Charity Registration No. 1151877
Company Incorporation No. 08470482
REDEEMED CHRISTIAN CHURCH OF GOD
TEMPLE OF FAITH
Report & Financial Statements
For the Year Ended 31 March 2025

REDEEMED CHRISTIAN CHURCH OF GOD TEMPLE OF FAITH
REPORT AND FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025
CONTENTS
PAGE
REPORT OF THE BOARD & STATEMENT OF BOARD'S RESPONSIBLITIES
INDEPENDENT EXAMINER'S REPORT
STATEMENT OF FINANCIAL ACTIVITIES
BALANCE SHEET
NOTES TO THE FINANCIAL STATEMENT
8-12

REDEEMED CHRISTIAN CHURCH OF GOD TEMPLE OF FAITH
REFERENCE AND ADMINISTRATIVE INFORMATION
General Overseer
Pastor E A Adeboye
Trustees
The trustees who served during the period were as follow..
Mrs Wosilat M. Alade
Mr Idowu S. Daniels
Mr Segun Isaiah Palmer
Mrs Folake O Odugbile
Senior Pastor
Oladayo Odugbile
Registered Address
301 Long Riding
Basildon
Essex
SS14 IQR
Accountants
Da-silva and Associates Ltd
14 Farm Close
Dagenham
Essex RMI 0 9TX
Worship Address
RCCG Temple of Faith
301 Long Riding
Baildon
Essex
SS14 IQR
Bankers
Lloyds Bank PIC
Commercial Banking
P. O. Box 1000
Andover
BXI ILT
statutory Registration
Charity Commission Registration
Charily Number- l 151877
Company Registration
Number: 08470482

REDEEMED CHRISTIAN CHURCH OF GOD
TEMPLE OF FAITH
YEAR ENDED 31 MARCH 2025
Report of the Trustees
The Irustees present the annual report and financial statement of The Redeemed Christian Church
of God l RCCG l Temple of Failh for the year ended 31 March 2025
Prlnclpol Actlvltles
The principal activities of this Charity is the advancement of the Christian faith woddwide and
the relief of poverty.
Orgonisation structure. governance and managemenl
This organisotion is an incorporated charity in England and Wales since the 2nd Moy 2013
The overall conlrol of Ihe orgonisalion is Ihe responsibility of Ihe board of trustees who are also the
directors for compony purposes. These responsibilties hove been delegated and vested in Ihe
Senior Pastor and Chief Executive Offficer.
The Senior Pastor: who is the set man of the organisotion cany out the day to day management of
the Charity. He is assisted by the Charity's adminstrotor ond o teom of voluntory workers to whom
responsibilities are delegoled. The Senior Postor liase regulorly with the charily's board.
Financial review
The Charity's financial statement for the year ended 31 March 2025 shows o net surplus of £39.543
12024 £34.6921. Total unrestricted fund as at 31 March 2025 is £190.661 12024.. £151,118). ReseNes
are required in the event of possible emergencies. unexpected evenls and to ensure contigency
plans are adequately funded.
Related party relallonshlp
RCCG Temple of Faith 15 a member of the Redeemed Chrislian Church of God woddwide. This
relationship is govemed by an 'agreement of common purposes. between our parish and RCCG UK.
Risk management
In order to sofeguord the welfare of children ond young people the church operates a child
prolection policy. All Church coordinators and children and youth workers are carefully screened
and have an enhonced disclosure barring service IDBSI check. They are trained in safe work praclice
and work under approved guidelines.
The Irustees have assessed the major risks lo which Ihe charity is exposed to, in particular those relaling to the
ODeralions and finances of Ihe charifv and are satisfied thal svslems are in Dlace
to miligate exposure to any major risks.
Grant making policies
The Church assist poor members in the community focing hordship caused by sudden emergency i.e
loss ofjob elc. In accordance to the organisolion's gront moking policy.

