Chariti" Number 1098¥39
CHOFETZ CHAIM TRUST FOUNDATION
FIN..IJCIAL STATEI1qE￿'Ts
.10.IUNE 202.3

CHOFETZ CHAIM TRUST FOlJfrJ.r).4"I,JN
FINANCIAL STATEMENTS
YEAR ENDED 30 JUNE 2023
COI%TFNT%
Trusiees aiid pr(pf¢ssion21 advisers
Trustees Annual R¢potT
Siaiemeni ofi'rusLCCS r¢%ponsibililics
Indcpcndent examiner report
Slaicmcni of financial aciiviiics
Ralancl %h¢ci
Noles io ihe finaiicial stalL'mep.I
&9

CHOFETZ CHAIM TRUST FOUNDATION
TRUSTEES AND PROFESSIONAL ADVISERS
Registered charit%. na￿¢
CHOFETZ CH.bJM TRUST FOLThD.4TIO
CharitTr Tr￿mber
10988J9
Prfncipal office
Fldi 4 Alexandra House
104 Bouyerie Road
London N16 OAQ
Trustees
Irs S N Englander
P Smith
J S Lnglander
Accountant
JS & Lo.4¢CounL￿ts Lid
26 Theydon Road
London
F.5 9NA
Bankers
Saniander

CHOFETZ CHAIM TRUST pOLINDATIOht
TRUSTEES ANNUAL REPOF< i
YEAR ENDED 30 JUNE 2023
I￿￿?tinUed}
Thc trustees have plL2%ure in pr(￿lnIlri8 thtir retM)n 2DJ the unaLidiied fllwi¢ial siaiemenis of the
charity for ihe year ¢ndcd 11) JunL ?jl2.=
REFEREf*CE AND .IDIII%I%TIL¥TII"E DET.IILS
R¢lorincc and adiiiini%Lfd(11 L U¥Lail￿ Jlkn ihoii'n in Il)e )chedule or1￿.￿tee5 and professional advis¢rs on
page l ol-thL financial statanLntN.
THE TRUSTEES
Th¢ truslLLs who *<Th'cd ihL iompany during lh¢ ￿(￿1 were as follow¥
Mr5 S N F.nglander
P Smith
J S EnbilandL'r
A15 major d¢iisions arL rakcii LollLYfivcly by thL' Irast￿.
The Inislees are unpai(f and deiails vl- anv r¥lalwJ pafty iransaLiions aty disclosed as applicable in the
noi¢8 to ih¢ accounis.
s'rRuc'i"LRE. COI'EILY.4NCE A%D fy1.4.NAGE.IIF".IT
Thc Lharity 1% i()nlr(IllLd b!, If% g()kLniii)bv il()LumLIII, d dLed of I￿st and constitutcs
unincory)oraied chariiy.
ReLruitmeni and Jppoinimcni vf nLW ￿OUld bc in line wilh the Trut4t D¢¢d and with ihe
¢on%Lni ol. th¥ trusl¥LS. Thl LrilLria *l.for ihc %uithblc c4ndidai¢ would b¢ somLy)ne whv is sensitive
io ihL I)Cids and d¥mwids ot thk orbdniiaiion.
RISK RF.I'IF.W
ThL TrusfLLS IidVL liss¢%5i￿ ilie m£ijor risks ro ivhich the charity 15 ixFK)sed. in particular ihosl K.laicd
io the op¢ratioi)s and tinani¢> ol. th¢ Trust, and ar¢ saiistied ihat ss"slems are in plaL¢ to manage our
¢xposur¢ li) the majvr risks.
()BJECTIVES ..ICTII'II'IF.Tr¥
Thc chari¢y SUp￿rt$ (hc ones .%iudyinb Ihe J¢wish (LXts.Ii also helps rclici'cs financial hard%hip in
PdrtlLular
bui
noL
cxLI￿1?1,elV
by
Ihc
prvwision
I.
granis.
Rlf>K .NIAYAGF.MFJiNT
The trusl¥vs hdi v put iii pldLe 5Vslems 10 idthitify risks aiid Trview the 5ySt¢ms r¢8ulaAy.
A REI ()F OLR ACHILI'EIIEN'IS AhD PERTr()KiIIANCkS
The Trustees are salisficd with ihe resul15.
The Lharit), r£¥eii'cd £ I11,76.3 in donations and ILga¢iL% during lh¥ vcar.
Surplus Larried fotward is £5.815.

