REDEEMED CHRISTIAN CHURCH OF GOD-
[RCCG] VICTORY CENTRE
Charity REG.No:1140310
TRUSTEES. REPORT AND ACCOUNTS FOR
THE YEAR ENDED 31ST DECEMBER 2023
MOSES-BOLE &CO
CERTIFIED PROFESSIONAL ACCOUNTANTSI TAX ADVISERS
& BUSINESS CHARTERED MANAGEMENT CONSULTAI￿s
39 SAINTS BRELADES COURT
BALMES ROAD
LONDON
N1 5TW
075 8407 SS72
020 7923 4660

THE REDEEMED CHRISTIAN CHURCH OF GOD
RCCG
VICTORY CENTRE
CONTENT
Legal and Adrninistrallve Irrfornlatlon
Trustees. Report
24
Indapgndgnt Examlner"s Report to the Tn￿tea5
Statement of Financial Activities
Balance sheet
Notes forn)Ing part of the Flnanclal Statsment
8t019

REDEEMED CHRISTIAN CHURCH OF GOD-
RCCG
VICTORY CENTRE
LEGAL AND ADMINISTATIVE INFORMATION
Genaral overseer:
E.A ADEBOYE
Trustees:
Mr Tony Gunn
Mr Emmanuel Ehibatiomhan
Ms Winnie magambO￿aSana
Dr Olusola Akinrolabu
Registered Office
238 Burwell Meadow
WITNEY
OXFORDSHIRE
OX28 5JJ
Minister In Charge:
Pastor Emmanuel Oyedoh
Charlty No
1140310
Bankers
Barclays Bank Witney
30 Market Square Witney
OX28 6BJ
Accountants
PJIOSES-BOLE & CO
Unit 4L Leroy House Business Centre
436 Essex Road
London N13QP

TRUSTEES YEAR END REPORT 2023
REDEEMED CHRISTIAN CHURCH OF GOD- VICTORY CENTRE PARISH OXFORD
Vlctory Centre, Oxford. is a famity thurch arKI op8n to all members of the communty.
Ml88lon Statèment
The Mission of Victory Centre, Oxford, is to reach out to the communty to sh8re and
demonstrate God's love for all humanty.
Charlty Status
Vlctory Centre. Oxford Is a charlty organlsatkm consllttrted under a Trust Deed d8t8d 14"
December 2006 Charity number: 1140310 and Is on the central r8gistsr of the Charity
Commlssion of England and Wales.
ObJo¢tlv•
The principal objective of this Charlty is to advance the Christian fafth worfdwlde and to
reach out to the poor and needy.
Actlvltles over tho year 2023
The year 2023 brought with it good Pr￿3￿88. The Churth has fijlly emb￿Ced a hybrid
approach to fellowshlp by ho8llrKJ avents onslte and broad￿tIng It vla scthl media.
• Through Its teams of volunt88rs, the Charity organl*J acuvltw. events. 8nd
meetings to promote its oblectivgs.
The Charity malnlalned tls weekly worshlp advltles to engage Its members.
The Charity runs Iwo Sunday Momlng w¢)rship services to meet the needs of its
Partshioners. The Church Sunday service membership, on average, has been
bel￿een 100-150 m8mber6 wlth a high perc•ntag8 of youth and children.
Weekty Sunday Children's Churth has b88n hèld throughout thé year in the
evenings, with growing numbers of children attending.
Weekly mldweek blble study and prayer rneetsngs have been held throughout the
year, with an average attend8nce of 25 people.
The Charity reached out to Iwo of its parishioners. who needed financial help. du8 to
job loss and h8alth concems by providing them wllh a monthly stipend.
The Charity reached out to the Communlty Emer9enGy Foodbank (CEF) and,
following an Inlli81 donation of food itèms. O￿tinUed to support the Charity bl-
monthly.
Thè Charity 8UPPOrted 0th8r tharEt6es In fundraising efforts.
Other outreach activitie8 in the (x)mmunlty Ind￿d￿j.
Pastoral ¢)utreach to tho sick In hospltal
Pastor81 outreath to those in need within the thurch community
Evangelism
OLrtreach and support to the Student communty wtlhin Oxford

