No Acz AccouKrANTS
Mr Felix Adesola
138 Betterron Road
Rainham
London
RM13 8NII
The Red&med Christlan Church OF God Covenart
15 July 2026
Dear Mr Felix Adesola,
Accounts for Perfod ended 30104/2026
Please find attathed final accounts for The Redeemecl Christian Churth OF God, Covenant Santtuary
for the perfod erthd 3010412026 [Including filleted/abbreviated accounts tf appropdatej.
Please revlew the attached carefijlly and ff you are happy that the accounts can be approved please
prlnt out a set of each of the attached dcruments. obtain appropriate slgnatures at the foot of each
Balance Sheet [and Director5 Report, rf rdevant] and return the signed dctuments to thls office.
Please do not hesitate to contatt us rf you have any queries.
Your5 SInce￿ly,
LUKMON CWNBADEIO
Tv4tr Ace Aetoontaots-A of Tw• A¢e Umitsd
11 An¢liA W4y. South Oekendon. RMI5 5FN. Unlted Kin8do
rhvne: 01708921404, 1179B4861868
Company R¢zrytr*tlon 841n99

The Redeemed Chrlsuan Clwrth OF God Co¥enantSan¢tuary
Charfty No. 1152924
tompn¥ 08W219
Tnts'$ Rep)rt and Unaudlted Acttythts
30Aprfl 2026

The ftedeem￿ Chrlsuan Clwrth OF Go(i Cfftnant Sanctuary
Conteots
Independent Examinerfs Re
Pages
Page I

The RedeemÈd chth.an Chutth OF God. Covenart SanctsHry
Trustee5 Annual Report
Th? trustee, who i6 also a dirErtor oFthe tharrtyforthe PUYW5e5 ofthe Companies Att 2Q)6.
presents thelr repon with the unaudtsed finanoal statements of the charity for the year ended 30
ApTII 2026.
REFERENCEAND ADMINISTR4TIVE DEfAIiS
Company No. 08480219
Chaffty 1152924
Prlnclpal Offl
Forest Lane Lodge
Forest Lane Park
Magple Close
Forest Gate London
E790E
R•81stered Office
138 Bétterton Road
Rainham
London
RM13 8NH
Dlrertor and TriBtee
The Dirertor ot the charitsble companyare ttsTnwee ftr the purposes of charity law.
The following Oirertorand fru5tee sefftd durfn8 the wear.
FELIX ADESOLA
Trustse forthe tharity in holdlfflgtitle to (harlty prnperty
Pastor Fellx Ade501a
ster Tokunbo Tejumola
Pastor Olukoya SaFami
Key Management Personnel
Chalr
Secretary
Deacon Popoola Agbelule
p&tor Feltl Ade¥Jla
Dea¢on Popoola 4gbejule
TWO ACE ACCOUNTAMrs
11 ANGUA WAY
sourH OCKENDON
RM15 5FN
Bankers
Barclay5 Bank PLC
I Churrhiii Nace
London
E14 5HP
Page 2

The Redeemed Christian Church OF God, Covenant Sanrtuary
Trustees Annual Report
OBJECTIVES AND ACTIVITIES
The prlncipal object is the advanoment of Christian Faith In accordance wtth the ststement of bellets of The
Redeemed Chrlstia'n Church of God. and the relief of p0￿erty.
Running Sunflay vlofship 5ervlces and midweek bible study, supportin8 Other charitles and Christian events.
The Church's Sunday and mid-week servi￿5 are open to the general publlc to build on their Christian faith.
Apart from It's Church activities, the chartty wa5 involved in the following public benefil efforts.. Had retreats
for dilferent natural groups,'Children, Teenagers. Youth and Couples to promote 8ood famity values and
responsible people. Our efftirts are gea￿d towards SUPPOrtin8 the pro8rammes of our local communlty.,
promoting cohesion In our community. and impacting the Ilves of the young people and the elderlv.
ACHIEVEMENTS AND PERFORMANCE
Holding ourreaches In areas of Interest to our community. such as the care homès. In the year we shared the
Joy of Christmas and celebrated the Mothers, day wlth resldents of care home in our community. We gave
gifts, song Christmas carol and spent quality time with the fesiden
FINANCIAL REVIEW
The Church continues to enjoy tremendous growth in its flnanclal. physlcal and splritual Ilfe durln8 the year,
and in the advancement of Christlan faith in accordance wlth the doctrlne5 Set out in the statement of fjalth
contained In our constitution.
The trustees, pollcy is to have un￿$t￿cted and uncommltted funds to cover 3 to 6 months ot resources
expended.
The Trustee is responsible for keeplng proper acGountin8 records that di5¢1ose wlth reasonable accuracy at
any time the flnanclal posltlon of the charity and to enable them to ensure that the flnancial statements
comply wlth the Companies Act 2CQ6. The Trustee is also respon51ble for safe8uardin8 the assets of the
charity and hence tèking reasonable steps for the prevention and detettion of fraud and other Irregularlties.
The above ￿pOrt has been prepared in accordance wtth the provlslons applicable to companles subject to
the small companies regime as set out in Part 15 of the Companies Act 2CQ6 and In accordance with the
Charities SORP IFRS 1021.
gn
eh
ard
FELIX ADESOLA
Trustee
30 April 2026

