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2023-03-31-accounts

FRIENDS OF THE HOLY LAND INSTITUTE FOR THE DEAF

Registered Charity Number 1079893

Trustees’ Annual Report to Charity Commission Year ending 31 March 2023

Patrons: Lady (Jenny) Harper Peter Hinchcliffe CMG CVO Mrs Archbold Hinchcliffe MBE Mr Majed Najjar

Trustees: Jonathan Allen (Chairman) Ursula Martell Tim Martin (Treasurer) The Rev Canon Iain Paton Helen Penfold

Address: Friends of the Holy Land Institute for the Deaf Lodge Farm, Aldwincle, Kettering, Northamptonshire NN14 3EN

Objects: The charity raises money for the Holy Land Institute for the Deaf, Salt, Jordan.

The charity is managed by the trustees in accordance with the trust deed, a copy of which may be obtained at the above address. Donations are sent to the institute: General income: for purposes agreed by the trustees Specific income: for the object(s) specified by the donor.

In the year 2022-2023 gross income was £47,197.08. Total expenditure was £48,369.92

There was no other material change to the work of the charity in this year.

Signed on behalf of the trustees

J G Allen, Chairman

INDEPENDENT EXAMINER'S REPORTON ACCOUNTS REPORTTO.. | FRIENDS OF THE HOLY LAND INSrrrurE FOR THE DEAF ONACCOUNTS FOR YEAR ENDING." 31° March 2023 OIARITYNUMBER.. 1079893 SEfow QFPAGES." The charl￿5 trustee5 are reSp(ms1￿ef0r the preparation of the accounts. The respon51bllitles of thari￿S trustees consider that an audtt is not required forthis year under secllon trustees& examtner 144 of the Charities Art 2011 (the Charitie5 Art} and that an independent examInat￿n is needed. It is my responsibility to- Examine the accounts under settion 145 of the CharltlesAct To follow the procedures laid down in the general Directions gfven bythe Chartty Commlssion lunder secti¢M14515llbl of the Charities Act. and To state whether particular matters have come to my attention. My examination was carried out in accordance with general Directions given bythe Charity COMMI￿On. An examination indudes a reviÈw of the accounting record5 kept by the charrty and a comparison of the accounts presented with those records. It also indudes consideration of any unusual ttems or disdosufes In the accounts, and s￿kIng explanations from the tsu5tees concerning any such matters. The proodures undertaken do not provide all the evidence th would be required in an audtt. and con5equentty no opinl¢)n ￿ wven as to whether the accounts present a rue and fairf vie and the report is limited to those matters set out in the statement bdow. In connecbon with my examlnatii)n. no matter ha5 to my attention (other than that disdosed belo￿1. 111 whith wes ffle reasonable cau5eto bellevethat in. any material respe the requirements: To keep accounti￿ records In accordance with section 130 of the Charities Act: To prepare accounts whith a¢¢ord with the acwunting record5 and comptytfth the accounting requirements of the Charities Act have not been met: or 121 To which. in my opinion. attention should be drawn in orderto enable a proper under5tsndln8ofthe 3¢eounts to bè reathed. Pleose delete the *vrds in brackets rftheydo not oppty Date I Ba￿$ of Independent examlnees IndePend￿t examlnerfs stateme Signed oF/07113 Name Relevant professional qualificationlsl I body Ilf any) ', Address I 61 L Si ￿￿£T LJLG- 11 55

DISCLOSURE Only complete if the ey2miner needs to highlight materlal problems Give here brlef details of ony items that the examiner wishes to disclose

FRIENDS OF THE HOLY LAND INSTITUTE FOR THE DEAF TWEi¥fi.THIRD YEARAccoufiTS {1 April 2022 to 31 March 2023) INCOME 202Z-23 2021-22 EXPENDITURE 2022.23 2021-22 Group Dor•ib>roJ Trdi¥ thaAtabLgTriisi PeterStorrsTn Anca5terTrust St Martin's Edinbur8h St PetsrfsAid forthe Needy-SPAFI Greatst MarV5Cambrid8e Mtcabe EdUcat￿alrIU$t Oakeyne IL%husTru5t Souetyof St Luke Pèrochial Church Coun¢Jof St Mary.51 Lodge oftrdftspnpn 6268 Tranrfer Ctsrge5 9L 17L59 14620 IOA73 269. 21.19 89.(KJ PayP418ankfs CAF8ahkChr8ES 389.91 25.¢J)).cii BanklnteYe# L75 G￿tAkI￿rRed11rne￿ &69I7J 3.49&25 47J97JX Excess of Inc¢4netyerExpendthre 11.172.841 £41L40 8AiANCE SHEET AT 3U0312023 2022-23 2021-22 &4NK.CAFCa5h BANK. CAFGold BANK- PAYPAL CASH 3557 &447.73 36 529 IiA3 L204.24 97 7343A9 TAXto berecTrrned 17.50 ToTAL￿￿s 121024 GIftAhl t£￿1￿￿]n5 herd.. tkaFinltely Connected