Docusi9n Envelope ID: EB6B48EO-561&4A14-9727-A4D36E4D53C5
REGISTERED COMPANY NUMBER: 07967938 {EllglAftd Wwle$)
REGISTERLD CIIARITY NUMBER: 11469511
Numera Partners LLP
Stattjtory Auditors
4th Floor
Charles House
108-110 Finchley Road
Londo
NW3 5JJ

D0CL￿w3n Envellwe ID.. E86B48EO-561&4A14-9727-AAD36E4053C5
NTENTS OF THE
STATEMENT
Pftxe
Report of¢he Trn$t¢es
l kn 5
Report of the Indepcndent Auditors
6 to 8
Statemtrt¢ Df Flna•cial Aetivltlei
Stst¢ment ofFin4nelal Po$i¢lon
10
Statemen¢ of Casb Flow%
Notes to ¢he St*tewTrt of C•sb Fluws
12
Notej tn th¢ FlnaD¢i41 St*lem¢Trts
13 to 20
Det#iled Ststcment of Fln*nclAI Aetlviil
21 to 22

Docuslgn Envelope ID.. EB6B48E(k56134A14-9727-AAD36E4D53C5
BEIT HALOCHEM UK
REPORT OF THE TRI,'STEES
OR THF. YEAR E '
ED 29 FEBRUARY 2024
The trustees who ore also directors of the chBrity for th¢ puT￿)seS of th¢ Companies A¢t 2(X)& present their report with the financial
Siatements of thc charity for the y¢8T ended 29 F¢bruary 2024. Th¢ trustees have adnpted the provisions of AccountiT]¥ PTtd Reporting
by Chariti¢s: Statement of Re￿MMended Practice applicabl¢ to charities preparing their accounts in aCCordaT￿¢ with the Financial
Re￿rtIng Stsndard applicable in the UK and Republlc ori￿land (FRS 102) {cffective l January 20J9}.
OBJEcfivF.S AND ACTivrriES
Objectives
Belt H8lo¢hem UK is dedi¢al¢d to raising funds for the four ¢XiSting Belt Halo¢'hem Rehabilitation Centres in Israel. These centrey
provid¢ essential lifelong fdcilities and s￿p￿￿)rt to disabl¢d veterans and vi¥lims of t¢rror. Beyond fvndraising, the UK charily also
aims lo educate and enga¥¢ thc UK ￿MmunIty atrmiui the vital work these ¢¢ntres PCTfom] in Israel, ensuring a steady and susthined
stream of fvnding for ihc futu￿.
The chariws operations can be influenced by a myriad offactors, intcrnal and external, many of which lie beyond Ihe Lontrol of
the CEO and Trusl¢¢s. Recently) one notable factor that had a signifi¢onl impact on the charity was the hiring of 8n additional sthtT
meM￿r lo collaFK)raie with the cr.o - Sp¢ncer Gelding and OpeTation8 Manager - Dina Kcstenbaum. This straie8ic move enabled
the ¢harity to expand its eftnrts, in¢r¢asing the number of face-to-face meetings and donor event& As a resulL there w&s a substttntial
boost in the rnise4 deMon￿ratIng the positive effect of tKIl￿er11)g the team wilh additionAI member.
Infom￿tion regarding the Organisation in Israel
Estsblished in 1949, following the War ol. Independcn¢e. the Organisolion. knoHryJ in Israel as ZDVO, is the only regiltered charity
in Israel le8ally Yesponsible fol the wellbeing of disabled veterans
The Stat¢ ofisrael, with its many ¢hHlleng¢s and limited r¢source4 cAnnot cope alone with providln8 for all the needs of the
wounded veteran$ and. as their number5 grow. Ihe funding needs of th¢ four Deit Hylo¢hcm centre8 also in¢re{￿. Fundin8 from
8UPtKTrrl¢rs #round th¢ world enables B¢it Halochem to cnnlinue on-goin8 progTamme4 d¢vclop new initiativ¢s #nd purchas¢ much
needed equipment ftir the cenlres.
rolluwin8 the tragic events of O¢tobcr 7th, Ileit Il&lo¢hem found ils¢lf faced wilh incrcased demand for ils ¥Bfviccs. Thc incident had
profound impAct on our community, Parti￿1&r[Y among our membership which includes IDF velerany and virAims of tern)r. Prior lo
October 7th, our membership stood at appmximutely 51,000 individual& Howcver, in the aftemath ofthc events. we have seen A
Si8nifi¢ant rise, wilh membership now nearing 60,000, and increasin8 daily.
The Belt Flalochem rncmlxts are given & new Icase of life at our four ￿habIll￿tIOn eentres based in Je￿8￿1c￿ Tel Aviv, Haif& and
Beer Sheva. They rcmain members of the OTganisAtion for ihe ￿5t of their lives. The Belt Haloch¢m Centre8 provid¢ a blend of
exceplionxl rchabilitative services including physiothernpy? hydroiherapy and chiropraLtic trcathients conducted Mlongsidc social and
specialised $p)rt options. educkiiondl programme& and a vast range of creative &¢tivities. Each centre aflers a wid¢ Choice of
phy5i¢¥l #nd so¢ial activiiie% housin8 an audiiorium, rnuliipurF¥)S¢ gymn￿lUM, clasyrooms, fithess rots￿8, oc¢upalional And physicol
thermpy unli4 trauma therapy units, o cafthrl4 offices, social win8.
This surg¢ in m¢mbership UnderS￿re8 the critical ne¢d for the $etvi¢es and $uppK*rt Belt H&lo¢hem provides.Currenily• there are four
Ccnlres locat¢d in Tel Aviv. J¢rUSale￿ I lail4 4T]d Bccr Sh¢va. Additionlllly, ¢on8truction of a fifth CentTe in Ashdod began in
Scpt¢mb¢r 2018. OnL* ¢ompleted in DecembeT 2025. tt will serve over 6,500 veterans and Ih¢ir families. This Centre has reeKnily
t￿en d¢signated by ihe ministry of Defence a$ Ihe National Centre for PTSD in Israel.
For many disabled v¢tcrans, victims nf t¢Tror and their famili&8 Belt Halochem become$ a lifelong support system. liy eX￿ptIOnal
s¢rvi¢es have gurner¢d global recognition, symbolisin8 a beacon ofuwe for those who have sacrificed so much in the defence of their
counlry.I
Pag¢ I

