REGISTERED CKARIry NUMBER:
028061
rt of he Trust
and Unaudited Financlal Statements for
the Year Ended 31 December 2022
Ish Ffl
of Ram
m Medlcal Centre
321 Accounts Limited
Chartered Accountants
152 Coles &een Road
London
NW2 7HD

Tht Brltlsh Frlends
h Flnand I
#m•ntslor the Year Ended 31
Pa8e
Report of theTrustees
Ito3
Independent Examinerfs Report
Statement of FIn￿(la1 Actmtles
Balance Sheèt
6t07
Notes to the Flnanclal Statements
8tolO
Detalled Statement of Flnanclal Acthirtles
li

e Brltish Friends of Rambam Medical
Trustee
f the Year En(ted 31 DÈC mber 2022
The trustees present their report with the finandal statements of the charityfortheyearended 31
embei 20
The trustees have adopted the pl￿10n$ of the Ststement of RecfjmmÈnded Praui¢e ISORPI 'A
Reporting by Charltles, issued In March 2(Xl5.
ountin8 a
REFERENCE AND ADMINISTRATIVE DEfAILS
Re8lstertd Charlty numb
1028061
Prlndpal address
l Opal Court
120 Re8ents Park Road
London
N3 3HY
Trusté*5
Mrs A Alexander-passe
Ms G Alexander-Patse FCA FCCA
Mrs SL Rose
Independent examlner
Mr Robert Sydney Jacobs
321 Actgunt5 timlted
Chartered Accountants
152 Coles Green Road
London
NW2 7HD
Bank•rs
rJF Bank Llmitèd rrhe Charltles Ald Foundatknnl
25 Kln8s Hill Avenue
West Mallln8
Kent
ME19 4JQ
Page I

The BrI￿sh Friends of Rambom Medic31 Centre
Re
ortofth Tr
r the Year
STRUCTURE. GOVERNANCE AND MANAGEMEpir
G(Nernln8 document
The charity is controlle(I by its governi￿ documenL a deed of trust and corstltutes an unbncorporated charlty.
The charity was created by a trust deed dated 4 Novernber 1993 and was re8iStered wlth the Charity Cornmi5sion
on 4 November 1993. The Charlty k a prwate charity controlled by its trustees.
RÈcrultment and aP￿ntment ot trust••s
The Current trustees are constantty searchln8 for people who share the values and ideals of the charity and would
make suStsble trustee5. In selecting peisons to be appointed as trustees. the tntgtees shall try to tske into account
the benefits of appointing a person who. through ￿idence. occupatlon, employment or otherwlse ha$ 5peclal
knowledge of the area of benefft to make a contrlbutlon to the pursutt of the objects or the mana8ement of the
charitv.
New trustees shall bè appointed by a resdution of thÈtrustèÉs passed ata speaal meeting. There is also statutory
power to appolnt new or additional trustees. where newary.
The management and admlnlstratlon of the ¢harlty has been undertaken * Mrs Anlta Alexander-Passe.
Rlsk mana8em•nt
The trustees have a duty to Identtfy and revlew the rlsks to whkh the chartty Is exposed and to ensure approprlate
¢orttrols are In Pla￿ to provide reasonable assurance against fraud and error.
OBJEcfNES ANO ACTIVITIES
Obleetl¥•s and alms
The alms of the tharity are for the relief of slckne55 by the provision or improvement of medical facSlltles by the
provSsion or improvement of medScal facilities and thè supply of equlpment to the Rambam Medical Centre in
Haifa. Israel. During the year the tharfty recew a number of grants and donations which were used for the
purpose of fundlnB the Pufchases of equipment for the Medical Centre. The other on80in8 fundraising activlties
¢arrfed out In the year by thetharity were sat￿taCt0ry.
FINANCIAL REVIEW
Reser¥es pollcy
It is the charity's policy that unrestrlrted fuThlsthat have not been designated for3 special use should be malntained
at a level e4uivalent to at least the next slx month'5 expendr(uie. ThE trustees conslder that reserves at this level will
•n5ure th¥t. in thg. g.vpnt ol a sudd@n drop In fund￿& the Fiyjndation vrill be able to continue Its ￿rrent level of
atilvity whllst conslderatlon ￿ 8Nen to W3ys whith additional fund5 rnay be raised.
Page 2