The Redeemed Chrlstlan Churth OFGod. Co¥enant 5anrknMry
Independent Examlners Report
Independent Examiner's Report to the tntstee ofThe Rede￿￿￿ Christlan Churth OF God, cO￿ant
san¢￿ary
I report.to the cPtaritytnJstee on my exa"rnination of the financlal statements of The Redeemed Christian
urch OF God. Covenant Sanctuary forthe year ended 30 April 2026 whith compdse the Statement of
Flnanual Attivitie5, the.Summary Income and Expendfture AccounL the Balan￿ Sheet and the related note5.
Re5ponsibilftles and basls of repLYt
As the trustee land also a dirÈrtorforthe purpose5 of company (awl you are rÈspohsible forthe preparation
of the financial ststements in accordance wlth the requirements of the Com"panies Art 2006 (the 2LKt6 A¢t.
Having satlsfted myseff thatthe finandal rtatements ofthe thar￿ are not required to be audited under Part
16 of the 2￿)6 Act and are eligible for independent examination, I report In respect of my examination of
vour chartty'5 ftnanclal 5tatemehts as carrled out tbnder section 145 of the Charities Art 20111'the 2011 Act'l.
In carying OLrt my examInati￿ I have followed the Dir¢ctions given ￿ the Chartty Commlssion under sectjan
14515llb} of the 2011 ACL
Ind•pendent examh*r's statèment
I have completed my ¢xBminatloFk l L>n confirm that rio materfal matters have ¢ome to my atten￿0￿ In
onnÈction wtth the examinatlon giving me cause to belleve that.
' accoUn￿ng records We￿ not kept in accordance with section 386 of the 2CQ6 Att.. OT
thè financial statements do not accord those record5: or
the financlal Statements do notcomply with the accoLmtin8 requirements under.settlon 396 of the 2CU6
Att otherthan any requirement thatthe financiaf 5tatsments glve a *rue 4nd fairf view which is not a
matter considered as part of an independent examinatlon,. or
the financial statements have not been p￿pared in acc¢3rdance wFth thè tharlties SORP IFRS 102).
I have no concems and have come across no other matters in ¢onnettfjon with the exomin3tlon to which
atténtion should te drawn this report in orderto enable a proper understandiry of the flnanclal
Statoments to be ￿aChed.
TWO ACE ACCOUNTANTS
11 ANGLIA WAY
SOl￿H OCKENDON
RM15 5FN
30 Aprll 2026
Page 4

The ftedeeM￿ chrf$￿an Churth OF God Covonant Sanctuary
Ststement of Flnandal Athitles
for the year ended 30 Aprfl 2026
funds
2026
funds Totsi funds Totsi funds
2026
2026
2025
Income and endowments
from:
Donations and legacies
Other
5C¢.994
50.994
73,070
3,297
56,062
76,367
Expendlture on:
Charitable attivhies
Other
8027
42,195
Sl,022
8.827
46.588
11,489
60,869
Total
4.393
Net 88ins on Investments
Net iRcome
4,393
55.415
72,358
Transfers between fvnds
Net Income before other
8ainslllossesl
Othergalns and l<%ses
Net movement In funds
Retoncillatlon of fvnd$:
Total funds brought torward
Totsl funds canied forward
(281
675
647
675
647
4,Lk)9
128)
675
647
4.009
92,698
92.698
85.846
91670
675
93.345
89,855
Page 5

The Redeemed Chrl#i•n Churth OF God. Co¥enant SaiKtuary
Summary In¢ome and Expendfttre Accwtt
forthe yearended 30 Aprfl 2026
2025
Income
56,C62
Gr0$5 Intome for the year
Expenditure
56.062
55,415
76,367
72.358
Total expendi￿re forthe year
Net income for the year
Net income for tl* year
55.415
72.358
647
647
Page 6

