The Association
of Jewish Refusees
THE ASSOCIATION OF JEWISH REFUGEES (AJR)
FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 DECEMBER 2021
ChaTiIy Dumb¢r: 1149882
Company Number: 08220991
Illl
*AB858M5N•
1Y07r2022
COPAPANIES HOUSE

THÈ ASSOCIATION OF JEWISH REFUGEES {AJR)
FINANCIAL STATEMENTS
FOR THE YEAR ENDED31 DECEMBER2021
CONTENTS
P•ge
DETAILS AND ADVISORS
TRUSTEES. REPORT
STATEMENT OF TRUSTEES, RESPONSIBILITIES
10
INDEPENDENT AUDITOR'S REPORT
STATEMENT OF FINANCIAL ACTIVITIES
14- 15
BALANCE SHEET
16
CASH FLOW STATEMENT
17
NOTES TO THE FINANCIAL STATEMENTS
18-28
ACKNoWLE[￿EMENT
29

THE ASSOCIATION OF JEWISH REFUGEES {AJR)
DETAILS AND ADVISORS
FOR THE YEAR ENDED 31 DECEMBER 2021
STATUS
The Asso£iation of Jewish Refijgees (AJR) is a registrred chariry and ¢ompany. lirnii¢d by 8uaTani¢e and i5 regist¢r¢d in
England and Wales (08220991). li was incorporaied and 5¢1 up by a Memorandurn of Association on 19 SepiemE¢r 2012
as amended by special re501ution on 15 November 2012. The charitable rompany cornrnrnced acttvities on l January
2013.
ORGANISATION
The chari¢abl¢ company's straiegy 1$ w and mana8ed by the Trustecs. who are also its direcrof5 for ihe purpose5 of
company law. The Tn￿ree$ are..
Mrs E Angel
Mrs G Glassman
Mr F A HaTdiR8
Mr D Kalrnan
Mr M Karp
MrA C Kaufman M8E
Mrs M King51ey
MrSKon
Mr A Spiro OBE
Mrs P StrdU5S
Mr M J White
{from IOAJ6f2021)
REGISTERED OFFICE
Winston House
2 Dtsllis Park
London
N3 IHF
Chwrliy regi$¢r4tlots n￿Mber. 1149882
Company re8istr•tion number. 08221)991
BANKERS
CAF Bank Limbted
Kings Hill
West Malling
Kent
ME19 4TA
INVESTMENT MANAGERS
Rathbtsne Investsnent Management Limiied
8 Finsbury Circus
London
EC2M 7AZ
Ruffer LLP
80 Victoria Street
London
SWIE 5JL
AUDITORS
Haysm3cintyTe LLP
10 Queen Street Place
London
EC4R IAG

THE ASSOCIATION OF JEWISH REFUGEES (AJR)
TRUSTEES, REPORT
FOR THE YEAR ENDED 31 DECEMBER2021
The Tnjstees present their report and the audircd fir￿ClaI 51atemcnts for rhe year ended 31 Deccmber 2021. which show
the state of Ihe ¢hariiable company's afTaiTS ai that daic and the incornc and expendiwre for Ihe year then ended.
STRUCTURE, GOVERNANCE AND MANAGEMENT
Truste¢s
The following served as TnLStees of the charilable company duringthe year and Yemain tn office unless otherwise stared as
at the dale this re￿rt was approved..
MT5 E Angel
Mrs G Glassman
Mr F A Harding
Mr D Kalman
Mr M Kajp
Mr A C Kaufmn
Mr5 M Kingsley
MrSKon
Mr A Spiro
MTS P Strau5S
Mr M While
(5.6.7)
(81
{12.3.6.7)
(7,8)
(6,71
(5.6.7}
(Appointed 10106n02l)
IS.6.8)
(2.4.5.6.7)
(2.4.6.7)
{1.4}
l.. Member of Audit and Risk Committe¢ 2.. Member of the Inv¢$tmeni Commill¢e 3= Member of Finance Committe¢
4: Member of Self-Aid Committee 5.. Member of GTants Committee 6.. MEmber of StTaiegy CornrnittEe
7.. Member of Nominaiions Committee 8.. M¢mber of Next Generation Comrnittee
Trustee$ are appointed for a period of four years. after which they are required to be ￿-t1¢cred by a vole of members at
Ihe Annual Election Meeting should they wish io coThtinue to serve. Tr￿c$ can serve a maximum of three terms. When
Ihe charitable cornpany Vds formcd in January 2013. with nine original Trusiee$. a Sknjcture was pui in place requiring
three Trustees to $tsnd for re<leciioth every year in ordv io maiTltain boih Coniinuiry and rotaiion. On ihe fourth year of
thai cycle. no TTusi¢es siood for te-eleciion. Wilh th¢ retir¢meni of ihree of th¢ 0ri8inal Trustees and ihe appointment of
new TnJsie¢s, Ihe Trustees have develo[￿d a schedule for when each servin8 T￿stee 15 due for re-elt£tion. In December
2022, three servinÈ TTU5tees will be rzquiTed to staThJ for re.eleciion. each for a maximum two-year leTm. In 2021 no
Trustees wcrc required io siand for re4le¢tion. Mr Michael Karp was appointed a'fnjsiee on 10 June 2021 and fornially
¢l¢¢¢ed ai the Annual Eleciion Meetin8 held on 2 Dcctmber 2021 when he was also elcctcd by the Trustee5 to become
the Chainnan. The Trustee$ noted their graiittjde to ihe olltgoing Chaimian Mr A Kaufinan for his many years of
dcdi¢aied setvi¢¢ to the charitable compgny.
Five Trusiees hav¢ been appoint¢d in the nine yeaT5 of the ¢hwitabl¢ ￿rnpanY opeTaiÈng as ? wmpany up io the date of
Ibe5e account5. Any new Trustee will be rrquired to widertake an itmluction programme relaiing to the aims and vbj¢¢tives
of the chaiiiabl¢ Company, the background of its bEnefici4ries and th¢ sysierns in plac¢ to deliver rh¢ seryices of the
charitable company. Each Trustee will bc required to demonstraic suitabk knowledge of ihe role and of charity trNsi¢e5hip
by experience or by training prior to, or shortly aftu. appoinbl)eni.
The strY4ttgy and poli¢i¢s of thc chari¢abk company are decided by ihe Tn￿lets. rhe responsibility for rh¢ execuiion of
those poli¢ies is delegated io the staff lcd by its kcy managemeni con515ting of the Chief Executive. Mr M Newman OBE,
$upport¢d by Ihe Finan¢e Director. Mi A Dani¢ls. who report regularly to the Trustees. Mr A Daniels succeeded Mr D
Kaye who retired in April 2021 after tcn ycars, servi¢e. The Tn￿tee5 muth appre¢ibted his dcdicaled servicc.
The pay of the ChiEf Executivc. the Finance Dire¢tor and all siaff is miewed annually and nomially increased in
accordance with average eamings io refl¢ci a cosi of living adjustment and 10 ensure all employees ar¢ remunerated al not
less than the national living wage. The charitabk company lakes suitablc proftssional guidanEe in the deteThination of the
rernunerdtion of its key management.
The Trustees give active Conside￿10Th ro the malrer of Tn￿lee succession and where possible COvOPt volunt¢eT5 with
suirable knowled8e and experience to assiM ihem as members of committees considering mattcrs relevani to their skillsei
and qualhfications as a pr¢¢ursor io possible ￿11 Tr0￿ce board membership. Since 2019 the Trnst¢es have ¢nhan¢ed the
8overnance regime by creating fiwther committtes of TrU￿te$ and suithle volunteers (¢o-OPtEd member5) to manage the
affairs of the Charitable company. These remain in place and cover.

THE ASSOCIATION OF JEWISH REFUGEES {AJR)
TRUSTEES. REPORT
FOR THE YEAR ENDED 31 DECEMBER 2021 (CoAtinutd)
STRUCTURE, GOVERNANCE AND MANAGEMENT (￿￿ti￿￿ed)
Audit artd Risk
Apwints txtemal auditor. oveT5ec5 audii process. overstts statutory and regulatory
reporfs. rnonitors risk managemeni
Monit￿$ financiDI wfonnance. oventts budget and asset management
Overge5 and approve5 8Y8n15 made for educational purp05e5
Ovusees and approves use of tompgny funds f0rcharilab￿ grnnis to individyal
benef*iarhe5
Finance
GranES
Self - Aid
Strategy
Nominations
Direcrs long 5trate8y of th¢ charitable company
Approves the nominaiion of new Trusiees and committee mem￿r$
Se¢s invesm)¢nl policy. OPPOiMS. direos and monirors prnfessional fvnd managers io
manage the market in￿5th)entS of the chaTitablc company
Inve51meDI
Risks intsrn#l tontrnb
The Trusie¢s are r¢5pofL5Dble foren5wing thai eff¢ciiv¢ and adequate risk man8gem¢m arLt1 iniernal $ysiem5 in
place io maDage ihe rfiajor risks to which the ¢harirabl¢ company is exposed. It Carries ihis oui by monitoring the
effethiv¢ness of ihe risk managem¢nt frameviork. The framework i$ de5igD¢d to support infomed decision making
regarding the risks thai affect the ability of ihe ¢harilablc Comparty to aehievc rt5 obje¢iive5. The framework is designed to
rnan8ge. rather than eliminaie. the Tisks io ihe ¢hariiable company's objectives and io provide reasonable, bur not ab501ule.
assurance againsi material mi5-s￿lement or105s. Within rhe framework. Ihe principal risks and uncertainiies which have
E¢tn identificd. thgeiher wiih tht aciions thken io mitigaic ihem. ar¢ as follows.
Risk identi
Action take* to mil-
ate the ri5
Inve$tm¢nt
Invesim¢nts made by the charitable compaDy are noi
properly managed or perfonn Fw)orly whith lead io
r¢dLEciion Jn funding Ihat would bt availabl¢ 10 SilPPQrt
the objeciives of the ¢hariMblt compony.
Use of 44>roved inve$imeni counrerparties wiihift
approved fmancial limits coupled with a ¢l¢ar inve51meni
polity focused delivering T¢￿rn$ and fvnd5 for the
chariiabk company's strategi¢ obje¢tlV¢5. The Inv¢stmeni
Comrnillrt reBul4rly reviews the invesirntnt portFolio with
rh¢ invcsthbEni manag¢TS and Teports rcgularly to the
Tn￿tees.
Claims Conference:
Thechariiable company suffers a redwiion in hjnding
from the Claim5 Conference, which lead5 19 lower
fundin8 available tD both the charitable company's
beneficiaries and those of other 08en¢ies and Chariiies
wirhin ihc UK Urnbrella Group {-A8enciesy which
thc rharilablc company Icads.
A eonstani and constructive dialo8u¢ is rnaintained with the
Claims Confertnte ro ensure that internal ctsntro15 and
compliance mtti ihecondilions imposed. coupled with both
$taluiOry audii and Claims Conference alldits.
The inability to recover ￿nI funding made by Controls are in plK¢ {iD¢lydiTh8 regular liai50n). coupled
charity io bert¢ficiaries and io the Agencies.
withaudii sryle Teviews, overthe Agencic5' own beneflciary
beneficiaries in advanct of receipt of monies from th¢ documenthrioth to Cnsure that Claims Cooferenc¢ ¢ondirions
Claim5 Conferertce.
are met. An indemThity a￿an&ement is it) place to protect the
cltarrtable company in the event that ihe Age￿Ie5 do nor
comply with the relevant ¢ondition5. In March 2021 Ihe
bilaieral a￿ementS with ihe Agencies were reviewed.
pdated and re-sigThed and afford the charitable company
gre&eT protection from the risk5 in disbuTsittg Claims
confer￿¢¢ fund5.

