REGISTERED CHARITY NO: 1193487 Company number 09915575
REPORT OF THE TRUSTEES AND
FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 DECEMBER 2021
GREAT LIGHT CHURCH LTD
8 SKYLINES VILLAGE LIMEHARBOUR LONDON E14 9TS
| CONTENTS | |
|---|---|
| Page | |
| Trustees statement | 1 to 6 |
| Independent examiner's report | 7 |
| Statement of financial activities | 8 |
| Balance sheet | 9 |
| Notes to the financial statements | 10 - 22 |
REDEEMED CHRI$0AN CHYBCH OF GOD. GREAT LIGHT CONNECTION
REPORT OF THE JRYSIE S FOR THE YEAR ENDED 31 DECEHBER 2Q2J
The trustees present their reports with the financial Statements of the charity for the year ended 31 December 2021.The trustees have adopted the provisions of the statement of recommended practice (SORP) Accounting and Reporting by Charities' issued in March 2005.
CHARITY INFORMATION,REFERENCE AN> ADMINISTRATIVE DETAILS
Registered Charity Number: 1193487
Registered Company Number: 09915575
Address: 8 Skyline Village Limeharbour
London
E14 9TS
Truste s: Mrs Adebimpe Ogunleye
Mr Taye Oyelekan
Mr Hafis Joel Raji Mrs Folake Rotimi
Secretary: Mr Taye Oyelekan
Bankers: Barclays Bank PLC Leicester
LE87 28B
The Management Committee presents its reports and accounts of the company for the year ended 31st Dec 2021. The accounts comply with the current statutory requirements, the requirements of the organisation's Memorandum and Articles of Association, and the Statement of Recommended Practice 'Accounting and Reporting by Charit es 2005'. This report is a Directors' Report required by S234 of the Companies Act 2006. All voting members of the Management Committee are directors.
Structure, Governance and Management
The Company incorporated as a Company Limited by Guarantee on the 14th Dec 2015. It is a 'Not for Profit' organisation. The Company was established under a Memorandum of Association which established the objects and powers of the company is governed under its Articles of Association. It registered as a charity on 1st Januray 2012. In the event of the company being wound up members are required to contribute an amount not exceeding £1.
Public Benefit
The Charity trustees have compiled with their duty to have due regard to the guidance on public benefit published by the Commission in exercising their powers or duties. This is particularly important in ensuring that projects undertaken will provide a public benefit to the community served by the charity.
4•rnlng docum•nt The ch8dty18 conlrolte(I by govemlng docunnl and 8 deed ol tW81. gnd n$t1$ o lknlted mpanY. Ilrthd guarantee. 