COMPANY REGISTRATION NUMBER: 07534045
CHARITY REGISTRATION NUMBER: 1140n5
RCCG Hosanna House Christian Centre Ltd
Company Limited by Guarantee
Unaudited Financial Statements
29 February 2024
AD
IAN
Chartered Certified Accountants
141711419 London Road
Norbury
London
SW16 4AH

RCCG Hosanna House Christian Centre Ltd
Company Limited by Guarantee
Trustees, Annual Report (Incorporating the Director's Report)
Year ended 29 February 2024
The Iruslees, whg are also the directors lor the purposes ol company law, present their report and Ihe
unaudited financial slalemenls ol the charity lor the year ended 29 February 2024.
Reference and admlnislratlve detalls
Reglstered charlty name
RCCG Hosanna House Christian Centre Ltd
Charity reglstrailon number
1140735
Company reglslratlon number 07534045
Prlnclpal oftice and reglstered Unil 4 Cross Industrial Eslale
offlce
Cross Street - North
011 Cannock Road
Wolverhampton
WV1 1PP
Wesl Midlands
The trustees
Deacon R Adedoyin
P2s1or A Owojuyigbe
Pastor K Okafor
Company secretary
Pastor Chukwunonye Ezeah Phd
Independent examlner
G Mario Kumar FCCA
141711419 London Road
Norbury
London
SW16 4AH

RCCG Hosanna House Christian Centre Ltd
Company Limlted by Guarantee
Trustees, Annual Report (Incorporaling the Director's Report) (conlIn[￿d)
Year ended 29 February 2024
Struclurg> governan¢¢ and management
RCCG Hosanna House Christian Centre Limited is one ol over 700 parishes ol the Fledeemed
Christian Church ol God in the UK and Ireland and several thousand world-wide headed by the
General Overseer - Pastor E A Adeboye. The global headquarters ol the Fledeemed Christian Church
ol God is in Nigeria. RCCG Hosanna House Christian Centre is an independent UK registered charity
with agreement ol common purpose with RCCG UK as parent ¢harity.11 is therefore under obligation lo
render returns lo RCCG UK'S Central Ollice in London.
RCCG Hosanna House Christian Centre is run by the Pastor and a group ol ministers appointed by
him. The trustees have no jurisdiction over appointment Temoval or discipline or spiritual ellecliveness
ol the pastor and or his ministers. The ministers are usually apptsinled by merit aller seeking divine in
prayers. The authority lo run the linancial aspects ol the church is delegated lo the Pastor by the Board
ol Trustees. The Pastor presents his annual budget lo the Iruslees lor approval. and upon approval,
would be required lo operate within the budget. Trustees meet al least twice a year, except where
emergency meetings are called lo deliberate on matters that require urgent attention.
Truslees. recruilmenl and appointment is by advertising within the Christian Cofflfnunily. Nomination by
existing members ol the board ol trustees has been found to work with other churches within the
group. There is no provision lor rolalional retirement. Trustees may resign aller giving an appropriate
notice in writing. A trustee cannot be sacked, unless helshe is found not lo be lit and proper according
lo UK law and Christian ethics andlor missed all the meetings in the year where helshe may be asked
lo slep down.
Trustees are briefed on one on one basis upon appointment by the chairperson and are eftcouraged lo
attend Iruslees. awareness courses usually organised by RCCG Central Office UK. They are a150
encouraged to keep abreast ol development within the UK voluntary seclor.
The Charity has a risk policy available lor inspection in the church office. The church's only employee
is the pastor whose ollice is presently in his home. Any worker who comes in contact with children and
vulnerable adults is required lo undergo Criminal Records Bureau Check before assuming hislher iole
Oblectlves and acllvltles
The mission ol RCCG is lo propagate the message ol the Christian Scripture around the world and lo
proclaim the salvation lound in Jesus Christ. As a church, il seeks lo convert lost souls and reconcile
them with their creator. In summary..
1. To go lo heaven
2. To lake as many people as possible wilh us
3. To have a fflember ol RCCG in every family ol all nations
4. To have a local parish within 5 minutes. drive in every city ol the world 5. To reliel poverty in so lar
as il is possible