THE ASSOCIATION OF JEWISH REFUCEES (AJR)
TRUSTEES, REPORT
FOR THE YEAR Ef4DED 31 DECEMBER 2021 (CoDtiuued)
STRUCTURE, GOVERNANCE AYL D MANAGEMENT (￿￿tInUed
Risks Ind intern*1 tontroh {co&ll￿med}
Action taken
te the risk
Gr*nt$
The ¢hariiable company 15 unable io support its
objectives Eecau5e of z failure io control properly
grants and awards made from its own funds.
Controls Itx)th l)udgeiary and in ternis of obie¢ttv¢) ar¢ in
place ¢0 ensure proper scrutiny of all application5 made io
rhe charitable company for support (together with
appropriaie follow up m)st award), whether ihese are in
resp¢¢t of edu¢ational proje¢ts or financial sUPPOrt for
bencfKiarics beyond that provided frorn Claim5
Cortference monies.
Reputation
Evenis which May adversely atreci the ¢hariiable
company's repu￿tiOn and operations. The% could
include a $erious daia security breach from a ¢￿T-
anack or non-compli3nce with data protection law& a
serious fraud, an issue relaied to th¢ thartlable
company's human resource practice5 and behaviour5.
or a significani health and Safety ot safegLArding
Lrtcideni. Other risks include the failure to atN8d.
develop and retain talEnted staff and the ir4bility 10
r¢cruii SUtTi¢ieni numbers of volunleers.
Policies and pTaaic¢s are sd and monitored by senior
managemeni and the TruX¢t& including an organisatiort
wide risk manag¢m¢ni prowmm¢, which includes anti-
fraud processes and contro15 a5 well as comprehensive
training artd awaren￿$ programmes for all staff. This
includcs data protection and safeguarding training and
remindcrn
Inf¢Jrm8tion security policies and proc¢dwe5 ar¢ in pla¢e
which include securily patching, vulnerability scanning,
penttration tesiin8 and the use of ant￿vIn15 software.
DedicaTed specialist resoiir¢f5 are used for $8feguarding.
dau security, health and safery.
Talent manag¢menL volunieer acquisiiion and management
together with 5w¢ession planning programmes are in place.
Regular reviews are undertaken of recroilment and
re50ur¢iTtg PTocesses. with benchmarking undertak¢n of
compensation acr955 key disciplines.
The st¢ps iaken to modify the operatin8 meihods of the charitable company ro miti8aie risks ari5in8 from the Covid-19
pand¢mi¢ en.%ured ctsntinuity of servi¢e and helped protttt tl?enrs and siaff. Protocols ouilining ¢orbditions for l)ome visi1$
by the charitable company's S￿la[ Workers and volunfeeT5 a5 well a5 OUtr¢a¢h coordinaiors are regularly reviewed by
sensor rnaJagem¢nr. These will remairt in pla¢e for as long as ihe Tn￿let$ consid¢r necessary as advised by senior
management.

THE ASSOCIATION OF JEWISH REFUGEES (AJR)
TRUSTEES. REPORT (tottilAued)
FOR THE YEAR ENDED 31 DECEMBER 202]
STRu￿uRE. GOVERNANCE AND MANAGEMENT (tonliou¢d)
Connected parties
The Chariiable ¢omp8ny ha$ strong links with thc following orEanisation$ with ￿]Ch working ttlationships have bern
e5tabli5hed or continued..
anis*¢io
ivi
Natu
f relati
n5hi
Confer¢n¢e on J¢wi5h Maierial Negoliaiin8 with Ge￿anY8￿￿ Austria on
Claims Against Germany Inc.
behalf of Holocaust survivors and
{"Claims ConfeTence")
refu8ees and actin8 as the suctessor of
heirless property in those countrie5.
The Chief Exe¢utiv¢ sits on Ib¢ Board
of Direct(Y5.
United Restilution (kganisation
Provision of funds ¢0 UK resident victim5
of Nazi iJppressiM of Geman OTiBin.
Strong ongoing relationship
(UKO)
Wiener Holocau# Lilwary
One of ihe world's leadin8 and m051
cxtensivE arthives on the Holo¢ausi and
Nazi
One Truste¢ is a mEmber of Ihe Board
of TnLSte¢s, one Tru$iee is a rnernber
of the Endowment T￿￿1 and one
Trusie¢ is Joini President.
Detsils of tyansa¢tions with these or8anisations are scl out in thc note5 10 the accounts.
0￿£criVE& ACTIVITIES AND PUBLIC BENEFIT
The main objectives of the charitable company are io provide 5uppn to its beneflciaries who are Jewish SUTvivors of. and
Tefvg¢¢5 from. Nazi OPPTes5ion and their d¢pendents experiencin8 illness and frailty, to relieve their financial di$¢res5 and
to provide granrs to promote education about. and commemoration of. th¢ Holocaust and related maiters.
During the year ihe TnL#ets 8ave due re8ard th thc 8uidancc issyed by the Charity Commission on thc subjttt of public
benefit at)d were satisfied ihat these requirements were fijlly mtt.
During the year. the charitable company provided and fvnded a range of servic¢$ ¢0 ¢nhan¢¢ the welfar¢ and maintain ihe
Jl¢ural fdditions and interest5 of lorrner Jewish rcfugecs from Nazi OPPTes5ion. In addilion. li provided ￿ndS io thos¢
former r¢fugees in need, funded further retording of life hi5t0ri¢5 of survivin8 refugees and made edu¢ational grat)t5 in
relation io Holocaust Studies and other gran¢$ io ￿rpetUa￿ awar¢nes5 of ihe Hol￿aust and the suffering it caused. The
charitable company ha5 increased its commitmeni ro the wming of conference5 and seminar$ on matters reiaiing to ihe
rnemorialisation of the HoloEaust, although the ability to exe¢uie 5uEh activity durLn8 year was cortstrained by Covid-
19.
The servi¢e$ provided included advi¢¢ and guidance on welfare benefir5. foreign pension entitlements and reparaiions..
volunteers vi51ted those who wer¢ housebound. providing¢ompanionshipand LO assisi with praciical mallers. kosher meals-
on-wheels were delivered weekly and a social services department provided £(￿prehenSive w¢lfare seryices and as5e5sed
m¢mb¢rs' needs in Iheir home5. The chariiable cornpdny continu¢5to a55151 mernbews and their de%cndants to Explore their
¢li¥ibiliiy 10 r¢store their fonner citizenship.
Some of the ¢haritable company's core aeiiviiies and serYrce5 were ￿atlY impackd by the restrictions of Covrd-19
including rnembers. attendance at ib¢ Jewish Care day ¢entr¢ facility, the regi￿al groups at which member5 would
oiherwise meet to share their Coryunon hefitsge and outreach to unaifiliated suryivors and refugees; ¢oncens, holidays.
ouiin8s and eniertainment were similarly ¢urtailed.
The Eharitable company serves as • lead charity in an Umbrella Group of five UK clwiiies which support Holocaust
survivors aftd refugees. lrt filling this rok, it engages in discussi0Tr5 with ihe Claims Conferen¢e concerning social welfare
pmgramrne5, principally the PTOVi5ion of HomecarE and oiher in home ser¥ice$ and emergency care fimded byihe Gernian
and Ausrrian Governm¢n15. and is a condutt for ihe receipi and disbursal of fund5 ￿ those a8en¢ie5 and iheir beneficiaries.
The charhiable company has also administered a similar programTne of managemeni of funding provided by the United
Resiitution 0r8anisation (URO) to 5UPPOtt Victims of Nazi persecution who are of Geman origin with social and
emcr8ency needs.
Th¢ charltable cornpaThy actively partLClPatu in dcliverinÈ the mi55kOrt of the Iniernational Holocausi Remembran¢¢
Alliance, 80 iniernational organssation whose objectives are LO nise awareness of and appropriarely mcmorialise the
Holocau51.

