Charity number 274922
THE CHURCH OF THE LORD ALADURA UK
STATEMENT OF FINANCIAL ACTIVITIES
FOR THE YEAR ENDED 31ST DECEMBER 2020

CONTEKrs
CHARITY INFOFIMATION................ . .. .
TRUSTEES REPORT....................................... ...
ACCOUNTANfs REPORT................. ................
INCOME & EXPENDITURE ACCOUNT.... .
BALANCE SHEET............................ .. .. ..
NOTES TO ACOUNTS.................... . ...

ORGANISATION INFORMATION
WothrKJ Name: THE CHURCH OF THE LORD ALADURA
G)vemirKJ Dc(u￿￿￿. DECLARATION OF TRU￿ DATED 12Th DE￿MBER 1977 AND
SJEME OF THE 13 WiCII 1978
Telethne . 0207 703 4890
TRusfEES I MANAGEM￿ CC￿mrrrEE MEMBERS
DR. RUFUS OKIKIOLA OSHrrEW
REV. EMMANUELI BA&ATUNDE GBCm￿o￿I
EVANGEusf YAW DAVID BOAffE
EVANGEusf MARY TEMrropE osrrELU
REV. MARGAREf CULLEN
REGIsfERED OFFI￿.
25 SURREY SQUARE
WALWORTH
LONtxJN
SE17 2JU
ITrIARrrY NO: 274922
Page I

31° Dec￿nter 2020
PRINapAL Arn DURJNG THE YEAR
This year, the tharity C[￿tin￿j to pre￿, te&th, ar¥J practre the word of God to
reth many un￿dEv￿5 and many gave tr£ir life to ￿ thristian fath. Spiritual arkl
temwral wdfare was ministexej to arKJ it is beli&￿j mary wll attain etemal
safvation. Refurtishment h￿rkS Continu￿ on main ivarmth thurth was made
px)ssible during the year with the assistant of mernters a￿1 rereipt of Gift aid
refunds from ts employod memberfs tax contributions. Tr Church lea￿ a thurch
hall for the DepUcKd brarth and salvation VKJrk oytirwl d￿1r￿j the year.
srATEmE￿f OF TRusfEES' RESPONSIBIL￿Es
Charities P£t 1993 req￿re$ the tr(tst￿$ to kyepare a Statern￿ of ￿COUnts for
finarKial year, which give a true armd fair view of tr£ stste of affairs of the
tharity at the of the fiMr¥ial year arKI of ts irKomlrKJ re$cAjr￿ and
applications of r￿1)Ur￿ of ttE tharity of the
3. st* wtthr applioble xcThJntlw starKlards arKI slateTr￿t of
r￿MrrErknj prBctice have follo￿￿￿, subjed to ary material
departures disd(6￿1 arKI expkin&d In the Stat￿ of xcounts: arKI
4. prepare the ￿CoUnts on the goiThJ cOr￿n basis it ts inappropriate to
esume that the dwrity wlll contlnue in OWBtion.
5. Tr trust￿ are respmtsib￿ for keeptTrJ prow ￿coUntI1vj rÉrords, vAIlth
dlsclose r&%onable ￿r￿QY at any time the fin￿Kial Frf)S¢tlon of the
oharity to enable them to ensure that tr* axounts comply with the
ulation under of the Ltharities kt 1993. are alsD resrMJn&ble for
sa@uardirvJ assets of the ¢tharity for tskirKJ rea9￿able steps
to tPE prevention dthlion of wn)r, fra￿ arKI Cth￿ Ir￿ular1tles.
ON BEHALF OF THE TRusfEES ON THE 26TH APRIL 2021
Pag¢ 2

