REDEEMED CHRISTIAN CHURCH OF GOD (RCCG)
CITY OF DAVID
REPORTS & FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31ST DECEMBER 2024
CHARITY NUMBER: 1091990

REDEEMED CHRISTIAN CHURCH OF GOD (RCCG)
CITY OF DAVID
al and Administrative Information
CONSTITUTION
The charity is constituted under a Trust Deed with registered charity number 1091990.
TRUSTEES
The trustees who served during year ended were as follow:
Olufemi Alabi (Chair)
Adewale Taoreed Alli
Samuel Adah Odaudu
Damola Akindutire
CHURCH
RCCG City Ot David
Snodhurst Bottom
Walderslade Road
Chatham
Kent ME5 OLU
BANKERS
Barclays
HSBC
CAF
IIYDEPENDEIYT EXAMINER
Flourish Global Consulting
1_4 firm with Chartered Accouniatjts & Managejnent Consultants)
Unit 9 Chall¢ng¢ House
616 Mitcham Road
Croydon CRO 3AA
Page

REDEEMED CHRISTIAN CHURCH OF GOD (RCCG)
CITY OF DAVID
Contents
Page
Legal and administrative information
Trustees, Report
Independent Examiners, Report
Statement of Financial Activities
Balancc Sheet
Notes forming part of the financial statements
10- 12

REDEEMED CHRISTIAN CHURCH OF GOD (RCCG)
CITY OF DAVID
Trustees Report For The Year Ended 31st December 2024
The Trustees present their report together with the accounts for the year ended 31 st December
2024. The accounts have been prepared in acLordance with the Statement ol Reeominended
Practice 2005 and other applicable laws.
Structure Governance and Mana
ement
The charity is constituted under a Trust Deed with registered charity number 1091990.
a} Method of Appointment or Election of Trustees
The management of the ¢hur¢h is the responsibility of the Trustees who are ele¢t¢d and
coopted under the tem]s of the Trust Deed.
b) Policies Adopted for the Induction and Training of Trustees
The induction process for any newly appointed member of the trustees comprises an
initial meeting with other Chair and other Trustees, followed by a series of short meetings
with the Minister in Charge on the powers and responsibilities of the Trnstees.
c) Organi5ational Structure and Decision Making
The Charity IS OTganised so that the Trustees meet regularly to managJe its atfairs
There is an administratorlaccount personnel that handle the daily affairs of the charity.
d) Risk Management
The Trustees have assessed the major risks to which the charity is exposed, in particular
those related to the operations and finances of the charity, and are satisfied that systems
are in place to mitigate our exposure to the major risks.
Page 2

Redeemed Christian Chureh of God {RCCG)
Cit). Of David
Obiectives and Activities
a} Policies and Objectives
The objectives of the church are to advance the Christian religion for the public benefit in
accordance with the doetrines of our Lord Jesus Christ, through the holding ot"pra}'er
meetings, lectures, evangelism, distributing of literature and tracts, broadcasting and such
charitable means as the trustees consider appropriate: and the relief of poverty.
b) Strategies for Achieving Objectives
The Charity has adopted the following strategies for achi¢￿'Ing the above objectiTr'es:
Organising serninars and events with proven speakers and ministers of the faith to guide
members in the various aspeets of the Christian faith. and support for other charities and
Christian events.
c) Activities for Achieving Objectives
Advancement of christian religion.
Community outreach events.
ProTr'ision of welfare support to mernbers.
Provision of support to other charities.
Confcrcnces and Events.
d) Grant making Policies
In line with the object of the charity.. to reliet"poverly and the advaneeinent of Christian
religion worldwide. The charity has a policy of supporting missionary organisations such as
the Festival of Life, World Evangelism Mission and other charities and members of
the congregation who are in need, (this is at the discretion of the trustees).
e) Volunteers
The charit)w is grateful for the gJood efforts of its Voluntee￿ who are involved in service
provision. The charity has a N'olunteer coordinator to ensure that best value is derived
from the sterling etyorts of our volunteers.
Page 3

