REGIsfERED CIIARrrY NUMBER: 1023277
Report ofthe Trustees and
Unauthted Flnanclal Statements
forthe Year Ended 31 December 2025
for
srAINES SYNAGOGUE CHARrrABLE TRusr
JLA Accountrants
42 Lytton Road
Bamet
Hertforlthlre
EN5 5BY

srAINES SYNAGOGUE CHARrrABLE TRusr
Contents of the Financial Statements
forthe Year Ended 31 De￿mber 2025
Page
Reference and Admintstrative Details
Report of thè Tn
Independent Exam￿ner'S Repc*rt
statement of Fit￿￿¢1￿1 Actsvrti
Balance Sheet
Note5to the Financi41 Ststements
6 to 8
Detailed Statement of Financial Artiviknos
9 to 10

STAINES SYNAGOGUE CHARrrABLE TRusr
Reference and Administrative Details
for the Year Ended 31 Dettmber 2025
TrusrÈES
Mr M Shefras
Mrs M Brenner
MrRFox
PRXNCIPAL ADDRESS
Stsino% Synagogue
W&-tbrook RJ3d
Stsines
Middlesex
TW18 4PR
REGISTERED OIARif< NUMBER
1023277
INDEPENDEKf EXAMINER
JLA Accountsnts
42 Lytton Road
Bamet
Hethrtshire
EN5 5BY
Page I

srAINES SYNAGOGUE CHARrrABLE TRusr
Report of the Trustees
for the Year Ended 31 De￿mber 2025
The trustees p￿ent their with the finantial siatÈmènts of the chariLy for the year ended 31 December 2024. The
truste￿ have adopted the proV￿On$ of Accountr"ng and Repo￿ng by Charities.. Statement of Recommended Practice
app1kab￿ to chartb& preparing thèir acts)unlg in ac(x)rd8ncè with the Fjnanctal Reporting Standard applic3ble in the UK and
Republic of I￿land 1021 (dfective l January 2019).
OBJEcfivES AND AcrxvmES
Objectives and aims
The Syna9ogue's objecbv¥ are to thrKe the Jewth religion in accordan￿ with the teathIn￿ and practices of progressfve
Judaism.
To ftErther these objectts￿ the (harrty s to rnaintsin the synagogue for public worship, condutt regular Servres. provide the
seNces of a Rabbi and a Cantor, and p￿￿de religious edLration to Jewish children, youth and adu￿£. The Synagogue is
authorsed to pro¥￿e faLi1th5 for marrtage5, burial and a55thnce forthe aged, the sido and the neejy.
It is the purpose of Ihe Charity to er￿￿ continutty of the Ortt)odox Jwsh fyxmunity In the 5tainos and DLgtitt area.
Public benefft
7he Truste& have coMpl￿J with their dLty under the Charibes Act 2011 to Pove due regard to the guldance published by
the Charity thmmission. The benefrt to the public is manifestly IIerr￿r&trattrt by the athEvements In
reporL
Granlmaknng
The Charty makes grants to those Organ￿￿Or6 Iwth simitar (haritsble obiectNes, during ts year grnnts totslling £￿11
(2024.. £Nil), were made.
ACHIEVEMEMfs AND PERFORMANCE
Investment perfomiance
The Trvste85 use funts within the Bkthock Charty portfolio, dgspite the ChaI￿nging ti[￿, the Tru5tee5 a
satisfied with the perf0mlan￿ for the year.
FENAtIClAL REVIEW
Thè income recaved for the year was £38,888 (2024.. £29,348) and made a net gain of £2,156 (2024: £5,192 deficft).
STrUCTUR4 GOVERNANCE AND MANAGEMENT
The Trust s an unincorporated charty, Charrity No. 1023277, govemed by a trltst deed date 29 Marth 1993.
There are fNe Ttustees that meet to make deasions in regard to the finanaal managemÈnt and oovèmancè of the Charity.
All trustess give their time wluntary and r￿￿e no remuneration or other benefits.
Approved by order of the toard oftrn￿eeS on.....................
. and S￿rted on ks beha￿ by.
Mr M Shefras- Tnjstee
Page 2

