The Redeemed Christlan Church of God-lesus Love Fellowshlp Centre
Charity Reg. No 1174904
TRUSTEES, REPORT AND FINANCIAL STATEMENTS
FOR
THE YEAR ENDED 31 JANUARY, 2022
RCCG-]esus'Love Fellowship Centre.- Reportsfvr the Yearended 31st Junuory2022.

The Redeemed Chrlstlan Church of God-lesus Love Fellowship Centre
CONTENTS
Page
Reference and Administrative Details of the Charity
Trustees, Report
Independent Examinerfs Report
Statement of Financial Activities
Balance Sheet
Notes to the Financial Statements
9-11
RCCG-JesvrflAwe Fellowship Centre.. Reportsfvr the Year ended31st January.2022.

The Redeemed Chrlstlan Church of God-jesus Love Fellowshlp Centre
REFERENCE AND ADMINISTrATIVE DETAILS OF THE CHARITY. rts TrUSTEES
AND ADVISERS FOR THE YEAR ENDING 3tst JANUARY, 2022
GENERAL OVERSEER
Trustees
Mr. Chukwuma ONYEOJI
Mrs. Esther ITEMAN
Mrs. Teresa ESHIETr
Charlty Re8iStration Number
1174904
Prlncipal Office
70, Crompton Way, Lowton
Warriiwn
WA3 IFS.
Pastor In Charye
Independent Exarnlner
Adebayo OLABISI, FC& FFA, FIPA
7, M055brook Drlve,
Manchester.
M38 9TJ
8ankers
Barday5 Bank
RCCG-]esus' Love Fellowship Centre." Reportsfor the Year ended 31stJonuwA022.

The Redeemed Christian Churcb of God-lesus Love Fellowshlp Centre
TRusfEE'S REPORT FOR THE YEAR ENDED 31°JANUARY. 2022
The Trustees submit their annual report and the financial Statements of The Redeemed Chrfstlan
Church (¥ God (RCCGJ JESUS LOVE FELLOWSHIP CEKfRE PARISM (The (l￿￿ty) for the Year ended
31st January, 2022. The Trustees confimi that the Annual Rewrt and the Financial Statements of the
Charity comply with the current statirtory requirements of the Charitys 8ovemins documents and
the provisions of the Statement of Recommended Practlce ISORPI "Accountln8 and Reportin8 by
Charities" Issued in March 2sX15
STATUS: The Charity was constttuted under a Trnst Deed dated 2 January, 2014 as amended by
resolution dated 25th March, 2017. It vrds registered in En8land and Wales with Charity number
11749)4 on 29th September. 2017.
Appoif4TMÉNT OR ELEclloN OFTrUSTEES: Trustees are eleded and or appolnted under the
terms of the Trust Deed.
POLiaES ADOPTED FOR THE INDucnoN AND TRAINING OF NEW TRUSTEES: The induction process
for a newly appointed member of the Board of Trustees comprises an Initial meetlng wlth the Chair
and other Trustees. followed by short meetin85 With the Pastor in char8e on the powers and
responsibilities of the Trustee5.
ORGAN1&4TIONAL STRUCTURE AND DEasioN MAKING: The Charity 15 organ15ed so that the
Trustees meet regularly to mana8e tts affairs. The Pastor In Charge- Pastor Benlomln Fokoya
manages the day to day admInistra￿n of the Charfty on a voluntsry basis.
RELATED PARTY RELATIONSHIP5: RCC6 (JESUS LOVE FELLOWSHIP CENTREPARISH) is a Parlsh of the
Redeemed Christian Church of God whlch has parlshes all over the world. The Par15h's relatKJnshlp
wlth other Parishes15 8ovemed by an"4qreement of Common Purpose".
RISK MANAGEMENT: The Trustees h*rfe assessed the rna￿r rlsks to whlch the Charlty Is exposed, In
partlcular those related to operatlons and finances of the Charity. and are satisfied the systems are
In place to mitigate our exposures to the maN)r risks
08JEcfs AND AcfiviTIES: The princlpal object Is the advancement of the Chrlstlan falth vffjrldwide,
and to promote any charftable artNity for the benefft of the local people through:
Running seminars in the Church with proven rnlnisters of the faith to gutrde members In the
various asperts of Chrfstian faith;
Support for other Charltles and Christlan events.
The actlvltles for achlevlng Its ObJert￿ include:
Community Outreach events
Conferences and events
Welfare support to members and general publlc, and
Various m￿lOnary actbvities
FUNDING AND GRANT MAKING POUCY: The principal Sour￿ of funding to the Charlty Is Donatmins
complirnented by Gift Aid& The Charity also 8ive out grants and 5UPPOrt in Ilne with its objettives.
RCCG-lesus'Love Fello%￿lp Centre.. Reportsfv the Yearended31* January2022.