Rlsk Management
The Trustses have cx)nduiXed a review of the signtficant risks to the Charity. The risk register
Identrfies the nature of these risks, thelr Ilkelihood and the measures taken to manage them.
The Trustees review the risk register at their meetings and are satisfied that there are safe
systems In place to manag8 the risks that have been identified. The finances of the Charity
are also kepl under revlew, and has gro￿ In the last year gNing the c*urch the ablllty lo
plan for capital projects. Proc8dures have been put In place to ensure compliance with the
health and safety of members of staff, voluntoers. and visttors to the Charity.
Plans for the Futur•
The Charfty conllnueg to explore way8 of fijrthering Its chaTltabl8 objec￿vaS 8ff8cliv8ly by
ensur(ng awareness of its services. The Charlty seeks to provldo servlces and actNlties that
mget the needs of people in thg ￿MMunIty. These actlvrtlgs provFdg a po$itlve than98 In the
moral and 8plrllu81 cllmate of the communlty. whl¢h reflects lh8 Charft(s Chdstian ethos and
beliets.
Govarnanco
Vlclory Cenlre. Oxford has 8 Board of Trustees comwsing ft)ur (4> church members that
overséé the runnlng of the Chartty. The Trust8e8 meet bi-annually with the Pastor and the
Hèad of th8 volunteers to address any governance Issues and revlew the Charfty's flnanclal
status and commitments.
Lgad?r•hlp Struthre
Eacth d8partment within the Church has a head of department. All h8ads of d8p8rtm8nts aro
oversaen by the Head of Volunteers. who reports to the Pastor. The Pastor is the overall
leader of the Church.
Quartedy meetings were held throughout the year for the heads of departrnent. Head of
volunt8ers and Ihe Pastor to plan and dIS￿SS the operallon actfvltl8s of the Churd) and any
speclal programm89.
Departments wttnln Ihe Ghurch are:
Children's Chur
Youth Ministry
Men's Minlsty
Ladl88 Mlnistry
Choir & Worship Team
Hospitality Team
Technical Team
Evangelism Ministy
Follow-up Team
Pastor of Vlctory Contro. Oxford: Pastor Emmanuel Oyedoh

Charity Trustso$:
Trustee
Signature
MrTony Gunn
Mrs Winnie Nant8za
Gasana
se¢￿tary
Dr Olusola Akinrolabu
Mr Emmanud
Ehibhatiomhan

MOSES-BOLE & CO
INDEPENDENT EXAMINEWS REPORTTO THETRUSTEES
RED
ED
STIA
CHURCH OF G
vi
RY
I report on the accounts of the charty for the year ended 311sf De￿mber 2023, which are
set out below and notes to the financial statements on pages 7 to 19
Respective responsibilities of Trustees and Examiners
As the CharitWs Trustees, you are responsible for the preparation of the accounts,. you
consider that an audtt is not required for this year lunder section 144121 of the Charity Act
2011lthe 2011 act} and that an independent examination is needed. It is my responsibility to
Examine the account lunder Section 145 of the Act}:
follow the procedures laid down in the General Dirertion5 given by the Chority,"
Commission (under Section 145151 Ibl of the 2011 Act and
State whether particular matters have come to my attention.
Basis of Independent Examinerfs report
My examination was carried out in accordance with the general direttions given by the
Charity Commission. An examination include5 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 you as the Trustees COn￿rning any such matters.
The procedures undertaken do not provide all the evidence that would be ￿qUired in an audit
and consequently no opinion is gtven 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 Examinerfs Statements
In connection with the examination, no matter hascome to myattention-_
11 Which give me reasonable cause to believe that in any material respert the
requirement5
To keep accounting records in accordance with section 130 of the 2011 Act,.
To prepare accounts whlth accord with the accounting record5 and to
comply with the accounting requirements ofthe 2011 Act have not been met
or
To which, in my opinion. attention should be drawn in Order to enable a proper understanding of the
accounts to be reached
Moses O E Igunnubole. BA (HONS) FAI4 FCP4 FF4 FIP4 Fri RG CPFI ACA T...
Monuging Portner
MOSES-BOLE&CO
Churtered CertIf￿d ForensKAccountonts
Certified Profession(71AccorJntonts/foxAdvisers
And Business Chortered m0rjogen￿nt Consultonts
Tdi +441012077042S2i Er￿0., LwtyHtsV*&Jfft55c￿rnr￿.UnTrL
Fa14U<012073541035 ￿..

