Charity Number.. 1134935
Company No.. 07087270
JNETIC8
(Limllod by Guarantee)
FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 OECEMBER 2020

Jnetlcs
Contents of tho Flnan¢ial Statemontsfortheirar eMded31 De¢¢mber2020
Paga
Reference and Administrative DetsHs
Report of the Directorstrruslees
Report of the Indep8nd•nt Examiner
&7
stst8menl of Financial Activities
Stalemont of Fin8nci81 Posltlon
Notes to the Flnanc4al Statements
10-14

Jnetics
Reference and Admlnlstratrve Detsils forthe year ended 31 D￿fflber 2020
DiroCtorsrfru8tfjes
AL Angei
RF Ang81
ED Jacobs
PA Jacobs
IBP Pea
Dr fm Rolhenberg
E Kerr
D Quint
J Harri$
(resign&J 30 March 20201
(resigned 18 June 2020}
(restgned 18 June 2020)
(resigned 6 Jun8 20201
(appointed 26 OCto￿r 20201
Sècr8tary
PA Jacob8
{resyned 18 Jun• 20201
Roglstered Offlce
Unlt 207 Balfour Hou
741 Hlgh Road Flnchloy
London
N12 OBP
Rgglst•r8d Number
7087270
Engllsh Charfty Numb•r
1134935
Indgpendent Examlnar
Emma Benlamln
For and on behalf of Oliver Clive & Co Limited
Ollvor Cllvg & Co Llmlted
Chartered A¢countant$
14 Davld Mews
London W1 U 6EQ
Banker¥
Barclays Bank UK PLC
1 Churchlll Place London
E14 SHP
England
nnnnnnpana I

Jnetics
Rèport of thé Directors for the year ended 31 December 2020
The directors are pleased lo Pr￿n1 their rop)rt together th the financlal statements for thè year ended 31
December 2020.
Prlnclpal Activitla$ and Cha￿table Objectlv••
The charity wa8 established for the followng purpN)S8S=
To in¢re8se awareness and understsnding of Jewish genotic disorders (JGDsl among aff8cled
families, patient groups. healthcare professionals. and tha Jewish and wider communlty.
To improve acc&ss to tho best available inforniation. servI￿s, and Support r8laling to Jewish gen8lk
disorders.
To facilitate access lo responsible and prof8ssional testing services for peoF4e at risk of passing on.
and those dire¢tty affected by, Jewish genetic disorders.
In 8stats41shlng thé activill8s of the charity. the directors have given due wisiderallon to the Ch8rfty Commission's
guidance regarding the prowsion of public benefiL
Achlevem•nts and P•rforman¢e
Th8 SUPPOrt Jnetics offers th• community has grown rapidly in recent years, with a commensurate increase we
have received from the ¢ommunity. Despite the onset of the Covid 19 pandomlc In 2020. incoming resources
Increased by 106% in 2020 Compared wth 2019, whKh was a signiflcanl achievement. Amongst a number of
contribullng factors, wore the incom8 rrfeived from the inauguf81 annual dinner not wilhstanding thal11 was
Cancelled 4 days bèfore the event. and the introduction of new income $treams following the appolntmeni of
new CEO with considerable fundraising experien¢e. in August 2020.
During 2020, Jneli¢s' primary focus was to maintain the delivery of our screaning programme through the
pandemic to as many young Jewish adults in the UK as possible. A move to a remotely delivgr8d counselling and
postal screening service ena￿ed this to successfully happen through the Bamet clinic and the universllies.
Schools proved to be a consKlerable ¢h8llen9e wth only 120 schoolchildren being screened bethen Jan and
Mar¢h 2020.
Despite the pandemi¢. 206 yDung adults were screened In 2020 through the dinic12019..243}. The launch of
virtual Untversily s¢reening wegk allowed us lo reach 394 students across 58 different educational cenlres in the
UK.
Jnolic's efforts in educating the cornmunity about BRCA were severely disrupted in 2020. as the charity was
unable lo support the education of gills in schjds through the BYB programme as in previous years.

