Ch*rlty reglgtration number 1078745
OHR YERUSHALAYIM SYNAGOGUE
ANNUAL REPORT AND UNAUDITED FINANCIAL STATEMENTS
FOR THE YEAR ENDED 30 NOVEMBER 2021

OHR YERUSHALAYIM SYNAGOGUE
LEGAL AND ADMINISTRATIVE INFORMATION
Tru•t•e•
Dov Black
Jack Salomon
Charlty numb•r
1078745
Prfnclpal •ddr•••
24 New Hal Road
Salford
M74HQ
Ind•p•nd•nt eumln•r
Loplan Gro8B Bamett & Co
1st Floor Cloister Houie
Rlver8ide, New Balley Street
Manchester
M3 5FS
B•nk•rn
HSBC IMan¢he8l•rl
2- 4 SIAnn'y Squar•
Manchest•r
M2 7HD

OHR YERUSHALAYIM SYNAGOGUE
CONTENTS
Pago
Trusta8$ report
Independent *xamkn•f8 report
stalem•nt of fln8nd•l •cll¥W•8
Bdance 8heol
Notos lo tho flnandgl $latements

OHR YERUSHALAYIM SYNAGOGUE
TRUSTEES REPORT
FOR THE YEAR ENDED 30 NOVEMBER 2021
The tru8tee$ present their annual ￿port and finondal stAlements for the year ended 30 November 2021.
The account3 have bèen prepared in accordance wth the •ccounting poliries set out in note 1 to the accounis and
compty the Deed of Conslilulion dated 4 December 2012, the Charities Act 2011 And the Slalement of
Recommended Practice, "Accounting and Reporting by Charities. issued in March 2005.
ob￿¢11¥•1 and actlvltle•
The principal objects've$ of the chBrity are lo promote and 8dv8nce the Jewish religion and Jewsh ethic5 by the
runnin9 of prayer groups on s regular ba818, to arrange anrl provlde for the holding of meetings. lectures and
exhlbilions for infomiation and advBncemenl of the Jewish rellglon •nd lo promote the educa￿on of chlldren and
adolg•cents in Jew18h religlon And elhics.
The tru8t886 have paid due regard to guldonce 18sued by the Charfty Commljslon Sn dedding what s￿￿16¢$ the
charily should undertake.
AehleY•mont• •nd perfornanc
The principal activiues durlng the year were the wnnlng ol a synagogue, Includlng JevABh BocS0l rellglouJ events lor
the mernbers of the synagogue. The synagogue continued lo in Ihe year, both In terms ¢1 grovlng
membershlp and in the number ol actSvill•s that take place.
Fln•ncl•l r¢vl
The synagogue's flnanc•8 Affj managed ty a dedicated tre8¥urer who18 dvty over88en by th• Iru8tee8.
Dur+ng th8 year under revlew, 88 sel out on the Statement of Flnanclal Activilies, Ihe charity recaivad Income of
£93,959 12020 .' £83,431) ￿th £96,391 12020 £94,605) belng expended In accordance vAth the oble¢ts of the
chaity. Re8erves al the year end totall•d £636,157 matthed by tho inve81ment In the iynagogue ol £S88,974 and
cash of £47.183.
It 1$ th& poll¢y of Ihe ch8dty that unrestdcted fund& whlch are not requlred lor the 8ynagogue trfjllding and other
assets should be maintained at a level which wlll en5ur? that, in the event of a slgnmc8nl drop in fijnding, the ch&rtty
wlll be able lo conllnue its current activities while con8lderallon 18 given to Ways in whlch addrtional funds m8y be
raised.
The trustees have 9888$8ed the rnalor ￿Sk3 lo vthlch Ihe ¢harty Is expo8ed, and 8re oalisfied that 8yBlems 8r• In
place to mi*'gate exp08ure lo the rnajor risks.
structur•, oovemane• •nd m•nagement
The Ohf Yeru$halayirn Synagogue 1$ a iegl$Ie￿d ¢h8fity Ino 107874518n¢Y It8 8ddre88 IB a8 shown on Iha legul and
8(Jmlnlslr¥llve Inforrnalion.
The tiustee¥ of Ihe chBrity who 5eTh8d during the ￿•r were a5 follows..
Dov Black
Jack Salornon
A Bookman
IR¢$lgned 31 August 20221
The day to day adminlstraknon of the charity 18 carried on by a five person Board of Management (known as the
Executive Committee) comprising one Iruslee and four mernb8rJ oflhe ¥ynagogue eleded by tho membership.
App￿ntment of other trustees is at the discretion of
the seNing trustees.
All decisions mad&on.behalf of Ihe_tharity_are made_---
by the trustee8.

