Registered number
08608576
The RCCG House of Prayer for all Nations
Accounts
31 December 2023

The RCCG House of Prayer for all Nations
Report and accounts
Contents
Page
Trustees Report
1ndeper.denl examinerfs report
Staternent of Finanaal Activtbes
Balance sheet
Notes to the accounts
Income and ex￿n￿rture account

THE REDEEMED CHRISTIAN CHURCH OF GOD
O/JSSOKPRAYSR KOR Wrf770WS
THE BEAVER cE￿RE, SEIINAS tANE, DAGENHAM, RM8 IQH
Tel: 02085969798. Web: *NTrY.rc
ouseo
raveruk.or
h{￿Se0
CHAkIry MJMgEk.' 1157484
REPORT OF THE TRUSTEES FOR THE YEAR ENDING DECEMBER 2023.
OPENING sfATEMENT.
The trustees who are also directors for the purposes of company law, have the pleasure in
presenting their reFX)rt and the financial ststements for the charitable company The
Redeemed Christian Church of God House of Prayer for all Nations, for the yearended 31st
December 2023.
The year under review is an improvement overthe previou5 one.
Though the effert of COVID19 pandemic is wearing out but its consequential impact on the
rise in the cost of living is another challenge that Saw us increasing our community support
and charitable deeds to the needy. Thankfully. the support structure and procedure we
operated during COVID19 are Still attive and available to the public.
We are thankful for the unwavering commitrnent ofthe pastorate and team of volunteers
which enabled the chartty to continue in strength and keep up with fvlfilling her visions.
OBJEcnvES AND AcnvmES.
The overall purpose of the charity is to achieve its charitable objectives which include the
following:
The Advan￿ment of Christian faith.
The assistance of person5 who are in condition of need. suffereing hardship or
di5tre5s. or who are aged or sick or in condition that require help.
The advancement of education of children and adults.
Charitable activbties for the benefit of the local community.
The charity maitained a vibrant inclusive and conduave place of worship where people of
all nation5 are welcomed while we continue to welcome local and immediate communities.
Though most of our usual programmes and activities were yet to return to pre-pandemi
levels, however we have continued to operate 'hybrid' Services. which allows people to join
our servi￿5 Virtually and physically on site.
We have made more investment this year on digital equipment and human resources to
enable us make a high impactful online presen￿. and also achieve continuous smooth
running through our dedicated You Tube. Facebook and Zoom channels
Pastor E. A. Adebo
GenemlOva5eer.

THE REDEEMED CHRISTIAN CHURCH OF GOD
OUSSOKPKgYSR KOR AU
THE BEAVER CE￿rRE. SELINAS IANE, DAGENHAM, RM8 IQH
TeL. 02085969798, Web: ￿m￿.re
ousets
, Email: Inf￿
houseo
ernk.o
HARrry hLIMgER.. 1157484
The following regular progrdmmes and activities were operational throughout the year
under review.
Sunday school classes and worship services- virtual l onsite.
Monday morning Arise & Shine Prayer meeting- virtual.
Wednesday Bible Study/ Moment of Hope- virtual.
Morning of Joy B ￿akfast meeting- virtual.
Monthly Night Prayer Vigil- virtual / onsite
Month End cross over prophetic and communi(In sepdices-virtual / onsite
We plan to introduce more life enriching programs as we trust God to fully return to pre
pandemic levels.
During the period under review. we maintained contact and relationship with our member5
and community trough different communication and follow up initiatives.
We offered human, material. moral and finanaal support to people who fell into difficult
situation as we committed ourselves to demonstrating the love of our Saviour. Jesus Christ.
Our charitable acts and activities are usually done through givin& in kind and in cash. Our
artiwties were inttially focused at the people in our immediate surroundings, whith have
now extended into the wider world.
SUPPORT FOR THE VULNERABLE AND DIStRESSED
We have continued to support widows, widowers. distressed /bereaved families and those
who are still going through devastating effetts of the pandemic with foodstuff and cash. We
also distributed fresh food items. Christma5 boxes and hampers during our annual 'Lunch
with Jesus, program at Christmas period to vulnerable adults. rough sleepers on the street
and in train / tube stations within the community.
We extended our visit to care homes for elders and the vulnerables to deliver hampers and
food stuff to care users and stsff in appreciation of tTr￿ great work they are doing.
We continued to offer biblical counselling and support to bereaved families and those are
stll negatively impacted by the pandemi
COMMUNITY SOCIAL RESPONSIBILTY
We continued to collaborate with the local council to deliver s(￿131 servi￿5 that are
beneficial to the community-
We partnered with the borough of Barking and Dagenham to run the following programmes
Henry Weight Management program designed to control 0Ve￿e1ght in children
between ages &ll. and offer training classes on healthy liwng for families.
Community career development program to help young adults progess in their
careers and the matured to maxirnise th￿r potentials and be profitably engaged.
Pastor E. A. Adeboye
Generoloverseer.

