Cbarih. INutnber 1098839
CHOFETZ CHAIM TRUST FOUNDATION
FINANCIAL STATEMENTS
30 JUNE 2024

CHOFETZ CHAIM TRUST FOUNDATION
FINANCIAL STATEMENTS
YEAR ENDED 30 JUNE 2024
CONTENTS
PAGE
Trustccs aiid professioiial advisers
Trustees Aiiiiual Report
Statement of'i'rus(e¢s responsibilities
Independcni cxaminer report
Stalernenl of fiiiancial activities
Balance shcel
Notes to ihL financial slatemenls
&9

CHOFETZ CHAIM TRUST FOUNDAI'ION
TRUSTEES AND PROFESSIONAL ADVISERS
Registered charit% name
CHOFETZ CHAIM TRUST FOLWDATION
Charitv number
1098839
Prlnclpal office
Flat 4 Alexandra Ilouse
104 Ilouvcric Road
London N16 OAQ
Truslees
Mrs S N Englander
P Siiiith
J S Englander
Accountant
JS & CO Accountants Ltd
26 Theydoll Road
London
F.5 9NA
B*nken
Santander

CHOFETZ CHAIM TRUST FOUNDATION
TRUSTEES ANNUAL REPOR-.
YEAR ENDED 30 JUNE 2024
Dnlinuedj
Thc tTUStccs havc plca%urc in prL'scnting their report and the unaudited fuwicial statements of the
charity for ihe yeai. ended 10 June 2024.
REFEREf*CE AND.4DMIP41STRATIII DETAILS
Rcfcrcncc and adiiiini%iraiivc dclails al'i %hown in thc.%ehdule of trustees and profcssional adviscTS on
page l of ihe fjnancial stalements.
THE TRUSTEF,
Th¢ In]st¢¢s ivho NLri ed the Lompany during the period wLre as follows..
Mrs S N Englander
P Smith
J S Eiiglander
All majui dELisions arL takeii collectivcly by th¢ Irustecq.
The Inistees are unpJid and derails of any related party transactions are disclosed as applirablc in th¢
notes to the accouiiis.
STRUCTLRE, C.OI'ERNANCE AIND f+lAN'AGEIIIEIYT
Thc Lharity is c()iitrnllcd by it4 govc'rning cluLumeiii, a deed of trust and constitutes an
unincorporated charity.
Recruitment and appointni¢ni of new truslees would be in line with the TTUSI D¢ed and with the
consent ol. ¢hL ¢ru%lL¥s. The ¢rileria set for the suitabl¢ eandidate would bc someone who is sensitive
to the needb and dLin￿]d5 Ut'diL of¥dnisdiion.
IUSK RF.VIEW
Th¢ Trustees havL asSL￿sld ttle major risks to which thc chdriry is exposed. in particular those relatcd
to the op¢rations aiid finances of the Twst, and are satisfied that systems arc in plaL¢ to manage our
exposure to the mai()r risks.
OBJEcfivLs iiND ,ICTII'ITIES
The charily supp()rl% di¢ oneb Studying thc J¢wigb iexts. Ii also helps relieves fmancial hardship in
particular
bui
nol
exclusi￿.¢]Y
by
the
PfON'ision
of
RISK .MA.NAGEMETr*T
The trustees hal ¢ pill iii pldce systems lo id¢ntify risks and revi¢w the systems regularly.
A REI'ILW OTr ()LR ACHIEVE%IE.YTS AI%D PERTrORMAiSCES
The Tnasiees are 4ali%ticd wilh thc results.
Thc charity r¢ccii'Ld £124.538 in donaiions and l¢ga¢i¢s during thc y¢gr.
Surplu5 Larr1￿1 fonvard is £8,545.

CHOFETZ CHAIM TRUST FOUNDATION
TRUSTEES ANNUAL REPORT ,
YEAR ENDED 30 JUNE 2024
RESERVES
The Iruslees dim 10 mainiain free reber¥'es in unrestricted funds al a level which ¢quat¢s to
approiiinatLly thr¥i Iiioriths of unrcstThctid vharii&ble expLndilur¢, and they f¢¢1 fortunate in having
been able to mdintaiii rhai Icvel of reserv'es.
OlliiJTue
PLANS FOR THE FUTURE
As pari of our orLioinL plans lo¥ the fuiurc. ive are Iix)king to carry on with our successful work and
are constantly luiidr<ii%lll¥ tu Lui'ei our expenses.
Signcd on beh211-0l-th¢ tnJst¢¢ts
Trustee
13" May 2025

