M•nn•. UK Brnnth ￿ Melr P•nlm

Manna- UK Branch of Melr Panim
Contents
Pages
2to4
Trustees, Annual Report
Independent Examlner's Report
Statement of FlnancSal Actlvltles
8alance Sheet
Notes to the Accounts
8t013
Detalled Statement of Flnanclal Actlvltles
14to15
Page I

Manna- UK Branch of Melr Panlm
Tn￿tee5 Annual Report
The tn15tees, who are a150 directors of the charity for the purposes of the Compan•es Act 2006,
present their report with the unaudited financial ststements of the chaiity for the year ended 31
December 2023.
REFERENCE AND ADMINISTRATIVE DETAILS
Company 067n130
Charlty No. 11297J8
303 Wlnston House
2 Dollls Park
London
N3 IHF
Dlrectm and Trustffis
The Dlrectors of the charStable comwny are Sts Trustees forthe wrposes of th•rlty law.
The followln8 Dlrectows and Truslee5 served durfn8 the year:
D. Raveh
E. Rel¢h
M. Sabah
G. Zucker
(Reslgned l March 20231
IRes*ned l Marth 20231
Attountsnts
Pollock Accountlng Ltd
3- 4 Sentlnel Square
London
NW4 2EL
08JecnvES AND ACTMTIES
Flr5t and foremost. Meir Panlm feeds Israel's hu￿ry. As one of Israel's l•r8est relbef organlsatlons our work
•llevl•tes poverty arnon8 chlldren. famllies and Holocaust survlvors. Poverty does not dlscrimlnate and nor
do we. MeSr Panlm feeds ALL1srael's poor and hungry Irrespertlve of back8round.
Meir P•nlm Js all abrxrt dl8nlty •nd prartkal solutlons. Our Food Centres are Styled ￿ restaurants. Our Food
Shopplng Cards allow the needy to shop wlth se￿-￿pett at regular supemiarkets wlth no embarrassment at
the tlll. But we aLw delNer Challa for Shabbat and FO(￿ Packages for Cha8lm as well as operatlng After
hool Clubs for underprlvlle8ed chlldren.
It'5 no secret that tsrnel needs a h*h bjdget for securlty & defence.
But 2 mllllon Israells- equfvalent to 25% of the population- Nye below the poverty Ilne. Researth has shown
a dlrect impact on these Individuals and familles. The uncomfortable truth Is that Israel has one of the
hl8hest poverty rates In the developed world. Double the ￿Verty rate of the UL
Page 2

Manna- UK Branch of Melr Panlm
Trurtees Annual Report
Manna, the UK Branch of Melr Panim. f￿hts hunger by offering free. di8nKied mea15 in warm. restaurant-llke
settln8s. We 80 beyond just food. providing support serylces to empower people and break the cycle of
poverty.
Slnce 7th October 2023. Manna Melr Panlm has been on the front Ilnes worklng tlrelessly to help Israel bv
cooklnB over I,i))O,000 mea15 for people In need and evacuated famllles.
We 5UPPOrt 2.000 dlsplaced famllles wlth accommodatlon, fumlture, food, clothlngi household goods, and
toys as well as provldlng 6.000 meals for soldlers and evacualed families on a dally bas15.
Melr Panlm provldes the followlng seNlces annually (ln a regular year):
Over I mllllon meals provlded annuallv
In summary, last year we also provlded:
15,000 food packages prepared for famllles and meals on wheels dellvered to the elderly.
4,718 food shoppln8 cards dbstrlbuted before festlvals.
16,656 Challas glven out for Shabbat.
- 200 chlldren supported by 5 Melr Panlm After-school Clubs
Holocaust Survlvors Programme wlth well.beln8 actlvltles and enrlchlng outlngs.
- Slnile mothers CareerTralnln8 Programme and employment advlce.
2,OLK) famllles benefltln8 from our unlque Power of Glvln8furnlture w•rehou5e,
4.130 volunteers donatlng thelr tlme, care and ener8y.
ACHIEVEMENfs ANO PERFORMANCE
Ch4rltabl• •etl¥ltl
Durln8 2023 we ralsed a ￿cor{l amount of over £4QO,000
Some of the events that took place In 2023 were as follows:
- A thank you receptlon for malor donors ralsed £14,000.
. Asher Tepper Golf day: Manna was once a8aln one of 3 charbtles to benefft and we ralsed £5.000.
270 people ralsed over £12,000 al Jn evenl wlth an Israell comedlan who came to the UK wlthout a fee.
. We ralsed £25,000 from a Rosh Hashana appeal whlch was sent out to 4.000 people before the festlval..
- A property event at Seddons attracted 50 people and ralsed over £500.
- An emergency campalgn ralsed £120,000 after the 7th October 2023
- 300 people ralsed over £ll.(X)O at an Israell concert
- The Pesach appeal, wlth a matchlng donatlon from one of our donors, ralsed over £90,000
- There were 2 events wlth the Butler of the Royal famlly and both attracted around 100 partlclpants and
ralsed £3,2CN).
FINANCIAL REVIEW
fteserws pollcy
The charfvs alm Is to malntaln reserrfes for at least 3 months of operatlonal actlvltles.
PLANS FOR FUTURE PERIODS
Page 3

