REGIsfERED CHA￿ NUMBER: 1023277
Report of the Trustees and
Unaudited financi•l Statam•nts
for the Period
l October 2021 to 31 December 2022
srAINES SYNAGOGLIE CHARrrABLE TRUST
42 LY￿ Road
Hertfordthire
EN5 58Y

srAINES SYNAGOGUE CHARrrABLE TRusr
Contents of the Financial Statements
for the Period l October 2021 to 31 December 2022
Page
Reference and Admlnlslratlve D¢tslls
Report ofthe Tn￿tt$
2 to 3
Independent E￿MIlIe￿9 Report
StJtem¢nt ol FlThandal Artlvltles
Balance Sheet
Nohs to tht Anandal Ststwnents
7 to 9
Detalled Statement of Flnanclal Artlvlti
io

STAINES SYNAGOGUE CHARrfABLE TRusr
Reference and Administrative Details
for the Period l October 2021 to 31 December 2022
Mr M B Fellman (resignej 19.4.24}
Mr A SthripFer {re99￿j 19.4.24)
Mrs M
Mr M Shefras {aw)inted 18.4.24)
Mr R Fox (ap￿Int￿ 18.4.24}
PRINCIPAL ADDRESS
Stsines sYna￿ue
Stsi
Mi(*Jlesex
TWI8 4PR
REGISTERED CHARITY NUMBER 1023277
INDEPENDENT EXAMINER
Chart¥&l ACc(￿n￿nts
42 Lytton Road
Bamet
H￿￿Ordshire
EN5 5BY
Page I

srAINES SYNAGOGUE CHARrrABLE TRusr
Report of the Trustees
for the Period l Ortober 2021 to 31 December 2022
The trustees ￿es￿t theor rewrt vlth the flnandal Stat￿￿* of the charlty for the period I (￿Ober 2021 to
31 De￿rnL￿r 2022. The trus￿ have ath>ptèJ the provi&ons of Accounting and Reporting by Charities: Statement of
Recommended practi￿ aWKabk to charitres prwr¥J their ￿CoUnts in accordarKe wth the Flnanclal RepThfjng
Standard applicable in the UK aThJ RepublK of Irda￿￿ (FRS 102) {effectNe l Jamary 2019).
OBJECrnIES AND AcfivmES
Objectlves and aims
The Synagogue's oblth are to akn the J&Yith relhjkn In X0)rd￿ w*h the teachings and wactkes of
progressve Juda1￿n.
To further these objecuves the Charty Is to malntakn ￿ syrtwue for worshlp, r￿ular Sthces, pro￿de
the servi￿5 of a Rabb" and a Cantor, aTrJ [￿ide le1￿1)uS education to Jewish children, youth and adults. The
SYnagc￿ue is authori￿ to provKk faoh'ties marriagesi I￿rra1 aThJ assi5tsn￿ for the ag&d, the sick and the needv.
It is the wrpose of the O￿nty to enwre the cont6MIty of the OrtIK>Jox Jewlsh Community in the Stalnes and Dlstr
Publlc benefit
The Trustees have Compr￿ wth thar duty under the charl￿ Att 2011 to have due rewd to Ihe guidarKe published
by the Charity commiss￿1. The benefft to the Ls manifestty (awn￿￿ted by ts artwities ar￿ xhievanents
contained in this rep)rL
GrantmJklng
The Charity makes grants to tlw organsath)ns wlth slmmar Charttable obJ￿￿Ve5. dwlng he year grants totalling ÉNil
(2021: £NII), wwe mad
ACHIEVEMEKf AND PERFORMANCE
Investment performance
The Trustees use recojnised fijnds within the Blackrock Chadty wtfolb, desp￿ Ih thallewlw Umes, the Trustees are
5atirfied with the r￿orn￿nCe for the yr.
FINANCIAL REVIEW
The Income received for year was £23,063 arbj nh•Je a net deficlt of £4,503.
srRUCTURE, GQVERNAf4cE AND MANAGEMENT
The Trust is an unincorForateJ charity, Charrty No. 1023277, by a tn& deed date 29 March 1993.
There are five Trustees that rr*& to make decLskYJs In regard5 to tr￿ finarKlal management and gownarKe of the
Charrty.
All trustees glve their time vohjntary ar¥J rereive no remuneraticfi or oilw b￿fits.
srATEMENT OF TRUSTEES. RESPOP4SIBILrriES
The trustees are reswjnsible for prepariro the Rem of the Trustees and the finar•ial statwnents in accordarte with
applicabk law unl￿ Kirydom AccwntirvJ Stsrnlards (United Kirydom Gerernlty Acceptej Accc#Jnting Pr￿e).
The law appUcabk to charities in EThj￿￿￿ aTrJ Wa￿, the Charities Act 2011. Charlty (Accounts Rep)rtsl Reguiatlon5
2008 and the provigon5 of the trL& deed tswires the tntstees to Fryare flnancial Statements for each financial year
whlch glve a true and fair vlew of the state of affairs of the tharity and of the irKoming resources and application of
resource5, irKluding the irwme exp**ityre, of the ctwrity fry that In preparing those finandal Statements,
the trustee5 are required to
select suitsble accounting ￿riCieS arxd then apply them cons￿1￿.
obserye the n*thods and wirKiples in ￿ Charity SORP,.
make judgements and tsb'mates that are rea9)nat4e ar¥J prudent;
prepare the financial ststenents on the ￿•r￿j conom bass unless It Is 1nèpprnp￿ate to presume that the charity wlll
contknue kn bu￿rE$s.
The tnjstees are re5px)nsble for kw'rvj proper attwnb.ng r￿d$ whKh d￿lOse with rea5￿a￿e accuracy at any
the financkil FQgbon of the charity orKI to enaL* to enwre that the finanaal statements comply wtth the char￿leS
Art 2011, the Charity (Accounts arKI Ryrts) Regulat￿$ 2C#)8 aTrJ the wovi5ions of the trust deed. They are al
r¢SF0n￿b1e for safeguardin9 the assets of the charity hence for tsking rea5￿mb￿ steps for ￿ pr￿tIOn aTr
detection of fraud and Oth￿ irregularitie&
Page 2

