CHARITY REGISTRATION NUMBER: 1103222
The AMR Charitable Trust
Unaudited Financial Statements
For the year ended
31 March 2025
BEEVER AND STRUTHERS
Chartered accountants
The Beehive
Lions Drive
Shadsworth Business Park
Blackbum
B812QS

The AMR Charitable Trust
Financial Statoments
Yearended 31 March 2025
Pagei
Trustees, annual report
Ito2
Independent examin¢T¥ report to rhe tNstees
Statement of fmaDcial actii"ities
Ststement of fmancial position
Notes to the fmancial sratancnts
6t09

The AMR Charitable Trust
Trustees. Annual Report
Yearended 31 March 2025
Th8 trustees present their annual r8port together bmth the financial statements of th8 charity for tha year
er*led 31 March 2025. The trust88s confirm that the Trustees Report and financial statements of th8
charity comply with the requirements of tha Charities Act 2011.
Reforenco and administratlve detall$
Reglstarad Charity name
Th8 AMR Charitable Trust
Charfty rngistralion number 1103222
Prlnclpal offlce
Moss Rose Mill
SpriTr3field Road
Kearsley
Bolton
BL4 &JW
A M Sclama
M E Sciama
R N Sciama
Indopendent examlner
Helen Binrts BA FCA
Accountants
Beever arKI Struiher5
The BeeTrMve
Lions Drive
sh￿lSWorth Business P8
81&kbum
8812QS
structure, govemance and managemont
Gov•rnlng document
trust was estsblished Lnder a dedaration of trust dated 19 March 2004.
Recrulbn•nl
The management of the charity and appointmerrt of f uture trustee5 ¥*111 be by resolution of the existir
trustees.
Induction and tralning
re are rK) f ormal policies or proGgJures in connection with the iTrJuction arKI training of trustees.
Risk manag•m•nt
The trustees have examined the major strategic, business and operational risks which the Trust fa
and confim that systems have been eStablistr￿d to enable regular reports to be produced so that the
necessary steps can be taken to lessen tTrKJse risks.

The AMR Charitable Trust
Trustses. Annual Report (conthiu•d)
Year ended 31 March 2025
I￿9•nO$allonaI structuro
The Trust is managed and administwed by the tTUSte8s. none of ￿orn receive any remuneration or
expenses.
The tNstees normally meet at least tV4ice a year to ¢on5ider ttrE allocation of donations.
DurirYJ the year the Trust received donations from Flameproofings Limit&J, a company controlkd by
trustees.
Objoctlvm and acllviti•s
Polldos and ObJactiV•5
The Trust's objects. as set out in the d￿laratiOn of trust date 19 M*ch 2(MM. are:
The r8lief of povety and hardship of memb8ts of the Jewish faith;
- The advancement of th8 Jewish religion through Jv••ish oducation" and
promotion of any oth8r exclusively charitable ObJ￿IS as the tntstees in fvr absolute discretion
think fit.
We have refwred to the guidance contained in the Qprity Commission's general gUIdar￿ on pub
b￿8f11 reviffiving our aims and obl￿tIveS and in planning our future activities.
Flnanclal r•vlew
The trust88s made distributions to chty durirKJ tt* year amounting to £￿,650 (2024.. £130.6501 in
furtherance of the Trust's prirtipal aims and objectives. Grants and donations are made at the r8qU8St
of th8 trustees arKI dso in response to sp￿rfIC requests from iThJivKluals arKJ organisations.
R•8wvos pollcy
At 31 March 2025 the Trust held unrestrict￿1 r8swve5 of £627 (2024: £2,056). Minimal levds of reseNes
are beif¥J held, V•ith a pollcy to make future gwts arwj donatK)rts out of future don*ion income.
The trustees, annual wort vras approved on .......
I￿￿tesS by..
. and signed on behalf of the boaKt of
M E Sciama
Trustee

