Comy4ny Number. I2￿a3
Charity Number. 1193058

Page
9-11
Notes to the Ststements
13-18

O]aiumoke Olubiyi
AbiduD Okuwjya
Barking
EGII 7L
Fabek A￿)CiateS & Co Lld
RMIO 8AR
Comp4Dy Number. 12W03
Chariry Number. 1193058

J•
i)
Prnctice applicable to Charities preparing their accounts in accordance witb the Fmanci
ReFK)rtin8 &andard appli(3bie in the UK ¥nd Republic of Ireland (FRS IIy2) (effective l January
2019). The Cbarity is governed by a constitutio
To establish Churche& cell groups and community eenrres (any Church xr up underthi8
power shall be hereinafter referred to as Wie Chureh.).
To set up. and support day nllrseri￿ playth]s And (*her educational
and fellowthip.
To co-ordina*. advise and adminity thurcl
To cry out and dlreet discipleship. evangelistsc. missionary ard ecumenical aaiviry.
principles.
back into soaety.
To develop. equip and empower F(yle to be people with Integrity in order to face the
impctyed by The Ckwiries Act 2011).
To make grdnts or loans of money and to we guara￿￿.

We invite qualified hea]th care professiorth ro do health check.u￿ to advices on hea]th
Fund8 wbicb art not TequiTed for immediate use or wbicb will ￿ requ7Ted foru* at a ￿tUre da
must be placed on detM)sit or inverted in att0rda￿ with dwiry regu]auoDs until needed. The
Trustees must comply with the requirrnts of The Chaririey Act 2011 relating to the keeping of
all profesgional advice obtsined.
prepared in accoTdwe with sukn 6.5 al￿ve must be a￿lIable for iwion by any
A copy of the J•tex available statement of acciNnt be supp]ied to my person who
Clwitia Act 2011).
Oknbiyi O]Jiull
Abi(xlun Okn
are subiert to re-ele￿ every five year& Ag 30 Novemkn 2(r21. the Bo8Td had a nwnbeTship of
three (3) people. The Board meets three times a year to agree key N)]icy decision4 set the strategy
for the cbarity and oversee its perfornwice. At present the B￿d h&$ comlluttee members who
are responsible for the day to day activities of the ckniry. None of the committee ￿￿]￿berS is

Tntr will have an induction programme by (xberTntstees aTd receive an information pack on
the Charity and its finances. Beyond this the Cbariry follows the c(xle of prdcti(T for governan
produced by the GOvenW￿e Hub. Q>mpauy law requires the Trustee8 to prepare financial
The sy5tell￿ of intend control are deAgDed to pmvide reamble. nrt aknlute. a8Jurance
They include:
A strategic plan and annual budget approval by the TTUStees
budget
yi;
statements in accordance with applicable and regulations.
state whether app]icable UK AccowiliD8 have been followed. subject to
accuracy at any Dme the fAnancial PL￿tiOn of the charitable company and enabk them to
ensure that its statements compty with the Clwitie8 Act 2011 a8 aIn￿a￿ They bave
a&stts o£the cknitable con4>any and to prevent and detett fraud and other irre8ukntie&
The trustees who beld office at the aate of appo)v31 of this tnjstees, reTr￿rt eonfirn thaL so far