RCCG Hosanna House Christian Centre Ltd
Company Limited by Guarantee
Trustees, Annual Report (Incorporating the Dlrector's Report) (conNnu8dJ
Year ended 29 February 2024
Achlevements and performance
We are much pleased lo say that we conlinue lo make progress spiritually, touching individual and
family lives in a positive way. The size of the congregation has increased numerically. We were able lo
hold three successful outreach programmes in the year under review with a good number tsl visiting
ministers in attendance. During the course ol the year we continued our weekly prayer vigil themed
MIDNIGHT CRY, lo pray for families and our community. To the glory ol God, the church carried out
major renovation works and purchased additional worship equipment lo aid ils services. The fftonlhly
marriage and relationships serninar is growing strongly. We are seeing a lol ol healing lo the health ol
many marriages, with increased beller quality ol family life. We are very successful with various
leslimonies ol divine healing and resloralion still coming in. Brethren continue lo donate generously
towards the good cause. Now in our twelfth year ol operation following registration with the Charity
Commission, the Church has continued lo make good progress. We are much grateful lo the
authorities ol the University ol Wolverhamplon who conlinue to allow us lo run a special youth
fellowship lor the students ol the university during the year.
Flnanclal rgvlew
Total ineorne reported lor the year lo 28 February 2024 was £133,577,comprised ol donations and
lilhes lowards unreslricled funds of £123,653, restricted building funds 01 £7,943 and bank interest
received of £1,981. We are grateful lor the spiritual maturity ol our members lor being lailhlul in their
tithing. Tithes accounted lor £73,353 01 the lolal donations with ollering al £27,289. Friends ol the
Parish continue to donate by giving regularly by direct credit and other means. We gave £7,166 10
World Evangelism Movement IWEMI.. £1,200 to the Central ollice Area.
The pastor did not receive a salary during the year. There was a nel surplus of £73.187 01 unreslricled
income and £7,943 01 restricted income in the year. As at 2810212024 our nel worth was £211,445.
which also includes the lolal funds of £23,011 ieceived from HMRC under the 'Gift Aid. scheme.
Plans for future perlods
Overall, our locus in the immediate lulure is lo Continue lo do what we are presently doing, bul with
greater elliciency and vigour, reaching out lo the wider community with the love ol Jesus Christ and the
message ol salvation. We intend lo strengthen our Youth and Children Church by recruiting and
training more volunteers and equipping Ihe unil with needed lacililie5. We are also in talks with Trussel
Fund lo open a Food Bank in the Whilmore Reans area ol Wolverhampton lo attend lo the needs ol
the poor in our community. We plan lo sponsor a good number ol our volunteers lo undertake update
course5 in charity governance so as lo remain compliant with applicable regulations.
Small cornpany provisions
This report has been prepared in accordance with rhe provisions applicable lo companies enlilled lo
the small companies exemplion.

RCCG Hosanna House Chrlsiian Cenire Lld
Company Llmlted by Gijaranlee
TrustÉthe$' Annual Rèpori (Incorpor•llnq Ihe DlrÈclor's Report)
Yèar ended 29 February 2024
Thp Irii<lop*' annii<)l ir*poil Hi)Ivnvpd nt) ?? Nnvpmlw. ￿?1 aryl %ior4wI nv ￿hAll ryl IhA b)a.d ol
Irii%ivpq bv
Pa8loi A Owoiiiwobtr ITriioipel

