THE REDEEMED CHRISTIAN CHURCH OF GOD ("RCCG") TRUE VINE PARISH
REPORT AND FINANCIAL STATEMENTS
FOR THE YEAR ENDED 05 APRIL 2025

THE REDEEMED CHRISTIAN CHURCH OF GOD ("RCCG") TRUE VINE PARISH
REPORT AND FINANCIAL STATEMENTS
FOR THE YEAR ENDED 05 APRIL 2025
CONTENT
Page
Statutory Information
Report of the Trustees
Report of the Accountants
Statement of Financial Activities
Balance Sheet
Notes to the accounts
7-10
This does not form part of the statutory accounts
Income and Expenditure Account
11

THE REDEEMED CHRISTIAN CHURCH OF GOD ("RCCG") TRUE VINE PARISH
REPORT AND FINANCIAL STATEMENTS
FOR THE YEAR ENDED 05 APRIL 2025
STATUTORY INFORMATION
Principal Address:
45 LINDEN ROAD
BOGNOR REGIS
WEST SUSSEX
P021 2AP
Registered Number:
1147716
Accountants:
Alani Idowu & Co T/A Wollydee Associates
Unit 6 Victory Park Industrial Estate
Failsworth
Manchester
M35 OBG
Bankers:
HSBC

THE REDEEMED CHRISTIAN CHURCH OF GOD ("RCCG") TRUE VINE PARISH
P.EPORT AND FINANCLAL STAfLMErri S
rOR ThE YCAR EtNDED O? APRIL 2025
REPORT OF THE TRUSTEES
Trustee5
r¥lrs Fatrma Onuk"a
Dr Sunday Olatunjl Oyegblle
Pastor Temitopc OluwakayodL) Eniosa Sarn50n
Pastor Adekenii Adeyefa-OJo￿.o
fvlr Samuel **kinol
Tru5tees' ReJpunsibilities in Relallon to the Financlal St3temEntS
Laby appllcable to Charit￿ In England and Wales re(4uires tlie trustee) to prepare
rinancial 5taicmcnts for each financ￿1 yexr, ￿)hIch glvc a true fair view of the
Lliartty o financial.actlvlties durino the year and of It< financiaj positian at the end of
the year. In preparing those finario'al statements, the tru5Lees are required to.
l. setect SLlltable accounung policies ar￿ Ihen apply thern CDnsisiently'
2. nTake Judaemerts and cstirriates that are reasonable and prudArt:
state whether applicable accounting srandards and stat￿rr￿n[S of recoinniended
practKe have betn followed s'Jbiect 10 aiiy depdrture d￿Closed and explained In
the financial staternents; and
4.. prepa￿ the flnancial statèments on the golng concern basis unless It Is
in3pproprotc tv prESUmC ttrL the ch3rity will cortir7u¢ in bu5incs5-
The tru￿￿￿5 are rEspon5ible for keeplng accounting recDrds svhlch disdose witti
reasonable acairacy at any tirne the financ￿1 FSQSition of the chBr7ti and erFable them
to ?ftsure that the fiiianaal sutemenL< comply Wlth the Charities ACI L94J, Thi ey are
also responslble for safequarding the a3sets of tlie charity and hence for takino
cieps. lor IhE p￿VEntiOn and detL?Qtioii of fraud and other irregularitles.
asonable _
Chalrman
Dated: 26 February 2026

THE REDEEMED CHRISTIAN CHURCH OF GOD ("RCCG") TRUE VINE PARISH
REPORT AND FINANCIAL STATEMENTS
FOR THE YEAR ENDED 05 APRIL 2025
INDEPENDENT ACCOUNTANTS REPORT
We have prepared the financial statements of RCCG True Vine Parish
for the period ended 05 April 2025 which comprise the Statement of Financial
Activities, Balance Sheet and the related notes set out on pages 7 to 9. These
financial statements have been prepared under the historic cost convention and the
accounting policies set out on page 7.
This report is made solely for the trustees in accordance with Section 44 Charities Att
1993. Our accounting work has been undertaken so that we might state to the Trustees
those matters we are required to state to them in our accountants, report and for no
other purposes. To the fullest extent permitted by law, we do not accept or assume
responsibility to anyone other than the Trustees of the Association, for our accounting
work, for this report, or for the opinion we have formed.
Respective Responsibilities of Trustees and Accountants
The trustees, responsibilities for preparing the Trustees, Annual Report and the financial
statements in accordance with applicable law and United Kingdom Accounting Standards
are set out in the Statement of Trustees, Responsibilities on page 2.
Our responsibilities is to prepare the financial statements in accordance with relevant
legal and regulatory requirements and United Kingdom Accounting Standards.
We report to the trustees our opinion whether the financial statements give a true and
fair view and are prepared in accordance with the Charities Art 1993. We also report
to you if, in our opinion, the Trustees, Annual Report is not consistent with the financial
statements, if the charity has not kept proper accounting records, or if we have not
received all the information and explanations we require for the preparation of the
financial statements.
We read the information contained in the Trustees, Annual Report and consider whether
it is consistent with the financial statements. We consider the implication for our report
if we become aware of any apparent misstatement or material inconsistencies with
the financial statements. Our responsibilities do not extend to any other information.
We have prepared the financial statements with the United Kingdon Accounting
Standards issued by the Accounting Standards Board. The preparation include exam-
ination, on a test basis, of evidence relevant to the amounts and disclosures in the
financial statements. It also includes an assessment of the significant estimates and
judgements made by the trustees in the preparation of the financial statements, and
of whether the accounting policies are appropriate to the charity's circumstances,
consistently applied and adequately disclosed.