We reprt on the accounts of the Tnjst for the year ended 30 Novem1￿ 21r21. whR& are set
on Pages Ioto 19..
We hAve examined the finallci￿ Jtatements of the Redeemed christi￿ Church 0£ God Gloryland
Connections (the clwity) for the year ended 30 November. 2021 which the Statement
of Financial Activities the Balance SheeL the Statement of Cash F]ows and the related Dow,
been applied in their preparation. its applicable law and United KiDgdom Accounting
Standard8. including Financial Reporttng Standard 102 . The Financi￿ Reponin8. gtsndArd
applicable in the UK and Republic of IreJaDd' (United W Generally Attepted Ae¢ountin8
Prarti¢e).
The financial statements have been prepared ID accordance with AecountiD8 and Reporting by
applicable in the UK and Ryb]ic of Ireland (FRS I(Y2) in preference to the Accounting and
the GeneTg1ty Acce￿￿ Aecountin8 Pzac¢ice effective for reporEtng periods ￿8innIng on or after
l January 20I5.
In our opinion the financial st¥remenr
Give a true and fair view of the state of the dwirf8 affair8 as at 31 March. 2021 a7MI of
Accounting Practice: and
The ebaritys tru5rees are resp)n8ible for the preparation of the accow1￿ The charity's tn￿ee$
coL8ider that an audit is not required for this year (under section 4y2) of the Charities Act 2011
(the IW3 Act)) and that an indepeThkn exami￿￿0￿ is needeL It ￿ OUT reswxwbiliry to:
' examinethe accounts (under section 43(3)(a) of the 19¥3 Artl.
Comri￿One￿ (under Secrion 43(7)(b) of the IW3 Act); and
To state whether parriakn matters haye come to our atttlltio

the c}￿rAry and a compariy)n of the accounts presented with those records. It a]so indlldes
' to keep accounrin8 records in accordance with section 41 of the 2011 ACL"
To Prepare accounts which accord vrith tbe accx)untin8 records 4Jkd con4)ly with the
(2) To which. in our opinion. attention should be dTrvrn in order to enable a pr(bper
This report is made solely to the charitYs trustee& as a bjty, in accordance vritb Parr 4 of the
Charities (Accounrs and Repzts) Re8u]ations 21Th. Our exami￿￿￿ of the accounts has ixen
body, for the indeFndent ejamiwon worl or for the OPiniODS we have form
Fabek As￿lateS and Co
32 Dewey RLMd
Dagenham
RMIO 8AR

2021
2021
2021
2020
30.372
21,910
TotAI I￿0￿¢
76,412
76,412
64.456
75,(
64.584
64,584
(1281
(128)
1128)
(128)
(128)
679
128
4rd knies.
io

2020
{128)
{1.2￿)
1.328
Totsl
L*At yeAr
Totsi Fundi
2020
2021
2021
2021
(128)
(128)
Reco8nIi￿ atsl beknt
128
679
679
(128)
Clo•kn8 z•veJllw fund#
679
679
128
Tothl
L••t Ythr
2021
2021
2021
2020

REDEEMED CHRIsfiAN CHURCH OF GOD GLORYLAND CONNEcfIoNS
2021
2020
)3r2
21.910
4&0d)
76.412
64.456
76.412
64,456
74.865
240
63.&74
240
470
75.605
64.584
(128)
(128)
128
12

2021
2020
Fixd A•iet•
assets
Current
sh at bgnk atst in h
N¢t curThnt u•ets
(41)
(1.088)
The total net uiet• of the
679
{128)
Th• total n•t u••r• of the ch•rky are fvthd by the of the ch•rky. u fo]kn:.
679
{128)
679
679
128
128
ACL
Trustee
Approva4 by d

FOR THE YL4R ENDED 30 NOVEMBER 2021 4,"
The financial statements have been prepared in accord￿ with the clwiiies SORP (FRS
ReporllD8 Stsndard app]ieable in the UK and Republic of Irelana ffRS 102) (effective I
January 2015). the Financial Reporting stand￿ app]icable in the UK and Repllbjic of
Ireland (FRS 102 and the Charities Act 2011.
The rtatements have been prtparnl to sive a true and hir view and have
departed from the C￿￿111e$ (Accounts and Reprts) Regulations 2Ci18 ooty to the extent
required to provide a true and fair view. This departure has involved £ollowin8 the
Charities SORP (FRS iiY2) publithed on 16 Juty 2014 rather than the A¢￿untIng and
B]a¢k and Minoriry Ethnic Co]Dmunity Partnenknp ￿￿et the definition of public benefit
entiry under FRS I￿2. AS￿ and liabilities are initially recognis￿ at historical cost or
13
that the income will be received and the amount of ineome can be measured reliably.
Exwdlll￿e is recognid once there is a legal or constrnetive ob]igation to transfer
economic benefit to a thinl party. It is probable that a transf￿ of economic benefits vrill
be required in 8ettiement and the amount irf the obliption can be rnea5￿ reliably.
14