OHR YERUSHALAYIM SYNAGOGUE
TRUSTEES REPORT (CONTINUED)
FOR THE YEAR ENDED 30 NOVEMBER 2021
The Irvslees report wa8 approved ty tho Board of Trustees.
Dov Black
Thi•t•e
Ja￿ Salomon
Tru¥teo
Dale..

OHR YERUSHALAYIM SYNAGOGUE
INDEPENDENT EXAMINER'S REPORT
TO THE TRUSTEES OF OHR YERUSHALAYIM SYNAGOGUE
I report lo the trustees on my examination of the fin8nciql Blatements of Ohr YenJsh81ayim Synagogue Ithe
charity) for the year erHled 30 November 2021.
Ro•pon•ibilitI￿ •nd ba•1• ol report
As the trustees of the chartty you are responsible for the preparab.c￿ of th8 ffnancial 8tatements In accord8ncg
with the requirements of the Charmies Act 2011 (the 2011 Actl.
I report Sn respect of my examination of the charty's financlal st#t•mants ¢arrfed out under Bection 145 of the
2011 Act. In carrying out my examinalion I have follow•d all the appllc9ble Dlrectlons glven by the Chgrlty
Commission under Bection 1451Sllbl of the 2011 Act.
Ind•p•nd•nt •x•mln•*• •t•tom•nt
I have compbl¢d my examination. I confirrn that no marters have corne lo my gttenllun In connectlon the
examlnallon givlng me ¢gu8e lo belleve that In any materlal re8pecl'.
ccovnting records were nol kept in iespect of the charity 88 Tequlred by section 130 of the 2011 Act. or
the fin9n¢ial $t8lemenls do not accord wlh those record8'. or
the flnanciBI 5tatement8 do nol compty ¥￿th the applicable requlrem•nti eoncernlng the form and content
of accounts 8el out In Ihe Charlties IAccounlB and Raport91 Regulatlons 2008 other than any requirement
that Ih? accounts give a Irue and fair view is not a matter eonsidernd ¥$ ol In independent
•xamlnallon.
I ha￿ no eoncemi and have como 8cro88 no other matter8 In conn•ction ￿th the •K8mlnallon lo whlth
AtteN￿.0Th should b• drawn In IhiG roport in order lo enable a proper understanding of the flnancl816ts1emenls 10
be r•ach8d.
Rubinstein FCA
Lopl8n Gro•8 Bainetl & Co
181 Floor Cloister Hou
Riverside, New Balley Stregl
Manchester
M3 5FS
.£22.22
Dated.

OHR YERUSHALAYIM SYNAGOGUE
STATEMENT OF FINANCIAL ACTIVITIES
INCLUDING INCOME AND EXPENDITURE ACCOUNT
FOR THE YEAR ENDED 30 NOVEMBER 2021
Unrn•tricted R￿trIcted
fund•
fund•
2021
2021
Total Unr•strlct•d R••trlctod
fund•
funds
2020
2020
Total
2021
2020
Nots•
Incom• from..
Donallons and g1ft8
90,996
2,963
93.959
79,053
4.378
83,431
•n
Charltable act￿rtIal
93.783
2,808
96,391
80.227
4.378
94,605
N•t l•xpendlturnVlncom• lor
tho y•*rl
N•t rn0¥offl•nt In fund•
12.7871
355
(2,4321
111.1741
(11,174)
Fund balonce8 at 1 December
2020
837,189
1,400
838,589
848,383
1,400
649,763
Fund balanc￿ At 30
Nov•mb•r 2021
834,402
1,755
638.157
637,189
1,4CIJ
638,589

OHR YERUSHALAYIM SYNAGOGUE
BALANCE SHEEr
AS AT 30 NOVEMBER 2021
2021
2020
Flxed a••et>
Tang*Jle •$s•ts
588,974
567,032
Current ai••ts
Ca¥h at bank and In hand
47,183
71.557
Nat current JssetB
47.183
71,557
Tot•1 I••￿• l••• curr•nt Il•bllltl••
838.157
638,589
Incom• fund•
Reslrf¢ted lund
Unre31dcted fund$
1,755
834,402
1,400
637,189
836,1 $7
638,589
2810912022
The finandal statements were approved by Iha Tw$t••8 on ......,.............,....
Dov Black
Tru•t•o
JAck S81c4non
Tru•t•fr

