REDEEMED CHRisnAN CHURCH OF GOD I'PCCGI EMMANUEL CHAPEL KtrtERING
TRUSTEES. REPORT AND FINANaAL STATEMENTS
FOR THE YEAR ENDED 31ST MARCH 2024

REDEEMED CHRisllAN CHURCH OF GOD I'RCCG,) EMMANUEL CHAPEL
KEThERING PARISH
CONTENTS
Trustee5' Report
Independent Examiners, report
ststement of flnancial activltles
Balance sheet

kntitfl> IIAN VP 1gUD I￿￿(?1 EMMAMUEL CHAPEL KErtEffWG PARISH
TRUSTEES. REPORT FOR THE PERIOD ENDED 31ST MARCH 2024
Emm3nLEJ Chapd, Kettwiig Padth knthe ￿lod erKI80 31st Mar(* 2024
requlten*nts. the requffements ofchariV8 govemiE¥J doew￿t and the ￿0v￿￿5 of
The Charities Staiement of ReLxsnMmerKlod PrxiKe: sfN211 Ch*lties aThl SORP 201XS.
1fi8tthod ol appo1rrtmentore1￿1l0n aft1￿lee8
tfust deed.
Con$tltution poll¢ie$ and obi8Gtlves
The prtndp81 object ol Ihe charity isthe al¥anremertofth? Chrbtian fath •)J raw ofpovefty.
Th¢rE have ￿en no L*ange8 in the (*iectNOS slrLce thè 1*1 f¢F*Jt.
Organl$atlonal stru¢tur• and d8ctslon4nak*ig
The ehurch18 organlsed so Ihal the Irustees meet reguknwty tg its affatr8.
Relat•d party relatlonshÉp8
parlshes 811 over lh8 world. The re￿ti￿hlp 18 by ￿ *wen￿rt ts Comn
Purpcoes, belww I￿ F*Tknhe8 •nd RCCG.
R•vl•w of8¢tfvltl•¥ and fkrture d•v¢lotKn•nts
Grnnt moklng poH¢l
mlnl618r68nd MIM￿￿￿8$ all ryd¢r Ihe vKAId.
Volurt••rg
estirnat•d that over 260 volLmteer houFS pro¥hJed the wiod. 11 (b￿ * conserv8tNely val￿￿ at £10.CQ por
hour. the ¥ol￿)Ie&r effort8 arTh)unt to o¥eT £2.6CQ. Emmanuèl Chapel, KtittslThJ P8ith ensurns Ih8l b06l ¥alug 15 dei
Trustw. R•spon81btiiti•s
ith 9lY6 a true and falfT4l•w oflh? of affairj oftl* aThJ crfthe suwplus
or deficit of the ¢h8rityfor thot peiiryl. In pr8pwlryJ th￿￿ ffinanclal stalerr*rt6. ts tri*tee8 hwe..
' S8lected sthblè 8e£ounlJng pokjes aFfJhed them conwslènuy.
- Madg and eslknatts Ihatarg r8asonabl¢ aTrJ pOJ￿t.
explalned Iho finend81 Slalements: and
¢>)nllnue op*rallonl.
otheThvtg& They are atso tespwtrjfe for keepivJ WOFer recgxd87*t￿
finandal statemerbts eomply ￿ the Chariloes Ad 1993.
d9t9cli￿ and prO¥en￿ tslfwaud 8nd othgr irregtsl81ibe8.
D•¢laratlon
ThB Irus1￿$ dedare th•1 th¢y have aFprryed the Truslees rÉrxitebuM.
Slqned cl) b•hall of th• charity's Iwstees:
Slgnature(s)-.
TG
01
Full Namo1$)'. O
-4
Dat?..

EMMANUEL CHAPEU KErrERING PARISH
I report on the acccAints of the charity for the year ended 31" March 2024 set out on pages 5 to 8.
Respective regponsibiltties of trnstees and examiner
an audit is not requiTed for this year under section 144121 of the CharitEs Act 2011 (the 2011 Act) and th818n
independent eXaMina￿n is needed.
It is my responsibility to..
examine the accounts under 145 of the 2011
seCt￿n 145{5llb} of the 2011 Act
to state whether parbcular matters have ¢orrE to my attention
Ba815 of Indopendenl exarninor'• report
eXaMinat￿n in¢ludes a revw of the accounting records kept by the charty and a comparison of the accounts
presented with those records. 11 also includes consideration of any unusual rtems or disclosures in the
accounts, and Seeking explanations from you as trustees conceming any such matters. The pro¢edures
undertaken do r￿t prowde all the evwjence that woukJ be required in an audit and consequently no opinion ig
Independent •xamln•V8 8tatement
In conneclK)n with my examination, no matter has corne to my attentK*).'
{11 whlch gives me ￿SOnable cause to believè that in any matenal respoGt the requirements..
to keep %counting records in ￿)rdance Section 130 of the 2011 Act
reqLtlrem8nts of tho 2011 Act
have not been md,. or
lo b8 reached.
Name.. Tayo 1kn8eni-Lawal
Relevanl Professional Qualification or 8ody". Associatsn of Chartered arKI Certffied ArLountants
Add￿$$.. 56 College Streét. Wellingborough. NN8 3HF
Dato.. 15 SEPTEMBER 2024

