THE GOLDERS GREEN BETH HAMEDRASH CONGREGATION
Annual Report and Accounts
for the year ended 31 August 2025
stern Associates
Chartered A¢countanls

THE GOLDERS GREEN B￿H HAMEDRASH CONGREGATION
Annual report and a¢countsfor the year ended 31 August 2025
Contents
Pa8è:
Board of Management Ithe Tru5teesl and Holdin8 Trusteès
Annual report of the Board of ManaÉement
Independent examiner's report
Statement of finandal actlvltles
Balance sheet and cash flow
8-10
A¢countlng pollcles
11-18 Notes fomiln8 part of the flnanclal ststements
Board of Man•8em•nt- Trust••s of th• charlty
Exe¢utlv•
Presldent
J Adler
Vlce4resldent
L Hackenbroch
Hon. Treasurer
J Neuberger
Executlve member
J Mlrw15 Ire518ned 13105120261
Other
M Goldschmldt
G Emanuel
R Katz lappolnted 13105120261
A Rosenthal
A Scher
H Zlmmels
Holdlni TfUSte•s
J Jacob50n
J Lebrett
D Winter
Charfty reglslrntlon number
1138578
Accountants
Stern Assoclates, Chartered Accountsnts, 2 Helen51ea Avenue, London. NWII 8ND
Syna8osue address
The Golders Green Beth Hamedrash Congregatlon, The Ridln& London, NWII 8HL
Bankers
The charity's principal bankers are Barclays Bank Plc, but certain of the restrlcted fvnds
use other leading UK banks or buildlng societles.

THE GOLDER5 GREEN BETH MAMEDRASH CONGREGATION
Annual Report of the Bojrd of MJn•¥ement ltheTrusteesl for the year ended
31 Au8ilSt 2025
The Trustees of the Golders Green Beth Hamedrash Con8re8atloD present thelrAnnual Report and Accounts for the year ended 31 Au8115t 2025.
The finan¢ial statements have been prepared in accordance with the a¢¢ouDtlng pollcles set out In the flnanclal 5tat¢ments. The Trustees have
adopted the pravision5 of Acrountin8 and Reportlll8 by Charltles.. Statement ol Recommended Pra¢tlce appllcable to charitles preparfng thelr
accounts In accordance wlth the Finandal Reportln8 Stsndard applitable In the UK and Republlc of Ireland IFRS 1021 leffectlve 01 January 20191.
It has been the practlce for many years for the Pre￿dent and Hon. Treasurer to present thelr reports to the Member5 at th2 Annuèl General
Meeting. In the opinlon of the Board, these reports wlll provlde any further inforrnatlon about the actlvY(les of the Synagogue that neèd to bÈ
contalned In the Trustee5' Annuil Report. Copie5 01 these reports wlll be available to members from the Synagogue Offlce followingthe Annual
General Meetin8.
Stnthre, Governant• M•na8emeht
The Con8re8atltsn 1$ governed by Its Rules and Re8ulatlons, last amended In 2026.
The th&rlty Is managed by 8 èoard of Mènagement l*he 8oord"l. The members of the 8oard are the Trustees and are elecied at ¢he Annual
General Meetln( In at¢ordan¢e wlth thÈ Rules and RÈ8ulatlons. Nomlnatlons are usually sollclted for new Trustees from member5 who hove
relevant skllls and are olreody actlve In the cornrnunlty. Meetln8s of the Board are held once a month, ex¢ept forAu8ust. The Boardls èsslsted In
the runnlngof the Congre8atlon and Its relatlon5hlp wlth e*ernal oraanlsatlun5 by varlous sub-commlttees whlch reportto the Board. SecretarSal
and offlce support Is provlded by a secrÈtary. The Syna¥ogue bulldlnK15 currently malntalned by e￿ernal cgntractors.
51•t*m•nt of Trust••s ResPOnslbllltbes
The Rulesand Re8ulatlon5 Otthe Syna8oguE, and a150 charlty law. requlre the Board to prepare accounts for each flnanclal year, whlch glve a true
nd falr view of the state of affair5 of the Syna808ue and the surplu5 or defltit of the Synagogue for the perlod.
The trustees are responslble for preparlng the Report of the Trustee5 and the financlal $tatements In accordance wlth appllcable law and Unlted
Klngdorn Accountlni Standard$ Iunlted Klnidom Gefiefal￿ Accepted AccountlThg Prèttlcel.
Charlty law requlres the trustees to prepare flnanclal statement5 for each financ141 year. Undorthat law. the trustees have elected to p￿pare the
financlol statements In 4¢cgrdance wilh Uniied Kingdom Generally Accepted Accountlns Proct5c• (United Kln8dom Accountlng 5tèndards and
applic•ble lawl.
Llnder charlty law the trustees must not approve the financlal ststements unless they are 5atlsfled thatthey glve a true end falr vlew of the 5tbte
of affalrs of the charlty and of the Incomlng resources and appllcatl¢n ol resoufces. In¢ludln8 the Income and expendlture. ol the charltyforthat
peflod. ITh prep8rfn8 those flnanclal Statements, the trustees are requlred to
select 5ultable accountSni pollcles and then apply them consistentlv,.
observe the meihod$ and prlnclples In the Charitles 50RP,.
make ludiements arKI e5tlmate5 that are reasonable and prudent,.
prepare the flnanclal statements on the 801Thg concern ba515 unle55 It15 Inapproprl8te to presume that the ch8rlty wlll contlnue In
buslne55.
The tru5tee5 are respons*ble for keepin8 proper ac¢otsntlng records whlch dlsc105e wlth reasonable accuracy at anytime the flnanclal poslfjon ol
the charlty and to enable them to ensure that thelinancial 5taternenlscornplywiththe CharltlesAct 2011 and The Charlty IAccount5and Reports)
Regulatlon5 2W8. They are also responslble for safe8uardlng the assets of the charlty and hence for takinE rea50nablt #ep5 lor the prevention
and detectlon of fraud and other Irre8ularitles.
The Board has assessed the major ri5k5 to which the Synagogue 15 exposed. in p•rti¢ular those relètlng to Health and Safety, and Is 5Jti5fied thèt
systems are In place to mltl8ate exposure to major risks.

