THE REDEEMED CHRISTIAN CHURCH OF GOD
GREAT GRACE ASSEMBLY
Chorlty reg. rno 1147IS9
TRUSTEES, REPORT AND FINANCIAL STATEMENTS
FOR THE YEAR ENDING 31 DECEMBER 2024
Page I

THE REDEEMED CHRIsfiAN CHURCH OF GOD
GREAT GRACE ASSEMBLY
CONTENTS
Reference and adrninistratlve detalls of the charlty
Trustees, report
Independent examlner's report
statement of financial actlvlties
Balance sheet
io
Notes to the flnanclal statements
11-14
Page 2

TrIE REDEEMED CHRISTIAN CHURCH OF GOD
GREAT GRACE ASSEMBLY
REFERENCE AND ADMINI￿RATIVE DETAILS OF THE cHAR￿Y, ITS TRUSTEES AND
ADVISERS FOR THE PERIOD ENDING 31 DECEMBER 2024
Trustees
Mrs S O Ogunleye
Pastor Olajide Jolugbo
Mis5 Anthonla Ajlbona
Mlss Vlvian Esoko
Mrs Irene Onomlvbori
Charlty registration
number
1147159
Principal Office
35 Stoneycroft Close
London
SE12 OSN
Pastor In charge
Pastor B M Adaralegbe
Accountant
Resource Management Consultants Ltd
46 Hollywood Way
Erith
DA8 2QE
Bankers
HSBC
38 High Street
Dartford
Kent
DAI IDG
Page 3

ThE REDEEMED CHRISTIAN CHURCH OF GOD
GREAT GRACE ASSEMBLY
TRUSTEES, REPORT
FOR PEIUOD ENDED 31 DECEMBER 2024
The Trustees submlt thelr annual report and the financlal statements of The
Redeerned Christlan Church of God Great Grace Assembly (the charity) for the year
endlng 31 December 2024. The tnjstees conflrm that the annual report and
flnanclal statements of the charity comply with the current statutory requirements
of the charity's goveming document and the provisions of the Statement of
RecommerTrded Prartlce (SORP) 'Accounting and Repor￿n9 by Charities" issued In
March 2005.
STATUS
The charlty was constituted under a Trust deed dated 151 August 2011 and Is
registered In England and Wales on the 8th May 2012 with charity number 1147159.
APPOINTMENT OR ELECTION OF TRUSTEES
Trustees are appolnted and or co-opted under the terms of the trust deed.
POUCIES ADOPTED FOR THE INDucfIoN AND TRAINING OF NEW TRUSTEE'S
The Inductlon process for a newly appolnted Trustee comprises an Initial meetlng
with the Chalr and other Trustees, followed by short rneetlngs with the Pastor in
Charge on the powers and responslblllties of the trustees.
ORGANISATIONAL STRucfuRE AND DECISION MAKING
The charlty Is organised so that the trustees meet regularly to manage Its affalrs.
The Pastor In Charge manages the day-to-day admlnistratlon of the church.
RELATED PARTY RELATIONSHIPS
RCCG Great Grace Assembly Is a parish of The Redeerned Chrlstlan Church of God
which has parishes all over the wodd. The parlsh's relatlonshlp wlth other parishe5
is governed by an 'Agreement for Common Purposes,.
RISK MANAGEMENT
The trustees have assessed the major rlsks to whlch the chartty Is exposed, those
related to operations and )Inances of the ¢harlty and are satlsfied the systems arg
In place ro mltlgate our exposures to the major rlsk5.
OBJEcfs AND AcfiviTIES
The prlncipal object Ss the advancemÈnt of Christlan falth worldwlde and the rellef
of poverty. To promote any charltable attivity for the beneflt of the local people. To
achleve Its objectives, the church adopted the followinq strategies..
Runnlng semlnars In the church wlth proven minlsters of the falth to gulde
members in the varlous aspect of Christian falth,
Support for other chadtles and Chrlstlan events,
Providing overseas ald and famine relief, and
Involvlng In economlc and community development
The actlvltles for achievlng Its objectlves Include:
Communlty outreach events
Conferences and events
welfa￿ support to membets and general publlc, and
Varfous mlsslonary artlvltles
Page 4

