REDEEMED CHRISTIAN CHURCH OF GOD-
[RCCG] VICTORY CENTRE
Charity REG.No:1140310
TRUSTEES. REPORT AND ACCO
THE YEAR ENDED 31ST DECEMB
NTS FOR
R 2024
MOSES-BOLE&CO
CHARTERED CERTIFIED FORENSIC ACCOUNTA
CERTIFIED PUBLIC ACCOUNTANTS I TAX ADVIS
& BUSINESS CHARTERED MANAGEMENT CONS
TS
RS
LTANTS

THE REDEEMED CHRISTIAN CHURCH OF GOD
[RCCG] VICTORY CENTRE
CONTENT
Legal and Admlnlstrative Infom)ation
Trustse8' Report
24
Independent Examlner's Report to tho Trust
Slatemènt of Flnanclal Actlvlltes
Balan¢• sh￿t
Nots8 forn)Ing part of the Flnanclal Statement
8t017

REDEEMED CHRISTIAN CHURCH OF GOD-
[RCCG] VICTORY CENTRE
LEGAL AND ADMINISTATIVE INFORMATION
Genaral overseer: E.￿ ADEBOYE
Trustees:
Mr Tony Gunn
Mr Emmanuel Ehibatiomhan
Ms Winnie Magambo4asana
Dr Olusola Akinrolabu
Registered Office
238 Burwell Meadow
WITNEY
OXFORDSHIRE
OX28 5JJ
Minister In Charge: Pastor Emmanuel Oyedoh
Charity No
1140310
Bankers
Barclays Bank Witney
30 Market Square Witney
OX28 6BJ
MoSES￿OLE &CO
CHARTERED CERTIFIED FORENSIC ACCOI
CERTIFIED PUBLIC ACCOUNTANTS l T￿x ADVISERS
& BUSINESS CHARTERED MANAGEMENT CONSULTANTS)
39 SAINTS BRELADES COURT
BALMES ROAD
LONDON
M1 STW
Accountants

TRUSTEES YEAR END REPORT 2023
REDEEMED CHRISTIAN CHURCH OF GOD- VICTORY CENTRE PARISH OXFORD
Victory Centre, Oxford. is a famity church and open to all members of the communty.
Mission Statsment
The Mission of Wictory Centre, Oxford, is to reach out to the ￿mmunty to share and
demonstrate Ws love for all humanity.
Charity status
Vlctory Centre. Oxford Is a tharity organisation conslrtuted under a Trust Deed dated 14
December 2006 Charity number: 1140310 and is on the ￿ntral register of the Charity
Commission of England and Wales.
ObJeetiv•
The principal objective oflhls Charity is to advan￿ the Chrislian failh worldwide and to
reach out to the pcor and needy.
Acthiltlos overthe year 2023
The year 2023 brought with it good progress. The Church has fully embraced a hybrid
approach to fellowship by hoslÈng events onsite and broadcasting ti via s¢xJal medla.
Thmugh its teams of volunteeT5, the Charity organised actiwties. events, and
meetings to promote its owtives.
The Charlty mainlairied Fts weekly worshlp activrtles to engage its members.
The Charity runs iwo Sunday Moming worship services to meet the needs of its
part5hioners. The Church Sunday service membership, on average, has been
belween 100-150 members wtth a h￿h per￿ntage of youth and thildren.
• Weekly Sunday Children's Chur¢h has been hdd throUgh￿t the year in the
evenings, with growing numbers of children attending.
Weekly midweek bible study and prayer meetFngs have been held throughout the
year. with an average attendance of 25 pety.
The Charity reached out to of its parishioners. who needed financial help. due to
b loss and health concems by providing them with a monthly stipend.
The Charity reached out to the Community Emergency FcKMYbank (CEF) and,
followng an Snitial donatvjn of f￿j items, o)nlinued to support thé Chartty bi-
monthly.
The Charity supported other charities in fvndraising efforts.
Othèr outrear*J activities in the o)mmunty induded=
• Pastoral outr6ach to the sick In hospital
Pastoral outreach to those in need within the thurch community
Evangelism
Outreath and support to the student c#Jmmunty within Oxftjrd