REDEEMED CHRISTIAN CHURCH OF GOD
TEMPLE OF FAITH
YEAR ENDED 31 MARCH 2025
R•port ol th• Trusl••s (Conllnv•d)
Volunteers
The Chvrch is grateful to our wondwful volvnleers. who put in considerable numbers of ho
each w*k in sUpp￿tring the actiwlies ond the opwotions of the charfty.
Pubk 8en•fil
lil e54cblish'_,g fs prograrnmes and acltvitie5 01 RCCG Templo of FaHh. the Irustees considw Its
be￿rit lo the general public within Ihe community and in line with it's charity obiects of
advancing ctrKi5tion faith in Untted Kingdom ond the relief of povwty In the tives of Ihe pubfjc.
The trustees enswe Ihal the Chority Commission's guidefines on publc benefil are folowed in au
thesr operations. pkJnnirKJ ond decwn moking.
Trust••s' r•sponslblllll•s
Low applicable to Charl￿ in EngkJrKI ond Wales requres Ihe Iruslee5 to prepare fir￿n¢la1 statements t
each financial yeor which gives a true ond fair view of the state of affaY5 of the chority of tp
charily and of the surpkns (x deficsl of the charity for that period. In ryeparinq those financial statemenls
the Irvstees have:
. Sekc•ed suilable occtsuntiro pofjcies and appled tt)em consislenltr.
. Mode judgernents and eslimale5 Ihot are reasonable and wudentr.
' stated W￿ther app￿cOble accounting standards have been folk>wed. subject to any material
deDartures disck)sed and exokjined in the financ.ial slalpments: and
' Prepared the financial statements on a going concem basis (unless it ts inapF*opriate to wesume that
the Trust will continup in ODerationJ
' The trustees have overall responsikyfity fly ersuring that the charity has an apryopTrJte system of
controls. financial and otherwise. They are otso responsible fcK keeping prop¥ accounting reccKds
whichdiscbse with reasonable accwocy at any time the financial pxition of the charity
and enable them to ensvre that the financial slalements comply with the Charilies Acl 1993.
They are obo responsible fcx sofeguarding the assets of the charity and hence for toking
reasonable steps f￿ the delection and wevention of fraud and olhw ￿egularil1es.
This report was approved by the txxjrd of Irusiees on the ..
2￿5
Mrs Foloke O OdLvJbile
For. The Board of Ttvstee5

Independent Examiner's Report to the Trustees of
REDEEMED CHRISTIAN CHURCH OF GOD TEMPLE OF FAITH
We report on the accounts of the Redeemed Christian Church of God {"RCCG")_
Temple of Faith for the year ended 31 March 2025. which are set out on pages 5 to 12.
Respective responsibilities of trustees and examiner
The trustees (who are also the directors of the company for the purposes of company law} are
responsible for the preparation of the accounts. The trustees consider that an audit is not required
for this year under section 144(2) of the Charities Act 2011 (the 2011 Act) and that an independent
examination is needed.
Having satisfied myself that the charity is not subject to audit under company law and is eligilbe for
independent examination, It is my responsibility to..
examine the account under (section 145 of the 2011 Act-
to following the procedures laid down in the general Directions given by the Charity
Commission under section 145(5)(b) of the 2011 Act.. and
to state whether particular matters have come to my attention
Basis of independent examinerfs report
My examination was carried out in accordance wth the General Directions given by the Charity
Commission. An examination includes a review of the accounting records kept by the Charity
and a comparison of the accounts presented with those records. It also includes consideration of
any unusual items or disclosures in the accounts, and seeking explanations from the trustees
conceming any such matters. The procedures undertaken do not provide all the evidence that
would be required in an audit and consequendy no opinion is given as to whether the accounts
present a true and fair view and thereport is limited to those matters set out in the statement below.
Independent examiners statement
In connection with my examination, no matter has come to my attention..
(1) which gives me reasonable cause to believe that. in any material respect the requirements..
to keep accounting records in accordance with section 386 of the Companies Act 2006,.
and to prepare accounts which accord wth the accounting records, comply with the
accounting requirements of the section 386 of the Companies Act 2006 and with the
methods and principles of the Statement of Recommemded Practice.. Accounting and
Repoting by Charities
(2) to which, in my opinion, attention should be drawn in order to enable a proper understanding
of the accounts to be reached.
,2v
Mrs Eileen Da-silva FCCA
Da-silva and Associates Ltd
14 Farm Close
Dagenham
Essex RMIO 9TX
22nd December
. 2025

