RegistsrBd Number.. 10059822
England and Wales
RCCG GRACE TABERNACLE LIMITED
Report of the Directors aThJ Financial Ststernnts
P•rlod of *¢Gounts
Start dat•: 01 April 2024
End d*t•: 31 March 2025

RCCG GRACE TABERNACLE LIMITED
Contents Page
For the year ended 31 March 2025
Company irrformati
Directors, report
Income and Expenditure Account
Balance sf
Notes to It￿ financial statements
10
Detaibj Income Expermliiure
Stalement
13
2of13

RCCG GRACE TABERNACLE LIMITED
Company Information
For the year ended 31 March 2025
Dir•ctr*rs
BukoLa Olufemi ADENIYI
Olakunle Emmanuel FALODUN
Abjullahi Mojeed JIMOH
AbKMJun Ayodeji OLAITAN
R•gist•r•d Numb•r
11J)59822
R•glst•r•d Offie•
20 Attlee Dtive
L¢)nd
Dartford
Kent
DA15DE
3of13

RCCG GRACE TABERNACLE LIMITED
Directors, Report
For the year ended 31 March 2025
Dirgctofs rnport and financial statomonts
The directors are responsible for preparing Directorfs ReF￿rt and the financial statements in
accordance wrth applicable law and regulations.
Company law requires the director to prepare financial statements for each financial year. Under that
law the director has el8CtgJ to prepare the financial statements in accordance with United Kingdom
Generally Accepted Accounts'ng Practice Iunrted Kingdom Accounts'ng Standafds and applicable
lawl. Under company law th8 director must not approve the financial statements unless they are
satisfied Ihal they give a true and fair view of the stale of affairs of the company and of the surplus or
deficrt of the company for that period. In prepanng the financial statements the director is required to
'.sele¢t suitable accounting policies aThJ then apply them consistently .'make judgments aTh
accounting ests'mates that are reasonable and prudent.. prepare the financial statements on the
going concern basis unless rt is inappropriate lo presume that the company will continue in business.
The dir8Ctor is responsible for keeping adequate accounting records that are sufficient to show and
explain the CoMpan￿S transactions and disclose with reasonable accuracy at any time the finan¢ial
position of the company and enable them lo ensure that the financial stalements comply with the
Companies Act 2006. He is also responsible for safeguarding the assets of the company and h8nc8
for taking reasonable steps for the preventson and detection of fraud and other Irregularit￿S. The
director is responsible for the maintenance and integnty of thè corporate and financtal inforrnation
included on the
compansls websrte. Legislation in ts United KirKJd(Kn goveming the preparation and dissemination
of financial statements may differ from legislation in other jurisdicb'ons.
Prln¢lyl actlvltl•s
Principal activty of the company during the financial year was of charitable ath'vtti'es.
Dlr•¢tor•
The directors who served th8 ccwnpany throughout the pgriod ￿Te as follow8..
Adeniyi Bukola Olufemi
Falodun Olakunl8 Emmanuel
Abdullahi MoJ88d Jimoh
Olaitan Abicxjun Ayodej'i
4of13

RCCG GRACE TABERNACLE LIMITED
Directors, Report
For the year ended 31 March 2025
Stat•m•nt of dir•etor5' rnsponsiblli11os
The directors are responsible for preparing the directors, report and the financial statements in
accordance with applicable law and regulations and in accordance wth United Kingdom Generally
Accepted Accountsng Practice.
Company law requires the director5 to prepare financial statements for each financial year. UTrJer
that law the directots have 8lected to prepare the financial statements in accordance wrth United
Kingdom Generally Accepted Accounting Practice (Financial Reporting Stsndard 102). Under
company law the directors must not approve the financial statements unless they are satisfied that
they give a true and fair of the state of affairs of the company and the profit or loss of the
company for that period.
In preparing these financial statements. the director are requirnd to .
select suitable accountiro poli(ies and then apply them consistently
make judgements and aCC￿ntir￿J ests'males that are reasonable and prudent
stat8 whether applicable UK Accountiro Standards have been followed, subject to arw material
departures disclosed and explained in the finanaal stalements and
prepare the financial statements on the goirwj concem basis unless it is in8ppropriat8 to
presume that the company will continue in business.
The director are resp￿sIble for keeping &Jequate accounting rewrds that are sufficient to show and
explain the companys transactions and disclose with reasonable accuracy at any ts.me the financial
posrtion of the company and enable theffl to ensure that the financial statements comply wrth the
Companies Act 2006. The directors are also responsible for safeguarding the assets of the company
and henc8 for taking reasona￿6 steps for the prevention and dalKknon of fraud and oth8r
irregularities.
The director are responsibbe lor the rnaintenance and integnty of the corporate and financkql
information included on the cornpanys website. L&3islation in the United Kingdom. goveming th8
preparation arKI dissemination of financial statements. may differ from legislats'on in other
jurisdictions
This report was approv&J by the board and signed on rt8 behalf by:
Bukola Olufemi ADENIYI
Director
Dale approved.. 12 October 2025
5of13