Jnetics
Report of th• Directors (continued) for the year ernled 37 December 2020
Plans for Future P•riod8
For 2021 and beyond th8 Directors will conlinue to focus on enha￿d fundraising 8ffort$ to grow the new income
streams that were initiated in 2020. This will enabl8 Jnetics lo deliver on its ambitions. FIrS￿Y, lo prevent the birth
into the community of any further children with any of th8 devastating recessive conditions that we screen for. and
secondly, lo improve the prevention and management of all Jewish genetic disorders.
The first half of 2021 saw the launch of Jnelics, first chalKgnge event. a Patron's supper. and a number of smaller
online fundraising events. all well attgnded. all important fa¢tors to the growth of th8 Charity's supporter base.
After years of research a new èxpanded panel of 47 conditions is due for launch in October 2021. The pan81
consists of further Conditions prevalent in the Ashkenazi community. logether with a number of conditions
preval•nl in th• Sephardi and Mizrachi ¢ommunities.
Following the $ucc8ss of the 2020 UnNersilies Scraening Week, this will be re￿aled in November 2021, whore
w• intend lo screen 300 students across the UK We also hop8, as the pand&mi¢ eases. lo re￿ntar Schools In
the Autumn tem.
The Jnèllcs cllnic wll continue in a virtual w8y. The Introduction of a couples screening al 8 more attracllve prfce
point in thè summer of 2021 ha$ already proved successful and we plan to grow the screening numbers through
tha clinic In 2021 and beyond.
Engag8menl w6th and support from the ¢ommunrty remain crib¢81. The fvture success of Jnetics will depend on
successfully expanding our current donor base. A great de81 of work will be done in thls arna In 2021.
We have 8een a 81gnlfi¢ant change developing in the mindset of tho communlty in relation to our work. thereby
enabllng us together lo a¢hlev6 our otyoctNes more easily.
Fln•nclal r•vl•w
Prlnclpal sources of fundlng
The charity receives most of its fvnding from donations and was at4e lo daim gift aid where applicablg.
Rgsults for the yaar
The financial statements for the ￿ar are sel out in pages &14. The Statement of Financial Actlvilies on page 8
reflects a surplus of £148,45412019- deficit of £173.9731 in the year.
nnnnnnD4na ?

Jnetics
Report of the Directors (continued) for the year ended 31 December 2020
The charity aims to maintain free re$8rves sufficient to financ£ tts oparating costs for around 6 months. Reserves
excess of this amount ar8 apF4ied to further the charitys objectives.
The charilYs reserves a131 December 2020 amounted to £243.750 {2019- £95.2961. of whiGh £243,487 {2019-
£61,340) related lo unreslri¢ted funds and £231 12019- £30,676) to restricted funds.
Structur9* govornance and rnanagomenl
Stslus of Charity and Goveming Dccument
Jnatics I'lhe ch8riWI is a company limited by guarantee {No.070872701 and a re¢ognised English Charlty (No.
11349351. goveined by ils M8rnorandum and Artid8s of Associal¥)n.
The charity was incorporated as Jewlsh Genetic Disorders UK on 25 November 2W9 and changed its name to
Jnets'cs on 2 Juty2015.
Appolntm•nt of Dlr•ctorn
New Directors are nominated for 8ppolntmenl by the 6xisting Dir6clors. There is a three year lemi for Dire¢lorship
subject lo reappoinlmenl. Prior to their appointment. new Directors are made familiar with the charills valuas, ils
aims and objectivgs, as well as its d8y-t(>day operatw)ns. As port of their induction programme new Dlre¢loryJ ar•
required to understand their stalulory resFon$ibilili8S.
In the Course of Its efforts to improve ils govemance structure. on6 new trustee w8$ appointed in 2020.
ststomfrnt on Rlsk
The Dire¢lors are assesslng tho Major risks to whKh the charity is exposed on an ongoing basis and ar8
eslabllshlng procedures to mitigate those that are identifed a$ a resull of these rev￿￿.
Offl¢g Bearers
Th6 Directorn who served during the year and to the dale of this report were as follows..
AL Angel
RF Angel
ED Jacobs
PA Jacobs
IBP Peart
Dr TM Rolhenberg
E Kerr
D Quint
J Harris
Iresigned 30 March 20201
(resigned 18 June 2020)
I￿19ned as dir•ctor 18 Jun8 21)20}
Iresign8d 6 June 20201
18ppointed 26 October 2020)
nnnnnnD￿￿￿￿ A

Jnetics
Report of the Dlrectors l¢ontinuedl for the year ended 37 Dgcembgr 2020
Statom8nt of Dir•ctors' Re8ponslbillti•$
Company law requires the dir6Ctors to prepare finanaal statements that givg a true and f8lr view of thè slalg of
affairs of the charity and of ils incoming resources and application of resources induding Its surplus or defidl for
that period. In doing so the dlrectors are requirad to:
Select suitable aC￿ntIng pc4icl•s and then aFvty Iham o)nsistenlly,
make judgements and eslimales that are roasonabl8 and prudent..
prepare the financial statèments on the going concem basis unless it inappropriate lo presume
that the company will continu6 rts 8Ctivities.
The dlrectors are responslbls for k#eping proper accounting records wh￿h disdose wf(h reasonable accuracy al
any lime the charity's financ￿1 position and enable them lo ensurè that the financial stslemenls comply wlh th8
Companies Act 20C*. They arg also responsib￿ for safeguarding the assets of the charity 8nd hence for taking
re8sonable steps for the provenl￿n and deteCt￿n of fraud and other irwularltles.
This rgport has bgen prspared in 8ceordance wllh the spec￿1 Provi￿On5 of Part 15 of the Comp8ni8s Act 2006
relating lo small comp8nies.
On )ehaW of the 8oard
AL Angel
Dlrector
Date..
27 September 2021