The charity's trusiecs are re.4ponsihlL. Ini. preparing the Tnistees Annual Report and the financial
stalemenis in dccordance with applicable lai¥ and United Kingdom Accounting Standard5 IUnil¢d
Kingdom Gener4lly AiLepted ALcoynling PraLti¢¢l.
The law applicable io charities in England and W21es requires ihe truslees to prepare financial
stal¢m¢nib for ¢dLh linancial year which ￿l￿e a true and fair view of th¢ stAt¢ of affairs of the Lhdrit
and Of the incoming rebources and applicdiioll of resources of the charity for that peri(bd. In Preparing
tb¢s¢ fina￿la1 st41r¢ni¢iits, th¢ inJst¢¢s are required to..
seleci suitabli <iLiouniin¥ policies and then apply ibem ¢onsist¢ntly'
observe the iiieihodb dnd principles in the Charities SORP.,
make judgcincntf and estimatcs that arc rcasonable and prudent;
SL7te whcih¢i' applicablc accounlingF standards have been followed, subje¢t lo any malerial
dcparturcs discloscd and cxplain¢J in the financial sthtements:
prcpare the linancial slatem¢nts on thc going concern basis unless it is inappropriate Lo presume
tha¢ the ¢hariiy ivill continue in operdiion.
The Irusi¢¢s ar¢ responsible for keeping proper accounting records that disclose with r¢asonable
accuracy at any limc ihc financial position of the charity and enabl¢ them io ensure ihat the linancial
stat¢ments comply wilh the Charilics Act 2011 and th¢ Charity (Accounts and Reports) Regulations
2008. The trusteL% dfL also rL'sponsible for Safeguarding ihe assets of the charity and h¢nee for taking
rea50nabl¢ 5t¢ps tl)F lh¢ pr¢vention and detection of fraud and other irregularitie5.

CHOFETZ CHAIM TRUST FOUNDATION
INDEPENDENT EXAMINER REPORT
YEAR ENDED 30 JUNE 2024
I r￿Ort on the dl¢ClUllts of th¢ cl)arTty foT the year eno'cd 30 June 2024 set oui on p2ge$ 7 to 9.
RESPEC'I'II'L RESPO￿sIBIL1.rlEs OTr 'fRUSTEES AI%D IliDkPkNDLIIl' LXAMLYLR
Th¢ Charity's trustecs are responsible for the preparation of the a¢Lounts. The ¢harity's trustees
consider that an ic udil is noi required for this year under seciion 144 of ihe Charities Act 2011 I'tbe
Acl") and Ihat an iiidipLndcni examinalion is needed.
li is my respon8ibili(J' io..
¢xamii)¢ il)¢ aiiounis und¢r seLiion 145 of tiie Act.
to follo￿. tIIL proccdui'cs laid th)￿'n in th¢ general directions given by ihe Chariry Commission
{undcr Scciii)i) 14515)Ibi ol-Ih¢ Charitics Aci); and
statc ¥vhcihcr particular matte[8 hule come to my attention.
BASIS OF I￿DF.PF.NDEf1T EXAMINER'S STATEL¥IENT
My exdminaiioii Lan'ied out In 4ccordaiice with th¢ general direclions gii'ell by th¢ Charity
Lommission. An cxamiiiation includes a rcview of the ace4)unting records kept by th¢ ch￿lty and a
comparison of tli¢ aicounts preqenled w.ith those records.
It also includes Consideration of an).
w)u&ual items or di%closure% in the accoiints. and seeking explan31ions from the tn￿1¢￿5 con¢eming
any such matters. Tl)L proccdurcs undcrtak¢n do not provide all the cvidencc that would be required
in an audit. und ioi)%Lqu¢nily no opinion is given as to whcther ihe a¥counts present a 'tnJL and fair
view and the rLport is limi¢Ld to thus¢ mart¢rs set out in thL Stat¢m¢nt b¢low.
Ih'DEPLNDEN'I' EX.4MINER'S STAI'EMENT
In connection ￿'lL[l Iny cxamination, no matler has come to my atlcntion:
which giiLs m¢ rcasonable cause io believc tha¢, in any material rcspe¢t, Ihe
rcquilCIIILni%.'
io kcLP dccouniing records in accorddnce with Section 130 of the C.haritics A¢t'
an(1
tL) pi'epare accouiiib whi¢h dicord wilh the arr(Trunting records and romply wilh
thc <iccouniing rcquircments of the Charities Act have noi been met,. or
b)
to whicli. iji iny opinion, attention should be drawn in ord¢r to enable a proper
undcr%tandingT of th¢ a¢Lounts to bL rcachcd.
JS & Co Acci)ui)iaiii% Lid
26 Thcydon Rnad
London E5 YNA
13 May 2025

CHOFETZ CHAIM TRUST FOUNDAnoN
STATEMENT OF FINANCIAL ACTIVITIES
for the year ended 30 June 2024
Unrestrict•d
2024
2023
Totsl Funds Totsl Funds
Notes
INCOMING FROM
Donations & Legacies
124,538
124.538
113.763
Total Incomlng resoure•s
124,538
124,538
113.763
EXPENDITURE ON
Charilable activities
4.5,6
121,808
121,808
110.034
Total •xp•nd•d
121,808
121,808
110,034
NET INCOME
2,730
2,730
3,729
RECONCILIATION OF FUNDS
Total funds brought fO￿ard
5.815
5,815
2,D86
TOTAL FUNDS CARRIED FORWARr
8,545
8,545
5,815
The Notes form part o! the financial statements
Pag9 6

