Charlty R•glstration No. 1078745
OHR YERUSHALAYIM SYNAGOGUE
ANNUAL REPORT AND UNAUDITED FINANCIAL STATEMENTS
FOR THE YEAR ENDED 30 NOVEMBER 2020

OHR YERUSHALAYIM SYNAGOGUE
LEGAL AND ADMINISTRATIVE INFORMATION
Trusts•s
Adam Bookman
Dov Black
Jack Salomon
Charlty numb•r
1078745
prtnclpal addf•SS
470 Bury New Road
Salford
M7 4NU
Ind?￿ndent •xamln•r
Loplan Gross Bgmott & Co
1st Floor, Cloisl?r House
Riversidg
New Bailey Street
Manchester
M3 6FS
Bank•r•
HSBC Bank pk

OHR YERUSHALAYIM SYNAGOGUE
CONTENTS
Pagè
Tru8tee8 report
Slalemenl of flnandal actiwlies
8•lanrR sheet
Nol•8 lo the flnanclal statemènts

OHR YERUSHALAYIM SYNAGOGUE
TRUSTEES REPORT
FOR THE YEAR ENDED 30 NOVEMBER 2020
The trustees present Ihelr report and ffinancial statements for the year ended 30 NOVem￿r 2020.
The accounts have been prepared in accordance with the accounting policies sel out in note 7 to the accounts anty
comply wth the Deed of Conglrtulion dated 4 December 2012. the Charitie5 Act 2011 and the Statement of
Recommended Pradce, Accounting and Reportbng by Charities" issued in March 2005.
ObJ•ctlvg1 and activitigj
The principal obiects.ves of the charity are lo promote and advanco the Jevhsh religion and Jewish ethlcs by the
running of prayer groups on a regular basis, to arrange and provide for the holdin9 of meetings, lectures and
exhibitions for inlomialion and advancement of the Jewish religion and lo prornole thè education of children and
adole8cent$ in Jewish religion and ethics.
The IruBtees have paid due regard lo guidance issued by the Charity Commission in d&ciding what activlties the
charily should undertake.
A¢hl•vom•nt8 and performanc•
The prfncipal aGtlvlties during the yèar were the running of a 8ynagogue, including Jewish social rellgious evenl$ for
the members of the synagogue. Tho synagogue conllnuèd lo thrive in the year, both in term¥ of growing memborshlp
and in tho number of acllvlties that lake place.
Flnanclal f•vl•w
The 8ynagogue'$ finances are managed by a dedlcalèd treasurer who18 duly overseén by the Iru5teas.
During the year under r8view, as sel out on the Statement of Financial Aclivth'o$. the charity received Income of
£83,431 12019 .' £133,229) wllh £94,605 12019 .. £108,737) being expended in accordance with the objects of the
charity. Re¥erve8 al the year end tolalled £641,S89 malehed by the inve$lmenl In the synagogue of £567,032 8nd
cash of £71.557.
There has been a reduction In Income durlng Ihls tradln9 period, due to Covld re8lrtctions r•3uttlng in reduced
geNice5. In addillon during this period member income has beén aff8Ctod.
Thi5 has be8n a lempcrary siluallon and tho Synagogue ha5 now retumed lo lull function. The Trusleeg anlicipale
Income wll increase accordlngly. In addition the Synagogue continuès to maintain sufficlenl reserves that ensures
liabllilie8 can be met.
11 is the pollcy of the charlly that vnreslricled fiJnds which are not re4uired for the synagogue building and other a558ts
8hould be maintained al a level which wll ensure that. in the event of a significant drop In funding, the charity will be
able lo continu& its current a¢livili85 while conslderatton Is given lo ways In which additional funds may be rai8ed.
The trustees have a88e88ed the major rf8k8 to the charity18 exposed, and are 98115fied that Systems are in
place lo miligale exposure lo the major risks.