THE REDEEMED CHRISTIAN CHURCH OF GOD
GREAT GRACE ASSEM8LY
TRUSTEES, REPORT (Contlnued)
FOR PERIOD ENDED 31 DECEMBER 2024
GRANT MAKING POUCY
The church supports vlslting mlnlsters of the gospel both wlthln and outslde the
United Klngdom, Support Is also given to RCCG Central Office, World Evangellsm
Mlsslon, Festlval of Llfe an*J other RCCG Programmes. The church 5UPPOrts other
charltles and misslonary that shares its objects In advancement of Christlan falth
and rellef of poverty. The church gives occasional grants to congregatlona
members who are In need.
VOLUNTEERS
The church Is grateful for the un5tlntlng efforts of Its volunteers who were Involved
In provldlng servlces for the charlty, It Is estlmated that over 2400 hours were
provlded by volunteers durlng the year. If thls Is conservatlvely valued at £8.50 per
hour. the volunteer's effort wlll amount to over £20,400.
REVIEW OF AcrIvrrIES
The church contlnues to enjoy tremendous growth In Its physlcal and splrftual
actlvlties durlng the year, In the advancement of Chrlstlan faith in accordance wlth
the doctrlnes set out in the Statement of Falth as contained In Its trust deed. The
Charity was involved In several charitable works for public benefit in Its communlty.
It organlsed the followlng as part of its publlc beneflts
Feedlng of homeless people In the communlty.
The chadty's Chrlstmas lunch on Jesus provlded food hampers for the less
prlvileged In the commun5ty durlng Chrlstmas.
Conferences on physical and mental health.
Start-up buslne55 trainlngs for members.
Communlty Elder5 Outreach where the church vlslts elderly people In the
community, provides them with grocerles and help to ease thelr soclal
Isolatlon.
Emotional and welfare support for people going through mentsl health crisls
and bereavement.
welfa￿ interventions for victlms of domestlc abuse.
Prlson outreach and Rehabllltatlon of ex-offenders.
INVESTMENT POUCY
The Trustees have declded that at present, funds should be retalned in Banks and
Bulldlng Societles, and as far a5 P0551ble In Inte￿$t bearÉng accounts.
RESERVES POLICY
The Trustees, polity Is to have unrestrirted and uncornmitted fvnds (free reserves)
to cover 3 to 6 months of resources expended whlch equals to roughly £30,000 to
£60,000 in general funds. They feel that thls would enable the current activitles to
continue If there Is a significant drop in fundlng. It would obvlously be necessary to
then con51der how the funding would be replaced or actlvltles changed. The present
free reserve Is above the range, but the Trustees ore continulng to seek additlonal
unrestrlcted funds to bulld up Its reserve.
Page 5

HE REDEEMED CHRISTIAN CHURCH OF GOD
GREAT GRACE ASSEMBLY
TRUSTEES, REPORT (Contlnued)
FOR PERIOD ENDED 31 DECEMBER 2024
PRINCIPAL FUNDING
Fundlng has been provlded malnly through tlthes and offerlngs by church members
and through glft ald. Pledges are also taken for speclflc projects.
FUTURE DEVELOPMEhrr
The charity contlnues to explore varlous ways of spreadlng the gospel of Chdst in
an effective manner. The charity is also looklng to grow in membershlp and
contlnue to develop its members to make life-changlng Impatt In society.
Page 6

ThE REDEEMED CHRisfiAN CHURCH OF GOD
GREAT GRACE ASSEMBLY
TRUSTEES, REPORT (Contlnued)
FOR PERJOD ENDED 31 DECEMBER 2024
STATEMENT OF TRU￿EE5. RESPONSIBILrriES
The charlty trustees are responsible for preparlng the Trustees, Annual Report and
flnanclal statements In accordance wlth appllcable law and UnSted Klngdom
Accountlng Standards {Unlted Klngdom Generally Acttpted Accountlng Prattlce).
The law appllcable to charltles In England and Wales requires the trustees to
prepare flnanclal statements for each flnanclal year whlch glve a true and falr vlew
of the of the charlty and of the Incomlng resources and appllcatlon of resources of
the tharlty for that perlod. In preparlng these financlal 5tstements, the trustees are
requlred to:
Select sultsble accountlng pollcles and then apply them consistentlyi
Observe the methods and prlnclples In the Charltles SORP;
Make Judgement and estlmates that are reasonable and prudent.
Prepare the flnanclal statements on the golng concern basls unless It Is
InJpproprlate to presume that the compèny wlll contlnue In operatlon.
The trustees recoanlse thelr responslbllitles to keep proper accountlng records that
dlsclose with reasonable accuracy at any tlme the flnanclal posltlon of the ehJrlty
and enable them to ensure that the flnan¢131 statements comply wlth the Charltles
Act 2011. They are also responslble for safeguardlng the assets of the company
and hence taklng reasonable steps for the preventlon and detectlon of fraud and
other Irregularltles.
The appended flnanclal statements have been prepared on the accruals basis and
have been examlned by an Independent examlner, whose report Is also appended.
Approved by the Trustees on
2025 and slgned on thelr behalf by:
Mrs S O Ogunley
Trustee
Mrs v esoko
Trustee
Page ?