The Redeemed Chrfistian Church of God-lesus Love Fellowshlp Centre
TRUSTEES REPORT (coKllNUED) FOR THE YEAR ENDED 31 JANUARY. 2022
VOLup¥fEERS: The Charitys activities are carrled out by volunteers who provided senilces In
different capacities.
REVIEW OF AcllviTIES: Trustees record their appreclatlon to all Donors who supported the Charity
to the tune of £46.227 (£36.302 In the prevlous yearl during the perio(l under review. The Charlty
also gave out £3.960 in Donation and Grants. The Trustees are satlsfied wlth the succe55 of the
Charity in meeting its objectives, and the recovery from cov1￿19 imparts. They are also optimisti¢
that it will continue to do so.
COVID-19 IMPACT5 AND RECOVERY: The COVE￿19 pandemk, and the concomttant restrlctlons
necessltated Closu￿ of places of worship during the 202012021 financial year. The 202112022 report
shows some significant recovery from the pandemic effect.
INVESTMENTS: There were no Investments durSn8 the perlod.
STATEMENT5 OF TRusfEES' RESPON51BIUTIES
The Trustees are responsible for preparin8 the Annual Report and Financial Ststements in
accordance wlth applicable laws and ￿ulatiOns.
Charlty law requ1￿ the Trustees to P￿pare Flnanclal Statements for eath Financlal Year. Under that
law the Trustees have elected to P￿pare the Financial Statements in accordance wlth the United
Kingdom Generally Accepted Accountin8 Prattice (United Kingdom Accountlng Stsndards and
applicable lawl. The Flnancial Statements are requlred to 8l¥e a true and fair view of the state of
affalrs of the charlty for that perk)d. In preparlng these finandal statements, the Trustees are
requI￿d to:
Select suitable accountlng pollcles and then apply them conslstently:
Make ludgement and estimates that are reasonable and pnjdent:
Prepare the financial Statements on the goln8 eoncern basls unless It Is
Inappropriate to presume that the company wlll continue In operdtlon.
The Trustees recognise their ￿sP)nSIbl1￿t￿ to keep proper accounting records that disclose with
reasonable accuracy at any tlme the financial posltlon of the charity and enable them to ensu￿ that
the Financial Statements compty wlth the Charit*s Act 2011. They a￿ also responslble for
safeguardlng the assets of the company and herte taking reasonable steps for the preventlon and
detection of fraud and other Irre8ularities.
The appended flnaneial ststements have been prepared on the accruals basis and have been
examined by an independent examiner, whose ￿port is also appended.
Approved by the Trustees on .i_.-.LQ_.....J 2022 aNI ￿ned on tl*lr behalf by:
Mrs Esther ITEMAN
ITrustee).
RCCG-Jesus'Love Fellowship Centre.. Reportsfvr the Yeorended 31" January2023.