THE REDEEMED CHRISTIAN CHURCH OF GOD
THE BEAVER cE￿RE. SEtJNAS IANE, DAGEMIAM, RM8 IQH
TeL. IY2085969798. Web: w7¥￿..rC
OU5eo
rai-eruk.o
OU5eo
CHAkIry WMBER.. 1157484
Winter warm Space program whith helps community residents to come into our
frdcility to keep warm and a150 able to conduct basic out of home transattions.
In all. the year presented an opportuntty to virtually share the gospel of Jesus Christ to
wider community. to allay fears created by the difficult Sttuation of the past experien￿, and
replacing them with hope and peace of the gospel of our Lord Jesus Christ..
FINANCIAL REVIEW.
In the year under review. the totsl income wa5 £270,478 {2022 £303,258) and total
expenditure was £245.33612022 E236.80n. The net results for the years were £25.142
12022 £66,451}, and carried forward funds of £572.44612022 £547.3041. Revaluation
reserve E229,766
The Church has implemented robust budgetary controls and will continue to monitor costs
in an effort to rnaintain financial stsbility. The directors will always place emphasis on sound
financial management to ensure funds are properly managed.
DIRECTORS
The following persons served as trustees / dirertors during the year
PastorA. Adesanya
Pastor O. Oluwaniyi
Pastor O. Onifade.
Finally. The dirertor5 are satisfied that the finacial health of the Church will sustain the
future activities of the charity.
This report was approved by the board on 28July 2024 and signed on its behalf.
Pastor Oyekunle Onrfade
Director.
Pastor E. A. Adebobe
Generuloverseer.

The RCCG House of Prayer for all Nations
Independent Examinerfs Report
to the Trustees of RCCG House of Prayer fo all Nations
For the year ended 31 December 2023
This report on the financial statements of the RCCG House of Prayer for all Nations for the year ended 31
D￿mber 2023. which are set out on pages 1 to 5. is in respect of an examination carried out in
accordance the Church Accounting Regulations 20C6 Ilhe Regulations'l and s.145 of the Charities
Act 2011 Ilhe 2011 Acy)
ReS￿ve responsibilities of the Trustees and examlner
As the Charity Trustees of the RCCG House of Prayer for all Nations who are also directors for the
purposes of company law. you are reswnsible for the preparalion of the a(£ounts in accordan￿ with the
requirements of the Companies Aca 2006 ('the 2CN)6 Acf).
Having satisfied myself that the accounts of the company are not required to be audited under Part 16 of
the 2006 Act and are eligible for independent examination, I report in respect of my examination of your
charity's accounts carried out under section 145 of the Charrties Act 2011 Ilhe 2011 ACVI. In carrying out
my examination. I have followed the Directions given by the Chanty Cornmission under section 145{5llb}
of the 2011 Act. That examination includes a review of the accounting records kept by the Tnjslees 2nd a
comparison of the accounts presented with those records. It also indudes considerab.on of any unusual
items or disclosures in the financial statements, and ￿kIllg explanations from you as trustees
conceming any such matters. The proc£dures undertaken do not Provide all the evidence that would be
required in an audc and consequenty I do not express an audr( opinion on the view given by the
accounts.
Inde￿￿ent examinetrs stateme
I have completed my examinakn. I rJ)nfirm in ￿)nneth"Oft wth my examinath)n. rn matter has ci)m$ to my attgntion
which gNes me reasonable cause to believethat in any matenal respect..
1. accounting reojrds were not kept in oflhe company as WUbr&J by s ￿ ofthe 2￿ Art or
2. the aoxjunts do not accord vAth Ihose r￿ordS or
3. the accounts do not compty with the reqU1reff￿nts of s 396 of thè 2LXK Act other than any requirement that the
accounts gi￿ a Irue and lairwew %thich is not a matter ¢x)nsidèred as part of an independent examinalion.. or
4. the accounts have not been prepar￿1 in 8(££Irdan￿ the Met￿*￿$ a￿1 prinTrpb$ of thè Statement of
Recommended Practice for a(￿un*"n9 and reporling by charities applicable to chartbes preparing their accounts in
accordance the FiFwicial ReFth"ng Slandard apptscatde to UK arky Repu￿1¢Of Irelan¢J (FRS 1021.
I have no cOn￿m¥ and have come auoss other matte15 in rA)nne¢knn the examinalion to which attent*
shoujd be drawn in this report in orderto enable a prcyer urhyerslanding of the acc(￿ntS1O be ￿Ched.
J.S. Wincont
28 July 2024

