(Registered Charit> No-
THE REDEEMED CHRISTIAN
CHURCH OF GOD- CITY OF JOY
Trustees, Report and Financial Statements for the year
ended 31 March 2025

CONTENTS
PAGE
Legal and Administrative Details of the Chariti,, its "I"rustees &
Adi'isors
Trustees, Report
Independent Examiner's Report to ihe Financial Statements
Statement of Financial Activ'ities
Balance Sheet
Notes to thc F inancial Stalements

REFERENCE AND ADMINISTRATIVE DETAILS OF THE CHARITY. ITS TRUSTEES
AND ADVI.SERS FOR THE YEAR ENDED 31 MARCH 2025
Trustees
AdeiokuntN) Olufunke Adenike Oluwatobi
2. Ed¢m J05¢phin¢ Ekan¢
3. Bernice Ursula Marcano
Chgrity rtRiStered Number
Dgte of charitable registrgtio
2r4 Sepiember 2020
Principgl o￿lee address
Si. John Ambulance
Si. John Anibulance Hall
Masseiis RoJd
Horley
Surre),
RH6 7DE
Independent F.xomlner
A¢¢ouniinb Assisi Ltd CIO Good to Give Lrd
7 Bell Yard
WL?A ?JR
Bankers
Barc13ys Bank
I Churchill Place, London E14 5HP

TRUSTEES. REPORT
FOR THE YEAR ENDED31 MARCH 2025
The Board of Trusiees, who are the Iwstees for charit). law puryNises, submit their annual rerx)rt and the
financial siaiements of I'he Redeemed Chrisiian Church of God - Citi, of Jo>, for the >'ear ended J I
March 2025. The Board of Trustees confirnis that the annual reTX)rt and financial statements of the
Charity comply with current statutor%' requiretnents. the requirements of the Charity's governing
document and the provisions of the Sthiemeni of Recommended Practice (SORP) FRS 102.
Strueture. governance and rnanagerntnt
The 3 Trustees are:
Elernice U￿ula Marcano
Adeiokunbo Olufunke Adenike Oluwatobi
Edem Josephine Ek'anem
The Trustees plaj. a primary role in ensurinu gO￿j governance ai)d functioning of the foundation. The
Board's role. liin¢iions and r¢sponsibililies ar¢ quit¢ cl¢8rl)' defin¢d.
The Charity CUTTently ha5 a strongy team of Adi'isor), ix)ard members in the IJK who have helped to
secure financial support and contribute ¢0 the fulure plannii)by ofihe org7w)isalioii.
Governing document:
The Redeenied Christian Church of God- Cilv of Joy m.as first estsblished on 31 December ?013. The
chariiy wa5 subsLquently reuFisiered ￿1th ihe Charii>' Comniission on ? Scpiember ?O?O (Charity
NumbLr'. 119111 I l. The governin&p documenl is a Trusi Deed daled 31 DeceiTJber 2013. as ainended
on 8 DeLember 2020.
Recruitment and appointmen( of tru5ttts:
The charity is governed by a board of trusltts. This is to ensure thai the board has ihe skills and
experience required to oversee the managemenl of ihe cliaril). and its operations. The Cliarit),
trustees are responsible lor b?eneral control and manas>emeni ofthe Lharii>'. The trustee5 g)ive their
time freely and receive no remunerdtion or oiher financial benefits.
All new trus1¢¢5 f¢¢¢LV¢ a planned indudion progrnmme b¢for¢ taking up th¢ir plac¢ on th¢ board.
This include5 an explanation oftheir roles and responsibilities. an introduction lo other trustee5, an
overview ofrecent activities and an explanation of broad forniat and process.
Risk Managernent:
W¢ arc ¢ommitt¢d to a policy of idcntify'ing. monitoring and managing thc risks that might adv¢rs¢ly
affeLt the aLlivities in which M'e a￿ ini'olved. In this Loniexi. risk is defined as the potential io fail to
achieve charity. objectives and for loss. financial and repuiational. inherent in the environment in
whi¢h w¢ op¢rat¢ in th¢ of th¢ transactions und¢rtak¢n.
The principal risk of the charity has been its de￿ndence on voluntar), income. Trustees have initiated
various proccs5¢5 to niitigat¢ such risk, so that ihc charit)" has suffi¢i¢nl r¢5¢r¥¢ In th¢ cvcnt of
adverse conditionls}.
Th¢ trust¢￿ hav¢ also ¢xamin¢d oth¢r otKrdtional ar￿ busin¢ss risks which th¢y fac¢ and confirni that
they have taken steps io miiigaie (he significani risks.

