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2021-12-31-accounts

REDEEMED CHRISTIAN CHURCH OF GOD

COVENANT RESTORATION ASSEMBLY COVENTRY

REDEEMED CHRISTIAN CHURCH OF GOD COVENANT RESTORATION ASSEMBLY COVENTRY

TRUSTEE’S ANNUAL REPORT AND ACCOUNTS FOR THE YEAR ENDED 31ST DECEMBER 2021

1

REDEEMED CHRISTIAN CHURCH OF GOD

COVENANT RESTORATION ASSEMBLY COVENTRY

Page
Corporate Information 3
Board of Trustee’s Report 4
Independent Examiner’s Report 9
Statement of Financial Activities 10
Statement of Financial Position 11
Cash Flow Statement 12
Accounting Policies 13
Notes 14

2

Corporate Information

Charity Registered Number: 1141943 Company Limited by Guarantee Number: 07592170

Board of Trustees

Gabriel Orakpo

Olufunsho Ojuola

Ezekiel Obileye

Debo Adesina

Omotayo Feyisetan

Registered Office

Upper Spon Street

Coventry

CV1 3BL

Bankers:

Lloyds Bank Plc, Coventry, CV1 5RA

3

Board of Trustee’s Report

1.0 Introduction

The Board of Trustees present their report and accounts for the year ended 31st December 2021.

1.1 Public Benefit Statement

The Trustees confirm that they have complied with the duty in section 4 of the Charites Act 2011 to have due regard to the Charity Commission’s guidance on public benefit "Charites and Public Benefit".

1.2 Structure, Governance and Management

1.2.1 Governing Document

The charity is constituted as a “Trust” and Governed by ‘Trust Deed’ dated 19 May 2010.

1.2.2 Trustee Appointments

Trustees are appointed under the terms of the trust deed.

1.2.3 Organisational Structure

The Redeemed Christian Church of God, Covenant Restoration Assembly, Coventry is a charity registered in 2010. It is governed by a Memorandum of Articles of Association and is controlled by a board of trustees whose members are appointed as set out in the Memorandum of Association and Constitution of the charity. Membership of the Board of Trustees consists of 5 individuals appointed by the charity who are of high spiritual and moral standing.

1.2.2 Risk Management

The trustee board performs its duty of safeguarding the charity against major risk. The board regularly reviews the charity’s governance structures, policies, procedures and practices. It recommends strategic and operational options and implements adequate prudent controls and preventative action to safeguard the assets of the charity, as well as its reputation.

4

Board of Trustee’s Report

2.0 Objectives and Global Outreach

2.1 Objectives and Activities

2.2 Grant Making Policies

Under the ‘’Agreement for common purpose’’, Covenant Restoration Assembly (CRA) Coventry has agreed to make regular contribution to the World Evangelism Mission (WEM) through RCCG Central Office UK to support church planting through the RCCG Birmingham Zonal Office, support missionary organisation, such as Festival of Life, Good Women Fellowship, Annual Convention held at RCCG National Headquarter.

2.3 Contributions Made by Volunteers

The charity enjoys the services of various volunteers, who contribute enormously in various areas of service provision, development and implementation of the Church’s vision. The volunteers are encouraged to attend various training and development programmes organised by the charity and other organisations.

5

Board of Trustee’s Report

2.4 Achievement and Performance

The charity’s main activities are tailored towards developing both the physical and spiritual needs of the local community.

During the year, Covenant Restoration Assembly engaged in the following key activities:

  1. In the month of January, the mission declared a 63-day fasting and prayers programme from 11th January of 2022. Members met virtually on Mondays, Wednesdays and Fridays for an hour and a half between 6-7.30pm, to pray and break their fast with light refreshments provided by the welfare team of the church. Testimonies abounded after the conclusion of the programme.

  2. To crown the fasting, the church organised a 2 Sundays in the month of May- 9th of May 2021 was an impartation and prayer service for all firstborns. 16th of May was similarly dedicated for prayers and anointing to break the yoke of delay, disaster, death, failure, and sickness. God moved mightily is these programmes.

  3. All Sundays in the month of February was dedicated to teaching series titled “The mystery in the name of JESUS”. This teaching was anchored by the set man of the house Pastor Abiodun Olaitan.

  4. All Fridays in the month of February were dedicated for Night vigil, and people had personal encounter with God. The programme was held virtually on Zoom.

  5. Immigration seminar was held on the 23rd of May 2021 via Zoom. The programme was facilitated by BHB Law firm and attendees were enlightened about various immigration issues

  6. On the 6th of June 2021, worship team of the church organised a thanksgiving service tagged Special African Praise. Minstrel Lanre Shedowo ministered in praise and worship, and everyone was blessed.

  7. The Annual 21 days Fasting, and Prayer programme was held from the 11th to the 31st of July 2021. Members met online on Mondays, Wednesdays, and Fridays by 6pm. The conference was tagged ‘AMEN’ Revelation 3:14.