Manna- UK Branch ol Meir Panim
Tru51ees Annual Report
The recent events ol October 7th, 2023 brought a SUTge in need to our communities. Famllies displaced from
their homes in the soulh and north of the country arrived In our area seeking refuge.
Our Or Aklva branch, initially equipped lo seNe 200-300 meals dally. faced an ovenyhelfftiny challenue.
Overniaht, the demand skyrocketed to 2000 meals as we took on the responsibility ol providing lood lor
families in lemporary accommodation across the region.
They worked 24 hours a day. 6 days a week and in 34 5hilts lo produce 2000 meals in a tiny kitchen.
They urgently need a new industrial kitchen which will cost 3 million sheke15. They have secured a local
donation ol half a million shekels bul need an additional 2.5 million shekels.
We plan to locus on this emergenry Campaign dvring 2024.
STRUCTURE. GOVERNANCE AND MANAGEMENT
The charity is controlled by its governing document. a deed of trust and constitues a Ilmlted eompany. Ilmited
by ouarentee as delined by the Companies Act 2006
The company is constitvled under a Memorandum ol Association dated 12 December 2008.
The Trustees are responsible lor keeping proper accounting records Ihal disclose with reasonable accuracy al
any time the linanclal position of the charity an(i to enable them to ensure that the linancial stalemenls
comply with the Companies Act 2006. The Trustees are also responsible IOT saleguarding the assets of the
eharrty and hence taking reasonable steps loi the prevention and detection ol fraud and other irregularitles.
The above report ha5 been prepared in accordance wilh the provisions applicable lo companies subject lo
the small companies regime as sel out in Part 15 01 ihe Companies Act 2006 and in accordanGe with the
Charities SORP IFRS 102).
Sioned on behall of the
G. Zucker
Trustee
26 July 2024
PaoB 4

Manna- UK Oranch of Meir Panlm
Independert Examiners Report
Independent ExamIne￿$ Report tothe trustees of Manna- UK Branch of Meir Panlm
I reFK)rt to the chadty trustees on my examination of the financlal Statements of Manna - UK Branch of Melr
Panlm for the year ended 31 December 2023.
Responslbllllles and basls of report
As the charity's trustees of the company land aLso its directors for the purpose5 of company lawl you are
responsible for the preparation of the financial statements in accordance wlth the requlrements of the
Companies Att 21K161'the 2006 Act.
Having satisfied myself that the financial statements of the Charlty are not requlred to be audlted under Part
16 of the 2006 Art and are eligible for Independent examlnatlon. I report in respect of my examlnatlon of
vour charity's financial statements as carried out under section 145 of the Charities Att 20111'the 2011 Act'l.
In carrying out my examlnation I have followed the Oirections given by the Charity Commission under section
145151 Ibl of the 2011 Art.
Independent ex•minerfs Statement
A5 the charity's gross income exceeded £250,000 yourexaminer must be a memberof a body ltsted In
sertion 145 of the 2011 Act. I confirm that l am qualif￿d to undertake the examination because l am
member of Chartered Institute of Management Accountants, which 15 one of the listed bodies.
I have completed my examination. I can confirm that no material mattets have come to my attentlon In
connettion with the examlnatlon glvlng me cause to believe-
accounting records were not kept In accordance with section 386 of the 2006 Act . or
the finan¢ial statements do not accord with those records: or
• the flnan¢ial Statements do not comply with the accountlng requlrements under sectlon 3% of the 2006
Act other than any requirement that the financial statements give a 'true and falr, view whlch is not a
matter considered as part of an independent examination; or
the financial staternents have not been prepared In accordance wlth the methods and prlnclples of the
Staternent of Recommended Practke for accounting and reporting by charities èpplicable to charlties
preparlng thelr accounts In accordance wlth the Financial Reporting Standard applicable In the UK and
Republlc of Ireland IFRS 1021.
I have no concerns and have come acmss no other matters in connectlon with the examination to whlch
attention should be drawn in thi5 report in order to enable a proper understsnding of the financial
51atementS to be reached.
Oavid Pollock FCMA Chartered Instltute of
Management Accountants
Pollock Accountlng Ltd
3- 4 Sentinel Square
London
NW4 2EL
26 July 2024
Page 5