THE ASSOCIATION OF JEWISH REFUCELS (AJR}
TRUSTEES. REPORT {tonlinue411
FOR THE YEAR ENDED 31 DECEMBER 2021
OBJEcfivES AcfiviTIES AND PUBLIC BENEFIT (continued)
Among irs related activiiies, the charitable compw)y ha5 participated in the UK Governrnent's consulrations to creaic a
national Holo¢aus¢ memorial and learnin8 centre adjacent LO Parliament in Westminst¢r.
The ¢haritable company uses volunteers to support Its social outreach activity. Volunteers visit and call members to
miligate isolation and io assisi in Icarning activity particularly in relation to the use of infomiaiion technology. More than
300 volurtieers provided approximately 20,000 hours of visii lime. supplemenling lh¢ social service learn by the equivalent
of13 fv11 t¥me and outreKh ￿aff. calling OD rn¢mbus and helping oui ￿ events.
Crnnt m*klng policy
The AJR disbursed social welfaTe wnis to individu81 AJR members whose requesis wer¢ ¢on5ider¢d on a case by case
basis. Subject to each yant being fora purpose in line with the objedives of the ¢harii•ble Company.
As the lead agency of the Umbr¢lla Grnup. the AJR also disbursed gTan15 to Holocaull Survivors and Tefugees. ineluding
iho$e who were noi AJR members. from the monie5 allocated 10 the UK from the Claims Conference. These awards were
approved by an Advi50ry Commillee or as oiherwise required under the lern￿ of the Claims Confrrence grants. It also
acted a5 paying ageni for gran1$ awarded by Ihe URO.
Alottgside the grants to individuals for social welfaff pu￿05¢$, a sub- commitwe OrTn￿lee5 an￿ for larger projects, the
11 body oFTrustees, Considered proposals from individuals, Ic*al cofflmunity groups and rnstitutions for the support of
oject5 rclating io Holocaust cducation ond memoriali5aiion. The chariuble company emplo￿ a Heod of Educational
Granrs and Sp¢¢ial Projects its provide a profession•1 assessmeoi of proje¢t applicaiioDS, io devise appropriwe educalional
and comm¢morativ¢ projects and generally io advise ihe TnLsie¢s in these mall¢rs.
ACHIEVEMENTS AND PERFORMANCE
The fina￿]31 smtements for the year endrd 31 December 2021 show * net reduction in funds of £169k {2020.. redu¢iion
£1.934k).
The operating defi¢i¢ncy before inv¢stmeni gaitts was £2.4m (2020.. £2. Im). This £0.3m incttase irt rh¢ d¢fi¢it retkct5 a
partial easing of Covid-19 restri￿lofts and a movernent back towards"bLL%ine5$ as usual"
Covid-19 PTofoundly affected thc manner in whtch the Charitable ￿rnpany delivercd its services during the ye8r:
Social work and adminisrrative aciivity were delivered both in person a￿1 remoiely."
Social work teams maintain¢d continuity of servi¢¢ throu8h in person visits. *lephonic and Virtual methods.
Garden visits and hornE V15its were Carried out during ihe lime win¢Jow in which these were pemiitted.
Re8iOllat GrottploLLtreach programme5. previously arranged as physical meeting5 and evtni& were rcplac¢d by
online events aftd activilies.
A weekly e-newsletter was published which ￿ts[ly $trengtkned lh¢ communic*ion chann¢l io members and
supported participation in onlin¢ aciivity.
Administraiive servires. including ihe prorEssing of all welfare paymenis. were continued with minimal
intcrnjption via both homeworking arrdn8ernenis and office based working.
SiÈnifi¢ant so¢ial and edUC￿lOn21 events re5tart¢d in the latter part of the ￿ar. including the annual tea (on-lirtel and an
cdu£aiional conference ftxusing on th¢ second 8eneration (a hybrid event hosted at Ch¢15ea F￿ball Club and also
streamed on-line).
TheTru5tees c¢Jnlinue ro monktOT In￿5¢m¢nI 5trategyihrou8h the Invwmerrtcommittee and through q￿lifIed ind¢p¢ndent
advisors. £3.9m of th¢ Investmeni portfolio of the charitable company is invested in a lower risk absolute return fund and
this. togeiher wiib its cash T¢￿1ve$. provides liquith.ly and f￿anCial protcclion in times of unstablc mark¢t conditions.

THE ASSOCIATION OF JEWISH REFUGEES (AJR)
TRUSTEES. REPORT (eontinu¢d)
FOR THE YEAR ENDED31 DECEMBER2021
ACHIEVEMEJYTS AND PERFORMANCE (contioued)
lrnpac¢
Th¢ T￿51¢¢$ ¥5esy the 5utte5s of the Charttable Company's actlvity in temis of:
The oYer811 number of rnernbeTS that il SUPPOrts and the number of Nazs viaims within the Urnbrella Group who
benefit from the deliv¢ry of the welfare proyamrne$ administered by the Claims Conference and the URO.
The mainienance and enhaftcement of its own welfare grant making programm¢.
Attendances {brsih physically and virtually) aL and tsk¢ up of, outreach and social progrdmme5.
The lev¢] and regularity of social work visits io, and a55¢ssmcnts of. its members.
The nature and quality of outpui of the in51iwiions whose projecis it fuTh4s for commemorative and
educational pu￿$¢$.
Records are maintained which report on the kvcl of social 5ervi¢e visit¥ welfare grnnis paid and numbers of ￿￿1 Vi¢iim$
assis*d. R¢ports are available to the TTustres. the Clairns Conference and key members of mapagement.
Reports and upd8tes are reque$i¢d from organisaiions wh¢)se educauonal and commerrtoraiive proiects the charitable
company fund$ to demonstraiE thai grants given are used ¢ff￿lIVe]Y for the PUEpose for whi¢h Ihey were made.
Overall rn¢mber5hip over the year remained stable endin8 2021 ai 1.858. 198 new mcmber5 joined. offsctting 227 leavers,
of which 161 sadly passed away. 23Yo of joiners were fjrsi 8encralion and 77% wcrc Second and third generation. whith is
indicaiive of the attraciion of membership io descendants of our wimary memb¢rs. This is a matter Ihc TnJsiee5 reco8ni5e
and will focus on in ihe month$ and years ahead_
During ihe year rhe ¢haTiiabl¢ company's ream of xtial workers con5iStin8 of 14.4 fv11 time equivaleftt staff. made close
to 6.000 coniacts by way of visils or t¢l¢phone ulls to m¢mbBrs needing 5uppon.
In to¢al, the chaTltable company received grants rela¢iThg to it5 ow# rncmben from and throtsgh the Claims Conference and
URO amouniin8 to £4.4m (2020.. £3.5rn) rewescniing a continuin8 50UTCC of grnnt income for specific social proje¢¢s thai
wer¢ in line with the activities of th¢)se organisation5 as detailed bclow. £3.7rn {2020.. £2.8ml was distributed directly 10
members. lh¢ r¢maind¢r being 8 contribuiion toward5 Ihe charirable c￿npanY'S cos15 of administering the Umbrella Group
And disbursing welfare hnds A fi￿her £0_7m (2020.. £0.9m) wa5 distributed to over 120 of the needie51 members of ihe
thariEable Company as part of its Owt) welfare programme.
Arising from its relationship with the Claims Conferencc and URO. a total of £9.5m (2020.. £8.6ml of Claims Conference
fundin8 was adminLSl¢red by the chariiable companyon behalfof itself and oiheragencies in ih¢ Umbrella Group including
the ￿antS shown as resrricL¢d fvnd income and eipendirure in these financial 5taLernenls. Of the £9.5m. £4.4m as above
relates directly to AJR members and is reflected in the financial statements. These fvnds art Used to support needy Jewsh
victims of Nazi persecution with the provLSLon of carers to enable them to remain in their own homes. and to assist with
medtcal, housRn8. transFQrt and ￿h¢r w8eni n£¢ds. These wwamrnc5 have 5upW￿ed in exress of 450 vi¢iims of Nazi
oppression.
The our¢¢a¢h aciiviry of the charitable company included the holding of 381 meetin8s (the majority of which were online)
At which th￿¢ were 8,601 wdividual aEtendances by members across th¢ country.
Growth in 5ervLee provisiort and its fvnding during 2021 was resrri¢ied by the impaci of Covid-19. Th¢ number of ¢lientS
rcceivin8 Hornetore funditsg during 2021 de¢lined through monalily or an inability to 5ecuff ur¢rs in the home.
The pand¢mic limited the abtlity of agencies io offer day care facililyand trdv¢I was rnuch re5tri¢ied ¥esultiJJg in Ihe use of
f¢weT hjnds for ihe$¢ ser¥ices. Neverthel¢ss. the peak levels of Homerare funding reachEd by ille cnd of 2019 after Ihe
con(inuou5 growth of thai year weTe sustained 50 thau by way of comparison in 2021. 42,000 additional hours of care were
nd¢d ovcr 2020. In total 644.000 hours of care were funded.

