The Redeemed Christian Church of God - The Chapel of Truth
Report and Accounts
31 August 2022
Company Registration Number - 07773497
Charity Registration Number is - 1144150

The Redeemed Chrlstlan Church of God - The Chapel of Truth
Report and a¢￿Unts for the year endod 31 August 2022
Contents
Charlty Informatlon
Tru8t••s' annual report
Statement of trustees. respon51bllltl•s
Independent examinefs report
Funds statèments...
Statement of financial activtties
Movements in funds
Income and expenditure account
10
11
Balance shefjt
Notes lo tho accounts
12
13-20

The Redèèmed Christian Church of God - Tho chap￿ of Truth
Company Registrdtion Numb8f- 07773497
Trust88s' annual report for tho year ended 31 August 2022
Thè trustets ple￿t I￿r rekK*t 8rKI oux)unts the yw endgj 31 August 2022, also
compnses the directors. report required by the Companies Act 2C￿6.
Refor8nc• and administrative detalls
The ¢h•F7ty nam•.
The legal namo ofthe (*arity is:. Thg Rada￿ Chnsban Church of GOJ. The Ch8W ofTnJth.
The (tharrty is also known by its crerating namè, RCCG- The Chat*l ofTnth.
The ch•rfty$ •rn•s owath>n and UKcharfl•bl• r•glstr•don.
The chanty is registered in EnglarKJ & Wath *lth Ih8 Charty Cornmrdsw in Er*rNJ & Wales
ICCEWI vmh chanty number 1144150.
Th8 charity d08s not Lwate in any overseas juii5dKJIor￿.
L•g•l$lructure of the eh•iity
The charity is constr￿ted a8 a cx)rnp8ny limthj by guarantee, regtye(l underthe Conwanies Acts
. The goveming docurnent of the charty Is the m8m0￿ndUrn arKI ￿tid85 ofAssooats"on estsblishing
the company under company legislation.
The govemiry d(￿fflent is dated 01 June 21
The￿ ar8 no restrictions in the goveming th01n￿nts on the op8r8l*Jn of Ihe Charlty or on Ms
invesknent powers other than ImwJ5￿j by Charity Law.
By op8ration o118W 811. trustee5 are direct(*s uThJer Ih8 Comp2nk8s Act 2CX)6 and all di￿10r$ a
trustees under Chariligs bgi5Lgts'on and have reSp￿sIbIlitIeS. as %Kh, under both company a¥vJ
charity legislation.
The tnJ*ggs are 811 individuaL% liste(I tdw.
Victoria Olubumi AVW"
Ad8dotun Fagade
Oluse9un Morakinyrj Akano
Tho prIn￿paI opwatlng addr•N tsl•phone numbor. emall and wob addr•ss•s ofthè Gharlty
58 Ald%￿th Close
Hornthu￿h. Essex
RM124JX
Telephone 07853359516
Email Addr85s RCcGCoTL￿¢kn
Web 8¢Jdress RCCGCoTLondon
Facebook: RCCGCoTLondr
Th8 regist8red office ofthe charity ts C(xnpaniB5 Ad wrpwjsts i% Ihe same as the operating

Tho R•d••med Chrl$tlan Church of God- The Chapol of Truth
Company Registrathm Numtser- 07773497
Trust￿$. annual report for the year ended 31 Augy$t 2022
Th• followino p¢rnons 8er¥ed as trusto•s durfno th• y•ar •nd•d 31 August 2022:.
The trustee5 vtho served 8$ 8 tNStee in the ￿Por￿ng peri(Kl *tre as $h(Y*m atrMW8. 8nd ihere ￿Te
no chang85 duriNJ lh8 year, or perKA1 bemeen the year eThJ aNI Ihe approval of the
accounts.
Objects and acttviti•s of the charlty
The pu4>0s•s of th• charity as s•t out in its goveming documenL
The obie¢L8 of the chartty a￿..
2. The rel￿1 of ￿Jvety.
It pursues Ihese obJ8cis by th8 ¢)perntith) ofa Chrtsban ￿yshIp centre at The 19>211
Becontree Avenue Dagenham. RM8 2UT. It a150 organises s￿131 training and mentoring actiwties
for the unemployed, people FAanniTrJ to slart their businesses and runs general infom8tion
C8ntre lor the public.
The maln actl¥llie5 undtrtaktn In relatlon to thos• purpow durlng th• yaar.
Si9nrfunt acImt￿ Ihat contr"buted to Ihe achieVen￿* ofthese ot4ethes *w8'.
1. Events org8nis8d during the year to the Chrtsban faith ind￿je distribution of laafiets %Mth
Chrisban m8S58ges, O￿an1$1￿j deIrvernn￿ seNces. all n¥Jht v¥Jils, sp8aal pray8¥S and
Lxjunsdling.
2. Oth8r act'vtti8s to help raise the wofile ofthe Charity in thg Ir￿1 ¢u)mmunty indud8d picnKs.
Mother5, Day and Fathers, Day Celet￿atIOns.
3. Specific act￿￿&S for Ihe relEfof pjverty are in the areas of lrniniro and mentorirrtJ ofthe
unernployed to stsrt their rmn businesses and pa￿rvj pb inf(xmation to job seeker5.
4. The thanty dBthtrMJted 130 t(*x85 of Chwi51wna5 hampw5 10 those in noed in the wnmunty whlch
indudes families ￿Idents in the hcmndess hostels of London tx)roLJgh of Barknwwj D8g8nharn at
8urUer Court Hostel MayetscM* park 8dKd aTrJ the VI￿ ywth ￿tre.
5. To supFrf churth Mem￿r5 and the LL¥nrnuntty during Pande[n￿ perioxj. the d)uwch started
3 houdy prdyer daity lat 9am, 12￿n. 3pm, 6pm and 9rn1 to inlercede FeoFle's needs.