THE GOLDER5 GREEN BETH HAMEDRASH coNGREGA￿oN
Amnual Report of the Board of Management (the Trusteesl forthe year endBd
31 Au8USt 2025 Iwffitlnuedl
ObJecli¥e$
The purp¢se of the GoldersGreen Beth Hamedrash ConEreg¥tlon Is to pro¥ide r2118lous servlce5 for members, to prornote educatlonal and social
activitie5, to ralse and distribute furnls for charltable purposès and to offerburial facilities, all In accordance wlth Halachè.
Thè Congregotion prO￿deS a range ol services and shlurim to meet FIS 5t•ted oblectlves, Speclal actlvltles caterlng for chlldren ore arringed
throughout the year. Charltable appeals are held from time totlme to ralse funds for dlstrlbutlon to variou5 chadtable cause5.
The Board has due regard to ihe guldance publlshed by the Charlty Cemmlssltsn, Includln8 matters relatlng to publlc benÈflt. The oblectlves set
out above Include educational, reliiK)us and charltable objeetlves, all gf whlch ore forthe publlc benefit.
Artfvltles and
The Board, together ￿￿th other volunteer5, have contlnued to develop and dellver new seNces. shlurlm and soclal act[￿lIeS over the course of
the year. Substantlal Eharltable donatlon5 to Indlvlduals, famllles and educatlonal Institutlon5 hive been mède durfn¥the perk)d under revlew,
funded by the conslderable generoslty of mernber5 and others.
Ribbl Greenbergi ably supported by Rebbetzen Greenberg, ¢ontlnue5to work tlrelessly on behalf olthe con8re8atlon. HIS Inltlatlves span all a
groups and Include many new and positlve development5,
Jring the year the Welfare Fund hès been set up as an Indlvldual charftyi the GGBH Welfare CIO. Thls Is led by a team ef dedlcated trustees
d15tinct from the Board.
The Botel Medra5h are In almost constant use throu8h the day and late Into the nl8ht wlth many people iaklng adY4ntaKé of the well-stocked
Ilbraries and comfortable 5urroundlnRs for personal and group learnlng.
Fln•nclal Revl•*T
The prlm•ry source of Income for the charity 1$ sub$¢rlptlon contrfbutlens pal¢J by members. Th151s supplemented by rental incgme frorn the
Mlriam Rachel Wohl Hall, by donatlons rnède by members and by Interest retelvable on bank deposlts. Rent from the Investment property at 2
Cot5wo1d Gate, rent from the carpark and rent from the office at the reor ol the Synagosue furthersupplement the Syni8ogue's regular income.
The charlty recelved membership Contrlbutlons of £194,70512024.. £199,819>. The total Incorne Includln8 offÈrln8s, donatlons, le8acy Income
and Investment Income, but exEludln8 restritted fund5, amounted to E514,65512024., £519,192). After acccuntln¥ for Syna808ue expenses,
donation5 and admlnlstratlon expense5, the charhy had a surplus of £66,72612024'. £20,0351 on It5 uNe#ricted fund5.
Plan5 fty the future
The SynoEo8ue wlll contlnue to provlde and enhance rell8lou4 educètlDnèl and charltable acllvltle5 lor it5 mernbers and the wider ￿MmunIty.
The Board hvill a150 look for ways of further developlnE the Synagogue'5 Infrastructure to maxlm15e it5 Income stream.
Sl&ned on behalf of the B03rd of Mana8ement
JAdler
Pre$ideni
Date.. 26June 2026

THEr￿DER$GREEN BETH H*MEI)RASHCONGREGATK)N
TOTHETRiWOFIHE GOl￿Rs611EEN BEIH HPMEtYRA5H
I rya7rnhthnOfts*a(o)W￿cltsab￿tt￿[Ity1￿h￿Tn￿￿[0r￿ywthJ&3I￿￿lrt2o25.
5th2tntsoftheTnJstwu*Erewrdt4etCf thepreP￿knn0[th￿aClXXm￿￿XcC¢￿rttWthII￿rWj￿￿0f￿￿l￿rftiesl1t2Oll1￿Ntt￿.
Irepjrtln re5mrfnryeh7nkntbnoftt*Trusv5￿lrt%(XTr*dC#JtU￿ET$eC1knn I45oftr£ktak)JlTh(ar￿K￿￿￿tOmthIhaVef￿1￿ddIappI(abIe
clrethcmstsntyfrowrftycoft￿L$Shjnw￿er￿c￿l4s(s1(b)￿the1tt
n￿ exceedtsj £￿,(X￿¥C￿ex1ff￿WrnLtstEÉa m￿ofa fated I can rfjnfvm l amqualffled to eyArnlTh
I ￿&￿￿er0Ett* IrtsbttrteofCharteredPttountart%th WTrjaTrJWa￿￿h]th￿wcfther￿d b>J8
I Iconfimitr*tnom&terta1ff0ttershMc￿t0Irryatterthn hConneLknLs4thtt*£KamlrotbnthlrynRfa￿tybI￿thatln
wmaterlalresFed'.
tthmtlyreccrttsw*tMtkeprlnre¥ertc*theTn*a5fE(thdty5ethw ￿0fthe￿￿'
￿￿￿￿5d01￿rt¥￿rdI1thIIyJstreCOA1IQr
ntsdo ￿t￿*wIhthe9pp￿￿tr￿e re4￿rerrk￿ts¢￿Ken￿￿l￿efcfrn and corrtentofèccothtssetojt Intt* Chartdeslkn)wts
It)JRep￿S>R￿￿￿ms2CQ8Clherthana￿w￿rementthatthe3CcWntsfvatrueaTh1falr￿eW￿chl5Tr￿0rnat￿C￿$We￿a$Wrt
I￿1)del￿nte¥0ryYn1iknTr
I h•ve no concerns and have comt icross no other mitters In connectlon wlth the examlnatlon ta whlch Jttentlon shtruld be dr•wn In th15
report In order to enèble a proper underst•ndlng of the occounts to be reached.
Slmon Stern AC4
STERN ASSOCIATES
Chartered Acrountsnts
2 Helensle• Avenue
London
NWII 8NO
26 June 2026