The Redeemed Christian Church of God-lesus Love Fellowshlp Centre
INDEPENDENT EXAMINEWS REPORT FOR YEAR ENDED 31 JANUARY. 2022
TO THE TRusfEES OF THE REDEEMED CHRisfiAN CHUROI OF GOD IRCCG) JESUS LOVE FELLOWSHIP CENTrE
I report on the accounts of the tharlty for theyear ended 31 January, 2022 whlth Is set out on pages 7-11
RESPEcfivE RESPOMSIBiullE5 OF THE TrLisfEES ANDTHE EXAMINER
7he Charlt*s Trustees are re¥￿nsible for the preparation of the Accounts. The tharitvs Trusteeg conslder
that an Audlt Is not requlred for th15 urmler Settion 145111 of the Charitie5 Act 2011 and that an
Independent Examlnatlon15 needed.
It Is my responslblllty to:
Examlne the Accounts (under Seaion 14511> la} of the 2011 Act.
Follow the procedures lald down In the ge1￿31 dlrertbons gfven by the Charity
Commissioners and
State whether partlcular matters have come to my attentlon.
BASIS OF EXAMINEWS STATEMEI
My examination was carried out In ac¢ordano with the 8enefal dlrttuons grrfen by the Charlty CommLssloners.
An examlnation Includes a revivm of the AcCoUn￿n8 record5 kept by the tharlty and a comparlson of the
Accounts presented with those records. It also indudes conslderatlon of any unusual Items or dlsc105ures In
the accounts, and seeklng explanatlons from you as Trustees concernln8 any such matters. The procedu￿5
undertaken do not provlde all the evlden¢e that w¢)uld be requlred In an aud￿ and consequently I do not
express an audlt oplnlon on the view 8iven by the accounts.
EXAMINEWS STATEMEIIT
In connettion wlth my examlnatlon. no matter has come to nry attention to 8l¥e me reasonable cause to
belleve that In any materf31 respect the requirements.
To keep Accountln8 re¢4yds In accordance wtth the requlrement of Sectlon 130 of the Charltles Act
2011; and
To prepare Accounts whkh accord wlth the accountlng técords and to comply with the Accountln8
requlrements of the tharltles act 2011 have not been met: or
to whl¢h. ift my opinion, attention should be drawn in order to enable a proper understandln8 of the
accounts to be reKhed.
SIGNED
FF&
7, Mossbrook DrNe. Manchester
M38 9TJ.
Ip
DATE:
RCCG-Jesus'Love Fellowship Centre." Report5fvr the Yearended31st Januory2022.

RCCG: Jesus. Love Fellowship Centre. Leigh
ststement of Financil Activities for the Year ended 31st January, 2022
Notes 2022
2021
In¢omln8 Resou
Voluntary Donatlons
Gift Aid ReceÉved
Total
41,019
5.208
46,227
30,654
30,654
Resources Expended
Charitable Expendlture
Grants Payabl&lnstitutional
Cost of Activltles in furtherante of Charfty's Objects
Management and Governance Costs
Total Resources Expended
3,960
30.670
1.605
36,235
3,960
22,061
2.4100
28,421
Net Incomlndloutgolngl Resources
Total Funds at the Be8innin8 of the Y¢ar
Balance at the end of the Year
9.992
9,117
19,109
2,233
6,884
9,117
RCC6-Je5U5' Love Fellow5hlp Centre.. Reportsfvr the Yeor ended 31stJonuory* 2022.

RCCG: Jesus, Love Fellowship Centre. Leigh
Balance Sheet as at 31st January. 2022
Notes
2021
Flxed Assets:
Tanwble Assets
5,120
4,640
Current Assets:
Bank and Cash Balances
14.389
4.877
Total Assets
09
9.sly
Uabllltles:
Amont Due wlthln l Year
N•t Ass•ts
.109
.117
Charlty Funds:
General Unrestrfded
19.109
9.117
Total Funds
.109
9,117
The Accounts have been prepared In accordance with spetlal provlslons of
Statement of Recommended Practlce.. Accountlng and Reportlftg by
Charitie5150RPI Issued In Marth 2007 as modlfied for smaller Charlties.
Approved by the Trustees on: ...2.2.1......LQ.-...12022.
an(i Slgned on their behalf by:
Mrs Esther ITEMAN
RCCG-Je5us' Love Fellowship Centre.. Report5fvr the Yearended31stJanuory. 2022.