CHOFETZ CHAIM TRUST Fb'jlPIOATIIJN
TRUSTEES ANNUAL REPO1￿.
YEAR ENDED 30 JUNE 2023
RE5ERI'ES
Thc IruylLX% aim io mainiain IrÉt' in ijn￿1ncleI$ fur.ds at a leN'el which equates to
appTO.ximaiLly thrLX' month5 01. w Jri%ln¥1L(l chatitsblc Lxp¥ndilvn', aTKI thcy feel fortunate in having
been abl¢ tu maintain thai Icvcl ot
PLANS FOR THE FUTI'RE
Ay part ol- oui. Ollbioing plans lor th¢ fuiure. Iv¢ aht IcK>king io ¢arry on wilh our successful work and
are consldnily lundrai*ing 10 Lui cr oiir kx,w"n*tr&.
Signed on behalf of the rnjsittb
Truslee
7, Januory 2025

Thc charily's tnLgiees are rLbpor..si..
Annual Repon and the financial
stalemcnti in accordance wilh dppltcJbli ljii 2nd Lry11¥￿1 kinrythm Accouniing Stsndardb. (United
"ngdoin GL￿(￿d]ly A¥L¢PtLd AL£ouniin¥ PrdL*IL¥'j.
Thc law" applicabi¢ io chariiies in P.Iglan(l an(1 W.Iles reqvirL) Ihc Irustccs lo prcpare financial
Stalffli¥nli l¢)r Lach linancial yLili ivhi¢h a trLie ar.d lair view of ihe siaie of affairs of ihe chariiy
and of the iiiioming rLsouiL¥S aiid hppliiaiioii of r¢sourc=i of th¢ chariry for ihat periiKI. In preparing
Ihese finbvb¥ial st4ltemenrs. th¢ rrd%t¢¢s ar¢ r¢quired io-
select suirabl¢ a¥woullring poliLie5 and ihcn apply ihrll Lonsisrenily.
obscrvc thc meih(xls dnd principl¢g in the Charilics SORP,.
make judgemenis and esiimatLS ihai are r¢*%onabl¢ and prudcni-
stalL whLih¥r applicablL accounling stand2r&s hdi'e be¢n followed subjeci to any maierial
dcparturLs diqclo*ed and ¢xplainc(l in thc Iinarbcial qdicmcnts..
prcparc the financial staiemCn￿ on th¢ gi)iryg ioncem basis unlL>S li is inappropriate to presume
Ihal thc chdriiy ivill ¢()niinuc in npcraill)n.
The iru.%i¢es arc rcsponsiblc lor k¢c'ping rropLT accouniiiig ￿r￿S thai dis¢lose ￿1¢h reasonable
accuracy di Jny timc ihe financial po%ition ol- the ¥tr.e.riiv and enabli* them to ensure Ihai the finan¢ial
statemeniN lumply wilh Ihc Clitiriiies A¢[ ?0 I I dnd th¢ Chaiily IAccount.s and Reports) Rcgulntions
2008. ThL tni%tLX'* arl. iilso fc%pun4ible tL)r *V.le¥u8rd:n¥ (h¢ &%s¢ts ol. IhL' Lharity dnd hcnce fur iakin¥
r¢asonabl¢ st¢ps for the pm'ttitloil al￿. d¢ieLliun Lif fraud diid other irregularitivi.