The RCCG House of Prayer for all Nations
Statement of financial activities
for the year ended 31 December 2023
UnT*stri¢t•d
funds
Unrestricted
funds
2023
2022
Incoming resources
269.741
303.221
Direct charitable expenditure
1153.207)
1145,9411
116.S34
157.280
Fundraising and publicity
Governance costs
Other operats'ng income
192.1291
190.8661
Operating surplu$
24,405
66,414
Profft on thè disposal of tangible fixed assets
Profit on the disposal of investments
Gain on ￿ValuatiOn of investments
Income from investments
Interest receivable
Interest payable
737
37
Surplu¥ for the year
2S,142
66.451

The RCCG House of Prayer for all Nations
Rogislgred number.
08608576
Balance Sha•1
as at 31 Docombgr 2023
2023
2022
Flxed ass•ts
T8ngible assets
683.716
683.716
684.571
684.571
Curr•nt assèts
Debtors
Cash at bank h8fKI
32,683
123,936
156.619
144.345
172.707
Credltors: arnounts lalllng du•
within one year
116.118)
(20,6501
Net current a￿ts
156.589
135.969
Ilabilit
820.540
Credltorn: amounts falling d
aftèr more than one year
138.093)
143,470
777,070
Capital and r•s•r¥•s
Revaluab"on ￿SerVe
Rese￿e5
229,766
229.766
547.304
Shar•hohJerfs funds
802212
717.070
The trustees a￿ sab"sfied that lh8 ctsrity is enlifjed to exttmptK)n from the requirement to ob￿n an
audit uThJerlh8 Charibes Act 2006.
The membèr has Th)1 required the ownpany ￿ obtain an a￿j11 Vl 8ccord8Thx with secbon 476 of
the ACL
The trLk%tees ackTh)*4edge their ¥psponsitxlities ￿Mp￿￿9 W￿1h Ihe reqUirem￿ts of the Charities
Act 2(K)6 resp*rtto acttjunknng iecords and Ihe preparation (rfaccounts.
The accounts have been prepa￿ aThJ delivered in ar￿¥￿an￿ ￿1th the sp8ual provlskjns
app4r8trAe to Sm￿1 ¢haritE5.
Pastor Oy8kunl8 Onrfade
Director
A4)proved bythe tx)3rd on 16 Septsmber 2024

The RCCG House of Prayer for all Nations
Notes to the Accounts
for the year endeo 31 December 2023
l A¢¢ountlng policies
Basis ofpreparation
The accounts have been prepared under the historical cost convention and in accordance with
the provisions of the Charities Act 2006. and the Charities IAccounts and Reports) Regulations
promulgaled thereunder. and the Statements of Recommended Pracbce issued by the Charity
Corllmission.
Unrestricted funds represent funds ￿lI1¢h are expendable at the discrets.on of the Iruslees In
furtherance of the ol'ects of the church and a￿ held in the general fvnd.
Restricted funds represent grants and donations received and tax refunds arising thereon,
which were allocated by the donor foT specific purposes.
Dir•¢t charitable expenditure
Dsrect charitable expendittjre includes all expenditure which is directly related to the objects of the
charity and comprises grants paid and costs wh¢h are direcuy attriiiutable to charitable activities
including charitable support Costs.
Managgmgnt and administration costs
Management and administration costs represent expenditure incurTed in the management ol the
assets of the Charity. organisational administrab.on and complian¢e wth constituts'onal and other
statutory requirements. None of the Trustees received any remuneration. nor were paid
expenses in the year ended 31112r2022.
Grants and donations
There were no acctuals for these items al the year end
Tangible fixed assets
Tangible fixed assets are measured at cost less accumulative depreuation and any ac¢umulab've
impairmenl losses. Depreciab"on is provided on all tangible fixed assets. other than freehold land.
at rates calculated to write off the cost. less estimated res￿￿al valuè. ol eath asset evenly over
ts expected useful life, as follows..
Equipment an(* motor vehicles
Fixiures. fitb'ngs. tools and equipment
20% reducing balan¢e basis
20% Tedu¢ing balance basis
2 Incomlng resources
2023
2022
Unrestricted donations and grft aid tax redaimable
269741
303221
269741
303221

