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2021-11-30-accounts

REGISTERED COMP.4INY NI"MBER.. 11074815 {Engklld and Wales) REGISTERED CtrI,4RftY Nl3fBFIi. 1178570 lie EE of the Trustees u￿0dlIed Financtal S(a(enknts (or the I'￿ar F.nded 30.November 2021 The RthnKd Christian chll￿h Of( Ro%'a] I Iotsse OIGrace KThplon CO[&dti￿ Ltd Bthing IGII 7BZ

The Redeemed C. ristian Church OfG(xI R 'ai I louse Gjltirate ntents of the Financia].StaremettLts For Ihe I'car Endcd 30 Ni oYemkKr20?1 Repirt of the Trustees Independent Examiners Rewrt Sracement of Financial Ac(i14ties Starement of Findncia] P(sition S[a[ell￿nI of Cash F]ows Notes to the Starement of Flows Notes to the Fkwjctal Sraternents tktailed Statemtnt of FinaDcial ActiiiDes 13 to 14

The RLdeemed Christsall ChuLrh OfGo Roval Flousc Of Grace rt of the Trusrees lor the I'¥ar Ended 30 Xi ovember?021 I"he LrnsLtes ivho4lte a]sodirvctors ofthe cbarirylorthe pUrP￿S ofthe Companies Aci 2(KhS, prtstnc their Tewrt with the fi.nancial sratemenLs ￿ the charity lor the yw ended 30.NovemFKT2021. The trustees adopted the proi'isions of Accounting and Rep)rting bi. Ch￿lties.. Staicrnent of Recommended Praciice apPli￿b}e Lo charities prepring Lheir accounts in aLcordancc with the Financial Rew&ting StaDdatd applicable in the UK and Republic of Ite]and (FRS 102) (effecciit lJauuary 2019). STRL',Ct[IRE, GOVF_RNANI CE AND MLNAGEMENT Gvv¥ining d(Kutnent "Ih¢ chariri, isconrrollcd b} its goi'ernlngd￿U￿*llÈ.adeed of trus(2nd constiLUtcsa limi￿dComPa￿y. ]imited bi'guaralltee, &8 detined by the Companies Act 2(￿. REFF.REXCE AND.4DMINISTiL4TIVE DET.￿ls Reglstered Compny 110748t5 (Ell¥]&Dd NI'￿￿5) Registered cknity numFtr 1178570 Regi8tered irffice 3 Foxglove Close I￿nd(]n N9 8LW Ms A OAkinioye MLS J C(K)kry Gam CollTrpny Set￿t Pastor K Cooke%, G Independent Fxaminer Olu.g)la 112kinw2 AL.iA Krypton Consulting Ltd ihartered iertifi.ed Accountants &Tax Advise Town Qua} Kvharf Barking Approved by orderofthe LKANI ol M￿ree$ on.....-. .%_Land Signed on fftts EEha]fby'. rs J C(￿keY Gam . Page I

Independent Examiner's Report to the Trustees of The Redeemed Christian Church Of God Royal House Of Grace

Independent examiner's report to the trustees of The Redeemed Christian Church Of God Royal House Of Grace ('the Company')

I report to the charity trustees on my examination of the accounts of the Company for the year ended 30 November 2021.

Responsibilities and basis of report

As the charity's trustees of the Company (and also its directors for the purposes of company law) you are responsible for the preparation of the accounts in accordance with the requirements of the Companies Act 2006 ('the 2006 Act').

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 as carried out under section 145 of the Charities Act 2011 ('the 2011 Act'). In carrying out my examination I have followed the Directions given by the Charity Commission under section 145(5) (b) of the 2011 Act.