Tho Rodoemod Chrlstlan Church of God - The Chapol of Truth
Cornpany Regi5tratiOFT Nurnber- 07773497
Trustsos. annual rnport for th• yoar ended 31 August 2022
The maln actlvltles undertaken during the year to further the charlty¥ puryjose for
the publlc benefit
The trustee5 have Cornpl￿d the duty in Seciion 4 of ihe charl￿ Ath 2W6 and pald due re9ard
to PU￿1¢ benefft when preparing thi5 rep￿l The bBnefrt p￿Y￿sed to Ihe public is co￿$tent vAth the
aims ol th& tharity in th8 Unit8d Ithngdom.
The truste8s have had reg8rd to th8 Charity CorNni55NJn's guidawTh on Publ￿ berwfft in managiNJ
the acbvths of the Ch￿ty.
Th contslbution of voluntews durlng Ihe ywr.
The thurch is gTrt8fv1 forthe L¥￿￿￿rn8￿t arvj effDrts of its vclunteers invc4v&J in seNces
provision. Th8 church has over 20 vduntew5 (xjrnmllt￿1 to *Y>rking in variou5 d8partrHents w•thin
the church. The church o￿tinUeS io dispense th8 SWVKX of heads of departments and rninisters to
8nsure that the best valu& 15 dariwj from tha st8rfing efforts ol Ihe vdunteers.
Grant making policies and how these ¢ontribut•d Ir* the •¢hlwem•nt of the
charltys alms and objectfves durlng the year.
Grants are rnade to other charrtatAè txxl￿S. The ChU￿h SUFpNts missi￿ry organisations suth as
the Festival of Lrfe and the Wortd Evaryeltsm Mi%sth. Gwl street hospital chiklren's
ch8rity8nd other mi&sions 8nd projocts %Mthin and outswje the UK. The Ghurth also ￿￿¥¥jeS supwrt
to member5 01 the conurwJatJon lat the discretion of Ihe ITVSteesl are in n￿1.
The maln achlevements and performance of the charlty durlng the yoar.
The tryJ8t8es arg pK8as8d to report that Ihe thurth ¢xNrtinued to be 5ULX*5slul writualty by
ministering to many peO￿e in prayer a￿j ￿t￿d[e. The chwch imwoved in membership strength
and is inixeasir4Jly reathww OLrt to th8 cornmunty.
Structuroi gov•rnanco and managwn•nt of tho charlty
Th• methods used to rKruft and appoinl naw charity trust80S.
New trustees giected on th8 basi8 of lh8 c3Jntribul*Jn that th•y*ill mak6 to tha govomanc• of
the oryanisatxjn and the 5kn115 that theywll contrilNJle. They afy prtivided topies ofthe Chanty
Cornmissvn's guKlarxx to trustees arKI given an inttudLK￿n to the aGINiti8s of charity by thè
eyi5bng Board.

Th• R•doom•d Chrlstlan Church of God - Tho Chapol of Truth
Cornpany Registration Nurnb8r- 07773497
Trustees. annual report for th8 year ended 31 August 2022
The charltys oryanlsational structu
The LK)ard of trustees is head8d by a Chairman. the Swxotsry to tho trust and a FinaK3al secretsry.
I the pr858nt employees of Ihe charry are voluntary *Y)rker5. The bustees are resF1)nsi￿e for
king all deCiS￿S warding a1hJCat￿ of fvELd atxl adi¥l￿S.
Bankers
Bardays Bank UK PIC
I Churc*ill
London
E145HP
Crcr•mw5e Conyjm Lld
IA T¢yAfft Squaro
Erith
London
DA81RE
Aco)untants
Flnanclal rnviow
Th• charlty¥ financial posibon at tha end of the yearended 31 August 2022
Th8 finanoal posthn of the charity at 31 August 2022 arxl (x)mparalNes for￿ fv peric¥J. as
more lully ¢J8tai18d in the accounts. can be suMrnar￿l as I￿1¢y*s..-
2022
2021
N•t InMm•
1.897
18.044
Unrestrictsd revenue fvTrJs a¥a￿able fc* the
gengr81 pu￿)585 of the c*arity
58.533
Totsl funds
58,533
Flnan¢lal rgvlaw of th• posltlon at tho reportlng dalg. 31 August Z022.
Duriro th8 year, income of £55.812 I£XI.136 in 20211 was mainly r¥￿1¥ed as vduntary donatio￿.
The net movement in fvnds for the as Sho￿ in Ihe statement offinanoal ath"vitses for the
period was £1.8971£18.044 in 20211. The valuÈ ol The Redeemed Christian Church of God-
Chapel of Truth's ngt a888ts as 8t 31 A￿ust 2021 £60,4301£58W3 in 20211.

The Red8emed Chrfstlan Chur¢h of God- The Chap•l of Truth
Company Regislr3kn"on Number. 07T73497
Trustses. annual rpport for the year ended 31 August 2022
Th• major rtsks to whlch Ihe charlty Is exposed and rnvlews and systems to
mltigato them.
The trustees have assessed the majcrf risks to vthKh the charity is eX[￿sed, in partitrjlarthose
relate¢J to 0￿r8b0nS aThJ finan￿ ofthe thanty. arKI 5atisfvJ IW system5 are in Pla￿ to
mikngate against exFX)sur95 to the major risks.
l)etalls of th• InOepeEKlent examlner
Nryi Z8ceheus
Chartered Certified Acc¢xJntsnt
1A Town Square
Erith
DA8 1RE