The RCCG House .)f Prayer for all Nalions
Notes to the A¢¢¢unts
for the year ended 31 December 2023
3 Tangible fixèd as$•ts
Land and
buildings
Motor
vehicles
Equipment
Totsl
Cost
At 1 January 2023
Additions
676.000
15,334
1,600
16.934
2.507
693,841
1.600
At 31 D￿ember 2023
676.000
2,507
19.441
Depreciation
At 1 Jaiiuary 2023
Chargp':or the year
At 31 December 2023
7.289
1.929
9.218
1,981
526
9,270
2.455
11.725
2,507
Net book value
At 31 December 2023
676,000
7.716
683,716
At 31 December 2022
676.000
8.045
526
684,571
Freehold land and buildings..
2023
2022
Historical cost
676.000
676,000
676.000
676,000
146-148 Albert Road. Vvidnes. WA8 6LG 3n¢J 212 Warrington Road. Widnes. WA8 OAX were
valued by BA Commeraal. Chartered Surveyors. 2 Friarsgate. Chester. CH1 1XG - report dated
0310212020 using RICS market valuab.on bases. 151-155 Garioch Road, Scotland. G20 8RH
and 22 St. James Street. Paisley. PA3 2JR wéie valued by DM Hall LLP. Chartered Surveyors.
17 Cortstorphine Road, Edinburgtr,. EH12 6DD - report dated 0410212020. The inspection, report
and valuation were in accordanee ￿th the current practice statements, guidance notes and
appendbces of the latest edition of the RICS Valuation Standards Ithe"Red BoDk"l.
4 Debtors
2023
2022
Sky-oarden deposit
Gift aid tsx recoverable
4.753
23.609
28.362
8.163
24.520
32.683
Amounts due after mole than one year induded above

The RCCG House of Prayerfor all Nations
NotL>S to Ihe Accounts
for the year ended 31 December 2023
S Creditorn: amounts falling due withir. one year
2023
2022
Provision fo¥ penston costs
Trade creditors
Other taxes and soual security costs
Other creditors
10,OIK)
2,740
483
2,895
16.118
10.000
6,200
4,450
20.650
6 CrèditOTS- amounts falling due aft•f one year
2023
2022
Bank loans
38.093
38,093
43.470
43,470
ovaluation (esèrve
2023
2022
At 1 January 2023
229,766
229.766
Al 31 Decembèr 2023
229.766
229,766
2023
2022
Unrestri¢ted funds
General funds
Surplus for the year
547.304
25.142
572.446
480.853
66.451
547.304
10 Other infomiation
The RCCG House of Prayer for all Nab"ons is a priv* ¢))mpany limrted by guarantee and
incorporated in England.

The RCCG House of Prayer for all Nations
Income and expenditure accoLSnt
for thè yèar ended 31 December 2023
This scheclule does nol fonnp3rt of the statukny 8r%otsnls
2023
2022
Incoming resources
un￿striCted funds
Donations eligible for grfl aid
Income tax recoverable
Other donation5 and grants
Other oKErating Incorne
94,436
23.609
86.892
64.804
128.058
24.650
88.034
62,479
269.741
303,221
Direct charrtable expendtture
Honoraria
Service and Sunday school expenses
HW manage￿￿nt and volunteer expense5
Church rent
Shuttle bus and travel costs
Welfare 8 CSR
1.230
7.429
1,010
34.983
2.963
855
7.225
9.192
3.526
21.379
8.213
2.449
21.000
31.753
153.207
1,705
5.556
18.995
35.000
2.642
7.385
5,132
5,165
10,074
5.744
RepaiT5 and rerwals
Training. retreat and Conferen￿ costs
Charrtable 91￿n9 and support
RCCG WEM
Lrfe insurantr costs
Salaries and pastoral expense5
Manse
25.983
22.560
145,941
Other employee costs
Other staff costs
Pensions
15,507
14,207
29.714
17.004
12.912
29.918
P￿rnISes costs
Rent and rates
c￿aning and refuse disposal
Repai￿ and renewals
Centre Insurance
23.394
1,481
12,075
4,$40
24.414
1,105
12.374
37.893
Governan￿ costs
Telephone atKI web costs
Streaming, media & digrtèl Servi￿ costs
Printing. postsge and other Offi￿ supplEs
Bank and finance charges
Asset Insuran
Accountsncy fees
Other legal and professional
Dep￿lation
2.076
1.553
3,436
651
1,347
88
1.681
6.968
2.455
17,967
2,520
8.063
2.143
23.057
92,129
90,866
¢)thÈr t>pgrating income
Other income