THE GOLDERS GREEN NAMEDRA5N CONGRE￿TIoN
Statement of flnandal artlvitieslorthe yebr ehded 31Au8ust2025
2025
2025
Unre5trrcted DEsi6nated A¢strScted Endowment
Funds
Funds
Funds
Funds
2025
2025
2025
2024
Total
Funds
Totrl
Funds
NCOMING RESOUR
Income and endownentsfrom:
Don•tlon¥ •nd1•8•d
Legacies
Offerfn8s and bedek hèba¥15
[￿a￿on5
20.IXYJ
22,607
22A38
65￿5
io,r
22,￿1
447.%0
500,507
19,699
728,025
747.724
425862
4￿.462
charknble4clfv1￿$
Mernbershlp contrfbutlon$
Wqddiffi8feks
Burlap gxlety
Shluflm, Kol ElSyahu, 5tyumlm,
melawe malka and reCep￿On$
Youth actfvltles
Prov151on of rltu•l hem5
Shul trfp5
193,169
2,700
1,556
1536
194,705
199,819
1.556
6,288
16,869
7,210
I8,￿1
16.869
7,210
I8,f￿)I
31,583
6,407
16,951
25,591
28B,039
240,IOS
1,536
Oth•rtr•dlw
Hlre of Mlrlarn Rachel Wohl hall
Fund ra151Thqfun¢tlons
Yeor book
Parkln8 and offl¢¢ ren￿1 In￿mI
IY,728
154.728
4,594
8,578
14,340
182,240
118,917
3,995
4,016
13.e95
140 023
4,594
8,578
14,340
177,646
Property rental Income
Dep051t Interest rocelv•ble
26.6QJ
5,259
31,859
26,6LY)
7.396
33,996
25.6CKt
7,385
32,985
912
912
514,655
958,384
1,208.771
A ftjll breakdown Df Ihe pwktyus y¢•rls prO￿ded In note 18 to thefinanclal statements

THEfjOLDERSGREEN OEfH HAMEORASHCOIIGREGATTOII
202S
Z025
Note UnTestrf¢ted Oeslpiatéd Re$trftted Endo¥¥meDt
Funts
Fun
Fu￿J$
Fund5
2025
2024
Total
Funds
Totsl
Funds
RE50URCESE
4151￿lut￿￿
Costsrelated toham hlre
Costsrolatlnito In¥e5trnenl property
Fundrnlsingand pubmclty
Yur book
29,404
29,404
31,859
4,S41
1,468
2A32
IA32
2A32
41
84
42,968
£￿￿￿bI••¢1Md
RernunerntlDn, e¥peDses •nd penslon5 of
Rlbbonlm, chazan 3ndform*roffkhLs
RhuJl Items. Ilbr4ryCOStsand
SUPPDrtserykts
Bu1*1ll8 rglated 4xpEra5
5hluiim, K¢1 Ellyahu, styurnlm,
rn•lw•rnalk• Jnd ittoptknns
Youth •Cllvllle$
GrDnts and don•tkJns
186,457
186457
I￿310
17,386
127,144
9.072
26,450
127,144
20,897
129,979
32,889
9,412
32*9
9,412
5U,868
60,217
564.B68
646,92S
25.591
S9J20
5UPpOrtc￿ts
i?
1024 701
£1726
11342681
&22S
166J171
46,151
from Ruth Lun2•rfvnd toLidlu Gulld
io Hall r•novat￿n
from Dllopl¢•Vons re5eN•
L215
112251
6,266
440
128,
162,1741 1133P431
1663171
46.151
Fund5 brouthtf0￿4rd
Cap*•l fund b1ouahtfo￿1r
1140,8031
939,933
11¥063
33I32B
30WI 333388
1,539P33
287.237
539,933
Totalfunds C*MeOf¢Mrd
92
285
873
21

THE GOU)ERSGREEN BETH IIAMEDRASH CONGREQATION
Bafarfé sh¢•t •t 31A¥ust ZOZ5
2025
2024
FIxedM￿lI
ThnR]ble assets
785,723
la￿.725
rreTrt llMèts
Investrnent prDptrty heklfor sale
Sundry debtorsand prepaymerts
8Jnkand osh bDlance$
Re5tdcted Jnd endowmentfunds
UnrI￿ttedfUnds
39.866
54.095
7,10
7.10
330,948
169
Ct•dltor•
Jnount$ f•llln8 due yAthln ane year
1021281
487 598
Tot41 r•t •v•ts
Funthofth• Ch*rtty
Vnrestrfctid Desl8nated ftestrlcted EThJo%wMent
furtds
funds
funds
funds
Total
fund5
Cap￿3*fund
Ateurn￿￿ted fund
Des48naied fund5
Restrtcted speclfiedfunds
Endtrwment lunds
939,933
111,9031
600,CO)
l.S39.933
111,9091
49,689
199,2
I￿39,933
I140,￿31
iii
49.689
li
199,285
332,328
30fKLI I ￿7 004
Approved on beha￿ ofth• Board of MèThwment
SI￿•d..
PN￿d•￿t
I6J￿e 2026
¢•thfflowlorth• y•irwd•d 31 Avwrt2015
2024
C•th fl¢bWJ Irum op•r•t1ni¥Kt￿y1W
Net ￿$h provlded ￿ operatlnKaLIMtI￿ (note 12)
iitkS,9231
IL19Y
C••h llwlyom In¥estlw artlvlt
Inve5tmeDt Inc(Trme
33,996
32.985
Change In ￿nk and ush bplinus In thevear
172,9271
31,798
Bank and cash balinc•5 It 01 S•pt4mber Z024
8ankand cash balance58t 31Au8u# 2025