REDEEMED CHRISTW CHURCH OF GODIRCCGI-VICTORY CENTRE STATEMEP
OF FINAJ4CIAL ACTIv￿lEs FOR THE YEAR ENDED 31ST DECEM8ER 2023
Restricted
)t6 Unr88tricknY ino)me Endowm8nt
Funds
FuThts
Funds
Prior
year
Funds
Tot81
FutKIs
Income and endowments from:
Donations and legaci8s
T•t*l
Resourc•s •xp•nd•d
Expendlture on:
Direct Cost
Support Cost
Govam8ncè Cost
114.307.50
114.307￿>
114,307.50
114.307.50
102,779
102.779
55,343 44
34.323.13
2.240.IXI
S5,343.44
34.323.13
2240.00
46,401
22.643
2.240
Total
91.gY1&57
91,906.57
71.283
Oth8r gansllLoss8s1
N•t movement kn fund
22AOO.93
22.400.93
31,496
Totsl ftjnds t%ought fC￿ard
103.822.$1
103.622.51
72.127
Total funds carrlod fonvard
126.023.44
126,023.44
103.623

REDEEMED CHR18TIAN CHURCH OF OODiRCCG].VI¢TORY CENTrE
BALANCE 8HEET AS AT 318T DECEMBER 2023
Restricted
Not•s Unreslricw Ir￿ End￿+M1ent Totsl
Fur¥Js
Funds
Funds
Fund$
Total
Last
Year
FIX￿ *ss•ts
Tanglble asset8
Totsl fixed as8ets
943.12
943.12
943.12
943.12
Curr•nt Ass•ts
Cash al bank and in hand
Total current as8ets
10 127 225.32
127
6.32
127 225.32
127 226.32
Creditors.. amounts fdling due
wlthin one year
1145.(X)
2,145.1)0
Net Gurrent as8et81lllabilitieB}
126 080.32
126 1)80.32
Total a869ts le86 cUrr￿t IlatAlttk88
126 023.44
126 023.44
103622
Credltor8'. amounts falllng due after
one y&ar
Prov18ionJ for liabillt
Total net a8set8 or liabilille8
128 023A4
126 023.44
Funds of th• Ch•rlty
Unre81ricted fund8
Total funds
126,023.44
128 023A4
126,023.44
126 023.44
103622
103622
Signed by one or two tru8tee8 on beha￿ of all the tr￿lee•..
Slgnature,.
Prfnt Name.. Wi hJiF£frO PJAhireLA .