Grants payable are charged iti tbe year when the offer is made except in those cases where
Interest on fi￿a8 held on deposit ij inchmld when receivable and the amouN can be
meaglled zdiably by tbe Cbariw, this is norJDally upon notification of the interest paid or
payable by the iDSfituutin witb whom the fuDds aye depO￿tr
Tall￿bIe fixed a&8ets are iDiiially reco8tii￿ at COSL After wi)gtiition under the c05t
modeL taDgible fixed assers are meaAued * cost lets accumu]ated depreciation and any
accumulated impainDent Il￿Se8. All c(ffjrs incurred to brin8 a rangible fixed as8et into i
ttsng terni leasebo]d property
Fixtures and Fittin85
Office Equipment
- ILX) years
- 5 yvJr5
- 7 years
short maturiry of three months or less from the date of acquisitson or Openi￿ or similar
accounL

laabilities are recogll￿ when is an obligation * the Balance Sheet date as a result
of a w evenL It is probabk that a tTrnsfer of econorni¢ kDefit will be required in
the debt or the am(nJnt it received as advancd payments forthe gwd5 or %Tvices it
st provide.
Where the effecr of the time is material. tbe provision is ba8ed on the pre*nt yah￿ of
those amount& discounted at the pre.tgx digcount rate that retlects the Tisks spetific to the
Tn￿ee3 in furtherance of the general objectives of the awiry and which have not been
designated for other
Particu￿ purlw. The aim and use of exh dui8Dated is set out in the notej to the
imposed by the donon or whieh have been rai*d by the Charity for particu]ar puryow.
16

CpTrnt 7Ear Current yw y¢•r Trioi Y¢•T
TotAI
2021
2021
2021
2020
JoJn
30.372
21.910
CffrrnDt yur Cprrent y••T CuTr¢Tht y*•r Prlor Y*ir
Unr•rtrkn•d R•rtth¢•d T•r•l
Total
F•Jd•
Fwnd•
2021
2021
?oii
2020
42546
42.546
Unr•rtth¢•d R••trl¢t•d Total Fttttdi Tot￿ F#nd•
C•rr*•¢ Yar
2021
2021
2021
2020
Travd4￿ ￿hl￿E1￿. (kniabk
6.163
i(x>
lJ)35
IrA)
6.265
6.263
2.395
Support CO￿ for ch•ritsble •c¢ivir
(&150
150
59.610

27
173
In
115
641
641
690
Equ4Jmenteyws
68
217
650
700
PrOhAd0tsaJh￿￿ to *dvknr4 otber tb• avd*oT oru•mlner
eMnin&￿n0ralldtyfees
920
120
2￿1
240
240
Totsl •Jpport coffs- Cumnt Year
68.842
61.719
Oth•r Ezpendltth . GoTerninc• co#•
Independent EwDll*ife
soo
470
500
470
To¢01 Ch•rltsble expendlrnre
Toraldirect
TotslN4yortcoKs
6.2&8
2.395
61.719
470
51x1
75.605
75.605
fA.584
18

land And Phnt
Motor
UaebSnery Vehic
Totsl
Colt
At I t￿￿b￿2020
12(K)
1200
At 30 November 2021
1200
1.200
Depreclation
At l L*ember2020
(hrye fortbe yeAr
240
240
240
240
At 30 N•v•mb•r 2021
480
480
N•t book T•lne
At 30 Now•mb•r 2021
720
720
At 30 Nov•mb•r 2020
960
960
2021
2020
Lo••e• Sn
2021
2021
2021
2021
2021
7&412
(75.&￿)
7&412