OHR YERUSHALAYIM SYNAGOGUE
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 30 NOVEMBER 2021
Accountlnq pollcle8
Charlty Inform•tlon
Ohr Yerush8lawrn Synagogue is a ch8ritable truit con8trtuted under 8 Deed of Constitution dated 4 Oecember
2012.
1.1 80•1• of prnparallon
The accounts hgve been preporeil on Ihe recelpls and payments ba818.
1.2 Chjrftable lund•
Unrestrl¢t8d fvndj are avallable for usè al the discretion of the trust8a$ In furtheranc• ol Iheii chantable
objective$.
R¢3tslcted funds are subject lo specific condAlon8 ty donor¥ 88 lo how they may bv used. The purpo$e$ ond
u￿8 of the restricted fund¥ are sel out in the noteB lo the financl•l $18lem&nl$.
1.3 T•nqlbl• flxed ••••t•
Tanglble fix•d 88s8ts ar8 meaBured al cost, net ol depreciatlon to 30 Nov&mber 2012. Dep￿claI10n waB
previousty prov+ded at rate8 calculated lo write Off the COBI less estim8led r&8idual value of each asset over Ili
expected u8elul lifè. a8 followi..
8ulldlng
Torah Scrolls
Fixtures and FKting8
Compulern
2% Slr8ighl line
5% Straight line
25% Reducing balan
Don•tlon• •nd glft•
Unr••trl¢t•d Re•trlct•d
fund•
lund•
Totsl Unrestricted R88trlct8d
funds
fund3
Total
2021
2021
2021
2020
2020
2020
Donatlons and glfts
Grant income
Un￿11￿¢¢¢d
87.085
2,963
90,028
79,053
4,378
83,431
3,931
3,931
90,996
2.983
93,959
79,053
4,378
83.431
Included wrthin th? abovg ?5 r¢stridod 15 £2,￿3{2020 . £4,378) of govemrnenl grants th81 were received in
respect of the 8ecuTKy costs of the 8ynagogue. £2,808 ofthe Becurity funds were expended In the ytar.

OHR YERUSHALAYIM SYNAGOGUE
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 30 NOVEMBER 2021
Charltable •rAlvlti
2021
2020
Rent
Fedorath"on of Synagogues membership
Insurance
R81i9ous se￿ces, ljooks and requlsiles
Cleaning, fepalr, rnalnlenance and sundry purch¥8e$
Fundrai55ng and sorial acUvlle4
Securfty costs
Adv•rtl8lng, prfntlng •nd postage
Rale8
Llght and heat
T•lephone
Professional foes
Rabbinical and olher religious seNice¥
18,493
11,000
18,494
10.000
1,857
2,885
14,882
19,494
4,378
557
20,693
18,708
2.608
1,149
1,283
6,981
408
35
18,498
1.391
S.475
240
707
14,375
96,391
94,605
98.391
94,805
An•ly•l• by fund
Unrgslricted fund
Restrlcled fund8
93.783
2,808
96,391
For th• y•&r •nd•d 30 Nov•mb•r 2020
Llnr¢$ld¢t¢d funds
Re8tTkted fund8
90,227
4,378
94,605
Tru•t•e•
None of the Irvstees lor any persons C￿nected with them) gny rpmuneration or beneffts from the
tharty durfng the year.
None of the trust8e8 lor 8ny porson connected vhth them) recefved any relmbur88menl of expenses from the
charty duting the y¢wr.

OHR YERUSHALAYIM SYNAGOGUE
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 30 NOVEMBER 2021
Employe•8
The average monlhty nuwkner ofemployees during the ye8r wa&..
2021
Numb•r
2020
Numbor
Tot
Ther¢ w•t• no ernployees whoBe 8nnuAI remunerallon wa8 moi8 than £eo,cth).
Tanglbl• flxèd a•••t•
Bulldlnq Tornh scroll• Flthr•• ¢￿put•￿
Totsl
C￿1
Al 1 D0￿mber 2020
Addlllon8
453.662
11,883
54.337
72,718
9,921
510
338
581,227
21,942
At 30 November 2021
485,345
54,337
62,839
848
e03.189
D•prnel•tlon •o)d Impalmient
Al 1 Do¢¢mb•r 2020
4,347
9.848
14,195
At 30 Novomber 2021
4,347
9.848
14,185
Carrylnq amount
AI 30 Novernber 2021
485,345
49.990
72,791
848
588,974
At 30 November 2020
453,862
49.990
82,870
510
567,032
Analy•l• ol n•t aM•t* b•tw•en fundB
Unr••trfci•d R•8irfctvd
lund•
fund•
2021
2021
Totsl Unro8trfet•d
fund$
2020
Re8trfcted
funds
2020
Totsl
2021
2020
Fund balan¢98 al 30
November 2021 ¥re
represented by..
Tangible asBels
Currenl ass6tsllllabllitl•8)
588,974
47,183
588,974
47.183
567,032
70,157
$67,032
71,557
1,4C(J
636,157
638,1S7
637,189
1,400
638,589
The restricted funds comprise donation¥ for the Building Fund.

OHR YERUSHALAYIM SYNAGOGUE
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 30 NOVEMBER 2021
Relai•d p8ty tr•nu¢llon•
There wefe no ￿lAted paty tran8action8 during the year that require di8do8ure12020- none).