Oociislgn Envelope ID.. EB6B48EO-581W1+9727-AAD36E4D53C5
BEIT HALOCHEM UK
REPORT OF THE TRIJSTEES
FOR THE YEAR LNDED 29 FEBR
Y 2024
OWECTIVES AND ACTIVITIES
AetivitiC5
Reflecting on the past 12 years since the establishmenl of Belt Halochem UK the Trustees, staff and volunteers can inimens¢
pride in thc unwavering Support provided to injured vefrruns victims of terror, and th¢ir f2mili¢s. As a unique ehyrity. B¢i¢
Halochcm r¢stor¢s pu7pTrse, self-est¢¢n and di8nity lo our wounded soldier8 and their families, offering lifelong assistance.
So. have ￿ accomplished? We have reintroduLed thc IV$ A K￿CkOUt event, ftttra¢ting over 800 children from across iA)ndon
nd the surrounding area. The event significantty incT¢Osed the number of donor$ in our database dnd helped rais¢ additional
fijnds for the charity. Through the conlithualion of th¢ Vetera￿ Ciames programme which Belt Halo¢hem UK wer¢ instrumental in
¢siablishing> we hav¢ continued to take wounded IDF and UK veterans to primary and secondary sihuols. whcre they shared their
inspiring and resilient stories. Additionally> w¢ organi8ed visits for school4 youth oyganisution5 and community PTojects from ihe
IJK to on¢ of the four Belt Halo¢h¢m ccntres in Isrnel. These visits provided & greater understanding of the ¢harity'$ work and an
pportuniry to meet face-to-face with our mcmbers and their lamili¢&
The charity has also fostered strong r¢l8lionship.% with memkrs of the non-jewith wrnmunity through interaction5 with churches and
community group8 nationwidc. This engagemeni has h¢lpcd to spreAd Awareness of the charity to a broader audicncc. resulting in
incre￿d donations and pmmoling Kmmitive relation8 between the Jewish and non-Jewi8h communities.
Throughout this finBn¢ial year. Mt have ¢onlributed to variou$ pmj¢ct4 in¢ludin8 covering the annu81 runnin£ tosts of our four
rehabilitstion faciliti¢s. Additionally? following our v¢ry sueees$ful fundraising dinner we have fund¢d specialist P'ISD progr¥mmc4
PTovided financial assistance towards education and qporting ychol8r8hips, including specialist training for veterBn$ fv)ping io
partiLipat¢ in the 2024 1?&ris Paralympic Games. We also supported scveral sigrtificant capilul projccts a¢ross the four Belt H8k)¢hcm
faciliti¢4 including three buildin89 within ihe new Ashdod Centr¢,
Publ1¢ beD¢fl¢
'I'he Trustees wnfirni th¢ir compliance with thc duty to have due regard lo the public benelil guidan¢¢ (scction 17 of ihe C.harilies
Act 2011) published by the Charity C,ommission when reviewing the Charitys aims and objectiv¢s ond in planning future a¢livities.
Th¢ aim of the charity has alwllys been to assisi in the raising of funds for ihose have ixen injured whilst serving as w¢ll injured
though acts of terror.
ACHIEVEMFNT AND PERFORMANCF
Ch*rliable aetivitlej
In the fiscal year 202312024, Ihe chartty experienced an extraordinary SUCLZSS in fundr8i$in& accumuloting over £4.8 million. This
¥mount signifies a notsble inLreasc of £1.90 million compar¢d to the previous y¢ur. This B¢hi¢vement Aligns with the financial
objcctives established hy the Trustc¢s. which airn lo inLremcnially increase the funds rai5cd and the fund8 senl lo lyrael cach year. Of
Ihc £4.8 million raiqed by RHUK, £4.2 million ha$ i￿n included in the finAn¢iul statcmcnts. However, £625,000 uf thc donations
raised by Bl IIJK We￿ diredly transferred to the Isrocli brAnch of the eharily Ynd, therefore, Cannot be in¥luded in ihe financial
$tal¢m¢nts, adhering to th¢ accounting policies brt by the charity commi8sivn.
The chArily, bO1￿¢r¢d by additional .qtslTmembers, $uc¢¢8sfvlly org8nized a multimde of events, in¢ludin8 sev¢Tal new initialives that
catered lo the div¢w inteTests of all donors, both young and old. These ¢v¢nts featured the annual "Ivs A Kno¢kout' event, which
drew over 800 Lhildrcn, a Whisky TBsling eYcninB.. and a Patrons Win¢ Dinner, which alone raised £440,000. Additionally?
launLh of thc 2023 Veteran CIames was H notable highlighi. The annual fundraising dinner was held at th¢ Royhl Lancasler Hotel,
where over 440 donors gathered for an engaging evening wilh guests, including members of Bcit Halo¢hem from Israel. This cvcnt
wa¥ a Ir¢mcndou$ success, raLSLll8 more than £1.3 million, surpu¥8ing the amount r&is¢d in the previous y¢ar.
As a part of the Bl.IIJK wellbeing educational progrnrnn￿, a sclcction of IJK and Israeli Veterans. many of whom parti¢1p￿ed in
prcvious Veteran (James. vi5iled numerous schools and busincss to share their stories of ongoing rehabilitalion ttnd th¢ role of
resilience in supw)rting overall w¢llb¢ing. Since the programme's inception in June 2022, 9,200 te¢na8er5 from a divcrse array of
s¢hools h&ve had the opportunity to hear diTecily from our members. This educational initiative is set lo continue throughout the
202412025 ac￿emiC year.
'I'o maintain robust conne¢lions with donor&, thc ch8Jity employs various communi¢ation channels. inLlllding monthty E-newslett¢r
social medi4 and its website platforni, all managcd by our ()pcrations Manager. Dina Kestenbllum. Addilionally, the annual
magg7.ine was distributed to the enliTe datab#sc of 5,500 indivtduals, utilising boih digital and pustal d¢livcry methods to ensure
Mfjde-reachin8 engagement.
The charity tuns many evenls during thc ye8r with th¢ aim of r8ising funds in eXC￿S of th¢ costs to 45SlSt in funding the charity with
its charitsble objectives. The tw) TTL05t noteable were that of the annual dinner which raigcd £1.3m and cost the eharity £175.000.
The charity also held a Patrons Winc DinncT in whAch it Tal￿d £440,000 and CO￿ the chairty £21,000. Both events had & positive net
return and were both huge succe5scs which the clwity aims to r¢p¢at. The main benchmark ihe charity uses internally for ¢a¢h event
is that any event covers the costs of the ev¢ni as a minimum and th¢se material events both did that with one providing 20 times the
cost.
Page 2

Docusign Envelope ID.. EB6B48ELL56134A14-9727-A4D36E4D53C5
BEIT HALOCHEM UK
REP
RT OF THE TRUSTEES
FOR THE YEAR E,YDED 29 FIBRUARY 2024
ACHIEVEMENT ANI) PERFORMANCE
Communication and Compl8inls:
Ihe charity logs all feedback. wh¢thcre positive OT negative. B¢it Halochem UK did not r¢ceive any ¢omplaints due to ¥ny of th¢
activities undettaken within the lim¢frame of the fmancial reporting period.
FINANCIAL REVIEW
FiM*nrial positio
In 2024, our total income w8s £4.176.588 {2023: £2.130.497) leading to an overail increase in charilablc incom¢ of £2,073,091.
R¢8erves w￿leY
At the balance sheet date of 29 February 2024 the total reserves were £890.433 (2023.. £98.4851 ()f which £890.433 were unrestrictcd
fund&
The charity carefully mana¥es ils fund$ to guarant¢¢ a continuoEL8 Availability of running expenses. These expense& totsllin8 £40k
per montl encompass saiaries, TenL and general op¢r&tional cosls. To maintain financial stability, the I rusteeq and CEO work
log¢thcr to ensure thai u minimum of three months, worth of expenses is Consistently held in thc bank accounl. se¢uring th¢ charity's
ongoing operniions.
FUTIIRE DEVELOPMENTS
The UK charity rem&tns dediLOt¢d to r4i$in8 lu￿dS and in¢￿aSing aw¥reness for JJ¢il I laiochem, hostin8 a full calendar of ev¢nts.
Additionally, the chbrity will Lonlirtue its collaboTation with Jewiyh and non-jewigh %hools, youth movernenl& and local
Communities to broaden awAreness of 11$ mission. For 202412025. thc charity has alreAdy s¢h¢duled a diver.qe rang¢ uf cvcnt$ io cater
to its donors, preferenLes. Furthemiore. se￿￿ donors have infornJ¢d ihe ¢harity of their plans to le&ve considernble ttmouni$ in their
will$ to support its eifurt5.
PLANS FOR FL'I'URE PERIODS
OUT ¥oiII is to expand our influcnce among young [￿p]e and young profcssionals thmugh events, sports ¢hall¢nge4 and soci81
m￿1¥4 initiatives. Additionally. we aim to Slr¢ngthcn our conneclions with Ix)th Jewish und non-jewish schools Mn(J cxlend our
outr¥ach to Jewish communitics in London and other regions. In addition lo our regulAr unnual events. we plan to lavn¢h various
ndr&ising programmcs this year to appeal to 8 broader range of donors. Ibe CEO will continue to focu% on securing donations from
tTusty foundations, ttnd high-ttet-worth individu815 kn boo.8t our fundraising efforts.
STRUCTIIRE, GOVERNANCE AND MANAGEMENT
Governini dotument
Thc charity is cfinlrolled by its governin8 do¢umcni a deed of irusl, and cortstitules a limiicd ￿mpanY. limiied by guaraniee, as
defin¢d by ihe Companies Act 2UO6.
The Chariry is Lontroll¢d by lis governing doewn¢M, a deed of trusi and constilures a Ilmiled company limit¢d by guarantee Ms
defined by compAnys Act 2006,
Re¢rnl¢ment And appolntment of new truste
Trusiees are appoinl¢d ac(xJrding to the ArtiL,l¢s of A88ociation.
()rg8nisatlon81 $trueture
The charity is managed by ll board of trustees. In February 2012, Spen¢¢r Gelding became Chicf Ex¢cuiive, Te.sponsiblc for
overneelng the day-to-day operation$ of the charity. t)ina Kestenbaum W*kS llPP)inted Operation5 Nlanagcr in October 2022, with
responsibilities in¢ludin¥ managing PR and Marketing for Belt Halo¢hem UK. In October 2023, David Thrilling joined th¢ charity Lq
Project Mana8¢r, tasked with ¢stabli$hin8 and mainlairAill8 link5 beÉwe¢n UK and Israeli veteran organisations and collaborating
losely with the CEO on Lommunity projects and fundralsing initiatives.
Regardin8 pay arrdngem¢nts. the trustees ar¢ responsible for overse¢ing the charity'$ pay structur¢s and approving pfty incre&¢£￿.
These dccisions are typically based on the charity's fjnthncial w51tion and comparable remuneration packages in similarly 8i7.ed
¢hariiies.
Indu¢tion and trai￿l￿g of new truJ¢ee$
New t￿Stee5 undergo a briefing on their legal obligations under company and ¢harity law.
Risk manAgement
Th¢ ttvstecs hawe 8 duty to idenlify and r¢view the ri9ks to which the charity is expos¢d &nd to ¢nsure that approprig1¢ controls are in
place to provide r¢asonable assuran¢e against fi?ud and error. Th¢ trustees ar¢ satisfied that systerns are in place to manage those
Page 3

