Charity Registration No. 1154805
Company Incorporation No. 08777951
THE REDEEMED CHRISTIAN CHURCH OF GOD
THE KINGS SANCTUARY
Report & Financial Statement for the year ended
31 December 2025

THE REDEEMED CHRISTIAN CHURCH OF GOD - THE KINGS SANCTUARY
Year ended 31 December 2025
REPORT AND FINANCIAL STATEMENTS
PAGE
CONTENTS
REPORT OF THE BOARD & STATEMENT OF BOARD'S RESPONSIBLITIES
INDEPENDENT EXAMINER'S REPORT
STATEMENT OF FINANCIAL ACTIVITIES
BALANCE SHEET
NOTES TO THE FINANCIAL STATEMENT
9-11

THE REDEEMED CHRISTIAN CHURCH OF GOD . THE KINGS SANCTUARY
Yeor ended 31 December 2025
Reference and Admlnlstratlve Detalls
Rèport of Ihe Trustees
The trustee5 have the pleasure ol presenting their annual report and financial statement of
Redeemed Christian ChLJrch ol God- The Kings Sancluory lor the year ended 31 December
2025. The Irustees confirm thot Ihe onnuol report complies with the statvlory reqvirement5 of
the Charities Acl 201 l and , the church's governing document and FRE 102 ISORPI lor
Charities.
BOARD MEMBERS. OFFICERS. ADVISER5 AND BANKERS
General Overseer
Board ol Trustees
Poslor E A Adeboye
Ms Trocy Gilbert
Mrs Oluwakemi O. Awosika
Pastor Fe51u5 Azoka
Pa$lor In Charge
Paslor Helen Ronke Azoka
Principal Address
Accounlonls
Flol 21, Bordeaux House
l Luxembourg Mews
London
E15 ISD
Da-silvo and Associates Limited
Chartered Cerlified Accounton15
14 Farm Close
Dagenham
RMIO 9TX
Bankers
staluFory Regislralion
Charity Number: 1151877
CompanyNumber: 08470482
Lloyds Bank PIC
Borclays Bank PIC
Nalwesl

THE REDEEMED CHRISTIAN CHURCH OF GOD - THE KINGS SANCTUARY
Yèar èndèd 31 Dècèmbèr 2025
Rèport ot thè TruslÈès (Contd)
Prlnclpol octlvllles
The chorivs principol octivify during the yeor continued to be the odvancement of the Christion foith
worfdwide in occordonce with the doctrine sel out in the Slalemenl ol loilh ol our trust deed and the relief
of poverty to those at risk in the generol pvblic.
Orgun15Qtlon structure, governonce ond monogement
RCCG The Kings SonctVQry 15 a Compony in Englond ond Woles since 15th Novembei 2013 and olso o
iegistered chaiity in United Kingdom since 29th November 2013. The overoll control of the chorify is the
iesponsibility of the boord of trustees weie adopted by o Memorandum of A5SQClQtion doted 15th
Nov-13
The pastor in charge is responsible lor the day lo day activities ol the charity. The pastor lioses
with the board ol Iruslees. when they meet lo review the oclivilies ol the organisalion.
Rèlotèd party rèlatlonshlp
RCCG The Kings Sonctvory is o member ol the Redeemed Christian Chuich ol God IRCCGI, which hos
porishes in the UK ond Worldwide. This relotionship is governed by on orticle of common purposes.
RCCG The Kings Sonctvary make regular contributions lor RCCG UK for it's onnual octivities.
Rlsk managèmènt
The trustees hove o55essed the major iisk5 to which the church is exposed to. in porticular those relating to
il's irnternol control. it's operolions ond linonces ol the church ond are solislied Ihal systems are in ploce lo
mitigote exposure to ony mojor risks.Bvt these are constantly being reviewed for improvement.
Res•vv• Pollcy
RCCG The Kings Sonctvory ensures thot o reservation of ot leost one month of the fixed operotionol
ost5 ale maintained ot all time5. to safeguord agoin5t unfor5een contigencies.
Grant Maklng Pollcy
RCCG The Kings Sanctuary make regular contibution5 to the RCCG Wodd evengelical. RCCG Centiol
ollice fund. Festival ol life arnong5t others.. in lullilment ol it's obligations. The Charity a150 make
donations to othei Chaiities within the UK. in line with it objects.
Flnanclal revlew
The Charity'5 linonciol 5taternent lor the year ended 31 December 2025 5how5 0 net Sviplvs in Ivnds
of £3.24912024 NetSurplu5.' £6.6081