THE ASSOCIATION OF JEWISH REFUGEES (AJR)
TRUSTEES. REPORT (tontlDued)
FOR THE YEAR ENDED 31 DECEMBER2021
ACHIEVEMENTS AND PERFORMANCE Icothtlfftued)
Despiie the pandemic. we su¢¢eded in rnarking Ihe AJR'S 80th anniversary with a serie$ of events and celebrations as well
as two high-profile llationwide proj¢¢ts. July we launched ow 80 Trees for 80 Year5 wojecL planting native species of
trees. mostly oak¥ at 80 different locattons throughout the UK io mark plxe5 ihai were 5i8nifhcant ro the Jewish refugees.
AJR members were invited to sponsor a tree in honour of a loved one. Th¢ rree planting ceremonics. which began in
November. have io date been allended by a cornbit￿d physi¢81 awJien¢¢ of approximately 1,500 p¢opl¢, including eight
Lord Lieuienan15. 50 Mayor5 and I S MPS.
In December. we also launched The UK Holocaust Map. in partnership with the DepartrnCDt for Levellin8 Up, Housing
and Communities. Thi5 online platform hi8hli8htS SllC5 of mcrnory across the UK related to Britain's responses io N8zi$m
and the Holocaust. As well as ihe trees. the map features layers of tTrfornalion drawn frorn numerous 50UT¢es. including
from partrer organisatiorts and the AJR'S owrt resoLLtces such a5 our Refi]8ee Voices archive.
Refugee Voices. the tharitable Company's arthive of TtCOTded and d[un￿nted interriews wilh refvgees, ¢rcated in 2003.
was cxpanded wth a fvrther nine interviews and associated records.
We pay Thbut¢ to Carol Hart MBE. our ind¢f8ti8able Head of Volunteer Services who sadly passed away ihis year. HeT
contyibulion io volvnieerin& as well as io the AJR wa5 imrneasurdble. and her lo&$ ¢oThtinttes to be keenly felt.
The Tru51ees are ￿te￿I for theconsiderable efforts made by the c(Mnpany's employees the many voluThLeeTS to deliver
the many achievements described abov¢.
Deiai15 of granis made for edu¢aiional purposes are as follows:
Beneficiary
Amount Purpose of award
8fdnied
£15k Creating Holocau￿ resources for Welsh schools
£25k To support-The Journey" on portable virtual media
£5k HOl￿a￿st Mcmorial Day teacherr£source5
£5k Sponsorship of 2021 fesiival
£l(KJk Towards projects of particular interest to the charitable company
£32k Anii-racism and Holocaust ¢dtscaiion
£16k
AberysN￿l University
Naiional Hol￿a￿$t Centre
National Li¢erocy Trust
UK Jewish Filtn Festival
Wiener Holocausi Library
Facing History and Ourselv¢s
Other
Total
£198k
In total. £382k in grants were disrributed in 2021 of which £178k wtrc awarded prior tr) 2021. Thcsc included £I02k to the
Imperial War Museum and £50.000 to Huddetsfiejd Univ¢rnity io supp)rt their Holo¢awsi educaiion pro8rarnmes.
FINANCIAL REVIEW
Restrve5
Ai the balance Sheet date. Total WE5erv¢s ai £23.7m (2020". £23.9m). a]1 of which 15 itiirt5trithed. The TnJst¢es seek to
ensure that the level of reserves of Lhe ¢hariiable company are sufficient to fvnd the provision of it5 5ervire5 for the
foreseeable future independent of grant income which 15 Th)t guarante￿.
Following a $rrategi¢ review of its aciiviti¢s andcommirmeni& the Tru5tee5 adopied a straie8ic plan in 2019. Con$iderdtion
was given ¢0 the dernographit profile of The ￿em￿r5￿1P of rhe charitable comparty and how thal was likely io ¢han8e over
the next ten years. The TTusiec$ Considered that the charitable ¢ompany had suffi¢ien¢ reserves io med its tharithble
obj¢¢(ives for the foreseeable fvtt￿e.

THE ASSOCIA TION OF JEWISH REFUGEES (AIR)
TRUStEES' REPORT (coAtIDued)
FOR THE YEAR ENDED31 DECEMBER 2021
FINANCIAL REVIEW (eonti#yed)
Investment poliey
The policy of the Charitsble company hs to retain e&sh balance5 Sutficieni io manage the day-tTrd)y working Capital of the
eniire Urnbrclla Group with respe￿ io Claims Conference activity as well a5 its own OLLtgoin85. Cash balances above this
l¢v¢l ar¢ placed with the charithble company'5 inv¢sth)enl maiia8¢rs Rothly)ne Inv¢smieni Managerneni Limited and
Ruffer LLP ('kne M30agersJ. to whom the investment of the fuTrJs of ihe charitabl¢ romparty is dele8ated on a
discretionary basis.
The broad objtctive$ in r¢lation io the investment of the asseis were and will remain the management of invE5tm¢rtts ftir a
balan¢¢d combinarson of ineome and growth. reviewcd periodically by the lttvesrmetht Committee and its advisors, and, in
making or v&rying the invesmients. erbsuring that the Managers hav¢ regard to the followin8 ¢riteria:
Ihe suitability of any particutar investrneni proposed io be made or ￿laIned
the The¢d for divcr5ification of the investments so far 8$ is appropriate 10 the cir¢umsian¢¢s of the charitable
company.
In relation to the ?bov¢ criteri4 it should bE noted that the total value of the nct 8s*ts of ihe ¢hariiable ¢ompaThy at the
year-end was £23.7m. of which the invesfmeni Portftslio amowiied w £20.5rn. C4sh h¢Id on deposÉt increased to £3.8m.
The Tru￿¢¢$ have we¢d p¢rfonnance benchmarks for thc Managers as detailed below..
Raihbon¢.'
PIMFA Balanced (Personal Invest￿*￿1 Manag¢m¢nt & Financial Advi¢e Asso¢i*ion)
Ruffer..
An absolute Terum appmach with the twio objeciives of n(M losin8 value in any rollin8 iwelve-month
period while 8rowin8 fuftd5 at a hi8her rate than W[￿ld be achECTrtd by investing in ¢ash.
The charitable ¢ornpany dots not 8enerally acquire invesmi¢nts in matkeis wheTe maTkeiabiliiy is limit¢d.
There ue no tsx or Icgal constraints which affttt the countries or jurisdictions in which the invesmienis are held.
FUNDRAISING
The chariTable company does not solicit fvnds Via phone. email. d1￿ct mail OT by using third party commercial fiJndrai5er5
and does noi fundraise via a general ¢all foi support. The charitable Company is comrnitted ro being accountable and
r¢spon5ible an4 should its fundraisitLB approa¢h Change in the fvture, will register with the UK FundT4isin8 Regulalor.
The charitable company re¢eived no ¢omplaints abow fut)draisin8 ¥iivity during either 2020 or 2021.
FUTURE PLANS
li is iniended Ihat the ¢harrtable company will continue io support ihe neEd5 of Jewish vietims of Nazi opprES5ton with a
range of seryices and to support apprOpri￿e educational and commemorative initiatives relaiiThg 10 (hE Holocau$i.
During 2018. the Trumees decided to ca￿Y out a fitll Ion84em 5tratc8ic miew to determine the Datute of its operation5.
A third-party consultani was appOi￿ted io fa¢ilitaie this Teview and w(pTk commenced during rhat year which concluded
durin8 2019. The strate8ic review been r¢frc5hed land was again reviewed in 2021) and it was a8reed ihat the straiegic
fo¢u5 of the charitable company will ¢imlinue to br..
Supportin8 the FIN Generation ofsurvivors and fffvgees
tkvelopitt8 servi¢es and &iivities for the S¢¢ond G¢DeTation
Sponsoring Holixaust commemoration. teaching and learnrng

THE ASSOCJATION OF JEWISH REFUGEES {AJRI
rATEMEPIT OF TRUSTEES, RESPONSIBILITIES
The Twstees {who are also the Dir¢ciors of The Asso¢iation of Jewish R¢fiL8ees (AJRI for the purposes of company law)
are responsible for preparing th¢ TnLxees' report and ihe financial statemen15 in ac¢oTdatKe wilh applicable law and UK
ac¢ouniing llandard5 (UniTed Kingdom Gcnerally Accepted A¢¢oun¢ing PTac¢i¢e).
Charity law requires rhe frusi¢e5 to prepare financio15taicmeThts for each finarKial year which 8ive a true and fair view of
the 51ate of affairs of the charitablc company and of ijwoming r¢sour¢e5 and appli¢a¢ion of re$ource5. in¢ludin8 the
omc and expeDditure. of the ¢hartTable Company for that period. In PTeparin8 Ihese fJn3ncial st8rernents. the Trnstees
aye required io-.
Seleu suitable x¢ounting policies and theTh apply them consistently-
Observe the method5 and principks in ihe Chariries SORP:
Make judgments atMI estitnates that are reasonable and prudenL
State whether applicable UK aCC￿J￿11nE siandard$ have been followed. $Lkbje¢i io anymateri81 departur¢s
dis¢losed and explained ITh the financial Mai¢men15: and
Prepare the financial siaiements on thc goin8 concern basis unle$5 Lt is irt8ppropriate to Presume that the
haritable company will continue iTh IMLsiness.
The charitabl¢ company's investtnents aod liquid res¢wrce5 are such th* * any lime thcy can bc convcrttd into cash afid
thus enable it to meet its liabilitie5 and committncnts as they fall thic.
The Trus￿¢9 are responsible for keepiTh8adequate accountin8 records thai are 51iffi¢ieThi to show and explain thc charitable
ompany's transactiofis and disclos¢ with reasonable ic¢uracy at any time th¢ fJrtaDcial position of ¢h¢ charitable rompany
&nd enable them io ensure ihai th¢ finaTh¢i81 siaiements comply with ihe Cornpanies Act 2006. They are a150 responsible
for 5afe8uardin8 ihe a55dS of rhe rharitable company and hen¢e for thkingreasonablt steps forthe preveniion and deieciion
of fraud and other irregularities.
The TTusiees ar¢ respon5ibl¢ for thr moiThlcnan¢¢ and integrity tsf th¢ ¢orporate and firtancial iofomiation included on the
¢hari¢oble compaDy'5 website. Legislaiion in thc Urtit¢d Kingdom governingth¢ pr¢paraiion and disserninaiion orrinancial
siaiemcnrs may differ from Icgi51ation in other juri5diciioDS_
Tbe TnL$tees have perniitted the auditorio underTrke whatever in5wion5 ki considers to be appropriate forthe purpose of
enablin8 ihe auditor to give its audii opinton.
So far as ¢ach of the Tru5tttS 15 awaT¢ at the time the Teport is approv¢d:
Ihere 15 no relevartt audii inf0rn14i￿ of the charitable company's al￿￿10T is unjware; aThd
Ihe Trusrees have taken all 51eps that they ought to have taken io rnakc themselves aware of any relevant audir
information ar￿ to eslabli$h ihat the auditors aT¢ aware of that infomation.
APPROVAL
23 kJvLQ To LL
This report was approved by the Trn5te¢s on ......................
behalf by".
.and signed on their
Chainnan
10