REDEEMED CHRISTIAN CHURCH OF GOD[RCCG]-VICTORY CENTRE
NOTE TO THE ACCOUNTS FOR THE YEAR ENDED 31ST DECEMBER 2023
Note 1 Basls of preparation
1.1 Bag15 of accounth
These aco)unts hava baan proparwj under the hLStorical cost convantion with ￿&m$ rg¢ogni*1
al cost or transaction value unless othwse ststed in lh8 re18vant n￿($) to these ac(OLmts.
The accounts have b88n pr9pared in *cordancè wth the Fin8naal RerKKbThJ Standar(l atw1￿
in the UK 8nd Republic ol InlaTrJ IFRS1021 issued on 16 July 2014 with Ch￿lieS Act 2011
and ihe Charty constitutes 8 public benefit as defined by FRs1￿2.
1.2 Golng conc•rn
Conslderlng the stead lovolof Ineomlng r•soureg$ 4ndnwmlJetshlp nufflbgrthe Charftyls
a golng concern with no onyknown unftireseen clrcumstanc•
1.3 Change of pollcy
The aco)unts present 8 trua arK* f8ir vi8W 8ThY the aco)untwig Fdicies adopted are th)se (Mjuined in
th9 note Mth no change in pd
1.4 Changè• to •eeounting egtimateg
No chang&s to accounb.ng èstimat8s have mrr&Y in the reivbng WKKI13.46 FRS 102 SORP).
1.5 Mat•rfal wlor y•ar •rrors
No tnatetial priorygar 9fTor have be8n KIents"f￿ in the r8F4ybThJ F*K*J (3.47 FRS 102 SORP}.

REDEEMED CHRISTIAN CHURCH OF GODtRCCG]-VICTORY CENTRE NOTES TO
THE ACCOUNTS
CONTINUED
FOR THE YEAR ENDED 31ST DECEMBER 2023
Note 2
ACCI￿ntIng poll¢l•s
2.1 REGQMCILIATION PREVIOUS GENERALLY ACCEPTED
ACCOUNTING PRACTICE
T￿re k no kn a￿ntiry In thls ￿￿)j
2.2 INCOME
This star￿ard list ofa¢c￿ntIng a[W￿j by the tharity except trthose No
'Nla". WhetÈ a drffÈrsrrt or has blen Ihts b&d8tsS&J in th8 L￿X L￿￿.
R•eogrtitloN of Ineome
These are Induded in the Stat8m8Trtof Fina￿￿1 ArthltiEs ISoFAl7*1w".
. the charity to tho rwJrc85:
. r( i8 mor8 likely than not thalthe IJu5tee5wII rEwe ttE rExKJf(Ys." arKI
. thè rN)notsry valup L*n be 8uffic48nl rehabw.
Grnnts and donatlons
Grants and dcn8trons ar8 onty hdud8d in sOFAw￿ WKXX)* f*wMIK)n trilwia ¥
mÈi15.10 to 5.12 FRS 102 SORPI
In the ￿se of [ErfO￿nance reLgted grants. Inowne rwst onty be reCow￿l to the extentthat the
charity has prowded Ihe specrfi&d grKKls or sÉrvicts as entiiemént 10 the g￿Trt ocojts ¥then tr
re￿t￿j are met15.16 FRS 1tr2 SORPI.
Legacl
There is rn Wcy recew thring Ihi8 pwN>J.
ND government grant wa$ tru5 WKXI.
Tax rp¢l•lrn* on dw•llow and s11ts
Glft Aid receivable is included in inccfne there 15 8 V8hd dedar*w frLxn fv (k)rw. Any Grft
d smount recovered on 8 donaton is frns*1e￿l to ba vt of thatgrft 8TrJ is treaknj as an &Ydf&
to thè same fund a8 In￿al dOna￿n unless th)mrorthe Lemis ￿the ap￿81 have
othe￿ise.
This is rol a01ca￿e
There is ro donatgJ 9￿￿.
Dor￿ted swwres and faulrtw are I￿e￿ in SOFA althEvaluE oflhe yift lo the
c*anty prOv￿ed th8 va*Je of Ihe grn c8n te measurwj
DotTated se￿￿e5 and rttylit*S that a￿ cOnsUrr￿ as irKome %bith an
uivalent amount reLy)gnised as an ey4)ense under the approwiate t*adirwJ in Ihe SOF
Support co•ts
Thé charity has InfJJrT*J c£¢ts.
Volunteer help
The value ofany vduntsry heb receNgJ rnt w￿ded in ttE xrAwnts txrt i%dÈscribed in the
trusts&s' annu￿ re￿￿L

