REDEEMED CHRISMAN CHURCH OF GOD
'RCCG
EMMANUEL CHAPEL KETTERING
TRusfEES' REPORT AND FINANCIAL STATEMENTS
FOR THE ENDED 31ST MARCH 2021

REDEEMED CHRISTIAN CHURCH OF GOD (RCCGI EMIAANUEL CHAPEL KErrEftII￿ PARISH
TRUSTEES REPORT FOR THE PERIOD ENDED 31ST WCH 2021
Emmanuel Cha[￿. Kettering Parish fot the p8riod ended 31st Marth 21Y21
requ1￿Ments, the requirements pThs*Jns of
The Charities statan￿ of Re(*mmerthd PTa(*(*'. sm&Y Ch8Tth¢s atyj SORP 2(1)5.
trust deed.
Constitudon pollcle• Jnd objocts
The principal object ol the charity is Ihe ofthe Ctsisb'an tsith wJl¢**id• and rntsefof poverty.
Te havt bten no c*ang8s In the otpth¥es SI￿ the18st
The church is organised 80 that ts trust¢e8 meot ￿e￿OrtY to marAge Its affm.
Rolatsd party rnl•tloMhlp•
RCCG Emm8nuel Chapel. Kettering pari8h 18 memb¢f ofthe R*emed Christian Chur¢h of God (RCCG). Yknith ha8
paris￿5 over the worfd. rekbonship is g￿l*Mad by an'Agrewnent for Common
Pu￿$08. betymen the parish•s and RCCG.
R•¥l•w ol I￿¥5￿•• •nd fU￿rn dwelopments
oround the Kett•ring aroa of Northampton8hire.
Grant m•klng pollcl8•
minl$ler8 and mis61￿•r1e8 all over Ihe ¥AJld.
Volunl••Y•
hour, the vOlun￿r offryt8 amwnl lo £2,eLJ). Emm￿ul1 ChoFd. KthiNJ Pwi8h enwr•s that b•8t ¥8bu•18 derived
Law appkc8ble to thwit1￿ in Englan￿￿105 requires the lo preporn flnarKlal statw*ts for ea¢* finarrAèI year,
whi¢h gfve a tru& and fair VI￿ ofthe 918tè of affalrs clth• dwty *1 ofts swplu8
' Made judwents 8nd estwnates that •re I•88￿ble and W￿JenL.
explalned in the ffina￿l statements.,
conlirwo in OFerntionl.
Th• t￿￿te?5 ￿￿e ovwall resp)nsibility for ensui¥vJ thatthe Clwity ha8 $yth of controls. finand81 and
t*larnllon
Slgn•d on b•lwlf of th• Cho￿5
Swwthre(s).'
FullName(8)'. I
Ilm￿.. (e.g. Swxetwy. Ctrthir. et¢}

EMMANUEL CHAPEL. KETfERING PARISH
I report on the accounts of the charity for the yoar ended 31 March 2021 set out on pages 5 to 8.
Respeclive responsibilities of trustws and examlner
an audrt is not reqlbired for this year under section 144{21 of the Charities Act 2011 (the 2011 Act) and that an
independent examination is needed.
It is my responsibility to..
examine the accounts under sectton 145 of the 2011 kt
section 145151{bl of the 2011 Act
to stale whether part¥xlar matte(s have come to my attenti
Ba818 of Indep8nd•nt •xamingV$ report
eXaMinat￿n includes a review of the accounting records kept by the ¢hanty and a (wiparison of the accounts
presented vth those records. It also includes consthrath)n of any unusual rtems or discbsures in the
accounlg, arKI seeking exptanatsons from you as trustees conceming any such mattep3. The procedures
undertaken do not prowde all the evKlence that woukj be requwed in an audrt and o)nsequentty no opinion is
Ind•pondont •x•mlnees statomthrt
In connection with my examination, no matter has o)me to my attenlh)n.'
11) vthich gives me reasonab￿ cause to bdwe that in any materKg1 respect the requirements..
to keep ￿Ounb.n9 records in aCc￿danCe with *aion 130 of the 2011
requirements of the 2011 Act
have not been mrt or
to b8 reached.
Name.. Tayo 0*￿n￿LaWa1
Relevant ProfeSs￿al Qualificatlon or Body.. Ass0¢￿tt￿l of ChartereAI arrtl Cethed Aco)untsnts
Addr8s8. 2 Crom8 Close, Wdlingborough, NN8 4SW
Dats.. 18 Septsmber 2021