Risk Managomonl
The Trustees hav8 conducted a review of the Sign[F￿nt risks to the Charity. The ri%k regisler
identifies the nature of these risks. their likelihocKI and the measure$ taken lo manage them.
The Trustees revlew the risk register at their meetings and are satisfied that there a￿ safe
systems in place to manwJe the risks that have been idenllfied. The finances of th9 Charity
are a150 kept under review. and has grown in the tast year giving the thurch Ihe ability trj
plan for capital projects. Procedures have been put in place lo ensu￿ cornpliance with the
health and safety of members of stsff. volunteern. and visitors to the Charity.
Plans for the Futuro
The Charity continu8S to explore ways of fijrthering its charitable objectives effectively by
ensuring awareness of its services. The Charity seeks to provhle services and actIv￿eS that
meet the needs of peopl8 in the community. These adivtties provide a posltive change in the
moral and spirttual climate of the ￿MMunIty, which reflects the Charity's Christian ethos and
beliefs.
Governance
Victory Centre. Oxford has a B08nJ of Trustees comprising four {4) church members that
Oversee the running of the Chartty. The Twstees meet bi-annually with the Pastor and the
Head of the vdunleer5 to address any g)vemance issues and review the Charitys financial
status and ￿MMitments.
Leadershlp Stru¢lure
Each department within the Church has a head of dePartrn￿t. All heads of departsnents ar8
overseen by the Head of Volunteers. vhK) reports to the Pastor. The Pastor is th8 overall
leader of the Church.
Quarterly meetlngs were held throughout th8 year for the heads of department. Head of
volunteers and tho Pastorto plan and discuss the operation athtli88 of the Churth and any
$P8cial programmes.
Departmenls within the Church are:
Children's Church
Youth Ministy
Men's Ministy
Ladles Ministy
Choir & Worship Team
Hospitaltty Team
Te(*nical Team
Evangelism Ministy
Follt)w-up Team
Pastor of Vlctory Centr4 Oxford: Pastor Emrnanuel Oyedoh

Charfty Trustees:
Trustee
Signature
Mr Tony Gunn
Mrs Winnie Nant8za
Gasana
Secretsry
Dr Olusola AkinroLqbu
Mr Emmanuel
Ehibhatiomhan

MOSES
BOLE&CO
INDEPENDENT EXAMINER'S REPORTTO THETRUSTEES
REDEEMED
ISTIAN CHURCH OF GOD-
CTORY
RE
I report on the accounts of the charity for the year ended 311W December 2024. which are
Set out below and notes to the financial statements on pages 7 to 17
Respective Responslbilities of Trustees and Examiners
As the Charit¢s Trustees. you are responsible for the preparation of the accounts; you
consider that an audrc is not required for this year (under section 144(21 of the Charity Art
2011lthe 2011 Act) and that an independent examination is needed. It is my responsibility to
Examine the account {under sertion 145 of the Attl.
follow the procedures laid down in the General Dirertions given by the Charity:
Commission (under sertion 145{51 {b) of the 2011 Act and
State whether particular matters have come to my attention.
Basis of Independent Examinerfs report
My examination was conducted in accordance with the general directions provided 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 consideratlon of any unusual items or disclosures in the accounts and seeking
explanations from you as the Trustees conceming any such matters.
The procedures undertaken do not provide all the evidence that would be required in an
audit. Consequently. no opinion is given as to whether the accounts present a "true and falr
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 has come to my attention:_
l) Which Bives me reasonable cause to believe that, in any material respect, the
requirements
To keep accounting records in accordance with section 130 of the 2011 Act;
To prepare accounts which accord with the accounting records and to
comply with the accounting requirements of the 2011 Act have not been met
or
21 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 (HONSJ FAI4 FCPA FF4 FIP4 FfA FIC CPFA..
Managing Partner
MOSES-BOLE&CO
DATE..
2025
+44 7584D7 5572. T: +44 020 7