Redeemed Christian Chureh of God {RCCG)
Cit). Of David
Achievements and Pcrformance
a} Review of Activities
The charity is consolidating the gains of previous development and has successfully
ministered to the needs of various social groups within and outside the church. The charity
provides forum for manpower development for its members to be equipped, educationally,
socially and spiritually. It offers various counselling sessions to the needy, unemployed. and
educational and Tnrikes referriil wheneTr'er the need arises.
The charity proN'ides counselling services to members of the Community. We have also
embarked on various training programrnes to equip more church volunteers with the relevant
eounselling skills that will help them setve the community better. We continue to support and
encourage young people by providing a Youth Church where teenagers meet on Sunday
afternoon under a caring, supportive and encouraging attnosphere.
The charity still continues to t"ulfil its inain objectives, by creating t"acilities to help develop
the whole man, spiritually, mentally and physically. We have invested time, energy and
mone! into activities and programines that has helped preN'ent youth crimes, depressions in
people. child abuse and such social vices that are eating deep into our society.
Financial Review
a} Reserves Policy
The trustees have established a policy whereby the unrestricted funds not committed or
invested in tangible fixed assets ('the free reserves,) held b}T the church should be 3 months
of annual expenditure. At this level, the trustees feel that they would be able to continue the
current activities of the church in the event of a significant drop in funding.
b) Principal Funding
This is provided rnainly through voluntary offerings and tithes by church members and
through gift aid scheine. Pledges are also taken tor specific projects.
Page 4

Redeemed Christian Chureh of God {RCCG)
Cit). Of David
Pl#n$ for the Future
a) Future Developments
The charity aiins as part of fulfilling its main objectives, to continue to explore various ways
of spreading the gospel of Christ in an effective manner. The charity is also looking to grow
in membership and continue to develop its nieinbers to make life-changing impact in society.
Statement of Trustees, Responsibilities
The Trustees are responsible for preparing the Annual report and Financial statements in
accordan¢¢ with applicabl¢ law and r¢gulations.
Company law requires the Trustees to prepare financial statements for each financial year.
Under the law the Trustees have elected to prepare the financial statements in accordance with
United Kingdom Generally Accepted Accounting Practice (United Kingdom Accounting
Standards and applicable law). The financial statements are required b}, law to giTre a true and
fair view of the state of affairs of the charity and of the sutylus or deficit of the charity for that
period. In preparing these financial statements, the trustees are requested to..
Select suitable accounting policies and then apply them consistently-
Make judgements and estimates that are reasonable and prudent-
Slat¢ whcthcr applicablc accounting standards and statcmcnts of r¢¢omm¢nd¢d practice
have been followed, subject to any departures disclosed and explained in the financial
statements;
Prepare the financial statements on the going concem basis unless it is inappropriate to
presume that the charity will continue in operaiion.
Page 5

Rtdeemtd Chrliilan ch￿th ofGod (RCCG)
Citv Of Dai.Id
The T￿￿te¢S are resp>Thsible for keepiog woper a¢countinbTr records. w,￿1£￿ diwlose with
reasonablL accurncy at Iiny time the fmancial posilion of thL Charity and io Lnabl¥l them to
ensurl that die fjnancial stallments comply with ihL GenLral DirectioLs given b>. tlie Lharity
Commjssion. -fhey are also responsible for sateguarding tlie assets ol" the charity ond hence
for tsking ￿asonable steps for the prevention attd deteclton of fraud and thher irregularxties.
rnval
011.1012025
This report Wds approved by the ljoard of tn￿tee3 on ... .
its belolf by:
Samuel Ajah Odaudu
and signed on
Signature..
01-10-2025
Page 6