TRUSTEES. REPORT
FOR THE YEAR ENDED31 MARCH 2025
Public Bentfit:
The Trustees have complied with ihe dury, in Seciion 4 of ihe Charities Aci 2011 and have paid due
regard to public benefii ivhen preparing ihis rcwrt. T7￿ benefit provided ro the public is consistent
with thc aitns of thc charity in UK.
Objectives #nd activities:
To Advance the Christian Religion for the Public Benefit, In accor(Jance with the Tenets of Faith.
Advancing the Christian Religion by Providing premises where members of the public can Learn
about Religion. All persons are welcome not matter what Race or Religion. Advancing the Christian
Religion by Providing premises where members of the public can Learn about Religion. All persons
are welcome not matter what Race or Religion.
Fin4n¢ial rtwiew:
The largest con¢ribulion 10 the charily for ihe year can)e from genernl offerings.
The Charity currently aims to designate the total fund received less exFenses for the main objective of
the charity.
Plans for future periods:
The Charity plans io develop various fundraising Siraiegies io include m&ss markeiinb. Besides mass
marketing? and events. the charity is arrdnging to achieve lis tar&Je￿ through securing donations from
willing? individuals.
A development board may be creaied io help include oiher avenues of fundraising io be in¢luded in
the yearly programme.
StAtemeNt of Board of Tru5tee5' responsibilities
The Board of -frustees are responsible for preparing the Annual Rew)rt and the financial Statements in
aLcorddllLe with appliLable law and United Kinbdom Generdll) AcLepied Accouniinb Practice.
Charity law applicabl¢ to ohariti¢5 in England/Wales requir¢5 the Board of Trustees tg pr¢par¢
rinancial statements for each financial year which give5 a true and fair view of the slate of affairs of
the Charil>' and of the surplus or deficii of the Charity for ihat wiod. In preparing those financial
stat¢m¢nts th¢ Board of Tru5t¢¢s hav¢..
Selected suitable accounting policies and applied them consistently.
Made jLidgments and e5timate5 that are reasonable and prudent.
Siaied whether applicable accounling standards have been followed. subjecl to any malerial
departUTes disclosed and explained in the flnancial statements- and
Prepared ihe financial staiements on a going concem basis (unless it is inappropriate lo
presume thai the Charit). will continue in 0￿ratIon).
The Board of Trusttts h&$ overall resw)nsibility for ensuring that the Charity has an appropriate
system of controls, financial and otherwise. They are also reswinsible for keeping proper accounting

TRI,'%TTr.Tr.S' RF.PORT
FOR TIIE I'EAR ENDED JI IIARC-112025
rcLiird% whiLh disLlv%¢ w'iih ￿￿￿￿b]L. ￿LUr￿Ly dl dii) iiiijt ilie fJnaiKial ￿7￿11101) of th¢ C.liarity dnd
cnablc IhLm io cn.%urc IliAI Ihl linancial q8lLm¢nls CnTnpl)' w'ith Ihc Ch#riiies Aci 2011. Thcy arc al￿(}
re%p()nsibl¢ lor sal¢guardits¥ thi assL'i% ol'ihe Chariiy and lience for uking ¥e&wt)abk %ieps lor the
deieLTivn pM¢J)lion of fra￿1 and oth¢r itTLgulariiies.
The B(*iir(J ()f Tru%¢¢¢4 L% tLswnsibli' for IhL' niainitNnLe and inlewity ()f the ¢c)TtxifJiL atyl linancial
inforni￿lI1on. Legj jslaiion in the Unii¢d Kin¥(Jvm ¥vuv¢mlThg The prepararlon and di%%¥minaiii)n vr
linancial %thicmen14 may diffcr fn)m l¢gislaiiorb in oihcr jiirisdiclions.
Si#tement of d15r105ure of Infom*ilo* io Indtptndffil ¢x*ffllner
W¢. th¥ TnL%l¥¢b vlthv Chan"iy who held oifL¢¢ Ji Ihe dale ut'apwo%'AI LTrfthes¢ lu)anciJl Stslemenl
gei oui on pabye 2 each c(bnlinn. w far as w¢ ar¢ aw2re. Ihai..
I hLTe is no rele%*nl irtlomitsiion ol which Llianry'% inde￿nde￿I exuminer are unaware..
and ￿'C havc illkLn all Ihe NICPS Ihal oughi i(Tr hal'e 18ken as I rusiee4 in Order Iu ii)iike
oiiThLIv¢s awdre uf an%. r¢l¢vdni infvmll￿ and 10 &¥thblish IhJl ihe C'hJnly'5 inderLnd¥nl
exllminer aw￿ of it￿1 infomiaiion.
Thi$ rew)rt approved by th¢ TTysi¢es on and signed on iheir behlllf by..
1)8te.
02S-