INDEPENDE￿ EXPMINER5 REPOI
As the dBriVs trustffs you a￿ resp)￿ible ts ttE preparètion of tIE ￿CoUnts1 YOU
considw that rquirement of s&tv)n 43(2) of chariti￿ Alt 1993 (
Act) does appw. It is my reS￿r61b1lty to slate, cfi tr£ basis of prccedures
ffied the Generdl Dir&lK)ns given Lry the (]wty Commissioners urthr ￿tiOn
43(7)(b) of the P¢ v4tsttrw particular matt&s have (x)me to ry attention.
&4SIS OF INDEpENDETr￿ EW41NERS REH)RT:
My eJaminatlon (3nl8J (Mjt in ￿cordarKE With the DlreLtions given by
the aiarity commissionws. An exam1r￿tIM a revw of the ￿C¢)Untin3
records kept by the d￿rity aryj a cOm￿n9)n of Kcounts presentejj wlth
r￿rds. It also cortsideration of any ur￿￿ual It￿nS or dI9Josu￿ in the
accounts, and explanations from you as tr￿ corKemiThJ any such
matters. prcc&Jures th) ￿ provkje all the evideKe that would be
rquired in an aLMJit, and cOrtseq￿ty I (k> &Ypress an a￿lIt opinh?n on ts vi
91ven by the Kcounts.
INDEPENDE￿ E<AMINERS ￿ATEMEpfr.
In conne£don with rrry e¥amination, rD matter has oJn* to ny attentlon, vthich
gNes me reasonaLAe caiEe to t￿le￿ that any material rw&ts ttE r4ulrem￿ts
i. to k￿p ￿coUntIr￿j r￿S in KcordarKe with 41 of the Act and
2. to prepare accounts whith &£ord vlth the axJ)untirrfJ r￿ atTrJ to comp
with ts accountlrKJ wuirements of the kt h35 Th)t n*.
6A
Mr E A Winful. FCC
EA WINFUL & ASSOCIATES
CHARTERED CERTIFIED AccouiifAirrs
UNIT 95 LILUNGsfoN HSE
LONDON N7 7LZ
Page 3

H OF THE LORD ALADURA UIQ
STATEMENT OF FINANCIAL ACTivmES
For thè yèar 8nd8d 31" Decwber 21QO
INCOME AND EXPENDITURE
Notes Unrestrlcted Restricted
2020
2019
Incoming Resources
Tithes & Offerings
85.302
85.302
147,105
Investment Income
Other Operating Income
26.507
26.507
24,517
Totsl Income Resources
111,809
171,622
Resourc£s Expanded
Cost of Activrties
(160,675)
(121,861)
Totsl Re3ourc8s Expanded
(160,675)
(121,861)
Net Incoming l (Oirtgoing) Resources
(48,866)
49,761
Funds brought forward 31112119
240.923
191,162
Deslgnated furKls utllised
Funds carried foThvard 31112r20
192.057
240,923
See notes on the following pages detoiled anatyzis of incorne and expenditure
CONTINUING OPERATION
None of the charity's adNrties were acquired or discontinued during the current and previous
years. and the deficit for the previous year.
TOTAL RECOGNISED GAINS AND DEFICITS
The charity has no recognised gains or deficits other than th& suwus for the current year
The notes fomi part of these aceounts.
Page 4

THE CHU
F THE LORO ALADURA UIQ
BALANCE SHEEf AS AT 31 DECEMBER 2020
FIXED ASSErs
2020
2019
Tangible Assets
38,827
41,534
CURRENT ASSETS
Debtors I PropayTnents
Bank I Ca8h
157,179
157,179
203.339
203,339
CREDITORS..
Amounts falling due ￿1n one year
10
(3,950)
(3,950)
Net Currgnt A88e18 1 (LIa￿.11ti8S>
153,229
199,389
CREDITORS..
Amounts falling due for more than one year
Tol81 A88ets le88 Lialilitres
192,056
240,922
FUNDS
Unrestricted Funds
11
192,056
240,922
Signature
Page 5

THE CHURCH OF THE LORD ALADURA UK
NOTES TO THE FINANCIAL STATEMENTS OF 2020
1 ACCOUNTING POLICIES
1 Arxounting Convention
The accounts have been prepared under the historical cost convention. and
in accordance with SORP 2 Accounting frir Charlbes.
Exemption has been tsken from preparirKJ a cash flow statèment on the grounds
thet the charity is a small undertaking.
Incoming Resources
Incoming Resources represents collecAions, pledges & donations, and gift aid receipts
income due in the year.
1.2 Tangible Fixed Assets
Depreciation is provided at the followtng annual ￿teS in order to write off each
assets over ￿ estimated usefvl life.
Fixtures & FittirvJs
Musical Equipment
10%
10%
Page 6

