REGISTERED COMPANY NUMBER: 07614392
Registered Charity Number
1141910
Redeemed Chri5tain Church of God. Good News Haven
Unaudited Financial Statements For The Year Ended
31st December. 2023

Redeemed Christian Church of God . Good News Haven
Contents of The Financial Statements
For The Year Ended 315t December. 2023
Page
Report ofThe Trustees
Independent Examinerfs Report
Statement of Financial Activities
Balance Sheet
Note5 to the Finaniial Statements
Detailed Statement of Financial Activities

Redeemed Christian Church of God , Good News Haven
Report Of The Trustees
For The Year Ended 3Jst December. 2023
Principal Registered Address.
61 Kellner Road
Thamesmead
London
SE28 OAX
Trusiees
R A Bello - Chairman
Samuel Obigbesan
Joy Alkhena
Abimbola Taiwo
Bankers
Independent Examiner
Adonai Associates
Accountants
50 King Alfred Avenue
Catford
London
SE6 3HP

Redeemed Christian Church of God , Good News Haven
Report of the Trustees
For The Year Ended 31 $1 December. 2023
RUCTURE. GOVERJ]ANCE AND MANAGEMETrrr
c￿emIng document
The charity Is controlled by its governing doajtnent. a deed of tnjst. and constitutes a company, limited
by guarantee. as defined by the Companies Art 2006 on 26th April 2011 with a regirtered charity
number 1141910
Organisational rtructure
The churth is organised Such that the day-to-day nJnning of the church has I￿en delegated to the Parish
Pastor and the Charity Manager. The Trustee5 are consulted on all matertal t55ue5 and determine the
rtrategTC direction of the charity- Tru5tee5 meet three times in a year and as and when required to
review the operations of the charity.
Recruttrnent and appointmentof new ITUStees
The management of the churth i5 the responsibility of the trurtees who are elerted and £o-OPted under
the terrns of the bwst deed
Policies adopted for the Inductlon and tratning of trurtees
The induction process for any newly appointed member of the trustees comprises an initial meeting
with the chairman and other trurtee5. followed by A series of short meetings Wlth the minister in charge
on the powers and respoTtStbilities of the tnjstees.
New Trurtee5 are given an understarkding of thecharity's objective5 and the requirements
of the Charity Commission. They a￿ also encouraged to attend appropriate external training
events
where these will facilitate the understar￿ing of their role. Charity Cornrni55ion
bulletins/updates is a150 forwarded to Trurtees as and when iswed.
Conneded Charities
GO￿ news Haven is a member of the Redeemed Christian Church of God (RCCG). which has parishes
all over the world. The parish's relationship with RCCG and other parishes is govemed by an
"Agreement lor Cornmon Purpose5.- The churth supports Chrirtian organi5ations such a5 World
Evangeli5rn Mission and other missionary organisation suth as Festival of Life. Go<xl WoTnen Fellowship
etc. The church also provides support to M￿berS of the congregation and commun¥ty who are in need
lat the discretion of the trurtee5)trurteesl
Risk Management
The trurtees have a duty to identify and review the ri5k5 to which the charity is exposed and to ensure
appropriate control. The thwrtees have a5￿$$ed the major risks to which the charity is exposed. In
particular. those related to the operations and finance5 of the churth. and are satisfied that 5yrtems are
in place to mttigate our exp0￿re to the major risks and to provide reasonable assurance against fraud
and error.
OBJEcfivES AND AcfiviTIES
The advancernent of the Chrirtian faith worldwide and affording the knowledge of God to our
immediate community in particular through evangelirtic Work and encouraging people to worshTP Wlth
us and seek eternal life Salvation through our Lord Jew5 Chrirt
The relief of poverty and offering prartical help. advi￿ and assistance to the horneless. unemployed
and the vulnerable in the s01iety