The Red￿Med Chrlstlan Church of God - Th• Chapel of Truth
Company Registration Number- 07773497
Twst•8s' annual report for th* year ended 31 AugUSt 2022
Staternent of tha trustees. responsibilities
The charitys tnJstees are ￿Sponsible forlhe preparnti￿ ofthe armunts in acCxydan￿ vAth thè
ternis of the Gompanies Act 21￿. the Charrties Act 2011 and the Charities (Accounts and Rep(xtsl
Regulat'ons 2C4)8. Notythstsnding the explKit requirement in the exlanl ststutory regulation5.the
ChaiFtie5 IA(fA)unts and R8P)rtsl Re9￿at￿nS 2(￿78. to p￿p8ffj financial stat8m8nts in
accordance ￿1th the SORP 2￿5, in ofthe fact that th8 SORP 2(K)5 has been vAthdr¥wn. the
Tmstee$ deterrnined to interp￿t this responsibilty as ￿ulring them to follow current b9St practice
and prepare the aC￿unts according to the FRS 102 SORP Istaternent of RecommeThJed Prdctice
for Accounting and RèportirMJ by Charl￿e5) 2015. las amended by the Bullets"n ISSU￿ in Octobef
2018 and applic2bJe to all accounb.ng periods beginning on or after 1st Jarbuary 20191, SORPI.
In parb"cular. the CrynpsrN6s Act 2W6 tharity Lqw require the Board of Trustees to prepa
fin8nual staternents for eath financgal sear gN8 a true and fair wew of the *8te of affairs ol
the ¢hanty as 8t the end of the finanrjal year and of the surplus or defi￿t of the charrty. In prepaAng
th¢)se finanoal staternents 15 wuwed to:_
. to prepare ¢he acmints in ac£o￿larKe Unit8d l(mg(h)m G8n8ralty A￿pIed
Acc(MJntirrfJ Practice IUnit8d AcwJntirvJ Slandard5 and applicatAe
- sèkqct surtable acowntir4J ry)li(iÈs and apply them ccfflSi$t8T￿y.'
- rnake judgements and estimates that are wsonabl& and prudent..
- prepare the finanrial stat8m8nts ￿ the 9c*ng basi8 un18SS it is inappmKWte
to presurn8 that th8 charity wll ti)nl?nue in t)usiness.'
state lthether applicat￿e accounb.ng stsndards and ststerllerts of
recommend￿ r¥actKe have tr*en sut4ect lo any rnatert81
depathjres disdo8￿1 ènd eI￿lTred in th8 ststeM￿s'.
The law requires that Iruste8s rn￿1 aprrn th8 arxxxmts unkn tw are s8ti3fi•J th81 th
gNe 8 trne and lair wew of the stste of affairs ol Ihe d)arity and of the or deficat of tharity
forthe year.
Tha trustees are also resFx)nsit48 for maintainiTrJ adequate acC￿ntiThJ r*xyds ￿lch disdose wth
re8sonabl8 8ccura¢y at any the finanual ol the thanty and vthich ar8 suffiLyent to show
and etyain the charitys trdnsaction5 and enaNe them to ensure that the finanual statements
comply the CoMpan￿S Act 2006 8nd comply v•ith rÈgulalions rnad8 under Ihe char￿e$ ACL
They a￿ also re5rK)nsit￿e for safegu8rding the assets of the tharity and lor taknng
reasonablé steps fc* the prevention and dètèction ol traud antt ow iwr8gularili85.
The tnjstees are also ￿Sp(￿Sit￿￿ lor I1* contents of the tnJste85' r8FX)rt, and the statutory
respon5ibilty of Ihe independent examw*r in relat￿ to the trustee5' re[￿ ig limite¢J to examlnirrfj
the and ensuring that IhE f*e of Ihe rerxrt there are no material iThxJn*stenri8s %%ith Ih8
figur8s dk%dosed in the financaal slate￿nts.

The Redeemed Chrlsllan Church of God - The Chapol of Truth
Company ReglStral¥)n Number- 07773497
Trust••s' annual rnport for th• y•ar •nd•d 31 August 2022
Mothod of preparntion of accounts - small company provisions
Th8 finanoal staternents are Set (NJt on pa9e5 9 10 12.
The financial staternents have kYep8red Im￿ements[￿a th FRS 102 SORP (state￿nI of
Recomrnended Practice forA[xx￿nts.ng and RerKKtsng by charIt￿s) 2015. las amended by the
8ull8tin issued in Octob8r 2018 and ap￿Kzts￿ to all accounting periods beginning on or after 1st
January 20191. IThe SORPI. and in aC(X*dan￿ wth the Financyal RetM)rtrng Stsndard 102.
leffective 1st January 20161
These finanaal statements have ￿par￿j In acoydance ￿1h the prowsHJns in Part 15 of lh8
CL¥npanie5 Act 2006. applI￿LIe to CoM￿nieS sutyect to the small (xmpanies win*.
This r8FK)rt Was apwOV￿ by Iha bjard of Iwust8as on 2 May 2023.
Wthri8 aubjnrni A￿Trj
Director and tru$t••