RCCG Hosanna House Christian Centre Ltd
Company Limited by Guaranlee
Independent Examiner's Report to the Trustees of RCCG Hosanna House
Christian Centre Lld
Year ended 29 February 2024
I report lo the Iruslees on my examinalion of the financial slalemenls ol RCCG Hosanna House
Christian Centre Ltd I'lhe charitll lor the year ended 29 February 2024.
Responslbllltles and basls ot report
As the Iruslees ol Ihe company (and also ils directors lor the purposes ol company lawl you are
responsible lor the preparalion ol the financial slalemenls in accordance with the requirements ol the
Companies Act 20061'lhe 2006 Act'l-
Having satisfied myself that the accounts ol the company are not Tequired lo be audited under Part 16
ol the 2006 Act and are eligible lor independent examination, I report in respect ol my examinalion ol
the charity's accounls as carried out under section 145 01 the Charilies Act 2011 I'the 2011 Acl'l. In
carrying out my examination I have followed the Directions given by the Charity Commission under
section 14515llbl ol the 2011 Act.
Independent examiner's statement
I have completed my examination. I confirm ihai no matters have come to my attention in conngclion
th the examination giving me cause lo believe:
accounting records were not kept in respect ot the charity as required by section 386 01 the
2006 Act.. or
the financial slalemenls do not accord with those records; or
the linancial statements do not comply with Ihe accounting requiremenls ol section 396 of
Ihe 2006 Act other than any requiremenl that the accounts give a 'irue and lair. view which is
not a maller considered as part ol an independent examination., or
the financial slalemen15 have not been prepared in accordance with the melhods and
principles ol the Statement ol Recommended Practice lor accounting and reporting by
charities applicable lo charities preparing their accounts in accordance with the Financial
Reporting Standard applicable in the UK and Republic ol Ireland IFRS 1021.
I have no concerns and have come across no other mallers in eonneclion with the examination lo
which attention should be drawn in this report in order lo enable a proper understanding ol the
accounts lo be feached.
G Mario Kumar FCCA
Independenl Examiner
141711419 London Road
Norbury
London
SW164AH

RCCG Hosanna House Christian Centre Ltd
Company Limited by Guarantee
Statement of Financlal Activltles
{includlng income and expendilure account)
Year ended 29 February 2024
2024
Reslricled
lunds Total funds Total funds
2023
Unreslricled
funds
Note
Income and endowments
Donalions and legacies
Investment income
123,653
1,981
7,943
131.596
1,981
133.577
109.896
254
Tolal Income
125,634
7,943
110,150
Expend5ture
Expenditure on raising funds..
Costs ol raising donations and
legacies
Expenditure on charitable activities
Total expenditure
34,466
77.981
52.447
34.466
17.981
52,447
18,335
27.080
39,415
Net income and nel movement in funds
73,187
7,943
81,130
70,735
Reconclllatlon of lunds
Total funds brought forward
Total funds Carrled forward
130,315
203,502
130,315
211,445
59,580
7,943
130,315
The Slalemenl ol financial acliwlies includes all gains and losses recognised in Ihe year.
All income and expenditure derive from continuing aclivilies.
The notts on pag•s 8 10 14 lomi p•rt ol th•$& Ilnanclal $latements.

RCCG Hosanna House Christian Cenlre Ltd
Company Llmlled by Guaranlee
Statement of Flnanclal Posltlon
29 February 2024
2024
2023
Flxed Bssel$
Tangii)18 Iixed assets
Nol•
13
7.770
Currtni assets
Cash al bank arid in halld
2trJ,646
123.265
Cr2dllor¥: 8mounls Iolllng due wllhln one ye&r
Nel current assets
Tol•l assets le$s Currenl Ilabllllles
14
1,2ThJ
202,446
211,445
720
122.545
130.315
Funds ol Ihe charily
Reslricled funds
Unrestricted lunds
Toial charlty funds
7,943
203,502
211,445
18,065
112,250
130.375
1$
For Ihe year ending 29 February 2024 th8 charily was enlilled lo exemption Irom audit unL1er se¢lion
477 01 the Companies Act 2006 relaiing Io small companies.
DiTeuors' responsibililies-.
The members have noi required Ihe Company lo oblain an audil ol ITS financial Slalernen15 for the
year in queslion in accordance wilh section 476.,
The direclors aCknO¥￿edge Iheii ￿SpOnsibl1111es lor eomplying wlh Ihe requirements ol the Act
Wtlh respeci lo aeeountsng records the preparats.on ol linaneial slalements.
These financial slalemenls have been prepared in accoidance wilh Ihe provisions applieable lo
companies subject lo ihe small companies. re9ime.
These financial statemenls were approved by Ihe board ol iruslees and authorised lor issue on 22
November 2024, and are signed on behall ol Ihe board by..
Pastor A Owojuyigbe
Director
Th• nol•• on pao08 110 14 lorm part ol Ih•so Iln•nclal $lal•m•nl