Docu81gn Envelope ID.. EB6B48E1>58134A14-9727-AAD36E4D53C5
BEJT HALOCHEM UK
REPORT OF THF TRUSTEES
FOR TIIE YEAR EYDED 2
LBRUARY 2024
STRucfL'RE, GOVLRNANCF. AND MANACEMENT
The Trustee's Board h&s conducted a review of the major risks. to which the ¢harity is exposed, wh¢r¢ appropriate
¢¥tablishing or Strcngthening systems io mitigale the risks identified.
Thc risk register covers th¢ following are
- Governance. regulatory and ￿MplIance risks
Financial risks
()peration81 risks
- ]nforn￿tIon governance. IT securiiy and busincss ¢ontinuity
The actions taken to address the main risks during the period have been:
l. Govemance, regulatory and compliance risks - these risks are regularly ￿dreSSed at our quarterly board meeting. Ea¢h of our
trustees undertakes a particular role within the Ix)ard, with one responsible for working directly aiongside the CEO managing the
governance of the charity.
2. binan¢ial risks - as stated. th¢ charity cBrefully manages the ￿lldS ofthe chartty to guarantee a continuous availability of rumJin8
expenses. The5c cxpense8. totalling £40k per rnon￿ encomp&ss salMri¢¥, rent, And general nperalional costs. To maintain finAn¢ial
stability, the Trustccs ond CEO wnrk together lo cnsure that a minimum of thr¢¢ months, worth afexpenses is consi$t¢nily held in the
bAnk aLYount. sccurin8 the ch8rily's un¥oing OF<r￿lon8.
3. Op¢ralionai risks . Systems #nd nores are in pla¢e to ensure that pnyone of the Trustees L¢)uld run th¢ short for a prolong period
yhould anything happen to the CEO. A¢tivity reports are re8ularly sent by ihe CEO ¢0 the trustees to en5ur¢ th￿ aTe Tegulttrly wpjated
on th¢ activities of the charity.
4. Inforniation 8overnanL¢, IT security ond business continuity - The charity employ5 the servi¢¢s of an external IT compony to
ensu]r that all sensitive inforniation is pr(>tecled with adv&n¢¢d Security m¢osur¢5 including thc dat£ba8e, online donotion platforni
and emails and sensitive documents produced by Ihe CEO and operation.s Manag¢T of thc chariry.
REFERENCE AND ADMINISTRATIVE DEI'AILS
R￿lStered CDrnp•ny number
07967938 (F.ngland and Wales)
Regl$t¢red Charlty number
1146950
Regkntered ￿ffice
8uilt 3
()ne BTid¥e La
IA*ndon
NWII OEA
Trustees
Daniel Naltalin
Nathgniel Meyohas
sU￿n Kahn
l)rly Wolfson
Andrew WLTrlfyon
t)aniel Kattan
avid Tahan
Audito
Numera Parthers LLP
Stsiulory Auditor5
4ih floor
Charles Huuse
108-110 Finchley Road
NW3 5JJ
Pa8¢ 4

Doc￿]gn Envelope ID.. EB6B48E(k561&4A14-9727_AAD36E4D53C5
BEIT HALOCHEM iiK
RF.PORT OF THE TRUSTEES
FOR THE Y
EYDED 29 FEBRUARY 2024
REFERENCE AND ADMINISTRATIVE DETAILS
B4mkers
Lloyds Bank
Nottinghill Ciate
PO BOX IQOO
BXI 11.T
Websltt..
htips:l/bhukor81
COMMENCEMElY'f ()F ACTIVITIES
The Llwity was Inco￿Tated on 28 Febn]ary 2012 and li was grankd chgrirable ststus on 19ih April 2012 under registration number
1146950. lh¢ charity iy govcrned by its Memurandum and Articks of Association and is a Privatc Company Limiled by Guarantee.
s'rATEMF.NT OF TRUSTEF.S' RESPONSIBILJT]ES
The trustees (who are also the directors of Belt Hak)Lh¢m UK for the purposes of ¢ompany law) are responstble for prep8ring the
Rep)rt of the Trustees and the financial statements in accordance with applicable law and United Kingdom Aceounting Stgndardy
(lJniled Kingdom Generally Acccpt¢d Accounting Practice) includin8 financial Reporting St¥ndard 102 "The Financial Rcportin8
Ststndard applicable in the UK and Republic of Ireland"
Company law requirey th¢ trustees to prepare financial statemenls for ¢a¢h financial year which giv¢ a true and fair vicw of the stale
of affairs of the charitable company and of the incorning r¢sources and oppli¢ation of resources, including the income and
expenditure, orth¢ ¢harit&ble company for thal period. preparing thoge finan¢ial ytstcments. the trustees are r¢quired to
lect suitsble ￿coUntIng pvlicics and then apply th¢m consistentlyt
observe thc methods and principles in the Charily SORP.
rnake judgements and estimY4tC5 that are re&gDnabk ftnd prudent.
prepare the financial ststements on the going ¢onc¢rn basis unless il is inappropriate lo presumc that the charil&ble company will
fA)ntinue in busine89.
The tru8t¢es a￿ re4￿nsible for keeping proper ac¢ounting records which disclose with re&gonable a￿Ur2eY al ¥ny time the financia]
position of the ¢haritabl¢ company and 1¢) ¢nable th¢m lo ensure that the finAncial gtstemcnts ¢omply with the Companies Act 211)6.
They are alsTr respL)nsible for safegu&rdin8 the assels of Ihe chariloble company and heftce for lakin8 reasonable steps for the
p￿ventIon &nd det¢¢lion of fraud and other itr¢Bularilies.
In so far as ihe trust¢es are ttwar¢.'
Ihere is no relevant audit information of which the ¢harilable compan￿5 ouditors arc unaware. and
Ihe {rust￿S have taken all steps that they ou8hi to hgvc iaken to make themselv¢s aware of &ny r¢lcvant audit infTrrnJAlion and to
¢stablish that the auditors ar¢ Aware of thal information.
AUDI'I'OIL
'lThe lluditor& Numera Partner5 LLP. will be pro￿￿ed for Te a
10/17/20Y4
intment at ihe fOrth￿ming Annual General M¢elin8.
Approved by order of the board of trnstccs on ............-................................ and signcd on its behall'by..
Ootsu*n•dby'.
Andr¢w Wolfson- TTubrte¢
Page 5

