## **Chigwell & Hainault Jewish Youth Club Registered charity no. 1059762** 

## **Trustees Annual Report for the year ended 31.12.24** 

1. As mentioned in last year’s Trustees Report major building works throughout part of 2024 significantly restricted the use of our premises with the attendant adverse impact on our income. 

2. We record with gratitude grants from The Children’s Aid Committee especially so in this difficult year for us 

3. And we are as ever indebted to The Jack Petchey Foundation for its continued support stretching back well over 20 years. 

December 2025 



## **CHIGWELL & HAINAULT JEWISH YOUTH CLUB** 

**Receipts and Payments Account for year ended 31 December 2024** 

||**Balance @ 1 January 2024**|**£16,149**<br>£                                             £<br>800<br>3,463<br>1,187<br>4,650<br>3,648<br>0<br>1,921<br>8,433<br>324<br>5,491<br>2,988|
|---|---|---|
||<br>RECEIPTS:<br> <br>Members’ subscriptions<br>Door money:<br>Juniors<br>In-betweeners<br>Canteen<br>Weekends away<br>Club Activities<br>Schemes<br>Fund raising activities<br>Grants/donations<br>Other||
||Total|28,255|
||PAYMENTS:<br>General Activities<br>Canteen<br>Insurance<br>Salaries & PAYE<br>Schemes<br>Fund raising<br>Printing, postage, stationery & advertising<br>Equipment, fixtures & fittings<br>Website<br>Bank charges<br>Other|3,660<br>2,654<br>237<br>24,891<br>1,435<br>120<br>67<br>416<br>240<br>151<br>86|
||Total|33,957|
||||
||**Surplus/(Deficit) for theperiod**|**(5,702)**|
||**Balance @ 31 December 2024**|**£10,447**|





## **CHIGWELL & HAINAULT JEWISH YOUTH CLUB** 

**Receipts and Payments Account for year ended 31 December 2024** 

||**Balance @ 1 January 2024**|**£16,149**<br>£                                             £<br>800<br>3,463<br>1,187<br>4,650<br>3,648<br>0<br>1,921<br>8,433<br>324<br>5,491<br>2,988|
|---|---|---|
||<br>RECEIPTS:<br> <br>Members’ subscriptions<br>Door money:<br>Juniors<br>In-betweeners<br>Canteen<br>Weekends away<br>Club Activities<br>Schemes<br>Fund raising activities<br>Grants/donations<br>Other||
||Total|28,255|
||PAYMENTS:<br>General Activities<br>Canteen<br>Insurance<br>Salaries & PAYE<br>Schemes<br>Fund raising<br>Printing, postage, stationery & advertising<br>Equipment, fixtures & fittings<br>Website<br>Bank charges<br>Other|3,660<br>2,654<br>237<br>24,891<br>1,435<br>120<br>67<br>416<br>240<br>151<br>86|
||Total|33,957|
||||
||**Surplus/(Deficit) for theperiod**|**(5,702)**|
||**Balance @ 31 December 2024**|**£10,447**|