Manna- UK Branth of Meir Panlffl
Statement of Flnandal Artivltles
for the year ended 31 December 2013
fufith Total lund5 Total funds
2023
2023
2022
Inc¢Kne and endowThnts
Donation5 and le8acle5
Other tradln8 actlvltles
320.318
85,344
320.318
72,041
255.000
Total
405.662
405.662
327,041
E¥p•ndlturn on:
Rab51n8 funds
Chlrftable actfvfrtSes
Other
19.266
310.530
61,894
19,266
310,530
61,894
79.773
203.213
43,074
Total
391,690
391.690
326.060
Net galns on Investments
N•t Inwme
13,972
13,972
Tr•nsfers between funds
Net Income beft4r• other
ylnsl(lau•s)
13.972
13.972
981
Other 8•lns •nd Iosms
N•t movem•nt In funth
13.972
13.972
981
R•condllallcn of fund&.
Total funds brou8ht fopward
8.932
8,932
7,952
Tot•1 funds urrled forvArd
22.904
22.904
8.933
Pa8e 6

Manna- LIK Branch of Melr Panim
Balance Sheet
at 31 December 2023
Company No. 06772130
Notes
2023
2022
Fixed assets
Tangible assels
11
132
132
Current assets
Cash al bank and in hand
24.224
24,224
{1.3201
22,904
22.904
22.904
10,120
10,120
11.3191
8,801
8,933
8,933
Creditors.. Amount lalllng due within one year
Nel cuirent assets
Total assets less current liabilities
Nel 2S5els excludlng penslon asset or liability
Total net assets
12
22,904
8,933
The funds of the charity
Restricted lunds
Unrestricted lunds
General lunds
13
13
22.904
22.904
8.933
8,933
Reserves
13
Total funds
22,904
8.933
These accounts have been prepared in accordance with the special provlsion5 01 Part 15 01 the Companles
Act 2006 relallng to small companie5.
For the year ended 31 December 2023 the company was entitled to exemption under section 477 01 the
Companies Att 2006 relating to sfflall companies.
The memtse￿ have nol required the company lo obtain an audil in accordance with sectlon 476 of the
Companles Act 2006.
The directors acknowledge Iheir responslbililies for comptying with the requlremenls of the Companles Acl
2006 with respect lo accounting records and the preparatlon ol accounts.
AppToved by the board on 26 Juty 2024
An
ned on it$ behalf by:
G. Zucker
Trustee
28 July 2024