  8. Career and Business fair was held for all students and professional on the 21st of August 2021.

6

Board of Trustee’s Report

  1. The women arm of the church held their Breakfast meetings every bi-monthly where they prayed and share the word of God together, they also discuss different topics e.g Healthy living, how to help children to be internet-safe, cooking etc.

  2. The men arm of the church had the breakfast meeting where they shared the word of God and bring external facilitator to talk to them about investment and being financially independent.

  3. On the 31st of December 2021, the watch night service was held.

3.0 Financial Reviews

During the period, the total of sum £103,046 was received in voluntary income and £33,149 in other income (mainly estimated Gift Aid receivables and grants) arising in total income of £136,195. Total resources expended was £97,638 thus resulting in operating surplus of £38,557. Cash at the end of the period was £85,276.

3.1 Principal Funding Sources

The charity’s main source of fund this year has been through voluntary donations from members.

4.0 Future Development

The Charity plans to continue with its various activities relevant to its local community. In the coming year, Covenant Restoration Assembly (CRA) Coventry plans to organise more developmental seminar/conference and workshops for its members and local community,

7

Board of Trustee’s Report

Trustees’ Responsibilities

The trustees are responsible for preparing the annual report and the financial statements in accordance with applicable law and United Kingdom Generally Accepted Accounting Practice.

Company law requires the trustees to prepare financial statements for each financial year which give a true and fair view of the state of affairs of the charity and of the net income or expenditure of the charity for the year. In preparing these financial statements the trustees are required to:

The trustees are responsible for keeping proper accounting records that disclose with reasonable accuracy at any time the financial position of the charity and enable them to ensure that the financial statements comply with the Charities Act 2011. They are also responsible for safeguarding the assets of the charity and hence for taking reasonable steps for the prevention and detection of fraud and other irregularities.

The appended financial statements have been prepared on the accrual’s basis and have been examined by an independent examiner, whose report is also appended.

This report was approved by the Board of Trustees on 31 October 2022 and signed on their behalf by:

On behalf of the charity:

Mr Gabriel Orakpo

Chairman, Board of Trustees

8

Independent Examiner’s Report

Report to the trustees/members of: The Redeemed Christian Church of God, Covenant Restoration Assembly, Coventry. On accounts for the year ended: 31st December 2021, set out on pages 10 - 16 Charity No: 1141943

Respective responsibilities of trustees and examiner

The charity’s trustees are responsible for the preparation of the accounts. The charity’s trustees consider that an audit is not required for this year under section 144 of the Charities Act 2011 (the Charities Act) and that an independent examination is needed.

It is my responsibility to:

Basis of independent examiner’s statement

My examination was carried out in accordance with general Directions given 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 consideration of any unusual items or disclosures in the accounts, and seeking explanations from the trustees concerning any such matters. The procedures undertaken do not provide all the evidence that would be required in an audit, and consequently no opinion is given as to whether the accounts present a ‘true and fair’ view and the report is limited to those matters set out in the statement below.

Independent examiner’s statement

In connection with my examination, no matter has come to my attention low:

Signed: Date: 31 October 2022

Name: Tobi Labeodan FCCA, for and on behalf of Chedders Ltd

Relevant professional qualification(s) or body (if any): ACCA

Address: Synium House, r/o 94-96 High Street, Henley in Arden, B95 5FY

9

Statement of Financial Activities: Period Ending 31st December 2021

Notes
Income:
Donations and legacies
1
Other income
1
Total Income
Total Income
Expenditures on:
Charitable Activities
2
Other Charitable Activities
2
Other Costs
2
Total Expenditures
Net income/(expenditure)
Transfers between funds
Other recognised gains/(losses):
Gains/(losses) on revaluation of fixed assets
Gains/(losses) on investment assets
Net movement in funds
Reconciliation of funds:
Total funds brought forward at 1 Jan
Total funds carried forward at 31 Dec
2021
2021
2021
Unrestricted
Funds
Restricted
Funds
Total
Funds
£
£
£
103,046
103,046
33,149
-
33,149
136,195
-
136,195
136,195
-
136,195
87,252
-
87,252
10,386
-
10,386
-
-
-
97,638
-
97,638
38,557
-
38,557
-
-
38,557
-
38,557
178,288
-
178,288
216,844
-
216,844
2020
2020
2020
Unrestricted
Funds
Restricted
Funds
Total
Funds
£
£
£
86,024
86,024
56,995
56,995
143,019
-
143,019
143,019
-
143,019
78,698
78,698
9,083
9,083
-
-
87,781
87,781
55,237
-
55,237
-
-
55,237
-
55,237
123,050
-
123,050
178,288
-
178,288

