Registered Charity Number
1149691
Report of the Trustees and
Unaudited Financial Statements For The Year Ended
For The Year Ended 31st October. 2025
Redeemed Christian Church of God
His Glory Arena

Redeemed Christian Church of God
His Glory Arena
Contents of The Financial 5tatement5
For The Year Ended 31 st October. 2025
Page
Report of The Trustees
Independenr Examiner's Report
Sraiemenr of Fi nancial Activities
Balance Sheet
Nores ¢0 rhe Financial Siaremenrs
Deiai led Statement of Financial Activities

Redeemed Chrirtian Churth of God
HIS Glory Arena
Report Of The Trustees
For The Year Ended 31rt October, 2025
REFERENCE AND ADMINIffliATIVE D￿All5
Charity Number:
1149691
Chairnian:
Mrs Oluwakemi Olabisi Austen-okoronkwo
Principal Address.
102 Barnfeild Gardens
Plumstead Common Road
London
SEI8 3QY
Trustees
MODUPE ADEDERO
ADEDOKUN ADEYEMI ADEKUNLE
MOROMOKE OGUNBADEWA
Mrs Mabel Omokoya Foy-yamah
Independent Exarnlner
Adonai A550ciates
50 King Alfred Avenue
Catford. London, SE6 3HP
Bankers
HSBC

Redeemed Christlan Church of God
His Glory Arena
For The Year Ended 31st Ottober, 2025
ADONAI
Independent EXaMine￿S Report
To the Trurtees
%oK IXfQRfAED 50Lu1￿{4S
RE0151tsE￿IHENu.FcI$53S}7O
I report on the account5 for the year ended 31st October. 2024 set out on pages four to eight.
liespertive Responsibilities of Trurtees and Examiner
The charity's trustee5 a￿ responsible for Lhe pr=paration of the accounts. rhe charity's tru5tpes
consider that an audit is not required for thi5 year (under Section 144(21 of the Charities Act 2011
(the 2011 Actll and that an independetit examination is required. The charity's gross income does
not exceeded £250.000 and i am qualifieo to undertake t.he examination by being a qualified member
of ACCA.
It is my responsibility to=
examine the account5 under Section 145 of the 2011 Act to follow the procedure5 laid down in the
General Directions given by the Charity Commission lunder Section 14515)Ib) of the 2011 Act).. and
to state Kvhether particular matter3 have cotne to my attention.
Basis of the Independent Examine45 Report
My examination was carried out in accordance with the General Directions given by the Charity
Commission.
An examination Tncludes a review of the accounting record5 kept by the charity and a
comparison ol the accounr5 presented with th05e reiords. It also includes consideration of any
unusual itÈtns or disclosures in Ehe accounts, and seoking explanat¢on5 from you as trustees
concernins a*y such matters. The procedure5 undertaken do not provide all the evidence that
would be required in an audit. and £on5equently no opinion is given as to whether the accounts
present è 'true and fair view
below.
and rhe report is limited to those matters Set out in the statements
Independent Examiner's Statement
In connection with my examination. no matter has come to my artention_'
11 wnich give5 me reasonable cause to believe that. in any material respect. rhe requirement5 which
accord with the accounting records and to comply with the accounting requirements of the
2011 Act have not been mel- or
21 to which. in my opinion. attention should be drawn in order to enable a proper understanding
ol the
accounts to be reached.
Abiodun
Adeboyejo (ACCA.ACA,AAIAJ
Association of Chartered Certified Accountants
50 King Alfred Avenue
Catford . London
ate..
..At)ONAi Associates (UK) Ltd
ACCOUNTANCY, TAXATION AND MANAGEMENT CONSULTANCY SER VICES
50 King Alfred Avenuo, Carford London SE6 3HP.
Tel.. 02033719334. Fax.. 0203002395E Mobile.. 07940060159
http'.l/www.adonaiassociates.co.uk
ACCA
FIIIANCIAL
ACCOUNTAFIT5'

RedeeTned Christian Churth of GCKI
His Glory Arena
Statement of Financial AttNiti
For The Year Ended 31st Ortober 2025
2025
2024
Total
Total
Fund
Unrestricted
Restricted
Fund
Notes
Income Resources
Incoming Resour￿$ From Generated Funds
Voluntary Incom
Other Income
34.228
34.228
21,253
Bank interest received
63
63
34.291
25
Total Income Resources
34.291
21.278
Resources Expended
Charitable Activities
Physical & Spiritual Need
Governance Costs
18.100
18.100
12.973
850
850
850
Total Resource5 Expended
18.950
18.950
13.823
NEf INCOMING RESOURCES
15.341
15.341
7.455
RECONCI￿rI0N OF FUNDS
Total Funds Balances b/fwd
9.934
9.934
2,479
Total Funds Balan¢es rjfwd
25.275
25.275
9,934
The Notes Forni Part of These Financial Statements