REDEEMED CHRISTIAN CHURCH OF GOD TEMPLE OF FAITH
STATEMENT OF FINANCIAL ACTIVITIES
FOR YEAR ENDED 31 MARCH 2025
2025
2024
Notes
Unrestricted
Fund
Unrestricted
Fund
INCOME
Donations
210,039
204,693
210,039
204,693
EXPENDITURE
Charitable expenditure:
Grants and donation
Costs of activities for charitable objective
Support costs
Management and administration
9,987
111,284
23.320
25,905
13,790
86,805
38,114
31,292
Total Expenditure
170,496
170,001
Net Incoming Resources
39,543
34,692
Total Funds brought foNard
151,118
116,426
190.661
151 118

REDEEMED CHRISTIAN CHURCH OF GOD TEMPLE OF FAITH
BALANCE SHEET
AS AT 31 MARCH 2025
2025
2024
Noles
Flxed assets
Tangible fixed assets
3,442
3,122
Current assets
Debtor
Cash at bank
48.797
140.056
46,416
103,154
188.853
149,570
Creditors: amount falling due within one year
1,634
1,574
Net current assets
187.219
147,996
Total assets less current liabilities
190.661
151 118
Income Funds
Unrestricted Funds- General Funds
10
190,661
151,118

REDEEMED CHRISTIAN CHURCH OF GOD
TEMPLE OF FAITH
BALANCE SHEET (CONTD)
AS AT 31 MARCH 2025
In yeparing thls financial statement:
l . The directors are of the opinion thot the company Is entitled to exemptlon
from audit under section 477121 of the Companles Act 2(X)6 relatlng lo small companies.
2. No notice has been deposited Und￿ sectlon 476 of the Companies Act 2￿6 and
3. The directors acknowledge their responsibilities fcr.
. Ensuring thal the compan¥ keep accounting records whlch compty vdth
section 386 of the Componies Act XK)6 and
- Preparing accounts which give true and fair view of the state of affairs of ttr
comF)any as at the end of the firK]ncial year and of it's surplus and deficit in
occordance with the requirements of section 396, and which otherwÈse comply
wlth the requirement5 of this Act relating to accounts. so far a5 applicable to the company.
This financial statement have been prepared in acccydance with the provisions ap￿ICable to
companies subject to the srrK)11 companies regi me.
Approved on behall ol Ihe board ol trustees on the z/ - b£
2025
Mr Segun Isalah Palmer
Trustee
Folake O
Truslee
dugblle

REDEEMED CHRISTIAN CHURCH OF GOD TEMPLE OF FAITH
NOTES TO THE FINANCIAL STATEMENTS
YEAR ENDED 31 MARCH 2025
Accounting policy
The principol occounting policies, oll of which hove been opplied conslstently throughout
Ihe year, are set out below=
(o) Scope and basis of the financial statements
The financial statements have been prepared in occordance with Slalement of
Recommended Proclice opplicoble lo chorities pieparing their occounls in occordonce wilh
the Finonciol Reporting Stondord opplicable in the in the UK ond Republic of Irelond IFRS 1021
leffeclive l January 20191. Charilies SORP IFRS 1021, Ihe Financial Reporitng Slandard
applicable in the UK and Republic of Ireland IFRS 1021.
(b) Preparatlon of accounts on a going concern basis
The trustees consider there are no maleriol uncertainties about he Charity's abilily to
continue as o going concern. The review of our finonciol position. reserves levels ond future plans
gives Trustees confidence the chority Temains o going concem for the foieseeable future.
(c) Fund accovntlng
General funds are unreslricted funds which ore ovoilable for use ot the discretion of the
Tluslees in furtheronce of the geneToI objeclives of the parish ond which have not been
designated for olher purposes.
(d) Incoming resources
All income is accounted lorwhen the Charity h05 enlillement to the funds. the amount
con be quontified and there is certainty of receipl.
(e) Resources expended
All expenditure 15 occounted for on QCCTUOI bo515 and h05 been included under expense
categories Ihat aggregate all cosls for allocalion lo activities. Where costs connot be
directly otlribuled lo particular activities they have beenallocated on a basis consistent
with Ihe use of the resources. Grant poyoble ore charged in the year when the offer is
mode except in Ih05e co5e5 where the offer 15 conditionol, such grants being recognised
as expenditure when the conditions attached ore fulfilled. Gronls offered subject to
conditions which have not been met at the yeor end are noted as a commitment. but not
accrued os expendilure
(f) Cash flow
The financial statements do not include a cash flow stotemenl because the church. as a small
reporting entity. is exempl from Ihe requiremenl to prepore such o stotement vnder the
finonciol Reporting Stondord for Smoller Entities (effective June 2(K>21-
(g) Tanglble ftxed assets and depreclaNon
All assets costing more than £500 are capilalised.
Tangible fixed assets are slaled al cost and deprecialed on a straight line basis over their
Useful economic lives as follows-
Equipment
Furnilure & FitFings
25%
25%