Not applicable during Ih(s penfMI.
and Legaoes
8ottl•ffl•nt of Imurance cl*lm*
Insurartè daims a￿ only induded in the SOFA gwwal iThxTh r￿nitK￿ r￿teria are
met15.10 to 5.12 FRS 102 SORPI qnd afe iK4ud8d a5 8n item of ctsr inL£thg irs Ihe SOF
Inv*8tment gains and lo¥¥
Indudes any rpalifed or unrealised gal￿ ork6ses on the s* [*￿Ves1M￿ arKI
5 rgsumng frorn revahjing Inv8Stm8nts to tt*thtvÉkJo erKJ oflhe
13 EXPENDITURE AMD LIABILITIES
Uabljlty T¢￿￿￿￿1￿￿
Li8bilities are r8cognis8d Wr￿ It18 rrrxe I￿yth8n not ttwe is a ltyJg1 orcLWtsinth L*tyfy)n
L¥)mrnitting the charity to pay out resourc8sand the anvxntoflhe can b& measurtsj TrAqth
reasonable cartainty.
Gov8rnAnce and ￿PpOrt costs
tnprtse all o)5ts invofvlng Pub￿ aC£¥￿t￿￿ty0fthe tharfty arKI $rKI
pJod practice.
Support costs Ind￿je cèntsal hJn¢bw5 8TxS have been alIC￿￿￿ to ￿lty¢05t cslw8s on a basv&
(X)n5iStentiwth the use cf resryjrces. eg alknc8tirKJ rKoperty c¥xts byffl(xx¥eas. or w ta￿￿. #a
costs by b.rno SFenl Olher by Ihèiru•.
Th8 Charfty 48 rM)t grant toanyL¥yan15ati
Where there are no COn(SL￿s attachiw to want that en￿lIeS0￿￿Xts t*•itylo rEali5ts(
avcid ts cl)MrThtrf￿. a &ability forlhe full lundiry cl)1￿1￿)n must be recrYjn￿.
R•dundancy ¢￿t
Deferred Ineott
No material itèm ofdefwred inc¥Th has been Ind￿ ￿ the ac￿￿nI
Cr•dltors
Prtyvl•knns fw Il•blllll•s
A Irability is measured on re(x)gnitm 8t ts hidork*l (xK%t ar*1 Ihen sutwgrty nw$u￿1
Bas1¢ Ilmafv¢l•l l•stThmgnts
Tho Crtorlty atr£￿nts forba5￿ financkgl th81rWn￿ cn InMI81 reco3nfkn as FW 10.7 FRS
102 SORP. &Jts&]uent é& as p6r ￿r￿Jap￿S 11.17 to 11.19, FRS 102 SORP.