The AMR Charitable Trust
Independent Examlnerfs Report to tho Trustees ofThe AMR Charltable Trust
Year ended 31 March 2025
I report to the tnjstees on my examination of the financial slatem8nts of The AMR Charitable Tnjst ('th8
charity,) for the year end8d 31 March 2025.
Responslbllities and basls of report
tws188s of the charity are responsible for preparation of the f inancia stat8m8nts in accordance
with th8 requirwnants of the Chariti8s Act 2011 {Ih8 Act.).
trust88s consider that an audit is rnt required for this year under section 144(2> of the (￿altIeS Act
2011 (t￿ 2011 Act) and that an i￿lependent examination is ne8d8d.
is my responsibility to:
examine the accounts under section 145 of the 2011 Act.
to follow the procodures laid down in the gwwal Directions given by thè Charity Commission under
section 14q5Xb) of the 2011 Act: and
to state whether particular matteTr have come to my atteniion.
Basls of Indopendent examlnorfs report
My examination vtas can1ed out in accordwKe hith the Directions given by the Charity
Commission. An examination includes a review of the accountirvJ records kept by the charity and a
comparison of the accounts presented wth those records. tt also irKILKles consideration of any unusu
items or disdosures in the accounts, aTrl seeking explanations from you as trustees Gonceming any
such mattef5. The procedures undertaken do Th)t provide all the evidence that *r)uld be required in 8n
atxlit and consequently no opinion is given as to ￿her the accounts present a 'true arKI fair view and
the report is limited to those matter5 set out in the next statement.
Ind•p•ndent examlnefs statoment
cOnn￿tIon Mfjth my examination. Tr) matter has come to my attention:
(1) *thich gives me reasonable cause to believe that in any material respect the wuirements:
to keep accounting records in accordarKe with section 130 of the Charities Act 2011: and
to prepare account5 ￿kn1¢h accord V*ith the ￿coUntIng records ar¥J comply with the accountiTVJ
requirements of the 2011 Act
have been mel; or
(2) to wthich, in my opinion, attention S￿[1d be dravm in 0￿ert0 enable 8 proper urvJerstaTrJing of tF
counts to be reached.
Hden Binns BA FCA
8e8ver ar*J Struthers
Charter&J accountants
The Beehive
Lions Drive
Shads%hDrth Business Parf(
Blackbum
BB12QS
Dated.. 05 September 2025

The AMR Charitable Trust
Statement of Financial Activitms
Year ended 31 March 2025
2025
Unrestricted
fwKls Total fvnds Total funds
2024
Income and ondowments
Donations and legacies
Investment income
132.OCIJ
Totsl In￿Me
90.(K)1
,(X)1
132.OtM)
ExpendI￿rn
ExperKliture on charilable a¢tivitie5
Total eX￿ndItuTe
(91,430)
(91,430)
{91.430) {131.400)
<91,430)
(131,400)
Net (0xpandI￿ley1n￿Kn8 and net movement In funds
(1.429)
(1,429)
6t)0
Reconclllatlon of funds
Total funds brought fonw￿d
Totsl funds ￿rIed forward
1.456
627
627
The ststement of financial activities ind￿leS all gains and losses recognised in the year.
All IrKome and expendlture dertve I￿rn continuirvJ a¢livities.
Th• not•s pages 6 to 9 forni part of thes• flnanclal slatsments.

The AMR Charitable Trust
ststement of Financlal Posllion
31 March 2025
2025
2024
Curr•nt as80ts
Cash al bank ar¥J in hand
2,227
16,056
Credltors: amounts falllng due wlthln on• yoar
Net current amets
11
(1,61)Jl
627
114,(KK))
2.056
Total assets lots current Ilabllllles
627
627
2,0
Funds of th• charlty
Unr8Strict&l funds
627
2,056
Totsl tharfty funds
12
627
2,056
e financial statements V￿re approved by the boanj of tnJst8es arKI authori$￿1 for issue on
O+. ..... . .LOlS and a￿ signed on behalf of the board by:
M E Sciama
Trustee
The nckns on pag•s 6 to 9 forn) of th•s• lknan¢l•l $lal•m•nts.

The AMR Charitable Trust
Notes to the Financlal Statements
Year ended 31 March 2025
Genoral Infornialion
The ch￿ilY is a public ben8fit entity arwj a r8gist8r8d chty in England arKI Wales arKI 6
unincorpordted. The address of th8 Pri[￿1paI Offi￿ is Moss Rose Mill, SprirKJfidd Road. K8arsl8y.
Bolton. BL4 8JW.
Stat•m•nt of compliance
Th8s8 financial statements have been prep¥ed in complia[￿ with FRS 102. 'The Financia
Reporting Standard applicable in the UK the Republic of Ireland,, the Statement of
ReLommended Practice applicable to charities preparing th8ir &counts in a¢¢ord ance *fjth the
Financia Reporting Standard applicable in the UK and Republic of Ireland (FRS 102) (Charities
SORP {FRS 102)) and Ihe Charities Act 2011.
Acmunling policies
Bas1$ of proparallon
The f ina[￿la1 statements have been prepared on the historical cost basis.
The financial statements are prepared in sterfirvJ. ¥thich is the f￿￿tIonal Gurrency of the entty.
Golng concern
There are no materia uncwlainties about the charity's ability to continue.
Judgoments and key sourcos of esllmallon uncertalnty
In the oplnion of Ihe trustees ther8 are no significant judgements that have a material effect on
f inancial statements.
Income tsx
As a registered charity. the Trust is generally exempt from Income Tax Capital Gains Tax. b
rK)t from VAT. Irrecoverable VAT is in¢1￿led in the cost of tl¥)se ilems to vthich it relates.
Fund accounting
Unrestricted funds are available for use at the discretion of trustees to further any of the
chanty's purposes.
Incoming resourrns
JI irKome is included in the statement of financial activities entitlement has passed to the
charity, it is probable that ecorK)mic benefits associated ￿1th the transaction will flow to t
chaiity aThJ the amount can be reliably measured. The followiNJ specifi¢ poliGie5 are applied t)
partIc￿ar categories of income:
Ir￿Qme f rom donations or grdnts is recognised then there is evidwKe of entitlemerrt to the grfl
receipt is probable arKJ its amount can be measured reliably.