INDEPENDENT AUDITOR'S REPORT TO THE TRUSTEES OF THE ASSOCIATION OF JEWISH
REFUGEES (AJR)
Opinion
We have audited the financial swements of the A5%Jciaiion of Jewish Rcfugee5 (AJR) for the year ended 31 December
2021, which comprise ihe Staiemcnt of Financial A¢iiviti¢s, the Balan¢¢ Sheet, Cash Flow Siattmcnt and notes io the
rinancial statements. including a summary of si8nificanl accounting policies. The firyancial reporting fram¢work that ha5
been applied in rh¢ir prepataiion is applicable law and Unitrd Kingdom Accounting Standard& including Financial
Reportin8 Standard 102 The FirtonctalReporli￿8$lo￿daydoPP[icQble inihe UK&ndRepublic oflrelond(United Kingdom
Generally A¢¢epted A¢¢ounting Prac¢i¢e).
In our opinion, the financial ststement5'.
give a trut and fa￿ view of the siaie of the rharilablc company's affairs as at 31 tkcembcr 2021 and of the
eh&rifab5e company'5 nei nb)vement in fvnds, including the in¢ome and expendituie. for thc Y￿ then ended:
have been properly prepared in ac¢ordaTh¢e with Unjied Kin8dom Gencrally Atcepied Accouniing Pra¢ii¢e: and
hav¢ beet) prepared in a¢¢ordanrx with the ffquiffrnents olth¢ Cornpanic5 Act 2006.
BA5is for opinion
We conducted our audit in accordance with Internaiional Standards on Auditing (UK) {ISAs (UKI) and applicable law.
Our re$pon5ibiliiies underihose standards are fijrther described in the Audiior's responsibilitie5 forthe audit ofthe financial
siarements sectiort of ourreport. We are independent of the ¢hartt2ble company in accoTdance with ihc cihical requirement5
tha¢ are relevant io our audii of the fjrsancial siatements in the UK, includin8 thc FRC'S Ethical S¢artdard. and we have
IfLlled our other ethical responsibilities in attordan¢e with Lhese r¢quiremertts. We believe that th¢ audit evidence we
have obtained is $uffi¢ieni and appropriate to provide a basis for our opinion.
Conclusions relating to going coD<ern
In auditirtg the financial 51ai¢ments. we have concluded thai the TrnMees' use ofthe going Concern basis Df a¢¢ouoiin8 in
the prepar￿lon of the financvdl sotements 1$ appropria
Based on the work we have perfoTmed. we have not identified any maierial uncenainiies relating to events or condiiions
that. ithdividually or collectively, may sigTrifJ¢ant doLrbt Ot? the charirable company's ability to continue as 8 80ing
oncern for a period of at Icast twelve rnonth5 from whcn ihc financial statements art authorised for issue.
Our re$pon$ibilLtie$ and the responsibiliiie$ of the TnLStees with re5pe¢r (o going concern are described in the relevant
sert1￿ of this Tepon.
Other information
The Trusiees are responsible for the other infornation. The oiher infornmtion comprises ihe information included in ihe
Twstees. Annual fieport. Our opinion on the financial 5tatement5 doe5 not cover the other infomiation and, excepi ro the
extent otherwise explicirly $tatcd in our report. we do not expr¢ss any fomi of assurance conclusion ¢h¢reon.
In Co[￿¢¢t10n with our audit of the fmancial siatemrnts. our responsibility 15 10 read the other infomiation and, in doing so,
con5idtr whether the other inforniaiioo is maierially inconsisrent with the financial statements or our knowledge obtained
im the auditor otherwise app¢arsto ￿ maierially rnissratcd. If we identsfy such rnateTial in¢onsisten¢ie5 orappaieni material
misstaternents. we are Tequired to dct¢nnine whtiher thcre is a mai¢Tial missiaiemeni in thc financial statement5 or
material misstatemen( of the o(her inforniation. If. based on the work we have performed. we Co￿l￿de that ther¢ 1$ a
material mi5518temeni of this other inftirniation. we arerequiTed to wepmthat fact. We have noihin8ior¢pon in Ihis rewd.

INDEPENDENT AUDITOR'S REPORT TO THE TRUSTEES OF THE ASSOCIATION OF JEWISH
REFUCEES {AJR)
OpinroTrs other m*tttrs pr¢J¢ribed by th¢ Comp•ni¢s Arf 2006
In our opinion. based on ihc work undertaken in the course of ihe audbl=
infornjatiork siven in ibe TTU5t¢e5' Annual R¢port (which in¢orporates the straiegic repon and th¢ dir¢ctors'
report) for ihe financial year for which the financial 5uiernenis are prepared i5 consistent with Ihe financial
5tatemcnt5.' and
the SWdie8jc report and the diretiOTS' rejxsrt included within thE TruMees' Annual Report has been prepaTed in
aecordanee wilh applicable le8al requiTements.
Responslbilliles of Trusiees for the fithah¢i*l $tit¢m¢n15
As explained more fully in the TTu4ee5' resP￿￿1b11IIi￿ statemenl Sd Out on page 10. th¢ TnJstee5 (who are also ih¢
diTe¢tOTS of th¢ charitable Company for the purposes of company law) are responsible for the preparaiiun of lh¢ fman¢ial
stsiements and for being salisfied that they give a twe and fair view, and for such internal eonm)l as the TNsiees determine
is necessary io enable the preparaiioTr of finan¢i?I siatemenis that are free from matErial mis5tatemenL wh￿her due lo fraud
oreTror.
ID preparin8ihe financial staternenis. the TnLS*es are re5pon5ible for assessing th¢ charitable company's abilityto continue
2$ a going CO￿trn. dis¢losiN& as applicable. matters r¢lated io going concern and using ihe going con¢em basis of
a¢¢ouniing unless the TnLStees either intend to liquidate the charitable company or to cease operaiions. or have no realistic
alternative bui to do 50.
Auditor's r¢$ponsibilities for the •udii of tht fiA•ffjEi#) stsiem¢ffjts
Our objecriv¢s are to obiain reasonable assura￿¢¢ oboui wh¢th¢r the fJnarKial statements as a whole are free from material
misstatement. whether due io fraud orcrror, and 10 issue an auditor's reportihar include5 our opinion. Reasonable Assurance
is a high level of assurdnce l¥Jt 15 not a guardnttt that an audii conducted in a¢¢ordance with ISAS (UK) will always deie¢r
a material mi$statemeni wheft li exi51s. Missratemenis can orise from fraud or error and are considered material if.
individually or in the a88re8att, Ihey could rcasoThably be expec*d to influence the economic decision5 of ustr5 taken on
the basis of these fJnaTrcial 5talemet)ts.
Irregulariiies, in¢ludinB fraud, are instancu of non-compliatKe wilh laws and re8ulatJons. We design proc¢dures in linc
wilh our responsibilities. ouilined above. (o dete¢t material misstatements in tespett of irrcgulariti4 including fraud. Th¢
extent to whi¢h our procedures are ¢apable of deie¢tirtg irregulaTilieg in¢ludiftg fraud is detail¢d below..
Based on our understandin8 of the charitable Company ahd ihc environment in whith li operates, we identified ihai lh¢
principal risks of non-compliance with laws attd regulations rclated to the legal and regulaiory requirements pertaining io
regi#¢r¢d ehariiie$, and w¢ considcred lh¢ ext¢ni io which non-¢ompliance might ha¥¢ a material effect on the fLnan¢ial
stsiements. We also considered those laws and regulaiions that have *{ d1￿cl Impa¢1 on the preparatiort of th¢ fjnancial
sktements su¢h as the Comp3nies Aci 2006 and the Ch¥ities A¢1 2011, and other factors such a5 income lax and P8yToII
lax¢5.
We evaluated man8gement's incetttives aTrJ op￿rt￿litieS forfrauduleni rnanipulEtionofthe financial $18ternEnt5 (incltsding
the risk of override of controls) and detcrrnincd that the principal risks were related rnanual ac¢ounting journal5.
Audit procedllres perfornled by the engagemem team Included:
Inspeciing correwnden¢e with Tegulaiors and w authoriues;
Discussions wilh managemeni in¢luding considernion of kno￿ or suspected instance5 of non-tompliance wilh
law5 and re8ulation and fraud.
Evaluating Tn3nag¢ment's ¢oDtrols d¢signed w preveni and det¢rt Irre8Ltlariiies'
IderttifyiDg and testing journals. in particular journal entries posted with Un1￿ul1 aceouTri tombinaiions, p05tings
by unusual users or with unusual descripiion5' and
Challenging a55umption5 and judgements made by management in iheir ¢rili¢al a¢coun¢in8 esiirnaies
A fiJnh¢T d¢5criprron of our respon5ibiliiies for thc audit of the f￿anCial statements is lo¢ated on the Financial Rcportin8
Council'5 website at.. www.frr.OTS.uklaudiioNeswnsibilities. This d¢scription forn￿ part of our auditor's repon.
12

INDEPENDENT AUDITOR'SREPORTTOTHETRUSTEES OFTHE ASSOCIATION OFJEWISH
REFUCEES (AJR)
Use of our report
This Teport is made solely ro the charitable compan￿$ members. as a body, kn accor¢Jance with Chapter 3 of Part 16 of thc
Companies Act 2006. (kn audit work ha5 been undertaken 50 that we rni8ht state io the ¢haTitable ¢omparty's members
those matrers we ar¢ requhred io stsie ro them in an Auditorfs report and for no other purpose. To the fvllesi extrni pem)itted
by law, we do not acceptorwume respon5ibil>tyioanyone otherihan the ¢hari18ble companyand rhe charitable company's
m¢mbers, as a body. for our audit work. for this rewi. or for the opinion% we have fomkd.
Adam Ha15ey (Scnior S¢atuiory Auditor)
For and on behalf of Haysma¢inwe LLP. Statutory Auditors
10 Q￿en Str¢¢i Plac¢
London
EC4R IAG
4 Juty 2022
13