srAINES SYNAGOGUE CHARrrABLE TRusr
Report of the Trustees
for the Period l October 2021 to 31 December 2022
Apwowj by order of the board of trustees on ............................................. and on its ￿half by:
Mr M Shefras- Trustee
Page 3

Independent Examiner's Report to the Trustees of
Staines Synagogue Charitable Trust
Independent examinerfs report to the trt￿tee$ of Staine5 Syna9(wue Charitable Trust
I report to the charity trustees on my exarnination of the accounts of Staines Synagogue CharitalAe Trust {the Trust) fc
the l October 2021 to 31 D￿em￿er 2022.
RespOn￿bIlItIeS and basls of report
s the charty trustees of the Trust Y￿ are re5pJngbk for the preparation of the accounfs in accordan￿ with the
requirements of the (haribes Art 2011 (Ihe kv).
I report in respect of my ￿mIna￿n of the Tru￿5 ￿COUnts ca￿1￿j Und￿ section 145 of the Att and In Ca￿n9 out
my eXaMina￿n L have followed all apF4lCab￿ Directions by the (Jarlty Comm64on under Sethon 14515llbl of the
Independent examlnees ststement
I have compkled my examinats"on. I confim that M matsrfal matters have come to my attentlon In connethon wlth the
examinatsjn giving me cause to bel￿e that in materlal respect..
ccounung r￿d$ wtre r￿t kept in rqject of ts TtUSt as ￿￿1￿j by Sthon 130 of the kt: or
the accounts do not accord with those rKords.'
the accwnts do not comply with the aWKable rEV￿r￿tS ccaKernlrfj the form and content of ¥counts set
out in the Chwlties (￿OUnts and Retffis) Regulatwjns 2￿8 other than any reqLMrement that the accounts give
true and fair view whlch is not a matter cDnsi(thd as part of an irKleFendent examinatknn.
I have no t￿cernS and have come across no cthr matters In c￿A￿tK)n wth the examinatK)n to wh6ch attentbon SP*￿1￿
be drawn in this report in order to ￿ab￿ a woper understsThYing of the accounts to be reached,
Mr Jeffrey Lemi
Jeff Lemer & Assoclates
Chartered Accountants
42 Lwon Ro&
8arnet
Hertfordshl
EN5 58Y
Dète: .............................................
Page 4