Th• Rod••m¢d Christian Church of God - Th• Chapgl of Truth
Report of the Inde￿ndent *xamin•r to the trust•8S Ot th• ¢harttabl• company on tho aeeounts for
the year endgd 31 August 2022
I rèport to the tNstees on my examination of finanoal statements of the charita￿8 ttpmpany on pag85
9 to 12 for the year ended 31 August 2022 whith have been ￿Pared in acD)rdance thè Charities
Act 2011 (the Adl and wth the Finanaal Reporting Standard 102, (effective 1st January 20161 as
modified by FRS 102 SORP Islatement of Recornnwided PractK£ for AcmuntiThJ and Reporting by
Charities) 2015.18s 8mended by the bulletin issued in Octobèr 2018 and applicabje lo 811 a¢¢oLJnting
periods beginning on or after 1st January 20191. (The SORPI. published by the Charity Cornmission in
England & Wales ICCEWI, and under the histonc81 ¢y)st (x)nvènb"on and the aco)unting policigs Sgt out on
pages 13 and 14.
R•sp•ctlv• r•sponsibiliti¢s of the tTusts•s and th• indop•nd•nt oxaffliner and th• basls of tho
r•port
As described on pages 5 and B, you. the charita￿e ￿mpanI$ trustegs. who are also the directors of the
company forthe purposès of company law. are re5kX)n5ible for thè p￿paration of the finanryal stslements
in accordance wth the Companies Ac12006. the Chanbes Act 2011 and all other applicable law and wlh
United Kingdom G&ner8lly Accepted Accounting Practi￿. applic8N8 to smaller entities. and for being
satisfied that the finanual statements give a tnje and fair vi8W.
Tha trustees consKler that the audrt wuir•ment of SectKffl 144111 of the Charities Acl 2011 {th& Act)
d￿S not appty, and that thare is no requirement in the M8nK)￿duM and arb.des of the charity for the
conducting of an audit, and that the accA)unts do r￿1 require an audtt in acy))rdance Part 16 of th8
Companies Act 2006 and that no member or members have requested an audit pursuant to Section 476
of the Companiès Act 2006. As a conwuence. InJste85 havè deded that the finanaal slatements be
Subject to indep8ndent examination.
Having satisfied mys8K that the finanaal statements are not required to b8 audited under any legal
provision, or otherwise. and are elwJible for indepeThJent examinats"on. it ¢s my responsibilty to...
al examin& the finanaal ststements of the tharty undèr S8thon 145 of the Act:
bl f￿loW the applicable prrrnlures in t￿ DirBCth)ns gfjven by the Charity Cornmtss￿n und8r 58cbon
14515llbl of the Act.
Basls of Independent ox•min8f8 stat•m•nt and scop• of work undertak
I report in respect of My examination of Ihb (*)antys financial statements carried OLrt under s145 of the
Act. In (xrrying out my examination. I have ftllowed all the aPp4W￿b1e Directions gtven by the Charity
Comrrission under secbon 14515Xbl of the Act setting out the duts'es of an Ir￿ependent examiner in
relation to the wnduth.ng of an independent examinalion. An indeperK19nt examination indudes a review
ol the accounkn.ng racords kept by the charitsble u)mpany and of thè accounting systems employed by
the charitsble company and a comparison of the finanLial stslem8nts presented those ￿cOrds.11 also
includes consideration of any unusual items or dL8dosuros in the finanaal statements. and seeking
explanations from you. as Trustè8s, conceming such mattW5. The purKK)se ¢)f th8 èxamination is to
establish as far as possible thal there have tX8n no breaches of charity legislation and that. on a test
basis of evK19n(￿ rthant to the amoLmts arKI disdosur85 madè. thè financial slatements o)mply wth the
SORP.
The procedures urK1ertaken do not provide all the evidenc* that woukj be required in an audit, and
information Suppl￿ by the Trustees in the wursè of the examinat￿ is not subjected to audit lesls or
enquiries and do85 r￿1 (x)ver all the matters that an auditor would consider in arriving at an opinion. The
planning and cy)nduct of an audit gces twnd the I￿n￿￿ed assurance that 8n int1ependent examination can
provide

The Redeemed Christian Church of G(Kl - The Chapel of Tnrth
Cons8quenUy, I do not express an audtt opinion on Ihe wew given by the finanual ststements. and in
particular. l expres5 no ownion as to whether the finanual statements give a true and fair v*ew of the
affairs of the chsrty. gnd my repDrt is limited to thè mattèrs set out in the slaternent ￿lOw.
I planned and performed my examination so as to satisfy my3elfth8t the obFdives of the independent
examination a￿ a¢*ieved and before finalising the rèport l obtsined written assuranrAs from the Trust885
of all material matter5.
Ind•p•ndent examinerfs statsmon( rnport and oplnlon
Subject to the limitations upon the w of my as detaibj atKJve, I have complgted my
examination.. and can tonfimi that".-
The accounts of thi5 charitabk (xjmpany are not requirpjj to be audrte¢J Ur￿er Part 16 of the Companies
Ad 2006,.
This is 8 rèwrt in respect of an examinalion carried out under 145 of Ihe Act and In accordance wth
Dir8ctions givèn by the Charity Commission under seckn 14515Mbl of the Act which may be applicable..
and that no material rnatters have come to my atten1V￿ in u)nne(knn the examination gNing me
cause to believe that in any material respect=_
aGcounting records were not kept in re8pect of the charity #s required by Seth"on 386 ofthe
Compani8s Act 2006 and Section 130 of The Charilies Art 2011..
the finanryal stslefflents do rK)t accord vAlh t￿￿e r￿￿$.. or
the finanrAal statements do not c£)mply wtth the applicable requirements conceming the fonn ar
content of accx)unts set out in se(knn 396 of the Companies Act 2￿6 other than any Tequirernenl that
the accounts give a Irue and lairf view. not a matter considered as part of 8n independent
exarnination..
have not been prepared in acLXIT(18nce v￿th th8 methods and prinuples set out in the FRS 102 SORP
IStat8mènt of Recornmended Practice for A(xx)unb"ng ar￿ R8POrting by Char[ti￿) 2015. las amended
by the Bulletin issued in 0￿¢ber 2018 and apFlicable to all accounting perKtyas beginning on or after
1st January 20191, (rhe SORPI.
I have no concerns and have ￿rne acr¢)55 rK) oth8r mattèrs in connath.on with th8 examination to which
attention should be dr8wn in this r8[￿( in order to enable a proper uThJewstandiThJ of the finanryal
8t8t8m8nts to be reached.
heus-
dependent examiner
Chartered Certified Aoxxjuntsnts
1A Tovm Square
Erith
London
DA8 1RE
This report was sign8d on 2 May 2023