INDEPENDENT EXAMINER"S REPORT
FOR THE YEAR ENDED 31° MARCH 2025
INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES OF THE REDEEMED
CHRISTIAN CHURCH OF GOD- CITY OFJOY.
I report on the financial statements of the chariiy for the y&qr ended i l March 20?5 which eomprise
Ihe Slatemeni ofFinancial Activities and Balance Sheei wtih associate notes.
This report is mad¢ 501¢ly to th¢ charity's Tru5ttts. as a IMKIY. in accordanc¢ wilh scction 145 of th¢
Chariiies Aci *OI l and regulations made under seciion 154 of ihai Aa. M!. ￿'ork has been undertaken
so that I migyht stat¢ io ihc ch8rit} s Trustc¢s thos¢ mattcrs l am rcquir¢d to statc to thcni in an
independent exsmiinerfs r¢port and for no oih¢r purpos¢. To ihe fullest ¢xl¢nt t￿rnIll1¢d by law. I do
not accept or assume responsibilit). io an)'one oiher ihan ihe chariry, and ihe charity's Trustees as a
body, for my exawnination work.
RESPECTIVE RESPOiYSIBILITIESOF TRUSTEES AND EXAMIIYER
Th¢ charity's Trusi¢¢s ar¢ r¢S￿nsIble for the pr¢pgraiion of ihe fLnan¢ial $￿teMents, and ih¢y
consider that an audit is noi required for this vear under section 144(21 of ihe Chariiies Act 2011 (the
Act) dnd that an independenl examinalion is needed.
li is my responsibility to..
Exainine ihe accounts (under Section 145 of ihe Charities Act):
To follow the procedures laid down in ihe General Directions given by the Charity
Commissioncrs lund¢r Se¢iion 14515Kbl of the Charilies A¢tl: and
To State whL¢her partiLulaT matters have coni¢ to my attenlion.
Basis of Independent Examiner's report
My examination was carried out in accordance wilh the General Direciions byiven by ihe Charity
Conimissioners. An examination includes a review ofthe accountingp records kepi bj the Charit>, and
a compari50n of ihe accounts presenled wiih those records. li also includes consideration of any
unusual iiems or disclosures in the accounts and seekinbtr explanations froni you as trustees concerninb
any such matters. The proLedures undenaken do noi provide all the evidence ihai would be required in
an audit. and oons¢qu¢ntlY no opinion 15 giv¢n as lo wh¢th¢r lh¢ accounts pr¢s¢nt a 'tru¢ and fair
view and the rew)rt is limited io those matters set out in the sthiement below.
Indepertdertt Exgrniner's 5tstememt
In connection with my examination. no matter has come to my attenlion-
l ) whiLh bwives me reasonable cause io ￿lIeVe Ihai in any maierial respeLi the requirements..
to keep accouniing records in accordance wilh seciion 130 ofthe Aci.. and
to prepare financial s(a(emen(s thhich accord wilh ihe accountinb¥ records and comply
with lh¢ accounting rcquircmcnts of ih¢ Ad have noi been mcl- or
2) to which. in my opinion. aiiention should be drdwn in order to enable a proper UnderS￿nding
of th¢ financial stat¢m¢nt5 to ￿ ￿a¢h¢d.
Signed..
Dalcd.. 0611012025
Anum HA4¥an. F'CCA
On beh; If (Il- AcLiiunting Assist Ltd

