Regirtered Chartty Number
1144637
Report of the Trustees and
Unaudited Financial Statements For The Year Ended
31st October. 2023
Redeemed Chrirttan Churth of God
Bethel Tabemade

Redeemed Chrirtian Churth of Crf)d
Bethel Tabernade
Contents of The Finanoal Statements
For The Vear Ended 31st Ortober. 2023
Page
Report of The TTustees
Independent Examinerfs Report
Statement of Financial Activities
Balance Sheet
Notes to the Financial Statemerht%
Detailed Statement of Financtal Acrivities
To

Redeemed Chrithan Church 05 God
Bethel Tabemade
Report Of The Tnjstees
For The Year Ended 31rt Octotky. 2023
REFERENCE AND ADMINlrnnVE D￿All5
Charity Number:
1144637
Chairnian:
Mr Kolawole Akinbi
Principal ad¢*e55.
153 Launcelot Road
Bromley. BRI SEA
Tnkrtees
Mr John Alegbe
Mr Gabriel Diya
Secretary".
Mrs Nike Awobimpe
Independent Examiner
Adonai A550ciates
50 King Alfred Avenue
Catford, London. SE6 3HP
Bankers
HSBC

Redeemed Chrirtian Churth of God
Report of the Trurtees and
Unaudited Flnandal StateEnents For The Year Ended
31strOctober. 2023
srRucfuRE GOVERNANCE AND KINAGEmE￿
RCCG Bethel Tabernacle was regi¥tered a5 a chartty on 10th November 2011.
It is govemed by its Mernorandum and Articles of Asswation and is managed by a Board of Trurtees.
Deci5Tons are determined by a simple majority vote by the Trurtees who Set the strategic direction of the
Charity. Delegated authority has been given to the Parish Pastor and management tearn for the day to
day Tunning of the operat10115 of the Charity.
Bethel Tabemacle is a member ofthe Redeemed Christian Church of CK)d whith has parishes worldwide.
The relationship is governed by the Agreement of Common purpose between the parishes and RCCG.
Trurtees are selerted on the basis of the contrtbution that they will make to the governance of the
organisation and skills that they will contribute. They are provided with copies of the Charity
Commission's Guidan￿ of Twrtees and are also provided with training as when required.
The Trurtees have assessed the rnajor risks to whith the Charity is exposed. in partiajlar those relating to
the spe£ific operational areas of the Charity and its finances. The Trurtee5 believe that by rnonitoring
reserve levels. by ensuring controls exists over kry fInancial systems and by examining the operational
and business risk5 faced by the Charity. They have established effecfive tyrtem5 to mitigate those risk5.
OBJEcfivES AND AcnvmES
The Charity's objects are-
"The advancement of The Christian religron worldwide and support of the I￿$ privileged Tn the local
comrnunity and worldwide-.
These object5 are charitable and operate for the public benefit. It pur5ue5 these objects by the operation
of Christian Worship at tts prernises Ellen Brown Centre. Grange road London.
Social Responsibility and Community Action a￿ undertaken within all department5 to raise rnoney and
contribute to locally based charities dedicated to alleviating poverty suth as Bethel Outreach Tearn. St
Mungo's and Bethel Kltchen.
The main activity of the charity is the establishment and Maintenance of worship ￿ntre5 to enable the
members of the public to participate in Chrirtian worthip. Making grants and donatrons to the needy.
The main artivity of the charity 15 the ertabli5hment and maintenance of worship ￿￿treS to enable the
members of the publrc to participate tn Chrirtian worship. Making grants and donations to the needy.
ACHIEVEMENTS AND PERFORMANCE FOR THE PUBLIC BENEFIT
Working in partnership with hous*ng charity to house and provide ￿re support servi￿$ to homeless
people. Working with other agencies to support homeless people access setvitrs in order to reduce the
impact of homelessne5S.

ANANCIAL RNEW
The Chwity"s principal fuDdillz 10 the irdviduaL% vtho allthl 5erylces and rnake
colltri￿j174Ths in Ihe l(Ym of freEwll ollainy. lithe5. and otherdr￿alicl)s. Part of the inc<xne 1% Omounl
is reccwffed under Ihe silt s(hane. The Tnrflee5 Contin￿ 10 I￿1￿￿e thot adryle reserve is
rniintsined io ong£*ng of Ihe tharily's cAiLrhve wa¢ior5al
The Charity continues io wkye ways of ItKlhwDg Ils <harilaEle cèjttiives in th dfeclive tnanner by
ensuring thue IS ￿￿[er￿sS of iti $yvi￿ prc4xtivdy fe*4ro opw(uDilie5 10 involved in
Ihe cc¥nmurMty. To Ihi5 eflett the Trw$e￿ have Id￿tired 4 dwty ￿ SUPPOrt the In line ￿th
the Churth-5 eihos of btsng J l¥nity thk￿
ForTnJ5tsu

