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2023-03-31-accounts

REDEEMED CHRISTIAN CHURCH OF GOO I'RCCG EMMANUEL CHAPEL KErrERING TRLISTEES, REPORT AND FINANCIAL STATEMENTS FOR THE YEAR ENDED 315r MARCH 2023

REDEEMED CHRISTIAN CHURCH OF GOD {'RCCG'I EMMANUEL CHAPEL KEfTERING PARISH Trustees, Report Independent Examiners, report ststement of financial art6vit*s Balance Sheet

REDEEMED CHRISTIAN CHURCH OF GOD (RCCG) EIthIAMUEL CHAPEL I(EfTERING PARISH TRUSTEES. REPORT FOR THE PERIOD ENDED 31ST MARCH 2023 Emmanuel Cha￿, Kettetirtg Parssh forthe perxxl ended 31st M81th 2023 The Chaiitses Ststement of Recommerwjed Prae". small C1W￿08 oThJ SORP 2(￿5. tnJ81 de&J. Constittrtion polic1￿ and obJocti¥e• The piin¢ipal ob￿￿ of the chBnty is the advaTh￿ ofthe CIKtstian faith vKKI￿ aThJ rel￿f of [￿. There have been no ch￿e3 fin the sirte ￿1•$1 annual repc¥L The church is ory8nis•d so th81 the tr￿te¥S mo81 to its affaws. R¢l•t•d party rnl•tlon•hlp• parishes all over the DTkl. The r8lallon¢hlp is go¥an￿d by an'Aweement (orc￿nM0n Purpo80$' boN￿n tha pariths and RCCG. arowd the K8tten'ng 8rn0 of Notthampton8hlrn. Grant mklng poll¢l•• ministgr8 and missionaries all over th• ￿rtd. Voluntwr• estsmaled that o¥w 280 vthJnlw hobn wore during Ihe ptr￿. Ifthi¥ 1$ ￿lSery￿b¥￿ty ¥aluad at £10.QJ per Tnlw•' R••pon•lblllll•• or defial of th• charity for that period In prepanng thow finan¢aal st8t8merts, the tr￿1•0$ have.. ' Sel8¢ed $wtabte ac£ounting pollcies and apphed them ¢))wstenty: . Made judgements and eslimates that re860nth and eyplained in the finanrid statom8nts' 8nd ylnue in opwabon). flnanc4al statèments ¢)Jmpty vnth the Charities Act I￿3. detection and prevbntion of fraud and olher irrwI8wiIi83. t)•claratlon SIgn￿ on behalf ofthe ¢harity Iru•t•o¥: Signaiure(sl: Full Nam¢(81 oIMkn)ty,' h (J% Posth￿.. (e.g. Seuthy. Chair. *) oU.J r4 e5Mbe TaY4e Dal?.. 1 )9->

EMMANUEL CHAPEL, KErrERING PARISH I report on the accounts of the chaTity for the year ended 31" March 2023 set out on p￿e5 5 to 8. ReGPeCtlv• responsibillties of ttt￿ and examinor an audit is not required for this year under sethon 14412) of the Char￿eS Act 2011 {trE 2011 Actl and that an independenl examinatson is needed. It is my responsibilty to. examine the accounts under sectw)n 145 of the 2011 Act sethn 145{51(bl of the 2011 Act to state whether partKutar matters have ￿me to my attentl Basis of Independent •x•mlnefs report examination indudes a reM8w of the accounting records kept by the charity and a ¢4)mparison of the accounts Presented wth those records. It aLso indudes ConS￿erat￿n of any unusual items or disclosures in the a¢¢ounts, and seeking eX￿natiOnS from you as trustees conceming any suth matters. The procedures undertaken do not provide all the evidence that would be required in an audrt and Corssequentiy no opinion is Indopgnd•nt oxamlnerfs stat•m In connection wrth my examination, no matier has com8 to my attentson: 11) wh￿h gNes me reasonable cause to believe that in any material respe¢t the requlrements.. to ke8p a¢wuntsng records in accordance with 130 of the 2011 Act requirements of the 2011 have not been meL or to be ￿aChed. Name.. Tayo thvoseni-Lawal Ra￿vant Professional Qualificab'on or Boty. A86(Kithn of Chartw&l and ca￿fied Accountants Address.. 56 College Street, Wellingborough, NN8 3HF Date.. 10 DECEMBER 2023

REDEEM CHURCH OF GOD ' EMMANUEL CHAPEL KFrrERING STATEMENT F FINANaALAcrivmES FOR THE YEAR ENDED 31ST MARCH 2023 Fund5 Totsl 2022 INCOMING RESOURCES Donations Other Income Other voluntary income TOTAL INCOMIMfj RESOURCES 64,3KI 5.443 3,226 64.380 5,443 3,226 73￿49 63,741 3,646 71396 RESOURCES EXPENDED CHARITABLEEXPENDITURE.. Mlsslonary & tharltable 8lvln8 Dlrect Parfsh Expenditure 12.218 41.132 12,218 41.132 14.383 35,738 TOTAL RESOURCES EXPENDED $3351 53351 50,121 INCOMING RESOURCES (Surplus of In￿￿e over Expendltyrel 19W8 19h98 22274 TOTAL FUNDS AT I APRIL 2022 109.714 109.714 87,439 TOTAL FUNDSAT 31st Marth 2023 129A12 129,412 109,714

THE REDEEMED CHRisnAN CHURCH EMMANUEL CHAPEL KErrEIUNG &4IAN￿ SHEEfAs AT3 FIXED ASSETS Tanglble Assets 3.754 CURRENT ASSETS Cash at bank Cash4n-hand Glft Ald Recelvable 111.216 12 15.(%XJ 95.101 159 9,999 105.259 Loans Granted > l YEAR CURRENT UABILMES 1.7LKI CTedltots & Ac¢ruals -4620 106J59 TOTAL NET ASSETS 9h 109,714 FUt4DS Restrlcted Fund Unresrrlcted Fund 129,412 129012 109,714 109,714

EMMAMUEL (WPEL KErrERING t14COME AND EXPENtxniRE F(XI THE YEAR ENDED 2022 DONATIONS OTHER INCOME OTHER VOLUNTARY INCOME 64.379.99 5.443.12 63.741.48 5.008.00 3.22633 3.646.05 TOTAL INC(IMING RESOURCES 73,049A4 72,395.53 RESOURCES USED Missbonary & charltable Biving 12,218.47 14.383.20 Dlreci Parith Expenditure 41.132.38 35.738.08 TOTAL RESOURCES USED 53350.85 50.121.28 NET INCOMING RESOURCES I9.6￿59 22,274.25 BALANCE CIF AS AT 31ST MARCH 2023 19,69L59 22.27&25