The Redeemed Christian Church OF God, C•venant Sanctuary
Balance Sheet
at 30 April 2026
Company No. 08480219
Notes
2026
2025
Fixed assets
Tangible assets
Current a55ets
Cash at bank and hand
93.345
93,345
93,345
93,345
93,345
89,855
89,855
89.855
P4et current assets
Totsl assets less ojrrent IFabllltlÉs
Net assets excludin8 pensSon asset or liablllty
Totsi net assets
89,855
89,855
93.345
89,855
The funds of the tharlty
Restrirted funds
Restricted income fund5
io
675
675
Unrestrf¢ted funds
eneral funds
Deslgnated funds
io
92.698
128}
92.670
92,698
Reserves
92,698
io-
Total funds
93,345
92,698
These accounts have been prepared in accordance wr(h the speclal provlsions of Part IS of the Companles
Act 2006 relatln8 to small companles.
For the year ended 30 Aprll 2026 the company was entitled to exem'ption under settion 477 of the
Companies Act 2006 relatin8 to small companies.
The members have nut requlred the company to obtain an audlt in accordance wlth Section 476 of the
Companies Act 2006.
The directors acknowledge thelr rEsponsibilities for complying with the requirements of the Companie5 Act
2006 wlth respert to accountlng records and the preparatton of atcounts.
Approved by the board on 30 Aprll 2026
slgned on Its behal.f by:
FELIXADESOLA
Trustee
30 April 2026
Page 7

The Redeemed Chrlstian Churth OF God. Co¥etJart Santtsrnry
Statement of Cash flows
forthe year ended SO A￿1 2026
2025
Cash flows from operatlng actsvil
Net In£ome perststement of Finandèl A£tiths
647
4.CM)9
Adjustments for.
DI￿dendS. interest and r￿tsfrorn investments
13,2971
Netcth {used inMpro¥hJ8d by operath8 a¢ll¥ttles
14.4211
712
Cash flows from investln6actlbttles
Dividend5, Inrere5t and rents from Invesbnents
3,297
Net ¢ash from In¥estlng atilvities
3.297
Net rash from flnandng artlvlt5e5
Nrtincrease In tash and rash equlyalents
647
Cash and cash equlvalents atthe bethning ofts ￿¥r
89,855
85.846
Cash and ￿5h equl¥alert5 atthe end olthe year
90.502
89,855
Componerts of cash and (ash equivalwts
C&%h and bank balances
93,345
89,855
93.345
89,855
Pa8e 8

The Redeemed thristian Chur¢h OF God. Covenant S3n¢iuary
Notes to the A(%ounts
for the year ended 30 April 2026
l Accounting polldes
Basis of prwraUon
The financial ststsments have been prepared in accordano vth AcCou￿ng and Reportlng by Charitiey.
Ststement of Recommended Prattice applitable to ch4rit(es preparing thelr accounts in accordan￿ wlth
the Financral Reporting Standard applioble in the UK and Repubfic"of Ireland IFRS 1021 leffecttve I
January 20151- ICharltTes SORP IFRS 10211, the Flnancial Reportin8 Stsndard applicable In the UK and
Repubttc of Ireland (FR5 1021 and the Companies Act 2(i16.
Chan8e In basls of accoun￿￿8 or to w￿lOuS accounts
The￿ has been no change to the accountfjng polictes Ivaluation mles and method of"a￿Unting1 slncE
145t year and no changes have been made to accounts for prevlDVS years.
Fund a¢countlng
Unrestricted funds These a￿ avallable fv use at the disuetion ofthetrustses infvrtheraft￿ ofthe
D¥5ignatsd fvnds
leneral objects of the charity.
Revaluation funds
These are unrestrirted funds eamiarked by the trustee5 for particular purpnses.
Thèse are unre5trirted funds which indude a revaluation reserve rEpres?ntina the
restatsment of investment assets at their Ma￿et valug
These are ardilable for use sublectto rastrirttons Imposed by the donor orthrough
terms of an appeal.
Restritt¢d funds
Income
Reco8nition of
income
In￿me Fs Induded in the Statement of Financial Actknties (SOFA) when the charity
betomes entitled to, and virtuafy certain to receive. the inrorne and the amount of
the income can be measured wrth sufficrent reliabllity.
Income with ￿[￿ed Where income has related expenrfiture the income and retated expthiture b
expendlture
reported gros5 in the SOF
Donations and
legacies
Votuntsry income recelved ￿ way of￿aNts. donations and glfts is induded In the
the SOFA when receivable and onty whèn the Charity ha5 unwndltional
entitjement to the income.
Tax redaims on
Income from tsx redaims is Induded tn the SOFA atthe same.time ès the
donati0rn5 and gifts wft/donation to whlth it relates.
Donated services
and facllities
These are onty induded in rncome Iwith an equivalent amount in expenditu￿}
where the beDefrt to the Charity 15 reasonably quantifiable. measurable and
matsrial.
Volunteer hel
The value of any voluntser help rpceived Is not induded in the accoyn
Invg5rment income This ts included in the accounts receivable.
Gains/llossE51 on
This Indudes anygain or Ioss ￿5￿ltIng from revaluing itfvestments to mirket value
revaluation of fixed atthe end of the year,
GaSns/llossesl on
investsnent assets
This indud85 arry gain or loss ffi thesa￿ of invesrmen
a8e9