RCCG Hosanna House Christian Centre Ltd
Company Llmited by Guarantee
Notes to the Financial Statements
Year ended 29 February 2024
General informatlon
The charity is a public benefit enlily and a private company limited by guarantee, registered in
England and Wales and a registered Charity in England and Wales. The address ol Ihe registered
ollice is Unil 4 Cross Industrial Eslale, Cross Sireel - North, 011 Cannock Road. Wolverhamplon,
WV1 1 PP, Wesl Midlands.
Statement of compllan¢e
These financial slalemenls have been prepared in compliance with FFIS 102. 'The Financial
Reporting Standard applicable in the UK and the Republic ol Ireland.. the Slalemenl ol
Recommended Praclice applicable lo chaTilies preparing their accounts in accordance with the
Financial Reporting Standard applicable in the UK and Republic ol Ireland IFRS 1021 Icharilies
SORP IFRS 10211 and the Companies Act 2006.
Accounllng pollcles
Ba$ls ol preparatlon
The financial slalemenls have been prepared on the historical cost basis. as modified by the
revaluation ol certain financial assets and liabilities and investment properties measured al lair
value through income or expenditure.
The financial slalemenls are prepared in sterling, which is the functional currency ol the entity-
Golng concern
There are no malerial uncertainties about the charivs ability to continue.
Fund accounllng
Unreslricled lunds are available lor use al the disereiion ol the trustees lo further any ol the
eharity's purposes.
Designated lunds are unrestricted funds earmarked by the Iruslees lor particular lulure project or
eommilmenl.
Reslricled funds are subjected lo reslrielions on their expenditure declared by the donor or
through the terms ol an appeal, and fall into one ol two sub-classes.- rgslricled income funds or
endowment lunds.

RCCG Hosanna House Christian Centre Ltd
Company Limited by Guarantee
Notes to the Financial Statements (conllnuedj
Year ended 29 February 2024
Accountlng pollcles (confltjued)
Incomlng resources
All incoming resources are included in the statement ol financial activities when entillemenl has
passed lo the charily,. il is probable that the economie benefits associated with the transaction will
flow lo the charity and the amount can bo reliably measured. The following specific policies are
applied lo particular categories ol income:
income Irom donalions or grants Is Tecognised when there is ovidence ol eniillemenl lo the
gill. receipt is probable and ils amount can be measured reliably.
legacy income is recognised when receipt is probable and enlillemenl is established.
income from donated goods is measured al Ihe lair value ol the goods unless this is
impractical lo measure reliably. in which case the value is derived from th8 cost lo Ihe donor
or the eslimaled resale value. Donated facilities and services are recognised in the accounts
when received il the value can be reliably measured. No amounts are included lor Ihe
contribution ol general volunteers.
income from contracts lor Ihe supply ol services is recognised with the delivery ol the
contracted seNice. This is classified as unreslricled funds unless there is a eonlraclual
requirement lor il lo be spent on a particular purpose and rolurned il unspent, in which case
il may be regarded as restricted.
Resources expended
Expenditure is recognised on an accruals basis as a liability is incurred. Expenditure includes any
VAT which cannot be fully recovered, and is classified under headings ol the slalemenl ol
financial activities to which il ielates-.
expenditure on raising funds includes the costs ol all fundraising aclivilies, events, non-
charslable trading aclivilies, and the sale of donated goods.
expenditure on charitable aclivilies includes all costs incurred by a chaiily in undertaking
activities that lurther ils charitable aims lor the benefit ol ils benelieiaries. including those
support costs and costs relating lo the governance ol the charity apportioned to charitable
aclivilies.
other expenditure includes all expenditure that is neither related lo ralsing funds lor the
charity nor part ol its expenditure on charitable aclivilies.
All costs are allocated lo expenditure caiegories reflecting the use ol the resource. Direct costs
allribulable to a single activity are allocated directly lo that activity. Shared costs are apportioned
between the activities they contribute lo on a reasonable, jusliliable and consislenl basis.
Tangible assets
Tangible assets are initially recorded at cost, and subsequently slated al cost less any
accumulated depreciation and impairment losses. Any tangible assets carried al revalued
amounts are recorded al the lair value al the dale ol revaluation less any subsequent
aceumulaled depreciation and subsequent accumulated impairment losses.