8$ deflned by Ihe co10103 Act of 2006. ¥k Manag•m•nt The Iwste88 havo a duty lo hjenllfy and revbw the rf6ks to whtth the charlty Lry exp088d and to en8uTr that appropriate controb are In placa to provkde rn8KtrnabS8 a88uran¢a agakn8t fraud and error. The Managemnt Comrlttee have 8 taYget1ovel of unre¥trf¢ted reseNes of three InthS of CO actw, approxlmatety £10,000. ObJ•ctlv• and Alrns Our prfmry ob19ce Ls lo ad¥8n¢% the Chrfsllan faRh wyWl8 In ac)rdance and the relbf of pobpity by. En(JJuraging and pViding devebpnntal plat10 for its Trmb8rn and folk)wern. Provkling an enabling nlonrnI for peopl8 to develop peTronal reLgtk+nshtyJ vlth God EnttJurBglng IndMdug1$ to be Invofv8d In cOMrnty devekJPent and uphold sodal rnsponslbllttles. Encour8gkng nEnkn&rs to rroxlnlse avallable resourc88 8nd opportunttles to 8chteve thelr lffe GoaL8. Encouraglng Interactbn amng rrombeTr to 18verage on neng oppothntt8 The church h8$ been ablo lo athteve those obj8(10$ lo 8 lgvel by dgpendkng preilorthalety on volunteers but a8 the ¢huffh oper8tbns b8(Xmg18rgor, iv8 befx¢mg Important to have fiJ&tln Staff to m8n8g8 the charity operatKJns on dalty bask8. ThL% b due to the nged for effecten$S and effloenw In ofdor lo nwxln opportunth8 and trnnage rnsourr$ to achiève the chaws makn goal9. Dlr•ctor8 Th8 dlrgclors of th8 wmpany {KInag&mat ComNétteè). also th¢ twst•o$ undor thg Ch8[Ft3 Act. who 8gr¥ed during the yoarond and to date Mpra.. Mrs Adebimpe Ogunleye MrTaye Oyelekan Mr Hafis Joel RaJi Mrs Folake Rotimi ON BEK4LFOF TIE BOAKI: Ogunl?y• Tru•tso
REDEEMED CHRisfiAN (XURCX OF GOD GREAT LIGtrrr COflECTh)NS FINANCIAL STATEMEKfs FOR YEAR ENDED 31 DECEMBER 2021 INDEPENDEiif EXAMINER'S REiioKr We rep¢xt the flnancw aaMIts ftr the yw 31 Darnbr, 2021 are setart ( prellws page& The charWstruth $ resp<b fty the preparatTh dthe fin)1 that the audlt JuirerrEntrf Sth 412) ¢Athe Charth5Art 1933 (the Art) nrt apply. It ts my tr) YBty cn the ba prff&lure55peciftal In the Gtta1 Dlrths gen by the Charty under Sth 43(7)(b) dtheA¢ %thethtt partUr ntters have cLYreto ry attwtkn. r &¥amat pscarrbJ c4Jt In acctydance the Éeneral Dlrths dthe tharty C(¥milth)er& An eXamInatK inCdeS a rwi cf the c(nng rd5 kq)t by the tharty and a Car1 ofthe Cnts pr•tol vAh (ds. It ab) in¢escon1eratth Lf unuwalls ry dkkAre5 the flnancial ty@rr18 and sn9 explanalKffls cCning any ch ntter& The pr(Thlures und¥tsk&) do nrt prJe all the thI¢ce vthtd be ruIre tn an audL and c(mwuenty I do nct £¥press an audq)Inkn rm the by the lknanc531 lryleperylert Examln•Vs St¥t•nw In ctJ)nth nry ewlnalkn rfthe Kwjnts ncthkng caweto nry attentk)n gave nE cau to bdteve th that the financw the ¥cwnting rwds ¢Athe charty, and that th(w rwds t1th8J the LbIrts Lf theAct I am nrt are c*4ny tt) attenth be dravm In crder ID a prw unddIng rfthe finaned a&rntsto be rexh. Sbnaj by the Inddt Exarinw: WEKSKY SERVILES Chartered +•ttountsnt 9Arrdrte actse UB49
| � CHARITY COMMISSION �FOR ENGLAND AND WALES |
Charit Name: R GRTGH CNCON Annual acounts for the Peo star dae 1st JanuarI To 2020 |
Cham No � eriod **Peo en dae ** |
1193587 31st Deembr 2021 |
|
|---|---|---|---|---|
| Section A | Statement of financial activities |