Manna- UK Branch of Melr Panim
Notss to the Accounts
for the year ended 31 Detember 2023
l Auounting polldes
84sls of preparatlon
The finanaal statements have been prepared in accordance with Accounting and Reporting by Charities..
Statement of Recommended Practlce applicable to charrties preparlng their accounts in accordance wlth
the Financial Reporting Standard applicable In the UK and Republic of Ireland IFRS 1021 leffedtve I
January 20151- (Charities SORP IFRS 102)). the Financial Reporting Standard appllcable in the UK and
Republlc of Ireland IFRS 1021 and the Companies Art 2(￿.
There has been no change to the accountin8 PDlkies (valuation rules and method of accounting) sln
last year and no changes have been made to accounts for wevws years.
Fund accountini
Unrestricted fvnds These are available for use at the discretlon of the trustees in furtherance of the
8eneral objects of the charlty.
These are unrestricted funds eamiarked ￿ the trustees for partkular purposes.
These are unrestricted fvnds which inc￿de a revaluation reseprfe representing the
restatemerf of Investment assets * their market value5.
These are available for use subject to re5trkth)ns Imposed b/ the donor or through
tem)s of an appeal.
Designated funds
Revaluation funds
ftestri￿ed fund5
Intome
Recognition of
income
Income Is Included in the Statement of Flnèncial Artivltles {SoFAI when the charity
becomes entitled to. and virtualty certain to receive. the sncome and the amount of
the income can be measured with sufficient reliability.
Income with ￿lated Where Income ha5 ￿lated expenditure the inc(Mne and related expenditure is
expendtture
reported gross in the SOF
Donations and
leEactes
Voluntary income receNed ￿ way of grdnts. donatlons and erfts is included in the
the SOFA when receivable and onlywhen the Charity has unconditional
entitlement to the income.
Tax reclaims on
Income from tax redairns is Included in the SOFA at the same tlme as the
donatlons and gifts 8ift/donation to which it relates.
Oonated services
These are onty Included in income (with an eqUi￿dIent amount In expenditurel
and fadlltles
where the benefft to the Charlty Is reasonabFy quantifiable. measurable and
materlal.
Volunter help
The value of ènyvolunteer help recefved is not included in the accounts.
Investment income This is included in the accounts when re￿1￿dble.
Gains/llosses1 on
This includes any gain or h)s5 resufting from revaluing investments to market value
revaluation of fixed at the end of the year.
assets
Gain51llossesl on
investment assets
Thls indudes any galn or1055 on the sale of wwe5tmen
Page 8

Manna- UK Branch of Melr Panlm
Notes to ihe Accounts
Expenditure
Recognition of
expendlture
Expendlture Is re￿nised on an accnjals bas15. Expendlture includes any VATwhlch
cannot be fully recovered, and Is reported as part of the expenditure to which it
relates.
Expenditure on
These comprise the costs associated with attractlng voluntary income, fundralslng
raising funds
trading costs and Investment management costs.
Expenditure on
These comprlse the costs in¢urfed by the Charlty In the delivery of its actlvltles and
charitsble actlvitles services In the furtherance of its objects, Sncluding the making of grants and
overnance costs.
All grant expenditure 15 accounted for on an actual pald basls plus an accrual for
grants that have been approved by the tnjstees at the end of the year but not yet
paid.
These include those costs associated with meellng the constitutional and statutory
requirernents of the CharltY* Includln8 any audi￿1ndependent examlnatlon fees,
costs Ilnked to the strategic management of the Charity, together with a share of
other administratlon costs.
Otherexpendlture These are support costs not allocated to a partkular actNity.
Grants payable
Govemance costs
Taxation
The charity ts exempt from corporation tsx on Its charltable actfvities.
Trade and other debtors
Trade and other debtors are recogntsed èt the settlement amount due after any trade dlscount offered.
Prepayments are valued al the amount prepaid net of any trade discounts due.
Cash and ￿5h equlvalents
Cash and cèsh equivalents comprise cash at bank and on hand, demand deposits with banks and other
short-temi highly Itquld Investments with original maturities of three months or less and bank overdrafts.
In the statement of financlal position, bank overdrafts are shown within borrowlngs or current Ilabllities.
In the Statement of Cash Flows, cash and cash equivalents are shown net of bank overdrafts that are
repayable on demand and forni an integral part of the company's cash management.
Trade and other credltors
Short temi cred6tors are measured at the transactlon prlce. Other creditor5 and provlslons are reco8nised
where the charity has a present obligation resulting from a past event that wlll probably result in the
transferof funds to a third party and the amount due to settle the obligatkin can be measured or
estimated reliably. Credltors and provision5 are nomially recognised at thelrsettlement amount after
allowln8 for any trode dlscounts due.
Forel8n curren¢les
Monetary assets and liabllltles denomlnated In currencles otherthan the functional currency of the
charity a￿ translated at the rates of exchange prevalllng at the end of the reportlng period.
Transartions In currendes other than the functional ¢urrency of the charlty are recorded at the rate of
exchange on the date that the transactlon occurred.
All exchange dlfferences are are taken into account In arriving at net Incomelexpendlture.
Page 9