THE REDEEMED CHREsrrAN CHURCH OF GOD
GREAT GRACE ASSEMBLY
INDEPENDENT EXAMINER'S REPORT
FOR PEIUOD ENDED 31 DECENBER 2024
TO THE TRUSTEES OF THE REDEEMED CHRISTIAN CHURCH OF GOD - GREAT GRACE
ASSEMBLY.
I report on the accounts of the charfty for the year ended 31 December 2024 whlch Is
set out on pages 9 to 14.
RESPEcftVE RESPONSIBILMES OF THE TRUSTEES AND THE EXAMINER
The charlty's trustees are responslble for the preparatlon of the accounts. The charlty's
trustees conslder that an audlt Is not requlred for thls year under sectlon 142(2) of the
Charltles Act 2011 and that an Independent examlnatlon Is needed.
It Is my responslblllty to:
examlne the accounts under settlon 145 of Charltles Act 2011.
follow the procedures lald down In the General Dlrectlons glven by the
Charlty CommlsslDners (under sectlon 145(5){b) of the 2011 Act); and
state whether partlcular matters have come to my attentlon.
BASIS OF EXAMINER'S STATEMENT
My examlnatlon was carrled out In accordance wlth the General Dlrectlons glven by the
Charlty Commlsslon. An •x•mlnatlon Includes a revlow of the accountlng records kept
by the charlty and a comparlson of the accounts presented wlth those records. It also
Includes conslderatlon of any unusual Items or dlsclosures In the account5 and seeklng
explanotlons from you as trustees concemlng any Such matters. The procedures
undertaken do not provlde all the evldence that would be reoulred In an èudit, and
consequently no oplnlon Is glven as to whether the accounts present a "true and falr"
vlew and the report Is Ilmlted to those matter5 set out In the statements below.
EXAMINER'S STATEMENT
In connertlon wlth my examlnatlon, no matter has come to my attentlon:
{ l) whlch glves me reasonable cause to belleve that In aNy materlal respect the
trust￿$ hav• not met the requirements to ensure that:
proper accountlng records are kept (In accordance wlth sectlon 41 of the Art),,
and
accounts are prepared whlch agree wlth the accountlng records and comply wlth
the accountlng requlrements of Act, or
(2) to whlch, In my op5nlon, attentlon should be drawn to enable J proper
understandlng of the accounts to be reached.
Aklntayo Ojo FC
46 Hollywood Way
Erlth
Kent
DAB 2QE
Date..
2025
Page 8

TME REDEEMED CHRIsfIAN CHURCH OF GOD - GREAT GRACE ASSEMBLY
STATEMENT OF FINANCIAL A￿[v[rIEs
FOR YEAR ENDED 31 DECEMBER 2024
Totsl
rotal
Funds
Funds
Funds
Funds
2024
2024
1024
2023
Notes
INCOMING RESOLIRCES
l)onatlons, leoacles & slmllar Inwmlng resource5
Artivltles in fijrtherance of chartly'5 object
Grants recelved
other income
Total Incomlng resour
202,326
650
5,000
202,326
3,237
5,000
141,068
4,285
5,000
710
151,063
2,587
209,115
2,587
211,702
RESOURCES EXPENDED
Charltable expendlture
Grants payable - Indivlduals welfare
Grnnts payèble - institutional
Costs of athvltle5 In furtherance of
Charltles objects
Management and governance costs
Total resources expended
3,873
3,873
4,213
153,949
5,946
163,768
153,949
5,946
163,768
146,291
8,931
159,436
Net (outgolnglllncomlng resources for year
45,347
2,587
47,934
8,373
Total funds at the stsrt of the year
70,213
70,213
78,586
BALANCE AT END OF YEAR
115 560
118 147
Movements In reserves and all recoonlsed and 105ses are shown above
The charlty'5 Inwmln9 resources and resources expended all relate to ¢ontlnuln9 actlvltes.
Page 9