REDEEMED CHRISTIAN CHURCH OF GOD (RCCG)
CITY OF DAVID
Accountants I Inde
endent Examiner's Re
ort For The Year Ended 31st December 2024
We have examined the financial statements on pages 2 to 12 which hgve been prepared in accordance
witli the accouiitiiig policies Set out on page 4.
Respective responsibilities of the trustees and independent examiner
The charity trnstees are reponsible for the preparation of the financial 5tatemei)ts.
The trUs￿eS consider that an audit is not required for this year (under section 144 {2) of the charities
(Act 2011) {the 2011 act).
It is our responsibility to..
* examine the accounis (under section 145 of the 201 l Act..
follow the procedures laid down in Ihe General Directions given by the Charity Commission
(under Section 145151{b) of the 2011 Act; and
to state ￿hether particular matters have tome to my attention.
Basis of independent examiner's report
Our examination was carried out in accordance with the General Directions given by the Charity
Commission. An examination includes a review of the a¢¢ouniing records kept by the organisation
and a comparison of the accounts presented with those records. It also includes consideration of unusual
items or disLIogures in the accounts and, seeking explanation from Jou as trustees concerning any such
matters. The procedures undertaken do not provide all the evidence that would be required in an audit
and consequently, we do not express an audit opinion on the view given by the accounts.
It is Liur responsibility to fomi an independent opinion, based on my examination, L)n those financial
ststements and to report on my opinion.
Independent Examiner's Statement
In connection with our examination, no matter has come to or atteiition..
l) which gives us reasonable cause to believe that in any material respect the requirements
• to keep accounting records in accordance with section 130 of the 201 l Act,. and
to prepare acounts which accord with the accounting record5 and to comply with the a¢countin¥
requirement of the 2011 Aci have not been met.
2) to which, in our opii)ion, attention should be drawn in order to enable a proper understanding of the
accounts 10 be reached.
Signed..
(-•
IA fiTtti i%'iih Chdrtered ALLt)untdnt% & Ccin5Uli￿L%I
Unit 9 C.hallcnge House
616 Miccham Rnad
Cr())dnn CRO 3L4
Date..
8th October 2025
Page 7

REDEEMED CHRISTIAN CHURCH OF GOD {RCCG)
CITY OF DAVID
StAtement Of FinAncig1 Activities For The Year Ended 31st December 2024
Note$
UDrestri¢ted
Fund
Restricted
Fund
Tot#1
2024
2023
Incoming Resources
Voluntary Sour¢es- tithes, offeriiigs.
donation5. thanksgiving, etc
Gift Aid Reclaim
455.696
455,696
297,422
55,407
55,407
33,357
Miscellaneous receipt
other income
investsnent income
11.693
11,693
122,289
Total ineoming resouree5
522,796
522.796
453,068
Re$our¢es Expended
Cost of generating funds
in furtherance of the charity's objectives
Managenient &. Administratioi) of C.harit!
185,010
163,912
254,053
207,481
Total resources expended
439,063
371J93
Net in¢oming r¢$our¢ts l (outgoing) resourees
83,733
Other recognised gains and losses
Gr055 Transfer between funds
Net movement in funds for the year-
Net incomellcipcnditurc) for the yt4r
83,733
81,675
Total funds brought forward 11112024
Prior Year.4djustments
Prior YeaT Adjusttnents
1,393,608
1,311,934
12.724)
Totil Funds Carried Fornard At 31st December 2024
,474,$99
I J93,608
Name..
Samuel Ajah Odaudu
Sign..
Date..
01-10-2025
Page 8