REDEEMED CHRISTIAN ¢HUR¢H OF G¢)DtR¢CGI.VICTORY CENTRE STATEMEP
OF FINANCIAL ACTIVITIES FOR THE YEAR ENDED 31ST DECEAIBER 2024
Prior
year
Funds
Note Unrestncted inccrfne ErKlcNrnent
Funds
Funds
Funds
Total
Funds
In¢omlng I•￿Ure•¥
Income and endowments from:
Donations and leg￿leS
Tolal
110.629.18
110.629.18
110,629.18
110,629.18
114,308
114,308
RMourc•s •xp•nd•d
xp•ndltur• oni
Direct Cost
Support Cost
Governance Cost
49.147.22
34,568.24
2.335.
49,147.22
34,568.24
2,33S.00
55.343
34.323
2.240
Total
88,050.48
86.050.46
91.907
Other gainsl{1088esl
N•t mov•m•nt In fund•
24.578.72
24,578.72
22.401
R•conclllatlon ol fund•1
Totsl fvnds brought forward
126,Iy23 44
126,023.44
103,623
Total funds carrled fobwavd
150,602.16
150.602.16
126,023

REDEEMED CHRISTIAN CHURCH OF GOD(RcCQFV￿RYcE￿TrÉ
BALANCE 8HEET ASAT 318T DE¢EhlBER 2023
Restrithd
Not•$ Unrestricted Endovnnonl
Funds
Fur
Funds
Tolal
Last
Totsl
Funds
Flx•d 4ss•tS
Tangible assets
Totsl fixed a88ets
943.12
943.12
943.12
943.12
1.820
1,820
Current ass•ts
Cash at bank and in h￿d
Totsl current a88ets
10
127,225.32
127,22S.32
127,225.32
127 225.32
CreditDr3'. amourts falling d
wlthin one year
2.145.1
2.145.00
Net current assetsllltajilfties)
125 080.32
12
080.32
Totsl assets less ¢UTTent liablltties
126.023.44
126 023.44
Creditors.. amounts falllng due after
one year
Provisions for liabilit*
Total nel assets ¢X li&ilitie8
126.023.44
126 023.44
103622
Fund$ ofth• Charlty
Unrestricted funds
Total funds
126.023.44
126 023.44
126.023.44
126 023A4
103,622
103.622
Signed by one or t￿1 trustees on behalfof all the trust
Dale of appn)vd..
Slgnature..
Print Name.. tsJifiJiF¢frO NAfrJTtLA 4ASftpuPf .

REDEEMED CHRISTIAN CHURCH OF GOOIRCCG].VICTORY CEPMIE STATEMEpir
OF FINANCIAL ACTIVITIES FOR THE YEAR ENDED 31ST DECEMBER 2024
Prior
year
Funds
Note Unrestri¢Xed incc¥r* Endchvme
Funds
Fur
Total
Funds
R•Gomrn•nd•d ¢•t•gorfw by actlvlty
Incomlng I•￿Ure•l
Income and endowments from:
Donations and legac
Total
110,S29 18
110,629 18
110.829 18
110,629.18
114,308
114,308
Ixp•ndltur• on:
Direct Cost
Support Cost
Govemance C08t
49,147 22
34,568.24
2,335.(Kl
49,147.22
34,568.24
2,335.(M)
55,343
34.323
2,240
Total
88.050.46
86.050.46
91,907
Other gains11105￿)
N•t mov•m•nt In lund•
24.678.72
24.678.72
22,401
R•¢on￿lIatIOn of fi•nd•i
Totsl furbjs brought fonvard
128,023.44
126,023.44
103,623
Total fund8 carrlod lorw8rd
150.602.16
150,802.16
126.023