| Charit Name: R GRTGH CNCON Cham No � CHARITY COMMISSION �FOR ENGLAND AND WALES Annual acounts for the � eriod Peo star dae 1st JanuarI To 2020 Section A Statement of financial activities Peo en dae 1193587 31st Deembr 2021 |
Charit Name: R GRTGH CNCON Cham No **1193587 ** |
Charit Name: R GRTGH CNCON Cham No **1193587 ** |
Charit Name: R GRTGH CNCON Cham No **1193587 ** |
|
|---|---|---|---|---|
Annual acounts for the � eriod |
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Peo star dae 1st JanuarI To 2020 Peo en dae 31st Deembr 2021 |
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| Recommended calgorles by acvit Incoming rsourcs (Note 3) Incoe and enn tra: Do o • Blildr Fo Ctito a Oth l ae lnvstnuns S ma a Ia olne-GlAd O = Gra Total Resourcs expended (Note 4) Epnlt.e on: S1 S S S S S S RSsing fin S Chit ae s Se m-8 It o_ S10 Ol S11 TW � Net lncomel(expendltur) befor Investment gainsl(losses) s13 Ne gn(lo e) o ln n S14 Nat income/(expendltur) s15 Extrorinar items s1s Trnsfer betwen funds s11 Other recognised gains/(losses): Gn ldlo o reuo o xe a f l-itsonu S18 Oth gn(l0) S19 _Net_movementInfunds S Reconc/ation offunds: TC f lefcd _Total funds_careforar S1 S |
Unrestlc1d fnds £ F01 - Restlcd Income fnds £ F02 3,40 Endoment fnds £ F03 - Tol fnds £ F04 3.40 Prior year fnds £ FOS 4,405 |
|||
15 660 43 216 ~~-~~ 201 876 177 752 |
||||
76 1 370 ~~-~~ 144 6 1 436 |
||||
8 ~~-~~ 8 ~~-~~ |
||||
43386 ~~-~~ ~~-~~ 4338 29 892 |
||||
- 202 130 27 430 75 420 ~~-~~- 27 430 277 550 21 299 23 78 |
||||
71,536 0 ~~-~~ 71,536 45,204 |
||||
93,474 42,155 ~~-~~ 135,629 71,248 |
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~~-~~ ~~-~~ ~~-~~ ~~-~~ ~~-~~ |
||||
81,709 246 719 27,430 6955 ~~-~~ - 109,139 316 30 10,924 21 376 |
||||
- 4459 5 835 - - 38 75 13 408 |
||||
~~-~~ ~~-~~ ~~-~~ ~~-~~ ~~-~~ |
||||
~~-~~ 4459 5 835 ~~-~~ ~~-~~ 375 13 408 |
||||
~~-~~ ~~-~~ ~~-~~ ~~-~~ |
||||
~~-~~ ~~-~~ ~~-~~ ~~-~~ 53 036 |
||||
- - - |
- - |
|||
~~-~~ - 4459 ~~-~~ 5 835 ~~-~~- |
- ~~-~~ 38 75 ~~-~~ 64 |
|||
64 21 855 ~~-~~ 5 835 ~~-~~- 64 27 69 ~~-~~ 64 |
4
Section B Balance sheet UM•strl¢lBd In¢om• EndOwnnI Totsl y••r Totsl la•t Flxed assets Intsnglbl• a•¥ot8 Tanglbl• asMt• (Not• 81 H•rftag¢ a880ts InstmentS F01 F02 FO8 F05 35.42S 35.425 Current assets ock8 Debtors Inv•s¢m•nts Cuh at bank & In hand (Noto 10 Total curnnt•ss•ts 10,341 10.341 10.341 10,341 È10 Crgdltors: amounts falllng du• wlthln ono INots9) B11 7,735 7,735 Total•ss•ts cunvnt Il•bllltl•s 618 27.0 Credltors: wnount8 falllng due aftor on• yoar (Not• 91 Provl¥lon$ for Ilabllltl•s B14 B15 Total n•t assets orllaljllft Funds of tha Charfty B16 Endowmont fund• Restrfct8d Incom• tund¥ Unr••lrfct•d fund• Rovalu•tlon rB•w 817 B18 819 21.855 Total funds 21,855 27.690 SwJned by ong OT truos on beha of all th8 twste&s 8wJnatu Prini Nam 2£10712,