RCCG: Jesus, Love Fellowship Centre, Leigh
Notes to the Accounts for the Year ended 315t January, 2022
Note I
Accountlng Polldes
a The Accounts have been preparedunder the Historical Cost
Convention in accordance with applicable Accoufiting Standards.
They follow Best Prartiw as stated out in the Ststement of
Recommended Practice: Accounting and Reporting by Charities
ISORPI15sued In March. 2(K17 as modified for small Charltles.
bl Income Is accounted for on Actual Receipt Basis whlle Expenditures
are recorded on Accrual Basis
cl Flxed Assets: Comprfse of Motor Vehicles. Musical Equlpment.
Offlce Equlpment and Fumlture Iterns. and are stated at Cost Less
Depreclatlon
dl Depreclation is provlded at rates calculted to wrlte off the cost of
the assets Iless expected dlsposal value) over experted useful live5.
The followln8 fdtes apply:
Motor Vehlcles..
Computer and Other Equlpmerrt:
Funlture & Flttln8S
Note 2
Donations. Le8ades and Slmll•r Incom1￿ Re¥￿T¢
2022
2021
Thhes
Offerlng
Thanksgiving
First Fruit & Others
30,135
6.966
1,493
2,425
41,019
23,642
3,377
1,775
1,860
30.654
Note 3
Glft Ald Recelved:
5.208
RCCG-JesU5' Love Fellow5hlp Centrc." Reportsforthe Yet7r end¢d31stJanuaryJ 2022.

RCCG: Jesus, Love Fellowship Centre, Leigh
Notes to the Accounts for the Year ended 31st January, 2022
2022
2021
Note 4
Grants P•y•blfrln5tltutlon•l
World Evangelical Mission IWEMI
Central Office Funding
3,360
3,360
Note S Cost of Actlvltles In Furtherw of Charlty Objects
Visiting Speakers Expenses & Honorarfum
Tralnlng and Seminars
Rent. rates and Licences
Utllltles
Welfare Expenses
Motor Vehlcle Expenses
Insurance
Depreciatlon
Repairs and Maintenan
Evangelism and Outreach events
3.170
4.814
1,650
397
3,164
7.829
1,381
897
2.970
200
245
1.363
5.923
1,100
731
2,280
618
30,670
22,062
Note 6
Management and Governance C¢)sts
Admlnlstrative, Legal and Profe55ional expenses
Independent Examinerfs fee
1.20S
io
RCCG-Je5U5' Love Fellowship Centre." Reportsfor the Yeorended 31stJonuory. 2022.

RCCG.. Jesus, Love Fellowship Centre, Leigh
Notes to the Accounts for the Year ended 31st January, 2022
Equipment
Funlture
& Fittin8s
Total
VeNdes
Note 7 Flxed Assets
At 1st February. 2021
Addltion5 durln8 the Year
Disposals
At 31st January•
2700
521M)
35
11,4(X)
3,450
2,950
8.150
14,850
D¢wttlatlon
At 1st February* 2021
Charge for the Year
DIsposa15
At 31st hnu•ry. 2022
1,620
2,ICKI
6,760
2.970
1,630
2,160
4.670
9,730
Net Bookvalue
At 1st February, 2021
2.160
At 31st January. 2022
1,100
5,120
31 kn2021
Note 8 Bank B4￿n¢
Bank Balances
Cash
14.389
4.877
14,389
4,877
Independent Examiner's fee
li
RCCG-Jesus' Love Fellowship Centre." Reportsfvr the Yeor eftded31stJonuary, 2022.