Docusign Envelope ID: EB6B48E¢>58134A14-9727-AAD36E4053C5
REPORT OF THE INDEPENDENf AUDITORS TO THE MEMBERS OF
BEIT HALOCHEM UK
Opinithi
We have audited the financial staternenis of Belt Halocbem UK (the'charitable company.) for th¢ year ended 29 Febrtw 2024 which
comprise the Statement of Financial Aclivilies, the Stat¢m¢nt of Financial Position, thr Statcmenl of Cth Flows and notes to the
finartcial statement& including a SUrnTrJary of significant accounting poli¢i¢5. The financi￿] ￿porting framework that has been appli
in theiT preparation is applicabl¥ law and Uniied Kingdom AcL¥kunting Standards (Unitcd Kingdom Generally Accepted Accounting
Practic£). including FiTJan¢ial Rcwrting Standard 102 Th¢ Financial Rewrting Standard appli¢able in the UK and Rcpublic or
Ireland,.
In our opinion th¢ financial slat¢ments'.
8ivc a true llnd fair view of th¢ state fjf ihe chgritsble company's affuir5 as at 29 February 2024 and of its incoming resources and
appliiation of r¢sour¢es, including its income and expendilure. for th¢ y¢ar then ended.
have tyen properly ptepared in accordance with United Kingdom Genernlly Accepted Accounting Practice, includiDg Financial
Reporting Standard 102 'The r,inan¢ial R¢p)rting Standard upplicabk in the IIK and Republic of Ireland and
havc b¢¢n prepared in aceordance with the requir¢m¥nts of the Companies Act 2006.
B*81$ fthr opinlon
We cijnducted our audit in ac¢ord4nce with International Standards on Auditin8 (UK) (ISAS (UK)) and applicable Igw. Our
responsibilities under ihose standards are furth¢r described in the Auditors, responsibilities for the audit of the financial statcments
ection of our report. We Bre ind¢pendcnt of the charithble company in accordanee with thc ethical requirement8 that are rcl¢vant to
our &udit of the finAncial $latemcnts in the UK, including the FRC'S Ethi¢al st￿ndllrd, and we have fulfilled our other ethical
responsibilities in accordance with these requiTemenli+. We believe that ihe audit evidence we have obtained is sutTicient and
ppropriate to provide a bdsiy foT our opinion.
C'Ow¢lu5io￿l re14tln% to Eoin¥ eon¢ern
In auditin¥ thc financial statements, we have ¢oncluded that th¢ trustees, use of ihe goin8 ¢on¢¢rn basis of al￿u￿tIng in the
prepar8tion of the flnanciBI htatements IS Appropriate.
Based on the work we have perforni¢d, we have not idenlified any material un¢ertainiie$ relating to evenls or condiiions thal
individually or collectively, may cast signifi￿1 doubt on ihe charitsble compt￿Y'S ability to ¢ontinue as a going Lonccrn for a ￿rIOd
of ￿ least ttwelve months from wh¢n the financidl ¥18temcnts are lluthoTis¢d for i5SUC.
Our tesponsibilitics 8nd the respoxsibililies of the trustees with respect to going concern are des¢ribcd in the relevant seclion¥ of thi$
report
Other InformAtiDn
The trusl¢¢s are responsible for the other infomiation. The other information Comprises the inforn)alion included in ihe Annual
Report. oiher than the finRn¢ial statements and our Report of ihe Independent Audiiors thereon.
Our opinion the financial statements d(Jes nul covcr the other inforniHtion and, ex¢¢pt to the extent 0th¢nVi￿ ¢xplichly 8tsied in
our rep)rt, we do not express any lorm uf as$uran¢e conclu.sinn ihercon.
In conneclion with our audit of the finAnci81 slal¢ment4 our responsibility is to read the nther inforniation and. in doing $0, ¢onsider
whether the other information is mat¢rially inconsistenl with ihc financi￿ stalemenl¥ or our knowled8e obtained in thc audit or
therwibe appear5 to be materially misstated. If we identify such mat¢rial inconsi8*nci¥s or apparent material mi.8%181¢ments, are
required to d¢t¢rn)ine whelheT this giv¢s Tl% to a material rnisStatem¢ni in the finanL?al statements themselve8. Ir, based on the work
r havc p¢rfornied, we cunLlud¢ thai ther¢ is a mAi¢rial misstal¢m¢nl of this other inforn)ation. we are requir¢d to rcport that fact.
We have nothing to report in this rcgard.
OpiTrions ljll other matter5 preserib¢d by the Companies Ael 2006
Jn our opinion, ba8cd on the work undertaken in the ¢owrse of the audit..
the infom)ation given in the Report of the Trustees for Ihe financiAI year for whi¢h the financial statements are prepar¢d is
con¥ist¢ni with the financiAI statements; and
the Rcport of the Trnstees has been prepared in accordJnL'e with applicable legal r¢quirements.
Matten on which we are required to report by exception
In ihe light nl'ihe knowledg¢ and uiiderstanding of the charitable company and its ¢nvironrnent obtaincd in the course of the audit,
we have not identified rnaterial misst&temenis in th¢ Rcport of the Truslees.
We have nothing to report in ￿Spect of the following matters wlwe the Companies Ad 2006 rcquircs us to report io you if. in our
opinion..
adequate accounting records have JK)t b¢¢n kept or returns adequa* for our audii havc not be¢n received from bran¢ks not
visited by us; or
the financial statements are not I￿ agreomenl with the Accounting records and returns,. or
certain disclosures of trust¢¢s' r¢muneratioJ] specified by law are noi niade; or
we hav¢ not received a]1 the infonnation and explanatN)ns we require for our audit. or
the trnst¢es ￿rre not enlitled lo takc advantsge of the small Companies exemption from the r¢quirement to p]rpare a Strdtegic
R¢port or in preparing the Report of the Trustees.
Page 6

