THE REDEEMED CHRISTIAN CHURCH OF GOD OUR SAIAOUR'S PARISH
tharity Regi5trdtion No". I14￿)?
TRusfEES' ANNUAL REPORT AND FINANCIAL sfATEMEMr
FOR THE YEAR ENDED 31 DECEMBER 2021

THE REDEEMED CHRISTIAN CHURCH OF GOD OUR SAVIOUR'S PARISH
o￿tity Re8iStrdtton No: 1148(KJ7
CONTENTS
Reference and adrnlnistratlve detslls
Trustees, Annual Report
Independent Examinevs Report
Balance Sheet
Statement of Financial Activities
Notes to the financial statements
io

THE REDEEMED CHRisnAN CHURCH OF GOD OLIR SAVIOUR'S PARISH
Charity Registration Nk): 11481Y)7
REFERENCE AND ADMINISTRATIVE DETAILS OFTHE CHARITY. ITSTRusfEES & ADVISERS
FOR THE YEAR ENDED 31 DECEMBER 2021
Trustees
DR Olatokunbo Sangowawa (Chairman)
Akinlolu R Ladokun
Comfort Dina
Vincent Dina
Adedotun Babalola
Gerterdl Overseer
Pastor E A Adeboye
Prlnclpal Addres5
111>112 Norton Road
Stockton On Tees
T520 2AQ
Charity Registrntion No." I148￿7
Banker
Barclay5 Bank & Yorkshire Bank
Independent Examlner
AKA Compliance Limited
4 St Luke's Place
Hebburn
NE31 IRR

THE REDEEMED CHRisnAN CHURCH OF GOD OUR ￿VIoU￿5 PARISH
Charity Registration No: I14￿)7
TRUSTEES. ANNUAL REPORT FOR ThE YEAR ENDED 31 DECEMBER 2021
The trustees submit their report and the financial stratements of The Redeemed Christian Church of God
{RCCGI Our Saviourfs Parish for the year ended 31 DECEMBER 2021.The trustses ¢onfJrmed that the annual
report and flnancial of the charity cornp￿ with the current statutory requirements of the charfjty governing
documents and the provisions of the Statement of Recommended praCt￿e {SORPI Accounting and
Reporting by Charities, issued in March 2CK)5.
STATUS
The charity was con51itLrted under a Trust deed dated 9 April 2012 and ts re8lstered in England and Wales
with charity nymber 1148OJ7.
The Charity was Incorporated on 10 December 2021 as a private company limited by guarantee without
Share copital. The registered company number is 13792919. The first statement of accounts for the
comp3ny will be for the year up to 31 December 2022.
APPOINTMENT OR ELECTION OF TRUSFEES
Trustees are appolnted under the terms of the tnjst deed.
ORGANISATIONAL STRUCTURE AND DECISION MAKING
The charity is organised in such manner that pem)its the trustees to meet and manage fts affairs. The
Pastor In charge mana8es the day-ttrday administration of the thurth.
RELATED PARTY RELATIONSHIPS
The charity 15 3 parish of The Redeemed Christian Church of God IRCCGI which has parlshes all over the
world. The charity's relationship with other RCCG parishes is governed by an 'Agreement for Common
Purpose5'.
PRINCIPAL FUNDING
Funding ho5 been provided mainty through tithes and offerings ty church member&
OBJEcfs AND ACTIVITIES
The principal object is the advancement of Christian faith worldwide and the ￿lief of p)verty. To promote
ny charitable activity forthe bEneffts of the local peopte to achieve its objective the charity adopted the
followSng strate8ies:
Conductlng Sunday worship services onsite and online which allows members to participate in prayer,
sin8ing and listening to the Bible bein8 preathed. This indudes proven ministers of faith to guldlng
members in the various aspect5 of the Christian faith-
Friday chur¢h-wide prayer on social media platforrns:
Support for other chartttes and Christian everrts hekl ￿ other churches:
Support members of the church and community thm4h difficult circumstances such as death orjob loss,
with food and other n￿ssIt1es,. and