THE REDEEMED CHRISTIAN CHURCH OF GOD ("RCCG") TRUE VINE PARISH
REPORT AND FINANCIAL STATEMENTS
FOR THE YEAR ENDED 05 APRIL 2025
INDEPENDENT ACCOUNTANTS REPORT
Basis of opinion (continued)
We planned and performed our preparation so as to obtain all information and expla-
nations which we considered necessary in order to provide us with sufficient evidence
to give reasonable assurance as to whether the financial statements are free from
material misstatement, whether caused by fraud or other irregularity or error. In form-
ing our opinion, we also evaluate the overall adequacy of the presentation of informa-
tion in the financial statements.
Unqualified opinion
In our opinion, the financial statements give a true and fair view of the state of affairs
of the charity as at 5th April 2025 and of its incoming resources and application of
resources for the period then ended and have been properly prepared in accordance
with the Charities Act 1993.
Accountants
Alani Idowu & Co T/A Wollydee Associates
Unit 6 Victory Park Industrial Estate
Failsworth
Manchester
M35 OBG
Dated: 26 February 2026

THE REDEEMED CHRISTIAN CHURCH OF GOD ("RCCG") TRUE VINE PARISH
REPORT AND FINANCIAL STATEMENTS
FOR THE YEAR ENDED 05 APRIL 2025
STATEMENT OF FINANCIAL ACTIVITIES
Unrestricted
Funds
Total
Funds
2025
2024
Note
Incoming Resources
Activities in furtherance
of the charity's objects
25,743
36,891
Investment Income
Total Incoming Resources
25,743
36,891
Resources Expended
Cost of generating funds
4,676
6,000
Management and Administration
Donation to other charities
Total Resources Expended
20.514
36,826
25,190
42,826
Net incoming resources before
other recognised gains and losses
553
(5,935)
Other recognised gains and losses
Net movement in funds for the year
553
(5,935)
Balance Brought Forward
3,497
9,432
Total funds as at 5 April 2024
4,050
3,497
All activities relate to continuing operations.

THE REDEEMED CHRISTIAN CHURCH OF GOD ("RCCG") TRUE VZNE PARISH
REPORT AND FINANaLI STATEfrIENT5
FDR ThE YEAR ENDED 05 APFJL 2025
BALANCE SHEET
AS AT 05 APRIL 2025
2025
2024
Note
F•xed Assets:
Tangib￿ Fixed Assets
Current Assets
Rewvable
Balance at bank and Tn h3nd
4.050
4.050
3,497
Curent Liabllities
Credltors:
Arnount falling due wifhln l Yfaar
Net Current Assets
4,050
3,497
Credltors
Atnount due more than I year
Total Assets Less
urrent Liabllities
Represenietj by:
General Funds
Unr25trkCted FunLe
4,050
3,497
Restricted Funds
11
Apprvved by ttric tru5tfC5 on ?6 uf Fcbruory 7025 d ?Kned on Its behalf by:
(Ch
Ir

THE REDEEMED CHRISTIAN CHURCH OF GOD ("RCCG") TRUE VINE PARISH
REPORT AND FINANCIAL STATEMENTS
FOR THE YEAR ENDED 05 APRIL 2025
NOTES FORMING PART OF THE FINANCIAL STATEMENTS
l. Principal Accountiong Policies
a. Accounting Convention
The financial statements are prepared under the historic cost convention. In
preparing the financial statements, the charity follows the best practice as
laid down in the Statement of Recommended Practice "Accounting and Repo-
rting by Charities" (SORP 2000) issued in October 2000.
To comply fully with The Statement of Recommended Prartice, would require
investments to be accounted for at valuation. The trustees are of the
opinion that since the investments are held for the long term, it would be
inappropriate to account for unrealised gains and losses for the period.
Therefore investments have been accounted for at historical cost. This is the
only exception to compliance with The Statement of Recommended Practice.
The market value of the investments is disclosed.
b. Income from members is credited to the income in the year in which it is
receivable by the Association. All other income is credited to income in the
year in which it is received on a cash basis.
c. Donations to other charities are charged in the year when the offer is
conveyed to the recipients except in those cases where the offer is conditi-
oning, such as donations or grants being recognised as expenditure when the
conditions attached are fulfilled.
d. Unrestricted funds are general funds which are available for use at the disc-
rection of the trustees in furtherance of the general objectives of the Asso-
ciation and which have not been designated for other purposes.
e. Tangible Fixed Assets
The tangible assets are stated at cost less depreciation. The general policy
is to provide depreciation on fixed assets on a reducing balance method over
their estimated useful lives. No depreciation is charged in the year in which
the assets are sold or scrapped.
Tangible fixed assets are depreciated at rates appropriate to the assets
concerned.
Freehold Property
Improvements to Property
Equipments
Furniture and Fixtures
0%
15%
15%
15%