RCCG Hosanna House Christian Centre Ltd
Company Limited by Guarantee
Noles lo the Financial Statements (contlnuodj
Year ended 29 February 2024
Accountlng pollcies (conllnuedj
Tanglble assets (coniinuedj
An increase in the earrying amount of an asset as a result ol a revaluation. is recognised in other
recognised gains and losses. unless il reverses a charge lor impairment that has previously been
recognised as expenditure within the statement ol financial aclivities. A decrease in the carrying
amount ol an asset as a result ol revaluation, is recognised in other recognised gains and losses,
except lo which it ollsels any previous revaluation gain, in which case the loss is shown wlhin
other recognised gains and losses on the slalemenl ol financial aciivilies.
Depreciation
Depreciation is calculated so as lo write oll the cost or valuation ol an asset. less ils residual
value. over the useful economic life ol that asset as follows-.
Furniture and lixlures
Motor vehicles
Equipment
250/& reducing balance
250/0 reducing balance
25 /0 reducing balance
Impalrmenl of flxed assets
A review lor indicators ol impairment Is carried out al Bach repoming dale, with the recoverable
amount being estimated where such indicators exist. Where the carrying value exceeds the
recoverable amount. the asset is impaired accordingly. Prior impairments are also reviewed lor
possible reversal al each reporling dale.
For Ihe purposes of impairment lesling, when il is not possible lo estimate the recoverable
amount ol an individual asset. an estimate is made ol the recoverable amount ol the cash-
generating unil lo which the asset belongs. The cash-generating unil is the smallest idenliliable
group ol assets that includes the asset and generales cash inflows that largely independent ol the
cash inflows from other assets or groups ol assets.
For impairment lesling ol goodwill. the goodwill acquired in a business combination is, from the
acquisition dale, allocated lo each ol the cash-generaiing units that are expected lo benefit from
the synergies ol the combination, irrespective ol whether other assets or liabilities ol the charity
are assigned lo those units.
Flnanclal Instruments
A financial asset or a financial liability is recognised only when the charity becomes a paty lo the
conlraclual provisions ol the instrument.
Basic financial instruments are initially iecognisgd al the amount receivable or payable including
any related transaction costs.
Current assets and Current liabilities are subsequently measured al the ea5h or other
consideration expected lo paid or received and not discounted.
Debt inslrumenls are subsequently measured 21 amortised cost.
10-

RCCG Hosanna House Christian Centre Ltd
Company Limited by Guarantee
Notes to the Financial Slalements (contlnuedj
Year ended 29 February 2024
Accountlng pollcles (contlnuedj
Flnanclal Instruments {conllnu¢dJ
Where investments in shares are publicly traded or their lair value can olhemse be measured
reliably, the investment is subsequently measured al lair value wlh ehanges in lair value
recognised in income and expenditure. All other such inveslfflenls are subsequently measured al
cost less impairment.
Other financial inslrumenls, including derivatives. are initially recognised al laii value. unless
payment lor an asset is deferred beyond normal business lerms or linanced al a rate ol interest
that is not a market rate, in which case the asset is measured ai the present value ol the lulure
paymenis discounted ai a market rale ol interest for a similar debt inslrumeni.
Other financial instruments are subsequonlly measured al fair value, with any ehanges
recognised in the slalemenl ol financial aclivilies, with the exception ol hedging instruments in a
designaled hedging relationship.
Finaneial assets that are measured al eosl or amonised cost are reviewed lor objective evidence
ol impairment al the end ol each reporting dale. 11 there is objective evidence ol impairment, an
impairment loss is recognised under the appropriate heading in the slalemenl ol financial
activities in which the initial gain was recognised.
For all equity inslrumenls regardless ol significance. and other financial assels Ihal are
individually signilicanl, these are assessed individually lor impairfflenl. Other financial assets are
either assessed individually or grouped on the basis ol similar credit risk characlerislics.
Any reversals ol impairment are recognised immediately. lo the exlenl that the reversal does not
result in a carrying afflounl ol the financial asset that exceeds what the carrying amount would
have been had the impairment not previously beon recognised.
Llmited by guarantee
Donatlons and legacies
Unreslricled
Funds
Reslricled Total Funds
Funds
2024
Donatlons
Tithes
Ollering
Building Fund donation
Gift aid received
73,353
27,289
73.353
27,289
7,943
23.011
131.596
7,943
23.017
123.653
7,943

