CHARrtY REGISTRATION NUMBER: 1141474
Sephardi Voices UK
Unaudited Financial Statements
31 March 2022
A I GROMAN FCA
Groman & Company
Chartered Accountants
5 Violet Hill
St. John's W￿d
London
NW8 9EB

Sephardi Voices UK
Trustees. Annual Report
Year ended 31 March 2022
The twstees present thoir réport and the unaudited finanry￿ stst8ments of the charity for the year
ended 31 March 2022.
Refer•n¢e and admlnlstratlve detslls
Registered ¢harlty name
Sephardi VOKES UK
Charlty rogistration number
1141474
Prlnelpal offico
The truste•s
A l Nacamuli
E Shuker
E Chitton
V R Aaron
S Dangoor
E Jebreel
Ind•pgndgnt oxaminer
l. Groman F.C.A
Groman & Co￿pany, Chartered Accounlants
5 Violet Hill
SL John's W(KxJ
London
NW8 gEB
Structuro. gov•manc• and mana9em8nt
The charity was estatrAished by a Tnjst t)eed. The Tmst d8riv&s ils income from the donations and
Interest on the funds hebj.
Objectives and activities
The Trust88s must apply the ineome of th8 Charrty in fvrtherFng the fc41¢)wrng objects fThe Objects'l:
Al The object of Sephardi Voices UK is lo advance ed￿tIOn for the public benefrt by carying out a
unique digital audio-visual history project which aims lo documen( preserve and archive. for the future
generats"ons, the testimonies of Ihe Jews originating from the Middle Ea*, North Africa and Iran who
setded in the United lQngdom during the 20th Century and built-up new Irves there. Wtth memories
f￿Ing and èldarly people passing away ea¢h day. this project provides the last opportunity to capture
this irretrievable era of Jewsh hi$t(ry.
Bl The other object of Sephardi V0￿S UK is to advance edu¢th"on for the public benefit by the
provision of resources for leaching progfammes at universrtles and schcM)Is ￿te￿n9 to the historical
need for more understanding and kno￿edge of tsse Jewish communtties.
Risk Management
The board of trustees has conducted a review of the major risks to which the Cha￿ is exposed. The
major risks identffied were current fvnding, obtaining new funding. financial procedures and health and
safety. A health and safety policy will be p￿jUCed and finanoal procedures will be written. The boar(I
of trustees will review the risks annually to ensure new risks are identsfied and measures are tsken lo
mitisate ts)Ih current and new risk5.

Sephardi Voices UK
Trustees. Annual Report
Year ended 31 March 2022
Public benefrt
Wa have referred to the guidan￿ ￿ntaIn9d in tr* Chanty Commission's general guidance on publÉc
benefit when reviewing our aims and objectives and in planning our ftjture services. In particular the
board of trustses consMJer how our plann&J services will conlritmjte to the aims and objectives they
have sel.
Achlevemerrts and perfommnce
Summary of main achieve￿ntS ofthe charity durhng ts yèar.
Since we started our actsvilies, we have been able to purchase equipment and sel up a small team of
volunteers, which were trained to condLKt. record. archive and transcribe filmed and audio inteNiews
as well as hisloll¢al documents and p￿10$. This has enabled us to film and record the life stories of
116 indNiduals, prepare the dats for arthiving wrposes. and start the proc¥ss of transcribing. The
majO￿ty of the interviews have been ￿e￿sIted al the Brttish Library (London} an¢J the ANU Museum of
The Jewish People (Tel Aviv) for Wb1￿ access.
For our Outreach and Educational PrrMJramme. we have so far produced 13 LNes in Fccus films leach
baséd on one interyiew) and 10 th8matic films. which introduee some of the issues relevant to the
Sophard￿mizrahl culture ano history. These films have been shown at publiG ev8nts. academic
conferences and are available on our webstte I www.sephardrvoi￿.0rg.uk) and through all our Soual
Medi8 channe&. Our interviews are regularfy featured in the Jewsh Renaissance magazine.
We have launched our re-developed website whith allows the users more access to the individual
slories and photographs and also provides more infoTrnakn"on on the history of the Jewsh communities
in the Middle East. North Africa. and Ir8n.
FL*rth8m)or&, we have provided material to interested researchers and the public and supplied oral
history Irdining to individuals and organi5at1￿ts example. to the Bevks Marks Heritage Foundation).
In 2021-22, in spite of lockdowns and other restrictions. we ￿ndUcted 5 inlervÉews and Produ￿d 5
films. We also held regular ZcKsm events and parlicipaled in live events tealuring our uitervi8wees and
cov8ring themes pertinent lo sephard￿mtzrahl herttage.
We successfully submitted a major want 8ppli(3tion for the transcription of all our inteNews and for
cataloguing, captioning and subsequent U￿oadIng of all photographs and documents.
Financial rnvi•w
The Statement of Financial Actimlies shows a lolal income of £28.742 12021 £26.2321 and total
expenditure of£22,413 {2021 - £27.215}. The net ￿n￿me for the year was £6.329 {2021 - £198311. The
charity has £25.29512021- £18,966) of Unrestricted Funds as at the year end.
The twslees. annu8] ￿port was approved orb ...........J. i Izand signed on behalf of Ihe board of
trustees by:
£ui
fe4J> (