as at 31 OaDbtr 2023
2023
2022
Fwxb Tai4[ Fund5
Totsl Funds
FiXED ASSErs
-g bif 45StXS
2.639
2.639
,h al in hind
5.961
8.967
CkEDrrop
ATnoJnts Falling Lkn wnthln rx* Year
155
155
10.050
Ntr CURREN[ ASsFrs
6?50
6250
4.585
TOTAL AssFrs LESS CUkRENr
LL4BILm
6A89
8.Sls9
1.884
AfSFt5
8J89
7.884
Unresifit1t%l Funds
8.889
1.884
TOTAI FUNDS
8.589
7.B84
The fin4ndDI 5t41OheniS wu¢ *VPtCwed ty Ihe vowd ol Indte¢5 (Yt......... .
Sign￿ on 115 tthiirty.
Thtr Nottr. FLVM Pkn ol These F￿anC￿l Siatemom%

Redeemed Christian Churth of God
Bethel Tabemacle
31stOctober, 2023
ITKlependent Examin￿5 Report
To the Trurtees
I report on the account5 for the year ended 31rt Ortober. 2023 set out on pages five to ten.
Respective responsibiltties of trurtees and examiner
The charity'% trurtees are respon£iEAe for the preparatron of the accounts. The £harity'5 trustees
consider that an audit is not reqtjired for this year (under Section 144121 of the Charities Act 2011
Ithe 2011 Act)) and that an independent examination is required. The charity's gross income does
not exceeded £250.000 and l am qualtfied to undertake the examination by bein8 a qualified rnember
It is my responsibility to.
examine the accounts under Section T45 of the 2011 Act to follow the pro￿ureS laid down in the
General Dirertions given by the Charity Commission (under Section 145(5)(b) of the 2011 Act)., and
to state whether particular matters have come to my attention.
Basi5 of the independent examine￿5 report
My examination was carried out in accordan￿ with the General Diredions given by the Charity
Commission. An examination includes a review of the accounting records kept by the charity and a
compari50n of the account5 presented with those record5. It also includes consideration of any
unusual items or disc105ures In the accounts. and seeking explanation5 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 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 tn the statements
Independent examlner's rtatement
In connection with my exatnination. no matter has come to my attention=
l} which gives me reasonable cause to believe that. in any material respect. the requirements which
accord with the accouNtin8 records and to comply wrth the accountin8 requirEments of the
2011 Act have not been met: or
2) to which. in rny opinion. attention Should be drawn in order to enable a proper understanding
of the accounts to reached.
Abiodun A Adeboyejo IACCA.ACA,AAIA)
Association of Chartered Certified Accountants
50 King Alfred Avenue
Catford . London
Date.....

Redeemed Christian Church of God
Bethel Tabernade
Statement of Financial Activities
For the year ended 31rt Ortober, 2023
2023
2022
Total
Fund
Total
Fund
Unrestricted
Restricted
Note5
Income Resources
Incorning Resources From Generated Funds
Voluntary Incotne
Building fund
Other Incorne
50.556
50.556
53.695
Bank interest received
Total Income Resources
50.556
53.695
Resources Expended
Chaiitable Attivities
Physical & Spirztual Need
Govemance Costs
48.701
850
48.701
850
45,717
850
Total Resources Expended
49,551
49.551
46,567
NEf INCOMING RESOURCES
1.005
1.005
7.129
RECONCILATION OF FUNDS
Total Funds Balancei b/fvJd
7.884
7.884
755
Total Funds Balan￿5 clfvvd
8.889
8.889
7,884
The Notes Form Part ofThese Financigl Statements

Redeemed Chrirtian Church OF God
Bethel Tabemade
Balan￿ Sheet
as at 31 October 2023
2023
2022
Unrertricted
Funds
Notes
Total Funds
Total Fund5
FIXED ASS￿5
Tangible assets
2.639
2.639
3,299
CURRENT ASS￿5
Debtors
Cash at bank and in hand
5.961
5.961
8.967
CREDITORS
Amounts Falling Due within one Year
155
155
10.050
CURRENT AssErs
6.250
6.250
4.585
TOTAL AS￿5 LESS CURRENT
LIABILITIES
8.889
8.889
7.884
NET ASSFf5
8.889
8.889
7.884
Unrestricted Funds
Unrertricted Fund5
8.889
7.884
TOTAL FUNDS
8.889
7.884
The financial rtatement5 were approved by the Board of Tru5tee5 on.................................... and
were signed on Èt5 behalf by..
Approved by Board of Tru5fee5
The Noles Fom) Part of Th8sè Financial Statem8nts

