THE REDEEMED CHRISTIAN CHURCH OF GOD OUR SAVIOUR'S PARISH
Charity Reglstration No: 1148007
TRUSTEES, ANNUAL REPORT AND FINANCIAL STATEMENT
FOR THE YEAR ENDED 31 DECEMBER 2023

THE REDEEMED CHRISTIAN CHURCH OF GOD OUR SAVIOUR'S PARISH
Charity Registration No: 1148007
CONTENTS
Reference and administrative details
Trustees, Annual Report
Independent Examiner's Report
Balance Sheet
Statement of Financial Activities
Notes to the financial statements
10

THE REDEEMED CHRISTIAN CHURCH OF GOD OUR SAVIOUR'S PARISH
Charity Registration No: 1148007
REFERENCE AND ADMINISTRATIVE DETAILS OF THE CHARITY, ITS TRUSTEES & ADVISERS
FOR THE YEAR ENDED 31 DECEMBER 2023
Trustees ,
Olatokunbo Sangowawa (Chairman)
Akinlolu R Ladokun
Comfort Dina
Vincent Dina
Adedotun Babalola
General Overseer
Pastor E A Adeboye
Principal Address
110-112 Norton Road
Stockton On Tees
TS20 2AQ
Charity Registration No: 1148007
Banker
Barclays Bank & Yorkshire Bank
Independent Examlner
AKA Compliance Limited
4 St Luke's Place
Hebburn
NE31 IRR

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THE REDEEMED CHRISTIAN CHURCH OF GOD OUR SAVIOUR'S PARISH
Charity Registration No: 1148007
BALANCE SHEET AS ATYEAR ENDED 31 DECEMBER 2023
2023
Total
,2022
Total
FIXED ASSErs
Tanglble Assets
Notes
29.778
I4￿6
CURRENT ASSErs
Cash and bank balances
140.155
80,253
SHORT TERM LIABILITIES
Accruals
Loan (amount falling duewithin a year)
600
600
NEf CURRENT ASSErs
135.895
75.933
LONG TERM LIABILMES
Creditors (amount faling due after rnore than oneyear)
4,372
9,079
NET ASSETS
161,301
81,730
CHARITY FUNDS
Unrlstricted Funds
Restricted Funds
129,709
31,592
161,301
50,825 ".
30.905
81,730
Approved by the Trustee and signed ori their behalf by:
Name
Signature
Positlon
Date
>+ JWIE IDY4

THE REDEEMED CHRISTIAN CHURCH OF GOD OUR SAVIOUR'S PARISH
Charity Registration No: 1148007
STATEMENT OF FINANCIAL AcfiviTIES FOR THE YEAR ENDED 31 DECEMBER 2022
2023
Unrestrlcted Fund Restrfcted fund Total
2022
Total
INCOMING RESOURCES
Donatlons. legacies & slmilar incoming resources
Other Incorne '
Notes
190.025
26,389
216.413
5,787 195.812
26J89
5,787 222.201
98.596
,194
110,790
RESOURCES EXPENDED
Charitable Expenditure
Management and Governance Cost
Total Resources Expended
, 24,945
I￿.584
137,530
500
25.445
4,600 117.184
5,100 142.630
11,076
78.788
89.863
Net Incomingl(Outgoing) Resources forthe year
78,884
687
79.571
20,926
BALANCE ATTHE BEGINNING OFTHE YEAR
..50,825
30905
81.730
60.804
BALANCEATTHE END OFTHEYEAR
129,709
31,592 161.301
81,730