REDEEMED CHRISTIAN CHURCH OF GOD TEMPLE OF FAITH
NOTES TO THE FINANCIAL STATEMENTS (Continued)
YEAR ENDED 31 MARCH 2025
2025
Unrestricted
Fund
2024
Unrestricted
Fund
2. Income from Activities in furtherance of
Charitable Objects
Tithes & Offering
other Donations
Gift Aid
156,741
21,533
31,765
210.039
155,754
17,979
30,960
204,693
3 Grants and Donations
RCCG - World Evangelical Mission
other Grants & Donations
9,237
750
9,987
9,890
3,900
13,790
4. Cost of Activities for Charitable Objective
Rent and Rates
Welfare
Worship Ministry
Outreach and Events
79,724
7,763
13,813
9,983
111.284
64,429
3,440
15,080
3,857
86.805
5. Support Cost
utilities
Books & CDS
Stationery & Printing
Refreshments & Subsistences
Communication & Internet
Transportation
Bank Charges and deductions
Repairs & Renewal
Depreciation
Sundry expenses
Insurance
7,033
1,877
628
1,844
724
362
6,025
710
5.076
3,500
318
310
332
16,714
943
3,701
485
38,114
4,462
1,946
3,987
458
23,320

REDEEMED CHRISTIAN CHURCH OF GOD TEMPLE OF FAITH
NOTES TO THE FINANCIAL STATEMENTS (Continued)
YEAR ENDED 31 MARCH 2025
2025
2024
6. Management and Administration
Accountancy fees
staff costs
Legal and Professional fees
Training and Consultancy
1,600
17,223
4.251
2,831
25,905
1,540
19,966
6,435
3.350
31.292
Fixed
Assets
Cost
At 01 /04124
Additions
At 31 /03/25
Accumulated Depreciation
At 01 /04/24
Depreciation for the year
At 31103/25
Net Book value
At 31 /03/25
10,614
2,265
12.879
7,492
1,946
9,438
3.442
At 31103/24
3.122
2025
2024
8. Debtors
Accrued Income
Rent -prepaid
other Debtors
31,000
17,500
297
30,166
16,250
48,797
46,416
10

REDEEMED CHRISTIAN CHURCH OF GOD TEMPLE OF FAITH
NOTES TO THE FINANCIAL STATEMENTS {Continued)
YEAR ENDED 31 MARCH 2025
2025
2024
9. Creditors
Accruals
1.634
1,574
10. Movement in funds
Opening
Balance
110412024
Closing
Balance
3110312025
Incomlng
Resources
Outgolng
Resources
Current year
Unreslricted funds
151 118
210,039
1170,4961
190,661
Total funds
151.118
210,039
170,496
190,661
Opening
Balance
110412023
Closing
Balance
3110312024
Incoming
Resources
Outgoing
Resources
Previous year
Unrestricted funds
116.426
204,693
1170,0011
151 118
Total funds
116,426
204.693
(170,001)
151,118
I l. Taxation
RCCG Temple of Faith is o registered charity and is eligible for
Ihe exemplions from loxalion available to charilies on Iheir chariloble
aclivities. No charge lo laxation Iherefore arises.
12. Trustee Remuneration and Relaled Party information
No trustee received any remuneration or reimbursement of expenses in connection
wilh work carried out in performance of Iheir duties.
2025
2024
Payment received by a relaled party.
Pastor Foladayo Odugbile
17,223
19,966