THE ASSOCIATION OF JEWISH REFUGEES (AJR)
STATEMEJYT OF FINANCIAL A￿1VITIEs
FOR THE YEAR ENDED31 DECEMBER 2021
2021
Total
Funds
2020
Total
Funds
Unrestrieted
Fund$
Restrl¢i¢d
Ftrnd$
Noies
Income frnm:
Donations and le8J¢ies
183.929
183,929
399.651
ChaTltablc a¢iivittes:
Grnnts for welfare work
Social and welfare aciiviiies
her gfdnt irtcome
15
4.432.229
4,432,229
12,231
3,486,014
17.835
68.496
12.231
Subs¢ripiion5
43.356
43,356
58,410
Investrnents
386.072
386.072
355.659
Total
625.588
4.432.229
5,057.817
4,386,065
Expenditure on..
Raising funds
33.986
83.986
76.907
ChaTitable aciivilies..
Social and welfare a¢tLVltte5
Educational activiric5
3.126.364
548,955
3.676.351
6.802.715
548.955
6.043.750
381.039
Sub total
3.759.305
3.676.351
7.435,656
6.501,696
Clairn5 Conference o￿Th¢ad ¢ontribuiion
(755,878)
755,878
Total
3.003,427
4.432.229
7.435.656
6.501,696
Net expenditure before gains on
investrn¢nts
(2.377.839)
(2.377.839)
(2,115,631)
Net gains on investments
10
2.208.708
2.208,708
181.557
N¢t exp¢ndit¥rt and net movement i
funds
{169.131)
(169.131)
(1,934.074)
RECOPICILIATION OF FUNDS
FUND BALANCES BROUGHT
FORWARD
23.867.982
23,807.982
25.802.056
FUND BALANCES CARRIED
FORWARD
16
23.698.850
23.698.850
23,867.982
All gains and losses r¢¢ognis¢d in the yrar are included in the SthtCTnent of Finartcial Aciiviue5.
All transaciions arc derived from coniiThuing ￿1vIlle9.
The note5 on pa8¢5 18 - 28 fonn part of these financial staiements.
14-

THE ASSOCIATION OF JEWISH REFUGEES (AJR)
STATEMEiffoF FINAIYCIALACTIVITIES
FOR THE YEAR ENDED31 DECEMBER2021
CompAT&tive. for the ye*r ended JI
December 2020
2020
Unrestricted
Fund5
Restricted
Fund5
Total
Funds
J¥otes
Ineome from:
Donations and kgacies
399.651
399.651
Chiriiabl¢ aciiviiies=
Grants for welfare work
Social and welfarE aciiviti¢s
Other yant incornc
15
3,486.014
3.486.014
17,835
68.496
J7.835
68.496
Subs¢riplions
58,410
58.410
I￿￿$M¢nts
355.659
355.659
Total
900.051
3.486.014
4.386,065
Expenditure on:
Raising fvnds
76.907
76.907
Charrtable &ctivities=
Social and welfare activitl¢5
Educational activiiies
3,286,117
381.039
2.757.633
6.043,750
381.039
Syb total
3.744.063
2.727.633
6.501.696
Claims Conferet)tt overh¢od ¢ontribuiion
(728J81)
728.381
Total
3.015.682
3.486.014
6.501.696
Nei expeoditure before g￿n$ on
in¥estsnenl$
(2.115.631)
(2.115.631)
Net gains on invcstments
10
181.557
181.557
Net expenditurt and thtl TnoveThent in
funds
(1.934.074)
(1.934,074)
RECONCILIATION OF FUNDS
FUND BALANCES BROUGHT
FORWARD
25.802.056
25.802.056
FUND BALAPICES CAiiRIED
FORWARD
16
23.867.982
23.867,982
15

THE ASSOCIATION OF JEWISH REFUCEES (AJR)
BALANCE SHEET
AT31 DECEMBER2021
CompaThy Nutnber: 08220991
2021
202
Noles
FIXED ASSETS
Tangiblc asse¢s
Inve5nnen15
105.059
20,418,196
100,127
20.756.288
io
20.593255
20,856,415
CURRENT A&gETS
Debiors.. due within one y
Debtors.. due after one year
Cash at bank and in hand
1.037.771
27.029
3.791.795
1.780,238
44.407
2.780.6￿j
4.856.595
4.605,245
CURRENT LIABILITIES:
Credilors". amounts due within one year
12
11.751.000)
(1.593.67JJl
NET CURRENT A&SETS
3,105,595
3.011.567
NET ASSETS
23.698.850
23.867,982
FUNDS
Unrestrir¢ed
23.698.850
23,867,982
Rtstricted
15
23.698.850
23,867,982
Approved and authorised for issue by ihe Tru51ees om ............
artd signed on their behalf by..
2022
M Karp
Chairman
16-

THE ASSOCIATION OF JEWISH REFUGEES {AJR)
CASH FLOW STATEMENT
FOR THEYEAR EIYDED 31 DECEMBER 2021
2021
2020
Cash flow5 from oper*tln2 a¢tlvlil¢s:
Net cash {used in) OPEr*tlll8 #etivttles (5tt
below)
(1.809,382)
(3.463274)
Cash Ilows from investlR8 activities
Dividend5 and intcrest from irtve5thients. rerttsl
income atid other inve5tm¢ni incorne
PuT¢hase of properry, plant and equipmeni
Proceeds from sale of investments
Purchase of invesmient5
Movement in ¢ash awaiting invesmi¢ni
386.072
(42.294)
3,251,529
(2.243.492)
1.468.762
355.659
(28,155)
5,471.577
(2.352.100)
11.043,906)
Net cash provlded by Investitsg a¢fivities
2.820.577
2,403.075
Change in tash and t#sh equivalenis In the y¢•r
.011.195
(1,060,199)
Cash *thd cash t9￿1¥1}entS at the b¢g•Thniog of
¢h¢ y¢ir
2,780.6(K)
3.840,799
Cash aRd ¢ash equivaknts at end of th¢ year
3.791,795
2,780.600
2021
2020
Net ¢¥penditur¢ for th¢ ytar
(per Statemertt of FiDanci%l Activ5des)
(169.131)
(1.934,074)
AdlusimeDts for:
Depreciation
Disposal of iangli jle fixed assets
{Gains) on investrncnt$
Dividends and int¢re$i
(lllcreaseydecrease in debtOTS
IncTeasel(dccrease) in crediiors
37.362
31,392
(2.208.708)
{386.072>
759,846
157.322
{181.537)
1355,659)
(49,911)
1973.4651
Nei eash used Fn operating *¢tiviti
(1.809.382)
(3,463,274)
Analysis of cajh and ta5h equivalents
2021
2020
Cash in hand
Noiice deposits {less than 3 months)
2.791.795
1.000,000
1.780.600
1,000.000
3.791.795
2.780.600
The notes ort pages 18-28 forn) part of these financial s￿LeMents
17

THE ASSOCIATION OF JEWISH REFUGEES (AJR)
r40TES TO THE ACCOUNTS
FOR THE YEAR ENDED 31 DECEMBER 2•21
ACCOUNTING POLICIES
The principal aecouniing policies adopted judgem¢n15 and key source5 of ¢5rimation and un¢enainty io ih¢ preparaiion
ofthe financial Siikments art 85 follows..
B#si$ of preparation
The finan¢ial siai¢rnent5 have bEen prtpared in xcwdance with Ac¢ourtting and Reporting by Chariiie5.' Statement of
Recommended Practice applicablc io charities preparing ¢heir attoutsts in a¢cordance with the Financial Reponing
Stsrtdard applicable In ihe UK and Republic of Ireland (FRS 102)- Chariries SORP (FRS 102). second cdilion-october
2019, and the Companies Act 2006.
The TTUStee$ hav¢ assessed the charimble company's requircrnents for ih¢ fore5ceable future. including the ¢harittble
company'5 ability to operate during restriuions tmposEd be￿￿5¢ of Covid-19. and are ¢onfid¢tti thai suffJci¢nt funds
will bc availabl¢ to enabl¢ operations to Coniinue at a sustainable level for a peri(￿ of ai lea51 12 monihs from the date
of approval of these financial siatemcnts. The charitable company therefore Coniinues to adopl the goin8 £on¢ern basis
in preparing its financial ststernents. Thc Twstees Consider there are no maierial yn¢ertainties about the charitable
company's ability to continue as a goin8 conccrn. The financial ￿ateMen1% do include ihe adjustments ¢hai would
result tf the charitsble company were wiabk w continue as a going conc¢rn.
Ptsbllc b¢th¢fit eMti¢y
The A550cioiion of Jewish Refugees (AJR) med5 the definiiiot) of a public benefit entiry under FRS 102.
L¢g•l staty$
The Associalion of Jewish RefvBe¢s (AJR) is a ¢ompaAy limited by guar8ntr¢ withoui shar¢ capital. In the ¢v¢ni of th¢
charilab5e ¢ompanybeirt8 wound up. th¢ liability in respect of th¢ 8uarante¢ is limited w £1 per membcrof the charithble
ornpany.
Critltal aeeovnting judeements and esiim*i¢s
In preparin8 thesc financial siaiemenrs, Ihc TnJ￿ceS have m8dc Jud8emet￿. esiim8t¢s and assumpiion5 that affect the
application of the charitsbl¢ company's a¢¢oLmttn8 Pt)li¢ies aftd the reponed assets. liabilitiC5. incomc and expenditure
and th¢ disclosuw ma(k in the financial siaTem¢n15. Esrim￿¢S and judgement$ ore ¢ontinually evaluaied and are based
on hi$tQTi¢al ¢xperiet)¢¢ and o¢her factors, incI￿￿1n8 expecthtions offurnre event5 Ihat are believed io be reasonable
under the circum5tsnce5.
Income
All incoming resources are included in the Sthtement of Firw¢¢ial A¢iivities when the chaTitable company has
eniiil¢meni io in¢om4 it 15 prnbable that ihe incorne will be rtteived and the amount of in¢ome Teeeivable taft be
measltred reliably.
DOn￿lon$ we accouni¢d fw in the ￿ar in which they art received.
ixgacies are re¢ognised w￿￿ ihr criteria of ¢thi￿ement and probability are rnet, and the le8acy Can
be quantified wilh reasonabl¢ ac¢urncy. In d¢iermining the arnotsnis recognised 2t the bal8n¢e sheet
dale. the ￿￿tee5 have re8ard to actual receiH5 subsequent to the balance shect dale iogether with any
other evidenre supporting rffognition.
Grants reco8nis¢d in full in the Mat¢m¢nt of financial activilies in the year in which the charirable
company ha5 entitlrment io the income. and when Ihe amouni of income receivable can be measur¢d
rcliably and there is probability of rtt¢iw.
ncomc due from le8acLe5 subject to life tenancies is taken into account on the ierminaiion of those
life ienancies.
Inve51ment incotne L5 recognised on a receivabl¢ basi$ and when the amounis can be measured
liably. Dividet)ds are recognised once the dividend has been declared and notification has been
rK¢ived thc dividend is du¢.

