THE REDEEMED CHRISTtAN CHURCH OF GOD (RCCG) - OPEN HEAVENS
CHRISTIAN CETrrrRE HAIJFAX
(REGl¥TERED CHAIUTY NUMBER- 1177891)
FINANCIAL sfATEMETrrrs
FOR THE YEAR ENDED 31 MAY 2025.
CoDttDt
TnJ$i¢¢s Ajxnual Ret
Examm¢£s Rcpjrt
Stsiemenr of FinAncigl Activities
B8lan¢e Sheet
Noies ro the Accounts

The Redeemed Christixn Church of God (RCCG) - Open Heavens Christian Centre Halifax
Trustees Annual Report
For the year Ended 31 May 2015.
ThL. Redee[￿d CILtistian Churth of Gd OiCCG). OPUL HeaTrn5 Clth3tian Centse H*bfax
frs,IbJmbola E5ther.4glLO
r￿deLick Obeahon
Dr.Uex.Ideyeffli ildelakun
RCCG . Open Heavens Chtistian CtAtr Hab'h
('/() The I"arlton Cé*tte
C8dton Terr2ce
Hahfax
HX114D.
lJoyd8 BAnk
H8b'fax
BAbatunde N{o￿kU
Prof¢ssiona] SeThryc
Office 10. SYRC LIuild￿8
120. The Wicker
Sb¢fficld, S3 8JD
Rf.('C- Op¢n Ileavens Chtisii8n Centre HAk(ax vrith Ch￿lty NwThbet 1177891 wis wsteted May 2018 and
It 15 governed by a Ttu$i I)ced d*ted O Apoi 201&
The OFerall of the ch￿]ry is thc re4XmsAxl"Lry o(thc trustCC5 who ate cl¢cted ￿der the rem
of the governin8 docutnent. DIY to d#y pmiec¢ acttvity of th¢ chariry ￿ managed and carried out by Vol￿￿¢￿$.

TtU8tee8 Annual Report (CrffltsL)
For the Yeat Etsded 31 May 21125.
. Th¢ t¢b¢f of pfftrty
. c¢kbr1ti￿ of Fall￿& D•y
. Mottthty EV￿¥￿11
view ofthe ststr ofaff*Th ofthe dw.
Dlltr 2>1.,

The Redeemed Christian Church of God (RCCG)- Opeft Heavens Christian Centre Halifax
Independent Examince8 Rqxhrt on the Accounts
For the Year Ended 31 May 2015.
I report the accouots oEthe Re¢]e￿ CknistiatL Church 0(G￿ {RcCG)-O￿ HcaTCnS C1wti￿ c￿tte Halifax.
Set out on pages 5- 8
It is the respon￿bI￿lY of tht tn￿ttts to tDaiotsirL proper b￿kS and records gnd pw gccoun
The t￿stee5 consider thAi an audtt is not re9Ubttd rot this IUt)derSectkni 14413) of the Chariiies Act 2011
and that an indepttldenr ¢x2mitiation L% needed.
It L5 my reSPon￿b￿l￿ tts-.
ex2mJnc the accounts undtt Sedion 145 of the Y)11 Att
to foucw the procedures la￿ dow tti this G¢n¢ra] Dite0i￿5 ￿ by the ch￿iry Ctimull$sio
(under Section 145{5iib) of the ZOI I ACE
to $r•ic whether prtiwkr mallen hAve come to rny alteniioiL
fy exammAtion was callied out Ln accordgnce with the generjl dirtctson 8iven by the Chlriry comnussion.
An cxatninatton in¢ludts the review of the accountsn8 ttcotds k¢pi by the ¢P￿rIty of the
accoimts pr¢$ented with those rcords.
It al￿ include8 consAderaiion of any Uftusu￿ lie1￿ or dixloswu in the Iccounrs ¥nd expl￿￿ttOn
from the miBt¢eB concerning any s￿h
ThL prvccdurc$ undertaken do noi prwryde ￿ Ihe ev¥letKe thar be wuired ftn any Audii
consc4u(*dy I do nut exptess m awh'i on th¢ ￿¢w￿en by the account&
Ift conneciion with my ex*Eith*tsory no mI￿r h¥$ come ￿ my •tteThiion
. which giv¢s rne teasonsbie cautye its bebeve rh*i in *r)y m#terri*l ¥e$peci the Tequi¥unents'.
it) ke¢p *pptopri*ic ¥ccoutLting retotdj m xcord8thee wxtk *c¢tion 130 of the 201 l ilctr, and
. to prepa￿ sccounts which act0￿ with the rtcotd$ rompty with thc ¥w)unting Tequiremthts of the 2011 A.
have not been met. or
2. to which, in my Opinio￿ 8tt¢ntion shoL&i be dtawn itl order ro cllable a pmFr of the accoun1$ to be rached.
Sw¢d.. Babattjndt Nlos*ku
For & On Behalf of..
LyncaBe PtoEe33iopal ScYvi¢es
Office 10. Syac BwldLll8
120, The Wicker
Sheffield, S3 8JD
D*