REDEEIAED CHRISTIAN CHURCH OF GODtRCCGJ.VICTORY cEl￿RE
BALANCE SHEET AS AT 31ST DECEMBER 2024
N¢)ts8 Unrestricted income ErKk>My￿ Tcrtal
Funds
Funds
Funds
Funds
Last
Year
Flxed assets
Tangible assets
Total fixed as8ets
2.235 41
2235.41
2.235 41
2,235.41
CurrMt ag8ets
Cash at bank and in haTh
Total CLFrrent asse1¥
150.6[￿ 75
150.606.75
150.608.75
150,606.75
127.225
127,225
Creditors.. amunts f811ing duo
within one year
2.240.00
2.240.00
2.145
Net Gurrenl a8$etsllli8brlit￿¥)
148,366.75
148.366.75
125,080
Tot81 assets le88 Current liabilbti88
150,602.16
150,602.16
126,023
Total net assets or li•bilÈUe8
160.602.16
180,602.16
126,023
Fund• of th• Charlty
Unresln¢led funds
Total funds
150,602.16
160.602.16
150,602 16
180,602.16
126,023
128,023
Signgd by one or tsvo trustees on bthatl rrf all the tru8teg6.'
Signature..
Date of approval..
PrSnl Name..

REDEEMED CHRISTIAN CHURCH OF GODtRCCG]-VICTORY CENTRE
NOTE TO THE ACCOUNTS FOR THE YEAR ENDED 31ST DECEMBER 2024
Not• l Basls of prnparatlon
1.1 Basls ol accountlng
These accounts have been prepared under the historie*l e05t convent]on vthh itwns rec￿JnI$ed
at cost or trans*ion Vall￿ unless otheThMse ststed in the relevant notets) to these accounts.
The acccwnls have been prepared in accordance wrth the Financial Reporb"ng Standard applicable
in the UK and Republic of Inland IFRS102} issued on 16 July 2014 and wth the Charities Act 2011
and the Chanty constrtutes a publK as definèj by FRS102.
1.2 Golng concorn
Considerlng the stead of Incomlng rnsotsrces andMWnb￿* number the Charlty Is
a golng concem wlth no any known unforeseen c1￿￿M$t8nee
1.3 Chang• of ￿￿O￿￿tIng policy
The a¢counls p￿sent a true and fair view and the &counting pclicies adcyted are those oudined in
the note bwth no change in p)li
1.4 Changos to a¢countlng •stlmatOS
No changes to XLounting estimates have ¢xturred in the rwbng peric%1 {3.46 FRS 1(r2 SORP}.
1.5 Matèrial prlor y•8r •vrorn
No material prior year error hav8 been identrfied in Ihe rerx)rbr¥J peri￿￿ (3.47 FRS 102 SORP}.

