RCCG REDHILL TABERNACLE
TRUSTEES, ANNUAL REPORT YEAR ENDING 2023

Contents Pa
Trustees. annual report
ststement of Financial Activities
Balance Sheet
Notes to the Accounts
Independent Examinerfs Report
io
www.redhilltsbernarnacle.org.uk

Trustees ADnual fteport RCCG Redhlll Tabefnade
Reglstered Charlty Number No. 1141602
Strutture. Governance and Management:
RCCG Redhill Tabernacle 15 a charity governed by Trust Deed. The charit￿$ trustees aTe selected by
appointment only. The trustees are responsible for overseeing the chariws activities and deciding on how the
funds are spent The day to day running of the charity is entrusted to the church Pastor. Various duties are
then delegated to various departments li.e., Choir. Evangelism. Men's felIoN￿h1p, Virtuous women and Youth
and Medial.
Church Pastor Mana
in
the Chari
l. Mr Chukwuka Emefieh.
Names of current Trustees for the Chari
l. Mr Adio Lawrence Fagbayi
2. Mr Kwabena Poku Nanlmti
3. Mrs fitilola Emefieh
4. Mr Olusola Oladipo
5. Mr5 Olufunmilayo Aili
Admlnlstration Infomiatlon
The Charity is situated in Redhill, Surrey. The correspondence address is 37 Ststion Road, Redhill. RHI IQH.
Ob ertlves and Actlvltles
RCCG Rèdhill Tabernacle is dedicated to enabling as many people as possible from Redhill and surrounding
areas to fe110v￿hIp with us.
Our services and worship put faith into practice through Prayer and Scripture. Prayer clinics and outreach
programmes. We are a150 committed to supporting and collaborating with other Charities within the
community.
When planning our activities. we have considered the commission's guidance on public benefit and in
particular, the specific guidance on charities for the advancement of religion. We try to enable people from the
public to live out their faith as part of our church community through..
-worship and Prayer. learning about the gospel and developing people's knowledge of God.
-Provision of pastoral ￿re for the congregation and people from our community.
-outreach and Charitable work
-Achievements and performance
Offèring baby dedication ceremonies ènd baptism to those vmnting to profe5S their faith in Christ.

Wor5hlp and Prayer
The main church service is every Sunday in the main church building. Additionally, we offer evening prayer5
and bible study on Wednesday and Fridays every week. These are quieter and more intimate and reflective in
nature with the aim of providing extra opportunities for frdmilies to interact and share their faith.
Provislon of Pasloral Care
The church pastors continued to provide spiritual and pastoTrl guidance to the congregation and the
community. This has been accomplished throueh bible studies. monthly question and answer sessions and
preaching of the gospel of Jesus Christ. Informal counselling and guidance to the congregation is available on
request. Part of this is providing pastoral care for bereaved families and those going through difficult times.
Outreath and Charltable Wor*
RCCG Redhill Tabernacle supports various charities in the community and carries Out outreach work. Over the
Christmas period the charity worked with the local council to identify families in need of assistance.
To help support families in need within the community, our membeTs are encouraged to donate food items
which are then donated to the local food bank. We have a permanent food collection point at the church.
Outreach programs like our annual family fun day at Memorial Park in Redhill and a day trip to the beach were
organised.
The church ha5 also helped several youths to develop their interest in music by providing musical instruments
and offering the youth5 a platform on which to practice their skills and gain confidence. We are currently
supporting Compassion UK thoroughly voluntary monthly financial tontributions to support children in need in
both in the UK and abroad. We encourage Church members to give towards this laudable project. Another
charity supported is Sparkfish. This charitable trust provides support young people in areas of spiritual, moral
and social development.
We are linked with the Churthes T¢gether initiative in Reigate and Banstead. This is reinforced by the church
leaders coming together for prayer meetings and consultations regarding outreach events. We work together
to impact the local community.
Other activities include opening our doors for the National Day of Prayer and Thy Kingdom come prayer week.

Financial Review
The incorning resources were £99.546.￿. Out of this amount. £9.363.C#) was made tjp of Gift Aid claims.
Additionally. Restricted donations of £10.755.(X) were also received. The restricted donations are for the
church building fund. We have continued our commitment to make impiovements to the church building. The
acquisition of the church has made our charity more accessible to the public than it previous¢y was. We would
like to extend our thanks to our members for continuing to support our common ￿￿Se of making our building
a5 comfortable and safe as possible.
Reserle Poli
It is RCCG Redhill Tabernacle's policy to maintain unrestricted resernes lif possible) ol at least £9.000 to meet
any unforeseen circumstances. This equates to 3 rnonths, building running costs. l am pleased that the
reserves balance has continued to bè in line with our policy.
Future Plans:
Plan5 for renovating the upstairs flat and improving the main building are underway subjett to planninE
permission and approval and l¥sted building consent5. We will continue to review the current 51tu3tion and
follow government guidelines ir¢ all ovr planning.
Midweek service5 continue online.
Approved by the Trustees on 6" J3nuary 2024 and signed on their behalf by..
Kwebena Nantwi.
2. Titil013 Emefieh