Providing necessary 5UPPOrt to rthv converts to grow and develop in their new found faith
through effedive pastoral care
Each year our trurtees review our objethves and attivitie£ to ensure they continue to refiert our aims. In
carrying out this review. the tmstees have considered the Charrty Commrssion's general guidance on
public benefit and in particular its supplementary Fjubjic guidan￿ on the advancement of religion for
the public beneFIt.
StrAtegies for achieving objective5
The charity has adopted the followin8 Strategies for achieving the above objectives=
Organi5ing seminars and events to address rssues of relevance to the relief of poverty and provision
of care and support for the needy as appropriate-
Planting of churches- and
Support and working with other charities with sirnilar objertives to achieve greater results in
enabling and emp¢)wering people through the word of God and in offering practical help and assirtance
to the needv
Principal fvnding
The charity'5 principal Sour￿ of funding remains the same. Thi5 15 provided mainly through voluntary
tithes and offerings by the churth tnetnber5. Contribution5 and Pledge5 are also taken for Specific
projerts.
Activities for achievin8 obiedives
The church in pursuant of her objectives organised programme of events which were open to the hort
Cotntnunity for Chrirtian worship se￿1￿5 in addition to teaching sessions. The focus on the future
generation also saw the churth operating a fully equtpped 5ettion for Children under 12 years of age as
well as a separate 5ertion for teenagers. there ts also the youth fellowship. The church also undertook
projects to reach out to the cotnrnunity as a whole aTnong whith are the annual Summer Sun 5pla5h.
Marriage Conferen￿. Multicultural day. Praise Sessions and the 9 hours non-stop praise.
Volunteers
The church is grateful for the efforts of its volunteers who are involved in setvice provision. office work
and administration. It ts estimated that over S,]￿ volunteer hours were provided during the 2023
period. If this 15 valued at £10.42 an hour the volunteer effort5 would amount to over £53.142.
Significant artivities
The church holds regular worshrp service5. whith are open to all member5 of the community. At these
pro8rammes. tnember5 are taught the principle5 of Chrirtian care to all rnembers of the community. In
addition to this. the church also operate5 classes for the children. Teenagers and youth where they are
taught the tenet5 of the Chrirtian faith. The churth in integrating with the comtnunity a150 had projertS
aimed at children. the elderly as well as the general community.
The church in the course of the year could not actively engaged in both congregational and community
wide artivities that are channelled ti)ward£ promoting love and empowering people to live a
surtainable Chrirtian life due to the Covid-19 pandemÈc However. activitÉes below were held via zoom
platforrn as follow-.
Weekly worship. prayer rneetings and bible studres (SUT￿ayS. Wednesdays and Fridays}
Partoral Ca￿ provision for the congregation. local community arn4 new convert5 to help them live a
Sustainable life in their new-found faith.
Partoral care provrsion for the con8re8&ion. local community and new convert5 to help them live a
Sustainable life in their new-found ffjith

OTHER CHURCH A￿1V￿E5
Horne Fellowship every 2nd Sunday of the month
Evangelism every Saturday
9 Hour5 non-rtop praise 15th July 2023 9am-6pm.
Distribution of food to the hotneless 22nd Deember 2023
Children Christmas party 24th December 2023
Financial Review
The trustee5 are re5pon5ible for preparing the Report of the TTUrtees and the financial rtatements in
accordan￿ with applicable law and United ￿ngdOrn Aco)untin8 Standards (United Kingdom Generally
Actrpted Accountin8 practi￿).
The law applicable to charities in England and Wale5. the Charitie5 Act 2011. Charity {Accounts and
Reports) Regulations 2008 and the provisic>ths of the tTUrt deed requires the trustees to prepare financial
statements for each fir>ancial year which give a true and fair view of the rtate of affairs of the charity
and of the incoming resources and application of resources. includin8 the income and expenditure. of
the charity for that period. In preparing those financial rtatements, the trurtees are requtred toview of
the state of affairs of the charity and of the incorrktng resouros and applitstion of resources. including
the income and expenditure. of the charity for that period. In preparing those financial statements. the
trurtees are required to
Select suitable accounting policies and then apply them cOn￿rtentI￿.
Observe the methods and principles in the Charity SORP-
Make judgement5 and ertimate5 that are reasonable and prudent:
Prepare the rinanciai sraternents on tne going concem ba515 unles5 it 15 inappropriate to presume that
the charity will continue in business.
The twrtees are responsible for keeping proper accounting records. which disclose with reasonable
accuracy at any time the finan(ial positTon of the charity and to enable them to ensure that the financial
staternent5 comply with the Charzties Act 2011. the Charity (Accounts and Report51 Regulation5 2008
and the provistotts of the trurt deed. They are also responsible for safe8uardin8 the assets of the charity
and hence for taking reasonable steps for the prevention aE)d detecfton of fraud and other irregularities.
The trustee5 are responsible for the Maintenan￿ and integrity of the charity and financial information
included on the charTty'5 web51te. Legislation in the United knngdom governing the preparatlon and
dissemination of financial statements may differ from legÉslation in other jurisdirtions
ON BEHA
OF THE BOARD..
Signature
Trustee

