REGISTERED CHARrrY NUMBER: 1054034
Report of the Trwte¢J #nd
UnaudAted FinaDcir41 Statements for the Year Ended 31 December 2023
for
The Patsy Bloom Ch*rltAble Trust
Grant Harrod Lernwl Davis LLP
Chartered Accountsnts
1st Floor
Healthaid Hous¢
Marlborough Hill
HaTrow
Middlesex
HAI IUD

The Patsy Bloom Charitsble Trnst
Contsllts of the FIDgnei41 stf4ten￿llf8
for the year ended 31 December 2023
P*ge
Report of the Tru8tees
Independent Examiner's Report
Statement of Flnanei41 Activltlei
Balance Sheet
Cash Flow Statemenl
Note& to the Cash Flow Ststement
Iyotes to the Ffillan¢ia] Slwtem¢nts
8 to 12

The Patsy Bloom Charlt4bie Trust
Report of the Trustees
for th¢ year ended 31 December 2023
The trusfres present their report with the f]nancial statements of tbe charity for the year ended 31 De£enther 2023. The
trustees have adopted the ptovisions of AcCol￿ting and Repoiting by Charkties: Statcment of Re￿Mmended Practi¢¢
applicable to charities preparing their accounts in a¢¢oTdaaGe with the Financial Reporting Standard applicabl¢ in the
UK and Republic of Iteland (FRS 102) (¢fft¢tive l JaDuary 2019).
Objectlves and alms
Thc objcctives of the charity 3r¢ the promotion of all or w PUTposes which are charitablc according to Englisb lavr.
genernuy for the relief of persons of the Jewish faith who are in ll¢e￿ or suffering sickness or disability or distress.
Public benefit
The trusle&s confum that they have complied with the duty in to have regard to the Charity Con]mission's gellcral
guidance on public benefiL "Chariti&s aad Public Bencfit.. Thc charitable purposes of the charity arc set out ID its
constitution and thesc are achievEd by considering grant applications re¢¢iv¢d and onc¢ a consensus ]￿ been ￿ath¢d
aking donations to the chosen re￿stered Ghatities.
Grantm#ldng
The Ttustees nKet regularly to assess 8rant appIl￿tiOnS and c￿lder proposals from the TnLStees. The charity cannot
accept appli¢atiODS a6 It is fidly ¢ommitted for the next thre¢ years.
FJNANCL4L REVIEW
Finand21 revlew
Income received from donations £0 (2022 - £50,000) and in addition income was received from property
investments of £31,612 (2022 - £24,079)
Donations of £40:694 (2022 - £49,619) w¢re nThde and totsl 811PPOrt and administratioll costs of £2,109 (2022
£14,784) were illa￿red.
Thc ch&ity continues to invest funds for the thture and at 31st DecetDber 2023 the net ￿Sets of the clwity were
£939.873 (2022 - £928.682)
Prlnelpal funding sources
The principal fimthng source5 of the charity are CWTendy by way of cash resery&8 al￿ propety income.
Investment pojjey qnd obJeetives
There are no Teslrictions on the charity's powcr to invest The investn]ent strategy Temains that of n]aintaining a finn
capffttal b8se so that it can mkthe au enduring contribution to its charitablc aims through donations. The Tntslces consider
the incoo]e tequirements in the medium tenn.
Reserves polley
It is thc policy of the charity to niainluiu UDrcstricted funds. which are the free reserves of the Clu￿lty, at a Icvcl vA]ich is
sufficient to cover managemcnt, admiDistratioll and support costs and respond to emergency applications for donations
which atisc from time to time.
The Tn￿leeS expect the charity to continue its activities outlined above in the foTeseeable ￿tUre and attempt to n)aintaiD
th¢ level of dotmtions at the current level.
STRUCTURE. GOVERIYAThCE AtYD MANAGEMEIYT
Goventhig docllment
The Patsy Bloom Ch8ritabl¢ Trust is a Tegistered charity . Charity Registration Numb￿ 1054034, and is governed by &
Trnsi De￿ dated 12th March 1996.
RecrnltDwnt and appointment of neiv trustees
The Trustee8 who have served during the year are set out on page two and all of those TTUSt¢es ha￿ continued to serve
Since tbt year end.
Page I

