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2025-03-31-accounts

REDEEMED CHRISTL4N CHURCH OF GOD- BIBIE CHRISTIAN FELLOWSHIP {IBCF) (REGisfERED CHARITY NUMBER- 114)956) FINANCIAL sfATEMENrs FOR THE YEAR ENDED 31 MARCH 2025. Cont¢Dt Truitte8 Annu￿ Repvrr N[>￿ tp tk A¢¢rno 8&9

For The Yeat E￿a￿d 31 March 21x25. R<dttmed Christian Church Of God. Bbbk Chii511m Felbwthip aBCF) P8stor Olu[n￿d¢ Iwc AIc5b PAstor Abio%t Dada Pasior Reuben bkeme ItLwe Mr r.red Okwt¢ htr ()14diThn O&tunbTr4c 2 TNnspurrWay Nti(Idleskn)ugh 754 2CID. NItW¢5t Pl.C MiddksbtOU8h hrAnch Middl¢Jbroy¢t BibAtund¢ M05aku L)'nc4¢ Prole$$iOn￿ S¢ryi¢ Clffiice 10. Bulk41 120, The Wirker Sheffield. S3 8JD Jb('r. MiibJlesknwRh wth trgistfTcd nJrity Numbtt 114fffJ561s 17 M*trh %)] l It li wTrvcrna by aTnJJt Da 20 July. 2010. The Overnll MAn48ernent (Jf the C.h4riry 15 the respTrnsibibty of the whD dr(th￿ un&tthc tcm)s oIthE ￿Ve￿ngd￿UmCtsL Day tu day poiect ￿l¥iry of& Ch￿Lty is man4ed and out by volun￿Tr.

Aftrju￿ Re[￿ (Contd) IlorTheYear Ended 31 ￿25. Clxari Airni aDd Ob" The w1nciF￿ Aims & objc(Dvcs of (baury attt - d￿nceMent of the Christign F￿th . Etnploiryt4ibvcESC WAY5 of ￿￿th￿￿7a a￿¥0£Me￿b￿5 with th k￿￿1￿OfGry1 dttper Spiritu￿ ￿o￿th . Tu pwvide h<>spixIity to W5iting tnirustw of tht NThxpd . The Teiief Df pverry We be8in by IL¢￿fe￿ tFAtths toGtyJ for Flis eontti]v¢Ai fatth(ulw provisiOt4 biessinR5 throU￿ut the !"eat. 4tMI I¢ll()wil￿P A￿ngSide thi4 QUT Ckni5tynAs ￿r[Unu￿ty Supyi iniUgUVt PX)v¥W t1￿ul1 items TO 1ndiv￿4U￿j )d f￿111¢3 in ned. helping to yead kwc duYin8 th¢ ftstive stason. Our E.'.aJtQr r￿mmuNIY Outreach rerniined a comerjfvne of OUT yurfy oivit& io shuc the h(F ()f fthri5t'$ r¢lur￿Ctl0JI thrt￿8￿ cts of kindness aTh4 ￿rViCe. In Jw4 our I'ithcés fky ¢¢icbfAttd fAthcr5 in vur c(>rnmunit!, h4hlwhtI￿ thc vithi Tok thry ply iti •JJl Ji( In ￿PonS¢ ￿ th¢ n5iD%COSt of h.y1￿ we continwd (wstwkni ￿p￿)N tknt provided fiyd PToiryyonÉ And tniletriv to ca#e the knrdeth on stu&￿11. We hol￿a a dpmK Youth SenunAr. focwxd on ¢4)pJW¢rjr4?￿ung pwple with bfe skills. Jowl thor W¥0[￿ iuutxwi Wc WCTe p￿VIl￿d its ￿ttom¢ a nurnkrofGuest Ministm thToughwt thr And prcscncc cnriched thiise oor sPintU￿ h"ve& Ow Tr.V¥￿I¥M OutrrAch tt>shte the mew of ￿VIllur fellowshi￿ exirttding Ch¢irf$ k>Y< io bf(>knuxnm¥nity. A memurabk Ouun8 otTtred m¢mE¢r¥ • litt￿ ¢rftf51 ftd cekbttM of unity within the chu¥¢h fth)Lty. The Wnrkeix Seminat VAS a y￿ub￿ ¢JtpJrtunity w 4wp i>ur voJunieet5 with the tym)￿. krtowJrd8c, and mtsTJWAuon to Continue serbry￿ efFeciiYety and Fwion8tdy. A5 WC tcfirct uts a rtar marked by 8rrnh.Jervir4 •rwJ I￿k ￿¥j Our pL4ns for thc months axe I￿>t£d in our msssion io SFqri¢VgJ cxpAnd OUT Outruth. aNI %tten8then the bonds withiD ourchurch famEI} We re proEoundlygryiefd tn cy￿ mEtnbcr Fot t1￿￿1￿¥￿a￿lIc%ti￿ and supw. Your fut1$ tsur couecttve misstoti dCt￿nstAtCS the FM)wer of faith ID aCt¥XL In clo31rt￿ wc ttkkntr A Year gnd cnnfikni tkn Gd will ujntinue ￿KU•je u&WIth vigion