The Brit15h Frlends of Rambam Medkal Centre
ofth
rustees for the Y
r Ended
22
Prfncipal fundin8 source5
The totsl incoming resource$ for the year amounted to £44180512021- £921.2871. The principal fu
for the charity are voluntary donation intome, induding bequests and legacies. and interest income
charity's funds. The chaiity èarned interest in the year of £39112021: £101.
ding sourses
arned on the
The tharity contrlbuted funds for the purchase of medical equipment at the Rambam Medltal Cent
£509,8CKJ12021.. £789,200. During the year, the charlty received two large donations expended fo
Melanoma pledge5. Key to the h05pJtsI Is thè malntenartce of th* under8round hospital for emer8e
tlmes of war. whlch has alx) been used for Inter￿Ve care of paiients ￿th ¢ovld and other highly Infe
amounlln8 to
Oncologyland
¢y medlcl e In
ious dise
ses.
Inv•stm•nt poll¢y and obJertl¥es
The Trustees have iftvested the assets of the Deslgnated Fund in The (haribond Charities Fixed Inter
Investment Fund and in Charifvnd. The trustees hold the charfty's other funds with CAF Bank to minl
1055 to the charity.
st Commo
Lse rSsk and
PLANS FOR THE FUTURE
The charlty alms to pursue the rdid Of slckness through Its contlnued support ol the Rambam Me
Haifa by the prOv￿19n otcritlcal medicalequlpmentflnancedthrou8h its fundralsin8aCtlvitles In the U
The equlpmentour hospital uses refiertsthequalltyOthealttrKarelt provides. Each of Rambam'5 nine I
rooms must be equlpped wth a Wall-mounted. Radiant Baby Wamer to re8ulate the envlronm
transitlon from ihewomb. These Wall-mounted, Radiant Baby Wam*rs VAII allow ￿w-b0rnS to rem
at their mothers. bedside when monitorin8 the babls vitsls, body temperature. and weighL
ical Centre in
Ited Kln8dom.
bour-dellyery
t durln8
the
n comfort
blv
The charity has ongoin8 proiects in Paedkltric Orthopaedlc Oncolc£y for children with bone ca
dlsfunctlon. support ol the High Risk Obstetrics Unlt and Heart Hospitsl etc All part of the campu5
Centre whlch Is a beacon for research and Innovatlon.
cer and limb
f the Medical
Approved by order of the board of I￿￿tee5 on 23 Awst 2023 and si8ned on its behalf by:
Ms G Alèxander-Passe FCA FCCA- Trustee
Pa8e3

theT
of
m Methcal
rtre
I report on the acojuntsfor theyeareniled 31 Dec**ber202Z whlth aresetout on pagw five to ten.
As the tharlvs tn￿ you are responslblefDrthe weparntlon ofth• irt a￿OrdanCe wlth th
requlrements of the Charltles Art 2011 l*hÈ ACVI.
I have examlnedyourdwrkvs acc0th￿3$re9uOfed uTrdersectJon 145of thètharltlesAct2011 I￿ACt, . In¢arryln
out my emmlnatton I ha¥e folbwed the DkeLthns tythe Chkncomnknlon under 14
511bl of th
My role Is to state whetherany Trthial m3tters have to my attenkn rm ￿￿Se to believe
materlal respect..
aettsuntlr* rtcords w•r• not kept •$ requlred by s•cllon 130 ofthe A¢ or
2. the accwnts do notaccord th ttr￿ records: or
3. the accottnts do nottompty wlth the acCoUnt5r￿ requlrements of theAcL" or
4, there Is further Infommtlon needed fora proper ufiderstsnth￿ of the acco￿ts.
that In any
Slnce the charW$ 8r(tss In￿me ex¢eeded £250,W)your wmlner must be a memberof a body Itsted
145 of the 2011 Act. I confirm that l •rn qualified to undertake the txamlnaiion bec3tyse l am a memb
Instttute of tharttrèd Accountarrts In En￿and & Wales IICAEWI. wknkh ts one of the ltsted bodles.
sectlon
ofThe
I have completed my exam1ft3tlon and corm In resp*t of th* matter$11} to141 listed abo
tt*nnectJon wff¢h followingthe fAre¢Yons of the Charlty Commlsslon I have found no rnatteTS that requl
to your attentltsn.
and. In
drawin8
Mr Rob
Sydney jacobs
321 Accounts Limited
Chartered Actountants
152 Coles fjreen R(*d
London
NW27HD
21 W 2023
Pa8e4