THE GOLDER5 GREEN BETH HAMEDRASH CONGREGATION
ACc(￿n￿l011he year ended 31 August 1025
A￿￿￿11￿8 polltles
al O•4solpiep•rntlon olaccounts
The financial 5tatement5 have been prepared under the hlstodcal cost conventlon with items
reco8ni5ed at C05tortran5aCtlon value unle55 0therwlsÈ stated In the relevant notes tothese
account5. The financial statements have been prepared ID accordance with the StatÈment of
Recommended Practlce.. Accountln8 and Reportlng by Charltles preparlng thelr accounts in
4tt0rdante with the Flnantlal Reportln8 Standard appllcable In the UK and Republic of Ireland IFRS
1021 Issued on 16July 2014 and Financlal RÉportln8 Standard 3pplltable In the United Klngdom and
Republic otlreland IFRS 1021 and Charltles Act 2011.
The charlty has prepired the accounts lfinanclal statementsl In accordancewith Accountlng and
Reportlng bycharltles preparlngthelr accounts In accordance wlth the FSnancSal Reporting Standard
appllcable In the UK ortd Republk of Ireland IFRS 1021 ifi prÈference tothe Atcounln6 and
ReportSTh6 by Charltles., Ststement of Recommended Pradce155tJed on IAprll 2005 whlch Is
referred to In the extènt regulatlons but has slnce been withdrawn.
Thls has bÈen done In grder for the accounts to p¥o¥lde a irue and falr Vlew In accordaThce ￿1￿ the
Generally Accepted Attouniin8 Practice effective for reportln8 perlods beglnnln8 on after I
January 2015.
The Golders Green Beth Hamedrash Congregatlon constIt￿e5 a publlc beneflt entltya5 dellned by FRS 102.
ThÈ finandal statements ar¢ prepared in sterlln& rout)ded to the nearest pound.
Golfyl ¢on¢*in'.
There are no moteriil ur*ethintle5 about the charltV'5 abllltyto eontlnue.
bl A•£￿TrI¢l￿1 of Incaffl•
All Inrome Is re¢ogn15ed onre the £horlty has entltlBrnent totho Income, It Is probable that tho
Income wlll be recelved and the amount of Income recelvable can be measured rellably.
Therefore recelpts from membershlp ènd other rocelpls resultlngfrom the maln charbtable actlvhles of the
Syna808ue are reCO￿lSed when ihey •re re¢elved. other than those membershlp fe¢elpt5 that are
rttelved In advance for 5ub5e4yent accountlnB perlods. Income from voluntary donatlon5, le8acle5 and
appea15 15 also usually recoEThlsed onlywhen recelved. However. materlal Items of Income to whlch the
5yna808ue1s entstled or whlch have been promised, recelpt af whlch occurs after the balance sheet dat•.
We re¢o8nlsed and Induded In debt¢rsi provlded that thelr evqntual recelpt15 both ¢ertsin And quafitlliabl•.
cl C•tewlMtSon ofknfome
The SORP rwuSres incoming resourc•s to be Catedorls￿ In $u¢h a way as kn th$tln8ulsh In¢omefr¢m
the maln tharltable fvnLtlon5 of the Syna808ue from income generated byOtherac￿VIttes, from voluntary
donatlons, fundrai51nB actlvltles and from Investment Income.
Thusthe subscrlptbn Income 8eneratÈd by membershlp fee5 Ind by re5ervotlon5 Df Syn•8owe Se0￿n8
IS treated a5 Incorne generated by the maln charltable actwity olthe Syn•goBue. Income generated bv
other actlv6tles reLqted to lewlsh rltual and communlty Ilfe Is also wlthln thls category.
Voluntary InEorne include5 all type5 of donatlons and legacie5, both to the Synago8ue itself for unrestrlrted use.
Ind to the vadous re5trlcted funds ol the Synagogue.
R*)tal Income from the Investment property and bank int2re5t rerEivable 15 Cate8orised as investment irKome.
IncDme generated from fundri151n8 aLtlvltle5 are a￿1vItIeS that are undertaken for the purwse
of generatlng fvndsalthoueh they may a150 fuffil other communityfunthons too. These Snclude Incorne
for hall hlre. fundralslng attlvltles, Ihe publlcatlon of th4 Year Book and lettingof parklng spac•s
onthe Sw)a8ts8uÈ fore¢ourt.
dl Reco8nltlon of expendrture
Expenditure 15 recu8ni5ed on￿there Is a legal or c0Tr5tructlve obllgatlon to transfer econDmlc benefft
toa ihlid party. It15 probable that a transfer of economlc benefits wlll be requlred In settlement and the
amount of the obllg4tlon can be measured rellabty,

THE GOLDERS GREEN BETH HAMEDRASH CONGREGATION
Actounts for the year ended 31 August 2025
Accountins policies Icontlnuedl
el Cat•Borlsatlon of empenditure
Expenditure 15 cate8orlsed so far as is practicable to match the cate8orisatlons used for incoming resources.
The costs of supportlnB the maSn charltable actlvltle5 of the synago8ue include the remuneration, expenses
and penslons of the Rabbtsnlm and Chaian, plus a slBnificant proportion of maintainin8 and runnlng the
buildings. Costs of provldlng ritual Items and communlly ielatèd actlvlties also come into this category.
As Tzedakah Is an integral part of the charitable actlvlty of the Shul, the di5tr1butlon of 8rants Is included
In thls category.
Costs Involved in 8eneratin8 funds ¢ofisSst of those items of expenditure Incurred as part of actlvltles
specillcally undertaken In order to generate funds. These Include all costs Involved In enabllng the hall to be
made available for hire such as refurbishment costs, staff costs incurred In relatlon to the hall hire and
proportlon of the costs of maintalnlng and runnSn8 the building. They also include costs of malor fvndralsln8
event5 and the cost of producSn8 the Year Book.
Support costs Include all costs of runnln8 the office, flnance ¢harges, governance costs and sundry expenses
such as glfts and advert151ng. Support Costs are dlrectly allocated to the cate8orles of expendlture with the
exception of malntenance, tleanlng and repalrs, and power and water, whlch are allocated In accordance
wlth the Trustees, estlmate of use.
The costs of runnlng and maintaining the Syna808ue bulldlng are classlfied as bulldlng related expenses.
These Include expendlture on caretakin& repalrs and malntenance, utllltles and Insurance.
Support Costs and building related expenditure are normally allo¢ated to the maln charltable actlvlty of
the Synagogue except where an identiflable and material cost Is Incurred In sUPPOrtlng other actlvitSes.
fl Flxed assets
The Synago8ue bulldln8 ha5 h15torlcally been wrltten down to a nomlnal value of Él In the accounts. As the
bulldln81s central to the life of the Kehlllah and there are halachl¢ restrlctions on Its sale, tt15 Inappropriate
to value It at open-market valuatlon. The 8oard therefore do not ¢onslder that any purpose would be
served by carrying out a revaluatlon of the bulldlnB for accounts purposes.
Additions io freehold property are shown at cost of acqulsltlon Ilnclvdlng assoclated expenses) plus costs
of alteration and Improvement requlred to brin8 suth propertles Into a condition suitable for thelr purpose.
Donatlons of freehold propertSes are shown at valuatlon.
Depreclatlon Is not provlded on the houses owned by the Synagogue as they are subject to an ongolng
regime of maintenance whlch en5ure5 their net residual value is not lower than their book values. and
any therefore any depreclatlon would be immaterlal.
Replacements of tangible fixed assets wlthln the exlstlng Shul buildlng arè writtèn off In the year of
acqulsltion. While this is not In accordance with accountin8 Standards, this accounting policy has been
followed for many years and is con51Stent with the valuation of the building at £1 within the accounts.
The Charity Commission has indicated thatthis 15 an acceptable accountlng pollcy.