REDEEMED CHIUsTI￿N CFtURCH OF GOD (RCCG)
crry OF DAVID
Bd*nce %heei kn Ai Jl•t Dece•ther 2•24
¢d •41¢ts
Tangibl¥ aiaers
1.993.81J6
1,936,87¥
Cirreat
D¢￿ts
C&h ai and in h*)d
511.803
491.330
49SJ3I>
Cr*dh•rJ; f*llty2 dtst *.hhlo o*e Y
et e4rrent *A*ts
378.103
356,730
Ci¢dli•rn (￿tt% dtst afttr )'¢*r.
1897.400)
1900.0￿)
Llablldm. Atspw Iuwbluthsl
lJgJ.4•1
LTr4RESTiucfED FUYDS
1,474J419
1,39Jth
FuAd b*l•ncts
1.474
lJ93.th•1
Bo•rd •f TrMt*eL. Naft*.'
Samuel Ajah Odaudu
SiW¢.
DAtL.
01-10-2025
P•x¢ 9

REDEEMED CHRISTIAN CHURCH OF GOD (RCCG)
CITY OF DAVID
Notes To The Finan¢ig1 Siatemenl$ For The I'e*r F.nded 31st Dt¢¢mber 2024
l. A¢eountlng Pol￿￿e$
The Financial SI8Lements has been prepared under the hisiorical c￿1 eonveniion, in a¢Lordan¢e with
applicahle IJK Aca)unting.Standard8 and also %%'ith the recoinmendatinns In the Statement of Recominended
ALLvunling I'iailiL¢ ISOKI'I ALLounlinbT dnd KepDninb b}. chdrilie￿- ibsuvd in Oclvber 2005
"Ile Lharitv has Idken adi'antage of the exemption ol'Trinancial Rewrring Siandatd No I Irotn the
requir¢tnents to produce a Cash Flow Siatwent on Iht grouiid Iliat it quglifies 2% a small ¢hariiy gpplicable
acoiinliii8 standards and the chanlies SORP (Slalement of Reconimended Piaclicel
1.21 Fund.4ccouDIiDg
Gen￿￿1 funds are unrestricted ftinds. which are alailable lor use at the discretion ot-the Iriistees in lurtherallce
ofihc gcn¢ral objc¢lii'LS ofih¢ ¢ompan!' and ￿h1¢h ha￿l ntsi b¢Ln designaiLd for oihcr piirpos¢s.
DesI￿ated funds coinpri£e unrestricted funds tliat have beeii sel aside the trustees for particular piirposes
-llie aim and use ufeaih desi￿441gd (und ivill Ihen be set uul.
IJ) Tangible filed #s5etS
Tangible lixed assets are included al cost
¢pr¢cigiion 1s proi'ided on all ian8ible fiY¢d ￿$¢1$ ai raies calculated to wri* off th¢
cost over their expected usehil li￿eS as follows
FixiurLS, fi111ngs & Lquipmcnts
Motor i'ehicles
20010 i¥ritt¢n doil'n i'alu¢
20/0 writLen down value
1.41 Ineoming Resour£ts
Incom¥ is mainl? from Vullin￿rY coniribulions from m￿nberg of the ¢huT¢h and bank inieresi
receil'ed ￿'￿ich are Included In the financial £tatemellL£
1.51 Resource4 tXPeDded
All expenditure is acLuiinted fi)r vn an aLcEual basis and are classified under headings that aggregate all ci)sls
related to tht ¢at¢gori on a ¢onbiqt¢ni ba$1s v¢ar to )¢3r. Managtin¢nt aiid adm1nisirgtion c￿%1$ gre Ilios¢
IncLirred In coiinection with adminislralion ol'lhe organisalion and compliance ivith conslilulional and
sraiuiorj, r¢quirem¢nis.
2. Dtbtors
2024
2023
Other debtors
8.000
4,000
2024
2023
3. C.reditors'. Amfjunt falling dut after ODe vtar
)97.400
50Q.QfjO
897.400
400,000
500.Q()O
9(M).000
Loan 2. RCCCJ Nigeria
Page 10