THE REDEEMEO CHRISTIAN CHURCH OF GOD - GREAT GRACE ASSEMBLY
BALANCE SHE
AS AT 31 DECEM8ER 2024
Notes
2024
2023
FIXED ASSETS
Tangible Flxed assets
6,885
6.621
OJRRENT ASSETS
Cash and bank balances
Debtors
io
li
118,634
77,315
118,634
77,315
UABILITIES
Credltors
Trade credIto￿$ due wlthln 12 months
Accrual,. accountancy fees
12
1,550
CredltoV$ due after 12 months
5,822
8,788
NEf AssErs
118 147
CHARrrY FUNDS
General
unrestrlrted
General
- restrlrted
TOTAL FUNDS
Id
le
115,560
2,587
118 147
70,213
The •cuJunts hav¢ be•N pr•p•rqd In accordance wlrh th• SPtd•l pravllon of StstèmMi of Recommended Proctk•'.
Ac<ountlne •na R•porting by Chartt￿5 ISORPI iiw•d Morth 2005 •• mtrJlfl•d for irnall•r Ehadtl
Approved by the Tnjstees on
2025 and slgned on thelr behalf bv:
F Ogunleye
Trustee
Mrs V Esoko
Trustee
Itf7475-
Page 10

THE REDEEMED CHRISTIAN CPIURCPI OF GOD - GREAT GRACE ASSEMBLY
NOTE5 TO ThE ACCOUNTS
I. ACCOUNTING POUCEES
la) The ¥ctounts are prepared under the hlsttyk81 c05t conventlon and In attordènte wlth Op￿[Cable accountlr
st4n¢)rds. They follow best pratti¢e as set out Sn the Statement of RecommerFded Practk4- AE¢ounJnll ar
ReportiTrJ by Cbèrltles ISOKPI Issued March 2005 a$ m¢dlfleé for small2r charltles.
Ibl Income and exp¢ndltsJ¢e 1$ acmunted for on an occruab b)s15.
{cl Flxtd assets comprf#e lurnlture and e4ulprnenl and M￿cal equlprnents &rté have b•eD co#lno mora than ÉIOO.
TarvJlble fixed assets are srated at cost legs deprectatlon. tkprec+otton 1$ prO￿￿ed èt rates rnlCulat￿ to wrtte off
the cost of fixed assets, less taElr estlrnated reslduèl v•lue, over their expected usefvl Ilv*& on the folltswlng b)w.'
Mu51ul equlpments
IS% roduclng balance
Fumiture5 and fitdngs
Computer eoulpment5
Notor Vehlcles
25% r£dwJw balance
25% reduclng balan
25% reduclng balanc*
(01 Unrq51dcted funds are Incomlng regtsyrtes reeelved for the obJ4cts of the charlty ￿thout turther speclfled purpose
ènd a￿ avallabie as oeneral funds.
lel Re5trlcted funds are subject to rexrtct6ons on thelr experM11ture lrnposed by thelr donors.
Unrestrlcted
Restrtcted
Totsl
Total
Fund6
30Z4
Funds
Funts
Funds
302J
xo
2, nONATIQNS. LEGAcfES AND SIMILAA INCOMING RESOURCES
Collertlon and other donatlons
Accrued glft ald
Other Income
200,181
200,181
138,233
2,145
202,326
2,145
202,326
2,835
141.068
3. A￿1V￿E5 IN FURThERANCE OF CHARMS OBJE
Other donatlons
Bullding Projett
Sales of manuals
450
450
2,587
200
3,237
2.027
2,258
2.587
200
650
2,587
4,285
4. GMAfK RECEIVED
HMRC'S Employers NI rellef
CJRS Grants
5,000
5,000
s,000
5,000
5,000
5,000
4. OTHER INCOME
Interest income
1,139
1,139
710
Page 11