Redeemed Christtan Churth of God . Good News Hwen
For The Vear Ended 31rt December. 2023
Independent Examin*s Report
To the Trustees of
Redeemed Christian Church of CKMI . Good Ne4VS Haven
I report on the accounts for the year ended 31st December. 2023 ￿t out on page5 four to Seven.
Respective responsibrlities of tNrtees and examiner
The charity's trurtees are responsible for the preparation of the accounts. The chariws trustees
consider that an audit is not required for this year (under Section IHI21 of the Charitie5 Act 2011
(the 2011 Art)} and that an indepetldent examination is required. The charity's gr055 income doe5
exceed £250,000 and l am qualified to undertake the examination by being a qualified tnember of
ACCA and IFA
It 15 my responsibTlity to:
examine the accounts under Section 145 of the 2011 Act to follow the procedures laid down in
the General Directions given by the Charity Comtni55ion (under Se(tion145151(bl of the 2011 Art),.
and to rtate whether partiojlar matters have come to my attentton.
Ba555 of the Independent exalninerfs Teport
My examination was carried out in accordance with the General Diredions given by the Charity
Commi55i0n. An exarnination indude5 a review of the accounting records kept by the charity and a
compari50n of the accounts presented with those records. It a150 includes consideration of any
unusual items or disclosures in the account& and seeking explanations frotn you as truttees
concerning any such matter5. The procedure5 undertaken do not provide all the evidence that
would be required in an audtt. and consequently no opinion 15 given as to whether the accounts
present a 'true and fair view ' and the report is limited to those matters Set out in the rtatement5
below.
Independent examinerfs rtatement
In connection with my examtnation. ￿ matter has corne to my attention..
11 which gives me reasonable cause to ￿lIeVe that. in any matertal respect. the requirernent5
to keep accounting records in accordance with Sedion 130 of the 2011 Act- and to prepare
accounts which accord wirh the accounting records and to cornply with the accountin8
requirement5 of the 201T Act have not been rnet- or
12) to whith. in tny opinÈon. attention should be drawn in order to enable a proper underrtanding
of the accounts to be reathed.
Abiodurh A Adeboyejo (FCC&AF& AC& FAIA)
Association of Chartered Certified Accountants
50 King Alfred Avenue
Catford. London
SE6 3HP

Redeemed Chrsrtian Church o* God. Good News Haven
Statement of Finanaal Adivitres
For The Year Ended 31stDecemEer. 2023
2023
Total
Fund
2022
Total
Fund
Unre5trirted
Notes
Income Resources
Incoming Resources From Generated Funds
Voluntary Income
Total Income Resources
380,844
380.844
380.844
380.844
314.869
314.869
Resources Expended
Charitable Activities
Physical & Spiritual Need
Governance Costs
280.342
25.925
280,342
25.925
269.872
15,809
Total Resour￿5 Expended
306.267
306.267
285.681
NET INCOMING RESOURCES
74.577
74.577
29.189
RECONCIiATION OF FUNDS
Total Funds Balances Wfi¥d
196.100
166.911
Total Funds Balance5 dfvvd
270.677
270 677
196.100
The Notes Form Part of These Finanaal Statements