RCCG GRACE TABERNACLE LIMITED
Accountants, Report
For the year ended 31 March 2025
Rèport to the directors on the preparation of the una￿rted statutory accounts of RCCG Grace
Tabemacle Limited for the year ended 31 March 2025
In order to assist you to fulfil your dutEs urvjer the Companies Act 2006, we have prepar8d for your
approval the accounts of RCCG Gra￿ Tabernacle Limited for the year ended 31 March 2025 which
comprise of the Profft and Loss Account. the Statement of Compreh8nsNe Incom8, the Balance
Sheet, the Statement of Changes in Equty and the related notes fr¢)m the companVs accounting
records and from infomiation and explanations you have given us.
As a practising member firm of the Association of Chartered Certtfi&J Accountants, we are subject to
its ethical and other professional requirements which are detailed at
http.Ilrulebook.accaglobal.coml.
This report is made solely lo the Board of Directors of RCCG Grac£ Tabemacb Limited. as a b(*Jy.
in accordance with the terms of our engagement16tt8r dated 12 October 2025. Our work has b88n
undertaken solely lo prepare for your approval the accounts of RCCG Grace Tabernacle Limrted and
stste those marters that we have a9reed to state lo the Board of Directors of RCCG Gra
Tabernac￿ ￿mIled, as a bc*ty. in this report in accordanc8 Wrth the requirements of the Assouation
of Chartered Certified Accountants as detailed al http.'IA•hww.acca9lobal.comlfaclsheet163 To the
fullest extent permitted by law, we do not accept or assume responsibility lo anyone other than
RCCG Gra￿ Tabemacle Limited and tts Board of Directors as a bc•Jy for ¢)ur work or for this report.
It is your duty to ensure that RCCG Grace Tabernac￿ ￿MIted has kept adequate 8ccountirvJ
rècords and to prepare statutory accounts th* give a Inje and fair view of the assets, liabilities,
financial posrtion and profft of RCCG Grace Tabemacle Limrted. You consider that RCCG GraGe
Tabemacle Limited is exempt from the statutory audrt requirement for the year.
We have not be8n instruded to cary out an audit or a review of the accounts of RCCG Grace
Tabemacle Limited. For this reason, w8 have not venfied the accuracy or completeness of the
accounts.ng r8cord8 or information and 8xplan81ions you have given lo us and we do not, th8reft)re,
express any opinion ￿ the statutory ac£ounts
31 Marth 2025.
Rrtmorris & Co
37 Sinclair way
Dartford
DA2 7JS
12 Oclober 2025
6of13

RCCG GRACE TABERNACLE LIMITED
Income and Expendsture Account
For the year ended 31 March 2025
2026
2024
Turnovor
100.227
96,162
(8.500)
87,662
{￿,534)
61.128
Cost of sal8S
17.149)
93,078
(41,2161
61.862
Gross profit
Administrattve expenses
Op•rating proflt
ProfiLIILo8s} on ordinary aclivlll•s b•for• laxation
Tax on profft on (*dinary activities
ProfiVILo•s) for th• finan¢l•l y•ar
61,862
51,128
61,862
61,128
70113

RCCG GRACE TABERNACLE LIMITED
Balan￿ Sheet
As at 31 March 2025
2026
2024
Fixed ass•ts
Tangible fixed assets
5,399
2,420
5,399
2.420
Curr•nt ass•ts
Debtors
43.409
35,525
313.888
Cash at bank in hand
355,043
398,462
1721)
397,731
349,413
Cr•dltors: amount falllng du• wlthln on• y•4r
N•t ¢urr•nt ass•ts
(565)
Total ass•t8 l•ss curr•nt Ilablllll•s
403,130
403,130
351.268
361,268
Capttal and r•s•rv•s
Special Reserves
Profrt arKI loss account
4.747
4,747
346.521
361,268
398,383
403,130
M•mb•rs' funds
For the year ended 31 March 2025 the company was entrtkd to exenytion from awlit under section
477 of the Cornpani8s Act 2006 relating to small ￿mpanIeS.
Directors, responsibilities..
1. The members have not requir8d the company to obtain an audrt of its accounts for the year in
queslion in acwdance vAth seCt￿n 476
2. The directots acknowledge their responsibilities for comptying with the Tequirements of the
Companies Act 2006 with resped to accounts.ng records and the preparation of accounts.
These financial statements have been prepared in accordance with the provisions applicable to
companies subject to the small companies regime.
8of13