The BrltSsh Frlends of Rambèm Medical Centre
Statement of Financial Activltles For The Year Ended 31 December 2022
1.12.2022
Totsl .
funds i
31.12.2021
Total
funds
Unre5trirted
fund
Restrirted
nds
Note
INCOP4llN6 RESOURCES
Incoming re0Ur￿ from genernted funds
Voluntary income
Investment income
Total incoming resource5
14.447
430.CQO
12,0261
427.974
444,447
1.6421
442,805
917.549
3,738
921,287
14,831
RESOURCES fXPENDED
Cost of ¢en*ratin8 fvnds
Cost of generatin8 voluntary Income
Charltable Actlvltles
Rambam Medical Centre
Gov•rnanc• costs
Other resources expended
6.481
6,481
87.8(X)
1,170
422,fJp)
509,80)
1,170
9.048
789,200
1,185
6,816
Total resourc¢s expended
104A99
422.000
526,499
797.201
NEf INCOMINGIIOUTGOINGI RESOURCES
BEFORE ThANSFERS
189.66BI
S,914
183.6941
124,086
Gross trJn5fers between funds
Net Incoming Ilout8oin81 resources
{89,6681
5.914
183,6941
124,086
RECONCILIAnON OF FUNDS
Total funds brought forward
130.829
63.813
194,702
70,616
TOTAL FUNDS CARRIED FORWARD
41,161
69￿7
194,702
The notes form part ofthesefinanaal statements
Pa8e S

Tho Brlttsh Frlends of Rambam Me(k•l Certre
Balance Sheet At 311)ecember 2022
3L12.202Z
31.1
.2021
Total
luryls
nds
FIXED AsseTS
Tanglble assets
CURRENT ASS
Debtors
Inve5trnents
Cash at bank
1.255
42,453
69,235
112,943
1.255
.157
,390
42A53
27.394
69.847
41,841
CREDITORS
Amounts falllng due wf(hin on•
Cheques Drawn
119351
11.9351
,io)I
NET CURRENT ASSETS
41.161
69I47
lii.CQ8
,702
TOTAL ASSETS LESS aiRREuf UA8ILmES
4L161
69A47
IIL008
,702
NET ASSETS
41.161
69,847
lii,Q)8
,702
FUNDS
un￿StIcted funth:
General fund
4L161
4L161
13
29
R•strlcted funds..
Oncolo8y and MRI Fund
Sherbèl and Denman mem¢￿31 fund for
Rheumatolo8y Research
The Cathy aTrd Danny Rosenkrani
Oncology ER
Lewls Meanoma Rèsearch Fund
TOTAL FUNDS
14
14
14
44,663
7,170
18,¢JM)
69,847
7.170
18,iJxi
111.008
,170
41.161
,702
The notesfonn part crfthèse financial statem•Ats
Page 6

Iri T￿￿111

The British FrSend5 of Ram
am Medical C
tes to
h Financi I
tatements for they
r202
ACCOUNTING pouats
A¢￿￿￿tIng conbwrtlon
Thefinancial statements have been prepared under the htstorlol Cost convention, and in accordan
Flnanclal Reponing Stsndard for Smaller Entities leffective Aprfl 2CM)81. the Charitles Act 2011 and t
requlrèments of the Statement of Recommended Practi￿. Accountlr¥ and Reportlng by Charltles.
wlth the
Incom1•¥ resour¢es
All incomlng resovrce5 are Included on the Statement of Flnandal Acilvltles when the ¢harlty Is le8al
the income and the amount can be quanfftd with rea%￿able accuracy.
entitled
R•sources eMp•nded
Expendlture Ss accounted for on an accruals basls and has been dasslfled under headings that a88
related to the cate80ry. Where Costs cannot be directly attrlbuted to partlcular headln85 they have
to actlvftles on a basls consistent wtth thse of resources.
te all cost
en allocated
Grants offered subject to condiuons whlth have not been met at the year end date ère noted as a
not accrued as expendlture.
mltment'b(rt
TanBlbh Il¥•d as*ts
Depreciation is provlded at the following annual rates in orderto wrfte off each asset over Sts estima
ed usèfvl I
fe.
Taxatlon
The charity 15 exempt from tsx on Its dwritsble actfvFlie5.
Fund K¢ountlng
Unrestrided funds can be used In accordance wrih the tharrIab￿ objectives at the dtsuetlon of the t
Restiicted funtls ¢an onty be used for Ponicwlar restricted purposes within the objects of the tharity.
ustee5.
Restrlctlons arise when sperfRd by the donor or when funds are rJlsed for particular restricted pur
oses.
Further explanatlon of the nature and purpose of each fund is Induded in the notes to th@ &nancial s
atements.
Page 8