10

Statement of Financial Position: Period Ending 31st December 2021

Notes
Fixed Asset
Tangible assets
3
Total Fixed Asset
Current Assets
Prepayments
Accrued Income
Cash at bank and in hand
Other Debtors
Total Current Assets
Creditors: amounts falling due within one year
Other Creditors
Other Current Liabilities
Total Creditors: amounts falling due within one year
Net current assets (liabilities)
Total assets less current liabilities
Creditors: amounts falling due after more than one year
Other Non-Current Liabilities
Total Creditors: amounts falling due after more than one year
Total net assets (liabilities)
Capital and Reserves
Retained Reserves
Surplus / (Deficit) for the year
Member's Fund
2021
£
161,512
161,512
-
35,200
85,875
1,400
122,475
7,764
(110)
7,655
114,820
276,332
58,887
58,887
217,444
178,288
38,557
216,844
2020
£
168,132
168,132
-
19,000
63,315
400
82,715
7,551
2,770
10,321
72,393
240,525
62,237
62,237
178,288
123,050
55,237
178,288

11

Cash Flow Statement: Period Ending 31 December 2021

Operating Activities
Net Income
Adjustments to reconcile Net Income to Net Cash provided by
operations:
Debtors
Other Debtors
Depreciation
Creditors
Long Term Borrowings
Net cash provided by operating activities
Investing Activities
Property
Furniture & Fittings
Machinery & Equipment
Vehicles
Net cash provided by investing activities
Financing Activities
Reserves
Other Reserves
Other Non Current Liability
Net cash provided by financing activities
Net cash increase for period
Cash at beginning of period
Cash at end of period
2021
£
38,557
(17,200)
-
8,983
(1,999)
(668)
27,673
(2,362)
(2,362)
-
-
(3,350)
(3,350)
21,961
63,315
85,276
2020
£
55,237
(10,000)
-
7,308
2,405
(2,700)
52,250
(196)
983
844
(3,658)
(2,026)
-
-
-
50,224
13,091
63,315

12

Accounting Policies

Scope and Basis of the Financial Statements

The accounts have been prepared under the historical cost convention and in accordance with applicable accounting standards and the Statement of Recommended Practice Accounting and Reporting by Charities published in March 2005.

Income

Revenue is recognised in the period in which the charity is entitled to receipt once the amount can be measured with reasonable certainty.

Expenses

Expenditure is included in the Statement of Financial Activities (SoFA) on an accruals basis and is recognised at the point when a legal or constructive obligation arises. The majority of costs are directly attributable to specific activities. Where costs cannot be directly attributed to particular headings they have been allocated to activities on a basis consistent with the use of resources.

Fixed assets

Fixed assets with an individual purchase of £500 or more are capitalised and stated at cost less depreciation which is provided at rates calculated to write off the cost of each asset over its expected useful life as follows:

Fixtures and fittings 25%
Equipment 25%
Vehicles 25%
Building 2%

13

Notes to the Financial Statements for the year ended 31 Dec 2021

Donations and Legacies

1 Income
Donations and legacies
Total donations & legacies
Other Income Sources
Gift Aid Receipts
Other income
Interest Income
Total Other Income Sources
Total Income
2
Expenditures
Charitable Activities
Premises
Utilities
Travel
Motoring & Transportation
Insurance
Administration
Advertising
Operations
Training
Professional fees and services
Finance Charges
Disposal of Assets
Depreciation
Honorarium
Total Charitable Activities
Other Charitable Activities
Outreach
Central office
Welfare & Benevolence
Charitable Donations
Total Other Charitable Activities
Other Costs
Other costs
Accountancy fees
Total Other Costs
2021
103,046
103,046
19,467
13,682
-
33,149
136,195
2021
£
25,300
3,255
1,080
3,065
1,434
28,840
914
10,537
-
623
4,082
-
6,620
1,501
87,252
924
6,630
1,963
870
10,386
-
-
-
2020
86,024
86,024
27,213
29,781
-
56,995
143,019
2020
£
18,139
2,626
830
1,660
1,197
31,065
326
4,247
-
4,148
3,678
-
8,982
1,800
78,698
52
6,100
2,291
640
9,083
-
-
-

14

Notes to the Financial Statements for the year ended 31 Dec 2021

3. Fixed Assets

Cost
At 1st January 2021
Additions
Disposals
Revaluations
At 31st December 2021
Depreciation
At 1st January 2021
Charge for the year
Disposals
At 31st December 2021
Net Book Value
At 31st December 2020
At 31st December 2021
Property
£
180,756
180,756
19,749
3,135
22,885
161,007
157,871
Vehicles
£
11,010
11,010
6,498
872
7,370
4,512
3,640
Equipment
£
37,654
37,654
35,041
2,613
37,654
2,613
-
Fixtures
& Fittings
£
21,519
21,519
21,519
21,519
0
0
Total
£
250,940
-
-
-
250,940
82,807
6,620
-
89,428
**168,132 **
161,512

4. Related Party Transactions

During the year, the church made donations and contributions to other RCCG and charitable organisations as shown in note 3 under Central Office and Charitable Giving.

5. Trustee Remuneration & Expenses

During the year, there were not payments or reimbursement of expenses to trustee members.

6. Staff cost and numbers

taff cost and numbers
Wages and salaries
Social security costs
2021
£
24,500
-
24,500
2020
£
26,784
-
26,784

No employee received remuneration amounting to more than £60,000 in the year

Average number of staff

Pastoral
Admin
2021
1
1
2
2020
1
1
2

15