REDEEMED CHRISTIAN CHURCH OF GODtRCCGJ-VICTORY CENTrE NOTES TO
THE ACCOUNTS
CONTINUED
FOR THE YEAR ENDED 31ST DECEMBER 2024
Note 2
A¢¢ountlng pollcles
2.1 RECONCILIATION MTH PREVIOUS GENERALLY ACCEPTED
ACCOUPfflNG PRACTICE
There is no change in aixounting poliy in this Feric*1
2.2 INCOME
This standard Iisl of a￿￿unty￿j has L*8n typ￿￿J by ts tharity excetrtforthose lthd No or
'Nl4" Where a drfferent or additional has been ajopted than thK% is (*tsibJ in the box beknv.
Rocognltl•)n of In¢om•
are included in the Statement of Financaal A(*vTtEs ISOFAI vknen".
. the tharrty b8cornes to the ￿soUr{w",
. f(15 more likely tt)an notlhatlhe tru51ees ￿11 I￿￿* thè réswros." and
. thè Mo￿4ry valt* can bè moasuréd Tmth sufficaent relk*"lty.
Offsalllng
Therè has been no off5etbr4J of assets lthiliw or ir￿c￿ aThJ expense5.
Grants gnd donatlob
Grants and donab.ons are only induded in tha SOFA the gerwal inc￿￿ r￿n￿on critwia are
met15.10 to S.12 FRS 102 SORPI.
In the case of perfom)ano relat&Y grants, incc*nè mJ5t be r￿niSed to ts extent thatthe
charity h85 pro￿d￿ tre goots or 5ervkXS as enti11*￿ lo thè gtsnt onty ccojrs ￿ the
perf0rnan￿ ￿lated ¢ondib"cms are met15.18 FRS 102 SORP}.
There is no legacy duriNJ thts
No govemmant grantw88 r￿1Ve1 duriTrJ this
Tax r8clalm• on donatlons and •llts
Gift Aid re￿Nab￿ is Indu￿ in incryre wten the￿ is a valwj ¢J8daTrtion from Ihe donrx. Any Grft
d amount récovered on a donatwjn E (t¥Wje￿ tr> be part of that grft and is treated as an addition
to the same fund as the inthal donation unkn the don￿Or Il* tèrms of the ap￿81 have spwfied
Othe￿$￿.
This is not appli(¥b
l)onaled goods
ThpAe is no donated gor>d.
DOmt￿ $•Y¥iG•S and facilitles
Donated servi￿$ and farilib.es a￿ includ8d in ts SOFA wlEn atthe Val￿ ofthe ￿"ttl0 thè
chanty provwjed the value of tre gfft w be rr￿SUred rèlAbty.
Donated se￿￿ and faolms that are (X)r￿Urned tmm&Yiatety a￿ rwnised as Inco￿ wth an
equivalent amoullt recognised a3 an undertr* appropriate heajiro in the SOF
Support ¢osts
The charity has In￿r[￿l eybyiture on yjpwrt costs.
Voluntaer holp
The value of any voluntary help re¢dv&l is not in the 3￿nts tyjt 1$ in the
tru8tee5' annual reFhYt.

Not appb.thle during this peric¥J.
from m•mber•hlp *ub•¢rlpU•Th•
Tithes and oiferiryJ frcffl the nRrt*rs are in thè naknp rfa gfft are rwniwj as Dort8tions.
aTrY Legaaes
S•ttlom•nt of In•wanee clain
Insuran￿ daims are only included in tha SOFA the ge￿ra1 incryne reciNJnfoon ¢JrtèTia are
mèt15.10 to 5.12 FRS 102 SORP) arKI a￿ ind4**J as an item ofothw in the SOFA
Inv•$tmont 9alns loss
Thls indudes any wltsed or unrealised gairts or k)8se5 on Ihe Sa￿ of in¥estrnents and any gain
k)ss resulting from revaluing invesknents tt) market value atthe end of the yèar.
2.3 EXPENDfTURE AND LIABILITIES
Liablllty recognlllon
abil￿e$ ara re￿gnised where it is [r￿e Iikety than not that ther8 a 1gJaJ ￿l)￿StrUth c4)FvJation
cA)mmittsng the charty to pay out res￿r￿ aThJ the aryKJurrt ofthe Obligati￿ ran te n*asU￿ wrth
reasonable certainty.
Govornan¢• and *upport costs
Support (X)5ts have been alloG3bJ be￿ go¥￿nan￿ costs and othergJpF*yL Govenance Lyjsts
comprise all (x)3ts involving wblic ac0)unI￿￿' ty Oft￿ charity arKJ ts 0xnpl1a￿ ￿ wuLqtKXL and
pracb
Support costs Ind￿16 ¢%ntral fiJn¢XK)ns and have been allrKabJ to a¢*vity cc*t ¢8tegws on a basis
consistent thè use ol ￿￿r¢e5, eg allctab"rKJ proFerty ojsts ty fioorareas, or pwwrta, gtaff
eosts by thtr time spent and other wsts by thèir wge.
The Charty 1$ r￿t a%%8rding grant to any otgani5abon
Orants payabJ• wlthout perforni•nc• condlllo
Whère there are no coThJi1sons attachirrtJ to the grant that enabks thè d￿r chanty lo realisticalty
vohl thè c£mmrtm•nL a Irdbilrty for￿ full ftJThJirYJ (*ll￿thn mustbe I￿n￿ed.
Redundgn¢y cost
The tharity made no r8duTrJancy ptyyrwts duriTrJ the repytirYJ
Defernd Incom•
No matsiial item ofdeferred irvJyrE has teen in a¢y)xyts.
Creditors
Prov1814)n$ for 11obilities
A liability Is measured on recognit￿ at 6ts hi%ton"cal rA>St aTrJ then subwL*nty at th&
best estimate ofthe amount requir&J to setde the ￿1g￿"On at the ￿￿rbr9 dale
Basic Ilnanclal Instrumebrts
The charity accounts for bas￿ finanoal in8trun*nts on inbti.al rwnilion as w paragraph 10.7 FRS
102 SORP. measur*r*nt i8 as per paragrath 11.17 to 11.19, FRS 102 SORP.

