REDEEMED CHRisfiAN CHURCH OFGOD I'RCCG'I EMMANUELCHAPEL
KE￿ERING PARISH
CONTENTS
Trustees, Report
Independent Examiners, report
Statement of financial activities
Balance sheet

REDEEMED CHRISTIAN CHURCH OF GOD IRCCGI EMIAANUEL CHAPEL KETfERING PARISH
TRUSTEes' REPORT FOR THE PERIOD ENDED 3tST IAARCH 2025
Emmanuel Chapd, Kettering Parish for th¢ period end￿ 31st Marth 2025
fequirements. the requirements of charivs ￿)verning dcojment and the prthfjsions ot
The cha11t￿ Statement of Recommerbled Practice: Small Chanbes and SORP 2LYJ5.
trust deed.
Constitsrtlon pollcle8 and abJecti¥es
The prin(xp81 object oflhe charty is the ad￿cernent ofth• chnsb.an failh wothits aThJ rall￿ of [m)￿ty.
There havo been no changes in the obJectNes siw the lasl annLtal report.
Org•nl•ational struckne and dBcision4Mkn
The churd) 18 organiseil so that the trustees me8t to its affairs.
R•1•t￿ party rnl•tlon•hl
parishes 811 over the world. The r•lalknn8hip is o)vwned by an'AwèBment frx cOmn￿)n
Puipo8es' t•ts%Ten th• parishes and RCCG.
around the Kgttering area of Northamptonshire.
Grnnt m**lng poll¢l••
ministers and Missm￿an$S ovar th• *Th1d.
Volunts•r¥
estimated Ihat ovor 280 volwrt••r IM•JTs *•r• VDYoJ•d tho pfjrf#)d. Ilthra Is cffi8ervaW valued al eio.(M) per
hour, the vokunt¢•r efforts to over £2,e4xi. Emm￿1 Chwd. Kottwing Pwish ensur88 that b•st ¥a￿e 1$ d￿Ve￿
TTU•t•e•' R•*pon￿bIllu••
whith give a trL* Ind fair vtew of the *8te of aff￿.18 ofthe *xl oftho surplus
01 d8fifJl ol the chty lor thal wiod. In pwarirwJ th0￿ IInar*)￿ &at•me￿. th• tru8te8s hgW.'
. Select•d suitat4e ￿￿nts'ng pc4th# and appl*d them c￿6151￿.
explained in thg finarhid Statements; and
continue In operalknl.
fin8n¢F81 slatemwts ojmpty *ryth thg Charithes Ad 1993.
detethon arml provwMK￿ offraud and th 4wegulanll88.
D•clarthn
Slgnod bth•Milth• ¢h•rlty• lJu•tw•:
Signatur¥{81'.
Full Nome(81.' Q LvKokfa11I A-LEE
Position.. (e.g. S&7etary, Ctiair. rt¢)
Dalo.. 3¢

EMMANUEL CHAPEL. KErrERING PARISH
I report on the a￿OUnts of the chaTtty for the year ended 31" March 2025 set out on pages 5 to 8.
Respoctlvo re8ponsibilitleg of trustees ¥nd examln•r
an audit is not required for this year urKber sectb)n 144(21 of the Charities knt 2011 (the 2011 Act) and that an
independent examination is needed.
It is my reswnsibilty to-.
examine the accounts under section 145 of the 2011 A(
section 145{5llbl of the 2011 Act
to state whether parbcular matters have come to my attention
Basls of Independent examIne￿$ report
examinats'on includes a review of the acwunts.ng Tewds kept ty the chanty and a comparison of the aco)unts
presented wth those records. It also incFudes ¢onsideration of any unusual items or di$¢h)sures in the
accounts. and seeking explanab.ons from you as trustees conceming any such matters. The prccedLtre$
undertaken do not provida all the evidwh% thal V•Y>uld be Nuired in an audit and consequenty no otynion 1$
Ind•pendont oxamln8Vs statèmgnt
In connecb'on with my examinatbon, no matter has come to my attention..
{11 which gives me reasonable cause to believe that in any material resF*rt th8 requirements..
to keep accounts'ng records in aoxKdance Ythh ￿tion 130 of the 2011 Act
requirements of the 2011 Act
have not been mel or
to be reached.
Name.. Tayo Ch￿n￿Lawa1
Relevant Professional QUaIrf￿at￿n or Body.. Association of Chartered and Cerbfied A￿Ountsnts
Address. 1 Mangold Place, Wek￿￿ Manor. NN17 SDA
Date.. 15 NOVEMBER 2025