THE REDEEMED CHRISTIAN CHURCH OF GOD ("RCCG") TRUE VINE PARISH
REPORT AND FINANCIAL STATEMENTS
FOR THE YEAR ENDED 05 APRIL 2025
NOTES FORMING PART OF THE FINANCIAL STATEMENTS (continued)
2. Incoming Resources -
Attivities in furtherance of charity's objects
2025
2024
rithes and Offerings
Building Fund
25,743
29,034
25,743
29,034
7,857
36,891
Gift Aid
25,743
3. Investment Income
2025
2024
Interest received on bank deposit account
4. Cost of Generating Incoming Resources
2025
2024
Outreach events
Publicity and Radio Ministry
Love offerings
4,076
6,000
4,676
6,000
5. Management and Administration
2025
2024
Rent and Service charges
Church Administration & Office
Car, Travelling and Accomodation
Postage and stationery
Telephonel Intemet
Donation to Central Office
Donation and Welfare
Subsciptions
Insurance
Utilities
Miscellaneous
Accountancy and Bookkeeping
Bank Charges
8.788
7,150
3,939
712
150
1.698
173
600
6,214
10,485
6,957
628
1,134
1,052
446
650
83
35,410
180
1,064
388
350
79
21,559

THE REDEEMED CHRISTIAN CHURCH OF GOD ("RCCG") TRUE VINE PARISH
REPORT AND FINANCIAL STATEMENTS
FOR THE YEAR ENDED 05 APRIL 2025
NOTES FORMING PART OF THE FINANCIAL STATEMENTS (continued)
6. Tangible Fixed Assets
Motor
Office
ment & Music
ui
MA
Furniture
Van
ui
ur
Total
Cost
Brought Forward
Additions
3,550
1,420
820
5,600
1,330
12,720
Carried forward
3,550
1,420
820
5,600
1,330
12,720
Depreciation
Brought Forward
Provided during the year
3198
352
1278
142
738
82
5480
120
1200
130
11,894
826
Carried forward
3,550
1,420
820
5,600
1,330
12,720
Net Book Value
At 5th April 2025
7. Receivable
Amount falling due within i year
2025
2024
8. Creditors
Amount falling due after more than l year
2025
2024

THE REDEEMED CHRISTIAN CHURCH OF GOD ("RCCG") TRUE VINE PARISH
REPORT AND FINANCIAL STATEMENTS
FOR THE YEAR ENDED 05 APRIL 2025
NOTES FORMING PART OF THE FINANCIAL STATEMENTS (continued)
10. Unrestricted Funds
2025
2024
Balance Brought Forward
3.497
9,432
Net movement in Funds for the year
553
(5,935)
Balance Carried Forward
4,050
3,497
11. Restricted Funds
2025
2024
This represents amount provided and
set aside for specific purpose.
10

THE REDEEMED CHRISTIAN CHURCH OF GOD ("RCCG") TRUE VINE PARISH
REPORT AND FINANCIAL STATEMENTS
FOR THE YEAR ENDED 05 APRIL 2025
STATEMENT OF FINANCIAL ACTIVITIES
2025
2024
Incoming Resources
Tithes and Offerings
25,743
29,034
Other Income
25,743
29,034
7,857
36,891
Gifts Aid Receivable
25,743
Resource Expended
Cost of generating funds
Outreach events
Love offerings
4,676
6,000
4,676
6,000
Charitable expenditure
Donations to other charities
980
3,440
Management and Administration
Rent and Service charges
Church Administration & Office
Car, Travelling and Accomodation
Postage and stationery
Telephone/ Internet
Donation to Central Office
Donation and Welfare
Subsciptions
Insurance
Utilities
Miscellaneous
Accountancy and Bookkeeping
Bank Charges
8.788
7,150
3,939
712
150
1,698
173
600
6,214
10,485
6,957
628
1,134
1,052
446
650
83
36,826
180
1,064
388
350
79
20.514
Total Resource Expended
25,190
42,826
Excess of Incoming Resources
Over Resource Expended
553
11