Dcuslgn Envelcye ID: EB6B48E(k56134A14-9727-A4D36E4D53C5
REPORT OF THE INDEPENDENT AUDITORS TO THE MEMBERS OF
BEIT HALOCHEM UK
Re5wJnsibilities of tru$tee5
As explained more fully in thc Slatement of Trustees. Responsibilitie4 the trusfrts (who also the directors of the charilable
company for the PUTPK)ses ofrompany law) are reswpnsible for the prepargrtion of the financial statements and for teing satisfied that
they give a tnle and fair vicw, and IOT such ini¢rnal control as the trustees deterniine t5 necessary to enable the prepardtion of
financial statements that aTC fr¢¢ from mal¢rial misstalem¥nt, whether du¢ fraud or ¢ryoT.
In preparing the financial stAtcrneTLts. th¢ trustees rcsponsible for osses$in8 the ¢haTitabl¢ company's ability to ¢orJlinuc 8$ a going
concern, disclosing. as appli¢ahle, mott¢rs relai¢d to going concern ond using the going ¢oncern basis of acc4)UTJting unle&8 the
tn￿¢8 either inl¢nd to liquidate the charitable company or to cease operations, or have no realistic alternative but io do so.
Our responsibilitie8 for the Audit of the finan¢i41 slatement8
Our objcctiv¢s are to obiain reasonabl¢ assuran¢e aboui whether ih¢ financial 8tatem¢nts a5 a whole are free from material
mis¥tatcmeni wheth¢r due to fraud or crror. and to Issu¢ a Report of thc Independent Auditors that inLludes our opinion. Reasonoble
ssuran¢¢ is u high lev¢1 of assurance, but is ntst a guarantee that an Mudit conducted in aC￿rdanCe with ISAS IUK) will always detect
mat¢rial rnisst&tement when il exists. misstaten￿￿ls can aris¢ from fraud or error and are considered material if, individually or in
the aggregate, they could reosonably be expected lo in1lue￿ the economic de¢isions of users taken on the basis of these financial
Stat¢ments.
The extent lo which our proccdures are capable of d￿e￿Ing irregularities, includin8 fraud is dctailed below.
Irregularitie4 including fr4ud. are instances of non-compliance with laws ftnd r¢gulation5. We design procedurcs in line with our
re8ponsibiliti￿ outlined above, to delect ma*rial mi5518tcments in Te8PeLM of irre8ulariti¢s, including frdud.
W¥ consider thttt our procedur¢5 are highly ¢apable of dekcting irre8ularitiei includin8 fraud. The enga8¢menl teBm ￿llective]y
h#ve the apw)priatc competence ¢apabililies to identify or r¢co8nlse non•compliance with law¥ And regulations.
During the planning of ihe audiL diwussions Mrr¢ held with key entity staff to ensure..
- an understandin8 of the legal and regulatory frameworK
- the enlity's policies And procedures on compliance with laws and regulaiions.
- the gnliW8 FX)licies and proccdures on fraud risk including knowledge ofany actual. suA￿cted or alle8ed fraud.
Audit procedure$ ￿ d¥lecl material mi8$l&lements in re¥pcct of irregularitics are outlined below..
Enquiry of managem¢nt, those charged with governance and the enlily'8 solicitors around a¢lual and potrntial liti8ation and cl8im4
Reviewing financial statement discloswe8 and tsstin8 lo supporting documentation to assess compliance with applicabl¢ laws and
regulations.
Auditing the risk of menagem¢nt override of wntrol& including throu8h testin8 journal entrie$ and oiher 4dju8tmenl8 fL)r
appropriateness.
- rcadin8 minul¢s of meetin8s of those ¢har8ed wtth Bovernance;
Q)n¢ludTn¥ on the &ppmpri#t¢nes$ of the dire¢tors use of Ihe going ¢(>n¢ern basi8 of Accounting and. based on the audit evidence
obiained, wh¢ther a m&l¢ri#l uncertointy exists related to events or ¢ondilions that MAY cast Significant doubl on the companys Mbility
to ￿ntinu¢ as a gDing ¢onccrn. If we Lon¢lude thal a m#tcriftl uncertainty ¢xists, we ar¢ rcquir¢d to dr&w attention in our audilors
rep(Trrt lo the re14rted dibolosur¢s in Ihe financial stalem¢nls or, if such diwlosures arE inadequate, to modify our opinion. Our
conclu5ion8 are based on thc audit eviden¢¢ obtained up the th¢ date ofour auditor5 rep)rt. HO￿ver, futur¢ cvertts or conditions may
ause th¢ company lo ccase to ¢onlinu¢ as a going ¢oncern.
Audit procedures to address the risk of fraud through man88¢meni bias and override contro15. we.
P¢rforn]ed analytical procedures to identify any unusual or unexpe¢lcd relationships,.
testcd journ&1 ¢7]tries to indemnify unusual relationships.
investigated the rationale behind significant OT unusual transactions
There are inherent limitations in our audil procedures described above. The more removed that laws and regulations are fTom
financial transa¢tion5, the less likely it is that w¢ would ￿l￿rne aware of non-compliance. Auditing stsndards also lirnii the audit
procedur¢5 Tequired to identify non-compliance with laws and r¢gulations lo etwuiry of the dir¢¢tors gnd other m8nag¢menl ond the
inspectton of regulatory and l¢gal corre$pondenl if any.
Material misst&tements that arise due to fT8ud can k harder to detect than those that arise from error as they may involve collusio
forgery. deliberate coneeaiment and nmissions, misrepresttntAtion4 Dr the overrid¢ of inlernal conlml.
A further description of our responsibilities for the audit of the financial stst¢ments is located on the financial Reporting Coun¢il'%
website ot www.frc.or8.ukl&uditor5re5wnsibilities. This dcscription forn￿ part of our Report of the Jndependenl Audilors.
Page 7

DO￿ign Envelope ID: EB6848E￿s6l￿4A14-9727-A￿D36E4DS3C5
REPORT OF THE INDEPENDENT AUDIT
RS TO THE .MEMBERS OF
BEIT HALOCHEM UK
U8¢ our report
This report is made solely to the Charitable company'$ nrmber& As a iKMly, in accordance with Chapter 3 of Part 16 of the Companies
Act 2006. Our Audit Work has been undertaken so that we Jnight state to the charttablc curnpany's mcmber5 those matters we are
required to stale to them in an auditors, rep)rt and for other purpose. To th¥ fullest cxtcnt pcnnitted by law, we do not a¢￿pt or
&%8ume reswnsibility to anyone other than the charitable compony and the charitsble company's members AS a FMMIy> for our audit
worK for this repor¢ or for the opiniorts we have fomed.
Giks Cohen {Senior Statutory Auditor)
for and on behalf of NumeTa Partners LLP
tatuiory AuditOTS
4th Floor
Chorl¢¥ House
108-110 Finchlcy Road
London
NW3 JJJ
Date:...................................,.,.......
Page 8

D￿USIgn Envelope ID: EB6B48EO-56134A14-9727-MD36E4D53CS
BEIT HALOCHEM U
Fl
IALA
Iv
29.2.24
Totsl
funds
28.2.23
Total
runds
UnrestTiCted
fijnds
Restricted
Notes
INCOME AND ENDOWMENTS FROM
Donations and le8a¢ies- Unrestri¢ted funds
4,051.540
4.051.540
1.612,341
Donations and legacies- Restricted funds- Gcnetai
Donaiion5 and l¢gacies- Restrici¥d funds- V¢leran
games
125,000
125.(KKJ
47
47
518,156
Totsl
4,176.587
4.176.587
2,130,497
xrF.NDITURL ON
Raislng fund8
435,971
435.971
471.174
Ch#rit*ble Actlvltles
Grants to Israel - Gcner81
GranLs lu Isracl - Veteran games
Stoff ¢osts
(iovernanc¢
2.625,00.3
112,638
196,707
14,320
2,625.003
112,638
196,707
14,320
,096.579
518,010
201,070
11,043
Totsl
3.384,639
3.384,639
2,297,876
NET INCOMbl(EXPFNDITURE)
791.948
791,948
(167.379)
RECONCII.IATION O& FUNDS
Totsl funds brought forward
98,485
98,485
265,864
TOTAL FIJNDS CARRILD FORWARD
890.433
890,433
98,485
The note5 forni part of these financial stalcments
Page 9