Thts R•deemed ChrlstSan Church of God - The Cha￿1 of Tnrth- Statement of Flnanclal
Actlvltles for thg year ended 31 August 2022
ststern¢ht tsf financlal actlvlt6os Ilncluding the income and •xpBndllur* account for the year•ndod
31 August 2022. a5 WBqulrnd by Companles A¢t 20061
Cu￿nI year
Current year
Unrg5trictod Restricted
lund5
frJnd8
2022
2022
Current year
Total funds
Prfory8ar
Total fvnds
2022
2021
Income & endovrnents from:
Dcfflath?n5 &18g8UaS
55.812
S5￿12
50,136
Expenditure on:
Ch8rit8b18 actMtse5
53.915
53.915
32,092
Total •xp•ndMur•
53.91S
53,915
32.092
Net Incomo for th• y••r
1.B97
1m7
18.044
N•t mowèment funds
1m7
1197
18.044
R•eoncl1la￿0n offvnd8:_
Totsl fund• brought forwaftl
58.533
40.489
Ttstsl lund8 carrl•d fop*•rd
60,430
SB.533
The'SORP Raf indKated at#J¥e 15 the c4a5sikn of irKxJrne set oui in Ihe f(rfNd SOFIP doolft￿Trts. As
required by paragraph 4.80 ofth8 SORP, Ihe t¥wM forvrdryl and fl¥￿a￿ fts￿1$ atK)ve ha￿
agr88d to the baL4nce sheeL
A separate Statement of Total Re￿3n￿8•j Lc6se5 15 rEqUir￿1 a5 IIw5 sts1&T￿nt indudes
all re(x)gnIS￿ gains kn8888.
Ai the prior year transathns **re unr88trktsJ ttems. aTrJ Tr) fijrttwandyw is ￿]u$r8d
Al 8ctiviti8s d8riv8 frorn (x)ntinuing operabons
The Redeemed Christian Church of God- The Chwl of Tnrth- Rèsources appllod In th•
y•ar •nd•d 31 August 2022 towards fixed assets for Charrty uso:.
Funds generated in Ihe year as detail￿ in tr* SOFA
R8sourc8s appl￿ on functK*)al fixed awts
1.897
18,044
14,3981
Net r080urc•5 avallablo to fund charftabl• ￿11¥1
1.897
13.646
Tho not85 attarb•d on pow 13 to 20 forni an Intsgral part o1th05• accounts.
10

Th• R•d¢*mgd Chrlstlan Church of God- Th• Chapol of Tnrth- Slat•m•nt of Flnanclal
Actlvltlos for tho y8ar endod 31 August 2022
Mov•m•nts in rnv•nué and ¢apital funds for the yèar •ndad 31 August 2022
Rvvenue aG¢umul)t¢d funds
Unr￿1￿cled Restricted
fund8
funds
2022
2022
Total
lunds
2022
Last y•ar
Total fvnds
2021
A￿MUlated funds brought fcthv
58,533
40.489
Recognis8d gains and Ic£s8s
bef(Ke transfers
1.897
1.897
18.044
60.430
58,533
Clo8lng revenu• lunda
60.430
60.430
Summary of funds
Total
funds
Last Yoar
Total funds
funds
Design•ted funds
2022
2022
2022
2021
R8V8nue ￿￿Mutated funds
The Redaèmod Chrlstlan Church of God . Th• Chapel of Tnrth
Income artrd Expenditure Account for th• y•ar •nded 31 August 2022 as requlred by the
Companies Act 2006
2022
2021
Incorne
Income from operati
55.812
50.136
Gr088 Income In tho yoar boforn •xcepllonal lloms
Expend1￿1
55.812
$0.136
CharIta￿e axp8nditure. exdudiny arn1
DeprelYat￿n and arn(¥bsthon
Governen￿ (x15ts
51,558
1,757
29,722
1.757
613
Tolal oxp¢ndliur• In the year
N•t Incor￿ b•for• t•x In th• flnarKlal y•ar
1.897
18,IW
Retalned surplu• forthe financial y•ar
1.897
18.044
l ackn"wti"es denvg from ¢￿tinUIng cfffilK)ns
In &cc(KdanGe the pmMsM)ns of the cornp8n￿s Act 2(￿. the hewjings aryj 5uithding5 used in Ihe
irKorne expendfture accujnt hav8 ￿en adapted to refiect Ihe 5peThal nalure of the Eharity5 aL*vibes.
The not88 attached cft pw 13 to 20 fomi ￿ inlewal ofllwe a¢¢xxH)ts.

The Redeemed Christian Church of God- Th• Chapl of Tnrth - Balance Sheet ¥$ at 31
August 2022
2022
2021
Fixed asset¥
Tangl1￿& assets
2.&fj7
4.614
Current awts
Cash at bank and in harKI
58.273
54.619
Total ¢urr•nt awts
58.273
54.619
Crgdllorn= amounts falllng du•
wSthln one y•¥
(7c*JI
(7￿>
Net eurrènt ass•ts
57,573
53.919
The totsl not a55ets tsf th• charlty
fjOA30
58.533
The total not assets of the ¢harlty arn lund•d by th• fund8 ofth• dwlty. as follows:_
Resirl¢t•d funds
Unr•stricted lunds
Unrestricted revenue fvN1s
12
58,533
58.533
Deglgnated fvnd•
TO¢￿ ¢harity fund•
60A30
58,533
For the year ending 31 August 2021 the o)mpany Wds 8ntiUed to exemptwx) lrt¥n *Jdit uThJer
section 477 of the Companies Act 2006 reL8bng to srnall cOmpan￿s.
The rnernbers h8ve not requir￿1 th8 Ltsnpany to obtain an •Ait in al￿dance v*ilh 476 of
the D)mpanies Ad 2C(6.
The director5 ackno%￿e(lge thwr ￿pOn*￿￿ty for vAlh the requirenwts ofthe Act with
r88pect to aCL￿￿nb￿j rec£)rds and for the preparati￿ of acwinls.
Thtrstr 8ccounts h8ve been ￿pared in accrthnct vnlh the provis￿n5 aWi(xblw to (￿lp￿nie
bject to th8 small compaThss
Victtsna Olubunmi Awjiobi
Trust•elFlnan¢lal Secrgtsry
Approved by the board ol twstees on 2 May 2023
The notes attath8d on page5 13 to 20 an integr* pwi ofth869 aoxunts.
12