Redeemed Christlan Churth of God
His Glory Arena
Balan￿ Sheet
as at 31 October 2025
2025
2024
Unrestricted
Funds
Notes
Total Funds
Total Funds
CURRENT ASS￿5
Debtors
Cash at bank and in hand
1.355
38.245
1.355
38.245
21.023
CREDETORS
Amount5 Falling Due within one Year
2.716
2.716
1.160
NFf CURRENT ASSFrs
36.884
36.884
21.543
TOTAL ASS￿$ LESS CURRENT
LIABILITIE5
36.884
36.884
21.543
21.543
NEf ASs￿s
36.884
36.884
Unrertrided Fu
Unrestricted Funds
36.884
21,543
TOTAL FUNDS
36.884
21.543
The financial statements We￿ approved by the Board of Trustees on...
were signed on its behalf by=
-and
Approved by Board of T.rustees
(For The Trustee)
The Notes Form Part of These Financial Statements

Redeemed Chrf5tlan Churth of God
HIS Glory Arena
Notes to the Finanaal Statemenlss
for the year ended 31 October 2025
ACCOUNTING POUCIES
Accounting conventlon
The rtnanctal statements have been p￿Pared under the historical cost convention. and in
accordance with the Financial Reporting Standard for Smaller Entitie5 (effective January 20151.
the Charities Act 2011 and the requirements of the Statement of Recommended Practice.
Accoynting arkd Reporting by Charities (issued july 2014)
Incorning resources
All incoming resources are included on the Statemetkt of Finanaal Activities when the charity is legally
entitled to the incorne and the amount can be quantifred wtth reasonable accuracy.
Resources expended
Expenditure is accounted for on an accruals basis and has been classified under headin¥5 that aggregate
all cost ￿lated to the category. Where costs cannot be directly attributed to partiojlar heading5 they
have been alloc2ted to activities on a bas1$ con5irtent with the use of resources.
Grants offered Subject to conditions which have not been met at the year end date are noted a5 a
comtTritment but not accrued as expenditure.
Tangible fixed assets
Taxation
The charity is exempt from tax on its charitable activities.
Fund accounting
Unre5tritted funds can be used in accordance with the charitable objectives at the discretion of the tnjste
VOLUNTARY INCOME.
2025
2024
Tithes. Offering & Thanksgiving
Donations
Thanksgiving
Welfare Fund
Building Fund
Bank interest received
Gift Aid
34.228
21.253
63
25
34.291
21.278

Redeemed Chrirtlan Church of God
Hi5 Glory Arena
Notes to the FlnatKial Statementss
for the year ended 31 October 2025
2025
2024
Other Grants
2 GOVERNANCE cO￿s
2025
2024
Accountancy
850
850
850
850
for the year ended 31 December 2014
Trurtees, expenses
The average monthly number of employees during ihe year was as f
2025
2024
3 Debtors . Amounts Falling Due within one year
2025
2024
Other debtors
1.355
1.355
1.680
1.680
4 CredÉtcvs: amounts falling due wlthin one year
2025
2024
Trade Creditors
Accruals
Accounts
760
400
2.716
2.716
1.160
9 OPERATING LEASE COMMITMENTS
Expiring..
Between one and five years
Net
Movement
In Funds
Movement In Funds
At011124
At311025
General fund
21.543
15.341
36,884
TofAL FUNDS
21.543
15.341
36.884
Incoming
Resource5
Expended
Movement in
Funds

Redeemed Christian Churth of God
His Glory Arena
Notes to the Financial StatementSS
for the year ended 31 October 2025
Unrertrlcted funds
General fund
34.291
18.950
15.341
Total Fund
34.291
18.950
15.341

Redeemed Christian Church of God
His Glory Arena
Detailed Statement Of Financial Activities
For The Year Ended 31rt October. 2025
2025
Total
Fur
2024
Total
Fund
INCOMING RESOUKCE5
TithÈs & Offering
Bank Interest Received
Total Incomlng Resouros
34.228.(XJ
21.253.00
25.00
21.278.00
63.00
34.29100
RESOURCES EXPENDED
Charltable Actlvitle5
Donations & Gifts
Subscription
WEM & Central Funding
Printin8. Posta8e & Stationery
Church Expense5
Members. kvelfare and training
350.00
200 00
412.00
i.000.00
i.ooo.00
108.00
3.230.00
2.585.00
5.963.00
3.785.00
Governan(e Costs
Accountancy Fees
850.(K)
850.
850 00
850.LK)
Support Costs Management
Rent & Rates
Bank Charge5
Insurance
Telephone & Intemet
Repairs & Maintenance
Motor expenses
9.850.IK)
603 (X)
8.390.00
252.00
1.196.00
254.IX)
26.00
234.00
520.00
12.137.C
9.188.(X)
TufAL RESOURCES EXPENDED
18.950.00
13.823.00
INCOME
15.341.00
7,455.00