THE ASSOCIATION OF JEWISH REFUGEES {AJR
NOTES TO THE ACCOUNTS (roNtiTrued)
FOR THE YEAR ENDED31 DECEMBER 2021
ACCOUNTINC POLICIES {¢ontinu¢d)
Exptnd5ture
Liabililics, includrng trrecovernbk VAT. are rc¢og7ised as expendiiur¢ as soon as there 15 a le8AI or con5trUCIiV
obligation committing the ¢haritsble company io thai expendilllre and it is PTobabl¢ that settlement will be required
and the amouThi of obligatiop can b¢ measured reliably.
Rèi5ing fund5 comprises the *sso¢iatrd wilh g¢n¢rating voluntary income and the invc51ment manll8cmenl
fee&
Charitable t￿nditUre in¢ludcs all direct expcnditttye. including siaff ￿$ts which are direcrly auributable to
a¢iivili¢s as w¢ll as 8rantcxpeoditure. Support costs. whi¢h include governance t05t¥ apportioned io charitabl¢
activiiies on rhe basis of lim¢ allocaTion of Siaff performing support fun¢tions. A summary of support eosis is
provided in note 7.
Support costs have beenailocaied Eelw¢en governance coAs and other5UPPOrt costs. Gov¢rnan¢e a¢tivilies ¢omprise
organi5ational administrdtion and ¢omplianc¢ with constitutional and staNtory requiremenrs. Costs includ¢ direct
COSIS of exiernal aLLdit and professional advice includin8 legal fe¢s.
Grants payable are chaT8ed to the Stalernent of Financial Activilie5 in the year in KYhi¢h the offers of such 8rat)ts are
made.
Employtt bEnefits
Short term b¢nef
Short ienn benefits includin8 holiday p3y are as an expens¢ in the period In which the service is
received.
Employee iermin•tion benefits
TeTMinatitin benefits ate for on an accnols b&sL5 •)d in line ¥￿th FRS IO2.
Pension schemt
The AJR operates a defined contribution pension scheme for the benefit of it$ emplojtes. The a5sei$ of the
scheme arc held independently from lho￿ of the rhariiabl¢ ¢ompany in an administered fvnd. The pension
¢o#s ¢harg¢d in the find￿10￿ slatements rewesent the contrtbutiolls P3yable during ihe year.
For¢igo currenty translation
Th¢ Charitable company's furt¢tional and pre5eDwtion currency is pound5 51erling. Monetsry asset5 and liabiliiie5
denomiThated in foreign currencie5 are translated inio sterling ai the rnies of exchange nJliDg ai the balance $heet
daic. Transactions in forei￿ £urrtn¢ie5 are recorded ai the rate Tuling at the datr of th¢ transaciion. All differences
recO￿lsed in the Stsicm¢nl of Financial Atliviiie5.
Operating I￿$¢5
Operating lease refttals 4re Charged io the Swem¢ni of Financtal Activities ¢)n a 5traighl-line ba5j5 over the tern) of
(he lease.
TAnglble fix¢d %55ets
Tangibl¢ fixtd assets ar¢ accounted for at histori¢ com less a prnvk5ion for depreciaiion. Expcnditurc on equipmtnt
in eK¢e5s of £300. with a usabl¢ life of ai leall 4 Yea￿ LS CaPITalised as tan8ibk r￿ed asse￿.
Depreciation
Depre¢i&ion is ￿l¢￿Il￿d so as w write off the ¢oM oftsngible fix¢d asw5 as follow5.. -
Office cquipmeThi
Websiie
Ixasehold improvemenis
25% strdight line
25% straight line
O¥eF life of ihe lease
19

THE ASSOCIATION OF JEWISH REFUGEES (AJR)
NOTES TO THE ACCOUNTS {eoniinu£d)
FOR THE YEAR ENDED 31 DECEMBER 2021
ACCOU￿riNG POLICIES (eontinued)
Investmen15
Investtnents are a form of ba51¢ finanrhal in5trumcnts and are inilially Showm in ihe finan¢ial $taiemeni$ ai markei
value. Movernents in the market valu¢$ of inyesvnents are showm as unrealised Bains and I¢￿5 in rhe Statemeni
of Financial A¢tivitie5.
Profrt3 and losses on the r¢alis21ion of iDvesm)¢DIS ar¢ Sho￿ a5 realised gains and losses in the Statement of
FinancÈal AciivLties. Reali5ed gains and 1055es on inve$tmen¢s reflect the difftr¢n¢e between sale5 pro¢eed$ artd
the￿ opening carrying values or their purchase value if acquired sub5¢quent to the first day of the financial year.
Unrealised gains and lossesare ulculaied as lh¢ dIffe￿nCe beNeen the fair value ai the year end and theircaTrying
value. Realised and unrealised investmeni Bains and1055e5 arc combined in thc Statemeni of Financial Activities.
Finxn¢ial Instruments
The charitable company only has finantkal as￿$ and fmancial liabilities of a kind thai qualify a5 basic financial
instTumeDt$. Basic financial InstrwnerJ￿ in¢ludithg trad¢ and other debtors and creditors, are initially recognised
ai tTansa¢iior5 value and subsequ¢nrly measuffd ai their 5¢tt1¢meni value.
DebtOTJ
Trade and other debtors are reCo￿lS¢d ar ihe settlemrrtt amouni dLke after any ¢rad¢ discount offered.
Prepaytwnts are valu¢d at th¢ amount prepaid tlei of any trade discounts due.
Cash it bank and In h*nd
Cash at bartk cash irt hwd includes C￿ and shott iemi highly liquid investments.
Creditor5 and provision5
Creditor5 and provision5 are recognised where the charttable ¢ompatty has a preseni obligation resulring from
past ewiithatwill probablyresult in the rran5ferof funds io athiril parry and ihearnount due io settle the obligation
Can be measured or estimai¢d reliably. Creditors and provisions ar¢ nonnally recognisedat thEir Settlement amounr
after 311owin8 for any trade discounts due.
Funds
General funds are unresrricted fvnds whith are availabk for usc * the discretion of the Trum¢￿ in fijrthtrartce of
lh¢ general obj¢ciive5 of the tharitable wfflpany arAI which hve not been designaied for uher purposes.
Re$trict¢d funds ar¢ fvnds vihich are to b¢ used ITh xcordance with specific re5triction5 imposed by donors.
-20-

THE ASSOCIATION OF JEWISH REFUGEES {AJR)
NOTES TO THE ACCOUNTS Itontihued)
FOR THE YEAR ENO£D31 DECEMBER 2021
DONATIONS AND LEGACILS
2021
2020
Domatiorts
L*gacres
13.433
70,496
238,511
161.140
183.929
399,651
SOCIAL AND WELFAR£ AcfiviTIES
2021
2020
Meals on Wheels
Events and outings
AJR Journal
7.082
1.535
3.014
14.509
3,326
12,231
17.835
INVESTMENT INCOME
2021
2020
Int¢rESt receivablt
Diwdends
34.446
351.626
38,738
316.921
386,072
355.659
OTHER GRANT INCOME
2021
202
UK Gov¢rnrnenL Job Reieniion Scherne
68.496
68,496
21

THE ASSOCIATION OF JEWISH REFUGEES (AJR)
NOTES TO THE ACCOUNTS (contiRutd)
FOR THE YEAR ENDED 31 DECEMBER 2021
EXPENDITURE
Other dlreet
eosts
Suppor¢
C051s
Dlrttt staff
Grints
2021
Social and welfare
Day Ccntre
Meals on Wheels
Outreach ￿0up$
AJR Journal
970.214
4.397.573
571.401
8.806
12,067
7.636
81,070
595.327
3,731
7.555
23.595
15.231
6.534,515
12,537
44.987
114.375
96.301
25 J65
83.144
BeDefKi•ry servi
1.078.723
4.397.573
680.980
645.439
6.802.715
Edu¢*¢lon#l •¢tlwliies
194.553
307.913
28.710
17.779
548,955
Cost ofr•lsing funds
78.261
5.726
83.987
1,273276
4.705.486
787.95 1
668.944
7.435.657
Compar*tiYe
her dir¢et
eosts
Support
osts
Dirtet s¢*ff
Grants
2020
Social and welfa
Day Centre
Meals OTh Wheel$
Outreaeh group5
AJR Journal
939.073
3.675.427
522,594
17.389
24.972
13.577
63.868
577,057
4.396
8.395
25.645
17,331
5.714.151
21.785
59.168
143.44?
105.199
25.801
104.225
24.0
Beneficl*ry strvites
1.093.099
3.675.427
642.400
632.824
6,043,750
Educxtionil activities
213,888
92,246
54,552
20,353
381.039
Cost of r*i$in# funds
70.713
6.194
76,907
1.306.987
3.767.673
767.665
659.371
6,501.696
Welfar¢ activities in¢lude direci payments to benefieiaries amounting to £4.363,36912020.. £3.646.109) and
a gronl of £35,600 {2020.. £35.000) io Belsize Square Synagogue ro support it5 so¢ial work PrO￿amme
directed ai Holocausi survivors and refugees.
Direct costs On edu¢atioftal activities of £307.913 {2020.. £92246) tnclude 8rants a5 explained in ihe Trustees,
Report.
Support C0515 include fees of £12.450 +VAT payable io ￿ awjiiors lor the sranrtory audit (2020: £11,800 +
VAT).
-22-