STATEMENT OF FINANCIAL ACTIVITIES
(Ineorporating ineome and exptnditll￿ aeeount)
FOR THE YEAR ENDED31 MARCH 2025
Unrtstricled Restrieted Total Funds Total Funds
2025
21125
2025
2024
IYote$
Incoming resourc(%
Donations and legacies
Gift Aid
Investment Income
107.596
19.591
1,262
107.596
19,591
1,262
39.371
7,585
1,013
Total Incoming resources
128.449
128,449
47,969
Resources expended
RaisinL Funds
Charitable Activities & Church Running
Costs
1,798
1.798
7.420
29,738
29,738
16.568
Financing Costs
Governance Costs
12,320
1.8
12.320
1.800
2,265
Total Resources expended
45.656
Movement in total fund for the >'¢ar- Nei
income l {extKnditurel For ihe year
82,793
82,793
?1.716
Fund balan¢e broughi
forward
102.876
102.876
81,160
Fund balan¢¢ ¢arri¢d
forward
185.669
185.669
102.876

BAI..INC'Tr. %IITr.F.T
AS.4T 31 M..IRC"H 2025
21124
2015 2024
2024
FIXF.D ASSF.TS
'I'anbkJbl¢ a%K'Is
354214
4.924
CURRF.NT ASSF.TS
t)ebior5
L-asli ai bank
Yl¢.X51
CIthDI'I'URS: amoLmlÉ tallin8 due
.7.5 X4
-xw
EI. CURREIYT A&SETS
97.952
CR Tr-.Iii'r(IR%: amounts ftslling d
ul)L'r onL y<￿T
215.5(M)
YF.T ASSTr:TS
1115.th)9
11I2,X7q
C'IIAKI I'l &L
LlnrL'4lncIL￿ fiinds
Re%iricied lunds
185.669
102.875
TU-r.IL FLIND.
102J174
The linanLial %taicnients were arvmved hy Ihe'frusiees signed their behi11f. by.
N#me
DAte..
Thr notr3 Ott 12- 16 fomi w¢ of thuc financMI siai¢n1cnts

NOTES TO THE FINANCIAL STATEMENT
FOR THE YEAR ENDED31 MARCH 2025
ACCOUNTING POLICIES
Basi5 of preparation of financial 5t4tements
The financial siaiements have been prepared under ihe historical cosi convention and in
aLcordance with Financial RetKTrrting Sthndard 102. Ihe Financial Reporting Stsndard
applicabl¢ in th¢ IIK and R¢public of Ir¢land (FRS I O?) and ihc Charitio SORP (FR8 102).
The charity is a public bcncfii eniiry as defined b5. FRS 102.
The financial siaiemenis present all funds of ihe charity as unrestricied unless a donor has
imrK)scd sr¢cific ￿StriCtiOns. Thc accounts havc b¢¢n pr¢par¢d on a conc¢rn basis.
Fund accounting
General ￿ndS are unresiricied funds which are available for use ai ihe discretion of the
Truslc¢s in furth¢ranc¢ of the general objectives of the charit). and which have noi
desigjnatcd for other Purposes.
Restricted funds are funds which ar¢ io be used in accordance with specific restriciions
imp()s¢d bv donors or which have trten raised bl. Ihe charil). for particular purposes. The costs
of raisingT and adminisierinuj such funds are charged against the S￿c]riC fund. The aim and
use of each resiricied fund is sei oui in ihe noies ￿ the financial sthiements.
In¢oming resources
All incominbi resources are included in ihe Siaiemeni of financial aciivities when the charity
has eniiilemeni to the funds. ¢¢rtainiy of re¢¢1￿ and lh¢ aniouni ¢an b¢ measured with
sufficienl reliabilily.
Donated services or facilities. which comprise donated services. are included in income at a
valuaiion which is an esiimaie of the financial cost knme b). the donor where such a cost is
quaniifiabl¢ and me&surabl¢. No in¢ome is recognised where th¢r¢ is no financial cost trA)rn¢
by a third party.
Income lax recoverable in relation to donations received under Gift Aid or deeds of covenant
15 recogni.sed al the time of the donation.
Re50urce5 expended
Expenditure is accounted for on an accruals basis and has been included under expense
categorie5 that aggregate all costs for allocation to actii'itie5. Where costs cannot be directly
aiiribuied to particular activities. they have been allocated on a basi5 consistent with the use
of the resourcLS.
Fundraising costs are those incurred in seeking voluntan, contributiOll5 and do not iiiclude the
costs of disscminating infoTmalion in support of the charithble actii'ities. Support Costs are
Ihose costs incurred directl J. in support of expenditure on the obj￿tS of the charity and
include project mana&Jement carried out at Headquarte￿. Governance c05t5 are those ineurred
in conncciion with adminislration of thc charil)" and ¢omplianc¢ willi Constitution￿ and
statuiory requiremenis.

