## **FRIENDS OF THE HOLY LAND INSTITUTE FOR THE DEAF** 

Registered Charity Number 1079893 

## **Trustees’ Annual Report to Charity Commission Year ending 31 March 2024** 

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 Matthew Hanning 

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 £31,905. Total expenditure was £30,754 

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 REPORT ON ACCOUNTS
REPORT TO..
FRIENDS OFTHE HOLY LAND INSTrrurE FOR THE DEAF
ON ACCOUNTS FOR YEAR ENDIN6.'
31 MARCH 2024
CHARITYNUMBER..
1079893
SEfouT OF PAGES..
Respertfve
responslbllltles of
The charivs trnstees are responsible for the preparation of the accounts. The
charivs trustee5 consider that an audlt 15 not requlred for thls year under sertion
trustees & examlner 144 of the Charities Act 2011 (the Charlties Act) and that an Independent
exarnination is needed.
It is my responsibility to:
Examine the accounts under section 145 of the Charltles Act
To follow the procedures laid down in the general Directions glven by the
Charlty Commlsslon (under sectlon145(5)(b) of the Charltles Act, and
To state whether part•cular matters have come to my attention.
My examlnation was carrled out In accordance wlth general Dlrections glven by the
Charity Commission. An examination indudes a review of the accounting records
kept by the charity and a comparison of the accounts presented with those records.
It also Includes conslderatlon of any unusual items or disclosures in the accounts,
and seeking explanatlons from the trustees Con￿rnIn8 any such matters. The
procedures undertaken do not provide all the evldence that would be requlred In an
audit, and consequently no opinion is glven as to whether the accounts present a
°true and fairf view and the report is limited to those matters set out in the
statement below.
Basls of
Independert
examlnerfs
statement
Independent
•xamlnerfs
ststement
In connectlon wlth my examlnatlon. no matter has come to my attentlon (other than
that dlsclosed below'l:
(l) which gives me reasonable cause to belleve that In, any materlal respect,
the requirements..
To keep accountlng records In accordan￿ wfth section 130 of the
Charitles Act;
To prepare actovnts whlch accord wlth the accountlng records and
comply with the accountln8 requlrements of the Charlties Act have not
been met; or
{2) To which, in my oplnlon. a
drawn in order to enable a
proper u
8 of the accounts to be reached.
*Pleose delete the words in bmckets if they do not apply
Signed
7WA/
Date
loi /z
Narne
PHILQ P21 &VkLSH
Relevant
professional
qualification{s) /
body (if any)
Address ,
610 THL £TR￿T

DISCLOSURE
Only complete if the examiner needs to highli8ht materlal problems
Give here brlef details of any items that
the examiner wishes to disclose

FRIENDS OF THE HOLY LAND INSTITUTE FOR THE DEAF
TWENTY-FOURTH YEAR ACCOUNfs (l Awll 2023 to 31 Marth 2024)
INCOME
2023-24 2022-23 1 EXPENDMJRE
202>24
2022-23
Gyvup Donatlons
Trellx Charttsble Tntst
Peter Storrs TNst
Ancaster Trust
St Martin's Edlnbur¥h
St Peter's Atd for the Needy- SPAN
Great 5t Ma￿S Cambr
Mccabe Educatlonal Trnst
Dakeyne IcthusTfUSt
So¢lety of St Luke
Parochlal Church Councu of St Mary. Standon
Lod8e Of Craftsmen No. 6268
The Ar¢herTrust
IAMLII 4,(U).O)
Trustee Tr￿1
Tran5ferChar8es
l£alleL Stationery & Prfntin8
Independent Examiner
98.15
7S.iK
179.70
.fy) a￿.(￿)
91.19
307.10
fj58
146.20
10.03
72.50
Paypal 8ankfee5
CAF 8ank Char8es
Sundts5
0.0)
2ffj.
IOJX45 8.lYj).￿I
7x78
369.92
L•ry• IndMdu•l L>on•th
133mfyl 317o).(ri
Tr4n5fer IGetwftII to HUD
aOA*MOO 48,Cm.th)
Indfvldual l)onatlo
3.71321
Trdnsfer ISped•U to HLID
Sp•¢lal Purpos• l>oTr•
om
8•nk Int•r•rt
94.14
GIftAld Thx R•cl•lm•d
TOTALS
31J0&55
47.197.08
ao.75L78
48,369.92
Excess of Income tr4er Expendlture
-LlnA4
BALANCE SHEET AT
3110312024
202>24 2022-23
BANK- CAF Cash
BANK- CAF Gold
BANK- PAYPAL
CASH
3Q75
47AI
7.243.49
5033
1&25
L152.50
TAX to be recovered
69US 530.(AJ
161.25
TOTALASSE75
9.187.13
7.876.11
1,311.02
GfftAld Dedarations herd..
132
DeaFinlteLy Connected