L4 ASSETS
T¥nglble flxed assets for uge by charfty
Th9$0 ato (api￿lised fan b¢ uw1 fr* ￿ar. amj c(st at l*st
They 8r8 ¥alu*J 81 cc*L
Intanglbl• Ilx•d
Th8 chaiity h8s no intsngible fLKed 8S88ts. Ihat ￿ M￿n￿)netsryas$￿s thatth) wt have phy&K21
substanc8 but are itlEntif￿b￿ and aFe (￿ntr(A￿l by the charity IhrryJth ￿a31 rights. Thg
Th)￿sats￿ rates and methots u8wJ 8r8dkthed n rK)tè 15
They are valued al cc6L
The charity has no h*itsg6 as88ts, that B. nOr￿￿*￿tary assets hithric, a￿stIC. SCi8Trtik.
technolcgKal. geophyEKal or enwronn*ntal qualft*s Ihat are Md aThY mlftiain*l fftApdty for their
(*Jnthbutton to knowledg8 and cuthjre. ¢epwation rates mel￿$ ￿ed as in
note 16 is not during ts per¥NJ rfav8d*4etlwwe vawl at (x*t
Investrnents
Fyxed a5sel inves1n￿5 in quot8d share5. Ir&Je4J ixN¥J5 arwj 1rNeStme￿ are 81 Inlwty
at Cost and subswuenlly at falrvalu8 mark8t value) at the ygaretml. The san* Ireatment rs
applied tr) unlisied investr*nts unles5 fa￿Vahje￿Iw)l be fiv￿red reliaLty o$8 it i8
m8asured at cost kn iTrpalrrtEnL
Inves1rT￿nts he￿j for T8sal8 or pendiryJ thew 5Jle osh ￿L￿wa￿ *iih a nthrtydat8
ofless 1 ￿or￿re treaiod as ￿t￿laSSet￿nVeslrT￿ts
D•btorn
D8btors (Ir￿ding tra(J8 ¥ebtOTS are rrw5urwl inibal rwnllon ai
setllernent amunt after any trade discoun15 or adVa￿*d by Il* chority. Sub5wuenty. I
are mea5urod at the rA8h othar cons**ration 8xperfwi 10 b8 rece￿**J.
The thanty has h&5 Inves￿nts fly resa￿ or lho￿s01e and rAsh and L3sh
equpialents with a matunty date than ￿ w. The* tash cffj deKw)5itand osh
equpialEnts with a maturty date of 4)ne >tar I￿10 PWfM)$0s r81h8r than ID
et sh(Yttw tssh ttjmmrtmenis as Iheyf811 due.
They are valu￿1 at fairv81u8 they wabfy as h7strw￿ts.
POUCIES ADOPTED ADDITIQIIAL TO OR DIFFEIIEIIT FROII THOSE ABOVE
There 18 rKs any other OKie5 &yo￿ed.

REDEEIAED CHRISTIAN CHURCH OF GODIRCCGI-VICTORY CENTRE NOTES TO
THE ACCOUNTS
CONTINUED
FOR THE YEAR ENDED 31ST DECEMBER 2023
Prlor
y•ar
Funds
AMIys•
Total
Funds
Funds
Funds
Fund8
Donatlons and l•ga¢lo$:
Donath?ns and grfts- Tithes and Offering
Interest IwJm8
Total
114.307.
114.307.50
102,686
93
102,779
114.307.￿*
114.307.50
TOTAL INCQIAE
114.307.&)
114,307.50
102,779
Other inforniatlon:
All In¢om• In the prfor year was unr•strfct•
lTrcludlng the prlor y•ar,th•rt wa• no material Inv)me Item* vAthln the al￿e
that r•qylre dl¥closur• of Its natsr•
12

REDEEMED CHRISTLIN CHURCH OF GODtRCCGI_VICTORY CENTRE NOTES TO
THE ACCOUNTS
CONTINUED
FOR THE YEAR ENDED 31ST DECEMBER 2023
Prior
UnFBstrlcl8d Incorne ment
Fund5
Funds
Fund¥
Funds
Funds
Wodd Evangeli8m Wssion
Fesuval of Life
RCC&Central Office
Honourarium
Vvetfare
Seminar51 CcrfererK8 & R8tr
Sunday School Expenses
Thanksgiving
Pastor5 Salaries
Minister Housir¥J A￿0Ml￿jafyC
2.4(K).¢x)
2.4(N).cii
250 00
1200.LK)
4,600.00
15.474.59
2.700.85
668.(YJ
2.400 00
10,2Th).00
15,450.00
55,343.44
2.400
1.21)0.00
4,fth.00
15.474.59
2.7￿.85
1,200
3.400
13,390
1.250
781
2.400.00
10.3)0.00
15.4S).00
$5,343.44
10,200
13,800
46,401
Prernises c05t1R￿
Gifts & Donations
ChAdreTr and 188nage d8￿rtment
Repairs and maintenan
Printing, Postagè and StalK¥
Insurdn
Travel Expw58s
Refreshrnenl and Entsrtainment
Training & Security
Adv8rt & M8dia EyFerths
Depreciation
Smart P￿ts1
15.882.￿)
4.450.00
3.255.00
1.710.89
15.882.00
4.450.00
3255.(XJ
1.710.89
294.TrJ
11,319
4.556
41
147
702
336
129
572
477
895
22.843
5.237_00
3)425
144.78
2.225.93
819.28
34.323.13
5,237.CKI
304.25
144.78
2,225.93
819.28
34.323.13
89,666.57
89,666.57
69.043
13