Redeemed ChrirtSan Churth of God , Good News Haven
Balan￿ Sheet
as at 31 December 2023
2023
Total
2022
Total
Notes
FIXED ASSEf5
Leasehold lrnprovernents
Tangible a55ets
20.792
20.792
20.792
18.803
18.803
21,586
CURRENT ASSErs
Debtors
12.500
12.500
14.500
Cash at bank and in hand
281.823
281.823
187.205
CREDITORS
Amounts Falling Due within one Year
32.629
32.629
1.129
NEf CURRENT ￿SEr$
261.694
261.694
200.576
TOTAL Ass￿5 LESS CURRENT
LIABILITIES
301.289
301.289
242.954
CREDITORS
Amounts Falling Due after one Year
(30.613)
(30.613)
146.8551
NEf ASSFrs
270.677
270.676
196.099
Unrertricted Funds
Restricted funds
278,383
203.806
Unrestricted Fund5
(7.7071
{7.707)
TOTAL FUNDS
270.676
196.099
The financial rtatements were approved by the Board of Trustees on.................................... and
were si8ned on it5 behalf by-
Approved by Board of Trustees
R A Bello- Chairman
The Notes Fomi Part of These Financk?I Statements

Redeemed Christlan Church of God. Good New5 Haven
Notes to the Financial Statementss
for the year ended 31 December 2023
ACCOUNTING POLICIES
Accounting conveniion
The fhnancial statements have been prepared under the historical cost convention,
and in accordance with the Financial Reporting Siandard for Smaller Entities
(effective January 201 Sl. the Charitie5 Act 2011 and Ihe requirements of the Statement
of Recommended Practice ISORP 20151. Accounting and Reporting by Charities
lissued July 20141
Incoming resources
All incoming resources are included on the Statement of Financial Activities when the
charity is legally entitled to the income and the amount can be quantified
with reasonable accuracy.
Resources expended
Expenditure 15 accounted for on an accruals basis and has been classified under headings
that aggregate all cost related to the category. Where costs cannot be directly attributed
to particularheadings they have been allocated to activities on a basis consistent with
the use of resources.
Grants offered subject to conditions which have not been met at the year end date are
noted as a commitment but not accrued as expenditure.
Tangible fixed assets
Taxation
The charity is exempt from tax on it5 charitable activities.
Fund accounting
Unrestricted funds can be used in accordance with the charitable objectives at
the d iscretion of the trustees.
Voluntary Income
2023
2022
Tithe5 & Offering
Offering
Thanksgiving
Building Fund
Other Income
Gift Aid
Crant
Interest Receivable
198,415
40.156
10.468
10,910
6.440
207.003
31,426
8,027
51,044
13,761
3,347
7 12,332
2,123
380.844
261
314.869
2 Governance Costs
Accountancy
Legal fees
2023
13,480
10,200
23.680
2022
650
12,633
13,283

Redeemed Christian Church of God . Good News Have
Nores to the Financial Statementss
for the year ended 31 December 2023
3 Wages and salaries
Social security Costs
118,713
10,990
129,703
105,975
117.140
4 Tangible fixed assets
Hardware
Equipment
Choir Music
Equipment
Motor
vehicles
Totsl
Cost
At l January 2023
Additions
At 31 December 2023
51,478
89.￿8
1.534
91.102
43,141
184.187
1,534
185.721
51.478
43.141
Depreciation
At l January 2023
Charge for the year
Ai 31 December 2023
50,586
178
68,874
4,139
73,013
43,141
162,601
4,317
166.918
50.764
43,141
Net book value
At 31 December 2023
At 31 December 2022
714
18,089
20.694
18.803
892
21,586
5 Debtors . Amounts Falling Due within one year
2023
2022
Other debtors
12,500
12,500
14,500
14,500