Sephardi Voices UK
Independent Examinerfs Report to the Trustees of Sephardi Voices UK
Year ended 31 March 2022
I report lo the trustees on my examination of the fina￿la1 statements of Sephardi vol￿ UK Ilhe
charity'l for the year ended 31 March 2022.
Responsibilities and baslg of report
As the trustees of the charity you are resportsible for the preparation of the financial statements in
ac¢ordan¢e with the requirements of the Charittes Act 2011 Ilhe AcV}.
I report respect of my examination of the charit￿S financial ststernents rArried out under section 145
of the 2011 Act and in carrying out my examination I have folk)wed all the aptAicable DirectHJns given
by Ihg Charity Commission under section 145(5Xb> of th8 A¢L
Indgpendgnt gxamlnerf$ sL*ement
I have completed my examination. I confim that no material matters have come to my attention in
connection with the examinatK)n giving me cause lo believe thal in any IT￿terial respecL
accounting records were not kept in respect of the charity as wUlr￿ by section 130 of the
Act., or
the financial slalements do not ac￿)r￿ with those re￿ds. or
the ffinan¢i81 slalements do not com&ty with thg applicabl8 wuiremgnts conceming the
forni and content of a¢¢ounts set out in the Charthe5 (Accounts and Reports) Regulations
2008 other than any requiremenl that the accounts give a 'true and fair, view which is not a
matter (x)llsidered as part of an indepgndenl examination.
I have no concems and have wme across other matters in connectlon wlth the examination lo
which attention should b8 drawn in this rep(Ml in order to ena￿e a tKoper Und￿S￿nd1[￿ of the
accounts to be reached.
A. l. Groman F.C.A
Independent Examiner
Groman & Company. Chartered Acc(MJnlants
5 Violet Hill
Sl. John's Wc¢)d
London
NW8 gEB

Sephardi Voices UK
Statement of Financial Activities
Year ended 31 March 2022
2022
Unrestricted Restricted
funds
tunds Total funds Total funds
2021
I￿oMe and endowmgnts
Donations and legaues
Inveslment income
4.803
37
23.902
28,705
37
26.184
48
Total income
23.902
28.742
26,232
Expenditure
Expenditure on charrtable athiiies
Total eX￿ndit￿re
20.217
2.196
22A13
22.413
27,215
20.217
2.196
27,215
Net incomellexpenditur•} and n•t
movement in funds
115,377)
21,706
6.329
(9831
Reconclllatlon of funds
Total funds brought foTh¥ard
T¢tal funds ¢arried forward
18.966
18,966
19,949
3,589
21.706
25.295
18,966
The stat8ment of financial acttvititss indLKles all gains and k)ws reTr￿niSed in the year.
All income and expe￿li1ure derNe from continuing act"viknes.
The notes on paw 6 to 9 flxm p9rt ofts*s¢ financlal statsmen