Manna - UK Br•n¢h of Meir Panlrn
Notes to the Accounts
Receipt of donated goods, facilitles and services
All donated goods, facilities and services received are reco8nised wlthln Incoming resources and
expenditure at an estimate of the value to the charlty.
2 Company status
The company Is a private company limited by guarantee and consequently does not have share capital.
3 Statement of Financlal ActMtles- prlor year
Unrestrfcted
funds Total fund$
2022
2022
Income and endowments from:
Donations and legacles
Other tradln8 attivities
Totsl
72,041
255,1)00
72,041
255,000
327.041
327.041
Explnditure on:
Raising funds
Charitable activitles
79,773
203,213
43.074
79,773
203.213
43,074
Other
Totsl
326.060
326.060
Nel Incorne
Net income before other
galnslllossès)
Other 8ain5 and losses:
Net movement In funds
981
981
981
981
RKon¢iliation of funds:
Total funds brought forward
Totrl funds carried forward
7,952
7,952
8,933
8,933
4 Income from donations and legacles
Unrestrictèd
Total
2023
Totsl
2022
l)onatlons
320.318
320,318
320,318
320,318
72,041
72,041
Page 10

Manna- UK Branth of Melr
Notes to the Accounts
5 Intome from other tr•ding adl¥llles
Totsl
2023
Totsl
2022
Fundra551n8 act￿ltIeS
85.344
85.344
255,(U)
255,000
85.344
6 Experrfllture on r*lsln8 funds
Unrestrlrted
Total
Tot•1
2023
2022
Fundrotslnq troding costs
Fundralslng actfrrfltie5
19.266
19.266
19.266
19.266
79.773
79.773
7 Expendhure on dwrltable
Totsl
Total
2022
2023
Expendlture on chorltoble
Gctivitles
Oonatlons to Israel
GO￿rnon(e costs
310,530
310.530
203,213
310,530
310.530
203,213
8 Other explndltyre
Unrthcthd
Totsl
rotsl
2023
2022
Motor and travel costs
Premlses costs
Amorttsatlon. depredatbon.
Impalrment. profivloss on
dL%posal of flxed assets
General admlnbstrative Costs
Legal and profe55kmal costs
1,135
4.620
1.135
4,620
3,887
4,235
132
132
16.649
39,358
61.894
16.649
39.358
61,894
6.385
28,523
43,074
9 Net Income before transfe
2023
2022
Thts is stated after chargin8:
DepreCiat￿n of owned fLxed assets
io stsff costs
No employee recew emoluments In excess of £fll,(KlO.
132
Page 11

Manna- UK Branth of Meir PaThlm
Notes to the Act￿nts
11 Tanglble ￿ed a$5ets
Cost lx revaluation
At lJanuary2023
At 31 December 2023
Depreeiaiion and
Impaifflient
At l January 2023
Oepreciation charge for the
year
At 31 December 2023
2.988
2.988
2,988
2.988
2,856
2,856
132
132
2.988
2,988
Net l)ook values
At 31 D￿mber 2023
At 31 December 2022
12 Credltors:
amounts falling due within one year
132
132
2022
Accruats
1,320
1.320
1,319
1,319
13 Movement In funds
Incomin8
11ndud1￿ ResOu￿e5
At31
December
2023
At l January gansllos
Restrlrted funds:
Unrestrlcted fvnds:
Geneftl funds
8.932
405,662
I391.6￿)
22.904
Total fimds
14 Analy515 of net assets between fvnds
8,932
405.662
1391.6901
22,904
Unrestrfcted
fund5
Totsl
Net current assets
22.904
22.904
22.904
22,904
Page 12

Manna- UK Branth of Melr Pankn
Notes tothe Ar￿Unts
15 Reeoneiliation of net debt
At31
De¢ember
20Z3
At l January
Cash ftows
Cash and cash equNalents
10,120
10.120
14,104
14.104
24,224
24.224
Net debt
10,120
14.104
24,224
16 Related party dixlosures
Controlllng party
The company is limited ￿ guarantee and has no share capltal: thus no slngle party controls the company.
Page 13