THE GOLDERS GREEN BETH HAMEOFLA5H CONGREGATION
Accounts forthe yearended 31 ALffjUSf 2025
Accounting po15cies IMntinu•d)
gl ReslrittEd funds and Endowment fvnds
Restricted funds are funds sublett to speclftctrusts declared or authorised bythelr donors which conform tD
the wider objects of the Syna808ue. Expendlture of these funds must meet the ￿qUIrementS of their 5peciftc
trusts. Endowrnent funds are restricted funds which must be retained as investments or as assets and whlch
may not be expended. althosjgh income derlvet# from them may bespent approprlately.
The Syna808ue has a number of such funds. somè of whlch are admlnlstered and controlled by Member5 who
are not Trustees of the Syna808ue. Externally controlled bank accounts are held by agents on behalf of the
charity.
Summarlsed accounts forthese funds are glven in the notes to theffinanclal statements.
her restricted fvnds are under the dlrect 8dmini5trètion and ctsntrol of the Synagogue and its Trustees
or of the Rabbl, and movements on these fund5 are surnmarlsed In the note5 to the 1Snanclal statements.
h) 09518notvd funds
Unrestricted fvnds may be de51gnated for a partlcular prolect at the dlscretlon of the Board of Management.
The Con8re8atlon owns and occuples lar8e premlses whlch perlod5cally requlre major expendlture for
repalrs. Instead of allowln8 all these costs to be charged to the SOFA when the money Is spent, the Board of
Management has bullt up a fund over the years by tr8nslers from the Accumvlated fund.
This des58nated fund Is ihe Ollapidatlons Reserye, and when malor repalrs and renovatlon5 ore carrlèd out
transfer of an approprlate amount Is made back to the Accumulated fund.
Followlng a malor refurblshrnent of the Syna808tse Hall. a dèslgnat•d fund known as the Hall Renovatlon
fund was establlshed. Thi51s funded bytransfer5 from the unrestrfcted funds otthe Syna808ue amountln8
to 5% of the value of the net Incomefrom the h)11 rentals each year. When future refurblshment of the
hell is carried OUL è transfer of an approprlate amount wlll be made b8ckto unrestrlcted fund5.
11 Unre5trlrt•d funds
Funds donated to the Synagogue for the re5trlcted purp05e of contributin8to the acqulsltSon of freehold
property are consldered to be unrestrirted funds oncethe prop2rty has betn ac4ulred. Such funds are
then transferred to the capital fund whlch Is Identlfled as a dlstlnct fund wlthln the unre5trlcted funds of
the Syna808ue.
I rernalnln8 unrestrlcted funds are held In the Accumulated fund.
11 FSMrKlal Instruments
The Charity only has flnanclal assets and flnanclal Ilabilltles of a kind that qualify as baslc flnanclal
instrurnents. Basic financial instrurnents are initially recognised at traTh50Ction value and subseouentlv
rnea5ured at their sèttlement value.
io

THE GOLDER5 GREEN BETH HAMEDRASH CONGREGATION
Notes formlng part of the flnanclal statements forthe year ended 31 Au8Urt 2015
Anaty5is of a￿1¢￿01e resources expend•d
2025
Ralslng
funds
2025
2015
Support
costs
2014
Charftable
artlvlties
Total
Total
Note
Costs
costs
Rtrnunerntlon expen%5 and pen51on5
Power and water
Malntenance. cleanln8 and repalrs
Insurancè
189,349
47,659
40,108
16,904
13,794
203.143
47.659
69,512
17,904
4.448
2.002
23,665
2,893
32.889
26,458
4,800
10,216
9.412
$64,868
2,832
215,278
53.492
76,332
16,106
4,541
1,191
5,909
2,708
60,217
28.179
5,100
10,Q19
7,908
646,926
1,469
29.404
Investment propety costs
Telephone
Runnlng c05ts- 49 Templars Avenue
Prlntingi POSta8e anil statlonery
Shlurlm, slyurnlm. Kg1 Ellyohu and receptlons
RTtual and sundr￿5
Year book
Accouniancy fees
Youth actlvltles
Grants and donations
Fund-rèlsln8 functlons
Profèsslonal fees
4,448
2.002
23,665
2,893
32,889
13,303
13,155
4,800
10,216
9A12
564,868
2,832
shul trlp5
B¥tnk charges
25,591
1,654
2,001
2.001
938 157
1024 701
1 162 620
Totsl staff Colts
Durlngthe yearthe key rnan3gemènt personnel co$ts were as folbw5'.
2025
2024
Salarles, wages and penslons
Employer's Natlorsal Insurance contrlbutlons
PensSon contrtbutlons ftrr thè prov551on of rnoney-purcha5e benefits
182,114
13,253
7,776
200.129
7.649
7.500
203 143
215 278
The avera8e number of fulktlme staff employed was
The average number of part-tlme staff employed was
Durlng the yearthe number of employees whose remunerntlon exceeded
£60,000 wa5
Durlng the yearthe number ot ern￿0vee5 to whom retlrement beneflt5 are
accnJln8 under money-purchase schemes was
The number of penslons paid was
li