THE REDEEMED CHR15tIAN CHURCH OF GOD
EMMANUEL CHAPEL KErrERING
BALANCE SHEET AS AT 31st MARCH 2024
202>
FIXED ASSEYS
Tan8Jble Assets
8.163
CURRENT ASSETS
Cash at bank
Cash-in-hand
Gift Ald Aecelvable
115,217
193
30.t)XI
145AIO
111.216
12
15.(
126228
CURRENT UA8iunES
Credltors & Accruals
-1,916
.￿20
NET CURREKf ASSETS
124M8
AL NEfASSEf5
151,657
129N12
FUNDS
Restrlcted Fynd
Unrestricted Fund
151,657
151.657
129,412
129N12

Rf DEEMED CHRISTIAN CHURCII OF GOD 'RCCG
EMMANUEL CHAPEL KErrEIUN
ATEMENT OF FINANaALACTIVmES
Il•strlcted Unrestrfcted
Funds
Funds
NOTES
2023
INCOMING RESOURCES
Donations
Other Income
Other voluntary income
TOTAL INCOMIMG RESOURC£S
68.$42
16,537
7.070
91149
68.542
16.537
7,070
91149
64,380
5.443
3,226
73,049
RESOURCES EXPENDED
CHARITABIE EXPENDITURE..
Mlssionary & charitable 8lvln8
Dlre¢t Parlsh Expenditure
20.488
49.418
12,218
41.132
49,418
TOTAL RESOURCES EXPENDED
69.*
53,351
NET INCOMING RESOURCES
(surplus of Income over
Expendlturel
22245
22345
19.698
TOTAL FUNDS AT I APRIL 2023
129.412
129.412
109,714
AL FUNDS AT 31rt Marth 2024
151,657
151.657
129012

ThE REDEEMED CHRISTIAN CHURCH OF GOD
EMMAN
EL CHAPEL KErrERIN
INCOME AND EXPENDITURE
FOR THE YEAR ENDED
MARCH 2024
INCOMING RESOURCES NOTES UNREsntlCTED RESTRicfED
2023
DONATIONS
OTHER INCOME
OTHER VOLUNTARY
INCOME
68,542.28
16.536.94
64,379.99
5,443.12
7.070.21
3.226.33
TOTAL INCOMING
RESOURCES
91149.43
73,Tr19A4
RESOURCES USED
Misslonary & tharltable
8lvin
20.487.94
12.218.47
Direct Parlsh Expendlture
49,417.79
41.132.38
AL RESOURCES IISED
69,905.75
OA
53350.85
NETINCOMING
RESOURCES
22,243.70
19.698.59
BALANCE C/F AS AT 31ST
MARCH 2024
22243.70
19,698.59

EMMANUEL OIAPEi KEfFEMNG
IIOTES ON FIIIANCIAL ￿llEmE￿[s
FIW¢THE¥EAR ENOED
NOTES
The Flnanclal Statements have bÈeh wepared urwjer the tosttonbrmlon etG
6￿2.28
Othei Income
1453&94
7￿0.21
3,226
WEM
COF
CHAR ￿ DOPUTK*45
WELFARE
RCCG AREA cof4Tr1BLmoN
12,741.78
1839.18
3,4(6.98
20A87.94
Il218
HALL HIRE
CHUACH PROGRAMMES EXPENSES
SUNDRY PURCHJSE
PHONE
PUBLUTIOKS
17&11XJ
7.77&C
520.43
145.th)
CONTrNUOUS CHURCH OEVELOPMEFff 2&596.79
PRINTING, POSTAGE &￿ATtOweR1ES
DEPRECIAMON
CONFERENCES & SEM114ARS
TRAVEL EXPS
REPAIR & WJNTENANCE CHURCH
BUS
CHURCH EQUIPMENTS REPAIKS &
MAINTENANCE
BANK CHARGES
PUBUC LIABILfTY INSURANCE
TrAIMIP4G EXPEMSES
PASTORSAPPAEOA￿ON
55753
79.79
1.323.C
L01&52
24&88
262.16
425.C(I
49A17.79
41,132

EMMA14U£L CTrL4PEL KErrERING
I*)TES ON FINANaALSTATEMEpns
FORM YEAR ENDED
2579.79
2,C81
TANGIBLE FIXEDASSETS
(ISED FOR THE PARtSH PURPOSE
C05tsas*311312024
39267S8
DÉPREOATION
As ot IApril 2023
Charge fortheyear
Totsl as at 3U3n024
NET BOOKVAWE ASAT3V312024
28524.n
2579.79
3L104.51
&163.1
CREDITORS
Ameunts tsllingduewrthin one year
WEM
HALL HIRE
L61&
L91&21
A14ALYSIS OF I￿AssEr$By FUND
FIXEO ASSErs
CURREpifASSEJ5
UA8IUnES
4163.06
145.4109.69
-1.916.21
15L656.54
126.227
-1.620
129,412