OHR YERUSHALAYIM SYNAGOGUE
TRUSTEES REPORT ICONTINUED)
FOR THE YEAR ENDED 30 NOVEMBER 2020
structurei governance and man•gem•nt
The Ohr Y8rushalayim Synagogue is a re9iSteTed charty Ino 1078745) and its addre88 Ig as shown on the legal and
admlnlstrotsve information.
The Iruslees of the charity who seNed dudng thè year wore as follows..
Adam Booknian
Dov 818d(
Jack S81c*n¢Jn
The day lo day admln18tration of the charlty is carrled on by 8 five per80n 8oard of Management (known as the
Execuuve Commltteel comprislng one tru8le8 and four members of the synagogue 8￿cted by the memberahip.
Appoinlrnent of other trustee8 is al the d18crelion of Ihe 8ervlng trustees.
All deasions made on behalf of Ihg charity are made by the ITUStee8.
The trustees report was 8pprovad by the 8oard of TTU8tee8.
Ad•m 8ookmAn
Tru$leg
Dov Bl•ck
Tru8tee
D8tsd'.
Jack Salomon
Trustee
Dated..
Doled.. 0310912021
0310912021
0310912021

OHR YERUSHALAYIM SYNAGOGUE
INDEPENDENT EXAMINER'S REPORT
TO THE TRUSTEES OF OHR YERUSHALAYIM SYNAGOGUE
I report lo the Iruslees on my examination of the financial statements of Ohr Yorusha18yim Synagogue lthe
charityl for the year ended 30 November 2020.
R•$ponslbllltl•$ and basil of report
As the trustees of the charity you are responsible for the preparallon of the financial statements in
accordance wlh the requlromenls of the Charitie5 Act 2011 Ilhe 2011 Act).
I report In respect of my gxaminauon cf Ihe charity's financlal slatemenlg carried out under section 145 of
the 2011 Act. In carrying out my exarninalion I have followed all the applicable Dlrecllons glvèn by the
Charity Commission under section 1451Sllbl of the 2011 Act.
Ind•p•ndont •xamln•r'# #tat•mont
I have completed rny examination. I confirm that n¢ matters have come to my attgnlion in connection wlh
the examlnalion giving me cause lo believe Ihal in any material resp8el',
accounting records were not kept in respect of the chaTIty a5 requirtsd by section 130 of the 2011 Act.,
or
the flnanclal 5181emenls do not accord with Ih06e records,. or
the financial $lalemenls do not comply wlh th• applicable requirements ￿nCernIng the fomi and
conlenl of accounts sel out in the Charities (Accounlg and Report51 Regulations 2008 other than any
requirement that the accounts givè a true and falr view which is not a matter considered ag part of an
independent examination.
I have no concems and have come across no olhgr matters in connection with the examlnallon lo which
attention should be drawn in this report In order lo enablè * proper understanding of th& financlal ¥latements
to be reachad.
D Rubinstein FCA
Lopian Gross Barngtt & Co
181 Floor, Cloister House
River8lde
Nèw Bailey Street
Manchester
M3 SFS
D4ted'.
0310912021

OHR YERUSHALAYIM SYNAGOGUE
STATEMENT OF FINANCIAL ACTIVITIES
INCLUDING INCOME AND EXPENDITURE ACCOUNT
FOR THE YEAR ENDED 30 NOVEMBER 2020
Unr•$trl¢tsd Ro8trlcted
fund#
funds
2020
2020
Total Unrestricted Reslrfcted
nds
nd5
2019
2019
Total
2020
2019
Not•s
DonatKJns and glftg
79,053
4,378
83.431
127.560
5,869
133,229
Charitable activities
90,227
4.378
94,605
103,068
5,669
108,737
N•t1oxp8ndltur•lllncom•
lor the y8•rl
Net mov•m•nt In lund•
111.1741
111,1741
24,492
24,492
Fund tsalan￿8 at 1
Dfjcember2019
648,363
1.400
649,783
623,871
1.400
625,271
Fund balanc•s At 30
Nov•mb•r 2020
637,189
1,400
638,589
648.363
1.400
649,763

OHR YERUSHALAYIM SYNAGOGUE
BALANCE SHEET
AS AT30 NOVEMBER 2020
2020
2019
Noles
Flx•d a•B•ts
Tangible assets
Curr•nt a•$ets
Cash al bank and In hand
567,032
565,912
71,557
83,851
Net current as¥ets
71,557
83,851
Total as¥•ts l••# Gurrent Ilabllltl••
638,589
649,763
Incom• lund•
Reslrfcted funds
Unreslrlcted fund8
1,400
637,189
1.400
648,363
638,589
649,763
0310912021
The flnonci818t8t8ments wère approved by the Trustee6 on ..................... ...
Adam Booknian
Tru•ts•
Dov Black
Trusts•
Jack Salomon
Tru•ts•