CHOFETZ CHAIM TRUST kOUNIJATSON
INDEPENDENT EXAMINER P.EPORT
YEAR ENDED 30 JUNE 2023
I repon on thL 8Lci7unls lif rhL Lharils, for the VtrJT ended 30 JunL 2023 set out on pa8¢s 7 to 9.
RESPECTII'E IiLSPOP4SIBILI riTr:s oTr"'rRbS'I'*.ES AID I]%DEPLNDE￿T EXAMIYER
The Charity's trnsltts respoi)sible for ihe preparation of th¢ ailounis. The charity'5 trustees
consider That an audit is nor required for thi5 )'Vdr under seuion 144 of The C.hariiies Aa 20111.ihe
Aci") and ihai an iiidepciidLni cxaminalion is nctd¢d.
It is my re%￿nsIbIli1Y io=
¢xamii)e th¢ aLLounis under seLlion 14) of the ALI.
to fnl1()￿. thc proceduir4 laid (knu'n in IhL" S7eneral direciions gii'en by the Charity Commission
lundcr ScciiÉ)n 14515hbi ol-lnt ch￿IleS AcL)- and
iat¢ whciher Piinicular niyii¢Pi havc comc to my aiteniion.
BASIS OF I￿DEPEr1DF.f￿T F.XAMI IYER'S STATEIIEYT
My ¢XdminJlivii Lan'i¥d out in hLcordfjii<e with il)e ¥en¢rnl dir¢itiviits gii'eii by rhe Charity
Commi88iftn. An examii)aiion inclwjcs a rci iem. of the a¥counting r¥Yords kepi by Ihe charity and a
Comparison or lh¢ accounts presLnicd Kiih. Ihosc rccords.
11 11so includ¢s consideraiion of an}.
unu%ual Ii¢nL% or di%il0surc% in thi account.%, and xeeLinbT explanations Irom Ihc (nLsiee.¥ conccrning
any %ULh mati¢rs. Thc proLcdurL¥ und¢n4k¢n do noi proi'ide all ihe cvidenLe thai would be required
in an audit. and con.%l4Uinily n() opinion is gii'Ln a& io whi%hcr thL ￿LUunIs prisent a 'tru¥ and fair
view hnd ihL' rLiJort is limit¥YJ io ihosk. martLfs ¥¢1 oui in thL' statLmlCllt bL.Iow.
IliDkPE.NDE.YT LXAI¥IIi%ER'S 5T.4TE.ML￿.I"
In conneclit)n wilh my examinalion. no maiiLr h&$ come to my allcnuon-
.hiih gTjI'LS me r¢￿Onable caw%c to bclicvc thai. in any material resp¢¢t. the
rL4uifL.ML￿1S:
to keep xcouiiiing¥ reiord% in acconlance wilh Scclion 130 ofihc C'harilies Act;
dnd
tv prep4ir¢ ac¢ou1115 whiLh aLYord wirh the accouiiling r¢cords and ¢omply with
IhL' accourtTing rLquiremenis of ihc C'harities Ad hai¢ noi l)c¢n m¢t: or
b)
lo whiih. in my opinion, aiiention should be drdwn in ord¢r lo ¢nabl¢ a prop¢r
undLY%ldndingT of IhL' accoun14 to bL' n'ach￿.
J.S & Ci) Acc;)unianis Lid
?6 Thcydon Ri)ad
London F.5 L)NA
7 January 2025

CPIOFETZ CHAIM TRUST FOIJNDATION
STATEMENT OF FINANCIAL ACMVITIES
for the year ended 30 June 2023
Unr•strict•d
2023
2022
Totsl Funds T{￿al Funds
)tes
INCOMING RESOURCES
Incoming resources from genera
Donations and Grants
113.763
113.763
108.483
Totsl Incoming res¢urces
113.763
113,763
108.483
RESOURCES EXPENDED
8dministratson Costs
Charitable activities
Govaman¢fi costs
3.710
104,843
1,481
3,710
104.843
1.481
4.200
103.891
1.372
Total rgsources •xp8ndod
110,034
110.034
109.463
NET INCOMINGIIOUTGOINGI
RESOURCES
3.729
3,729
-980
RECONCIUATION OF FUNDS
T¢>tal funds brought forward
2,086
2,086
3.066
TOTAL FUNDS CARRIED FORWARE
5,815
5,815
2.086
The Notes forn) part of the finanual stalemenls
Page 6

CHOFETZ CHAJM TRUSI FOUNDATION
BALANCE thy'=
Jai￿23
2023
2022
N'otes
CURRENT ASSETS:
Cash al bank and in hand
7,171
7.171
3.322
CREDITORS.. #mounts falllng
du• wlthln on• year
-1.356
-1.236
N•t Current ass•tsllllabillths1
5.815
NET CURRENT ASSETS:
5,815
2,086
FUNDS
Unr&stri¢ted
5.815
TOTAL FUNDS
5.815
2.086
Apprgvèd by th8 boaro of TNste¥s on..
And signed on their behalf by.
07 January 2025
Trust•
The Noles lorm part of Ihese financi31 stst8mènts
Page 7