Docusign Envelope ID.. EB6B48E￿56l34Al&9727-AAD3fjE4Ds3cS
BEIT HALOCHEM I,'K
NT OF FINAN
ON
29.2.24
Total
funds
28.2.23
Toial
fvnds
Unrestricted
fimds
Restricted
funds
Notes
CUIiRENT ASSETS
Debtors
Cash ￿ bank
15
10,787
891,041
10.787
891,041
104.173
901.828
901.828
108.272
CREDITORS
Amounts falling due ￿lthIll one yeHr
16
(11.395)
(11,395)
(9.787)
NE'f CilRRF.NT ASSETS
890.433
890,433
98.485
TOTAL ASSLTS LESS CURRENT LIABILITIES
890.433
890,433
98.485
ET ASSETS
1190.433
890,433
98.485
FUNDS
Unrestricted funds
17
890,433
98,485
TOTAL FUNDS
890,433
98,485
Th¢se financial 8tstern¢nL8 h4ve becn prepar¢d in a￿)rdan￿ with th¢ provisions applicable to thllritAble compani¢$ $UbJ¢￿ to the
small wmpanles regime.
10/17/2024
The financia] s¢atemenl$ wrre appmv¢d by the B￿rd of Trusl¢cs and aUtI￿rised for i8sue on ......................,,,,,.......,.......... and were
8i8ned on iLq behalf by..
Daw8*d by..
uJ&
..¥P.IPAII1391.V.FF,.
Andrcw Wolfson - Trustee
8lqn•d by..
'Bts)F1￿4Y
Nath8niel Meyohas-
rustee
The notes forni part of these financial statement5
P￿e 10

DOcus￿n Envelope ID.. E86848E(>56134A14_9727-AAD36E4053C5
BEIT HALOCHEM UK
STATEMEYT OF CASH FLOWS
FOR THE YEAR ENDED 29 FEBR
29.2.24
28.2.23
Notes
Cash lltsws from opergtlng aetfvltles
Cash generated from opBralions
786.821
12.716
Net cash provided by operating activities
786.821
12.716
C4sh flows from investing 8¢ifvltle8
Inter¢st received
47
Net C&8h provided by investing activities
47
146
Change in eajh 8nd c85h equlv*l¢nt$ in the
repttrrtlng period
Cash and e•8h eqviv81ertts at the beglnnlng of
Iht rLp￿rtIng perlod
786.868
12,862
104.173
91,311
C*$h Ind eaxh equlv•l¢nts At the end of the
re[￿rtIng p¢rlud
891.041
104,173
The notes forni part ofihe5e financial st&kments
Pagell

Docusign Envelope ID.. EB6B48EI>56134A14-9727AAD36E4D53CS
BEIT 114L
HEM UK
NOTF.S TO THE STATEMENf OF C.ASH FLOWS
FOR THE YEAR ENI DED 29 FF.BRUARY
024
RECONCILIATION OF NET INCOMEI(EXVENDITURE) TO NET CASH FIA)W FROM OPERATIIYG
ACI'IVITIES
29.2.24
28.223
Net Ineomel(eypendithre) for the ￿￿￿rtIng period (4$ per the Ststememt of
FillAtt¢ial Aetivi¢ie8)
Adjustme#ts for:
Iniercst re￿]ved
(Incr¢ase)Idecr¢4sr in debtors
Increase/{de¥T¢asc) in ¢reditsTrr8
791.948
{167,379)
(47)
(6.688)
1,608
(146)
211,934
(31.693)
Net C85h provided by operntions
7116,821
12.716
ANALYSIS OF CHANCFS IN NET FIINDS
Ai 1.323
Ilow
Ai 29.2.24
Net eash
Cash at bank
104,173
786.868
891,041
104.173
786,1168
891,041
Total
104,173
786,868
891,041
The notes forni part ofthe% financial statement$
Page 12

Docusign Envelope ID: EB6B48ECh56134A149727-AAD36E4D53C5
BEIT HALOCHEM UK
NOTES TO THE FINAP4CIAL STATEMENTS
FOR THE YLAR ENDF.D 29 FEBRUARY 2024
STATUTORY INFORMATION
The pr¢s¢nt8tion Currency of the financial statements is the Pound Sterling (£) & 1$ rounded to the nearesi p)und.
ACCOiiNfiNc POLICIES
Bojij of prtpllring the fingnclal St￿¢￿¢￿15
Th¢ finan¢i&l %tateTnents of the charitAbl¢ Company. whi¢h is tt public ben¢fit entity under FIL% If12. have been prepared in
accordance with the Charilies SORP (FRS 102) 'ALwunling and Reporting by Charities: Statement of Recommended
Practice applicable to Charities preparing their a¢wunls in accordan¢¢ with the financial Reporting Standard applicable in
the IJK and Republi¢ of Ireland {FRS 102) {eif¢clivc l January 2019),. Financial Rewrting Standard 102 'The Financi0]
Re￿rtIng Standard applicable in lh¢ UK and Rcpublic of Ireland. and the Companies Act 2006. The financial slalem¥nts
hav¢ been prepared under the hisloricul wst convention.
Critlt•l oe¢•unting Judgem¢n¢$ 4nd key souree8 of otlm4tlon uneert8iDty
Preparnlion of the financial stakments requires ihe tnJste¢s and management to make signifi¢aTrt judgcments and estimates.
The areas in the financial staiements where these judg¢meMs and estimates hAve been made includc:
- d¢teTmining the valU￿10n of gift8 in kind
the all0¢￿10n of support CA)sls to ¢hariiable Aetiviti¢s
dctern)ining the valuation ofdebtors and if Any indication exists 81 th¢ asscssment date where a debtor may be unable to
mccl their obli8ation
In addition kn ihe abuve. thcrc are cur￿n11Y 8lobal issues wh¢r¢ the iM￿¢t 1$ not curtenily wssible to evaluate all the
tenti41 implT¢a¢ions for the ¢hariii¢s a¢tivate$, b¢￿rIe]0ry. funder& suppliers Dnd wid¢T¢conomy.
Inromlng r¢$ources
All resources are recognised tn the Stotcment of Trinllncial Adivili¢s when thc chgrity is legally entiiled io the fund$ 8nd the
amounts can be qUantir￿d with rcasonable &ccuracy.
Income comprises donations Icgacies and bank interest.
Donations, in¢luding gift aid are ￿e08n]sed vth¥n the charity ¢onfirnJalion ofboth the amouni and the settlement dAte. In
the evenl of donations pledged bul not received. th¢ 8mount will be accrued for only Whe￿ rhe re¢eipt is ¢on8idered
probably.
Inl¢re8t on ￿ndS held on depo8il is inLluded wh¢n receivable And the amounl ¢an be mcAsured r¢liably by the charily> Ihi¥ is
norn￿1]y upon notification ()I'ihe inlerest paid or payable by the i)ank.
The charily is exempt from corporation tax on 11$ ¢h4rilable activiti¢$.
Fund *etoMnting
The charity mainlains a g¢n¢ral unrestri¢i¢d fund which ￿Pr¢￿entS fvnds which ore expendable At the di5CTelion of ih¢
trustees in furtherance of the objects of th¢ charity. Such lundy may ￿ h¢ld in order to finance both workin8 capital and
capital investmenl.
Restricted funds have been provided to ihe ¢hariiy for p¥rti¢ular purposes, and it is the pnli¢y of the board of trustees to
carefijlly TYK)nilor the application of ihose funds in aLX'ordan¢¢ the restriction.s pl&eed uwn them.
Thelt 1$ no forn￿] rM)licy of transfer bdween funds or on the allocation of tiinds to (ksignated fund& other th&n th&t
described gix>ve.
Any other prowsed transfer behveen funds would b¢ ¢onsideted on the p2rticul#r CiTcumstances.
ForeigD eurrencios
Assets and liabilities in foTcign currencies are translated into sterling at th¢ rates of exch8n¥e Fuling ￿ thc statement of
financial positiun d&tc. Transactions in foreign currencies ar¢ Iransl￿¢d into sterlin8 ai ih¥ rgtr of cxchan8¢ ruling ￿ the
date of transa¢tion. Exchange differences are tsken into ac£ounl in arriving at the operaling result.
Hire pur¢h•$e and It*giTrg eommltm¢n¢$
Rentsls paid under opernting leases are chorg¢d to the Statement of FiDan¢ial Activities on a straight line ￿15 over th¢
[￿riOd of the l¢ase.
P88e 13
Conitnued...