THE REDEEMED CHRisnAN CHURCH OF GOD OUR SAVIOUR'S PARISH
Charity Registrdtion fvlo: 1148(M)7
TRiISTEES' ANNUAL REPORT Icontlnuedl
FOR THE YEAR ENDED 31 DECEMBER 20U
Reg￿laT visitations wtthin the local community to provide requlred sodal support to those in need.
including dropplng at their d¢)or while maintaining social distance in line with government guidelines.
THE CHURCH
ACHIEVEMENTS ANO PERFORMANCE
The charity donated regularty to the RCCG Central Offlce and other parlshes ofthe RCCG. The charty held
several evangelism events and outreach to support the local community and to share the love of Christ
through givlng to the needy.
STATEMENT OF TRUSTEES, RESPONSIBIUTIES
The charity trustees are responsible for preparing the trustees, annual report and financial statements In
accofdance with applicable law and the United Kingdom Accounting Standards (United Kingdom Generally
Actepted Accounting Practlcel.
The law applicable to charities in England and Wales requires the trustee5 to prepare financial statements
for each flnancial year whlch gives a trne and fair view of the state of affalrs of the charlty and of the
incoming resources and application of resources of the charrty for ihat period. In preparin8 the financial
statements, the trustees are requlred to:
Select 5ultable accountln8 policies and then applythem consistentlyi
Observe the method5 and prlnclples in the Charitles SORP:
Make judgement and estimate5 that are reasonable and p￿dent..
Prepare the finan¢lal statements on the goln8 concern basis unle55 It15 Inappropriate to presume
that the charity will continue in operation.
The trustees recogni5e their responsibilities to keep proper accountin8 records that disclose with
reasonable accuracy at any time the financial p05rtion of the charity and enable them to ensure that the
fSnancial statements comply with the Charity Act 2011.They are also responsible for safeguardinB the assets
of the charity and hence taking reasonable steps for the prevention and detertion of fraud and other
Irregularities.
The appended financial statements have been p￿pared on the accrual basis and have been examined by
an independent examiner, whose report 15 also appended.

THE REDEEMED CHRlSnAN CHURCH OF GOD OUR &4VIOUR'S PARISH
(harity Re8iStration No: 1148(M)7
Approved by the Trustees and signed on their behalFby:
Name:
£A￿&￿S￿￿)A
Slgnature..
Position:
Date..
30. Qq. IQ2

THE REDEEMED CHRisnAN CHURCH OF GOD OUR SAVIOUWS PARISH
Charity Re8i5trétion No". I14￿7
INDEPENDENT EXAMINER'S REPORT
TO THE TRvsfE£S OF THE REDEEMED CHRisnAN QIURCH OF GOD OUR SAVIOUR'S PARAISH
I report to the trustees on my examination of the accounts of the charity for the year ended 31 December
2021 which is set out on pa8es 8-
RESPONSIBILITIES AND BASIS OF REPORT
As the charity trustees of the Trust you are responsible for the preparation of the accounts Sn accordance
with the requlrements of the Charities Acl 20111The Act").
I report in respect of my examinatlon of the Trust's attounts carTied out under sertlon 145 of the 2011 Act
and in carryin8 out my examination I have followed all the applicable Dlrective5 given by the Charity
Commlssion under section 14515llbl of the ACL
INOEPENDENTEXAMINER'S STATEMENT
I have completed my examinatlon. I confirm that no materlal matters have come to my attentlon In
connettion wlth the examination 8ivln8 me cause to belleve that in any materlal respe¢t'.
accountin8 records were not kept tn respett of the Trust as ffjqul￿d by sectton 130 of the Act.. or
2. the 8ccounts do not accord with those records: or
3. the accounts do not compty with the applicable ￿qUIreMents concemin8 the form and content of
accounts set in the charltles (Accounts and Reports) Regulations 2(K)8 other than any requirement
that the accounts give a'true and fairview. which is not a matter considered as part of an
independent examination.
I have no concerns and have come across no other matters in connertion with the examination to
whlch attention should be drawn Sn thls report In order to enable a proper understandlng of the
accounts to be reached.
Abiola Akintunde, ACA
AKA ComplSance Limited
4 St Luke's Place
Hebburn
NE31 IRR

ThE REDEEMED CHRisnAN CHURCH OF GOD OUR SAVIOUR'S PARISH
Charity Registration No". 1148(KJ7
BALANCE SHEET ASAT YEAR ENDED 31 DECEMBER 2021
1021
Tolal
2020
Total
FIXEO ASSErs
Tangible Assets
Note5
14.337
9.ts11
CURRENT ASS
Cash and bank balance5
63,020
37.411
SHORT TERM LIABILITIES
Aceruals
Loan13mount falllng due wlthin a year)
554
CURRENT ASSErs
,857
LONG TERM UA8IUTIES
Creditor5 lamouni fallng due after more than one year)
12.373
17,C
NE[ ASSETS
CHARITY FUNDS
Unrlstricted Funds
Restrtcted Funds
3L055
29.748
19,189
Approved by the Trustee and signed on their behalf by..
Name
Slgnature
Position
Date

THE REDEEMED CHRisnAN CHURCH OF GOD OUR SAVIOUR'S PARISH
tharity Re8istTation fr&J: 114&J)7
STATEMENT OF FINANCIALAcnvwnES FOR THE YEAR ENDED 31 DECEMBER 2021
20x7
Totsl
INCOMING RESOIIACE5
Oonations, legacies & sirnll¥thrninqres¢x
Olher IrKome
Noies
59.329
iO.&X*
69.737
J.f49 ￿,939
9.(0) 19,4c4
.&J9 ￿,346
46.515
11103
58,618
RESOURCES EXPENDED
Ch•rit•ble EMpend¢ture
Management and Govem•nreC
Total Resource$6xpènded
733)
40.871
7,57D
40.871
10,823
SS
Net InWmln￿l¢￿tsOi￿) Resources fr#th•
.559 Ji.906
8ALANCEATThE BEGINNINGOFThE YEA
.￿ a898
25.507
8AL4NCEATTHEÉND OF ￿YE1ft
IL055
2•.74B