The Redeerned Christian Church of God - The Chapel of Truth
Notes to the accounts for the year end￿ 31 Aygu$t 2022
1 kncounting poli¢ies
Polkles relatlng to th• productlon of the a¢￿￿￿1*
Basis of preparntion and accounting Gonventio
The ac4xunts have been prepared on the accruals ba￿$. under ￿ historiral wst convenbon. and in
ccordan¢x the Financial Repr*b'ng Standard 102. leffthe 1st January 20161 and'FRS 102 SORP
ISt8lem8nt of Recomrnended Practice for Accounting and Reporting by chants.esl 2015. las amènded by thè
Bulletin issued in October 2018 and applicab￿ to all a￿Unts.ng penc*Y$ beginning on or after 1st January
20191, ITh8 SORPI. published by Ih8 Charity Ccfflmi5sion in EngL3nd & Wales ICCEWI. effective January
2016. . and in aC0)rdan￿ wth all applicable law in ts tharity5 jurisdiction of registration, except that the
chanty has prepar•1 the financial ststements in aCnydaTh￿ with Ihe FRS 102 SORP IStat8rn8nt of
RecoTnrnended Pra(*ce for Ac¢ounbng aTrJ Rekthng by charits.esl 2015, las amended by the Bulleb"n issued
in October 2018 and ap￿ica￿le to all teginning ￿ or afte¥ 1st January 20191, (The SORPI,
in pref8rence to the pr8ViOU5 SORP. th8 SORP 2CQ5. has been ¥rilhdrdwm. nthrithstandirrfJ the fact that
the extant statutrry regUlatiC￿5, th? Charl￿5 (Al￿OUnts and RewKtsI ReguL4lK)ns 2C*)8 ￿f8r explicidy to the
SORP 2005. This has been done to &xJrd wnth DJrrenl best practs¢e.
Going concem
The charitabl8 ac￿￿￿￿$ are entirely depthx1ent C￿ txntiTruir8J grani ahl and vduntary donatiorts as well as
trading revenues. As a consequence. the gtyng ¢¢yKem basi8 is dependent on the firture fflow of these
n(*rtain fundiThJ str8ams. AcoydiThJly, the truste8s have obtained for￿¥Sts aThJ, after reviewing the finanual
forecasts for futurtr per¢thJs to 31 Augus¢ 2021. the twstees are satisfied thaL at the tirne of appwry Ihe
finan081 stat8rnents, it is appropriate to adopt the going £￿￿rn ba515 in prepaiing the finanual 5tstements.
Other than these rnatter5, the trustees ate not avAre of any malend Un￿rta"nrtes about the chariws ability to
eontinuo as a wng ts)ncem.
Rl$k$ and fLrtur• assumptlons
The charity is a wblic entity.
Policies relating to cal8gori85 ofincome andincomp rBwilion.
Nature of in¢om•
Gross Inco￿ r8pr8sents Ihe value, net ofvalue added tax and disc(*Jnts. ofgcojs pmw¢Jed to gjstomers and
rk carried cxJt in ￿spe￿ ofwwces provklèd to ￿￿toM￿rS.
In¢om• from •x¢hang• trons0c1io￿ ts reC￿ed by the d￿rity for wls or 5ervic88 5uppli8d und8r contrdct
or wher8 entrfement is subJErt to ￿￿llIng perlo¥mance ￿lated o)ndthns. The income the Charity r￿￿e$ is
approximately equal In value to the g￿￿15 or s8TrirAs suppli&Y by the charity to the purchaser.
Ineom• from a non4x¢hange transactjon is vkn8r8 the d￿rity y￿u8 frorn th8 donorv*ithout
providing equal value in exchaThJe. aThJ Ind￿ donati￿ of mc*)ey. g(K*ts and f￿lY gwen vth)ut
gwing equal value in exchange.
13