Jnetlcs
Independent Examin8rfs Report lor the year￿ded 31 De¢ember 2020
I report on the financial slaloments of tha Trust for the period end￿1 31 Dec8mber 2020. which are set out on
pages 8 to 14.
Ro•P8¢tlv• rgsponslbllltlos of trustèes and examlner
Tho charitvs dirèctors are responsible for the preparation of the financial stalaments. The ch8ritys directors
consider that an audit is not required for this year under seclion 144{1 Ila) of the Charits'es Act 2011{Ihe 2011Actl
and that an Independent examinatlon is needed.
11 is my responsibilty to..
1. oxamine the accounts (under section 145 of the 2011Act)'
2. follow the procedures laid down in the Generd Directions given by th• Charfty Commission (under
section 145{5)b of the 2011Actl,' and
3. sl8t8 whether particular matters have como to my 8tt8nlion.
8asls of Ind•pond&nt oxarnln•rf• report
My 6xamination was eorried out in accJJrdance vrfth the Gèneral Directions given by th8 CharSty Commission. An
xaminalion includes a revi6w of the accounting records kepl by the charity and 8 comparison of the financial
statements presented with those records. It also includes consideratk)n of any unusual items or disc108ures in the
financi818talemenls, and seeking explanatm￿S from ￿ as trustees concaming any such matters. Th&
procedures undertaken do not provide all the evidence that would ba required in an audit and consequently no
opinion is given 83 to whether the financid statements present a Irue and f8ir and the report 18 limited to
those matters set out in the stalement below.
Independant oxamlnorfs statem•nt
In Conn￿110￿ vlth my examination. no matter has coma to my atlention:
la) which giv8s me reasonable cause lo believe that in any material respect the requir8ments
{1) to keep accounting records In accordance section 386 of the Companles A¢t 2006., and
(ill lo prepare financial statements wh￿h accord with the accounfjng records and compty with the
accounting ￿uIreMents of secbon 396 of the Companies Act 2006 and with the Methods and
principles of the Statement of RecJ)mmended PractK8: AcC￿nting and Reporting by Charities.
have not been met: or
Ib} to which, in my opinion. attention should be drawn in order lo enaL4e a proper understanding of the financial
stat&m8nts lo be reached.

Emma Bènjamln
For and on behalfof Oliver Clfve & Co Lwnited
Indepondent Examlnar
Oliv6r Clive & Co Limited
Chartered Accountants
14 David Mgws
London W1U 6EQ
Date: 27 September 2021

Jnetics
me
non
Year
End&d
2020
Totsl
UnTr•￿¢￿￿ D•ilwwed R•strfthd
Funds
Fund$
Fund•
End•Y
2019
In¢ornlng Rgeour￿8
Don•tlon¥ and 1•gacI
Voluntsry in¢cAne
h8r
Government grant
Total Ineomlno Ro¥ourc••
4fj8.876
Ico,coo
580.876
276,892
6,945
6,945
575 821
280 129
R8•ource• Expend•d
Other
Exp8ndilL¥O on Charitab￿
Expenditure on r8iwro fLnds
Governan¢e costs
Totsl R•￿￿r¢￿ Exp•nd•d
246,931
45.643
110,940
357,871
66,148
430,411
22.645.
292.574
1348
131.445
427,387
454,10
Not In¢om•ll•xwndltuM)Iw th• y•ar
Trnn¥f•r8 fund•
N•t mov•m•nt In fvnds
183.247
13,3481
131,4451
148,454
1173,9731
I1.1￿1)
182.147
13,2481
130,4451
148.454
1173.973..
Fund b8lanc• •t 31 D•c•mb•r2019
12
61.340
30.876
95,296
289.289
Fund ￿lanc* at 31 DK•mb•r 2020
10.11
487
31
The Statement or rin$￿￿4 lTrJudo• all gains and k4s•8 in ￿#raThd tMr8lwg a warate Staterr￿nt of totsl recognbg¢ ha8
not b68n prepartd.
l of t￿ incomi
Tho Mt¢s on pw 8 kn 14 fum ts90 finan04 stater￿nts.
DAte.' 27 Sèpt¢nknr 2021

rnkn
20
>)19
F￿dallI¢•
¢urr•ThtA•••ts
3Jl$
33.074
180.7¥k
JQl.41
n• y•4r
61.Q12
N•t¢ltrlr•ni
240.405
TtJt•l N•i•4••t*
92.016
pr•••n*•d by
Unrèstiveofurth
D•¥VJnO￿ Fun
R•61rkW
11
243,487
32
81.340
3,280
30 676
Thocomp•nyw4nMAQ IW*ybM>ww￿d 31 O•C•￿bIr2D2D.
8KL*h478o1￿c￿￿WAC42QW.
olth• Ccffl¢•w•