THE GOLOERS GREEN BETH HAMEDRASH CONGREGATrON
Notes fomilng part olthe flnancial Statements for th• ye* ended 31 August 2025 Icffitlmedl
Audll and
Audlt and accountancy Include5 fee5 payable to Stern Assoclates, Chartered Accountsnts. ès follows..
Z025
2024
Independent exarnlnatlon fte12024'. audlt feel Includln8VAT
2,400
4,2tXJ
Tan81￿* ftxèd assets
The tJfi8fjble fixed assets Included In the )Inancl41 statements comprlse-
Freehold propertle5
5ynw8ue
inv•stm•nt
Prop4rty
The ASdln8 49T•mpl•rs Z Cotswold
Synagogu•
A￿nu•
Gate
and h•ll
Tot•1
Nomlnal ¥glu•
At 01 September 2023
Cost ¢x v•luatlon
At 01 September 2023
Tr•nsf¢rto curr•n¢ ismts
Tot•1 At 31 Au4u$t 2025
At 31 Auiu5t 2024
785,722
600,0
1600,OtQI
1,385,722
1600,0001
785,723
1,385.722
785,722
785,722
6W,OCQ
The Synagogue and hall are currentty Insured on a re.Inst•tement ba51s for£7.3 mllllon. Th15 d0È5 not
represent an open.market value •nd should not be regarded as such.
The B08rd has not 50U8ht J m¥rket v4luatlon. Slnce there Is nD Intentlon of d1sP051n8of the premlses,
they contlnued to be valued at £1 In the financlal statements.
The Board has reviewed the valuatlon olthe property at 49 TemplarsAvenue, L¢ndon NWII, whlch Is
lxcupled by the Rabbl ènd h15 fèmllv.
The Board Is sat15fied that the value ol the preperty atthe Balance 5heetdate wa5 not less thaTh the amount
at whlch h is stated In the Balance Sheet.
The Investmeni propertyat 2 Cotswold Gate LondcTh NW2 IQS wa5 bequeathed to the Syna¢ogue by the late
MT5 Nusha Karen who dled In February 2015. Underthe terms of the wlll the taphal vèlue of the property
15 resirlrted to be used lor Itemsof capttal expendlture but 8ny revenue from the property may be used forthe
un￿strIcted beneAt of the Synagogue. The property was rented cutdurin8 the yeor and the rentsl Income
is dlsclosed a5 Investrnent Inc¢me.
Investm•nt Prop•rty held forMI•
2025
2024
600.OLMJ
The Trustees placed the Investment property on the market In M•y 2026at a prlce •bove the carryiDgvilue
but the final price 15 ijnknown. It is èntldpated the property wlll be sold wlthln 12 months of the balance
sheet date it 15 now classlfled as a currentasset.

ThE 6OLDER5GREEN BETH IIAMEDIIASII cofiGREGATIOP4
ote5fonthin#pJrtoftheflnondol 3tsten￿nts fortht y•or •nd4d 31Auiu5t2025 Iwn¥nu•dl
O•b
2025
Webre loafi fvnd debtors
other debtcrsand prepaymethts
21,40J
18,466
34,115
19,980
2025
and tash balances Ole¥￿rnalty admlnlstered Endowment funds
k tssh balance$ ole*ern•ltyadmln15¢éred Restrlrted funds
ank and cash b?￿nce50t R45trlrtedlundsadmlnlstered bythe 5yna8og
30.OCA)
30,000
123.048 244,691
R•$trkted and Endowmentlund bank and cash bJlJnc•s
UTrrestAded bank and casth balance5
207,883 530,948
219 525 169 387
427 40S $00 335
AM0￿¢1 f4lllrydu•wlthln on•
1025
A￿r¥￿eXpeNSe9
Oth?rcredltors
2L165
24,828
36,474
YO,358
2025
2024
Balance broughrforward at015eptemberZ024
Trnnsfened to U￿rest￿tted fvTrds
68,440 88,440
168,4401
zo (KX) 88 440
B•l•nc* tarrh7d IomArd at 31 Aullust 2025
8alante brouthtfonvard at015eptemki 2024
Transfeffed from net hall IrKome forthe yejr
23.423
6,266
19,070
4,353
aL7Ke Carr￿d forvdrd •t31Au8USL Z025
Totsl de￿￿nated fuNJsat31Augutt 2025
13

The GOLDERS GREEN BETH HAMEDRASH COP￿REGATIoN
Notes forD4r¥ partof the Illk￿l•l statemertsfor the year4rKW 31 Au8u5t 2025 IrortlNedl
io
AnDlysl$ol n¢t •s$ets betwttn lund5
Property Extermlly SY￿10¥u* Oebtors Crqdltori
assets
cortrolled cmtrolled
b•nk
bank
b•l•nr¢s
ort￿h
Totsl
Endowment lund5
The Ruth Lunzer Fund Iwlthln
the Ladie5 Gulld Fund)
3Q,CpJO
30,CQO
Rtttrlrt•d Cap￿1 fvnd
6Cn,DJO
trkted ￿e¢r￿ed lur
Ladies Gulld
The L)5sauer fund
Cwrah Kad15has and Sle8rnund
Plèui Mèmorial fund
Yom Klppurappeal fund
Chome5h L'chlnuch fund
The Nath•n and Gertrude
Roth5chlld Memorfal fvnd
Llbrlry fvnd
Welfare ond R•v's appeals fund
Welfare Logn fund
Adopt-trKollil fvnd
S•f¢r Tor•h fund
2Q,089
27,170
20,089
27,170
579
1,250
328
28,091
1,829
328
55,817
10.803
6,025
18501 21.4
1.417
7,761
10,803
6,9J7
34,424
6,064
13,B74
4.637
Totsl fte¥trlct•d Ind
Endowm•fvt lund¥
600,1100 151048 54M5 2WO
129,285
ikni•Atrlcted funds
umul8ted f￿nd
Unre5trfttqd Caphal
Totsi unrestrlcted funds
15,624
154,210
169,834
18,466
45,993
I1,￿3
939,933
928.030
785 723
785,723
18,466
45.993
Hall dllapldatlon re5erye
General dllapldatlon rese
Tot•1 Desi8t)ated fvnds
29,689
20,
49,689
29.689
20.wo
49,689
Totsl Unr•strkt•d and
D•slywtedlundJ
n5,n>
219,52S
11166 145,9931
977,719
Total alllundi
1 185 723
Furtherdetails roncerniTr8 indivldual Restrfcted and Endowment funds are gl¥en In note 11
14