Redttmtd CbTi5tiaD C.￿￿T¢￿ Trf Gfjd (RCCGI
Clty OIDaiid
ote5 Continued..........
4. FiIcd Assets
Buildi￿8
FixtllrE5
Fiiiings &
EqUipMe￿t
lotOT
oiricE
Mu5Lcal &
Tt<hDicgl
21)24
Tvthl
EquipmeTht
C.o$t
At l Janiiary 2U24
Add1110ns
.894.423
94.579
12.706
125.509
20.979
239.9U9
33,68)
At 31 Dtctmber 2024
1.932.983
107.285
146.48R
273.594
DepreciatiTrn and Ivritten off
At l JaniiaTr 2024
Charg¢ for Ihc year
Ar 31 Dteembtr 2024
92.768
2.903
9.5.671
99.7i
4.955
92.768
12.2.%4
iofj.n22
109.082
7.928
et BMk VAlue
At 31 December 2024
1,932,983
37,41)6
11,893
1,993J96
Ai 31 Deeembtr 2023
1,894,423
2.%.778
14.866
1.936,87
S. C.reditor$'. Amount falling du¢ within one y¢4r
21)2
Loan frotn Rccti LOD l￿nbrIdge
l oan from p￿tor
ACC[L￿15
2i.UOD
115.000
i.700
23.000
600
141,70
138.600
6. Ineomlng resour¢es
Unrestricted
runds
Restricted
runds
Totsl
2024
2023
Tithes. Offering & ThthqgiTring
tiift Aid Reclaim
455.696
-Si,407
455.696
297.422
33.3.$7
122.289
Redttmed (brIsda￿ Church IRC'CCI
City 01 DaTrid
tes tontinutd...........
Page 11

7. Cost of ￿eneralIn￿ (und$ in furtheran¢e
of the charitTr'5 obje£ts'.
2024
2023
Council Tax & FJu$1nt6s Raies
Honoranui
Ch01r, Kcyboard & Musical Exp¢nsL
Eleclricits. Gas &. Fuel Ilighl. heat & wii'eTI
Cl¢aning
Water
Children & Teenage DeparLmeni
Vehicle Expeiises
Church Outr¢aeh, Advcrtiscmcni & Publicilv
B￿kS & Teacliiiig Maleiials
Coinmunity F.vent%
VvlunieerJ Expenses
Hall hire
Proio¢ol F.xp¢nses
Other I'hurLlI ALlivilies
Training Meeting£ & Conferenc&s
ChriSlian11)' Ild%anwm¢ni
Weltare Supp)rt & Hospitality
28.029
24.717
42.578
4,128
550
30.458
12.4%2
26.897
7.58)
l.i57
1.464
10.073
9,990
i49
2.173
4.739
6,586
2.47
5.S89
33.094
3.169
185,01
163,912
8. ￿[all￿geMent &.￿d[n￿lS¢r￿tlDn of Charity
2U24
2023
Chariiabl¢ donaiions
Central Ottice Fund
2.470
WF.M Fund
Oih¢rs
Lhuich Running Expenses & Administration- chariLible activities
Tr3v¢llillg F.xpenq¢
Hire ufE4uipmenl
Printin& Postage & Stationery
R¢pairs &. Maint¢ttance
In5UTance
Conqultanvv fe&
LLgal & ProfLssional F(￿5
Sof￿.are & IT Expenses
Fjues &.Subs¢riptions
Lvmpul¥r Cus15 & Consutnables
Wages & Salaries (incl einplojeffs Nll
Pensions
Lredil lard chaTBe5
Ilwik Charges
Sundrj E.¥PLnsiS
Telephone & In*mei
Accountallc￿ feeWlnde￿nde￿t EYatniner'£ Fees
Depreciation
f1Xtur¢s & equipm¢nis
ol'lice equipmeiits
tnvlvr vehiile
3..%27
il.497
1.5.367
1.903
15.369
21.879
1.50tJ
2.400
1.676
467
2,692
135.405
6.427
2U6
779
6)9
i.n09
74
3,217
3,700
2.903
2.97i
9.3)]
4955
244.053
207,481
Samuel Ajah Odaudu
Sign
Dale".
01-10-2025
Page 12