Sephardi Voices UK
ststement of Financial Position
31 March 2022
2022
2021
Current assets
Cash at bank ar￿ in hand
25.775
18,966
Credltors: amounts falllng dug Withln ono year
Net current assets
10
480
25.295
18,966
Total assets less current Ilabllltles
25.295
18.966
N9t a$sets
25.295
18.966
Funds of thè charlty
Restricted funds
Unrestricted fvnds
21.706
3.589
18,966
18,966
Total Charlty funds
11
25.295
These financial statements were approved by the t#)ard of trustees outhorised lor issue on
21 SvfvY￿".".1T. and are signed on behalf of the board by:
LLIÉ IL- ioA

Sephardi Voices UK
Notes to the Financial Statements
Year ended 31 March 2022
General Inforniatlon
The charity is a public bènefft entity and a registered charity in England and Wales and is
unincoiporated. The address of the principal office i8 15A Hendon Avenue. London. N3 1 UL.
ststèmant of compliance
These financAal statements have been prepared in cx)mpli8nce wth FRS 102, The Financial
Reporting Stsndard applicaL4e in the UK and the Republic of Ireland., the Statemeftt of
Recommended Practice ap￿1¢able to chanbes preparir¥J their accounts in accordance with the
Financial Reporb"ng Standard appE￿ab￿ in the UK and Republic of Ireland {FRS 102} (Charities
SORP IFRS 102)) and the Chartties Act 2011.
Accounting pollcles
Basis of preparatlon
The finanaal statements have been prepared on the historical cost b8sis, as modrfied by the
revaluation of certain financial assets and liabilrties and invèsknent properties measured at fair
value through income or expeThlilure.
The financial statements are wepared in sterling. which is the fvJn¢tional currency of the entity.
Going coneem
Thgrg are no rnaterial uncertainties atwt the (tharitys abiknty to contlnue.
Judgements and key sources of gstlmation uncertalnty
The preparation of the financial statements requires management lo make judgements.
estimates and assumplK)ll5 that affect the arTK)unts reported. These estimates and judgements
are continually reviewed and a￿ based on expefFence and other factors. induding expectstions
of future even15 Ihal are believed to be reasonable under the circumstances.
Fund accountlng
Unrestricted fvnds are available for use at the discretion of the trustees to fvrther any of the
charity's purposes.
Designated funds are unrestn.cted funds earrnath￿ by the trustees for particular future project or
commitment.
ReStr￿d funds are subiecbj to restrictiorts on their expenditure declared by the donor c
through the lemis of an appeal. and fall inio one of two sub-dasses". restricted incoma fvnds or
endowment funds.
Incoming resources
All incorning resources are induded in the ststement of financial actNI1￿ when entillemenl has
passed lo the charty.. il is probab* that the economic benefrts associated with the transaction
will flow lo the charity and the amwnt can ￿ reliabty measured. The followng specrfic pc4ic18S
are applied to particular ￿tegOrieS of in(x¥ne.'
income from donat￿nS or grants is recr￿niSed when there is evKlence of entiuemenl to the
gfft, receipt is probable and its amount can be measured reliabty.

Sephardi Voices UK
Notes to the Financial Statements
Year ended 31 March 2022
Accounting polici9$ (¢onllnytydJ
R•soure•s oxpgnd•d
Expenditijre is recognised on an a¢cru8ls basis as a liability is incurred. Expenditure indudes any
VAT which cannot be fvlly recovered. and is daSSif￿ under headings of the ststement of
finanaal actiwbes to which it relates..
exp8ndibJre on raisiw fvnds indudes the costs of all fvndraising activibes. events. non-
charrtable trading aclNttres. and Ihe sate of donat&J gocth.
expenditure on charttable activities indudes all u)sts inCU￿d by a charity in undertaking
aclNilies that further tts chartiable aims for the benefft of its beneficiaries. including those
support costs and costs relating to the govemance of the charity apportiolled to charitsble
8etMtses.
other expenditure indudes all expendrture that is neither related to rdising funds for the
charity nor part of Its exp8nditure on charrtable acb"vities.
All costs are allocated to expenditure categ(wies refiecting the use of th8 resour¢8. Dir8Ct costs
attributable to a single activty a￿ albcaled direLaly to that acbvty. Shared costs are apportion8d
be￿een the acbVIt￿ to on a reasonable, justifiable and consistenl basis.
Donations andlogacles
Unrestrictod Restricted Total Funds
Funds
Fund¥
2022
Currentyear
Donations
Donations
Evèntbrite donatKJns
Stripe online donalb)ns
3.445
3,445
45
1,313
1.313
Grants
Rothschild Foundat*)n granl
23.902
23,902
4.803
23.902
28.705
Unreslricted
Funds
Restricted Total Funds
FunQs
2021
Pri￿ year
tlonations
Donalions
26.184
26,184
Invastment in¢¢>m¢
Unrostrictad Total Fund$ Unrestricted Total Funds
Funds
2022
Funds
2021
Bank interest rece￿ble
37
37
48
48