Redece￿￿ Cbristtan orc￿. Bibk a￿&t1￿ Ftuwwship ￿BcF} Tmtet knntsal Rq>ort {Contd) FotThe Year Ended 31 March X125. tnctnbcts.'nktr tommttmeni 10 OUT sh9ra Missi￿ tesmmeni of (W tyhmunity aThd our collective desire to make p)sitive iD th¢ wothl. In conculsiot4 the year bA5 onc orgto￿ fCIb￿￿￿ atd ttnptL We humbkd by bJe$5iugs bestowed UFrf>n us cxcittd 4knut th¢ lutltte ]i¥ As (olltin￿ to serve with love And dcdi¢ativn. We atc conftht thxi Gud's wdl i¢d u5 to cvcn l¥&r. kt t[￿tt￿ Eotw& makwx (bfferencc Th¢"ITuST¢rS Jf¢ f¢%pfflvble fisr Pr¢PAn￿ th¢ fujanciai for [tiw)ri￿ which thO￿a 4 dL'gr view (>f th¢ itAtt 0(Aff￿r3 irftht chriry. In pttwing these fIrunu￿ ytatrmenty thc art T¢quirtd ct 5uiubk accnuntingpbcKy ￿¥j w4y thu> M4kc judBtmerti$ xnd thAt YrJsor&lAt th¢ finartty#l pO￿lI0n of tht chariry. Thr trustce$ ire rel￿￿51b1¢ for th¢ th¢ ¢hariry for sty for thc prevenutin of frnuil an(1 irrw&nDts. TheTTU5tee¥ hvc they hpprov¢d th¢ ¢no¢¢u ¥qK•rt aFM)v SI.￿ed On Behlif of the ChAriryTrwsite4 05106125 Siw Fred Okwute TreasSU￿r

For The Yeat Ended 31 March YJIS. I On the acCI￿lfttS of the RCCG Bibk a)ti5tim Fclkm1up(ID￿_hr￿￿ix1wb 5etoutonpws5-7 ectlve It is the responsibtht! of the trustees 10 JnwntJin IxM)k5 ajmt rttoftkand prq>are account The ¢￿stee5 considcr tht au(bt i for this prOJn¢kr Sxtion 144 P) of the (knirie5 Act 2011 (rhc 1993 Att thai arLJnLkpetht examil￿tion is Dc&d) It is my respOtL%ibthtvi￿. examine the ACCOW)ty 14 015 tht ￿11 Act Iwjder Section l4¥51(bl of the X))) A Mi. rxami¥llLlfJn w4 carrJ¢d aCC￿￿nCe Aivtil by ￿ fthlrity commi￿. An L'xllttJifJ%iti()rt ifJcludt$ ihe ftview of the Accountm8Yecords keptby the thitr>' xl #Cum￿L￿n of the aCCOurtts pyesenra witk those recordk It ¢r)dud¢$ CurtsdefAtiun ufxny unusual itrms or in thr ￿ki￿orA￿li0￿ frf>m rh¢ M￿re<S concerrit¥ any auch matre ¢ooequ¢ndy I dtr ¢xpreM an LKlit oplliioo IXJ dIC￿e￿￿1V¢Th by In ctinncction with aty t￿￿1￿￿￿0t4 M mlttcr Lyjtne to myttctthn , which￿￿V¢S me wsonAbk cause io beJ*ve that in w matt￿] [r5F￿1 ihr rr9uiron￿u'. . to keep 4pprOP¢i#te kCCOuntin8 t¢cor& in accotdlnce teC￿n lJ)of th¢ X)11 A￿ WMI . lu prepare accounts which ¥Jccord with the ￿Qu￿tIng ￿[dI thc xcountit4 tcquitrnts ofth¢ 2011 Act hAVC flot becn mer.or SiRned.. Ilabatunde Mn Fnr & nrt Beh￿f0f.. L}￿(￿¢ PtofoKiioThAI Servic i)tric¥ 111, sy￿ Buthlth 120, The Wicker Shcfflc￿53 8JD