REDEEMED CHRISTIAN CHURCH OF GOD[RCCG]-VICTORY CENTRE NOTES TO
THE ACCOUNTS
CONTINUED
Note 5
Dotalls of ¢ortaAn Itèms ot expendlture
5.1 F8es for examination of the accounls
Pl&ase provide ¢Jetails of the amount paid lor any statLrtory external s¢rutlny of accfjunts and otl)8r
semces provided by your independent examiner. Ir nothing was paid *ase gntw'(Y in the 8ppropriate
boxlesl.
GOVERMANCE COST
FOR THE YEAR ENDED 31ST DECEMBER 2023
Th1$ Y•ar Last Y•ar
Ind8pgnd6nt examin￿¥ fees
49).1)O
450
Assurance sthices other than audit or inder￿￿nt exanlnation
890
Olhar fees Ifor ex8mpl&." finanual *lvice. wnsuilancy. &)XI￿1￿
5eNeg5, etc.) paid lo the independart examiner
2.240.00
2.240
14

REDEEMED CHRISTIAN CHURGH OF GOOtriccGFVICTORY CENTRE NOTESTO
THE ACCOUNTS
CONT*IUED
FOR TNE VEAR ENDED 31ST DECEIIBER 2023
Note 6 TATholbl• flx•d a￿•ts
Total
I•￿1& ¢¢>mwrt•r &motor
st
b￿ld￿￿ oqulwrwrt vehidg5 Tot￿ ryB7r
At thB Wnn*¥J Lrfts J*ar
1.(XJ5.76
2.eix).￿ 14.97th49
la.￿.25
16.700
Add￿[
1.349.
At orth8 ￿r
•)0.00 15 819A•
18.￿6
D•pr•C1*tb￿ and IMpolrnMnt*
'6asis
Lcfig Term Lease￿
Motor Veh
Fi*ur88 & F￿￿798
Offic• Equipment
Com
25% Stra3ht L*
25% ststyht Li
25%
hlknn
At Wh￿1vj crfthe ￿ar
845A5 2,eD).fy) 13.340.75
1.841.99
15.182.74
16.788.11
2225.93
19.012.13
16,31Q
477
16.786
At￿Orth*￿r
1.229.39
2.￿#).(¥)
sa N•t book￿1￿*
Net tM)ok at tho t•glnnlng of IM Yr.
Not book at thfr of tho
I￿.31
37
1.629.74
636.75
1.820.05
943.12
8A Imp4rnwrt w MOPIE
No de8cnpl￿n oflhe evenl¥ ￿ c*TrJrrot•K•Bth81 th• r
reversal of an Impwnwt
S R•v8luatlon
An 8ccounling poky of rrA*l•d iN• raxwrI￿E•￿*.
•if•¢l¥• dg1•rftr* m•lu•kn E NIA
th• Mm• ol Ind•ffi•Yv•kw, W•pF*rt4•= WA
tr• m•1￿￿ •pFW *r￿ WA
e Oth•rdl•cloiuroB
fj) PIB8￿ $tsitr th8 STr￿nt 01t￿rty￿d c£*i*. tha rltsry*4•
frA￿ a880ts 8nd tho ¢8￿1￿c￿ rats WA
•8s•IB= NIA
011 D8tsws ofthe and corNrvJ ofweFffj. pkntAThl tho
¢h*ltyh86 T8sIrL￿ c¢lMt arn F4edg8d a8 ￿rty1¢￿ lot4kn& 2 MIA