NOTES TO THE FINANCIAL STATEMENT
FOR THE YEAR ENDED31 MARCH 2025 (Coniiftued)
Grants pa*able are charged in ihe >'ear when the offer is made except in those caseg where the
offer is conditional. such grants ￿Ing recognised as exttnditure when the conditions
aiiaching are fulfilled. Grdnis offered subjeci io condiiions w,hich have noi been mei at the
yearend are noted as a commiimeni bui noi accrued as eypendiiure.
2. VOLUNTARY INCOME
2025
2024
Donations and legacies
GiltAid
107.596
19.-591
1.262
39,371
7.585
l.oli
Inv¢simeni In¢ome
Total Income
128,449
47,969
3. Debtors
2025
2024
Gift Aid Receivable
5.675
Tot¥1 D¢btor$
5.675
4. Creditor5: amounts falling due ￿'1th1￿ one ve8r
2025
2024
Othe Loan
GIK)d io Give
959
6.626
899
Total Creditors
7J85
899
101 Page

NOTES TO THE FINANCIAL STATEMENT
FOR THE YEAR ENDED31 MARCH 2025 (Coniiftued)
5. Creditors: amounts falling due after one year
2025
2024
Mortgage
Loans for Building
188.500
27.IMM)
Total Creditors
215JOO
6. Tgngible Flxed Assets
TangTibl¢ lixed assets are Stated at COSt less accumulated depreciation. Depreciation 15 PTovided on a
strdigihi.line basi5 10 wriie otTihe cosi of asseis over their estin)aied useful lives as follows..
Moior vehicles: 2￿/0 Sirai¥hi line Depreciaiion
ixiures & F ittin85'. 20:.0 Reducing Balance Depreciation
Building?s'. 50 years Strdiuyht line {commencing in 20?6 when the property comes into usel
Land is noi depreciaied.
Motor
Vehieles
Fiilure5 &
Fittings
Buildin% Total
Cost at l April 2024
6,000
7.395
13.395
Addilions
9il
)5?.038 352.969
Cost #t 31 Mareh 2025
6.000
8J26
352.038 366J64
Aceumulated depreciation at l April
2024
(i.600)
14,871)
(8.4711
CharbTe for the year
Accumulated depreciation &t 31
March 2025
11200)
(1,479)
(2.679)
(4JOO)
(6JS0>
(11,150)
Net book value at 31 March 2025
1200
1,976
352,038 355314
Net ￿K)k Yalue at 31 March 2024
2.400
2,524
4.924

NOTES TO THE FINAIYCIAL STATEMENT
FOR THE YEAR ENDED31 MARCH 21125 (Conlinued)
7. RF.SOURCF.S F.XPF.NDF.D
2025
2024
Raising funds
Costs of generating donaiions and legacies
1,798
7.420
ChAritable activities & church running expenses
Charitable actii'ities direct costs
Motor & travel
11,268
1.440
5,329
1,881
4.767
4,423
Rent
Property repairs & mainienance
Vehicle repairs & main(enance
585
785
2.840
769
20)
3?0
414
General insurances
IT. software & related
StationeTy & printing
SubsLriPtions
TelephonL & broadband
Sundry
Depreciation - fixtures & fillings
Depreciation - motor vehicles
222
278
708
210
490
86
91
1.479
1.21K)
2.?98
1.200
Subtotal Ch4ritable actii'ilifs & Church
expenses
29.738
Financing costs
Mortgagc int¢￿51
Financing charges
9,4?5
2.895
SvbtotAI Fin4nciThg costs
12J20
Governanf e costs
Governance support
1.81M)
2.765
Total resources eipended
45,656
26,253