THÉ REOEEMED CHRISTIAN CHURCH OF GOD- THE KINGSSANcfuARY
Year ended 31 December 2025
Report of the Trustees {Contdl
Volunteers
fiCCG The Kings 5anttuary Is grateful for the immence effort of all it's dedicated volunteer5
who ensure that all our activities are well or8anised and professionally conducted.
Trustees, responslbllities
Law applicable to charities and companies in Englant1 and Wales requires the trustees to prepare tinancial
statement for each financial year which giwes a true and fair view of the st¥te of affairs of the charity and
of surplu5 or deficit for thè period. In preparing the financial statements the trustees have,.
Selected suitable 3c¢ounting policies and applied them consistently.
M3de judgements and estimates that are reasonable and prudent.
Stated whether applicable accounting st?ridards have been followed.
Piepdred Llie firiariLldl 5Ldl¢iiEvritb Ul? <* 8viri¥ iuiiieivi bilblS.
The trustees havè overall responsibility of ensuring that th¢ church has an appropriate system of controls.
financial or otherwise. They are responsible for keepin% proper accountinE records which disclose with
reasonable accuracy at anytime the financial position of the church, and to enable them to ensure that
the financial statements comply with FRS 102 SORP for Charities and the Charities A£t 2011. They are
responslble for safeguarding the assets of the Charlry and hence take reasonable steps for the detection
and prevention of fraud and other irreEularstie5.
Thi5 report W85 approved for the board of tru5tee5 on the
Ms Tracy Gilbert
Trustee
Festus Azaka
Trustee

Ind•pendenl Examinerfs Report lo Ihe Trust••g of
THE REDEEMED CHRISTIAN CHURCH OF GOD C'RCCG") THE KINGS SANCTUARY
We report on account5 of the Redeem8d Chri51ion Church ol God I'RCCG'I _
The Kings 5oncluary lor the year enc*ed 31st December 2025. which ore set out on poge$ 6 to 12.
Re5ppcHv• r•spon%lblli11•5 vf Irv51ees and exumln•r
The Iruslees (who are olso the directors ol the company lor the purpose5 of company lawl ore
re5pofi4iblo lor tho preparation of tho accounts. The Iivslees consider that ar) audit is nol r6quir&d
lor this yeor under section 144121 ol the Charities Act 2011 Ithe 2011 Acll and Ihot an ind@ptrDdent
exominotion li needed.
Hoving solisflecl my5sII Ihol the charity 15 not Subject lo oudil under company law ond is eligilbe lor
exaniine ths occounl under (section 145 01 the 2011 Act.,
lo following the procedures loid down in the geF)erol Direclions givgn by the Charity
Comniission under section 145151 Ibl of the 2011 Act.. and
lo slate whether porticular mallers have come lo my allenlion
Bosls of Indep•nd•nt •xomlner'$ report
My exominolion was carried out in accordance with the Gen¢rol Directions giv(3n by the Charity
Commission. An exominolion includes a review ol the accounting records kept by the Charify
nd o comparison of the tJccounts presented with thosè rèeords. 11 also inclvdès eonsid&r(JtiorT of
ony unusual items or disclosLJres in the occounls. and s8eking explonolions from the Iruslees
concernino ony such mottsrs. Ihe procedures vndertoken do not provide all the evidence that
wniilfl hp. rpqiiir•.rl in ¢yn niirlit rnn%p.oii?.ntly nn rJpinir)n is oivpn a.E In whp.thg.r thp. nr_r.c)iJnts
pie5ent o true and loii view ond the report Is Ilmiled lo those mollers sel out in the slolemenl below.
Ind•p•nd•nl •xamlnw's stal•m•nt
In connection with my examination. no maller has come lo my altenlion..
I I I which give5 me reo50nable couse lo believe Ihal. in any moleriol respect Ihe requirement5'.
ta kpg.p (Jr.p.niintino rpr.oYd% in nr.r.nrdanc_p with ser.lion fjf thg. C.nmpanig% Acl 2006..
and to prepare accounts which accord wilh the occounling records. comply with Ih
ULLVUI-Ilii iy Ivwuii¥ii i¥1 115 uf 51 I￿ >VLlivii 3&6 uf 11 i¥ Con-lyui-iivs Ail 2006 oi-ld witrli tli
methods and principles ol the Slolement ol Recommemded Practice.. Accounting and
Repoling by Chorilie5
121 lo which. in my opinion. allenlion should be drcwn order lo enable o proper unclerslanding
ol the accounts lo be reached.
Mr5 Eileèn Da-sllvu fCCA
Da-Silva and A5socl¢Jtes Ltd
14 Foiiii CI05
Dautrnhom
Essex RMIO 9rA
. 2024

THE REDEEMED CHRISTIAN CHURCH OF GOD- THE KINGS SANcfuARY
STATEMENT OF FINANCIAL AcfiviTIES
FOR YEAR ENDED 31 DECEMBER 2025
2025
2024
Notes Unrestrirted
Fund
Unrestricted
Fund
INCOME
Donations and Legacies
Income from Activities for Generating Funds
29,925
195
34,185
119
Total Income
30,120
34,304
EXPENDITURE
Expenditure on
Charitable Activities
26,871
27,696
Total Expenditure
26,871
27,696
Net Income/(Expenditure)
3,249
6,608
Total Funds brought forward
33,011
26,403
36,260
33,011