The Rgd••mod Chrlstlan Church of God . The Chapel of Truth
Notes to the accounts for th• y•ar ond•d 31 August 2022
Income Tecognltlon
Income. ￿ether from exchange ￿ nDn ex¢harvJe transac￿nS. Is reo>Jnised in the ststernen¢ of fin8nti81
activities ISOFAI on a rec8Nabl8 basis. ￿en a trartsaC￿n (x other 8v8nt IB5uts in an increase in the ch8rity5
assets or a reduction in Ft5 liabil￿.&$ aThJ cx)ty cthrrty ha5 legal entillement, the ino)m8 probable and
(an be measuf&J rella￿y.
Income subject to terms and o)ndibons %vhKth must mèt ￿Ortr the charity is enti￿￿ lo the resou￿5 is not
r￿￿anised until th8 conditons have been met
AJI in(x)mè is acc(￿n￿ lor gross. before (Jell￿￿Trj relaled fe85 or LY)Sts.
Pollcles rel•ting ts •xp•ndllurn on goods and s•yvlce8 pmvld8d to the charfty.
Voluntsers
In accordance wth the SORP. and in recc*Jnthn of the difficAJlb8s in rAaaTrJ a rnonetary value on the
contribution from vdunt8ers, the contributs)n of vdunlws is rKJl indUd￿j wthin the I￿￿[ne of the chanty.
H¢)wever. the trustees value the s￿nrf￿3￿t (x)ntribulwJn made to the athibes ofthe cknarity by unp8KI
vdunteefs and Ihis is d8scribad mc¥e fully Sn Note S.
Polkl•s rnl•dnq to ￿sets. Ilabllllies andwDvlslonsand oth•rm•ti
Tangib18 fixod assets
Tangible fixed assets a￿ me85ured at Iheir original cast value. orsubsequenl revaluation. or rf don8t8d, 85
descnbed above. Cost value indLMl8s all costs eXpend￿j in bn"roirKJ the asset into its intend8d M)rking
txjndition.
Dep￿￿a￿On has been pro￿"ded at Ihe Idlry•¥iEVJ rates in (K¢ler to wyrte off Ihe assets to b)eJ'r antiThpated resiyual
value over their estimated useful Iiv8S.
Buikling- Church refurbishmenl
Offic8 equiprnent
FUmitU￿ and fittsThJ$
Musul instrument
12.50% 5trawJrt line
25% Stra￿hl lir
25% strdwJht line
25% straNJht linè
Dobtor
Debtors are measured at Iheir rer))vwth ar¥wJJnts at the b￿an￿ sheet ijate.
c￿￿1101¥ ond pro¥l8lons
Short tenn C￿￿or$ are rneaSur￿l at transac￿￿ price is usualty the invryce pri￿1. Loan5
and other finanual liabil￿e5 are inrtolty re(x)gnised at traft8act￿ price n8t of any transaction LX)5ts
and subsequenly m8a5ured at amcfflosed ct>st sjetenn¥￿u usiro th8 e￿ti¥8 inter85t m8thL%I.
Fund a¢￿untIng
General funds are unre*ri(led furnls a￿ available for use al the dis(xebM of ts InAst88s in furth8r8nL¥
of the general objeL*ves ofthe thurr* and *thich have Trjl b89n dgsvwatgd for other purposes.
Restricted funds are ftJn(Is are to te [￿1 in &(*rdance with speryf￿ restrickn by doMrs or
whth have b&n raised by the chltrth for parbcular purpLEe5. The ulsts of rai8irg and administering such
funds are charyJed again$t the SF*ofic fund. The aim and use of each restritsd fund is 58t out in th8 note5 to
the financial slats￿nts.
There ar8 fK) 8rK￿Y￿)8nt funds.
14

The Redegrngd Christian Church of God - Tha Chap81 of Truth
Notes to the accounts for the year ended 31 August 2022
2 Liability to laxat5on
The tru8¢ees Consider that the Gharity satisfffjs the tests set out in Paogfaph 1 Sch8du18 6 of the Finance Act
2010 for UK cx)rp(rdtion tax purtM)ses. A0))rding￿, the tharity is k￿ntiallY exernpt from taxation in respect of
income or capital gain5 recgNed wthin categories o)vered by chapt8r 3 part 11 of the corporab.on Tax Act
2010 or Section 256 of the Taxation of Chargeable Gains Act 1992. to the extent that wch incorrE or gains are
applied exdusNely on the specffjc charitatle objects of the dHrity and for no other wrpc6e. Value Added T8X
Is not recoverable ty the chanty and is th8r8fore irKaLthJ in th relevanl costs in the stat￿er¥t offinancKal
3 Imndlng up or dls8olullon of the charlty
If uwn wnding up or dI￿￿￿ti¢￿ of lh8 chanty ￿rna1n any assets, after the satisfaction of all debts and
IK8biliti8S, th8 assets represented by the atxumulat8d lund shall ￿ tsansferr&J to s(Kno other rharitable bL¥ty or
tJ)dies having similar objects to the charity.
4 Net surplus bthirB tax irt th• financlal y•ar
2022
2021
The n8t surplus befNe tsx in the financaal y8W 15 Slated allerthar9fWJ:"
DèpracAat￿ of 0￿ed fixed assets
1.757
1.757
5 Th• contrIbU￿tsn of volunteers
The charity depends on the suppcfft of TL5 ¥dunt8érs. thh is rn￿h apweuated. The ¢*urd) is grateful for
unflinching effort5 of its volunteer5 are invdved in s8rvice p￿￿S1On. office hork and administration. It is
8Stirnated that over 6840 volunteer hwr5 ￿re prO￿de¢j during 2021. The arrange￿nts ￿1th v(Aunteers a
drfficult to value preosety In rnonetsry terrns and have not been recA)Jni98d in th8 Stat8ment of finanoal
activ￿¢$. The VL4unteets aThJ Ihe aoxpt and agr8e that conlract of empwient is rxeated by these
8rr8ngèments.
6 Bulldlng- Church r•fvrbl$hment
Total of
valuat5on
and Go¥t
Total of
At cost valuation
2022
2022
2022
2021
Cost
At 1 September 2021
57.092
57,092
57,092
At 31 August 2022
5T,092
57.092
57.092
At 1 SeptetnLw 2021
57.092
57.092
57,092
At 31 August 2022
S7.092
57,092
N•t ljook ¥Jluo
15

Tho Redeemed Chrlstian Church of God - The Chapel of Tnrth
Notes to the accounts for the year ended 31 August 2022
7 Tangibl# fixed assets
Cuffeniyear
Office Fumlture
Muslcal
equipment and fittings in•trument
T¢)tal
Cost
At 1 September 2021
Add￿On$
6.1
3.153
16.799
At 31 August 2022
6.196
16,799
D•pr•clatlon
At 1 September 2021
Charge for the year
2.897
1.099
12,185
1,757
658
At 31 August 2022
2.496
13,942
N•t book value
At 31 August 2022
657
At 31 August 2021
1,315
4,614
8 Cr8dilor¥: amounts falllng due wlthln on• year
2022
2021
Other crgdito
7(Y)
700
9 Incomg and •xp•ndI￿r¥ account summary
2022
2021
At 1 September 2021
Surplus after tsx for the ye
58.533
1,897
40.489
18.044
At 31 August 2022
60,430 $8.533
10 Partl¢ulor8 of how partl¢ularfund5 *r• mp￿￿nted by assèts and Ilabllltl8•
At 31 August 2022
Unre8trlct8d Ots1onat•d R•8trlct8d
lund5
fvnds
fvnds
Total
Funds
Tangl￿e fixed awts
Current Assets
Current Liabilthe
2.857
58.273
(7CQI
2,857
58,273
17001
At 1 Sept•mber 2021
Unrnstrl¢ted Designat•d R¢$tricted
funds
funds
fun41s
Total
Funds
T8ngitrAe fixe¢ assets
Curr8nt Assets
Curr8nt Liabil￿"e9
4,614
54.619
17CKII
4.614
54.619
17001
58,533
58.533