Docusign Envefope ID.. EB6848ECk561&4A149727-AAD36E4D53C5
EIT
'OTES TO THE FINANCJAL STATEMENTS- Continued
OR'I'HE YEAR ENDED 29 FF.BRIIARY 2024
AccouNfiNC POLICIES- eontinue
Resources expended
Expenditure is acc4>unted for on accnvdls basis and has i￿en cla￿lfIed under headings ihat aggregate all cost related to th¢
Category. whe￿ costs connot be direcily attrib￿ed to particular hc￿lIngS they have been allocated to activities on a basis
consistent with th¢ us¢ ofr¥y)urccy.
Cost of gener•tin% fund$
Cost of g¢n¢raling funds ¢omprise5 all co5t8 as%)ciated with raising 8ddilional funds for the Charity through
advertising and other sales.
Charltsble a¢¢lvlile$
Charitable &¢tivities comprise all costs directly incurred in undertaking &¢livilie5 t() fulfil th¢ Charity's L)bj¢L%5.
together with any support costs allocated in accordan¢e with Lh¢ support cost accounting policy as dc5cribcd bclow.
Covern4nee ¢05¢
Governance costs cornprisc all costs incurr¢d in running the Charity itself as an organi8&tion and 118 compliance with
rcgulation and good prA¢ti¢e.
Support eoiis
Administratinn head o￿le¢ ¢osts not dircctly altributsble io particular charitable activities ar¢ apportion¢d
over the relevanl a¢tivities pro rats to the vajue of the income d¢rived from ¢ach charitable a¢tivity.
Deb¢tsr•
Debtors are rew8nised (m their setilement amounL less any provision for non-recoverability.
at bank ln hand
Cash gt bal￿ in hand r¢presents such accounls and instruments that are Available on thTnand or have & mgluTlty vf less than
thrcc months from ihe date of acquisition.
C'reditori And provi$ion$
c￿dItOrS and provisiony are reco8nised whcn there is an obligaiion ￿ ihe balance sheet datt as a result of a past even4 it is
probable ihal a transfer of¢wnomic benefit will bc required in s¢ttl¢m¢ni and the amount of the settlement can be estimated
reliably. Creditor5 8nd provisions are reco8nised at the amount the Charity anticip8t¢s it will pay to s¢iil¢ ihe d¢bt,
Fund s¢ructure
Uftrestricted 8enernl funds represent Ihos¢ monies which arc frccly avallAble for Application toward$ ￿hleVing any Charitable
purpose that falls wiihin the charity'b ¢harithble ubjcclive and is at Ihc discretion of th¢ tru$t¢¢$.
Restricted fund8 comprise ofm(Jni¢s rais¢d for, or their use is r¢Strict￿ to A $pecifi¢ purw)% or ¢ontribution$ are subj¢¢l to
donor imposed wndifions.
FiTr*nelg41 Instryment$
Th¢ charity hold9 only basic financTal inslTumenls as defined by FRS102. Thc fjnoncial asscts and thc fin￿¢1￿] liabilities of
the ¢h8rity and iheir mca$urement b&%1$ are as follows:
Financial assets
trade deblors 8nd uther debtt)rs are basic financial instrumertts and ale debt in5lTun￿nts rneasured at
amortised ¢o$t. Prepayment are not finunL'ial instruments.
Cash at bank - Llarified as ba¥1¢ finoncial inslrumems And measuTed at face value.
Finaneittl liabiliics- &c¢rnals and oiher creditors financial instruments and are measued at Émortised ¢ost.
GDin% ConcerA
'he trustees have M'hether ihe u8e of the going concern assumption is appropriat¢ in preparing ihes¢ fin4ncial
statements. -11)e trustC¢5 havc Thade this asses5nMt in respect to a p¢riod of one year from th¢ date of approval of these
financial stateTnent8.
After reviewing the charity's forecasts and proj¢¢tion& ihe trnstee$ have a re&8onable expectation that ihe charity has
adequale re￿UrCeS to continue in op¢raiional ¢xisten¢¢ for the foreseeable future. The charity, therefore continues to thpt
the going conceyn policy in preparing its financial statements.
Page 14
continued...

D(￿Sign Envelope ID.. EB6B48EO-56134A14-9727-MD36E4D53C5
BEIT HALOCH
TOTH
IJNANCIA
HE YEAR
STAT
iyrs . eon
ARY
DONATIONS AND LEGACIES- UNRESTRICTED FUNDS
29.2.24
28.2.23
Genera] donation$- inc local ¢v¢nts
Gift aid recovery
Annual fundraising campaign
t￿8&¢Y donations
2J57,587
192.939
.432.444
45.898
(i)
134,000
.301,014
4.051.540
,612.341
The .1 ruslees hAv¢ decided in th¢ year to ￿allocate all donations under ¥¥ncrai donation8 as they believe this to provide
more representative view of don￿l￿nS received cornpared to historical 4lloc8tions of donations receiv￿.
DONATIONS AND LEGACILS- RESTRicfED FUNDS - GENERAL
29.2.24
28.2.23
(leneral donalions- inc local events
125,000
DONATIONS AND I.EGACIES- RESTRICTED FIJNDS- VETEIi4N GAMF.S
292.24
28.2.23
GcneTal donAlions- in¢ loca] events
D¢￿sIt &C￿Unt Inte￿$¢
518,010
146
47
47
518,156
RAISING FUNDS
RAiJlTr¥ don*tion$ and leg*el¢i
29.2.24
28.2.23
Advertising and PR
Cost of fundraising &¢tiviti¢s
I.oL'81 projects
Support costs
52.670
175,683
94,097
13,521
105.309
243,983
74,274
47,608
433,971
471.174
C.HARITABLL ACTIVITIES cosrs
Grant
fijnding of
aciivili¢s
(see note
Support
cosls (se¢
no* 9)
8)
lotals
Grants to Israel - G¢nera]
Grants to Israel - Veteran gumes
Staff cosls
Governancc
2,625,003
112.638
2,625,003
112,638
196.707
14.320
196.707
14.320
2.737,641
211,027
2,948.668
Page15
continue(L.,

Docush3n Ern￿10pe ID: EB6B48ECk56134A149727_MD36E4D53C5
EIT HAI,OCHEM UK
OTHE
GRANTS PAYABLE
29.2.24
28.2.23
Grants to Israel - Gcncral
Grants to Israel- V¢teraD 8ames
2.625.003
112.638
1.096,579
518.010
2.737,641
1.614.589
SUPPORT COSTS
Informaiion
te¢hnolo8y
Management
Finance
Raising donations and legaci¢s
Staff costs
Ciovemance
69,501
3.197
196.707
196,707
69.501
3.197
Gov¢rnan¢e
costs
Other
Totsls
Raising donAtion$ and le8acie¥
Staff costs
Governan¢c
40.823
113,521
196,707
14,320
14,320
40,823
14.320
324.548
io.
NLT INCOMEI(EXPENDITIIRE)
Nel in¢omel(expendiiure) 1$ sta*d after char8inBI(¢r¢ditin8):
29.2.24
28.2.23
Auditors, remuneralion
Other operniing l¢ases
6.000
19,200
4,500
15.950
ii.
TRIISTEES, REMIINElblTION AND BENEFII
'rhere were no trnstees, remuneration or other benefits for thc year ended 29 F¢bruary 2024 nor for the year ended
28 February 2023.
Tru3tte&' ¢xpen$ei
There were no trustees, expens¢s paid for th¢ year ended 29 February 2024 nor lor the year ended 28 February 2023.
srAFF COSTS
12.
29.2.24
28.2.23
Wages and sal8ri¢s
196,707
201,070
196,707
201,070
The averag¢ monthly number of employees during the year was as follows..
29.2.24
Engaged on managen￿t and fvndraising
28.2.23
Page 16
onlinued...