The Redeern￿ cttrtstlan Chw¢h OF W Co%￿ant 5ancttfary
Expenditure
Recognition of
expenditure
Expenditure is rec￿niSed on an accruals basis. Expenditure indudes any VAT whlth
cannot be fulty recoyered. and is reported è5 part of the expenditure to whlch it
relates.
Expendtture on
raising funds
These comprisethe costs ass(￿ated wrth attractrng volunt?ry Income, fvndralsing
Expendi￿re on
tradlng costs and investment management costs.
These comprise the costs Incurred bythe (harTty in the dellveryof fts attlvltles and
charitsble activtties seNce5 in the furtheran￿ of Fts objects, widuding the making of grants and
governance cc%ts.
All grant expenditure ts actounted far on an actual paid basls plus an accrual for
grantsthat have been approved by the trusteEs at the end of the year but not yet
pald.
Govemance costs These indude those costs assocrated wtth meeting the con5tituti.onal and rtatutory
requirements of the Charity. indudin8 any audtttindependent examination fees,
Costs linked to the strategic manaymerrt of the Charity. together wlth a share of
other administration costs.
Other expendI￿re These are supw)rt costs notallocated to a partitular activty.
Grants payable
Taxauon
The tharrty Is exernpt from corp¢)fation tax on its d)antable attivftie
FrÈehold Investment property
Investment properties are measured lTrityalty at cost.and subsequently at falr value at each balance sheet
date and are notdep￿lated. All gains or losses a￿ taken to the Ststrment of Financial Actlvitie5 as thev
arise.
Stscks
Stock Is induded at the lowerof costor net ￿altsable valu& Donated item5 of rto¢k are recc8nlsed at falr
value which Is the amount the charity w<yJld have been willlng to pay for the items on the open mat1(eL
TRdè and other debtors
Trade and other debtOf5 are recc8nlsed at the settlement amount due after anytrade discoulltoffered.
Prepayments are valued at the amount prepald r￿t of any trade discounts due.
Cash and cash eqi*valents
Cash and cash equlvalents.comprtse eash at bank and on hand. demand deposlts with banks and other
short-temi highly liquid Inv￿ments with orvdinal mabJritie5 of three months orle5s and bank overdraft5.
In the ststement oFfiThancial positr¢￿. bank overdraft5 are shown within borri¥wing5 or current liabllltiEs.
In the Ststement of Cash Flows, cash and cash QqUNal￿ts a￿ shown fTret of bank overdrnfts that are
repayable on dernand and fomi an intwal partofthe compan￿$ cash management.
Trade and other credito
Short term creditors are mèasured at the trart5action price. Other credttors and provision5 are recognlsed
where the charity ha.s è prewt obligation ￿ultIn8 from a past event that wlll probably result in the
transfer of thnds to a thinl party and the amourt due to settle the obliBation can be measured or
estimated reliably. CreditOT5 and provlsions are nom)ally recognised at their settrement amount after
allowng for any trade disco(ms due.
Page 10

