THE REDEEMED CHRISTIAN CHURCH OF GOD
THE MASTER'S SANCTUARY
Charity Registered Number:
1152456
Company number
13786420
TRUSTEES, REPORT AND FINANCIAL STATEMENTS
FOR THE YEAR EIYDED
31 DECEMBER 2023

THE REDEF.MED CHRISTIAN CHURCH OF GOD
THE MASTER'S SANCTUARY
TRUSTEES. REPORT AND FINANCIAL STATEMENTS
FOR THE YEAR ENDED
31 DECEMBER 2023
CONTENTS
Pa
Trnstee's Report
Independent Examiner's Report
Statement of Financial Activities
Balance sheet
9-10
Nores to the Accounts
11- 14

THE REDEF.MED CHRISTIAN CHURCH OF GOD
THE MASTER'S SANCTUARY
REFERENCE AND ADMINISTRATIVE DETAILS OF THE CHARITY,
Irs TRUSTEES AND ADVISERS FOR THE YEAR ENDED
31 DECEMBER 2023
General Overseer..
Pastor E A Adeboye
Trllstees
Pastor John Edobor Omaka
Mrs Afolasade Oluyemidale Bright
Mr Adebayo Adebiyi
Pastor in Cl)arge'.
Pastor Gbolahan Bright
Charity regisiered number..
Company number
1152456
13786420
Resourcelworshipl
Tuition Centre=
194 Rushgreen Road
Roiiiford
RM7 OJU
Banker..
Barclays Bank
It]dependent Examiner..
JOS Accountant5 Limited
Unit 3, 51-57 High Street South
East Ham, London
E6 6EJ
United Kingdom

THE REDEF.MED CHRISTIAN CHURCH OF GOD
THE MASTER'S SANCTUARY
TRUSTEES REPORT FOR THE YEAR ENDED
31 DECEMBER 2023
The Trust¢es of Th¢ R¢d¢em¢d Christian Church of God Th¢ Master's Sanctuary pr¢s¢nt their
report and Financial Statements fi)r the year ended 31 st D¢c¢mb¢r 2023 whi¢h have been
prepared in accordance ￿'1th the Statement of Reconimended Practice, 'Accounting and
Reporting by C'haritieq" i8su¢d in October 2000 and Re￿ISed SORP 2005.
Structure Governance and Mana
a. CONSTITUTION
The Church is ¢onstitut¢d under a Trusi deed and is a registered ¢harily with Charity
rcgistration nutllbcr 1152456.
ement
b. METHOD OF APPOINTMENT OR ELECTION OF TRUSTEES
New trustees are elect¢d based on tl)e Lontribution that they will make to the governance of
the organization and thc skills that th¢y will bring into the life of the charity. They arc
provided with copies of the Charity Commission's guidance to trustees and intr()duced to the
activities of thc charity by thc existing board.
c. POLICIES ADOPTED FOR THE INDUCTION AND TRAINING OF TRUSTEES
Existing trustees are provided with training as and when required.
d. ORGANISATIONAL STRUCTURE AND DECISION MAKTNG
The board of Trustees is headed by a Chairman, the Secretary to the trust and a Financial
Administrator. The 25 volunta
worker& The Trustees are responsible for making all
decisions regarding allocation of fund and activities.
e. RELATED PARTY RELATIONSHIPS
The Master's Sanctuary is a parish of The Redeemed Christian Church of God - a network
comprised of parishes all over the world. There is an agreement of common purposes entered
by The Master's Sanctuary with The Redeemed c.hristian Church of God which documents
this relationship.
Ob eetives and Activities
a. POLICIES AND OBJECTIVES
The Redeemed Christian Church of God The Master's Sancttiarv is a parish of The Redeemed
Christian Church ot God. Our aim is to excel in every aspect of our Mission, Th'hilst at the
sam¢ tim¢ ¢ontinually maintaining transpar¢n¢y and proper a¢¢ouniabilily
The Charity's obj¢cls a￿..
l The advancement of the Christian religion worldwide; and
? The relief of poN'erty.
Tow'ards the achievernent of these objects. the Charity operates a Christian worship
centre at 194 Rush-green Road Romford, RM7 OJU organizing various events to promote the
Christian faith and to reach out, in love, to the community at large.