Independent examiner's statement

I have completed my examination. I confirm that no matters have come to my attention in connection with the examination giving me cause to believe:

  1. accounting records were not kept in respect of the Company as required by section 386 of the 2006 Act; or 2. the accounts do not accord with those records; or

  2. the accounts do not comply with the accounting requirements of section 396 of the 2006 Act other than any requirement that the accounts give a true and fair view which is not a matter considered as part of an independent examination; or

  3. the accounts have not been prepared in accordance with the methods and principles of the Statement of Recommended Practice for accounting and reporting by charities (applicable to charities preparing their accounts in accordance with the Financial Reporting Standard applicable in the UK and Republic of Ireland (FRS 102)).

I have no concerns and have come across no other matters in connection with the examination to which attention should be drawn in this report in order to enable a proper understanding of the accounts to be reached.

SholaMakinwa

Olusola Makinwa ACCA Krypton Consulting Ltd Chartered Certified Accountants & Tax Advisers Town Quay Wharf Barking Essex IG11 7BZ

Date: ...28 August 2022.....

Page 2

Thc RcdeemLd christiall Church OIGryi ,d] l.louse Oloiracc Statement ol A¢¢iiryti Inco an Income and F nditure Accouni the Year Ended 30Noi'tmE*r2021 30_11.20 TorAI Unrcstrieted lunds Notes INC.OME AND ENDOWMENTS FROM tknnaiions and legaLies 16209 27,118 chartubk artivitits 'neraJ 25J43 Total 41.352 27J18 EXPENDrtURE ON LtKa] Pr()jectS 635 Charitable activities Gen£￿1 12.264 9249 Other 3262 3,445 Total 15526 13329 N'FT INCOME 25020 13.789 RECONCILL4TION OF FUNDS Total funds brought fo￿￿1 28.419 14.630 TOTALFLNDS C4RRIED FORWARD 54245 28.419 Page 3

The REYleemed Christian Church oEG(NJ i House OICifdL Slatell￿nI ol Fillallciaj Position 30Novemkr2021 30.11.21 Unrestricted lunds 30_11.20 Total nds Nores FIXF.D ASSETS Tan%ible assets 3,2(K) CLFRREKf ASSEts ai EAnk 55J70 27.694 CREDITORS AmounL5 I￿]in% due within one y (3,275) (2,425) , ET CURRENT A&SEts 51,895 25269 TOTAL ASSETS LE&S CLRRE￿r LIABILrriES 54.295 28,469 C.RF.DftOR% Amounrs falling due atter Ihan one Svdr (50) (50) NET A￿E[S i4.245 28.419 FUNDS UnrestricEed ￿nd8'. General fund 54245 28.419 TOTAL FLNDS 54245 28,419 The thariublt company isentiiled mexernption fromawlit underkction 471otthe Companies Aci 2(￿ fortheyearend¢d 30Nov¥tn&-r2021. The tnembers have requi￿ the comtwry io obtain an audil ol its h"nancisl statements for the year ended 30 Novern¥*r2021 in accordance with Section 476 olthe CornFanies Art 21K)6. The (rustees acknowledge theirTrstx)nsibilities lor ensuring thai the charffttable c05n￿n). keeps accounD"ng records thai cornply with Sec(ions 380 and 387 0£ the Com[￿leS.￿¢t 20(XS and preyanng fi"nan¢ial state]r￿n[S which give a mle and fairview of the state of atta1￿ ol the chan"table eompany as ar the cnd ofcach linanLidi ytrarand ol its surplus ordefi.cit fortach financd yearin accotdan¢e with the tequireTnents of Sections 394 and 39) and which othetwist eomplj. ¥Yith the requiretDents ol the CoTnp&ni¥s ALt 2(￿ relating LO fuw2Ci31 starements. $0 Far&8 applicable LO theebaritable compan}. (b) ￿leS fonn of tksc fir4[￿la1 s1atellt￿% Page 4 contsnued...