The P2tsy Bloom Clmrltable Trust
Rewrt of the Tru8tees
for the year ended 31 December 2023
STRUCTU￿ GOVERNANCE AND MANAGEMENT
Induction and training of neiv trustees
The existAtig Tn￿lee$ are already famili￿ with the work of the charity. having in the main been involved wtth it for t))any
A new Trustee would be invited to attend short meetings to familiarise hinvher with the ch￿lty and the context in which
it operates. This would be led by the Chair of the TNstees and cov¢r :_
l. The obligation of Trt￿teeS
2. The main do¢uments that set out th¢ operational framework of the cbarity
3. Resourcing and th¢ ¢urrent fillan￿ position as set out in thc accounts
4. Fut[￿¢ plans and objedives
Rl$k maD¥gemeJJt
Th¢ Trust¢¢s have ¢xatnined the major strategic, business and operational risks which the chariry faces and ¢onfinn that
sy*nL8 have been established to enable regularrq)orts to be produced so that the necessary Steps can be taken to reduce
these risks.
Regtstered Charlty number
1054034
Priti¢lpal wddre8S
PO Box 78413
London
NIO 9FT
Truste
Ms P Bloom
I A Brecher
A L Bloom
Mrs L A CheTk4s
M Zeitlin
Ms G Miller
IndepeDdent Examiner
Grant Harrod Lernlall Davis LLP
1st Floor
Healthaid House
Marlborough Hill
Ham)w
Middlesex
HAI IUD
Approved by order of the board of trustees on ........... ......
2L/
. and signed on its bvh&lf by:
Ms P Bloom- Tn
Page 2

Independent Examlner's Report to the Trustees of
The P•tsy Bloom Charltable Trust
Independent exaTolner'8 report to the trustsu of The Patsy Bloom Charlt4ble Trust
I report to the cbarity trustees on my examination of the accounts of The Patsy Bloom Clwit&blc Tn￿t (the Trust) for
the yeaT ettded 31 December 2023.
RespDnslbilities basis of Teport
As the c]wity t￿￿tee5 of the Trust you are responsible for the preparation of the accounts in accordance with the
TeqUir¢rn￿ts of the Cbarities Act 2011 (Ihe ACV).
I report in resped of my exaMi￿tiOn of the Trust& accounts carried out undcr Section 145 of the Act a[￿ in carying out
my exan)ination I hav¢ follow¢d all applicablc Di￿￿On$ givell by tbe Charity ConJmi5sion under Seotion 145(5)(b) of
the
Independent t￿￿]Der'S statement
I have completed my examinatioo. J confimi that ao nJgt¢rial matters hav¢ ¢om¢ to my att¢Dtion in conn¢¢tion with th¢
¢xamination giving m¢ ¢aU￿ to bclicvc that in any matuial rc5PCCt:
accounling records were not kept in Tespect of the Trust as required by Section 130 of the Act: or
tbe accounts do not accord with th05¢ T￿ordS. or
the accounts do not comply ￿7th the applicable requirements concerning the form contetst of ac¢ouois Set out
in the Charities (Accounts and Reports) Regulations 2008 other than any rnlUiTement that the accounts give
trne and fair Triew which is not a matter considered as part of an independent examinatio
I bave no con¢enLq and have come across no other rnatte￿ in connection with the examination to which attention should
be drawn in thts report itt ordv to en74ble a proper understanding of the accounts to be reached.
Jeremy HaTrod rcc <
Grant Ha￿1)d Lernwi Davis LLP
Chartered Accountants
st Floor
Healthaid House
Marlborougb Hill
Harrow
Middlesex
HAI IUD
JF
Page 3

The Patsy Bloom Charltable TrD8t
Statement of Fin#ncfial A¢tlvltles
for the year ended 31 Deeember 2023
2023
2022
Unrestricted Total
Notes
JNCOME AND ENDOWMEfqTh FROM
Donations and legacies
50,000
Investment incorne
31,612
24,079
Totil
31,612
74.079
EXPENDITURE ON
Chgrltable aCtI￿tIeS
Clwitable activities
42.803
64.403
NET ThCOMEIlEXPEND￿URE)
(11,191)
9,676
RECONCILIATION OF FUNDS
Total brou8bt forwanl
928,682
919,006
TOTAL FUIW CARRIED FORWARD
917,491
928,682
The Dotss foTrn part of these finwtia] State￿nts

The P2t8y Bloom Charltable Trust
Balanee Sheet
31 De¢ember 2023
2023
UJrestricted
fund
2022
Total
klmds
Notes
FIXED ASSETS
lllvestmellt property
895,000
895.000
CURR￿ ASSETS
Debtots
Cash * bank
4,942
18,749
8.816
27.506
23.691
36.322
CREDITORS
An]ounts falling due within one year
io
(1,200)
(2.640)
NET CURRENf ASSETS
22,491
33,682
TOTAL ASSETS LESS CURREIYT
LIABILITIES
917.491
928,682
IYET ASSETS
917,491
928,682
FUM)S
Unrestricted filluLs
li
917.491
928.682
TOTAL FUNDS
917,491
928,682
he fmancial statements were approved by the Board of Trustees and authorised for issue
.. and were signed on its behalf by:
on
P Bloom- Trustee
The notes fo￿ part of thos¢ financial statements
Page 5