THE REDEF.MED CHRISTIAN CHURCH OF GOD
THE MASTER'S SANCTUARY
TRUSTEES REPORT FOR THE YEAR ENDED
31 DECEMBER 2023- CONT'D
b. GRANT MAKING POLICIES
Grants are made to other charitable bodies. The church supports missionary organizations
such as the Festival of Life and the World Evangelical Mission, and other missions and
projecrs ￿'Ithin and outsid¢ th¢ UK.
c. VOLUNTEERS
The charity is tnost appreciative of the unflinching sUPPOrt of its volunteets who tirelessly
hclp in th¢ provision of s¢rviL¢. It is th¢r¢for¢ with gratitud¢ to God that we onc¢ again r¢port
a robust tncmbcr5hip ¥ivin¥ wliich has significantly impactcd oncc again on our rcportcd
figures for the year. We are pleased and thankful for their continuous commitinent and
support. Mcinbcrs, contribution accountcd for Inost of our gross income. Thc church
maintains her core objectives as well as the overall focus c)f the Redeeiiied Christian Church
of God Mission as a whole.
d. RISK MANA(iEMENT
The Trustccs hav¢ ass¢ss¢d th¢ iiiajor risks to which thc iliarit), is ¢XPOscd. thos¢ r¢lat¢d to
operations and financcs, and arc satisficd thosc systcms are in plac¢ to iiiitigatc cxposurcs to
the major risks.
Acbievemellts and erformance
The Trustees are pleased to report that the Church continued to be successful spiritually and
in the general well-being of its tnembers and worshippers. The Church coiitinues to improve
in membership strength and is increasingly reaching out to the community.
The church continues with regular evangelism, prayer, praise, and worship. Services are
conducted at our worship center. Evangelical literature is distributed on major media
platforms and physically. using door-to-door, and street evangelism.

THE REDEF.MED CHRISTIAN CHURCH OF GOD
THE MASTER'S SANCTUARY
TRUSTEES REPORT FOR THE YEAR ENDED
31 DECEMBER 2023 CONT'D
These are the highlights of 2023 events and activities:
We marked 'Jeans for Jesus Day,
* W¢ conduct¢d our aniiual women confercncc
* We organized bible school for the spiritual upliftment of our meinber.
* W¢ organizcd aivards cvcning at Cov¢ntry Unii'crsity, Londun.
* We regiilarly conducted our Friday Night Vigil
* W¢ had our r¢gular trusi¢¢ meetings to discuss th¢ spiritual and ¢x¢cutiv¢
running of th¢ chiirch.
* We had our cross ov¢r night servi¢¢ at Farn)hous¢ V¢nu¢, Rumford.
* Our after Sunday servi¢¢ lun¢h ¢ontinues as an a¢t of love for on¢ another.
Members and guests are fed physically and spiritually.
Added to th¢w ar¢ the in¢r¢as¢ in th¢ l¢v¢l of donations of our members.
As ststed in our previous report, the church set up a Fabric Task Group which
involves some community services. Son]e of their activities during the year is
clearingT the grounds of rubbish, clearingJ the drains to stop overflowingJ when it
rains, cleaning the inside ot- the church main buildin¥. ensuring that it is tit for
purpose.
We thank the Fabric Task Group for looking after the building. We also thank all our
'olunteers for the various work done during that year.
Finally. the offer of free Maths tuition continues to grow exponentially. In the current
year, TMS experienced another record hiLJh with more students attending7 tuition. Help,
support and mentorinbJ have enabled (ill students to succeed with stellar gTfcides.
l am plea%¢d io report that God has been our help and strength. With all the various
departments working collaborativelj, w¢ ¢onlinu¢ to grow and spread the gJosp¢l. Praise
be to Godl
Review of Transactions and Financial Position.
2023
2022
Gross Income
78,761
87,607
Net movement of funds
6,068
10,166
Net Generiite Funds
119,884
113,816