Independent Examiner's Report to the Trustees of
Slaines Synagogue Charitable Trust
Independent examinerf5 report to the trustees of Stain&s Synagogue Charitrble Trust
I Eeport to the charity trustr£es on rtry exarnination of the acojunts of Staines Synagogu2 Charitable Trust Ilhe Trust) for the
year ended 31 December 2025.
Rwonsibifrties and basts of report
A5 the charty trLJSte25 of Ihe Trust you a￿ ￿S￿￿Ible for the preparatioj) of the accounts In ￿cOrdantr wlth the
requirements of the (harities Art 2011 ('the ACV).
I report In respett of my examlnats.on of the TNSVS accounts carried undw Se￿n 145 of the Att and w¢ ￿rrying out my
examination I have foNovEd all applicable Directions given by the (tharity Commission under Section 145(5)(bl of the Act.
Independent examinerfs statement
I have completed my exaMIna￿on. I conflmi that no material motters have corne iv my attention in cvnnectyon with the
exdrnination gr￿Ing me Izuse to believe that in arry Material respect..
acmunting records were not kept in resFett of the Tru* as requlred by 5eLtK)n 130 of the Att. Dr
the acts)unts do not actord with thosé re(x)rds; or
the accounts do not comply with the applioble r4uirements conTrrning the form and content of accounts set out in
the ChariiSes (Accounts and Reports) RegulatK)fES 2008 other than any requirement that the accounts a truè and
dir view which ￿ not a matter considered as part of an independent examination.
I have no cOn￿mS and have come acTOSS no othèr mattets in tonn&tion the examination ts whlth attention sh)uld be
drawn in thi5 repDrt in 0￿r to enable a proper understsnding of the accounts to be reachal.
JLA AcccK(ntants
42 Lytton Road
met
mer￿rdShIre
EN5 5BY
Page 3

srAINES SYNAGOGUE CHARrrABLE TRusr
ststement of Financial Activities
for the Year Ended 31 December 2025
31.12.25
Total
funds
31.L2.24
Totsl
funds
Unrestricted Restricted
fund
fund
INCOME AND ENDOWMETr¥fs FROM
Donations and legKE5 ,
29,920
29,920
22.744
G￿[ ald
8,915
8,915
6,586
Invesbnent Income
53
S3
t8
Total
38
29
EXPENDrnIRE ON
Charitable actsvit￿S
Grdnts
Olher
Totsl
Net gaiA%l(bsseg) on Investments
151
512
INCOMEI(EXPENDrnIRE)
156
2.156
IS,192)
RECONCILIATZON OF FUNDS
Total funds brought fo￿rd
14,389
500
14889
20,081
TOTAL FUNDS CARRIED FORWARD
500
14.889
Page 4

srAINES SYNAGOGUE CHARThABLE TRUST
Balance Sheet
31 De￿mber 2025
31.12.25
Total
funds
31.12.24
Total
fijnds
Unrestricted Restricted
fvnd
fvnd
CURRENT ASSETS
Imiestments
sh at bank
14,669
500
21,191
500
21,691
20,296
CREDThORS
Amounts falllTrg due wiThln one year
(4,646)
(4,646)
(5,407)
NEf CURRENT ASSETS
16
500
14
ToTALASS￿s LESS CURRENT LIABILTtIES
16.545
500
17,045
14,889
NET ASSErs
500
14
FUNDS
Unrestricted funds
Restricted funds
16
14,389
500
500
TOTAL FUNDS
The fina￿ts1 St*l￿nents were approved ty the Board of Tntstees and authorsd for tssue on ...........................
swJned on (rs behalf by".
and were
Mr M Shefras. Trustee
The notes forni part of these finanaal ststements
Page 5

srAINES Skn'AGOGUE CHARrrABLE TRusr
Notes to the Financial Statements
for the Year Ended 31 D¢￿mber 2025
ACCOUPThXNG POLICIES
Basis of pnparing the fixancial ststements
The finanoal st&ements of thè charity, which ￿ a public beneft entity under FRS 102, have been pjppared in
attordantr with the ChariDes SORP IFRS 1021 Accounting and Repotting by Charibes: Strater(Ent of Recomrllended
prath￿ applirAbt& to chariknes preparing their accounts in actordance wlth the ￿nan0a[ Repotting Stsndard
applicable in trÉ UK and Rewblic of Ireland (FRS 102) (effective l January 2019)., Finanaal ReporbThJ Stsndard L02
The Flnanci31 Retoring Standard applicablè in the UK and Republt of IrelaThY' and the Charibes Act 2011. The
rinanaal ststements have been p￿pared uThder the hthrical cost convention.
The charity prepa￿ it5 accounts to the year ended 31 December 2025.
It￿ome
I Incorne És recogntsed In the Staternent of FinanciHI Actlvitses On￿ the charity has entiuement to the funds, r( L£
probable that the incorne will be receNèd and the amount tan be measured reliably.
Expenditure
abll((Ès are recognised as expendittjre as *¢n as there i% a legal or ujnstructlve oblwtion COMM￿￿ng the charlty
to that"extRTrditure, it is probable that a transfer of economic beneffts wlll be required in seiyement and the amount
of the obligation can be measured reliably. Expendi￿￿ is accounted for on an a￿Ua￿ basis and ha5 been classrfied
under headingsthat aggregatr all cvst rekted to tt)e category. Where costs cannot te dlrertly attrfbuted to parttajlar
headin￿ they have been allocated to activ￿"e5 on a basis consistertwth the ￿e ¢1 resour￿.
Grants offergd subjett to condfo.ons which have not been met at the year end datè are noted Bs a commitmart but
not accrued as expenditure.
Taxatton
The charity is exempt from tax on ts charitable acknvitss.
Fund accounting
Unr&irfcted funds can be us& In accordance wth the charitsb￿ Obith￿ at the d¢scretion of the tn&e£s
Restrittad fvniÈ (an onty be used for pa￿CUlar restricted pu￿SeS wthin the objects of the charty. Restricions
arr* when specrfied by the donor or when funds are for parhcular rthicted purpo￿.
Further explanatton of the nature and purpose of each fvjnd Is Included In the notes to the flnanaal ststements.
1N￿$rHE￿r INCOME
31.12.25
31.12.24
6￿￿k ir5terest re￿Ned
53
18
The notes form part of these financial statements
Page 6
continued...