The Redeemed Christian chU￿h 01 C, al Housc ￿ Graee Sralement of Finartciai Position -eontinucd 30 November2021 ThEse financial staternents have prepaTEd in accoEdance with the provisionsapplitable 10 cbarirable companie.8subjecl EO the s5￿[ companies regime. Tbe linancial statements wer¢ apprO￿￿d by the of Ttusiees and authorised for issue on ............._.......... were signed on its behalf by. J Co)key Gam- Trustee Page 5

The Redctmed Christsan cbll￿h ol G( 'al House cYGrace qratementolcash Flow8 for Ihe Year Ended 30Noi'emV£r2021 30.IL21 30.11.20 Cash tlows from op¢rxting ctivities Cash generaied ftDtnQTXrntions lllterest paid 27.8(M 328 15,131 .)42 i eiesh p￿Vided by 0￿ratIngacuiryl1ts 27.476 14589 Cash flows from investÉDg artI￿leS Pu[ch￿e of ran￿ble fixed a&LS 4,OlXI Nei cash provided byl(used iDvestin%acuviries 4.000 Change iu trAsh and equi￿ents in the )rting ￿￿1￿MI %h and Cabhequithts at tht TrKgitinlng thc rep(Yting Fri(Ml 27.476 10,569 27.694 Cash and Lsh equivaknts At the end of tk rewrting period i5.170 27.694 foEm of tI￿e fuwrial yateD￿nts Pdge 6

The Redccmed Christiati Chutch OIGThl Ro '&1 HoLL5e OEGrace o tht Statemenrolcash Flows for the Year fnded 30.November2021 RECONcl￿TIoN OF NET INCOMETO NE[ C4SH FLOW FXOM OPEIL4TING AcrivttlES 30.11.21 30_11.20 Net Income forthe rep)rting periul (as perthc SttemcDt of Finanti 25,826 13.789 Adjustments for. tkpreciation ch￿se$ nieresi F￿d IL¢rvase credito 800 328 850 542 Net (ash provided by operation8 27.804 15.131 ANALYSIS OF CHANGES IP44 NE[ FLINDS At1112120 Cash Ilow AI 30nV2I Net ash CAsh ai 27.694 27.470 55,170 27,476 55,170 Toral 27.694 5).170 rM)tes lonn pwi of Yatellnts

The Redeetned Christian Church OtG(wJ dl House 01 Cirace Notes 10 Iht Financi Statements lor the Year Ended 30LN'overnlxr ?021 ACCOUNTING POUCIES of ptetmrillg the fillaDcd ststements The fi￿ncial state￿ents. ol Lhe Lhatitxble company. wkn.ch is a public F£nelii eTbrity un(kr r.RS 102. have prepated in accordallce with the Charitics SORP (FRS 102) Attounting and Rep)rring bv Charities". Staiemenr of Recornmended Practice applicable to ¢han"ues PEEEwÉng IheiracLounLS in acLY)LthDce ivitb the financial Reporring appliLable in Lhe L K dujd Republic OE Ireland (FRS 102) (eEEecti%r l Januat) l(Il¥)'. F.in2ncial Reporting Srandard 102 "1"he b"inancidl ReEx)rting Standard applicable in the UK and Republic ol Ireland and chc Companies Act 2tKkS. The financial SLatements havt iren prepTEd under tbe htstorical Costcon￿nI1OrL .411 income is recrygni.sed in the $tate￿￿Tr[ of Finalle￿I ActiTrllties once the chaLif>' has entidement w the fund5. 1¢ 1$ proEable that th¢ income will ￿ received and the aTh)uni&m be rn￿￿red teliably. Expthditu LiabiliLies aEE reco£nised a5expenditUEE as gx)n as there is a legal or construcuve oblkption committing tbe chariry EO that ex￿ndItUre. li is proknble that a trnn8ferof ecortomic ￿ne[l￿ iVtII Ix wu1￿1 in gettlementand the amount of rhc obligaiion can ￿ measured rehabl}'. EiFendirure is accounted lor on an acrn￿lS basi.5 and has Len classificd underheadings thai a￿te a]1 cosi teiaced 10 thecategory," I￿,he[eC0$ts cannot ￿dIrectlY arrribuied io particular headings they haye Eten ailocaied ro actiTri(ies on a Eosis consistent witb tbe use of Lrsources. Tangible fixed ssets tkprec&ation ts prmidd at the followingannuai rAres in order towrite off each asseE over IL5 esiitJM(ed LEse[￿l lile. Taxation I"he Lharity is exernpt from corprAEiOD cax on its chan"Eable aciivities. F"und accounting Unrestriclcd Eunds can in accoLthDte with the charitable obFctives at the discreEion of the trusrees. Restricted ￿ndS only ￿ used for tMrn"cu]ar restrirred pu[w￿5 within the objects of the charkty. Re51rictions arise when sFcifi"ed by the donoror fuuds att raised forFArticularrestricted purp)ses. FurtherLYp]anation of the Darnre and purF05e oleach bjnd is induded in Ihe notes 10 the financial sraEen)ents. NE[ INCOMW(EXPENDITURE) Nei inroTnel(&xpendituEc) is swcd afrerrharytng/(credItin￿". 30.11.21 30.11.20 tkpreti2tion - owned 2&8ets 8(K) 800 Pagc 8