THE REDEF.MED CHRISTIAN CHURCH OF GOD
THE MASTER'S SANCTUARY
TRUSTEES REPORT FOR THE YEAR ENDED
31 DECEMBER 2023- CONT'D
Future Develo
ment Plans
The charity aims al building on its ¢urrenl achievemenr in eff¢cliv¢ly spreading th¢ ethos,
love and hope that Christian faith offers. It also aims at building upon its current efforts of
community involvement, in its bid to make our community and the larger world a better place
for all.
The charity is planning to buy the building being used as worship centre and start work to
bring the vision to fulfilment.
STATEMENT OF TRUSTEES, RESPONSIBILITIES
Th¢ Trustecs arc rcsponsiblc for prcparing the Annual Rcport and the financial stafrtncnts in
accordance with applicable law and regulations. Charity law requires the Trustees to prepare
financial statemcnts for each financial year. Undcr that laiv thc Trust¢cs have ¢lcct¢d to
prepare the financial statements in accordance with United Kingdom Generally Accepted
A¢¢ounting Practice (United Kingdoiii A¢counling Standards and appli¢able law). Th¢
financial statements are reqiiired by law lo give a true and fair view of the slale ofaffairs of
Ihe Church and of the qurplii8 or deficit of th¢ Church for tliat period. In preparing these
financial stat¢mcnts, thc Tru5t¢cs arc rcquira to..
5clcct suitablc accounting policies and then apply them consistently;
Inake judginents and ¢stimates that are r¢asonable and prud¢nt'
prepare the financial statemeiits on the going ¢oncern basis unless it is inappropriate lo
presuine that the Church w'ill continue in operation.
The Trustees are responsible for keeping proper accounting records that disclose with
r¢asoiiabl¢ accuracy at any tim¢ thc financial posltion of th¢ Church aiid cnable thcm to
cnsurc that thc financial ststctncnts coiiiplv ivith the Charities Act 1993. Thev arc also
r¢spoiisibl¢ for safeguarding th¢ ass¢ts of th¢ Cl)urLh and hcncc for taking rcasonablc st¢ps
for the prevention and detection of fraud and other irregularities.
Independent Examiner
The Trustees appointed JOS Accountants Limited, a fimi of Accounting & Management
Consultants: as the Charity's independent examiner. A resolution for re-appointment as
ind¢p¢nd¢nt examiner will b¢ proposed during th¢ Trust¢¢s meeting for the year.
This report w&$ approvcd by th¢ trustccs and signcd on its bchalf by..
25, June 2024
-}sign¢d/dale
Pastor John Edobor Omaka

JOS ACCOUNTANTS
INDEPENDENT EXAMINERS REPORT
We have examined the financial statements, which comprise the financial activities, the
balance sh¢¢t, th¢ related notes and the a¢counting policies of Th¢ R¢d¢¢m¢d Christian
Church of God Th¢ Master's Sanctuary for th¢ year ended 31 st De¢¢inb¢r 9023.
Respective rtsponsibilities of trustees and independent examiner
As described earlier, the trustees are responsible for the preparation of tlie financial
strdtem¢iirs. It is m! responsibility to ¢ary oiil an ¢xamination of thos¢ fiiian¢ial slat¢ments
and to issue a report bascd on that examination.
Scope of examination
We coiiductcd my ¢xa]nination in accordance with directions ¥iven by thc Charity
Comini5sioner5 under section 43(7)(bl of the Charities Act 1993. An exa]nination is limited to
Cnquirics of the Lharitv's p¢rsonn¢l and analytiLal and rcviC￿. proL¢durcs appli¢d to financial
data and this provides less assurance than ali aiidil. We have iiol perfomi¢d an audit, and
accordingly. we do not express an audit opinion.
Independent examiller's statement
Iii coniicction ivith our cxatnination, no matter has cotllc to our attention..
l. Which gives me reasonable cause to believe that in any material respect the requirements..
To kc¢p accounting records iii accordance ￿'1th s¢ition 41 of the Act; and
To prepare accounts which accord with the accounting records and tc) comply with the
acLOUlltin¥ r¢quir¢m¢nts of thc ALt havc not bc¢n m¢t- or
2. To which in our opinion, attention sliould be drawn in order lo enable a proper
understandiiig ot the accouiits to be reached.
2510612024
- {sign¢d and datcd)
JOS Ac¢ounlanls Limited
Unit 3, 51-57 High Sir¢et South
East Ham, London
E6 6EJ
Unit¢d Kingdom

THE REDEENfED CHRISTIAN CHURCH OF CTOD
THE MASTER'S SANCTUARY
STATEMENT OF FINANCIAL ACTIVITIES
FOR THE YEAR ENDED
31 DECEMBER 2023
Curreni l'ear
Currtnr }'ear
Resiricied
Current 5.ear
Toial
Prior jear
Ttsial
Unrestricted
Fullds
Funds
Funds
Funds
2023
2023
2023
2022
INCOME & ENDOWMENT
NOTES
Donations and legacitS
78,761
78,761
87,607
F.XPF.NDITURF. ON..
Total cliaritable aCti￿ltIeS
70,¥33
70,833
76,161
Govtrnanc¢ costs
1.860
1.860
1.280
72,693
72ffj93
77A41
ExttsslldtfitLtI Intome
6,068
6,068
10,166
Fiinds brought forward
113,816
103,700
119884
113866
The lloles thereon fonn an illtegral part ot'thc accounts