srAINES SYNAGOGUE CHARrrABLE TRUST
statement of Financial Activities
for the Period l October 2021 to 31 December 2022
Perlod
1.10.21
Year Ended
31.12.22
30.9.21
Unrestricted Total
fund
funds
INCOME AND ENDOWMEiffs FROM
Donatton5 and leg￿e$
27,189
22,432
Investment
600
631
Total
27,789
23,063
EXPENDtWRE ON
Other
31,970
27,840
Net galnslllosses) ¢Jn inV*￿ts
(3,654}
274
NET INCOMEI(EXPENDtruRE)
(7,835)
{4,503)
RECONCILIATION OF FUNDS
Total funds brwght forward
24,177
28,680
TOTAL FUNDS CARRIED FORWARD
16.342
24,177
The notes fomi part of these financial statements
Page 5

srAINES SYNAGOGUE CHARrrABLE TRusr
Balance Sheet
31 December 2022
31.12.22
30,9.21
Unrestricted Total
fund
funds
N(rtes
CURRENT ASSErs
Investments
Cath at bank
14,848
4,854
18,502
8,076
19,702
26,578
CREDITORS
Amounts falling due wothin one year
(3,360)
12,401}
NET CURRENT LSSErs
16,342
24.177
TOTAL ASSETS LESS CURRE1￿ UABILfTJES
16,342
24,177
P4ET ASSErs
16,342
24,177
FUNDS
Unrestrirted fvnds
16,342
24,177
TOTAL FUNDS
16,342
24,177
The flnancial ststements were approv8J ty the Boartl rf Trustees JrKI authonsed for Issue on
arKJ were swJn&J on its behalf by..
Mr M Shefras- Trustse
The notes form part of the* financial statements
Page 6

STAINES SYNAGOGUE CHARrrABLE TRusr
Notes to the Flnancial Statements
for the Period l October 2021 to 31 December 2022
ACCOUNTING POUCZES
B•sls of preparing the financial statements
The flnanclal statements of the tharity, which is a wtAic benefft entity under FRS 102, have been prepared in
accordan￿ with the Charitses SORP {FRS 102) 'knunting and Repo￿n9 by Charities: Statement of
cffimendql Prac￿￿ applicaL4e to chantE£ wepariThJ thor accounts in aCCord￿ce with the FlnancSal Reporting
standard aP￿icable in the UK ar*J Re￿blIC of Ireknd {Fi£ 1021 (effettive i January 2019)., Financial Reporting
Stsndard 102 The Fina￿￿?1 Rwting StsThJard appficatle in the UK and RepuLlic of Irelar)d' and the Charities
t 2011. The finandal statefflents have been p￿r&I under the historTrl cost conventbn.
The chaiity extended its period end frorn 30 se[*￿nter 2021 to 31 Ljecemter 2022. Therefore, the CoMpara￿ve
amounts presented in the finanoal statements are ￿t enbrdy comparatle.
Incom•
All income is rwnised in the State￿￿t ol finanoal Artwit*s once the charity has ￿ti￿ement to the funds, it is
probabk that the income wrfl be reCe￿j and the wThJunt can be measurèj rdiatly.
Expendlture
Uabilities are recognlsed as expendliure a5 5wn as there Is a legal or constructfve obllgatlon commlttltv4 the
challty to that expenditu￿, rt is probable that a transf￿ of ￿￿mie benefits will be required in settlement and
the amount of the obligation can be measured Idla￿v. Expenditure LS XCOUnt￿ for on an èccruals basis and has
been Classif￿ under hthJir¥Js that a9Jregate all cost related to the category. Where costs cannot be dIreC￿Y
attributed to ￿￿"Cular headiNJs ttiey have teen allcated to actiwties on a basis conlstent wlth the use Of
resources.
TJxatlon
The charlty Is exempt from Sts thartsL4e actfvitle&
Fund acrountlng
Unrestricted funds can be used in accordan￿ with tre charltat4e Objecti￿ at the dI￿et1)n of the trustees.
Restrkted fiinds can ¢)nty LE used for partrukr re*kted wrp)ses withln the obJ&ts of the charfty. Re5trlttlons
aflse when speof*d by the tknor cf when fvnds ¥e rafised for partiaAar restrkted purposes.
Furthw explanati￿ of natwe and ofe￿h fvrKI ts knclud&J In the r￿leS to the financkil statements.
INVEsfMEKf INCOME
Perlod
1.10.21
Year Ended
30.9.21
31.12.22
Other fixed asset Invest- Fll
Bank interest ￿e1Ved
592
630
61Kl
631
TRLlSfEES' REMUNERATION AND 8tNEFITS
There were no trusteeg remuneratpjn or other l￿efftS for the end8J 31 2022 nor for the year
e￿Ie￿ 30 September 2021.
There wtre truthg expaw pakl for the erthl 31 t)wb¥ 2022 nor for the year ended
30 Sept￿ber 2021.
Page 7
continued..