RCCG Redhill Tabernade
5tatemert of Flnanclal Actlblttes
Accountlng period 0510712022 to 04rn12023
Charity Number I141￿2
Unrestritted
Restrkted
Funds Intome Funds
Total for Thls
Year
Total for
Last Year
Total incomlng resources
Tithes and Offering
Bank Interest
Other Income
131
89,287
897
10536
220
99.823
1.117
9.363
110,302
82.454
37
6.546
89.037
131
9.363
10.756
Re501Jrces expended
Bank Interest
Repairs & Maintenan
Gas & Electricity
Water & Rates
Pastor's Allowance
Training Costs
Equipmènt Repairs
Welfare and Donations
Cost of Church Chotr & Musicians
Print Post ond stationery
Telephone
Media and Publt¢ity
Outreach Events
Legal and professional fees
Insurance
HeadquarteT5
Bank Charees
17.243
2.621
2.212
395
17,243
2.621
2,212
395
3.500
11,277
20.381
1,417
272
2.750
400
l(K•
136
1,752
136
1.752
1,436
104
471
214
2.461
4C
104
471
214
2,461
4LYJ
1.926
18,578
93
125
391
435
1,033
2,324
1.715
13,393
1.926
18578
93
Tot?1 resources expended
52.207
52.207
57,383
Net Incornlnyjloutgolngl resour
47.340
10.756
31.654
Transfèr Between Funds
Gains and losses on investment assets
Net movement in funds
Total funds brought forward
Totsl fund5 orrled forward
47.340
322.253
369,593
10.756
21.699
32.455
58,095
343.952
402.047
31,654
312.298
343,952

RCCG Redh￿1 Tabernade
8alance Sheet
Year Ending 0410712023
Toul thlspar
70ts1 last year
FIMd Is5ets
Land & bU￿dIn￿
Fi¥turts &
453.099
12.576
465.675
453.
12576
465,675
Cuirtnt Asstts
Cash at bank and ih hand
Oebiors
T￿•1 (uff*n¢ a55ets
142.613
132.565
Iq613
131.565
Cfeditors.. arnounts l•llin¢dye oneyear
xsets *ss (Ufr¢nt l•bilQbE5
597.840
Credttors." arnounts ialhnldue afterone ytaf
24S.841
253A88
34J.952
Fundsoflhe Char
Unresir￿ed funds
Desi8*aied lunds
Tolal ¥nve51rkted lunds
Resifirted IncMie
369.483
J22.153
321.253
21￿99
32.564
Tol•1 lurbd5
2,047
343,952
Swed by
nature
Dateof ippro¥èl
31 11,

Notes to the Accounts
Nots 1 ￿51$ 01
re
arali
1.1 aa515 olacrounbn¥
These accounts have been prepared on the ba*sof historic cost lexcept that Investh￿nts{reShOwn at
market value) in accordance with..
Accounting and Reporting byChariiies- Staternent of RecomTh￿de￿ PrtLlice ISORP 2fy51..
• and with AccounriftE Standards..
• and with theCharitiesAct.
I.2chan￿ ￿ basi> Ol￿o￿n￿
There has been no thangeto theaccouTrtinz polioeslvalu4tioTr rule5 and rnethodsof accountin￿ snce last year.
13Chan8esto pre4iDLt5 accounts
No ¢han8e5have been made to accouthtsforpre￿0u$year$.
Note 2 AccountinKpolldes
Incrffiin¥Resourr
Recognition of incoming Resources
Thègè are included in the Statement ol Fih#nuwl ktiwties ISoFAl*hen."
thecharity becomesÈntitJed to the resoufces.-
thetrustees are ￿rtUallY certatn theywill ￿(tive the and
the monetary value tary be rnea5ured wth sufficTrènt rellability.
IncomlR8¥esouitt5 with related eMpend4¢ure
Where incornin8 resour¢eshave related expeTrditL*relas With fvn¢JwaisnB orcontract incomo)
the 1ntomith8fes0u￿esar1d Tdated expendituteare reportedKrossin the SOFA.
Grantsand donatlons
Grant5and donaiionsareonly induded in the SoFAt•knet) the charityhasunconditional e￿￿tleMet)I to the reM)urce>
T•x redaimson dotyadoTrs and lilts
Incorning resources from tax recla1rn5areinduded in the SoFAat the sametiffle asthe8ift io which they relate.
Contraclu41 IncrAn•and Perf￿M￿Certl*Itd yants
Thisisonly included In the SoFAoncethe relaied 8oodsorseMtsshave been deli¥eFed.
Gllts in kind
Gifts in kind are aC￿Unted forat a rea50nableethmate of their value to the charityor the arnount actually realised.
Gifts in kind for sale or distribution are induded in the acCountsas￿fts only when sold ordistribuied bythechafity.
Gift5 in kind for use bythe thartty are included in the SOFA astncomiAE resourceswhen receivable.
Donatod servlcesand ladIl￿e$
These are only included in incorning resources Iwrith an equivalentamount in resotsrresexpendedl where the benefit
to the charity is reasonably quanfifiable. mea9Jrable and maiLYial. The valueplaced on these (V￿￿1£e$ isihe
estimated valueto the tharity of the serviceor facilityfec•ved.