Redeemed Chrirtian Churth of God
Bethel Tabemacle
Notes to the Financial Statementss
for the year ended 31 OctoiEr 2023
I ACCOUNTING POLICIES
Accounting convention
The financial statements have been prepared under the historical cort convention. and in
CCOrdan￿ with the Financial Reporting Standard for Smaller Entitie5 (effective January 2015)
the Charities Act 2011 and the requirements of the Statement of Recomtnended PrartI￿,
Accounting and Reporting by Charitie£ f155ued July 20141
Incorning resources
All incoming resource5 are included on the statement of Financial Achvtties when the charity is
legally entitled to the incotne and the amount can quantified with reasonable accurdcy.
Resources expended
Expenditure 15 accounted for on an ac(ruals basis and has been cla£sified under headings that
aggregate all cost related to the category. Where c05t5 cannot be directly attributed to particular
headTngs they have been allocated to activitie5 on a basis consirtent with the use of resources.
Grants offered subjed to condition5 which have not been met at the year end date are noted a5 a
commitment but not èccrued a5 expendtture.
Tangible fixed assets
Taxation
The charity is exempt frotn tax on it5 tharitable activities.
Fund accountrng
Unrertricted funds can be used in accordan￿ with the charitalle objectives at the discretion
of the trustees.
VOLUNTARY INCOME
2023
2022
Tithes, Offering & Thanksgiving
Donations
9.230
34.711
6.517
99
7.590
31,287
14.818
HMRC Charitie5
Bank interest received
50.557
53.695
3 GOVERNANCE cosrs
Accotjntancy
2023
2022
1,250
1,250
850
850

Redeemed Christian Church of God
Bethel TabeTnacle
Notes to the Flnonaal StatementSS
for the year ended 31 Ortober 2023
2023
2022
4 Tangible fixed assets
Land and
buildings
Plant and
machinery
Motor
vehicles
Total
Cosr
At l Novernber 2022
At 31 October 2023
14.334
14,334
14,334
14.334
Depreciation
At l November 2022
Charge for the year
At 31 Ortober 2023
11.035
660
11.695
11.035
660
11.695
Net book value
At 31 OrtotEr 2023
At 31 October 2022
2,639
3.299
2,639
3,299
5 Debtors . Amounts Falllng Due within one year
2023
2022
Other debtors
445
5.668
5.668
445
6 Creditors: amounts falling due within one year
2023
2022
Trade Creditors - Rent
155
10,050
7 Movement in Funds
Atol 112022
Movement
At 3110 2023
Unrestrirted fvnd5
General fund
7.884
7.884
8.889
8.889
TOTAL FUNDS
l.(X)5
Net movement tn funds. included in the aiK)ve are as follows:
Incomin8
Resour￿$
Expended
Movement in
Funds
Unrertrirted funds
General fund
rotal Fund
50.556
50.556
49.551
1.005
1,005
49.551

Redeemed Christian Churth of Gth
Bethel Tabernacle
Detatled Statement Of Finanaal Activities
For The Year Ended 31rt October. 2023
2023
Total
Fund
2022
Total
Fund
Unresthded Reslrided
INCOMING RESOURCES
Tithes & Offering
Donation & Others
HMRC Charities
Bank interest Ye￿IVed
Total Incomlng Resources
9229.52
34.711.01
6.516.78
99.Th)
50.556.3
9,229.52
34.711.01
6.516.78
99.CX)
7.589.74
31.286.82
14.818.32
50.556.3
53.694.9
RESOURCES EXPENDED
Ch8ritable Activities
t)onation5 & Gifts
Honorarium & Volunteer
WEM & Central funding
Travelling and subsistence
EvangelTcaVoutreath mdteria15
Churth expenses
2.949.00
9,838.00
2.325.(YJ
2.680.(X)
2.949.00
9.838.1Th)
2.165.00
7.200.00
2,219.00
624.(X)
2,325.(X)
2,680.(K)
5.103.00
6.649.00
29.544.IX)
5,103.(KJ
6.649.(K)
3.015.00
11.599.(X)
29.544.IXI
Governance Corts
Accountancy fees
850.(K)
850.00
850.(K)
850.00
850.00
850.00
Support Corts Management
Rent & rate5
16.269.00
159.C(J
16.269.00
159.00
13.828.00
635.00
1.268.00
689.(K)
721.00
591.00
337.00
Bonk charges
Insurance
Telephone & fax
Repairs & tnaintenance
servi￿ Charges- Web Fite
Motor expenses
Depreciation charge
513.¢XJ
513.
1.036.00
158.00
362.00
1.036.1J)
158.1J)
362.(K>
660.00
19.157.C
660.00
825.00
18.894.00
19.157.00
TOTAL RESOURCES EXPENDED
49.557.
49.551.00
46,566.(K)
NEf INCOME
l.005.30
I.CNJ5.30
7.128.90