BALANCE SHEET
AS AT 31 DECEMBER 2025
2025
2024
Notes
Fixed assets
Tangible fixed assets
3,044
3,627
Current assets
Accounts receivable
Cash at bank and in hand
10,040
23,726
9,990
19,896
33,766
29,886
Creditors: amount falling due within one year
{550)
15001
Net current asset5lcurrent liabilitie51
33,216
29,386
Total assets less current liabilities
36,260
33,013
Creditors: amount falllng due after more than one year
TOTAL NET ASSETS
36,260
33,013
RESERVES
Unrestrirted Funds
io
36,260
33,013

THE REDEEMED CHRISTIAN CHURCH OF GOD- THE KINGS SANcfuAY
BALANCE SHEET {CONTINUED)
ASAT 31 DECEMBER 2025
In preparing this financial statement..
l. The directors are of the opinion that the company is entitled to exemption
from audit tsnder 5èeLion 477121 of the Companiès Act 2006 relating to small companies.
2. No noti¢e has bèen deposited under settion 476 of the Companies Act 2006 and
3. The directors acknowledge their responsibilities for,.
Injuring that the ¢ompany k'eep accountins recordJ which comply with
section 386 of the Companies Act 2006 and
Preparing accounts which give true and fair view of the state of affairs of the
compan¥ as at the end of the financial year and of it's surplus and deficit in
8tcordance with the requirements of section 396, end which otherwise Comply
with the requirements of this Act relating to accounts, so far as applicable to the company.
ThFs financial statement have been preparcd in accordance with the provisions applicable to
companies subject to the small companie5 regiTne.
Approved on behalf of the board of tr￿Stee$ on the
20
racy Gilbert
Trustee
Pastor Festus Azak
Trustee

THE REDEEMED CHRISTIAN CHURCH OF GOD-THE KINGS SANCTUARY
NOTES TO THE FINANCIAL STATEMENTS
Year ended 31 December 2025
l. Accounting Policy
The principal accounting policies, all of which have been applied consistently throughout
the year, are set out below..
lal Scope and basis of the financial statements
The financial statements have been prepared under the historical cost convention and
in accordance with applicable accounting standards and the Statement of Recommended
Practice. 'Accounting and Reporting by Charities" ISORP 20051 issued in March 2005
Ibl Incoming Resources
All income is accounted for when the Charity has entitlement to the funds, the amount
can be quantified and there is certainty of receipt.
Icl Resources expended
All expenditure is accounted for on accrual basis
Management and administration costs include management of the charity's assets.
Idl Tangible fixed assets and depreciation
Tangible fixed a5set5 are stated at cost and depreciated on a straight line basis over
their useful economic lives.
The depreciation rates applied, are as follows-
Church Equipment
Motor Vehicle
25%
50%

THE REDEEMED CHRISTIAN CHURCH OF GOD-THE KINGS SANcfuARY
NOTES TO THE FINANCIAL STATEMENT5 Icontdl
Year ended 31 December 2025
2025
Unrestricted
Fund
2024
Unrestricted
Fund
2. INCOME
Donations and Legacie5
Donation5
Gift Aid Reclaimed
24,075
5,655
28,396
5,789
29,730
34,185
3. Income from Actlvltles for Generatlng Funds
Other donations
195
119
195
119
4. Donation to others
RCCG WEM & COF
Festival of Life
RCCG Campground
Others
1,800
480
1,800
480
800
995
1,039
3,319
4,075
5. Support Cost
Rent
Conferences and Development costs
Church programmes and events
Publicity & Advertising
Welfare and Charitable support
Tran5POrt,1o815ti￿ & Storage
Telephone & media
Book5, Printing and Stationeries
Bank charges & fees
Repairs, Renewals & Replacements
Depreciation cost
Misc Expenses
8,566
1,657
988
560
2,782
3,340
683
304
65
818
1,041
900
6,206
1,682
2,031
599
2,880
3,365
623
749
692
422
2,230
21,703
21,478
10

THE REDEEMED CHRISTIAN CHURCH OF GOD- THE KING5 SANCTLIARY
NOTES TO THE FINANCIALSTATEMENTS Icontdl
Year ended 31 December 2025
2025
2024
6. Governance & Management
Independent Examination
OtherAccountan¢y5ervice
Le831 & Professional cost5
Honorarium
550
565
34
700
13
850
1.849
2,14a
7. Tan8lble Flxed Assets
Church
Equipmenr
Total
Assets
Costs
At 01101125
Addition5
Dlsposal
At 31112125
4.049
458
4,049
458
4,507
4.507
Accumulbted Depreciation
At 01101125
Depreciation forthe year
Disposal
At 31112125
422
1,041
422
1,041
1.463
1,463
Net Book Value
At 31IIZ125
3.044
3,044
At 31112124
a,627
3.627
2024
Unrestricted
Funds
2024
Unrestriued Funds
Attount ReteNable
Loan to Member5
10,040
9,990
9. Credltors.. amount falling due wlthln oneyear
Accountancy
accurals
550
sso
S￿)
10. Movement in fund5
Opening Balance
Incoming Resources
Outgoing Resources
33,011
30.120
126.8711
26,403
34,304
127,6961
36.260
33,011
11. Taxation
RCCG The Kin85 Sanctuary 15 now an incorporated ch3rity and 15 elisible tothe exemption
therefore arises.