The Redeemed Christisn Church of God (RCCG) - Open Heavcns Christian Centte Halifax
Statement of Financial Activities
For the Year Ended 31 May 2025.
Incoming Resources
l)¢)tuti(￿g, I￿.￿ and Othcr I￿￿Re1(A
Gth.￿d Repaimtht
Bank Interest
Totsl Incoming R¢¥owc¢B
55,626
10.725
97th76
66.354
Resources Expenses
IIonor4tsum & Gifi Expens
Rent Rates
750
10,817
1.640
1,577
6Jll
TNvel & Tr4o$portation F.xpens
ReFreshmcnts & Ho$wT#hry
W¢lf•re
6,413
Hotel & Aceomod*ttot)
991
PasioTal Gilw
Ch8rit4blc t)on2tion
8.450
5.030
3,867
3.169
Depreciation
Indcpcndent E%#mtstytion & PwfeS8￿￿ Fees
Other Expue¢s
TrJining & tknrel()pmeE)t
Telephane & Iniemei
Confcrence 2nd F.vethtS
L374
359
4,605
312
1205
1.7(K)
5392
325
Vehide Rep
4010
Pnntsng & Stgtiortery
576
95
In$uTaoce
Tot*1 Rel0￿£¢ea Expena
L711
65,664
55J98
Net Incon)ifjg / (Outgoing) Rewutce•
34012
10,956
Toi*l Fund• Bmught FOrn￿d
346J5
21,679
Total Funds CAttied Fornrd
64,647
3WS

AS At 31 May 2025.
38
45J52
Debrors
29(KJ
Cath at BADk &io Ha
57.712
Net CurttntAuetsl(l#knt4)
32
Tot•1 NdA••ets
647
Repmettted by
AcoJmulAted FutMI
R¢8ttift¢d
635
2?loi
AGI
of TH& CIMPITW I Al￿TE&S

Thc Rcdcctncd Christian Church of God (RCCG)- Open Heavens Chti8tian Centre Halifax
Notes to the Account
For the Year Ended 31 May 2025.
l AccountiDg Policie
a) Gettet*l
"Accouatlljg aud Re￿llt￿8 by Chaiities" Ststemeni of Ptactv (50RP Revised IM15}
d appiicab]e 2¢wuttting standatd&
J) Incoming ReyourceB
Alj miitnal th¢omin8 te$oU￿e# have Jxen inchjded on a receivables ba￿5 L& thty *e induded if the dlie
r¢ceiv¥blt f￿ within the peiiod coveted these by #ttount*
c) Thcse have beffi da$sified d¥yifK¥tym
)) Dcpreuxtion
DeprethA￿oN h*1 been ¢*kula*d io write down th¢ coll OT vth¥iioffj Iw tstimAt¢d vgjue o(all t￿b]e fixed #18et$
over their sei$ over thetr cxpcrtcd uy¢fid * stmght b#￿The ap￿ rAtes %r&
IusicAI & Techm'tal Equipment
loior I'ehicle
20/.
20D/o
Fixed A48etB-
Motyg Vehi¢k Mu•l(•J &Tedwiul
To￿1
Cost or Val￿ttOn
AB ar l June 2024
43.726
6291
50.017
2,549
Disposal
A• wt 31 May X125.
Depieciaiion
43,726
52.566
,1$ #t l Jurte 2024
Ch¥rBe foi thi'$ p¢riod
DispoSAI
A• ai 31 M¥y ￿25.
Net Book Ilalue
5218
&745
1.996
1.768
7,2t4
10.513
13.963
3.764
17,727
at 31 May 2011.
A8 At 30 April 2024.
2 DoD8tion$J Itgg¢i¢$ XDd othet SimiJ*t Re8OUt¢
5.076
34.839
42.803
rithe
462
17051
28.087
21678
1507
7)4
Dfferin
ThAnkSgLFin8
Projects and Seed$
Building
Cheques
L453
V,642
1.600
55.626

The Redeemed Christian Church of God (RCCG) - Opcn Hcavens Christian Centre Halifax
Notes to the Account (Cont.)
For the Ycar Ended 31 May 24125.
3 Utyrestri¢ted Fund8
These ate gtattts and don21il)n trceived or ￿ceIv*b]e for the obFrt of the dwiry without restrictst￿ as to the
PUqX)8e oFtheJr appb"cation as arc aFaiJablc a$ gened fioxd
4 TtU8tee8 Remutsttthtio￿ Benefits & Ewnae•
Tn￿1¢¢8 received )10 r¢tnun¢raDoJ4 I￿ne￿￿ OT expenges in this period
5 ReceTrpi8 and PaymeDt& Ateouiits
Betsuse the leve] of income exr*thmY¢ is below £t(Kl.(KM).(K>, thc group has opted foi *ccoJntS PLY￿ed on a r¢ceiptS
and pgymenrs r*th¢r thAn All Acctuai basi* 18 in line with Clutiry Cothmh￿elS yuddin¢s lor Small Chaniies And
￿en as ipptopii#ie fot pryecL
6 Credxtots- Amount F•Uing Due Within On¢ Y¢•r
J25
lrtdependent kxamty)*iion
Other Lreditors
650
650
7 Memberdhip & SubKtiption•
This 1$ made up ofthe follow
RLCG Lentral Office
Joo
WENI Conuibyiion
,294
8,594
8 Cteditot• Arnouttt FAJlitig Due Aftet MO￿ Th#ft One Ye*r
This 1$ m*de up of the follow8 PAym¢nts'.
FinAnce On Car
25
32,878
5,025
P/yments
ÉldthtLOtt
BAl*nLe Al At 31 May 2025.
27,253