Redeemed Christian Church of God . Good News Haven
Note5 to the Financial Statement55
for the year ended 31 December 2023
6 Creditors: amounts falling due within one year
2023
2022
Trade creditors
Other Creditors
Crèditors
Pension
31.733
561
335
561
568
32,629
1.129
7 Creditor5.' amounts falling due after one year
2023
2022
Creditor5
Creditors
3,490
27.123
30,613
8,888
37,967
46,855
BBL
Net
Movement
In Funds
8 Movement in Funds
At010123
At31 1223
Unrestricted funds
General fund
Bu ilding Fund
TOTAL FUNDS
17.7071
203.806
196.099
17.7071
278,383
270,676
74,577
74,577
Nei movement in funds, included rn the above are a5 follows..
Incoming Resources
Re50ur£es Expended
Movement in
Funds
Unrestricted fund5
General fund
Total Fund
380.844
380,844
306.267
306.267
74,577
74,577
10

Redeemed Christian Church of God . Good New5 Haven
Detailed Ststement Of Ftnanaal Achvtfies
For The Year Ended 31st Decembw, 2023
2023
Total
Fund
2022
Total
Fund
Unrertrirted
INCOMING RESOURCES
Tithe5 & Offertng
Offering
ThanksgivTn8
Building fund
Other Incorne
Gift Aid
Grant
198.415.06
40.156.46
10.468.40
lo.￿)9.83
6.439.64
198.415.06
40.156.46
10.468.40
10.909.83
6.439.64
207.003.00
31.426.00
8.027.00
51.044.00
13.761.00
112.331.68
112.33l.68
2.123.00
380 844.07
3.347.00
Interert Receivable
Total Incoming Resources
2.123.00
380.844.07
261.00
314,869.00
RESOURCES EXPENDED
Charitable Activitie5
Partoral allowances
Members, Training and Welfare
Books & Printing
Honorarium & volunteer
i.ioo.00
1.663.00
16.040.00
1.438.00
2.404.00
14.638.00
1.425.00
7.179.00
1.547.lJO
37.104.
8.241.00
1.192.00
4.644.00
12.754.00
1.815.00
810.00
1.686.00
95.439.CM)
2.404.LK)
14,638.LK)
1.425.(KS
7.179.CKJ
1.547 00
37.104.
8.241.00
1.192.00
4.644.00
12.754.00
1.815.00
810.00
1.686.00
95.439.(Kl
Bank Charges
Storage Expenses
Advertisin8
WEM & Central funding
Travellin8 and subsistence
Printing. portage & stationery
Multttnedia Exp*nses
Church expen5e5
Evangelical/ouEreach materials
Donatton & Gift
Telephone and fax
847.00
30.948.00
5.902.00
1,974.00
5,133.00
12.908.00
I,(x)o.00
2.380.00
81.333.00
Govemance Corts
Accountancy fees
Profe55ional charges
Consultancy fees
13.480 00
10.21K).00
2.245_00
25.925.00
13.480.00
10.200.00
2.245.00
25.925.00
650.00
12,633.00
2.526.00
15.809.00

Support Corts Management
Rent & rate5
ght & heat
Insurance
Software & IT
Repairs & maintenan
subscription
Buildin8 Expenses
Cleaning
Motor expenses
Wages & salarie5
Social Seajrity
Welfare
Employers Pension
Depreciation charge
42.480.
i.1￿?0.
428.(X)
80.00
405.CQ
42.480.00
i.000.00
428.00
80.00
405.00
46.197.00
2,555.00
411.00
130.00
1.268.00
40.00
4.221.00
1.800.00
49.(Xl
49.00
45.
45.00
653.(XJ
653.00
118.713.00
10.990.IXJ
3.262.00
2.481.lJJ
4.317.00
184.903.00
118.713.00
10.990.00
3.262.00
2.481.00
4.317.00
184.903.00
105.975.00
11.165.00
6.965.00
2.415.00
5.397.00
188.539.00
TOTAL RESOURCES EXPENDED
30&267.00
306 267.IXI
285 681.00
INCOME
74.577.07
74.577.07
29,188.00
12