THE GOIDERS GREEN BETH HAMEORA5H CONGREGATIOM
Notes fonnlnt partof the lIMr￿al statements forthe year ended JI Ayst1015 (con￿n￿e0)
li
Rqstrl¢tqd spetffied fundB
Summaryof movemerM on fe¥thrtedand én¢kbwrnentlundsfor S￿l￿d charltles or purpD5U-
ywrenthd 31 Auw5t 1025
Balance
Movement In resow¢t$ Tra￿fer5
kntornln8
Out¥oln6
fromlliol
fund5
01-S•p
2024
31-Aui
2025
Ae5trlcted Car4tal fund
Ruth Lunzer frlathnos8s Kalloh endowmert fund
Ladle5 Gulld
Ussauer fund
Chevrah Kad15ha54nd
$￿smund Plaut fund
Yom Kippur appeal
Chomesh L'chlnueh
North-west London Mlkvah levy
Roth5¢hlkl Memrf•l fund
Ubrary fvnd
Welfare and Ra¢s appw15 fund
Welfare Loan fvnd
Adopt-a-Kollel fvnd
Sef*rTorah maln*nance
600,C
6￿,0
,oco
20,089
27,170
1,225
20,346
11,2251
1,225
10,9Z2
27,170
112.4031
621
6,428
9,784
64,295
15,2201
19,4561
1131,2(X)I
19.0501
11,3941
1.829
328
150.813
83,908
¥144
10,617
81.792
34.502
1,555
13.L92
250
187
10,803
6,gJ7
34,424
6.064
7,761
309,451
1384.3361
22.713
118,2041
15,4311
962 318
829 285
The captsl endowmont In m•mory Df the late Mrs Ruth Lunzer, amountln8to £30,[￿, Is not for dlstrlbutlon. It Is
admlr15tered. tOb%ther￿th1n the Ladle5 Gulld, by Mrs Ell￿b￿h vin Messd ènd Mrs Natalle Hllton.
The U55auerfvnd was estab115hed In memory of the late Mes5r5. H & K tissauer bythelrflmllles. Incomeof the fvnd Is
dlstrlbut8ble to members of the con8re88tlon who. In the oplnlon of the fvnd •dmlnistrator5 (Mr l JHrtybson. Mr E Emanuel
and Mrj NeutyÈr8erl, are In need 85 the result of famlly Illnes5.
The Hon. Treasurer and Chalmian ofth¢ Chevr•h Kèdlsha ind Sle8mund Plaui Fund are MrJJ Adler8nd Mrj Jacobso
respettfvelv.
The Hon. Treasurerof th¢ Lathes Chevrnh Kad15ho Is Mrs R fjerber.
The Chamesh L'chlnuch fund rollerts funds spec1fi￿lI¥ for l¢¢èl Èducatlonal est•bllshments attended bychlldrEtt of
members of the Syna808ue,' ￿ also Includesthe voluntsry chlnuch levy and the malorfty ofthe prot¢eds of the
¢hlnuch appeal held on Sha¥ou5.
Itis admlnlstered by Mr E K2tL Mr E Meyerand the Hoth. Treasurerlex offtlol
The North.West London Mikvah levy is collected from rnembers and Cc￿prISBs the Syna808ue's annual contrlbution to thls
Mlk¥Hh.
15

THE GOLOFISGREEN BETH H￿MED￿￿¢0NGREGA￿OM
P4vtgsformknB partofth•lbnAnclal rt3Migntsfoitheye4rended 31AW2025luJntIr•￿Edl
li
A*&1￿•d SPEdllEdfundslc•ntifywdl
5umrnary ofmo4*ments on restrk-ted •r•JendWmEntfvndsf￿￿pth•d tharklD50rpurpoE4s-
VE•rended JI Au￿Sr￿25 Itontihwd
Nathan and Gertrude RolthchSld mErr￿￿lfu￿1 wa5 e3t8blshed toifve a rneluzah. atthetlme of theirm•rr4•, to
¥QryCOuple msrrW ID thE Shul.
ThePAopt4-Kollel fund [KoV￿eS supportfor K411elShaarel Simcha in tsml. Itlsadmln15rved byMI Y HalbefSraOL
Mrj Milnerènd the Hon.Trea5urErleKoffldol.
The UbraryfuNJ ￿fOrth8 purchw, upkeep ind m*rttsnanc•of It•m5 lorthE Shul Ubrary.
The Wdfare Loan fund is lrtendedt035515tthen•dd¥by k)•ns forpérfods of uptomyears.
D￿pOSItI￿n of theSefU￿js ￿ underthe controlof RavGrÈtnb•rgtO8#therwlth MrlJAdler4nd Mi D PlrKUS.
Th•Wolfare & Ratys app•H&fund rep￿SentI￿n￿$ donated to th*S￿￿oIuef0r LSeto4lkvlatefinirt￿1h￿rdshIP wlth
thecommunliy at rhA Comrnfttee'5 d15creik)N *$pec+al￿at Yorn Tov IlmE. DilW$￿￿)noI th2fur￿$ ts uMerthe cortrd of
RaYGrtenber8 tO8etherwlth Mr JJAdl*rla%reyesentJtfvesuf the &08rd ¢f M￿￿ementI.
Oufln8 theflDanclal yearthe GGBH Wéllafe C.l.O. wa5 reB15tered, acharl¢¥ W￿hthe object￿t5 ofth• •dvaneém•nt
of th*Jewlsh falth Ind the rellEf Df fin•nclal hardshlp.These oble¢tIv￿ areshared wlth Ih¢Syna608UQ.
Th• GG8H W•llare C.l.O. form414 $tèrted adlvltle5 inAprll 2025. Fuhds rÈcelved iftErthatd)i¢ In tho bankaccounts ol
clth¢Gold¢rs Green Beth Hamedrash hiw b•gn treated •$ ILffidsr*eo￿d Onb•￿11￿fthl GGBH WI￿arIC.1.0.
nd dtstri￿ted Dn behalf of the C.l.O.
Th• WeW•t• and Riv's apwa15 fundwlll bl closed Inthe yeir endqd 31 Au8U$t 2026.
ThE SolwT¢rah fund5 are to bE umd tomilnt•ln •nd roy7rt￿ Shul's Slfrel Tonh and r¢11¢4d costs.
li
25
NEt Income for theyear, as perthtSt•r•m•ffl Df Flmnciil Act¢￿t￿l
djustment forlnvestm•nt IneomÈ
Detre•stln debthr5
Intrwelldecr*•s•lln crodllor5
46,151
132,98SI
16,551
130,9141
133,9951
14.229
20.8391
Notushfitrwfrorn op•r4tlw 4Ctfvhl•l
Oetall$ 018rant5 and donaUonsm*deère•sfvlk%vS'.
2025
2014
GraNsi9lnd￿1dU01S
39&958
161910
554.1
646 926
Grants made to Instttutons..
Actfvtt¥'.
Koll•15ha4ressimch*
Menorah HlihGlr15 School
Menorah Prfmaryschool
Menorah G￿mmar School
eoy5 khool
Pardes House Boysfjtsmmar Sctrtsjl
Belssorohschneirer ￿￿$sChool
Tor4hVodaJ5 khool
BeL%Yaak(w GrommarS¢ho
Etyon School
Torah Temlrnoh Prlrnary sch￿1
PardèsHovse Prlmary School
North.Wèst London Mlkvah
Totsl irants1311 lessthan £5,￿￿ e8¢h
Edu¢¥tknn
EduCat￿ft
EducalknTr
Educatlon
Educatlon
Edutatlon
edu¢4tion
Educatio
Educatlon
EdUrnt￿
Eduutkn
Educ4tkn
R￿Ual
Edutstk)
11204
22,
20,LY
I6,￿
9,050
167 910