RCCG GRACE TABERNACLE LIMITED
Balan￿ Sheet
As al 31 March 2025
The financial statements ￿fjre approved by th8 board of direciors on 12 OLthr 2025 and were
signed on rts behalf by:
Bukola Olufemi AOENIYI
Oirector
9of13

RCCG GRACE TABERNACLE LIMITED
Notes to the Financial Statements
For the year ended 31 March 2025
G•ner•l Inforniatlon
RCCG Grace Tabern￿10 Ltd, a c(xnpany limited by guarantee. is registergj in England and Wales
with registration number 10059822.
The presentstion currency is £ steriirvJ.
1. Accounting polieigs
Signlflcant accounting pollclos
Th8 accounts have been prepared under the histoncal cost convention and in accordance with
FRS 102. the FinanrAal Report'¢ng Standar(l applicable in the UK and Republi¢ of Ireland (as
applied to small entities by Section 1A of the standard)
Turnov•r
Tumover comprises trthes and offerings donat•J by church ff*mbers.
Tanqlbl• fix•d a8s•ts
Tangible fixed assets. other than freehold larKI, are stated at c¢yJt or valuation less depre¢iation
and any Provision for impairment. Depreci*ion is provided al rales calculated to write off the
cost or valuation of fixed assets, less their estimated r8sKlual valuè, over their expected useful
lives on the following basis..
Plant & Machinery- 25% reducir¥J baLan
Computer equipment - 25% Teducing balan
2. Av•rng• numb•r of •mploy••s
Average number of employees durirvJ the year was O (2024 .' 0).
10of13

RCCG GRACE TABERNACLE LIMITED
Notes to the Financial Statements
For the year ended 31 March 2025
3. TAnglbl• fix•d ass•ts
Cost Or valuation
Plant and
machin8ry
etc
Totsl
At 01 Apnl 2024
Addits'ons
Disposals
At 31 March 2025
D•pr•claOon
At 01 April 2024
Chargè for year
On disposals
At 31 March 2025
N•t book valu•8
Closing balance as at 31 March 2025
Opening balance as at 01 April 2024
11.336
3,876
11,336
3,876
15,212
16,212
8.916
897
8,916
897
9,813
9,813
6,399
2,420
5.399
2,420
D•btors: amounts falllnq du• wlthln on• y•ar
2025
2024
Olh8r Debtors
43,409
35.525
35.526
5. Cr•ditors'. amount falllng du• within on• y••r
2026
2024
Other Credrtor5
721
721
565
585
11of13

RCCG GRACE TABERNACLE LIMITED
Notes to the Financial Statements
For the year ended 31 March 2025
6. Sp•cial R•sorv•s
2026
2024
Speoal reSe￿￿S bffMJ
4.747
4,747
4,747
4,747
7. Profft and1088 •¢¢ount
2025
Balance at 01 April 2024
Profil for the y8ar
Balance at 31 March 2025
346,521
51,862
398,383
8. Gift Ald
Glft Ald Clalm•
Incoming resources Ind￿je outstanding Gift Awj Claims and this has been included as part of
acCn￿d Income.
Company Llmli•d by Gu•rnnts•
The cornpany 16 limrt•J by guararrtee and therefore has shares.
120113

RCCG GRACE TABERNACLE LIMITED
Detailed Income and Expenditure stateff￿nt
For the year ended 31 March 2025
2026
2024
Turnov•r
Trthes & offerings
1C(1.227
100.227
96,162
96.162
Cost of •al•s
Rent
7,149
8.500
{7.149)
93.078
18,500)
87,662
Gross profft
Admlnl8tratlv• •xp•ns
Training seminars and workshops
Weware expenses
Accountancy Fees
Legal and Professional Fees (All￿able>
Depreciation
COF remitance
Evangelism & outreach
Honoraria
Computer Expenses
Ststsongry & Postage
Telephone. Fax & Interr*t
Sundry Exp8nses
M remrtanc88
Instrumentalist Expenses
Charitable donation
Insurance
3.969
4,158
650
2.747
5,740
565
670
1,435
807
500
300
2.050
1,300
786
645
2,481
1.030
158
516
271
6,490
9.875
2,000
4.168
14,295
1,239
{41,216)
61,862
(36.534)
61.128
Operating profrt
ProfilllLoss) on ordln•ry *clivitiH b•ft4r•
taxallon
ProfiVIL¢>u) for th• financial y•ar
61,882
61.128
61,862
61.128
13of13