REDEEMED CHRISTIAN CHURCH OF GODtRCCG]-VICTORY CENTRE NOTES TO
THE ACCOUNTS
CONTINUED
FOR THE YEAR ENDED 31ST DECEMBER 2023
Notg 7
Credltors and accruals
Please coM￿et￿ this note rf the charity has any crthyltots or accwals.
Amounts falling due
Within
More Than
l Year
1 Ye8r
Prior Year
Amounts falling due
Within
More Than
1 Year
1 Year
7.1 Analysls of ¢r•dltorn
Acwals and d8ferred income
TBx81ion and 8OCAal security
PAYEINIC
Total
2.145.fx)
3,080
1145.00
3.080
7.2 D•l•rred Incom•
Please compl818 this note if the Charty has deferred ino)me.
Plea86 8xplaln thg reasons why in￿m• bs d8fèrrod.
Movement In deferred Income a¢o)unt
Th18 Year La•t Y•ar
Bal8ncs al the Start ol tho reporung w*)d
Amounts 8dded in current peric¥J
Amounts released to incomg from prevlous perlc41$
8al8nce 01 the end of the reports'ng pedc¥J
THERE IS NO DEFERRED INCOME DURING ThIS PERIOD
16

REDEEMED CHRISTIAN CHURCH OF GODtRCCG]-VICTORY CENTRE NOTES TO
THE ACCOUNTS
CONnNUED
FOR THE YEAR ENDED 31ST DECEMBER 2023
Notè 8 Pn>vlsions for IlabUltl•s and char9
Plè880 Q)fflptetg th15 riote rf you have induded in charity eXp￿Illure any provnh)n$. A
provision is made vthèn the tharity has a liabilty of Ur￿ertain twiwrMJ or alT￿nt.
8.1 Plèg$0 provld•:
- a brlef desc￿ption of any otAhJalKns on Ihe balanc* sheet a￿1 the expected anN)unl and
mlng of results.ro paymènts"
- an kndkatkjn of the uncertalnttgs 8iKJUt tho amLwnt or tknirKJ ol those ¢xrtlhThs' and
- an Indtallon of the Uncertain￿88 about th8 arIK￿nI or Urning of those ¢>jffi￿ and
- th8 amount of any expectod reimburseThnL stst1￿ tho an￿nI of any asset that has b88n
roc(yJnis•d for that $xk*¢to(l ￿1mbUr$8￿￿nl.
8.2 Mov•m•nts In rncognl*•d provl•lon• ar￿ fundlng cammltm•nt durlnq th• p•rfod
Th￿ Y•ar
La¥t Y•ar
8818na8 81 the start of the reportiTr3 r*rfod
Amount8 ¥ddèd In Current p8ri0(1
Amounts charg8(J agAln$t thg prowtsl￿ kn th• ¢uffen¢ p8rl(*J
Unused art￿nIS reversed durfro the period
Balance at the end of the reForts'ng perlc*J
8.3 For any funding c*)mmitmenl that Is not reo)gnised as a liabilty or pro￿8￿)n, provKlè dètsOIs
of comnwlment made. the lim8 lrnm8 of that commitm8nt. any pwloml8net-rd&l￿ ts)rKlllions and
details of how the comrTknn8nl wll be fund•J (￿th contraca¥ for c4)Ital eypondtturo separately
8.4 w￿[8 unr88trld8d fund8 hava been d8stqn8tad to 8 fund CO￿ltMen( ple8se d18eJo8è th
nalijre of any anY)unts desbgnaled and the ￿kelY tlnlng of that expondWura.
THE ABOVE NOTES 8.1 TO 8.4 ARE NOT APPUCABLE
17

REDEEMED CHRISTIAN CHURCH OF GOD[RCCG]-VICTORY CENTRE NOTES TO
THE ACCOUNTS
CONTINUED
FOR THE YEAR ENDED 31ST DECEMBER 2023
Ilotè 10
Cash at bank and In hand
Thi5 Y
Last Yoar
Savings AC￿L￿nt
Cash at bank and on hand
Total
123.781.08
3.444.24
127.225.32
101.197
3.686
104,882
19