THE GOLDERS GREEN 8ETH HAMEDRASH CONGREGATION
Not85 formln8 part of thè financial statèments for thè year ended 31 Au8USt Z025 Icontlnuedl
14
Offldals. penslon fund acwunt for th• y•ar ended 31 Au8ust 2025
Balan￿ brought forward at 01 September 2024
5,744
Add.. Investrnent Income
61
Balance carrled forward at 31 August 2023
5,805
Represented by..
Penslon fund Investments al cost
Penslon fund bank account
1,472
4,333
5,805
The officials, pension fund represents accumulated transfers held In the form of separate
Investments and bank deposlts. These are not consldered to be part of the
Synagogue's own fund5 and have therèfore never been Included In the assets of the
Synagogue or shown on Its Balance Sheet.
The ¢rSglnal purpose was to provlde funds for penslons for the Shul's offlclals. However,
penslon arrangements have subsequently been funded by othei mean5 wlth
Independent Insurance companles.
A5 the funds orlglnally held In the offlcla15' pen51on fund were not needed for the purpose
of fundlng penslon arrangements, the Board uti115ed part of the fund towards the purchase
of 49 Templars Avenue in 2006. The balance shown above represents the remalnlng bank
balance and Investments In the fund.
15
Trust•es' remuner•tlon, beneflts and exp¢nsgs
No remuneratlon. benefits or expenses were paid to the Trustees ol the Synagogue, nor to
persons connected wlth them, durlng the perlod under revlew.
16
R•latod p•rty tr•nsxtlon$
No transaction5 between the Syna808ue and related partles have occurred In the pe￿0d
under revlew, other than routlThe transactions pursuant to the Syna808ue's normal a¢tivlties,
5eparote dlsclosure of whlch Is not requlred.
17
Subsequent ￿ntS
The Trustee5 completed the purchase ofthe freehold of 25 Powls Gardens London
NWII 8HH on 21 May 2026 at a total cost of £820,000. The purchase was partial
funded by short-term, interest-free loans from members which will be repald from the
proceed5 of the Sale of 2 Cotswold Gate.
The property wlll be held as an investment property and rented out to provide investment
Income for the Synagogue.
17

THEGoLD￿lsfjREEN BE7H HAMEDKASH CON6IIEfjATIryI
Ngi¢Sfom4￿PartOIlh*fflMn¢l4l statementsfortheyear•rOgd 31Aupk10151¢0rtlfft￿dl
l)etsled Ststem¥rt olMnHndalklMtIBslorthe ￿ar
2D24
2024
2024
2024
Unrestrlcted Designaied Restrlcted Endowment
Fund5
Funds
Funds
Funds
2024
TOtsI
Fund5
endwmentsfrom".
Don*Oonsand ID8aclqJ
Offerfn8sand bedekhllbay15
Donatlons
19,699
46.702
66,401
19,699
728,025
681,323
681,323
Membershlp COntr[bu￿on$
Weddlns fees
BuTlal %>clety
Shlurlm, Kol Ellyahu. ￿¥U￿]m, etr
198.%)9
1,310
199,819
6.288
31583
6,407
16.951
6,288
31,S83
6,407
16,%1
2S.S91
288 039
Provlslon of rttual Items
Oth•wthdl¥ •rtI¥￿1
Hlrè of Mlrtam Rachgl Wohl hall
118.917
118,917
3,595
Y•arbook
P8ikln8and o￿lC¢ rentsl Incorno
4,016
13,045
136 028
4,016
13,095
140023
Propartyrenlal Income
Deposltlnt•re5rrtcelv*le
25,6ty)
47
47
32.985
519 512
688,812
47
1 208 771
Inifvnds
Costs relited to h•ll hlN¢
cDsu¢tl*tlngto Investrnentpropefry
Fundra151nz Bnd publlclty
Ywrbook
31,859
4,541
31,859
4,541
1,468
Charltiblll x¥¥ltl
Rernurneration. expensE5 and penslons of
Robbcnlm, chaianan¢ former olficlals
Rltual items, Ilbrary costs and
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Bulldln& related expenses
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mEl*e malka and receptlons
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168.320
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129.979
97.394
31585
,117
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25,591
,117
625,926
646.926
2SA91
458,377
119.652
499,877
16
20.035
26,
47
46,151
fromAuth Lunzerfund to LadlE5 Gulkl
to Ma11 renovatbn lund
toSeferTDrah fund
47
1471
14,3531
3.192
4,353
1490
4353
39.X
46.151
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Futtds brouEhi foThvard
Capitalfjnd broughlforwdrd
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107,510
293,020
30.0
287,237
1539.933
30CW 1873 311
939.933
931 328