OHR YERUSHALAYIM SYNAGOGUE
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 30 NOVEMBER 2020
Accountlng pollclofj
Charlty Infomiation
Ohr Y*rushalayim Synagogue is a charitable trust con$tiluled under a Deed of Consliluhon dated 4
Decernber 2Ct12.
1.1 Ba$1$ of proparatlon
The accounts havè been prepared on the recelpts and paym8nl8 ba$ls
1.2 Ch•ritabl• fund•
Unreslrict&d fund8 are available for use at the disuetlon of the trustees In furtherance of their ¢har*lable
obleclives.
Restricted funds are subject lo Specific condllions by donors as lo how thèy may be u$ed. The purposos
Ind u59$ of the reslrlcl6d funds are set out in the notes lo thè financial 8lat*menl8.
1.3 Tanglbl• fixod as59ts
Tangible fixed a55els are measured at cost, net of dgpreciallon lo 30 November 2012. Depreclallon was
previously providod at raley calculated lo write off the cost less eslimaled residual valuè of each as$81 ov•r
Ils èxpaclgd useful Iwe, as follow8..
8uikllng
Torah Scrolls
Furniture
Computer$
2% Slraighl line
5% Straight Ilne
25% Reducing balance
Donatlon• •nd glft•
Unro•trlcted R••trlct•d
funds
fund•
Total Unrè5trlcled Reslricled
funds
funds
Total
2020
2020
2020
2019
2019
2019
Donatlon¥ and g1ft3
79.053
4,378
83,431
127.560
5,669
133,229
Included ¥￿thIn the above as reslrfded IS £4,37812019 ', £5,669} of government grants that were received
In respect of the security costs of th¢ $ynagogue. £4,805 of the security fund8 were expended in the yfrar.

OHR YERUSHALAYIM SYNAGOGUE
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 30 NOVEMBER 2020
Charltable activltlos
2020
2019
Rent
Federation of Synagogues membership
Insurance
Religou8 88Nicey. books and requisheg
Cleaning, repair, maintenance and Sundry purchases
Fundiaising and 80oal acllvilles
Security Costs
Adv•rtising. printing and po8tsg8
Rale$
Light and heal
Telephone
Pfofessienal fegs
Rabbbnlcal and other r*ligious 8ervlc88
18,494
10,000
1,857
2,B85
14,882
19.494
4,805
18,493
10.000
7.065
1,780
15,336
28,317
5,669
605
1,882
5,642
205
707
1 5,060
1.391
5,475
240
707
14,375
94,605
108,737
94.805
108,737
An•ly•l• by fund
Unrèstricted funds
Reslrlcled funds
90,227
4,378
94,806
For the yoar onded 30 Nov•mb•r 2019
Unreslricled funds
Re8trlcled fund8
103,068
5,889
108,737
Trust•••
None of the trustees lor any persons Gonnected with them) recelved any remuneralion or benefits from the
charity during the year.
None of the Iru8tees lor •ny pgrwn connected wEth them) received any reimbursement of expenses frown
the charity during the year.

OHR YERUSHALAYIM SYNAGOGUE
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 30 NOVEMBER 2020
Employ905
The average monthly number of employee$ during the ygar was..
2020
Numbor
2019
Numb•r
Total
Tanglblo flx•d 4s1•t•
8ulldlng Tor•h S¢roll•
Fymltu
Comput•rn
Totsl
Co•t
Al 1 December 2019
Addillon8
453,602
54,337
72,108
610
560,107
1,120
510
At 30 Nov&mb•r 2020
453.662
54,337
72.718
610
581.227
D•pr•¢latlon and Imp•lmi•nt
Al 1 December 2019
4,347
9,848
14,195
At 30 NOVem￿r 2020
4.347
9,848
14,195
Carrylng amount
AI 30 November 2020
453,662
49,990
62,870
510
587.032
AI 30 Novembèr 2019
453,662
49,990
62,260
565,912
Anaty•l8 of net a$••t8 b•tween funds
Unr•itrlctod R••trl¢tod
fund¥
lund•
2020
2020
Total Unr951ricted Reslrlclèd
funds
funds
2019
2019
Ttsl#l
2020
2019
Fund balances è130
November 2020 are
represented by..
Tangible a$sels
Current a88etsl
587,032
567,032
565,912
565,912
70.157
1.400
71,557
82.451
1,400
83,851
637,189
1,400
638.5B9
648,363
1.400
649,763
The re5tri¢tsd lund8 compri58 donations for the Building Fund.

OHR YERUSHALAYIM SYNAGOGUE
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 30 NOVEMBER 2020
R01atsd party tr4n•actlonb
There ￿re no related party transadion$ durtng thè yèar that require disclosure I2019- none).