THE REDEEMED CHRISTIAN CHURCH OF GOD OUR SAVIOUR'S PARISH
Charity Registration No: 1148007
NOTES TO THE ACCOUNTS
I. ACCOUNTING POLICIES
a) The accounts are prepared under the historical cost convention and in accordance with applicable
accountlng standards. They follow best practice as set out in the Statement of Recommended
Practice: Accounting and Reporting by Charities (SORP) issued March 2005 as modifled for smaller
charities.
b) Income and expenditure is accounted for on an accruals basis.
c) Fixed assets comprise furniture & fltting and motor Vehicle which have cost more than
£200.Tangible fixed assets are stated at cost less depreciation. Depreciation is provided at rates
calculated to write off the cost of fixed assets, less thelr estimated residual value over their
expected useful lives on th'e following bases:
Motor vehicle
Equipment.,,
Computer Equipment
Furniture and fittings
Portakabin
25Yo reducing balance
250/0 Straight line
25% straight line
25% straight line
IOYO reducing balance
2023
Unrestrlcted Fund Restricted fund Total
2022
Total
2 DONATIONS. LEGACIES AND SIMILAII
INCOMING RESOURCES
Tithe
Offering
Thanksglving
Bullding
Other
9,194
52,879
7,364
58,147
30,208
1,995
1,157
7.089
98.596
52,879
7,364
3.240
3.135
195,812
3240
2,547
5.787
190,025
2023
Unre5trlcted Fund Restrlcted fund Total
2022
Total
.13 OTHER INCOME
25,938
451
26.389
25,938
451
26,389
IlJ64
830
12,194
Bank interest

THE REDEEMED CHRISTIAN CHURCH OF GOD OUR SAVIOUR'S PARISH
Charity Registration No: 1148007
NOTES TO THE ACCOUNTS
2023
Unrestrlcted Fund Restrlcted fund Total
2022
Total
4 CHARITABLE EXPENDITURE
Glft and Donatlons
Travel and accomodatlon
Welfare
Evangellsm & MlsslonsJ14j
3.804
1.604
11,349
8,188
24,945
3,804
1,604
11.349
1,751
1,527
869
6.930
11,076
500
500
25,445
2023
Unrestrlcted Fund Restrlcted fund Total
2022
Total
5 MANAGEMENT & GOVERNANCE COST
Depreclation Expense
Insurance
Motor Expense
Church Supplies• and postage
Rates and utllitles
Rents
Repairs and renuwals
Telephone and Internet
Llcences and Permits
Medla and events
Interest payable
Payroll
Honorarium
Training
Professional fees
10,742
2.473
2.128
7,941
7.417
20,190
1,792
10.742
2.473
2,928
7,941
7,417
20,190
5,592
2,460
527
2,836
330
47,240
3,990
1,920
600
117.184
800
2.830
4,805
5.468
21.600
9,623
2,640
526
3,800
527
330
47.240
404
20.899
550
1.123
720
78.788
1,920
600
112,584
4,600
11

THE REDEEMED CHRISTIAN CHURCH OF GOD OUR SAVIOUR'S PARISH
Charity Registration No: 1148007
NOTES TO THE ACCOUNTS
6 TANGIBLE FIXED ASSET
Cost
atl January2023
Addltions during the year
Dlsposals duringtheyear
At31 December2023
Computer Equlprnenl Furnlture & Flttlngs Equlpment Vehlcle Portakabln Total
3a03
2,794
3.354
16,847 5,300
5,463 12,500
11,524 39.768
25,643
7.630
6,148
22,310 17.800
11.524 65AII
Depredatlon
at l January2023
Charged fortheyear
,Disposed ofduringthe year
At31 December2023
2.306
1.564
2.642
914
12,006 1.325
3,653 4,119
6.613 24W2
491 10.742
3,870
3,556
15,659 5.444
7,104 35.634
NetBookValue
At 31 December2022
At 31 December2023
997
3.759
152
2,592
4.841 3.975
6,650 12.356
4.911 14.876
4.420 29.778
2023
Unregtrlcted Fund Restrlcted fund Total
7 NEf ASSET BY FUND
Tanglble lixed assets
Netcurrentassets
Long term Ilabllity
29.778
104,303
4,372
125,709
29.T78
135.895
4.372
161.301
31.592
31,592
Prlofyearcomparative
2022
Unrestrlcted Fund RestrI￿ed fund Total,
T8ngible fixed assets
Net current assets
Longierm Ilablllty
14,876
45,027
9.079,
50.824
14.876
75.933
9,079
81,730
30,905
30.905