The Redeemed cl￿tiary Church OF God. Co¥want Sanduary
Rèseaith a￿1 development
Ekpendlture on research and development is written off in the year whlch It Is incurred.
Forelzn wrrende$
Monetsry assets and Ilabilrtres denominated in Cu￿n￿leS otherthan the fijnctional currency of the
charity are translated at the ratss of exchange pre¥ailrng at the ènd of the reporting period.
Transactions In currencies otherthan the funcdonal currencyof the charity are recorded at the rate of
exthange on the date that the transaction ttcurred.
All exchange dbfferences are are taken into accountin arrivinB * net tncome/expendtture.
Leased assets
Where the tharfty entsrs Into a Ivdse whl¢h Èntails taklng Substantial￿ all the risks and rewards of
owoership of an assec the lease15 treated as a finan￿ lease.
Leases which do not tranrfersubstsntièlly all the risks and rewards of ownership to charity are ¢lasslfied
as operating lease
Assets h2ld underfinance lease5 a￿ Inltlally re¢C￿lsed as assets of the chartry at thelr fairvalue at tho
Inception of the lease or. if lower. at the preserrtvalue of the minimum lèase payments. The
correspondlng Ilabilttyto the tessor ￿ induded in the balance sheet date as a finance lease obllgatlon.
Lease payments are appprtroned bth*n finan￿ expenses and reduction of the lease ob15gation 50 as to
achieve a constant rate of interest on the ￿mainIng balan￿ of the liabilty. Finance expense5 are
recognised immediatsly, unless they are dlrertiy attriblrtable to qualifyin8 assets. In whith case they Ire
¢apttalised in accordan￿ with the charity's polity on borrowing costs.
Assets held under finance leases are dèpreriated in the Sanie way as owned asset
Operating lease payments amreco8ntsed as an expense on a stra*￿-ll￿e bosls overthe lease terni.
In the event that leasè inortive5 are received to enter into operating leases, such incentives ère
recognised as a liabiltty. The aggregate benefft of incerrtpies is reco8ntsed a5 a redurtion of rental
expense on a Strai8ht4ine bas
Pension t05ts
The charity operates a defined corttnbutron plan for its emplcryees. A defined contributton plan Isa
pension plan undeF which the company pays fixed contributions into a separate entity. Once the
¢ontrIbu￿on5 have bEen paid the company has no further payments obligations. The contributlons are
recognised as expenses when they fall due. Amourrts not pald are shown in acuuals ITr the balance sheet.
The assets o* the plan are held separately from the company in independentty admlnlstered funds.
Receipt ofdonated 8ood% fadliues and ser*es
All donatsd goods, fèalities and services r￿1ved are recowsed wtthin IncomthB resources and
expendlture at an estimate ot the value to the charity.
2 Company status
The rompany 15 a prtvate company Ilmlted by guarantee and corwuertly does Aot have share ¢opftal.
Pa8e 11

The Redeemed chrf$￿an Clxwth OF God Covenant s￿rtUary
Notss to the AccourrtS
3 Ststsment ofFlnanrial Actlvlts. wlor year
Unre5tr1rted Restrtited
funds
fvnds Total funds
2025
2025
Income aftd endowments from:
Donations and legaties
Other
73.070
,070
3,297
Total
3,297
E¥pendlt¥re on..
Charitable activities
Qther
73,070
3.297
76.367
11.489
60,869
Total
57572
3,297
69.(61
3,297
Net Income
72,358
Nèt IrKome ￿fOre other
8alns/(105ses)
Othtrgains and losses:
Net movement In fi
Retonctliation of fund*.
Totsl funds brought fonvard
Total funds tsrrfed fonwdrd
4.009
85,846
89,855
85.846
89,855
4 Inwme from donations aftd lerdde5
UnrÉ5trl¢ted
Totsl
2026
Total
2025
rrthe & Offerlng
GIftAid Frotn Govemment
40,197
10,797
50.994
4￿197
10,797
5Q994
57,418
15.652
73.070
5 Other Income
Totsl
Total
Members Contributton
3.297
3.297
5,C68
Page 12

The Redeemed Chrlstlan Church OF God. Covenant Sai)rtuary
Notes to the At(ounts
6 Expendityre on charftabk acti¥ltie5
UnrestriLted
Totsl
Totsl
2025
2026
Ewenditure on d￿11t0b
Ottivlrie5
RCCG WEM World
Evangelism
RCCG Central offl￿ and
Festival of Life Mission
Jppurt
6.528
6,528
10.289
1.2
8.827
8.827
11,4g9
7 1)thèr expendlture
T¢Jtsi
Totsl
2026
2025
Welfare and Food Bank
Motor and travEI costs
Premises costs
Genèral 8dmlnistratlve costs
Legal and professlonal costs
iOA63
10,463
IL063
6.179
6.179
13.619
13,747
2.580
46.588
9.659
13.619
9,354
2%0
42.195
12,564
23,471
4,112
60,869
4.393
4,393
8 Staff costs
No employee rec@￿ed emolLrments in excess of £60.IXn.
9 Tangible flxed assets
C05t or rv4aluatS0
At l May2025
At 30 April 2026
Depretlatlon and
Impairment
At l May 2025
At 30 April 2026
Net book¥alues
At 30 Aprfl 2026
At 30 April 2025
1.378
1.378
491
491
L869
1,869
1378
1378
491
491
869
L869
Page 13