THE REDEEMED CHRisfiAN CHUACH OF GOD - GREAT GRACÈ ASSEMBLY
NOTES TO THE ACCOUNTS
lknYe￿¢t+3d
Total
Total
Fund5
Funds
Funds
Funtts
2024
zo
2024
2023
5. Grants payable - Indlvlduals
Membevs welfare
Total
6. Grants payable - Instltutlonal
Chadtable givlng -UK
Total
3,873
3,873
4.213
4,213
3,873
U5t of Institutlonal grants payable
RCCG WEM
Wodd Evanoeli5m
RCCG Central Offlce
Central Offlce Suppc
Camp Ground UK
Mlsslon support
Others
Misslon support
Totsl grant payable - Instltutlonal
3,373
500
3,373
500
2,773
440
1,000
3,873
3,873
4,213
7. COST OF ACTivrrIES fN FVRTHERANCE OF CHARfTh's 08)ECTS
Vlsiting speakers expenses
6,050
Wtsrship cost
I,ioo
Travel and 5ubslstence
1,060
Hall hlre, rent & rates
28,445
Mlsslon and evangellsm
3,264
Communlty pmject
7,139
Publlclty & Medla
1,411
Welfare & hospltality
926
Printlngi Postage, statlonery & rr consumables
Muslc, Ilturgy & church group
Motor runnlng costs
Stsff cost
Depreciatlon
Sundry expenses
Conference, trainlng & retreat
Insurance
Telephone
Charlty Support
6,050
3,450
696
I,ie40
1,060
28,445
3.264
7,139
1,411
926
888
1,798
1,673
87.193
3,391
631
2.557
3,525
1,488
1,350
153,949
2.428
26,770
2,033
6,784
2,554
2,473
790
1,112
180
81,722
5,195
1,768
1,000
3.583
1,680
2,074
146,291
1,798
1,673
87.193
3,391
631
2,557
3,525
1,488
1,350
153,949
8. MANAGEMwf AND GOVERNANCE COSTS
Proffesslonal fees - Legal
Proffesslonal fees - other
Examlnevs fees - accountancy
2,600
1,796
1,550
5,946
2,600
1,796
1,550
5,946
6,086
1,295
1,550
,931
Page 12

THE REDEEMED CHRISnAN CHURCH OF GOD - GREAT GRACE ASSEMBLY
NOTES TO THE ACCOUNTS
9. TANGIBLE FIXED ASSETS
Motor
Muslcal Computers Furniture &
Vehlcle equlpments & proSettors
Flttlng5
Totèl
31-Dec
2024
Total
31-Dec
2023
Cort
At l January 2024
Addltlons
At 31 December 2024
14.500
4,589
I,ioo
8,344
2,555
10,899
538
27,971
3,655
31.626
20,171
7,800
538
D¢prncl*tJon
At l January 2024
Charye for the year
At 31 December 2024
14,500
3.254
802
4.056
3,339
2,308
5,647
258
281
538
21,351
3,391
16,155
5,195
21.350
14,500
Net l>ook value
At 31 December 2024
1,633
5,252
6,885
6,621
At 31 December 2023
1,336
5,005
280
6,621
Year ended Year ènded
31-Dec
Jl-Dec
2024
2023
10. CASH BALANCES
Cash and bank
118,634
77.315
11. DEBTORS
Y￿r ended Yèar ènded
31-Dec
31-Dec
2024
2023
Accrual & Prepayment5
Loans
Total
12. CRED￿oRs
Year end¢d Ywr ended
31-Dec
31-Dec
2024
2023
Accrual: accountancy fees
Accual: stsff cost
Total
1,550
1.550
1,550
4,935
Page 13

THE REDEEMED CHRIsfIAN CHUXCH OF GOD - GREAT GPACE ASSEMBLY
NOTES TO THE AccouNrs
12b. CREDITORS
Year ended
31-Dec
2024
Year ended
31-Dec
2023
Trade credltor's due after 12 months
Bounce back loan
5,822
8,788
13. RELATED PARTY TRANSAcrtONS
Durtng th• year, the Church pald Instltutlon41 grants to other RCCG oryanlsatlons such as the
Wodd Evangellsm Mlsslon as ststed In note 7.
14. STAFF COST AND NUMBERS
Staff costs were as follows
Year ended
31-Dec
2024
Year ended
31-Dec
2023
Wages and salarles
Sodal securlty costs
Penslons
76,500
5,222
76,500
5,222
81.722
Y•ar enO•d
31-Dec
2024
No.
Y•ar •nde(I
31-De¢
2023
No.
The avernge numbèr of employee durfnq the year was as follows
Pastoral
Charfty èdmlnlstrètlon
Totsl
Na employee recelved remuneratlon amountlng to more thjn £50,000 In th• yeJr.
15. NEf INCOMING RESOURCESI(RESOURCES EXPENDED)
Year ended
Year ended
31-Dec
2023
Thls Is stated after charglng
31-De¢
2024
Depreclatlon of tanglble assets owned by the chorfty
Accountant's fees
5,195
5,195
1,550
Page 14