S e(tion C Nntpfi to th caccount 2.1 INCOME TrIBndEI]¢of8QnthgPo$Sb•8b0Ofi appwbylfve Y"orW•'. •dITnI ThqsEaM kntded &arr•tholFkn•ndoi•AJhth¥ (8eFA)tsn'. the tolhe no¢Jh•dkng otaJ0 or Nl ¢2Mntsand kn th4 8oM nc4gnl ¢lYthts •r4 d1Cm rakn¢• 4r• wlè.111 kn &12 FRS10Z8ORP ontyOtx¥Jra%th•Trlhe pèrfomwnro lxndlbns mt15.16 FRS 102 SORPI L496•rn kntho rnc•btprobabkn.thJlk,Thth•rsthorn q•toIo•ndanye&1bns0trthj to tho kna•tyW4¢kn•rwthknth• oJTrII0lth• arhaw b•sn Th• rnpJW8mmThntgonknkn tho rnporthg PB GllPJ knknLJdod kn dodllrntsr¢fromthB ¢JoDty. Tu AmyGl1A wTh)UTrtrno)wJll on g th)r01kn k oJrffjhlBrndto b•PtoftrQQd a$ on ¥¢dhkn to thè funda•ihe trWldonAkn urho0th9 dDrKrrtth• tsrn•oftho oth•M. Th&lIon knrjjdgd kn thB SoFAonrA th• c•ltyh¥ WD¥knJ th• K•lodguLth•r No ofihow th•yaro rnCQ9nkqd on nr•L In th• rnpothy pfjrfod IIM 9tL¥sarn atth8 affrgjntoftho oc ol dpJtsbUin. •xp8thd Pr8¢•rmI0kn WOCied caytsofb. •nd kn'ln¢w tOther¢ C*WJ¥•r Nl Govd•don•t•d byth8 Lty•ATr d•d 1sth• SOFA wJhbkn. latu• bythD knL*d#d hi the SoFA•g knwmkndonalknMvkn•n Wo faciifa••
nto tho ofth• ty•
Jn•twJ fa(*8lhNtU4 r4cognW ailx&¢ •n undovth•apyprfi• h1?9th VLILthrts•lp rdprt
W• ¢11kn Ar•On knlh SoFAtAth•n th• kncorn cthr &r• rntis.ioto 5.12 Ff6102 8OFIPlgnd kn&Jd•dA8an th• FL Thllknrknth arunMAld on th• olknv•thwnts 12 EXPENDrfuRE AIID LIABILrriES Uthlty the tht0 pay0ultsur(¥sofj thAMt01thfj •tWJn Watshmon hJ(•tsd b•t¥ongtyYmBThX¥ oJ•ndaUW•UPPOrt Gonr) p9(JU1lbo1thQ tharftynd MD ¥nc• lth Andguod PrnLabx. wwMpIth. &41Fwbythg kn¥8peht4nd oth•rf•JJbylheuwy. W• r¢(knniptth• th8 6p8thd •oThxorauWUL PmlrAifii•WYth A13rnSUd on Trc4grfp)n at oJs1 on0th The thunrOrb#th* trthM)ntson
A•lB•Nrrflll 10.7 FRS102 SOAP. subwqu•W1*P•rPrnwPtse 11.17 trj 11.19.
102 80r&. 2.3 ASSEf8 Thr1••4•0•••ts1ry TrAq• r4pllrt Yth•yutsh then orA•>wr. Th• dgPtedslb)n dknLJgd kn not•g.2. Th¢ knthngl) rd ts880ts. thatnO4•ry BSaOtsthllt thJ hg Th•thBrfty hesb•8g• tothno&1. 9goph>%hxiof•Db*vnrnMOlqu•kn11•rn hw mthtshwd to kn0vO rnl••4nd thod$ a¥dtsdMad kn n¢t• 9.8.1A. Th4yAr•vthod ¥1 tr> (4nnotbb n¥awrnd Bt
gnd c4th ONJ ¢1gh4qUlA(Mrn1h stoth rnL¥JrnO•tth•worcf4tor•t bBwd4>n th4 •othpolBnuglprobJed bytsmof•to Dobtsofjncltdknlltade dDbbmAnd on at eJlUgnwrt4mUTri oft•ranytrnd•d>)untsor•rnunithnc•Y by1 Larfty. Subwqurynty, hal holI0r1lI orpondhg th•kgA •nd #na oknt•th • d¥10 slhan tsn• er. knthde dkpothAnd (a 8qupMknt4¥th o rMlurtyd#i•ofknBglbBn ona ygarhJ forhmktn1 puw680thvthontrt thqU•la
Gftl•J 27A e16 To 40.Ok¥) 71 Ta T47 TO TOTALxcofiE 10
S ertion C Notes to Ih Èaccount Iconll Not• 4 Exp11¢? ralthg fund8: InGLrred seek doryalk)n¥ Incurr1 $8Bkhy Wie8 Incurred 588khg grants 8ockl attertr StsgKJfvnthai4kwJ evwtS Rent, Flats. prcpwty ropatr8 aTr 71 Total •xpd#T• on AWngfund8 Ex1t ON ¥ltablo actlvllbg• ch8rttab and Pcllkal EvarvJ8&m Felrw UP £¥ Gen EYp8nses 478 FOL LkJhtTVIGLC Stsxl Chcir ExKn888 Mks SYJ 155 Pastor81 Care 345 staff TrainMg RetrgBt Exp8ll¥eS Ypc HONORNRIUM H08pltalty Tot•1 •xpondlluMon tharfW)l• 93,474 42.155 Tot