2.4 ASSETS
Tangible Ilx•d ass•ts for use by ¢harity
Thes& arè ￿￿talISed ifthèy can te Vsed for rrbNe than artl ¢))st at
They are valued at cost
The depreoation fdtes aNJ rnethc¥J3 uwj are drscacÉ8d in Th)te 14.
Intsngibl• fixed assets
The chanty has no intang.ble fixed assets, Ihat i8, ntyHnonetsry assets that do not have phy%cal
substsnTr but are Kjerbtifiable and a￿ control￿￿ by ts charity through ¢xistc*ty or Wl rights. Ttr
arnortisation ratas and methcds us&g are disclosed in note 15
Thèy are valued at c￿l
H•rftago assets
The charity has no heritage assets, that rs. rwJFrnonetary assets ￿ hLStoric. artistrc, swty.fi
technological. geophysical or environmentsl qU￿[be$ that a￿ hekj aTrJ rnaintsineij prinopally ￿ their
eontn'bution to ￿n0￿edge culturè. The depreciab.on rates aTrJ rTEth¢yJs used as disclc6al in
note 16 is not applicable during this period but if avaiW)le t￿Y are valL*d at ¢))st
Investments
Fix¢d asset inveskn*nts in quoted shar8s. Ir*Jed boTrJs arnl swnilw inv&thents alp valuwj at in1b￿lY
at cost and SubS￿Uent￿Y * fair value (their market value) at thè year end. The same trEath￿t is
appl￿d to unlisted invèstsnents frdir value cannot be ryvsured In whth case rt
measurèd at cost ￿$5 A7)pairrrwt.
Invesbnents heid for rèsale or pending IhÈir Sa￿ and cash arnl cash equlva￿nts wrth a malurity date
of less tran 1 year are tre*d as tsjrrent &sei invesbnetts
Debtors
Debtors {indudiNJ trade dèbtors aThl bans rece￿ab￿l are rneasu￿ on inibal rwnthon at
Sett￿rnent amount aftèr any trade di8c(xJnts or amount advanrAY by th2 ¢*arity. Subsequenty, they
are measured at the cash or other consthrnb.on e¥¥ected to t* reCeN￿l.
Currert asset inv•5tmonts
The charity has has Investsnents %thid) rt hotds ￿ resale or rH*YiwJ Ih*r sale cash and cash
equivalents witt) a maturty date less than one year. These sndude cash on depw"t and cash
equivalents wth a n￿[ty dat& of less than one JEar hebj for mvestrmrt wrposes ratherthan trj
rneet short temi cash Commitrnents as they fall due.
They are val￿d at fair vaue except %ther• Ilw qualty as ￿"C financial inthments.
POLICIES ADOPTED ADDITIONAL TO OR DIFFEIIENT FROIIJ THOSE ABOVE
TheTe is no any other policaes adoptey
li