The Ro edeemed ChristiaD chU￿b OFG al Housc Ot Qirnce Noies co the Financial Stattmen - continued for ihe Ytrdi r.nded 30.Noi'eTnlxr2021 TRUgtEES' REMLTNEIL4TIONI AND BENEFrts Tbrre were no truscees. ￿M￿neratiOn or (thr Etnefits lor the year ended 30 N0vern￿r2021 nor lor the ended 30NoverLber20211. Truste￿, exI￿seS TheEr were notrus(ees' t￿nseS wd Iortheyearended 30 NovetDEtr2021 norEoithe yearended 30November2020. COMPARAT]VES FI)R THE ST.4TEMENT OF FINANCIAL AcrtVITIES Unttstricted funds INCOMEAND ENtX)WMF￿Ts FROM tkinations and Icgaeies 27.I18 F.XPF.NDITLRE 01 63) I.￿al Projects Ch￿l￿ble actllrytits CILneral 9.249 lTrher 3,445 13,329 .NEf INCOME 13,789 RECONCIUATION OF FLINDS Totalfiwds bro￿ht for￿ 14.630 TOTAL FUNDS C.4RRIED FORWAKD 28.419 Page 9 ontinu¢d...

The Redtemed c.hristian ChurchOtG(xl R al House 01 L5r&ce Note8 to the financial Sratements- c(mtinu Eor Ihe l'ear Ended 30 x'o￿.¢￿ber2o21 TANGIBIE FIXED ASSEts Fixturcs 6ttings COST At 1[kttmk￿r20l0 and 30N0￿mber202I 4.000 DEPRECL4TION At I Ikcember2020 Cbkrye Eor}ear 800 80(1 At 30NovernEtr2021 1,600 NFf K)OK VALUE At 30NovemFRr2021 2.400 At 30Noveml*r2020 3.200 CREDITORS". AMOUhTS FALLtLNG DUEWITHIN ONE YEAR 301L21 30.11.20 Trade crediioES (hhere￿dirQrS 1.575 851) 1.71K) 3.275 2,425 CREDrroRS: AM0[i￿s FAUJNG DL'EAFTER MORETHAN ONEYEAR 30.11.21 30.11.20 Other¢red&tots MOVEIMENf IN FIINDS Nec movemcnt in funds At Ai 30nv21 UDrestrKted fum General fund 28,419 25.826 54245 TOTAL FUNDS 28.419 25.826 54,24 Pag¢ io continued...

