIGW0I." forstr8whllin8, whatN5 Ihe 8nbcip8f8d1rf8 ofthe 8SS8t (tn ye8rs). trrEdu•ng b818rKe, wh81 thgpwt8g8 8nnLtal deduc.
Section C Notes to the accounts Icontl Note 9 Investment as80ts 9.1 Flx•d ass8ts irN8Strnonts Carrying Imarketl value at beginnffig oly•af Add.. additlOn5 to investrnent8 at ¢C41 Less.. disposab at ¢arrying value A(Idlld•dLtctl'. n8t gainllbssl on fevaluat Carrying Im8rk8tl value at end of year 9.2 A brèakdown ol th markot Vall of Imf•stm•nts shown abo¥e agreolng wlth th• balanc• shggt row 803. 9.3 A breakdown Oft Ineom• from Invwtmonts agr8elng 7•Ath SOFA. Analysls of Inveslments Martet valu• •1 yur•n Incom• frr Imfeatmomts for the y•ar Inv•slmgnt proportlos Inv•stmonts Ilst¢d on a recognlsed stock •x¢hangg or held In Common Investment funds, op•n •nded Investrnent compan1•8. unlt trus¢s or oth•r collectlve Investment #chtm¢s Investments in •ubsldlary or ¢onnKtsd und8rtaklnp and companlg5 Se¢urltlo8 not Ilst8d on a recognlsod Stk Exchang• Cash held as part of th8 Inv•stm•nt portloS10 oth•r Inv•stm8nts Totsl 9.4 Mattrlal Invostmont holdlng8 If any Investments aye materlal In terms olthelr Value (for •Xp1• •xh rePr•ts mor• than 5 par e•nt ol the value of th8 ¢harfjty'$ total Investmentsl pl provlde detall5. Markat Value at ar end Invesknent held Total
Section C Notes to the accounts Icontl Note 10 Dèbtors and prepaym¢nts Analygls of d•btor• Amounts falling dua wlthln one Thls v•ar Last voar Amounts falllng due after more than on& *ar Thls year Last year Trad8 d8btor4 Amounts due Irom $ub8ldlary arKI as¥oclat•d ndertakln98 hgr d&btorn PT?payments ond accruèd IrKom• 9.519 12,134 Total Note11 Crndrtorn and accTu•Is 11.1 Anatysl• of cr•dl¢orn Arnounts f•llln9 du• wlthln one Thls vear Amounts falling du• •rt•r morg than one ear Thls vear Last v•ar IVr Mortgogg Loon Trade credltors Amounts dy8 to $ubsldlBry assoclat undertaklngs oth•r ¢r•dltoYs Accruals and def•rrnd Incom? 121.011 124.218 796 775 Total 11.2 Securfty over a88èt8 If8ny 108n. overdrnft or othwcredltorholds a Char orothers•curfty ovwany assets ofth• ehwlty please provlde d81ails.
Section C Note5 to the accounts Icontl Note 12 Endowment and restricted Income funds 12.1 Funds held Please olve a brfef d•scdptlon of any 01thg folluMng typ8 of funds hgld by tho charlty.. pennanont 8n¢lowmont funds IPEI: •xpondable endowment f¥Jnds IEEI. and restricted ineome funds. Including sp8clal trusts. of charrty IRI. othor funds. Fund Namè Tyy PE.EE, R or oth•r Purpose and rtstrtctlons Gener81 Fund GTal purpo ol the charfity 12.2 Movements of major fund8 un bolancoA ¢¥rrlèd forward balances rought forward IrornIng Resourc•s expended GBln5 and los$es Transf•rs Fund nam Gen8ral Fund Total Fund$ 56,686 140,148 147.104 49,730 12.3 Tr¥n¥fgr botw8•n funds From Fund Nam& To Fund Name Reason Amount 12.4 Analys18 of not assets between funds Unrestricted lundE Restrfcted lund8 Endowed fijnds Totsl FIx8d assets Investments Net ¢UTrent assets rediiors due In morè than one ygar•nd Drovisions Totsl net assets 165.182 165.162
Section C Notes to the accounts Icontl Note 13 Transactions with related parties 13.1 R8rnun8ratlon and bonefits Nam• of trnst or rnl•tod pgrty L1 outhorfty18g ord•r, gov•mlng dO¢ntI Amounts pald or ben•flt valu8 Th1$ y¢or Last year 13.2 Loans Narne of tnMto0 or r•lat•<l party Amount owlng Thls 91 Last yèar L•gal aLrthrylty Du• to twstees and rolated partl8S Due from tru$t¢4• and relat8d Da•* 13.3 Other tran8aetlonlsl wlth trLMt•gs or relat•d wrtlo8 Th1$ year Last yoar Name of the t180 OT re13ted Relationshlp to char 0#s¢rfptfjon of th transaction
Section C Noles to the accoLtnts (cont Note 14 Adaltlonal Disclosu The following ar• slgnificant matters which arn ¢o¥ere(I In other notes and noad to be Includod to provlde a propar understandlng ol Ihe a¢¢ounts. If ther8 15 Insuffl¢loni room here. ploase add S8parats sheot.
Independent examiner's report on the accounts
Report to the trustees/ Charity Name members of RCCG Dominion Assembly
On accounts for the year 31[st] March 2025 Charity no 1137607 ended (if any) Set out on pages (remember to include the page numbers of additional sheets)
Respective responsibilities The charity's trustees are responsible for the preparation of the accounts. The of trustees and examiner 144 of the Charities Act 2011 (the Charities Act) and that an independent examination is needed.
It is my responsibility to:
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examine the accounts under section 145 of the Charities Act,
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to follow the procedures laid down in the general Directions given by the Charity Commission (under section 145(5)(b) of the Charities Act, and
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to state whether particular matters have come to my attention.
Basis of independent
My examination was carried out in accordance with general Directions given by the Charity Commission. An examination includes a 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 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 below.
Independent examiner's In connection with my examination, no matter has come to my attention (other than statement that disclosed below *)
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which gives me reasonable cause to believe that in, any material respect, the requirements:
- to keep accounting records in accordance with section 130 of the Charities Act; and
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to prepare accounts which accord with the accounting records and comply with the accounting requirements of the Charities Act
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have not been met; or
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to which, in my opinion, attention should be drawn in order to enable a proper understanding of the accounts to be reached.
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Please delete the words in the brackets if they do not apply.
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Date: 29-9-2025
Signed:
Name: Tunji Ogedengbe
Address: 36 Daffodil Close
Hatfield
AL10 9FF
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