THE REDEENfED CHRISTIAN CHURCH OF CTOD
THE MASTER'S SANCTUARY
BALANCE SHEET AS AT
31 DECEMBER 2023
Current vear
Ciirreni ytar
Restricted
Currtni Jear
Total
Prior year
Toral
Unresiricied
Funds
Funds
Funds
Funds
2023
2023
2023
2022
Assets:
Fixtd Assets
11,494
11,494
Rent dep051t
4.375
69
Current assets
CJift aid r¢c¢iv¢ihl¢
13.679
13,679
17.743
Piep(tid rertt
4,375
4,37S
4,375
Bank balancc
116.074
131175
138,192
Creditors.. Ainount falling due
.-ithill one year
924
Net working capital
129428
129.428
137.268
145296
145.296
143.356
Financtd t)v'.
Cieneral funds
119,884
119,884
113,816
Crediturs- Lun¥ tertn
io
25.413
25,413
29,$40
145396
145,296
143,3_q6
The noies Ihereon fottn an iniegrdl part of the accounis

THE REDEEMED CHRISTIAN CHURCH OF GOD
THE MASTER'S SANCTUARY
BALANCE SHEET AS AT
31 DECEMBER 2023 CON'D
The charitable company is entitled to exemption from audit under Section 477 of the Companies Act
2006 foi the year ended 31 December 2023. The Tnetnber5 have not required the charitable coinpaiiy to
obtain an audit of its financial statetneiits for the )'ear elided 31 Deceniber 2023 in accordance with
Section 476 of the Companie5 Act 2006.
The tru5tee5 acknowledge their responsibilities for
la) ensurinu that the charitable compaiiy keeps accouiitin¥ records that comply with Sections 386 and
387 of the Compai)ies Aci 2006 and
Ibl preparing financial statements which give a true and fair view of the state ol'affairs of the charitsble
company as at the ei)d of each financial }'ear and of its surplus or deficit lor each financial year in
accordai)ce with the requiren)ents of Seciions 394 and 395 and which otherwise comply with the
requirements ol. the Companies Act 2006 relaiii)g to financial stateinents. so far as applicable to the
charitable company. These financial statements have been prepared in accordance with the special
provisions of Part 15 of the Companies Act 2006 relating 10 small charitable companies and wilh the
Financial Reporting Standard for Smaller Entities (effective April 20081.
The financial siatemenis were approved by the Board of Trustees and were signed on its behalf by..
2510612024
-} Signed & dated
Pastor John Edobor Omaka (TrusteelDirector)
2510612024
-} Signed & daied
Mrs Afolasade Oluyemidale Bright (TrusteelDirectorl
io

THE REDEEMED CHRISTIAN CHURCH OF GOD
THE MASTER'S SANCTUARY
NOTES TO THE ACCOUNTS FOR THE YEAR ENDED
31 DECEMBER ?023
l Aeeounting Policies:
The financial statements have been prepared in accordance with applicable Accounting Sthi)dards in
the United Kingdom with ihe application of FRSSE and the Staiement of Recomniended Praciice,
'Accouniing and Reporting by Chariiies" {"SORP 2000 and SORP 2005,1 issued bj the Chariiy
Commission. A summary of the principal accounting policies. which have been applied consistenily, is
sei out below.
al Basis of Preparation of Financial Statenients
The fiiiancial statements ale prepared under the historic cost convention and include the results of the
Charity's tsperatioiis, whicl) ale described in the Trnstees Reptsrt. all of wl)i¢h are continuing.
bl Coniparative Figures
Coniparative figure5 are sho￿1 on the stateinent of Accounts of the charity.
c) Incoming Resources
All income is credited to the Statement of Financial Activities on the earlier date of when they are
received or when they are receivable.
dl Restricted funds
The restricted funds are to be used for specific purposes as specified within the objects of the Charity.
Expenditure: which meeis these criteria, Ivill be identified to the fund, together with a fair allocation of
management and support costs.
el Unresiricted Funds
Unrestricted funds are donations and Lither incomes received or generated for the Libjects of the Charity
wiihoui further specified purpose and are available for general funds.
fj Resource5 Expended
Direci Charitable Expendiiure includes all expenditure incurred by the Charity in direct pursuit of its
charithble objeciiwes.
Governance expenditure includes all costs not directly rela￿d to the Charitable activities and cannot
allocaied to direct charitable expenditure.
gl Donated Services and Gifts in Kind
The value of donated services and gifts in kind provided to the charity is recogi)ised in the statement of
finaiicial activities and in the Balance Sheet at their Value to the Chaiity, as detennined by the Trusttes,
in the period li) which they are receivable, and where the benefit is both quantifiable and material.
fj Tangible fixed assets
Depreciation is provided on a straighi line basis at the following annual rates in order to write off each
asset over ils estimaied useful life.
Musical equipment-25 /0
Office equipment-25 /0
gl Taxation
The charity is exempt from corporation tax on its charitable activities.