St#temertt of Fingn(ig1 knivitics FotThe Year Ended 31 March Ml%. Incoming Resources 169277 30.759 286 144,133 18.892 Gift Aid Irtt¢r¢5t Total Incomth% ReBow¢ )J22 163.0 Re80Utce8 Expen8e8 Gmference & Evertt ExFns¢s IraNrl &'l'rAnspvtt Fupaixs pr￿[in￿& Sratio Reni and Rites 4286 8,197 711 473 8258 5.811.1 1,162 Advrrts & Publicity f.hqittable Dur4ourt 3.935 Hi)iel & Acc¢)rn¢yA•uon 4.471 'r¢lEphc>nt & lrttemrt TrAininK & r)eVe1ry￿enf Honornrium & Gi& Lxiww$ R¢fr¢shm¢rttg & HcMpiiliry 351 5571 1,795 6.955 14011 3,502 6.596 630 Wclfgrt 7.704 Indep¢rMl¢nr ￿ PTtsfeMwi Fe t)¢pr¢ciirion SgJ*r)' Jtssuran¢e 7.476 2Q117 353 3,712 23,999 Jos YA<cn<c Subxriptsnn VENf 1,650 lknk (.'ha 392 Penslf)n 1.106 stAKes TOIAI Rcw)utc¢• Expffmled 4n Nei Irteomln8 / I0￿￿01n8) 101415 82,182 Totgt Futtdi BtoU8ht ForwA 191079 109.697 TotAI Funth Ca￿1ed Fonvwrd 297J14 191.879

Statement of A$6est and JAabi]iiic6 As At31 Mwrh 2025. Fixed knset Tanpbie Asser 13.669 11,9.12 Curtent Assets Debtors C45h at Bank & in Hand 283,645 283th45 Crediton Amount FaJlinRth wlthkn Ort ye•r 283fv45 179.947 TotAI Ameu Cutrtthi lJblYtlc• 297.314 191.879 Tota] Nei Atse 297 14 Represented by Unrestti¢t¢d ItLCln¢ 297J14 191A79 Rc$tiicicd Income 14 191879 The'Iru5tees dedte th•r th¢y hv¢ tht•ttounto Siwied On B￿￿[forth¢ CknltvTn￿tce4 05106125 Siyd Fred Okwul8 Treassur&r Powopn

Notes to TheAccount ForTheYeat Ended 31 Matth {al Genera] by Chariuc5" Stxrement of R£commcn(kd Pr%￿< (50RP Rryi5cd JM)5) aThl pp]Kxblc ac(UuDDDgsThDd￿s. (bl Incomiti¥ Rc80urceB {¢) These have bttn usi4 a clDuifictK)n {dl Depytuty) r)¢PTecixUvn has beth CAkulatd m wit¥t down ihe C¢M Or F￿￿tiOn k5s eMittiatr41 trJwthJd ￿1￿C tsf ￿1 tJyble ￿ed AJseTS ver thclT VAPCCted u5chJ a stra¥ht bt* appJK4Av arc Mu8ical &Technid liq.',pma 2Yh 2 Fixed ABxts- Tot Cost or v￿￿￿tion AS at 1st Awji 2024. AddiDon¥ Dispoy A• at 318¢ March 20ZS. 20.692 9213 20,692 9213 29.W5 D¢pve¢iAtion AJ at Isi Apy>J 2024. ("hfLW fur this peri￿1 8.7 7.476 &760 7.476 As ll¢ Jl•t MthtL'h ￿25. 16236

1 3151 March W.

A• 31Jt Mthrth 2024. 13,669 21.9.32 2023 rithe 65J45 35257 31.028 14.103 63.745 OffcIin8 ThankswTri ther incojnc 43563 Untwd c.lwue 1692TT 144.133

Not¢s toThe Account (Cont.) For The YearEnded 31 2025. purw>5c of thcir gppjkation as avaihbk asKy￿r•I fiuMI 6 Receipts And Payt)wi¢B A¢couA and payments T2theT thgts gjj ecfuai IA¥kThii is in Jinewh Q￿riry for Srn￿ aJfitieA And scen ￿ mor¢ 4pprwiaEe fut th¥ PYOS¢CL