THE REDEEMED CHRISTIAN CNURCH OF
EMMANUEL CHAPEL KETTERIPIG
BALANCE SHEET AS AT
MARCH 2021
2021
FIXED ASSE
Tan8lble Assets
L892
3.086
CURRErif ASSErs
Cash at bank
Cash-ln-hand
Loans Gianied
Glft Ald Recelvable
70.071
19
1.71X)
14.133
85.923
74,823
259
1700
76,781
CURRErir LIABIUTIES
Credlioff5 & Accru•15
476
4,059
NET CURRE14T ASSET5
85y7
73.722
AL NEf ASSErs
87A39
FUNDS
Restrlcted Fund
Unrestrirted FurKI
87.439
87N39
76,808
76008

REDEEMED CHRisfwi CHUROI OF GOD '
EMMANUELCHAPEL KErtERING
ATEMEiif OF F174ANaALACTNmES
FOR THE YEAR ENDED 31sr MARCH 2021
NOTES
Funds
2020
INCOMING RESOURCES
Donatlons
Other Income
Other voluntary income
TOTAL INCOMING RESOURCES
28.393
14.163
28.393
14.163
44,980
10.015
2,599
57,594
44W6 44￿56
RESOURCES EXPENDED
OIARITABLE EXPENDITURE..
M1s51onary & charftable8ivin8
Dlrect Parlsh Expenditure
7.ln
26,748
7.177
26.748
11,114
35,639
TOTAi RESOURCES EXPENDED
33J2S
33325
46,753
NEf INCOMING RESOURCES
(Surplu5 01 Income over
Exp•ndlture)
,632
10.632
iowi
TOTAL FUNDS AT I APRIL 2020
76.808
76,8L
65.967
TAL FUNDS AT 31st Marth 1021
87A39 87039
76I08

ThE REDEE
EMMANUELCHAPEL KErrERING
INCOME AND EXPENI)fniRE
THE YEAR EPIDED 3
INCOMING RESOVRCES
2020
DONATIONS
OThER INCOME
OTHER VOLUNTARY
INCOME
28.393.15
14.162.76
44.979.93
10.014.95
I￿1.25
2,598.78
TOTAL INCOMING
RESOURCES
44S56.16
ojjo
s7￿9166
RESOURCES USED
Missionary & charltable
8lvln8
7.176AI
11.114.02
Dlrect Parish Expenditure
26.747.79
35,639.10
AL RESOIJRCES 115ED
33,92459
46,753.12
NET INCOMING
RESOURCES
10.63157
10,840.54
BALANCE CIFAS AT 31ST
MARCH 2021
10,63157

NOTES
ThÈ FlnarKial Ststements hm been prepared th*rthe hi51ryKalc05tC(Th¢MiM
s & Offerlr*s
393.
.￿176
1599
WEM
5269.
CHARITY fKJpiAn014S
AFRifA M15510N5
WELFARE
io
7,176.
IL114
COVID-19 EXPENSES
HALL HIRE
CHURCH PROGRAMMES EXPENSES
SUNDRY PURCHASE
PHONE
PUBLICATION5
CONTINUOUS CHURCH
DEVELOPMEMT
726.36
370.38
PRIPlllNG, Fo￿AGE&￿ATIONERIES
DEPREaAMON
RCCG AREA CONTRl8ulloN
TRAVEL EXPS
REPAIR& MAlPItENANCE CHURCH
BUS
CHIJRCY EQUIPMEFifs REPAIRS&
MAIPlfEPiAPICE
BANK CFIARGES
PUBUC UA81UTY INSUWKE
L193.27
32s.oi
26.747.79
35,639

L193.27
U19
YAN61BiE AXEDAS5EIS
USED FOR THE PAPJSH PURPOSE
Costsa$at3V312021
2&M67
OEPAEUATION
Asat l April 2020
Char8efor the year
Totri asat 3113n021
NEf BoOKVAWEASATWY￿
23.283.(K>
1.193.27
24.47&26
L89141
Amounts tsllinidue ￿ar
WEM
375.67
375.67
3.L59
FIXED ASSErs
OJRREIIT ASSErs
LIABILrriES
85.922.67
-375 67
87A39.41
76.781
-3.059
76D)8