srAINES SYNAGOGUE CHARtrABLE TRusr
Notes to tliQ FIEBanc4al Statements - continued
for the Ye&r 31 De￿filber 2025
TRUS7EES' REMUNERATION AND BENEFrrs
There vRre no tr[￿e& remuneration or other benefits for the year en￿ 31 December 2025 Dor for the year ended
31 December 2n24.
Trustp.¢s' @xpen5es
There were no truste* expenses pald for the year endd 31 Decernber2025 nor for the year ended
31 Deceniber 2024.
CURREhffASSET INVEsfMErfrs
31.12.25
31.12.24
sted inv&tments
CREtDrroib: Amourirs FALLING DUE WITHIN ONE YEAR
31.12.25
31.12.24
Trnde cr*.ors
Other ueditors
367
367
The notes form part of these financial ststements
Page 7

srAINES SYNRGOGUE CHARIfABLE TRUST
Notes to the rlllancidl S&itemetrts - continued
for the Ye￿r Ended 31 De￿mber 2025
movEb1E￿¥r IF4 FUNDS
Net
movement
in fund5
At
31.12.25
At 1.1.25
un￿1￿C￿¢t fvnds
General fund
14,389
¥156
16,545
Restricted funds
Building fu
500-
500
TOTAL FVNDS
17
N& movempnt in fup.ds, induded in the above are as foltovts:
Incoming
resources
Resources Gains and Movement
expended
losse5
in funds
Unre*icted funds
General fulld
38,888
(36W3)
151
1,656
Restrfcted funds
Building fund
TOTAL FUNDS
Isi
Tre notes form part of these financial statements
Page 8
¥he

srAINES SVAAGOGUE CHARrrABLE TRUST
Not&% tr• the Fi&ryap.cial Statements - continued
for the Year 31 December 2025
MO14EllE￿ IN FUNDS- cOn￿nUed
Comparatlves for movement in fvnds
Net
movement
in funds
At
31.12.24
At 1.1.24
General fund
20,081
(5,192)
14,889
TOTAL.FUNDS
14
Compardtive net Novement in fu￿, induded Sn the above are as follows:
Incoming
Resources
resour￿ expended
Gains and Movement
in funds
UnrÉstrirted fv￿ds
General fund
28,848
(34,028)
(512)
(5,692)
Restricted funds
Buildirig furxl
500
500
TOTAL Fr￿￿￿s
RELATED PARTY DISCLOSURES
The￿ were no ￿lated paty trdrnsactions for the year ended 31 December 2025.
The notes form part of these financial ststements
Page 8

STAINES SYTrliiGOCUE CHARrrABLE TRiisr
Detailed Ststsnent of Financial Activit'es
for the Ye2r Erid4 31 December 2025
31.12.25
31.12.24
INCOME AND EF4DOIV4qEMts
Donations &nd1:9aciiis
Donations
Grt aid
29,920
22,744
38,835
29,330
lrtvestment incorne
Bank interest recefved
53
L8
Total incomirtgTEsources
38088
29,348
EXPENDmiRE
Charitable athÈtie
Religion and fe6tivbls
17,263
13,501
Support costs
anagement
Rat& and water
Insuran
LEght and heat
Telephone
Sundrie5
Wèbsite cost
Repairs a￿1 renewaL8
543
560
4,025
1,132
230
4*2
532
6?78
936
1,112
581
35￿23
18,283
Yinan
Bank charges
60
Governance costs
Accountancy and legal fees
TO￿ resourtr5 expend
36
Net (experkditure)Ilncome before galns and
2,005
(4,680)
The not￿ form part of these financial statements
Page 9

srAINE* ry-":
cHARr￿ ABLE TRusr
Detailed • oi. Firiancial Activktpes
for thA Yti.:
-,J ￿e0mber iQ25
31.IZ25
31.12.24
REalised w*.'-
. &nd losses
Realised g&:.v(b.Ec2sj Oli a￿et investments
151
512
Net [expendB￿re}I1nc[Kn¢
156
192
The notes form part of these financial statements
Page 10