Statement of purpose and report of trustees
For year ending 31.10.24
The purpose of “The Don’t Leave Me As I Am” Charity Fund is the relief of need of Jewish children and adults, in particular those with learning difficulties or suffering from illness (and in particular kidney disease), through the provision of therapy, teaching, advice and activities in a supporting environment. A focus is on helping adults with learning difficulties and autism to live independently.
During the year ending 31.10.24 a number of disbursements have been made – specifically to provide respite services for children and young adults with severe learning difficulties, to provide speech therapy and counselling services for disabled children, to assist in remedial services – including residential - for disadvantaged children and young adults, to provide therapies to learning impaired children and young adults, to directly develop speech therapy programs, to provide recreational therapies (including horse-riding) plus respite for children and young adults with special needs including hearing impairments, to assist with the placement of special needs children in mainstream school, and to aid independent living of adults with learning difficulties.
B.D. Brown
Trustee
The Don’t Leave Me As I Am Charity Fund
Receipts and payments account (£s)
Year ending October 31, 2024
receipts received from donors 55,470 65,862 income from investments 48,841 26,366 total 104,311 92,228 payments charitable disbursements 80,335 84,534 accounting and bank costs 4,117 4,402 total 84,452 88,936 excess receipts over payments 19,859 3,292
statement of assets and liabilities total net investments at cost 610,526 590,667 total net investments at market 1,969,100 1.938,956
The Don’t Leave Me As I Am Charity Fund
Receipts and payments account (£s)
Year ending October 31, 2024
receipts received from donors 55,470 65,862 income from investments 48,841 26,366 total 104,311 92,228 payments charitable disbursements 80,335 84,534 accounting and bank costs 4,117 4,402 total 84,452 88,936 excess receipts over payments 19,859 3,292
statement of assets and liabilities total net investments at cost 610,526 590,667 total net investments at market 1,969,100 1.938,956