RCCG Hosanna House Christian Centre Ltd
Company Limited by Guarantee
Notes to the Financial Slalements {contlnued)
Year ended 29 February 2024
Donatlons and legacles (contlnu¢dJ
Unresiricled
Funds
Reslricled Total Funds
FLtnds
2023
Donallons
Tithes
Ollering
8uilding Fund donalion
Gill aid received
47,759
21,940
47,759
21,940
18,085
22,132
109,896
18,065
22,132
91,831
18,065
Investment Income
Unreslricled Tolal Funds Unreslricled Total Funds
Funds
2024
Funds
2023
Bank interest receivable
1,981
1.981
254
254
Costs of ralslng donatlons and legacles
Unreslricled Total Funds Unreslricled Total Funds
Funds
2024
Funds
2023
Costs ol raising donations and legacies
Donations
34.466
34,466
18.335
18,335
Expenditure on charltable activltles by fund type
Unreslricled Total Funds Unrestricted Total Funds
Funds
2024
Funds
2023
Donations and legacie5
Support costs
8,966
9.015
8,966
9.015
7,599
13,481
7,599
13,481
17.981
17.981
21.080
21.080
Expendlture on charltable acllvltles by acllvlty type
Activities
undertaken
directly Support ¢osls
Total funds
2024
Total lund
2023
Donations and legacies
Governance costs
8.966
8,966
9.015
7.599
13,481
21,080
9.015
8.966
9.015
17,981
12-

RCCG Hosanna House Christian Centre Ltd
Company Limited by Guarantee
Notes to the Financial Statements fcLwllnu8d)
Year ended 29 February 2024
10. Net Income
Nel income is slated after ¢harging/lcredilingl'.
2024
2023
Depreciation ol tangible fixed assets
2,999
2,590
11. Staff costs
The average head count ol employees during the year was Nil12023-. Nill.
No employee received employee benefits ol more than £60.000 during the year12023-. Nill.
12. Trustee remuneratlon and expenses
No remuneialion or other benefits from employment with the charity or a related entity were
received by the Iruslees.
13. Tanglble flxed asset$
Fixtures and
liitings
Motor
vehicles
Equipment
Total
Cost
Al 1 March 2023
Addilions
4,704
1,500
16,434
4,228
20,662
22,638
4.228
26.866
Al 29 February 2024
Deprecialion
Al 1 March 2023
Charge lor the year
At 29 February 2024
Carrylng amount
At 29 February 2024
Ai 28 February 2023
4,704
1,500
1,176
882
1.211
72
12,481
2,045
14,526
14,868
2,999
17,867
2,058
1,283
2,646
3,528
217
6,136
3,953
8.999
7.770
289
14. Credltors: amounts falling due wllhln one year
2024
2023
Other creditors
1,200
720
13-

RCCG Hosanna House Christian Centre Ltd
Company Limited by Guaranlee
Notes to the Flnancial Statements (¢ontlnued)
Year ended 29 February 2024
15. Analysis of charllable funds
Unrestrlcl¢d funds
At
29 February
2024
Al
1 March 2023
Income Expenditure
General funds
130,315
125,634
152,4471
203,502
Al
28 February 2
023
Al
l March 2022
Income Expenditure
General funds
S9.580
92,085
139,4151
112,250
Restrlcted lunds
At
29 February
2024
Al
1 March 2023
Income Expenditure
Building Fund
7,943
7,943
Al
28 February 2
023
Ai
l March 2022
Income Expenditure
Building Fund
18,065
18,065
14-