REDEEMED CHRisnAP4 CHURCH OF GOD '
EMMANUEL CHAPEL KErrERING
STATEMEPIT OF FINANCIALACTlVtTIES
FOR THE YEAR ENt*D al￿ MARQI 2025
Funds
Total
2024
INCOMING RESOURCES
Donatlons
Other Income
Other voluntary Income
TOTAL INCOMING RESOURCES
113,132
19,838
6,347
139316
113,132
19,838
6.347
139316
$8,542
16,537
7.070
92.149
RESOURCES EXPENDED
CHARITABLE EXPENDITURE."
Misslonary & charitable givin8
Direct Parlsh Expendlture
19,058
68.856
19,058
68,856
20.488
49.418
TOTAL RESOURCES EXPENDED
87.914
87,914
69,906
NET INCOMING RESOURCES
(Surplus of In¢ome o¥
EXpendI￿re)
51A02
51A12
22245
TOTAL FUNDS AT I APRII 2024
ADJUSTMENT FOR ACCRUALS GI￿ AID IIAIM
TAL FUNDS AT 31st Marth 1025
151.657
.7.$1)O
195559
151,657
-7.500
195,559
129,412
151,657

THE REDEEMED CHRISTIAN CHURCH OF GOD
EMMANUEL CHAPEL KErtERING
BALANCE SHEET AS AT 31ST MARCH 2025
NOTES
2024
FIXED ASSErs
Tan8ible Assets
11,880
8.163
CURREPIT ASSETS
RECOVERABLE LOAN
GKANTED
Cash at bank
Cash-in-hand
Glft Aod Recelvable
2￿.
162.270
342
22.5ThJ
185312
115,217
193
30.CKX)
145AJO
CURIIENT UABiunES
Credltors & A¢(n￿lS
-L916
NEf CURRENf ASSErs
143J93
TOTAL NET ASSEIS
195,558
151.6S7
FUNDS
Re5trlcted Fund
Unrestricted Fur
195.558
195,558
151,657
151,657

THE REDEEMED CHRISTIAN CHIIRCH OF GOD
EMMANUELCHAPEL KEfTERING
INCOME AND EXPENDifuRE
FOR THE YEAR ENDED 315T M
2025
IIICOMIP4G RESOURCE5 NOTES UNREStRICTED REsfRICtED
2024
DONATIONS
OTHER INCOME
OTHER VOWNTARY
INCOME
113.131.50
19.837S4
68.542
16.537
6.346.82
7,070
TOTAL IPICOMIIIG
RESOURC
139315.86
92,149
RESOURCES USED
Mlsslonary & charltable
8ivlnB
19.057.50
20.488
Dlrect Partsh Expendlture
68.856.47
49,418
TOTAL RESOURCES USED
87,913.97
69.906
NET INCOMING
RESOURCES
SL401.89
22.244
BALANCE CIF AS AT315T
MARCH 2025
SIAOIJ9

NOT
Atcountln
The Financial Statements have been prepared underthe hlstorfcal cost conventlon etc
iknre51rfctod
fvnds
Donaibon5
fvnd¥
rithe5 & Offeiitsgs
113,131.50
64542
Other Income
19,837.54
16.537
6.Y6.82
7.070
WEM
COF
CHARITY DONATIONS
WELFARE
RCCG AREA CONTAIBUMON
14,642.22
985.28
2A30.(A)
19,057.50
20A88
PE
HALL HIRE
CHURCH PAOGRAMMES EXPENSES
SUNDRY PURCHASE
PFIONE
PUBLICATIOPIS
3,030.(MI
6,063.29
4.399.68
563.91
-25.(Y)
CONllNUOUSCHURCH DEVEIOPMEMr
30,Iw.r)J
PRINTING, POSTAGE & sfATIONERIES
DEPRfCIATION
CONFERENCES & SEMINARS
TRAVEL EXPS
REPAIR & MAIMfENANCE CHURCH
BUS
CHURCH EQUIPMEP4TS REPAIR5 &
MAINTENANCE
BANK CHARGES
PUBiJC UABIUTY IPISURA14CE
TRAINING EXPENSES
NAL SERVICES
1.594.20
4,154.LX)
8.732.17
l.Z85.ri3
550.37
71.88
273.88
875.lY)
7,14&
49.418

MMANVELCTriAPEL
ATEME14TS
4.lY.C
2ml
TAMGleLE AXED
USED FOR THE PAR15H PURPC6E
Costsas•t 3V312025
47.1x62
DEPREIJATr014
s at l Aprll 2024
thar8e lorthe year
Totsi a5 at 3V3n025
FIET BOOKVAWEASAT3JI¥2025
3LILM.51
4.lY.O)
J5.258.Sl
4169
Anwnts fallkn8du¢ witlun OThe￿ar
WEM
IM3$7
I￿33.6?
L916
FIXED ASSETS
CURRE14T ASS
UA8IUnE5
8.163
145,410
-L916
ISL657
185.312L
.1.633 67
195.55&43