Sephardl Voices UK
Notes to the Financlal Ststements
Year ended 31 March 2022
Expenditure on ¢haritable adivibes by fund type
Unrestricted Restrided Totsl Funds
Funds
Funds
2022
Current year
Principal Activity
Support costs
18,921
1.695
501
20,616
1,797
20.217
1196
22.413
ExpendSture on ¢h•Yltsble actlvltles by actlvlty type
Activitles
undertak•n
dire¢tty
Support Total funds Total funds
costs
2022
2021
Prinupal Adivity
Governance costs
20.616
20.616
1.797
24,219
2,996
1.797
20.616
1.797
22,413
27.215
Staff costs
The totd stsff costs and employee benefits for the reporiing period are analysed 8s follows:
2022
2021
Wages and salaries
18.853
21,200
The avwage head count of empk)yees during the year was 212021.. 2).
No employee ￿￿1Ved efflployee beneffts of rnre than £60.000 durirg the year12021: Nil).
TNstee remuneration and expenses
SORP 2015 requires one of the following statements to be made: no remuneration or othar
benefits from employment thg charity or a relatad entity were r￿1Ved by tha trustees.
10. Credltors: am¢)unts falllng duo Within one year
2022
2021
Accruals and deferred ￿orne
480

Sephardi Voices UK
Notes to the Financial Statsments
Year ended 31 MarGh 2022
11. Analys1$ of ¢harltable funds
Unrestricted funds
At1
Awll 2021
At31
om• Ex￿ndit￿￿ March 2022
Current year
Unrestricted fund - General fvnds
18.966
120.21T}
At 1 21r20
In(x)Tre Expenditure 31 March 2021
Prior year
Unrestricted fund - General funds
19.949
26,232
(27.215)
18,966
Restrlctsd funds
Atl
Awil 2021
At31
In￿rne Exponditurn March 2022
Current year
Restricted Fund
23,902
{2,196}
21,706
At
In(xxnè Expenditure 31 Marth 2021
At 1 Aprl 2tr20
Prior ye8r
Restricted Fund

Sephardi Voices UK
Management Information
Year ended 31 March 2022
The followlng pages do not forni part of Ihe financial ststgments.
10

Sephardi Voices UK
Detailed Statement of Financlal Activities
Year ended 31 March 2022
2022
2021
Income and endowments
Donations and l•gaelÈs
Donations
Eventbrite donations
stn.pe online donations
Rothschild Foundation grant
3A45
45
1.313
23.902
26.184
28.705
26,184
Investment incomg
Bank interest receNable
37
48
Total Income
28,742
26,232
Expendlture
Exp•ndltur• on eharitabl8 actlvltl
Wages and salaries
Other eslablishment
Legal and professional fees
Other Offi￿ costs
Production and event costs
18,854
646
21,200
1,922
300
774
3,019
1,151
1.762
22.413
27,215
Total expenditure
22.413
27,215
Net Incomellexpenditurel
6.329
19831
11

Sephardi Voices UK
Not8S to the Detailed Statement of Financial Activities
Year ended 31 March 2022
2022
2021
Expenditurè on charitable adMU¢s
Activity type 1
Activities undertaken direetly
Difect charitsble activity- wageslsalaries
Direct charitable activity - PrLxluction and event (xk¥ts
18.854
1,762
21,200
3,019
20,616
24,219
Govemance costs
Governan￿ costs- Website and l.T.costs
Governan￿ costs- bookkeeping and acCOuntar￿ fees
Governance costs- other office costs
1,922
300
774
1.151
1.797
2,996
Expenditure on charllable acllvliies
22,413
27,215
12