1 A¢countlng Pollcies
The principal accounting policies are summarised below. The accounting policies have been applied
consistently throughout the year and the preceding year.
1.1 Ac¢ountlng conventlon
The financial statements of the charitable company. which is a public benefit entity under FRS 102.
have been prepared in accordance wth the Charities SORP (FRS 102) 'Accounting and Reporting by
Charities.. Slatement of Recommended Practice applicable to charities preparing their accounts in
accordance with the Financial Reporting Standard applicable In the UK and Republic of Ireland (FRS
102} (effectiv8 1 January 2015).. Financial Rèportin9 Standard 102 Section 1A 'The Financial Reporting
Standard applicable in the UK and Republic of Ireland, and the Compani&s Act 2006. The financial
statements have be8n prepared under the historical t))st convention.
1.2 Basls of accounting
The financial slalem8nts have been prepared under the historical cost Convantion.
1.3 Incoming Rosources
All incoming resources are induded in the statem8nt of financial 8Ctivities when the charlty is entitled to
the income and the amount can be quanttfied with reasonable accuracy. The following specific policies
are applied to particular categories of income:
I voluntary income and bank inlerest is accounted for ￿en r8¢eiv8d. Tax recovered on Gift Ald is
accounted for on an accruals basis. The value of services provided by volunteers has not been
Included.
Grants are recognised in profit or loss on a systematic basis over the periods in ￿1¢h th8 entity
reGognises expenses for the related costs for whKh the grants ar8 intended to comp8nsate.
1.4 Resources Expended
All expenditure is recognised on an accwals basis. Expenditure indudes any VAT which cannot b8
recovered and is included in the relevant costs in the slalement of financial activit18S.
Expenditure on ralsing funds comprise th8 Cost of donations made; expenditure on charitable activitles
include Costs inGurr8d by the charity in delrv8ry of its activfties and services for its beneficiaries.
Governance costs are those incurred in connection with the administrationof the charity and compliance
with Ihe constitutionaland statutory wuirements.

1.5 Fund Accountlng
General funds are unrestricted funds which are available for use at the discr8tion of the Trustees In the
furtherance of the general objectives of the charity and which have not bean designated for other
purposes.
Restrlcted funds comprise grants and other income recelved for spending on specified purposes as laid
down by the grantor.
Designated funds ￿present the net book value of the Charitys assets.
1.6 Flxed assets
Tangible fixed assets ar8 stated at cost or valuation less d8preciation. D8preciation is provided at rates
calculated to write off the cost less estimated residual value of 8ach asset OV8r its gxp8¢ted useful life,
as follows..
Computer Equlpment
Furnitur8 and Fittings
3 years straight line
4 years straight line
1.7 Golng Concern
Ther6 are no material uncertainties about the charitys abilty to contlnue and the Trustees are Confident
that the charlty has adequate resources lo continue its op8rations for the forse&able future. Accordingly,
the accounts were prepared on a aoinq concem basis.

C￿*
r•tas*31
6,912
I rJ￿IE91 D￿1￿*•r2¢éts
I,W7
3t
579
27
¥Mr￿d￿j
7.•$7
.J74
J.STS
11•.272
T4Q471
11,074
c4itsiwg1
40•bto
rr•d•d•bl
Othw d•
IH
1317
(XhwANrtd•kn
Y•trEr
A¢oru•l•
In¢on
•ip•nd•d'
19
TDl11
20
410.791
410,7•1
IOOA
14G95
Isoj
TrusLlSty•wtr*
2019
To
Totil

2V
Tot41
rth
Fl￿
ZDI•
To
Saa
1(*.
49.374
$75
1.126
1S•272
141
11,Q7
1154
¥qenlno
212,
41
041ab
O(fico
T•lWon*
74
14.442
3.005
313
2D,$30
22
4543
&JDdry
Coun¥
1•14
ID.34J
e•nk
d•b
224
4M47
714
Y•trEr4•d
Pw
2010
T¢
T¢4•1
W•h
.107
2.4ts5
FuD*Al*lr
l)A$4
507
InOWd•ni Ey*rl*•f
1$74
Jl4ho
RCA*
GENku•
572t•
JJ
$1,
2419
GENEIL•
5T
n￿￿n ol*Jnd

F￿￿
129?.5741
Go￿￿al FUTh1
ia).Ig•
14.010)
TD
rAx21
12N•tAM•tbypL*d
Y••rEndoa-
Tthl
VLVA
cr1￿10￿￿ 1
emdit
247￿￿1
00.•sJ
310T4
13 R•￿d P•rtyTv4nM¢uD
14
l• Op•NtlnA hiMGommhn•n