Lvltt &ccoLrt8r recbtth Ex BBnk F6 eys N8lbThl Int8rest Pd Insura IT Sofvare and cOr61bIl6 Prts)ti & Stst0 Motor Ex n88 Po8 e,Fr bl&CoL 17 17 he8 Internet Sab Pensk)n8 Cct L8 Payrwts 27430 975 975 758 758 Travel Totd otkn•r•xp•AdWur• TOTAL EXPENDITURE 316 221 376 12
S edion C Notes to th eaccounts Noto 5 Ddalh of cartaln Itoms alexpondliwè 10.1 F•w for•x•Thlnailon ot th• accounts Pl•M•provld•d•t•lls olth• •mountpakl ft>r•ny#l•tstory •xtern•lwvtlnyofaccounts 0ndothw8•frvl¢•trprnvW•d byjwur Indwd•ntwmln•r. ff nothlng w•spaldpl••4e èntsr W'ln th• Thlsy• Indowid•nt •xamh• f 10800 11150 A88ur4ne• 8•Nlcw oth•rth•n audlt orlnd•p•nd•nt •x8rnlnatlon othorfo08 {forox•npl•: flTr•nclal advk•, ConslIanty. account•ncy #•M¢w) pald tr thg Ind•p•ndent •x•mlnw 13
S edion C Notes to th e3¢counts Note Pakl am theos PIMse complgte thls not• if tho eh8rftyh •ny •mploye 0.18taff Costs Thlsy Last year Salarl•s and wago• Employ•r Natlonal Insurnnca Pon$lon costs {defin8d ¢ontrlbutlon 8¢hom8) Othgr wnployw benefit• 53.691 4,065 50.216 4,939 Total staff costs NIA Please provlde detalls of expendlture on staff worklng for the charfty whoso contracts aro wlth and •re pald by a relat party pl$8 glve detalls of th• numberof •mploy•93 whos• tot•lemplo)T• b6nellts (oxdudlng employwp•n$lon costs) f•llwlthln each band 010,0( from £60.000 upwanls. Irthern arn no Such hns•¢tlons, plea enter YNe'ln the box No omployees recolved •mployee benefflls WA (gxcludlng omploy•r p•nslon costs) forthe rnportlng period of morn Ihan £60,000 Band 000 to £39 999 £40 000 to £49 999 £50 000 to £59 999 £60 000 to £99 999 £100 OIXI to £109 999 Numb8rof em lo Volunt88rs 31 Pl•aso provlde th• total amount pald to k•y M89m•nt p•raonno1 {includes Irust8eg and swlor Managem1) forthelr •*VIc to the charlty NIA 14
Try 11 41.rn 8trawtLts1L ot [4 &TJS Y.#X*bo•k 41,m &6 15
Section C Notes to the accounts Icontl Not• 8 Crodllors and accru•l8 .1 Analyfjts ot ¢r•dltor4 Amounts luHlng du• wlthln on• y•ar Thls y•ar La#t or Amount• lalllng qlu? after mor• Ihw oft• ymr Thkn yur Last yw Ac¢ru*l• forgrnnts pay4bl• Bank loan• •nd o¥•rdrnft• Trnd• cr•dltorn Paym•nt8 rnc•lv•d on aw)unt for¢onlracts or perfom1ancwa1•d grants Accyuals and dofgrnd Incom• TaxatTon and so¢lal 8ecurKy Oth•r crndltorn 21 230 18,076 Total 4.608 82 Dtsred b¢• Pl••M complgte thls noteff Ihe ¢harffyh•8 dofonvdlftcom th• r•ason$ wh Incom•ls d•fffld. Thlj y••r LJ¥t BalgntrJ at th• •l•rt of th• ¥•portlng porlod Amounts add•d In ¢UhT•nl p•rfod Amounts rnl•a8•d to Incom•from P[01 p•rfod• Balanc• •t the •nd of th• r•portlng perfod 16
Section C Notes lo the accounts Icontl Note 9 and In hand Cash at bank Thls yoar Last yoar Short tomi ¢4•h Investments (18SS than 3 month8 m•turlty Short torn1 d•po81ts & PrayMan* Ca#h at bank and on hand other Total 10.341 38,356 17