THE CHURCH OF THE
Notes to the Accounts for the year erKled 31st Decernber 2020
Notes
2020
2020
2020
2019
2 TITHES & OFFERINGS
15
unreStri¢￿ed Restric
Tithes
Colleth'ons
Thanksgiving
Harvest
Anniversary
Appeals
Building fund
Europe Diocese
29,005
7,796
9,445
2.870
45,867
23,663
17,631
14,936
7,520
7.796
2,870
26,616
9.570
26.616
9,570
37,489
Total in¢om8 received
85.302
147,105
3 Investment Income
4 Other Income
Gift Aid Refunds
Unrestrictsd Restricted
26,507
26,507
24,517
5a COST OF ACTIVITIES
Vicarage expenses
Admin & Stslionaries
Telephone
Insurance
Rent & Rates
Gas & Electric
Harvest, Aniversaries
Donations . Gift & Other Charitable Offerings
Building Maintenanc8
Depreciation
Bank charges
Total Cost of Activithes
15
(54,766)
(6,606)
(47,462)
{22,725)
(765)
(9,888)
(14,939)
(6.961)
(5,149)
(6,074)
{1.000}
(1,5041
(1,4451
{117,9111
(1,077)
(5,791)
(2,743)
(910)
(82.184)
(1,203)
(1.4451
1156.7251
5b Govemance
(3.950)
(3.950)
Page 7

THE CHURCH OF TH
2020
2019
7 BANK I CASH
Surrey Square Branch
Surrrey Square Building funds
North London
North London Building funds
Deptford Branch
Deptford Building funds
Greenwthi¢h
Westbume Park Branch
Birmingham Branch
Diocese Account
Europe Diocese Accounl
Province Account
Pension Account
TOTAL
12.328
452
3.481
4,999
432
5,246
57,284
1.586
5,460
5,045
3,121
1,965
5.686
99.957
6,171
6,385
203.339
1,746
5,580
5,837
3.621
1.934
5,686
103,958
6,171
6.385
157,179
8 DEBTORS
Sundries
10 CREDITORS..
Amount falllng due viithin one year
Sundary Creditors
(3.950>
(3,950)
9 FIXED ASSETS
Church Building
Land
Liverpool
Fixtures & Fittings
Van
Additions
12
13
14
28,000
28,000
83,970
85,474
111,970
113,474
Depreci8tion
Charge during year
71,940
1,203
73,143
70,437
1,504
71,940
NBV
38.827
41,534
11 UNRESTRICTED FUNDS
brought forward
Surplus for the year
Designated funds
Carried forward
240,922
(48,866)
191,161
49.761
192.056
240,922
Page 8

F THE LORD ALADURA UIC
12 Church Building:
The Church building was acquired freehold in 1978 at the cosl of
£ 28.000. It Ivas valued in 1980's al £50,000. Current valuation is
£940.000
13 Land @ Liverpool: The Church owns a Land at Lr¥erpool acquired at nil value. Current
value is estimated to b8 £392,000
14 Fixtures & Fittings: This 1$ mainly heating equipments. carpets, tables & chairs. musical
instruments and other equipments. Acquisition during the year is expen*#.
Depreciation is charged on its remaining net l)ook value in 2020
15 INCOME & EXPENDITURE BY BRANCH
INCOME
TOTAL
4.249
15.729
5,410
8,823
2,870
29.OOS
7,79S
9.445
2,870
Offell'ng
Thanksgivlng
H8rv8st
572
478
135
Anniv¢rsary
Appeals
Europe Diocese
Glft Ald rac4lpts
TOTAL
28,818
28,816
9.570
28,507
111.809
9,570
28.507
36.077
1.071
59,448
EXPENDITURE
Vi¢orag$ èxpgns
E*kn'rJty & G8$
14.972)
(3,595}
{4.2491
(15.7291 (25.781)
12,3841
13791
154,7e81
12.3641
13791
Transport
Insurance
11.orn
11,0771
15.7911
18.9611
Rant Pay8bl
Adrnin & Gen Ex￿n
Charty & Donatio
OtherlTransfer
Deprnoats"on
Govém8nco
TOTAL
I2.￿)
12.3781
11.155)
18151
16,9911
157,284}
175)
124,trJ)I
(7551
82.184
11.2031
13,9501
1180,6751
1111)
{1931
13.9501
152.1951 129,7111
16,1951
{5.071)
(7.30n
su￿￿8 I ID•rv￿>
{6511
{1.441)
11.2681
159,1251
7.253
148,8661
Page 9