EXpÈnd￿Ure arKI Ll•biMdes
U•blIltyreeo￿f¢KTn
3bih.ties are re0)￿lSed a5 soon os there is a legal OF wnstrurtive Obligat￿ committin8the charity to pay out resourtes.
Gr4nt5 with perforniance tOndit￿n5
Where the charty gwes a gfani with condition5 for its payTrent b•n83 specrfic level of service or ouiput tu be provided.
suth orants 3r@ onlYr￿gNised in the SOFA one@the roopiont ol the grani hag providéd thè gpètified servsce or tsutput.
Grants p•rablewiihout perforniance tond41K¥ns
These are only reco8nised in the accounts when a ccmnmitment has been made and there are no conditions to be
met relatln810 the yant whith remain in tht control of the tharity.
Assets
r￿ed assets for use by tharky
These aTe capitslised if they can be used for morethan oneye3r. and cts5t at least £5C#).
They are Valued at wst or a reasonable value on le￿ipl.
Not* 3 AnatysiE of Incomkng resowtes
Anaty$55
Unrtstrthd
Re5trxted
This ￿ar
Last y•ar
Offerin85
Thank5gwsng
Trthes
Building Fund
GiftAid
Sank Interest
Tot41
46.289.79
2,117.(K)
40￿8￿23
46,289.79
2.117.00
4OA80.23
10535.55
9362.59
1,11&70
110,30L86
16,951.72
1,199.(M)
56,753.56
7.549.96
6.545.87
36.55
89.036.66
10.535.55
9362.59
896.70
220.DJ
10.755.
99.54&31
Note 5 Details of ¢ert4in hems of expÈnd41ur•
S.ITrustee *xpeMses
last year
P4umberof trustees who were paid expen
5.2 Feesfoi txamlnatlon Of a￿lts of the *ttounts
Th15 Y2¥
Lasi ￿•r
lTrdependent examiner'5 or auditors.
fee5 for reporting on the accounts
Otherfees
Thos p•r
iasiyear
Note 11 Credhorsand accru•
Attrued Accountancy fees
Note 12 Endowment and restr￿ted incorne funds
Fund Nam
BUILDING FUND
This represent5 fvnds all￿ated to ihe thurch buildingand designated
as suth.
12.1 Movements of rnajor funds
There has been no movernent of rnaprfunds
12JTransfeYs befftMtEn lunds
There has been rTro rno¥efflent between funds

Independent Examlnerfs Report to the Trustees / Membws of RCCG REDHILL Tabernade
I report on the accounts of RCCG Redhill Tabernacle (Charity Number 11416021 for the year ended 04th July
2023.
Respectlve responslbllloes of Trustees and Examlnerfs
As the charity's trustees you are responsible for the preparation of the accounts: we consider that the audit
requirement of section 43121 of the Charities Act 1993lthe Act) does not apply. It is my responsibility to:
Examine the accounts (under section 43 of the Actl To fo51ow the pr¢xedures laid down in the General
Directions given by the Charity Commission lunder section 43171 {bl of the Act) and
To state whether particular matters have come to my attention.
Basls of Independent examlnerfs report
My examination was carried out in accordance wtth the General Directions gtven by the Charity
Commissioners. An examination includes a review of the accounting records kept by the charity and a
compari50n of the accounts presented bwth those records. It also includes consideration of any unusual items
or disclosures in the account and seeking explanations frorn you as trustees concerning any such matters. The
procedures undertaken do not provide all the evidence that would be required in an audit, and consequently I
do not express an audit opinion on the view given by the accounts.
Independent examlners MatemeTrt
In connection with my examination. no matter has come to my attention:
11 Which gives me reasonable cause to believe that in any material respect, the requirement to keep
accounting records in accordance bwth section 41 of the Act,. and
21 To prepare accounts which accord with the accounting records and to comply with the accounting
requirements of the act, have not been met- or
31 to which, in my opinion. attention should be drawn in order to enable a proper understanding of the
accounts to be reached.
JOSEPH PHIRI (FCCAI
Josh Commevdal Se¢vice5 Limlted,
Chartered Accountants,
26 Tunnmeade,
Illeld,
Crawlev
West Sussesx
RHII OQR.
6 January 2024.