D￿SIgn Envelope ID.. EB6B48ECL56l￿l¢9727-AAD36E4DS3C5
REIT
HEM
TAT
12.
STAFF COSTS- tontinued
The number of employees whose employee benefits (excluding mployerpension Costs) exc¢eded £60.0(K> was:
£160.￿] - £170.000
29.2.24
28.2.23
The key management p¢rsonn¢l of the ¢harity comprisc of the trust¢¢s and th¢ Chi¢f Executive Officer. The cmployee
b¢n¢fiis. includin8 so¢ial sccurity costs, employeT Fwion ¢ontribuiions of th¢ key management personnel of thc charity
were £170,000 (year lo 28 February 2023 £162.000)
COMPARATIVES bOR THE STATEMENT OF FINANCIAL ACflVI'J'IES- YEAR ENDF.D 2023
Unrestricl¢d
R¢$lTiLted
fi]nds
funds
13.
Total
funds
INCOME AND ENIK)WMENTS FROM
t)on&tions and le8acies- Unrestricted fundg
1,612,341
1,612.341
Donathns ¥nd lega¢ies. Restricted funds- V¢terAn
games
146
518,010
518,156
Total
1,612.487
5111,010
2,130.497
EXPENDITIIRE ON
Raising funds
471,174
471,174
Charitsblt A¢tlvl¢les
Grani$ io Isrnel- Q¢neral
Grants to Isra¢l - Veteran ga￿8
StatTcosls
Governance
1,09A579
1,096,579
318,010
201.070
11.043
518,010
201,070
11.043
Total
1.779,866
518.010
2.297,876
Nb'f iNCOMLI(EXPFNDITURE)
(167J79)
1167,379)
RECONCILIATION OF FUIYDS
Total fund.8 brought fonvard
265.864
265,864
TOTAL FUNDS C.ARRILD FORWARD
98.4115
98.485
14.
OPERATING LEASFS
As at 28 February 2024, th¢ charity wa5 committed to total futhre minimum leaye payment% under non-¢an¢ellable operating
l¢ases Ms follows..
Office prcmises
Within one year
Withill two to five y¢ors
6.400
Nil
6,400
Pa8e 17
continued...

Docusign Envelope ID". E86B48E(P561W14-9727-AAD36E4D53C5
BEIT IIALOCHF.M UK
ES
HEF
NCIA
TATEME
EARE
DED2
eonil
15.
DEBTORS: AMouNfs FALLJNG DUE WITHIN ONE YEAR
29.2.24
28.2.23
Other debtors
Ptepaymcnls
10.0
787
3.637
462
10.787
16.
CREDITORS: AMOUNTS FAI.I.JNG DUE WITHIN ONF. TrTAR
29.2.24
28.2.23
Trade cr¢ditoT
Social security and other taxes
Accrued expenses
242
4.440
6.713
(650)
5,937
4,500
11,395
9.787
J7.
MOVEMEKf IN FUNDS
Nel
movert￿nI
in fvnds
At
29.2.24
Al 1.3.23
Ilnr¢stric¢ed funds
Gencral fund
98.485
791.948
890,433
'I'OTAL FUNDS
98,485
791,948
890.433
Nel movement in funds, included in the abov¢ are as follows..
Inwming
resourc¢s
Resources
expended
Movement
in fijniis
Unre%trleted funds
Genernl fund
4,176,587
(3,384,639)
791.948
TOTAL FUNDS
4,176.587
(3,384,639)
791.948
Comparatives for movement in funds
Net
tYKTrvement
in funds
At
28.2.23
At 1.3.22
Ilnrestrlet¢d funds
General fund
265,864
(167,379)
98.485
TOTAL FUNDS
265,864
(167,379)
98.485
Page 18
continued...

Docusign Envelope ID: EB6B48EO-56134A149727-MD36E4D53C5
BEIT HALOCHEM
TH
NAN
17.
14I0VEMENT IN FUNDS- ¢ontinued
Comparativc net movement in thnd4 tncluded in the above &Te as follow5:
In¢omin8
resources
Resources
expended
Movement
in ￿ndS
Unreitrict¢d fund$
General filnd
1.612,487
(1.779,866)
(167.379)
Re8¢ritted funds
fjrants to Isreal . Veteran games
518.010
(518,010)
TOTAL FUYDS
2,130.497
(2,297,876)
{167.379)
A curr¢nl year 12 month5 and prior Ye￿ 12 months combined ￿sitiOn is as follows:
Net
movement
in funds
At
29.2.24
At 1.3.22
Unrestritted funds
G¢ner&l fund
265,864
624.569
890.433
TOTAL FUNDS
265,864
624,569
890,433
A cutrent Ye￿ 12 months and prior year 12 months combined nel movcm¢nt in fund5, included in the ab)vc are 8s follow8,.
Incoming
resour¢es
Rewur¢e8
expended
Moveme
tn fijnds
lJnre¥tri¢¢ed fundl
Gencral fijnd
5,789.074
(5,164,505)
624,569
Re$¢ricted
Lirants to Isrea] . Ve*ran games
518,010
(518,010)
TOTAL FUNDS
6,307,084
(3,682,515)
624,569
18.
RELATED PARTY DISCLOSURES
The charity received cash donktions during the ycar.
Trustee$
Total
2024£
180,000
2023£
173.500
Page 19
continued...

Dctustgn Envelcpe ID: EB6B48E￿s6134Al4-g727-A4D36E4DS3C5
F.IT HAL
HEM UK
STOT
tin
J9.
ULTJI￿TE C.ONTROLLING PARTY
As a ¢ompany limiied by guaraniee. the o)mpany is not under the (x)ntrol of any on¢ individual. All decision5 are taken by
the Board ofDircctOTS who are the lrnstees of the company.
Page 20

DO￿8[gn Envelope ID.. EB6848E(k561&4A14-9727.AAD36E4D53C5
BEIT HALOCHEM UK
11.ED
TATEM
'riiE
EAR
AL Acri
ED2
292.24
28.2.23
INCOME AND ENDOWMENTS
DoTr*tiong and le8*cies- Unrestricted fundi
Gener*d donation$- inc local events
Gift aid tax recovery
Annual fimdrdi5ing eamp&i8n
IK8acy donations
2.557,587
192.939
,432.444
45,898
,301.014
134.000
4.051,540
1.612,341
Don•tloTrJ kgacie$- Restricted fuDdA- Cen¢vAI
General donations- in¢ local events
125,000
DonA¢ioM and legacies - Restricted funds - Veternn 8*mes
Generul don&tionsw in¢ local even15
De￿IS1t a¢count interest
518.010
146
47
47
518.156
Total incomln% rejfjurees
4.176.587
2,130.497
EXPENDITURE
R*ising don*tionA and It￿¢1
Advertising And PR
Cost of fundraisin8 Vl¢tivitie8
IL)c41 projects
52.670
175,683
94,097
105,309
243.983
74.274
322,450
423.566
Ch*rltabl¢ Aetivitlei
Cirants to institutions
2,737,641
1,614,589
Support eo$lJ
M8n*gement
Wages
196,707
201,070
Fioanee
Bank tharges
69,501
6,752
Information techno108y
Tclcphone
3,197
2,305
Oiher
Rent
InsuranLY
Postage and stationery
Sundries
Motor and iravelling
19.200
76
5,230
9.310
7.007
15,950
1,316
7,085
5.583
8.617
40,823
38,551
Govern*Tr¢¢ eosts
Auditors, rcmun¢ration
AccouTJtoncy and legal fe¢s
6.000
¥.320
4,500
6.543
14,320
11.043
Thi8 page does not forni part of the statutory financial statements
Page21

DtsxS￿n Envelope ID: EB6B48E￿6134Al￿9727-AAD36E40S3C5
IT
AILED STATEMENT
ARY
29.2.24
28.2.23
Total resources expended
3,384,639
2.297.876
Ne¢ Ineomel(expendit¥r¢)
791,948
{167.379)
This page does not forni part of the statutory financial statements
Puge 22