The Redeemed Christian Churth OF God. Co¥eftant San¢tuary
Notes to the Accounts
ia Movement in fvnds
Incoming
ndudln8
other
At l May 8aln5/losses
Aesouros At30 Aprll
expertded
2026
Itestricted funds:
Members Contribution
14,3931
Tot(yl
Unrestrfrted funds:
General funds
14.3931
675
92,698
DesI￿ated funds:
Donations and Incomin8
Resources
Grant from Government
Total
92.698
40,197
10,797
151,0121
IiD.8251
10,797
50x4
151.0221
128)
Total fvnds
92.698
56,062
1514151
93,345
Purpose5 and re5trithons in relation to the funds."
Restrfrted funds..
Members Contribution
Desrgnated funds:
Donation5 and Incomin8
Resources
Grant from Govemmerrt
To be used for ChaTftable Activitses
11 Anatysls of net assets between funds
FDr Members Soclal Evw7ts
ro èe used for Charitable ActF¥tties
Unrestrlcted
funds
Total
Net turrent asse
93,345
93,345
93345
93,345
Page 14

The Redeemed Chrlstlan Chur¢h OF God. Co*nart san<￿ary
Notes to the Accounts
12 Rerondllation of netdebt
Atlmay
2025 Cash flows
At 30 April
2026
Cash and cash eqfftlents
89,855
89.855
3,490
3,490
93,345
93,345
Netdebt
89,855
3.490
13 Related partydlsdosures
Controlllngporty
93,345
The tompany Is fimitsd byguarartee and has no share capitsl.. thus no single party controls the company.
Pa8e 15

The Redeemed Chr1511an Churth OF God. Co¥Ènant Sanctuary
Detalled Staternent of flT•a•)tial ALtl¥ltle5
forthe year eftded 30Aprfl 2026
d funds
funds Totsl funds Totsl funds
2026
2025
Income and endowments from..
Donations and legacies
rtthe & Offering
Gift AFd From 6ovemment
40,197
10.797
50.994
40,197
10,797
50.994
57.418
15.652
71070
Other
Member5 ContrlbLrtton
5,068
5,068
3,297
3,297
76.367
Totsi intome and endovlments
Expenditure M:
Charitable artivities
RCCG WEM World Evangelism
RCCG Central offi￿ and Festival of
Life Mtssion Support
5.C68
.994
s.￿8
5Q062
6528
6,528
2,299
8A27
Total of expenditwe on tharltable
actJvhles
8.827
IL489
8.827
Other expendlturé
Welfare and Fotsj Bank
11.489
10,463
10,463
10,463
10.463
11.063
11.063
Mottr and travel costs
Travel and subsisten
Fares
4,815
1.364
6,179
4.815
1,364
6.179
9,659
Premises costs
Rent
9,659
13,619
11619
13,619
13,619
eneral administrative costs,
including depwiation and
amorti5ation
Equipment expRnsed
Retreat
Misslon & Evangelism
Irisitlro min￿15 Expenses
Soffv4are, ITsuppth and related
12.564
11564
495
495
4393
4.207
2,56D
1393
4207
4,346
2.413
Stationery and printtng
Sundry expenses
Telephone. f￿ and broadband
195
210
1744
210
2.744
698
13.747
5.(ts6
1,235
9.354
4.393
Pa¥e 16

The Redeemed Chrfsrfan Chwth OF God, Covenant Sanctuary
Detalled Statement of Flnancial Ac11￿leS
Legal and professional costs
Accountsnry and bookkeeping
Other legil and professional
Costs
2.230
2,230
2.362
35)
350
L750
Total of expendltUTe of otI￿r costs
Total expendlture
Net gains on in￿Strnents
2,580
4,112
41195
4393
46,588
60,869
5L022
4393
55A15
72,358
Net Income
(281
675
647
Net Income befwe other
gainsll1o￿Èsj
Other Gal
128)
675
647
Net movement In fvnds
128)
675
647
Rewndjlation of fun&:
Total funds brought fonvard
Total fvnds carrled forward
92,698
92,698
85.846
92.670
675
93,345
89,855
Pa8& 17