Brltlsh Fr
sofR mbamm
Notes to the Hnandal Statem
nts- Continued f
rEn
mber 2022
2. INVESTME14T INCOME
31.12.2022
31.12.2021
Deposit account Interest
Current asset Investment Income
Investment galn / (lo￿1- Un￿a￿sed
391
1,671
io
1,733
3. TRUSTEES, REMUNERATION AND BENEFirs
Durlng the year, Mrs Anlts Alexander-Passe. a trustee. wo5 paid the gross remuneration of £8.2SO120
for her services as Admlnlsirator of the tharlty. There were no tsustees. e¥￿Se5 pald for the year e
Oecember 2022 nor for the year ended 31 December 2021.
1.. £6,OC¥)I
ded 31
4. TANGIBLE FIXED ASSETS
Equlpme
COST
Al I january 2022 and 31 December 2022
DEPRECIATION
497
At l January 2022
Charge for year
At 31 December 2022
NET800K VALUE
At 31 December 2022
At 31 December 2021
497
5. DEBTORS: AMOUNTS FALUNG DUE WITHIN ONE YEAR
31.12.2022
31.1
.2021
Other dèbtor5
6. CURRENT ASSET INVESTMENTS
The Investment comprlses 18,547.751 Income shares kn The Charit4)nd Charities Fixed Interest Commo
Fund I'charibond'l. and 1,521.868 Shar￿￿nIts In Charifund and a￿ shown at market value at the
date.
Investm
lance she
7. CREDITORS: AhV4)UNTS FAWNG DUE WtTHIN OP4E YEAR
31.12.2022
1.12.2021
Other creditors
Pase 9

The Br￿[th Frlendsd Rambam Meth¢al Centre
Note5 To The Financlal Statements . Cont1Th￿l For The Year Eryled 31 IYecembv2012
& MOVEME14T OF FUND5
M(fawnent In
fuTh
AtOL0ts022
.112022
Unrestirted fund¥
General fund
Resirkted furhts:
Oncol¢)8y and MRI Fund
Sherbel and Denrnan ￿MorIal fund fi>r
Rhéurnatology Research
The Caihy and Danny R05enkranz
Oncology ER
Laura Slrnons Nur$5ng Certiftcates Fund
Lewls Melaryoma Rgs¢•rch Fund
130829
189.6681
41.161
14
14
12,0261
44.663
17,170
IIOAY))
7,170
I8.(￿7
5.974
18.000
s9￿7
63Jn
TOTAL FUNDS
lii,(W)8
Nèt mov•m•nt In fund5 Ind￿d￿ Fn tr* *h￿ ave
•sIdIo￿.
I￿OrnI￿ R•sources
emèrrt
n lund5
Unrostkn¢d fvnd5:
General fund
R•strICt￿ tunds:
Ontology and MRI Fund
Sherbel and Denman Memorlal fund for
Rheurnatology Research
The Cathy and Danny Ros•nkrnnz
Oncolo8y ER
Laura Simons Nurslng CertlAcates Fund
L•wi5 Melanorna Rèsearch Fund
TOTAL FUNDS
14J31
189,6681
12.026)
12,0261
215,&YJ
15,(
?￿1.(#)0
441,9)5
I225,￿)>
115,th)1
1182,¢ml
1526,499
18.000
183.6941
Comparokn for nMJvement In
Mrylement In
fuThts
At OLOU021
At3
12.2021
Unrtstl£t•d fvnds:
General fund
Restrlrted fvnd5:
On¢olog¥ and MRI Fund
Sherbel and Denrnan Memrièl fund for
Rheumatology Research
Cathy and Danny Rosèftkrnnz
Oncolo8y ER
245
106Wi
30.829
14
14
46.689
17.170
17A55
17,170
63,873
TOTAL FUNDS
70￿
124.fA6
94.702
Pa8e 10

The Brltlsh Frlends of Aarn￿m Medkal Cerrtre
Detalled Statement of Financial Arti¥ibes ForThe Year Ended al De¢ember 2022
3L111012
31.12.1021
INCOMING RESOURCES
Voluntary I￿oMe
Donations and Fundraising A¢tw￿l*S
444A47
792,255
125,294
917.$49
Glft Abd
444A47
In¥estmint I1K￿*
DeKX)slt Account Inte￿5t
Current Asset Investment IrKome
Investment Raln I I11)5$1- unreallsed
391
1.671
3.7041
11.642
442x15
io
1,733
3,738
921,287
Total Fncomln8 r*sowce5
RESOURCES EXPENOED
C05t of 84n•ratlwd volw)tary IN>rne
Fundraislng costs
Ch•rlt4bl• Artb¥llles
Cash Awards and Grants
GOV•r￿nCe costs
Independent exarnlnatlon
Bookkeeplng
6MI
789.200
385
370
1.170
1.185
Support Q)Sts Manag•rnent
Postage and statlonery
Athertlslng
Stand hl
Secretarlal fees
Webslte
Bank ch8rges
Oepreclatlon
116
230
211)
8.250
206
181
125
6*16
Hnont•
Cornputer equlpment
Tot•l r•wrrns •ynd•d
797201
Nat lexpendltyrel I IrKome
124.086
rhls page does not form part ofthe ststutory ftnancial 5tstements
N•t l•xp4ndiwr•l I Incomè
Income
Exp¢Trdf(ure
442,805
526.499
83.6941
921287
797.201
124,086
Page 11