CHOFETZ CHAIM TRUST FOUNDATION
BALANCE SHEET
31>Jun-24
2024
2023
Noiès
CURRENT ASSETS..
Cash at bank and in hand
9.961
9,961
7.171
7,171
CREOITORS.. amounts fallbng
due wlthln one year
-1,416
-1,356
Net Curr•nt assgtsllliabiliti•sl
8,545
NET CURRENT ASSETS..
8,545
5,815
FUNDS
Unrestricted funds
8,545
TOTAL FUNDS
8.545
5,815
Approved by the board of Tru'stees on..
And signed on their behalf b
13 May 2025
Trustee
The Notes form part ol these financi81 statèments
Pag8 7

CHOFETZ CHAIM TRUST FOUNDATION
NOTES TO THE FINANCIAL STATEMENTS
for tho y6ar ondad 30 June 2024
1 ACCOUNTING POUCIES
Accounting convention
These accounts have been prepar8d in accordancè vAth tha hlstOriC81 cost c(nventlon and in
accoidance with the Financial Reporting Slandard lor Smaller Enlilies IFRSSEI leffeclive January
20151. In preparing the accounls. the Charity folbwe best practic8 as laid down In the Statement
of Recomrnended Praoti¢e"Accounting 8nd Reporting by Charities ISORPI Issued in March
2(X)5. Where there Is a conflict betw6èn the FRSSE and the SORP. the SORP h8$ been
adoptod In accofdanca ￿￿th paragraph 419ff ol thè SORP.
In¢omlng r•sourcès
I Incoming resources are included in the statemenl of financial activiti08 when the
charity is enlilled lo Ihe Income and the amounl can be qu8ntifi8d wlh reasonable accuracy.
R•iourco8 8xp•nd•d
Expenditure Is accounted for on accruals basis and has btsen dassIf￿d under headings Ihat
8ggreg8te all ¢ost related to Ihtr Cal￿Ory. Where costs cannot be dlrecdy 8llribu18d 10
particular he8dings they have been allocated to acts'vities on 8 ba515 COnS15tènl wilh the use ol
resource5
Fund accounting
Unrostrlcted funds ¢8n be used In 8¢cordance wlth th8 charttstrAe oblecllv¢$ 8t thg dlscrotlon ol the
Iruslegs.
2 TRUSTEES REMUNERATION ANO BENEFITS
No truslèo rocoiv•d remunoration. allowan￿ for or r•lmbursom8nl of expenBes.
3 INCOMING FROM
'I'otAI
'unds
202.1
L'nr¢iirlct¢d
Funds 2024
Donallon5 8 Leg8cies
4 ADMINISTRATION COSTS
124.538
113.763
'I'¢btal
Funds
202J
LDreilrlcted
Fumd5
Tntal
Vundq 21124
Rent
1.71
.1.71
S COSTS OF CHARITABLE AcnvinES BY ACTIVITY TYPE
L"nre5trb¢ted
unds
Total
Fund5 2024
Fund5
2023
Grant5 to iDdii"Idual4
116.563
116,583
116,563
116,563
104.843
104,843
Page 8

CHOFETZ CHAIM TRUST FOUNDATION
NOTES TO THE FINANCIAL STATEMENTS
for Ilie year endad 30 Jun8 2024
GOVERNANCE COSTS
Uiire51rlcted Tot*] FuRd5
Funds
2024
Total Funds
21123
Accountsncy
8ank charges
720
815
1.535
720
815
1,535
696
785
CREDITORS.. AMOUNTS FALUNG
DUE WTHIN ONE YEAR
2024
2033
Accruals
1,416
1,356
MOVEMENTS IN FUNDS
Net movemont
In fund
At 1.7.Z023
At 30.06.2024
Unr•8trl¢t•d funds
General fund
2.730
8.545
TOTAL FUNOS
S.815
2.730
Not movoment in lunds. Indudgd irn tho 8bove are as loHows"
Incomlng
r••our¢••
R••ourc•s
•X￿nd•d
Mov•m•nt In
fvnd¥
Unr••lrl¢t•d funds
General fund
124538
121808
TOTAL FUNDS
124 538
121.808
TAXA-I'lnN
CHUFf.T7. C'HAlhl TRLST rouNI)A TIUN 1$ u rcgi%tcrcd charity und ih¥r¢forc iy no¢ liable
as it tall4 ￿'s1h1n IhL' vJriou% excmpiion% ¥i'ailablL ￿ regiS￿re￿ chariiiei.