CHOFETZ CHAIM TRUaT FOUNDATION
NOIES TO-: Htr. fI,￿N￿lAL STA I tMENTQ
for thè ytar 8rbtl8d 31] 20"
1 ACCOUNnNG POLICIES
Aeeounting ¢on¥•ntion
Th95e accounts have been prepareLI 111 4tx(*danc¢ the histo￿* cost cfflvenlion and in
accordance with the Fin8nci81 Reporting Slandar¢ lor Smaler Entslies IFRSSEI leffectsve Janu8ry
20151. In prèparin9 thè accounts, the charity fdb4¥S beit waclicg as laid down In Ihe Statgm&nl
of Recommended PraLlice-Accounling anc R2p(Mtinq by CharIt￿S ISORPI 15sued In March
2005. Where there Is a ccrfllict belwctn the FRSSE and the SORP. the SORP has been
adopted in accordance w¢h paragraph 419ff of tho SORP.
In¢Dmlng r•soure•s
l incoming resources are incliided In Ihe statement of financial actNit*s when the
chAnty 1$ ènlit18d lo the Inojme and the. amounl can be qLl￿ti￿ed wlh reasonabl8 &c￿l￿ry.
R••our¢•8 exp•nd•d
Expenditu￿ is accounied lor on accruals ba￿5 ail d has be+3n dassified under htsadings that
aggrggate all cost related io ihe caiegoisi ￿Nhe￿ costs kankloi be direcdy attribuied io
particulaf headings Ihey hav8 b8er. alocated lo A￿￿1186 on a basis ￿nS￿trInI with the uae tsf
resources
Fund accounting
Unrèstr1￿9d funds can be u6wJ In ¥ccordanc4 vrtth tho ch•ltst4• obhth"¥•s at tho dls(¥ots"on of the
Iruslees.
2 TRUSTEES REMUNERATION AND 8ENEFITS
No truslge rgceiv8d rernLinfiralion, allowance for or re1M￿1r$0fflenI of expons8&
3 INCOMING RESOURCES FROM GENERATED FUNDS
I'oial
F'undi
2022
LAresiricl¢d
FlA￿dI
Fund¥ 202.1
Oonafr'o￿ an¢ &ant8
113.763
I IA763
111&483
4 ADMINISTRATK)N COSTS
Lni'tsiricted
Funds
Toi¥l
Fund4 2011
Funds
2022
Ranl
4.•n
3,711
S COSTS OF CHARrrABLE ACTIVITIES 8Y ACTMTY TYPE
Toi
unds
2022
Lnre51rirltd
Fundi
-rotal
¥ndJ 2023
(if#ni¥ lo indii-iduals
104.843
104.843
104.843
l D4.643
103.891
103.891
Page 8

CHOFET£ CliAIM TRUSI" FOiJYDATION
NOTES TO Tvk FINAtr4(:Ki >i"A-. EKA.ENTS
fcr i.ts2r 6rd&d ￿ Jurie é_023
GOVERNANCE COSTS
I'niesEryried To¢?1 Ev￿d5
20LI
Total Fund$
21122
Accountancy
8ank charges
696
785
1.481
660
712
1.372
785
1.461
CREDITORS: AMOUNTS FP.LLING
DUE VIITHIN ONE YEAR
2023
2022
1.236
1.236
1.3)6
MOVEMENTS IN FUNDS
PlÈt movement
fund$
At 1.7.=.022
30.06.2023
Unrestricted fvnds
Genera funcl
2.C86
3.729
5815
TOTAL FUNDS
3.729
5.815
Net movernent In fvnds. induded in abow• are as fdlows
Incornlng
R•Sour￿5
expended
Movement In
fund5
Unrnsirl¢ted funds
General fund
113.763
110.034
3.729
TOTAL FUNDS
t13.163
110,034
3,729
9 T,IXATION
CHOFF.T7. CHAINI TRLST FOUXDIITION is ? r¢gI￿ered cl)arity Jnd ￿¥[eroTe is noi liable
li) in¢(Iii)e ia¥ i)r ¢i)I￿)￿aLli)ll iak i)n iniome derJi¢d fron) iis charilable aLli%141e%.
as it talls withjn the various'-XLmptions ai"ailabl. to regE5(¢r￿ rlwiiies.