Tho R0d￿Med Chrlstian Chureh of God - The Chapel of Tnrth
Notes to the accounts for the year ended 31 August 2022
11 Change In total fund8 over the year ￿ shown in Note 10. analysod by Indlvldual funds
Funds
Transf•
Fund6
brought btheen
carrf•d
forward In funds In
lunds In forward to
from 2021
2022
2022
2023
Se• Not• 12 St• Not• O
Unr•strldvdand designa18d funds...
Unr8strI￿ revenue fvnds
1,897
60.430
Total unr85tr1ctod d￿19n*t•d funds
1.897
60.430
Restrfthd funds...
Total rnstrlthd fvnds
Total charfty funds
58.533
1,897
60,430
12 Anaiygls of rno¥ernents in funds o¥•r tlw year as Showm In Not• 11
Incom• Exp•ndltur¥ galns &
sses
2022
Movement
In funds
2022
2022
Unrestrleted and deslgnal8d funds."_
Unr8Stricted revenue funds
$5,812
153.9151
1,897
13 R•lat•d F>Jrty transaetiong
The Red88rn￿ Chrisuan Churth of GrAI th8 main he8￿4￿art¥S of all RCCG thu¥ch branches. During the
year, the ehurch pa￿ Ins￿ul.0nal grants to other RCCG cwJanIsab￿S as th8 Wortd EVang￿ts1 Mission
IWEMI and Centsal Office Fund ICOFI as ststed in Ihe arAx)unt.
17

Tho Rod8•mod Chrlstlan Church of God-Tho Chapel of Tnrth
Dotall•d an•ty¥is of In¢tyw* •nd •xp•ndOlurn forthe ywr ended 31 August 2022 ¥$ requir￿ by th•
SORP 2015
14 DonaWon¥. gr•rts and
CuTh•nt y•4r CuvvJnl year CurrFfit Prlor yoar
Unrestrlctod Rèltrieted Total fvnds
Tot•l
fvnds
fiJnd8
2021
2022
Donatlons and glfts from Indl¥ldual&
Small (k)nations ind￿￿U81￿Ie￿8 than
55.812
S5￿12
41.m
T¢xal d￿all0￿ and gbft* fr¢xn
55.812
S5￿12
50,1
15 E￿nd￿Ur• •rt thathabl• a¢tMtlM. dlr•¢t *wKllnq
Unr•strl¢tod Restrfcted Totsl fvnth T(tsl fvnd•
funds
frjnth
20Z2
2022
Welfafe
Visiting rninistws
Mu5
3.772
2J18
4.97U
4970
Total dlr¢cl ¥p•ndlng
9.527
Ilnr•strfcted R•#trfcknd Total fun
fund•
Total
nd¥
2022
2022
2021
Grants made le indwhluts
Grants mede ta r￿an￿tIOr
S,905
11B33
9,144
Y.765
12.833
Tot*1 granbmklng cost¥
18,730
18.n8
18.909
18

Th• Red¢emod Chri5tlan Church of God-The Chapel of Truth
D•t¥llod analy¥l8 of in¢om and expoThllluTh fr*the year ond8d 31 August 2022 45 requirTd by th•
SORP 2015
Currert year Current year Curreffl year
Unr•￿cted RMirf¢le¢ Total funds
furtth
fund
urnent Y
Wortd Evaryelistic Mk8shJn
RCCG. centr￿
6,297
6.136
6,136
Provinr
12
17 sUpport￿ts forcharii•bl• •thl¢loA
Cwront y￿r Currnrrt yfar Curvent y*ar Prlor year
unT￿tr(￿d Re8trld•d TotHI funds
Tot•1
fur￿
fund*
2022
2022
2021
Premises Expenses
Flat8s and vrJlerthary8s
Rocrn Hire
1.2
12.282
1250
12262
Admlnlstr•Uv• oY•rlre•ds
Telephone, fax and intemet
Postage
ststionery antl printi
Conf8r8nee & events
Trdv81 and SUb￿ten
AdVe￿￿ThJ and rnarketing
IrwTrn
&JndryexFwws
Equipment eXper￿ed
Rn8nclal costs
Bank charg85
DewÉtiai￿n & ArrThbsati(Ni in
795
2￿
S283
1225
1,225
311
1.537
1.751
1.751
1.757
Supwl ¢wts bDfr¥r• Mlloc•tlon
25,050
25,050
9.112
Total co￿. cun•nt ymr
25.050
24050
9.112
cur[￿rt y•ar Cuvrvrf yoar Curr•ntyw Pvlor y••r
Unr•strictqd R••trithd Tol•l fvnds TL*al funds
fvrK
2022
ZD22
I￿ependAnt Exa￿￿￿￿8 fee8
613
613
19

Tho Rodgern•d Christian Chur¢h ol God- The Ch•ppl of Truth
D8taSled anity¥i• of Incom• and expl1￿rt￿m lorth• ywr ¢ndqd 31 ￿ty￿st2022 u r•quir•d by tho
SORP 2015
19 Total chariiabl• •xp•nthturn
Current year CunBnt yèar C￿￿81rt year year
Unrvotrlcied R•strfctod Total fvnds Totol funda
fund
2022
2022
2022
2021
Total direct sFending
Total sUPlYJrt costs
Total govemartt costs
9.527
9.527
2S050
9.112
613
Totsl charftsbl• •ypondlturn
53,915
53.915 ￿092