Annu41 Report and Accounts
Period ended 3010412024
Company Information
page 2
page 4
Balance Sheet
Independent Examinerfs 5tstement
Notes to the Accounts
page 6
page 7
Pa4eld7

Red•mpkn Falth Worshlp Centre CIO
Company lftformatlon
Trustees
Errol RoyJohn5t
Mlklred Ramsay
Amette %valn
Ivy May Johnson
Sandra M?rie Hemley
BJnk•rs
Lloyds Bank pk
15 BlackheathVilla8e London SE3 9LH
istEred Offlce.
8 Old J¥me5 Street
Nunhead
London
SE15 3TS
Re8lstered Number
C￿20509
1171Z581
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Tnts$ Reptyt
The trustees presenttheir arthual teport and accounts forthe period ended 30 Apfil 2024K
The company was engagèd in ¢harftable and rell6ious artlvlties.
Thetrustees who seNad up to the Oate of thls report were asfoll(wJs:
Ilame
ApFrfJlnted
Reslsned
ETMI Roy Johns(
Mildred Ramsay
Arnette Swain
Ivy May Johnson
SaThdTr Marle J4eml
OV09n(U9
OV0912019
OV0912019
O1/(￿fto2I
01/0612021
The company Is 8 Charitablè Incorporated Oryanlsatlon $0 the trustees do not hold any shares in the
company or recelve any dividend payments.
The report ofthe directors has been prepared In attordano with the special pmM5ionsof part 15 of
the CompanlesArt 2￿6 relating to small companies.
Thts arnwal ieportww èwo*d IK)ard 30 NDvwhber 20
EThol RoyJokns%yn
Chair
Sandts Marie Hemky
Mildred Ram5a¥
Tntstee
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Redernptlon Falth Worshlp Centre CIO
Income and Expendlture Account for the period from l May 2023 to 30 Aprll 2024
Notes
2024
2023
Income .
Generdl Donation5
Gift Aided Donation5
Gfft Aid Tax Refund
Other Income
215
21341
5335
175
17705
4421
Total Income
26891
22341
Expenses .
Premises Rentsl
Musicians and other Honoraria
Speakers Gift5 and Other Donations
Insurance
Equipment Purchased
Hospitality, Entertainment and Special Events
Petrol and other Travel Expenses
Accountsncy
Internet
Other Motor Expenses
Stationery and Pririting
Training and Development
Subscriptions
Advertising and PR
Repairs and Maintenance
Information and Publications
Equipment Hire
Sundries
5259
1745
1438
1362
910
872
595
565
165
165
151
150
loo
25
1855
1446
1287
995
2C(I
406
529
207
165
150
loo
420
234
70
672
200
Totsl Expendlture
13702
12636
Operating Surplus
13189
9705
Interest Receivable
Surplus on ordinary activities before taxation
13243
9705
Tax on surplus on ordinary activities
Surplus on ordinary artivities after taxation
13243
9705
Dlvldends
Retalned Surplus for the perlod
Income and Expendlture account brought forward
Income and Expendlture account carrled forward
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13243
33193
46436
9705
23488
33193

B31arKeSheÈt*s At 30Apdl 202a
Notes
20Z4
Cash at bank
Cash In Hand
40471
2642
27967
1328
471￿1
33n2
Qedltor5: Amountfalungdue wlthin orbeyear
565
33193
46436
33193
C•pltal and Resrn.
C311ed up share capltal
33193
Surplus Funds
46436
33193
General Fund
Building Fund
45884
552
32641
$52
Tota Assèts
35
Forthe perlod erbding 30 April 2024 the company was entytled to exemptlon under sertlon 477121 of
the Companles Art 2006.
The members havE not ¥equkdthe comparyto obtakn an authtln a¢cr*thnce sectlon 476of
the CompaniesAct 2L%)6.
The trusteÈs acknowledge their responsiblllty for comptying 4Wtth the requirements ofthe Art with
respect to accountin8 records and for the preparation of accounts which includes,,
Ensurln8thEt the conwany ke￿ woperacc0untl￿ recor(15 which cornth with
settion 38Q" and
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IM)
PrEpHringarrAwDts ¥thich slve a true and fa5r¥kwof the stste of affalrs of the
company as atthe end of the fin3nclal year, of its wofft and loss forthe financaal
year, in accordance with the requirements of 5ettlon 393. and vthlch othemse
complywith the Tequlrements of the Companles A£t relatlnE to accounts. so far as
applicable to the tompany.
These accounts have been prepared in accor￿ce wlth the provlslons appIl￿ble to cOm￿nIeS
subject tothe Small companies regime.
Errol Roy Johnson
Chalr
Sandra Marle H&Y*ley
Mild￿d Ramsav
Trustee
P4¥rth& ty the bo3Td on Io November 2024
IThde￿dent Examlnerfs Statément
Red￿ryt￿Tr Faith Wlsrshlp Cenve c￿ is a tharitable IncorpLfdted Organ15ation ané is a Registered
(tsiity. The clwitys trthtsÈ5 Cl)Td6erthat aa audit is not requlred forthis year under secdon 43(21
of the Charlties Art 1993. In connection with my examlnation no matter ha5 con)e to my attenti¢ll
whlch glves me feasonable QL*se to belleve that in any material respÈtt the requirements:
(a) To keep accounting records itt actordance with 5ectloA 41 af the 1993 Act; and
{b) To prepawe accowrts vdlkh arcwd the accountlr£ fecorts gnd comply wlth the
accountlrE requlrements ofthe 1993 Plt
ha* not been met; orto which. In my opinlon, attentlon Should be drawn In orderto obtain a
proper understanding ofthe attountsto be reached.
Bruce Embleton MSC ICPA
Faith in Finance timited
8 Old Jan*s Street
Nunhead
London
SE15 3TS
3 0 November 2024
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testo the AttO￿ts lorth8 period l Alky 2023to 3OApf1121J24
l. A(￿u￿tIng Pollc
The accounts have been prepared underthe historleal cost conventlon.
Ir￿Qme represents the ifivdced value of goods and servlce5 SUPPlled bythe company net of Value
Added Tax and distounts.
The char5ty has no reserved hjnds at the presentttme, nor have 8ny operated durlngthe accouftting
pth covered by thts set ofaccounts.
The company is ? Charitsble Incorporated Organisatlon without shareholders. As 3 resuft no taxes
are.payabSo on Its surplus funds and there are no dividends payable to shareholders.
Trade Credltors
Bank Loans and Overdrafts
565
porationToX
VAT
Sa13rles
Charitable Deductlons
5. Sh•re Capltal
Due tothe Compan￿ts ststusasa ClwitablE Ineofporated OrgaTr1&7tlon there Is authorlsed share
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