The Redten￿d Chri.grian Church OtGoJ R al FIoLtse Of Grace o Ihe Pinaneial StatemenLS- Continued forihe Year F.nded 30Noi'eEnber2021 .IAOVEMENT IN FUNDS- contint Net rm)Ven￿DE ID lunds. included in the alM)ve aTtas fo]knvs." Incoming urces Rcsourlrs expended Movement in ￿ndS Untrstricted fuuds Gencra] fund 41J52 (15520) 25,826 TOTAL FUN'DS 41.3)2 25,826 com￿[￿lIVeS lor Mo￿￿nt in knnds Nei vemen( in lunds Ai 3011V20 In2q9 LinrestWed flln(is General Eund 14.630 13,789 28,419 TOTAL FLNIXS 14.650 13.789 28,419 C0ED[x￿￿tiYe net rnovemtntin hmds.included in the alxyve aJe as folkws: tttcorning Movemtni in funds exFnded llnrestr￿cd fun(k Cienerdl Eund 27.ll8 (13,329) 13,789 TOTAL FUNDS 27.ll8 13.329 13.789 Arurrenryear12 rnonthsat￿ prioryear12 rnODtbs combtEJed EX)Sition is as lollows: Ar VIY19 lIK)￿Emen[ in Ar .IO/IV21 L,nrtbtrictd ftsnds CJenerai tund 14.050 39.615 54245 TOTALFLINDS 14.630 39,61) i4,245

The Redeerned Chrisuan Churth Of Gcd a] I louse ()FGrace Noie$ 10 Ihe FiDaDcial Staicments- continued inrthe Year F:ndtd 30 LNoi'em￿r2o2I MOVEMEWt IN FUNDS- continwl A curteDt year 12 months and prior year 12 nK¥ntbs wmbined nei nMMEmrnt ID h￿ds. included aEove are &8 follows.. Inco]ning Resources ex￿Trded Movernenl in lunds LIDrestrKted huMIs CJen£ral fu]Kl 68.470 (28.8i5) .39.615 TOTAL FUNI DS 68.470 28,855 39,615 RELATED P.4RTY DISCLOSLIRES There were no ￿la[ed tAtry msactions lorthe yuretKled 30NovemFtr202L P4e 12

Thc RcdcrrTd G.b￿.￿tt3n ChU￿h 01 G(d 'al Iloust Of (Jratt tktailed Statement ol E-inanciai Act]￿ltieS for the Year F_nded 80.Noi'ember?021 30.IL21 30.11.20 INCOME AND ENDOWMENTS Donations IEyp¢tes Tiihes & Offerings txinaiion Evcnts Q]ilL Aid Others 11.735 3,640 21.786 3,332 2,0 294 162(V) 27,118 Charitabk activities Grant 25 J43 Totsl incorning 41,3)2 27.118 EXPENDftURE Other trading activiri L(Kai p￿ie£ts 310 7.5 250 OEb"ce Funds 635 C.baTif4bk 4Ltivitks Emplovee Cost Staff ETJteTtainrneni Honourarium RCCG WEU Raies Reni I'tYmis¢s RepaiL3 f£ MainenaJKc FixLutES dnd fiLUElgS 3.)86 5(N) 360 464 6 J14 440 600 464 6.114 440 8(X) 12264 9,249 Other Telephone. Fax 1£ BroadEMnd General Insurance .Sofrware. IT Supp)rt Sracionery 6r Prinlinst 493 470 392 973 218 973 21R 2.ik14 2.053 Page 13

The Rexleemed C.hTiStian Church oFG(yJ 'a] House (If (Jrace tkr&iled Statemeni of Finaneial_4ctivtities for the Yw F_nded 30.N'oi'emEtr2021 J.IL21 30.11.20 Supp)rt c(Nsts )NtTnance Accountsncy and ￿￿kee￿n8 Bank Charges 850 3211 850 542 1.178 1,392 TotaI resollrres expended Net income 25,826 13,789 This ￿8¢ does wt fonD w ofu* &atwory fuwKial st8tcll￿S Page 14