The Patsy Bloom Charitsble Trust
Cash Flow Statement
for the year ended 31 Detenther 2023
2023
2022
Notes
Cash tlojys from operatlng aedvldes
Cash generated from operations
(8,757)
3.295
Net cash (us¢d in}/provid¢d by operating adiviti
{8,757)
3,295
Ch*nge In ¢agh and ¢ash ¢qufiv*lents In
the reportlng perlod
Cash and ¢*sh equivglents at tbe
beginnlttg of the reportlng perlod
{8.757)
3.295
27,506
24211
Cttsh And c8$h equlvalents at tbe end of
th¢ reportiug period
18.749
27,506
The notes fonn part of these financial statements
Page 6

The Patsy Bloom Charfitable Trust
F4otes to the Cash Flow StateDfrnt
for the year ended 31 Decenther 2023
RECONCILIATION OF NET (EXPENDITiIREWCOME TO NET CASH FLOW FROM
OPERATING ACTIVITJES
2023
2022
Net {expendIture)f￿¢Qrne for the reportlng perlod (as per the
Statement of Financial Activities)
Adjustjnents for:
Decreasc/(illcrea5e) in debtors
De¢r¢￿e in creditors
(11,191)
9.676
3,874
(1,440)
(4.471)
(1.9lO)
Net e*$h (used in)Iprovlded by operattons
(8,757)
3,295
ANALYSIS OF CHAIYGES lly NET FUNDS
At 1.1.23
Casb Ilow
At31.12.23
Net cash
Cash at bank
27,506
{8.757)
18.749
27.506
(8,757)
18,749
Total
27,506
(8,757)
18,749
The note5 forni part of these finAncial ststements
Page 7

The PAtsy Bloom Cbaritsble Th18t
Notes to the Flnall¢lal Ststen￿llts
for the year ended 31 De¢ember 2023
ACCOUNTll¥4G POLICIES
of preparkng the f￿andal stalen￿nts
The fina￿la1 sthteD]ents of the clMrity. which is a public benefit entity undeT FRS 102. bave been preparcd in
accordance with the Charities SORP (FRS 102) 'AwountiDg and Reporting by Cbariti&%'. StsteM￿t of
ReC0mll￿1ed Practice applicable to charities preparing their accounts tn accordance with the Find￿1
Reporting Standard applicable in the UK and R¢publi¢ of tre1￿ (FRS 102) (¢fftctivc l January 2019),.
Financial Reporting Stslldard 102 The Finallcial Reporting Standard applicabl¢ in the UK Republic of
Treland, and the Clwiti¢s Act 2011. The finaTKial slatements have been Prepared under the bistorical cost
convention.
In¢ome
All income is recogtiised in the Statement of Fitwwial Activities once the ch￿lty has Entitlenwit to the fimds, it
18 probable that the income will be received and the amount can be measurgj r¢liably.
Expendltur¢
Liabilities arc Tecognised as eX￿￿dItUTe sijon as there is a legal or constru¢tiv¢ obligation ¢ommittiDg the
cl]wity to that expenditure. it is probable that a transfer of economic benefits will be required in settlement and
the an￿Unt of tbe obligation cao be rne￿ re]iably. Expenditure is account￿ for on an accnmls basis and has
been ¢lassified under beathDgs that aggr¢gate 811 cost related to the category. Where costs cw]not be directly
attributed to particular headings they have been allocated to activilies on a basis consistenl with th¢ use of
resour￿.
InVeStll￿nt pn)perty
Investment property 18 shown at mt)st recent Valuatio￿ Any a8￿gate surylus or d¢ficit arising from changes in
fair value is recognised in the StatemEnt of Financial Activities.
Taxation
The charAty is exempt tsx on its clwitable activities.
Fund accounting
Unresirici¢J fund5 can be u8¢d in accordance with the cl]aritable obicctives at the discretion of th¢ ttuslees.
R¢strACt¢d fimd8 ¢aL only be used for particular re8tri¢tcd PUTPOS¢S Witbin the objects of the Ch￿llty. Restrictions
arise wh¢n specifi¢d by the doI￿r or wh¢n fimds ar¢ rni8uI for parlicu18r r¢stsi¢t¢d putposcs.
Further explanation of the nature and purpose of each ￿lld is included in the notes to th¢ fjnanciAI statement&
DONATIONS AND LEGACIES
2023
2022
DonatioTJS
50,000
VESTMENT llYCOME
2023
2022
Rents received
31,612
24,079
Page 8
continued..