REDEEMELI CHRISTIAN CHURCH OF GODtRCCG].VICTORY CEiifRE PIOTES TO
THE ACCOUNTS CONTINUED
FOR THE YEAR ENDED 31ST DECEMBER 2024
Not• 3
Prior
Analysis
Unrnstrl¢￿ income
Funds
Funds
Endo
Funds
Totsl
Funds
year
Funds
Donations and legac1￿.
Donations and gffts- Tthes and Offering
Interest Income
Total
108.627 32
2,001 86
110.629.18
108,627.32
2,CQ1.86
110,629.18
114,308
114,308
TOTAL INCOME
110,629.18
110.629.18
114.308
Oth•r inforniation:
11 Ineom• in th• prlof y•ar was unr•strkted.
Thor• was no any ondowmont fund c•nv•rt•d Into Incom• In th• r•portlng p•rl¢xl.
Inelydinq th• prlor y•ar,th•r• was no mat•rlal Income items wllhln the abovo
that r•qulr• disclosuro of its natur• and amount.
12

REDEEMED CHRISTIAN CHURCH OF GODtRCCG]_VICTORY CENTRE NOTES TO
THE ACCOUNTS Icofr¥fiNUEDI FOR THE YEAR ENDEO 31ST DECEMBER 2024
Note 4 Analysis of •xp•nditsr•
Re5￿cted end<)
UnrnstrlC￿ Income ment
Funds
Fund
Funds
prtor
Analysls of •xpendliur•
Total
Funds
Funds
DIRECT COST
World Ev8n9elism Missknn
Fèstival of Lrfe
RCCG-Central Offi
Hor￿￿TarIUM
Welfare
Seminarsl Conference & Retreats
Sunday sth￿l Expenses
Music Expenses
Thanksgiving
Pastors Salaries
Minister Housing A￿mOdatiOn
2,41Y) (KI
2,4￿.
2,400
250
1,200
4.600
15,475
2,701
12lXJ IX)
2.050.
6.867.
3.758.(
403.rKI
1,219.22
2.4CQ.
11.0￿}.1￿)
17,81X).00
49.147.22
1.200.C
1050.
6,867.tKI
3,758.
403.00
1.219.22
2,400 Tr)
11,050.C
17.800.00
49.147.22
2,41X)
10.2CM)
15.450
55,343
SUPPORT COST
Premises cost￿ent
Gifts & Donations
Children and teenage departmerrt
Rgp8irs and maintenance
Printing. Postage and Stsb"onary
Electriaty & Gas
Insurancè
Tr8vel Exper￿eS
Refreshment Entertainment
Training & Seojrity
Advert & Media Expenses
Depreciatic¥)
Smart Pension
17,433.
1,410.
3,668.17
545.76
311.
118.IKI
359 02
421.08
8.￿20.00
215.40
155.88
942 69
8.24
34,￿8.24
17.433 Th)
1.410.(
3,668.17
15,882
4,450
3,255
1,711
294
311.00
118.00
359.02
421.08
8.020.00
215.40
155.88
942 69
.24
34,568.24
5.237
304
145
2.226
819
34,323
TOTAL EXPEMDITURE
83,715.46
83.71S.46
89,667
13

REDEEMED CHRISTIAN CHURCH OF GODtRCCG]-VICTORY CENTRE NOTES TO
THE ACCOUNTS
CONTINUED
FOR THE YEAR ENDED 31ST DECEMBER 2024
Noto S
D•tall$ ol certaln It•mg of exp•ndituY•
5.1 Fees for examinatk)n of the ￿Unts
Please provide details of the amount paKI for any statutory extemal scrLrtiny of accounts and other
services provided by yOLtr inderendent examtner. If nothing was paid please enter'o, in the appropriatè
boxles).
GOVERNANCE COST
This Y•ar Last Year
Independent examinerfs fees
450.00
450
Assuran￿ $ervices other than audit or independent examination
985.00
Other fees (for example". financial advts. consultancy. acojuntsncy
services. elc.).
2,335.00
2.240