srAINES SYNAGOGUE CHARrrABLE TRusr
Notes to the Financial Ststements - continued
for the Period l October 2021 to 31 December 2022
COMPARATIVES FOR THE ￿ATEMENT OF FINANCIAL ACTIVITIES
Unrestricte
fund
INCOME AND ENDOWMENTS FROM
Donatsons and legacies
22,432
Invesbnent income
631
Total
23,063
EXPENDMIRE ON
Other
27,840
Net gakns on Investynents
274
NEf INCOMEI{EXPENDmiRE)
(4,5031
RECONCIUATION OF FUNDS
Totsl funds brought forward
28,680
TOTAL FVNOS CARRIED FORWARD
24,177
CURRENT ASSEY INVESTME14TS
31.12.22
30.9.21
Usied Investmwts
14,848
18,502
CREDITORS: AMOUIITS FALLING DUE WrnIIN ONE YEAR
31.12.22
30.9.21
Other credthrs
3,360
2,401
MOVEMENT IN FUNDS
Net
movement
in funds
At
1.10.21
At
31.12.22
Unrestrirted funds
General fund
2*177
(7A35)
16,342
TOTAL FLINDS
24177
(7,835)
16,342
Page 8
continued...

srAINES SYNAGOGUE CHARifABLE TRusr
Notss to the Financial Statements - continued
for the Period l October 2021 to 31 December 2022
MOVEMEI￿ IN FUNDS - contlnued
Net movement in fvnds, In the at•M we as follows:
Incoming R￿urCeS
resour￿ expended
Gains and Movement
losses
in funds
UnrestriLt•d funds
General fur¥J
27,789
(31,970)
{3.654)
(7,835)
TOTAL FUNDS
27,789
(31,970)
(3,654)
(7,83S)
Comparntlv•s for movement In funds
Net
movement
In funds
At
1.10.20
At
30.9.21
General fund
28,680
14,503}
24,177
TOTAL FUNDS
28,680
14,503)
24,177
COMpara￿Ve r*t moVe￿t in funds. Included in the ab)ve are as fdbws:
Ir£oming Resources
resources expended
Gains and Movement
losses
in fundg
Unre•trl¢ted funds
General luTh
23,(63
(27.840)
274
{4,S03)
TOTAL FUNDS
23.063
(27,840)
274
(4,503)
RELATED PARTY DISCLOSURES
There wue no relatoJ party trarsxtions for the F*kKI 31 DeC￿ter 2022.
Page 9

STAINES SYNAGOGUE CHARrrABLE TRusr
Detailed Statement of Flnanclal Activities
for the Perlod l October 2021 to 31 December 2022
1.10.21
Year En
31.12.22
30.9.21
IIICOME AND ENDOWMENTS
Donatlons and legades
Donatiors
Gift aid
24,267
1922
18,734
3.698
27,189
22,432
Investment income
Other fixed asset invest-
Bank interesi rec&ved
592
630
631
Totsl Incomlng resourc
27,789
23,063
EXPENDmiRE
Oth•r
RelIgh￿ and festivals
20,143
11,807
Support costs
Mana9emeTht
Rates and wat
InSUra￿e
Lbght and heat
Tdephone
Postage and staticrfery
Sundries
Repairs and renewa15
289
941
4,764
441
63
1,052
3,202
166
409
3,477
372.
1,053
9,254
10,752
14,731
Flnanc•
Bank d)arges
115
102
Governance costs
Accountarry legal fees
960
J,200
31,970
27,840
Net expendlture befom galns and losses
{4,181)
(4,777)
Re¥lised recogni5ed gains and losses
Reallsed galnsl{bsses} on fixed asset invethents
(3,654)
274
Net expendltur¢
(7,835)
(4,503)
This page does not fomi part of the statutory financial statements
Page 10