THE REDEEMED CHRISTIAN CHIIRCH OF CIOD
THE MASTER'S SANC.TUARY
NOTES TO THE ACCOUNTS ENDED
31 DECEMBER 2023 CONT'D
Deiailtd anali'sis of income and exptndiiure for the year tnded 31 December 2023
as rtquired b}, the SORP 2015
Current vear
Current sear
Rtsiricied
Cllttent year
Toral
Prior Near
Unrestricted
Total
Funds
Funds
Funds
Funds
NOTES
2023
2023
2023
2022
Donaiions. granis and Itgacits
Titht & otlering
60,573
60,573
60,053
Gitt Aid
9,842
9,842
10,926
Building Offering
3,005
3,IX)5
5,000
Grants
3,914
OihLr income
1,063
1,063
Oiher donaiiort
4,279
4,279
7,714
78.761
78.761
87,607
Charitable aetivities- Direet
endin
Outreach & Publicity.
1,695
1,695
952
Conferences & Serniiiar
4,276
Maih5 tuition
26,U87
26,V87
17,000
Welfares
2,064
2,￿4
3,9¥7
'l-rnining
90
90
F.nt¢rtainin¢nt & I lospitality.
5,246
5,246
10,916
Vi%iling niini4ler%
1.791
442
36,973
36,973
37.573
12

THE REDEEMED CHRISTIAN CHIIRCH OF CIOD
THE MASTER'S SANC.TUARY
NOTES TO THE ACCOUNTS ENDED
31 DECEMBER 2023 CONT'D
Current vear
Current sear
Rtsiricied
Curreni wtar
Prior Near
Unrestricted
Total
Total
NOTES
Funds
Funds
Funds
Funds
Charirable aciiTriiies- Grant
2023
2023
2023
2022
fundin
RCCG-Central Office WEM & cor
400
400
6.460
400
400
Support costs for charitable aclivities
Pr¢mis¢s & admiiiisira¢iv¢ cost5
Relit and ral¢
21.667
21.667
19.006
Hire i)f Container
4,212
Admini.8trativ¢ expens¢5
2,139
1,246
1,246
1,300
Insurance
612
TclLphonc
743
Oftict Supplies
504
Subscription
512
512
Deprtcialion
720
7?0
704
Salarj and ￿ageS
7,925
7.925
ProtC55ional fees
1.391
2.908
33.461
Total ¢haritabl¢ ¢xpenditure
l)ir¢ct 5p¢nding
36,973
36.973
37,573
Granttnaking aLlivilie5
400
400
6,460
Supp()rt L()%ts'
33,461
33,461
32,128
70,833
70,833
76,161
Other expendilur¢- gO￿tr￿an¢t costs
Inierest on loan
585
585
680
Independent txamination
1.275
-275
600
1.86U
13

THE REDEEMED CHRISTIAN CHURCH OF GOD
THE MA8TER'S SANCTIJAR Y
NOTE8 To THE ACCOIJNTS ENDED
31 DECEMBER 2023 c'r)NT'D
Office
Fixed
C(Jn%truetii)
COSLS l January 2023
3.597
i.274
Addition duriiig the year
10,200
10.500
3.898
10.2(M)
DepreGialion
A5 al l Januatv 2023
Charg¢d lor Ihc ycar
720
1.945
4.281
Net BLM)k V￿ue
Jl$i Dtttmber 21111
3l5t DttetThber 2D22
277
279
Cutrenl Trear
Current veat
Ciirrenl )'eJr
Unrestricted
Restricted
Total
Funds
Funds
Funds
Fund5
Creditors-. Amount falling due
withiii one vear
2023
2023
2023
2022
Sundriry cieditors
124
Professional charges
1,747.05
800
924
Crcditvrs." Atnvunt falling duL
yLar
RBI. l.loids bank loan
25,413
29.540
25.413
29.54
14