REDEEMED CHRISTIAN CHURCH OF GODtRCCG].vfcTORY CENTRE NOTES TO
THE AG¢OUNTS I¢ONTINUEDI FOR THE YEAR ENDED 31ST DECEMBER 2024
Note 6
Tanglble Ilxed assets
F￿ehold
m￿hl￿ery Fixture6.
nd& CffjuiÈr &motor fidI"n￿l
bulldlng• ¥ohi¢18•
oquipment
Totol
Lasi
Year
Tolal
At the beginniTrJ of the year
1.$35.76
2,fl)O.(Kl 15.819.49
19,955.25
18,
itv)ns
2.234 98
2.234 98
1.349
At end of the year
3.TIO.74
1000.00 15m9.49
2Z,190.23
19.955
6.2 Depw*tion and impairn%nts
"Basis
Long Temi Lea$ehokl ProF¢rty
Molorvehi
Fixtijres & Fithngs
Offic8 Equitfflenl
Computer Equipment
2%
25%
Stra￿3ht Line
Stravjht
Str?￿hl tine
ht ￿ne
' Raie
25%
Al *inning of the year
Dapreckqtion for the year
At and of th• y8ar
1.229.39
942.69
2.172.08
2.E￿.co 15,182.74
19,012.13
942.69
19,954.82
16,788
2,226
19,012
2.6(XJ.00
15.182.74
6J Net book valu?
Net book value at the beginning of the Yr.
Net book value at the Ènd ol the year
3￿.37
1,598.66
636.75
636.75
943.12
2335A1
1,820
943
6A NOME
No d95CnPtron of lh8 8V8nts and arcwnslarKss that tpjj lo tr* rec¢gntlbw or
reversal of an ryawn￿￿10$S
6.5 Rovsluation
An accounting OiLry of rèvaluatp)n 15 adopt&J thJfftJ Ihrs acojuthd p8ric#J..
the effedive date of the rev8ly8ty.on 4 NIA
the name of indeFendent valuer, rf oppIKable- WA
the appl￿￿ and wn"fftant awMpts0￿= WA
the ¢arying 8mount thatwoukl have teen rery)gnwJ had thE as8ets bEen ¢xrt¢d undErthe
cost model.
6.6 Other diselosurns
lil Hease state the amount of b¢wrwn9 costs. rfany. r•alEed in th¢ ca)n¥trythn of tsThJible
xeo assets Ihe ¢3MalEatK)11 r8t8 US8d= NIA
lill P￿se wov>ae the arwjrrt ofCOrth￿8l ccfflrtrn8ntsfor the ac4W5thn of langible
8s8ets- WA
lili) Detsrfs of the ex3sten￿ and ca￿￿n9 arrounts of property. pL7nt and to Ihe
cknarty has restrtcted tst￿ or that a￿ as S￿nty for 1k1￿"1￿$= NIA
15

REDEEMED CHRISTIAN CHURCH OF GODtRCCG]-VICTORY CENTRE NOTES TO
THE ACCOUNTS
CONTINUED
FOR THE YEAR ENDED 31ST DECEMBER 2024
Note 7
Cr•dltors and accruals
Please complete this note rf the charity has any credil(Ks or accruals.
Amounts falling due
Within
More Than
1 Year
1 Year
Prior Year
Amounts falling due
Within
More Than
1 Year
1 Year
7.1 Analysls of creditors
Accruals
Total
2.240.00
2,240.00
2,145
2,145
THERE IS NO DEFERRED INCOME DURING THIS PERIOD
16

REDEEMED CHRISTIAN CHURCH OF GODtRCCG]-VICTORY CENTRE NOTES TO
THE ACCOUNTS
CONTINUED) FOR THE YEAR ENDED 31ST DECEMBER 2024
Note 8
Cash at bank and In hand
Th18 Year
Last Year
Savings Account
Cash at bank and ¢Jn hand
Totsl
147.201 94
3,404.81
150.606.75
123.781
127,225
17