THE REDEEMED cHRI￿N CHURCH OF GOD OUR SAVIOUR'S PARISH
Charity Registration No.. 1148(K17
NOTES TO THE Accoumrs
I. ACCOUNTING POUCIES
al The accounts are prepared under the historKal cost convenb.on and in accordance with applicable
accoLtnting Standards. They follow best practite as set out In the Ststement of Recommended
Practice: Accounting and Reporting by Charities (SORPI iwd March 2L￿5 as m¢)dified for smaller
charities.
bl Income and expenditure ts accounted for on an accruals basis.
cl Flxed assets compYSse furntture & frtting and motor Vehicle whlth have cost more than
£200.TanBible fixed assets are stated at cost less depreuation. Dep￿cIatiOn is provided at rate5
calculated to write off the cost of fixed assets. less their estimated residual value over their
expected useful lives on the followin8 bases..
Motor vehlcle
Equlpment
Computer Equlpment
Furniture and fittiry
Portakabin
25% reducing balance
25% stralght Ilne
25% straight line
25% strai8ht line
JO% ￿ducIng balan
20
Unrestrkted Fund Restrlrted lund Total
2020
Total
2 DONATIONS, LEGACIES AND SIMILAR
INCOMING RESOURCES
rithe
Offerin
Thanksgiving
Buildin8
Other
24.848
18,792
1.253
1.622
IL532
Z5TI
11.532
15n
L559
L559
59.319
60,939
46,515
20
Total
un￿$trItted Fund Restrlrted lund Total
3 OTHER INCOME
JRS Grant
Glft Aid
Bank Interest
10.344
63
10.4
10.344
63
12.051
52
11103
19.
io

THE REDEEMED CHRisllAN CHURCH OF GOO OUR SAVEOUR'S PARISH
Charity Registration No." 11481K)7
NOTES TO THE ACCOUNTS
2020
Total
Vnwe5trirted Fund Restri(ted lund Totsl
4 CHARITABLE EXPENDtruRE
Gift and Donations
Travel & subsistence
COV1019
Welfare
Evangelism & Missions
Books and Publicaiion
1866
230
230
242
1,212
5.$07
52
10.811
3.396
7.520
7.570
2021
Unrestrlrted Fund Restrlrted f￿H1 Totsl
2020
Totsl
5 MANAGEMENT & GOVERNANCE COST
Depreciatlon Expense
Insurance
Motor Expense
Offlce Supplle5
Rates
Rents
Repairs
Decoration5
Telephone and Intemet
4,113
324
4,113
324
2.154
532
1069
9,625
1.379
L767
1221
532
1069
9,625
1,379
1,314
2,265
13,500
1273
61
338
4.110
12
270
69
1,865
3,158
1,865
3.158
Bank Charges
Postages and Oellvery
"cences and Pemits
Interest payable
Payroll
Trustee Meetln8
Professional fees
63
63
425
13.834
13.834
12A72
126
40,871
40,871
li

THE REDEEMED CHRisllAN CHURCH OF GOD OUR SAVIOUR'S PARISH
Charity Registration No: 1148(M)7
NOTES TO THE Accouwrs
6 TANGIBLE FIXEDAS
Cost
at ijanuary 2021
Additlons durlngthe ye¥
Dlsposals duklngthe ye*
At 31 Decernber2021
COMI￿E4￿1pMert Fumliure &Flitky f4ulpmert Vehode Portakabln Totsl
L76¢
7.696 17211 IL524 26.203
9.410
Z728
11324 3IB85
1783
794 ￿.784
Depreclatlon
at iJ8nuary 2021
Charge(J fortheye
Dispcsed of durlngthe yt•
At 31 De￿Mber2O21
1491
5,983 171B
4915
Ll52
17,162
4.113
1728
18.547
1728
Z567
6.C*7
NetBook Value
At 31 Decernber2020
At31 De￿rnber 2021
ng
1.303
1.713
7,350
6.609
5N57
9.041
14,337
227
20
￿￿￿5trkted fund RestTlcted fvnd Totsl
Z020
Totsl
7 NEfAssEfBv FUND
Tgngible flxed assets
Net Curre￿ 8sseis
Longterm Ilablllty
14,137
29.092
IL3TJ
3L056
14.337
29.748 58
12,373
29.748 f￿￿04
9,041
36,857
17.orxj
28.898
Prlor yearcomparatlve
2020
Vnre5trlcted Fund Restrlcted fund Totsl
Tangible fixed assets
Net current asseis
Loftgterm Ilab515ty
9,041
17.668
17.(
19.189
36.857
19.189
28,898
12