The AMR Charitable Trust
Notes to the Financial Statements (contlnu•d)
Year ended 31 March 2025
ExperKliture is r8cogrMs8d on an accruals basis as a liability is ir£urred. ExperKliture includes any
VAT *thich cannot be fully recovered. and is classified under healirwJs of the slatemenl of fina￿
activities to Ithich it relat8s:
Expenditure on charitable activilies inclwjes all costs incurred by a charity in undertaking activiti
that further its charitable aims forthe b8nefil of its beneficiari8S. irtILMYiNJ those support cosls
costs relating to the govemance of the charity apportioned to c￿table activili8S.
Flnandal Instruments
The chaiity only has f inancial assets and f inancial liabilities of a klrwj that qualrfy as basic f inancia
instNm6nts. Basic financial instnjments are irNtially recogntsad at transaction valu8 arKI
subsequently measured at thelr Settlement value.
Donatlons and legacles
Unrestrfcted Total Funds Unrestricted Total FurKIs
Funds
2025
Funds
2024
Donatlon•
Donations
132,(MX)
132.OCX)
Th8 donatlons received from Flameproofing (Europe) Limited •nOUnt￿ to £85.(NXI (2024:
£132,OCrfJl.
dorwtions received from Tame Valley Padding Co Limited amounted to £5.CKQ (2024: £Nil)
InveslJnent income
Unrestricted Totsl Funds Unrestricted Total FurKIs
Funds
2025
Funds
2024
Bank interest received
Exp•ndltur• on tharit*Ao activities by fund typ•
Unrestricted Total Funds Unrestrict&l Total Funds
Funds
2025
FurKIs
2024
Grdnts, donations arKI sporn8orship
Support costs
90.650
130.6XJ
750
130,650
750
91.430
91,4S)
131.4(X)
131,4(Ki

The AMR Charitable Trust
Notes to tho Financial Statements (¢ontlnu*
Yearended 31 March 2025
EXp•ndI￿re on charitable aclivities by activity type
Grant fuThJirYJ
of activities
Support Total funds
costs
2025
Total fuTrJ
2024
Grants, donations and spor6or5hip
I>)veMar￿o costs
Othw swlport cosls
130,650
750
91,430
131.41X)
Analysls of grants
2025
2024
Grants to Institutlons
Grants payable to vwÉous causes
Total grants
130.650
130.650
Indopendort examlnallon fees
2025
2024
Fees payabla to independ8nt examiner for.
IrKlependent examination of the financid SL8teM￿tts
750
Staff costs
average head count of employees durirYJ the year vrds Nil (2024: ￿).
11. Trustoo romunoratlon and wgnsos
remurwation or other ber￿fItS from employm￿ ¥tsith Gharity or a related wrtty were
r8ceived by the trust88s.
11 Cr•dltorn: amounts falllng duo within on• ywr
2025
2024
ACc￿￿S and defenEd income
14,CK

The AMR Charitable Trust
Notes to the Flnancial Statements (contlnu•
Year ended 31 March 2025
11 Analysls of ¢haritable funds
unrestrict￿ fvnds
At
1 April 2024
At
I￿rne ExperKIitU￿ 31 Ma￿h 2025
General
90.(K11
{91.430)
627
At
1 April 2023
At
I￿orne Expenditure 31 March 2024
Gerwa fuThls
1.456
132.(XYJ
{131,400)
2.056
14 Analys1$ of nat a$￿ts between fund$
Lknrestricted Total Funds
Funds
2025
Current assets
Creditors less than 1 year
2.227
(1.6(Ki)
627
2,227
(1.61￿)
627
Unrestricted Total FUNIS
Funds
2024
Current assets
C￿JitOrS less than 1 year
16.056
(14.LKKII
2.056
16,056
(14,000)