Th¢ Patsy Bloom ChAritsble Trnst
Notes to the Finandal Statements- eonthiued
for the yeAr ended 31 December 2023
CHARITABLE ACTIVITIES COSTS
Suppon
costs (see
otc 5)
Direct
Costs
Tothls
Charitable activities
40.694
2.109
42.803
SUPPORT COSTS
Governance
costs
Totals
Charitable a¢tivitics
509
2,109
TRUSTEES, REMUI4EK4TION AND BENEFffS
There wcrc no tru5tees' remllnerntion or otber benefits foT the year ended 31 December 2023 nor for the year
ended 31 DecembeT 2022.
Trustses. expenses
Thcre were no tr￿ste¢S, expenses paid for tbe year ended 31 December 2023 nor for the year cnded
31 December 2022.
COMPARATIVES FOR STATEMENT OF FINANCIAL AcTIVI￿s
Unrestricted
fund
INCOME AND ENDOWMENTS FROM
Donations and l¢ga¢ies
50,000
Inv¢stllLent income
24,079
Totsl
74,079
Ch4rltable a¢d￿tle9
Charitsble activities
64.403
NET INCOME
9,676
RECONCILIATION OF FUNDS
Totst fi￿dS brougbt fotward
919,006
TOTAL FUIYDS CARRIED FORWARD
928,682
Page 9
continued...

The Patsy Bloom Charltable Trugt
Notes to the Flnyéndal Ststements - continued
for the year ended 31 Deeember 2023
INVLSTMENf PROPERTY
FAIR VALUE
At l January 2023
and 31 December 2023
895,000
NET BOOK VALUE
At 31 Decetnber 2023
895.000
At 31 December 2022
895,000
DEBTORS: AMOUNtS FAILING DIIE wrfHIN ONE YEAR
2023
2022
Other debtor8
4.390
552
8,508
308
4,942
8.816
io.
2023
2022
Oth¢r cr¢ditOTS
1,200
2,640
11. MOVEME￿ IN FUNDS
N¢t
mov¢Tnent
At
31.12.23
At 1.1.23
Unrestrktsd hnds
General fi￿d
928,682
(11,19E)
917.491
TOTAL FUNDS
928,682
(11,191)
917,491
N¢t movemenr in ￿llaS, in¢lud¢d in thc above are as follows:
Incoming
r¢sources
Resources
expended
Movement
in fjjnds
Unre8trleted funds
General fitud
31.612
(42.803)
(11,191)
TOTAL FUNDS
31.612
(42,803)
(11.191)
P88e 10
continue(L..

The Patsy Bloom Charitsble Trust
Notes to the Flnand21 StatemeDts- Continued
for the year ended 31 December 2023
11. MOVEMENT IN FUNDS- continued
Comparalives for nUbven￿￿t in fullds
Net
movement
in fimds
At
31.12.22
At 1.1.22
UDrestritted fund
G¢neraJ fund
919,006
9,676
928.682
IDTAL FUNDS
919,006
9,676
928,682
Comparative net movement in included in the above are as follows:
re50urccs
cxpclldcd
in fimds
Unrestrietsd fundg
General fund
74.079
(64,403)
9,676
TOTAL FUNDS
74,079
(64,403)
9,676
A current year 12 months and prior ye2T 12 months combined position is as follows:
Net
At
31.12.23
At 1.122
in fund5
Unrestricted fuDds
General fisnd
919,006
(1.515)
917,491
TOTAL FUl￿s
919,006
(1,515)
917,491
A current year 12 months and prior year 12 months combined net mov¢m¢nt in fimds. included ill the above are
as follo￿8.
Resources
expended
MovemeJ)t
in fimd5
resources
Unrestrlcted funds
Gene￿1 fund
105,691
(107206)
(1,515}
TOTAL FUNDS
105.691
(107206)
(1,515)
Page 11
continued...

The Pat$y Bloom CharRtable Trust
Notes to the FknaDclal S¢atemeDts - contlnued
for the ye&r ended 31 December 2023
12. RELATED PARTY J)ISCLOSURFS
There were no r¢latcd paty tranwtions for the year cnded 31 Dccembei 2023.
Page 12