THE ASSOCIATION OF JEWISH REFUGEES (AJR)
NOTES TO THE ACCOUNTS (eorttitsutd)
FOR THE YEAR ENDED 31 DECEMBER 2021
EXPENDITURE (CoDtlnued)
ANALYSIS OF GRANTS
Grani$ to
instittytio
Gr8nts to
individuals
2021
Welfare progrdmmes
Educational actLVltie$
35.600
307,913
4,361,973
4.397,573
307.913
343.513
4.361,973
4,705,486
CompArative
Grants to
lo$iitu¢ion$
Grnnts to
Individuals
2020
Welfor¢ pro8rnmme5
Educational activities
35.OQO
92,246
3.640,427
3,675,427
92.246
445.561
3.640,427
3,767,673
SUPPORT COSTS
Meals
Co$1 of
raising
fund$
Social &
Welfare
Day
CeAtre
Out-
r¢ae
AJR
Journ•l Education
Wheels
2021
2t)20
Prcrnise5
38296
1.040
2,003
878
4.078
165
46.460
42,905
orri¢e
admini5tMion
Comrnunicatsons
& public Telaiiotts
Governance
469.650
2.736
4.476 16.174
9.285
9.793
4.069
516,183
490.484
48.036
39.345
974
22
1,947
92
5.193
224
4,869
200
2.597
1.310
1.298
193
64,914
41.386
80.082
45.900
Total
595.327
3.732
7,555 23.594
15.232
17.778
5,725
668,943
659.371
C05t of
r¥isln8
fuhds
Compir*ttve
Soti*l &
Welf*re
DAY
Cethtre
AJR
Journal Educitlo
Whe¢l$
m¢b
1020
Premise5
31.357
327
1237
2.241
l.510
6.034
42.905
Office
adminisrraiion
comm4nico1ions
& public relations
Governance
442.546
2.818
4.611
16.663
9.565
10.089
4.192 490.484
59.261
43,895
1.201
49
2.402
144
6.407
335
6.￿6
250
3203
1.026
1,602
201
8Q.082
45,900
Total
577.059
4.395
.394 25.646
17.331
20.352
6.194 659,371
Support Costs are allocated to charitable activiti¢s besed on time allo¢ation of smff perforniing 5uppon fvn¢tions.

THE ASSOCIATION OF JEWISH REFUGEES (AJR)
NOTES TO THE ACCOUNTS (eontinued)
FOR THE YEAR E14DED31 DECEMBER2021
ST AFF COSTS
2021
2020
Wages and salaries
Social se¢Lwiry COSIS
Pension costs
1.736,194
173.564
137.104
.725.373
174.539
136.437
2.046.862
2.036.349
Average numb¢r of peYson5 employed durin8 thr
year wa5
51
52
2021
2020
The number of employees whose ¢molumeDi$ in the year ¢xceeded £60,000 was..
£60.01)0- £69.999
£100.000- £109.999
£120,000-£129.000
Pension contyiburions paid on behalf of ihes¢ ¢mployee5 amounted to E20.604 (2020= £23.532).
The aweg*¢ remuneraiioD, in¢ludiThg pensiijn contribut￿nS and social security ¢OS15. of the key personnel was £298,631
(2020.. £267.494).
The TnJstee$ re¢etved no emolumeNs durin8 the year Dor any reimbursed expen5e5 (2020.. nil).
TANGIBLE FIXED ASSETS
Short
le15ehold
proptrty
Wtbsite
Office
equlpment
Total
Cost or v•lu¥tion
At l January 202 5
Additions
Disposals
100,807
21.670
102.598
42.294
159.224)
225,075
42,294
(59,224)
At 31 December 2021
11)0.807
21.670
85.668
208,145
Deprttlation
At l January 2021
Charge for the year
Di5P05als
42.465
10.081
14.964
5.418
67.519
21.864
(59.225)
124.948
37.303
{59.225)
At 31 December 2021
52.456
20.382
30.158
103.186
Net book vxl
At 31 De¢embEr 2021
48.261
1.288
55.510
105.059
At 31 DecemEer 2020
58.342
6.706
35.079
100.127
-24-

THE ASSOCIATION OF JEWISH REFUGEES {AJM}
NOTES TO THE ACCOUNTS (eonlin#ed)
FOR THE YEAR ENDED31 DECEMBER202J
IV. FIXED ASSET INVESTMENT5
2021
21120
Quoted investmpNt$
Markel value at l January 2021
Additiorts
Dispo$als
Snve5tmcnt gain5
18.793.962
2.343.492
(3.251,5291
2,208.708
21.731,884
2,352.100
(5,471,578)
185.55?
Sub-iotai= quoted inve5trnents
C•slL h¢ld wilb involwent rn*nagers
19,994,633
493.563
18.793.963
1,962.325
M•rket v*lu¢ 1¢ 31 De¢tmb¢r2021
20,488,196
20.756.288
Historical etsst at 31 December 2021
14,287.338
15.455.286
DEBTORS
2021
21120
BAl•ntes dme witkin one ye*r
Prepayments
Attrtse<l l¢8actes
Accrued income
Oiher deb¢ors
87,269
120.2J5
826.545
3.722
69.552
110,735
1.593.641
6.310
1.037,771
1.780.238
BAl8nees due ltt more than one yur
ChariLablE loan5 (see below)
27.029
44.407
1.064,8CKJ
1.824,645
Legaey nol recognistd as #tcrued inetsmt
The charitable company has been notified thai li has an inter¢si in o legacy subject TO the creation of a trust arrangement
which will also benefit another beneficiary. with the r¢maining es¢ate being shared be￿etn the charitable conjpany ind
8 hffther beneficiary. While ihe value of funds is e51imattd at £lm. the split of ihe5e b¢ThefilS, the creaiion of the mjsi
and ihe manner ond liming tsf their distributions are not knowrt ar ihe date of these financial swemenfs. Ac¢ordill8ly. no
income or &85et has been reco8Di5ed in ihes¢ financial stsiemen
ChaTltable108ns
In limited ¢1￿￿m518n¢£$. th¢ ¢baritable ¢ompany advarK¢5 sums to necdy individua15. interest free. {5ubjeci io a fornial
¢harg¢ In relation 10 larger loans) with repa￿Denl on tenns agreed in WTiiing and approv¢d in advance in Cach case by
Ihe TN$tees.
25-_

THE ASSOCIA TION OF JEWISH REFUGEES (AJR)
NOTES TO THE ACCOUNTS {¢onlhntsed)
FOR THE YEAR ENDED 31 DECEMBER 2021
12. CREDITORS
2021
2020
Arnoynts falling due wlthin ont year
Trade ¢rediiors
Aectwals
Other taxe$ and so¢ial security
Grants payable
DefeTred income (see below)
1.250.030
174,077
49,685
253,125
24.083
845.279
346,638
50.059
327.619
24,083
1,751,000
1.593,678
Deferted incom¢ r¢latrs io subscripiioTh incorne and grani income rcccived in advanee. The amounts defrrred each yeor
are rel¢ased io the Siatemeni of Financial Activities in the following year.
IJ. RELATED PARTY TRANSACTIONS
Mr J Srrau5s, Ihc husband of Mrs P Strau5% is a member of the Board of Belsize Square Symagogue. which has been
ranted £35,600 {2020.. £35,000) towards the c05t of its social Work.
Mr M Newman OBE is a Directorof the Conference on Jewish Mater￿1 Claims Against Germany. Inc which granted
£4.432.229 (2020.. £3,481.1151 to the charithble company for providing Sllpr￿ in gTants to lis members and a$ a
eontribution io ihe fi)nding of its welfare ￿lIvi11¢s.
Mr FA Harding is th Trustee of the Wiener Holocaust Library. ￿4¢h received a grant of £IOO,000 which was a8T¢ed
in 2021 and treated as eX￿ndi￿Ve in this year's accounts.
14. OPERATING LEASE COMMITMENTS
Th¢ thariiable company's firture minimum opeTaiirtg lease pa￿￿t$ are as follows..
Buildimgs
2021
O¢h¢r
21121
Buildlngs
2020
Other
2020
Within one year
Between two to five years
Over five years
96,778
454.861
.334
3,669
93.498
385.449
32,978
1.127
4.246
551.639
5,003
5ll,925
5.384
26-

THE ASSOCIATION OF JEWISH REFUGEES (AJR)
NOTES TO THE ACCOUP4TS (continued)
FOR THE YEAR ENDED 31 DECEMBER2021
IS ￿ATEMENT OF FUNDS
Balan<t
I J•Du*ry
8al•nce
31 December
IDeoThe
Exp¢Ddkure
G*ln5110sses
inv¢stments
2021
2021
Uftreslrlcledf￿￿dl
Generdl funds
23,867,982
625.588
(J.(X13,428)
2208,708
23.698,850
Resirlctsdf#nds
Claims Conferenc¢
URO
4,434.54J
C2.314)
(4.434.543)
2.314
4.432.229
(4.432.229)
Comparative
Balante
1gnc¢
31 Dectmbtr
Expenditure
G¥ih$llos5es
Investrnents
2112•
1020
Unres¢riciedlunds
G¢neTal fijnds
25.802.056
900.051
(3.015.682)
181.557
23.867,982
Claims ConftreThce
URO
3.481.115
4,899
(3,48l,11S)
(4,899)
3.486.014
{3,486.014)
R¢strlcied fund5
Cloims ConfErence - the charithbl¢ ¢ompany received or treats as rKeivable grant5 frorn and through the Claims
Confereftce during the year amouniing to £4.434.543. This represents a source of grant incorne which wa5 distTibuted
in accordance with the terrns of the grdnis to qualifying needy individuals for S￿lfi¢ social projects that are in line
with the aciiviiies of the charitable company. They also a55iSI with the welfare PTOgTammcs run by the ¢harit4ble
company dirccred towards gualifying beneflciaries and to contribute io the cost5 of runnin8 those prO￿amMe5.
URO - Ihe charirdble company received or treats as receivable ￿n¢5 from URO during lh¢ year ¢0 distribute to
qualifying needy individuals to meet needs ouiside of the 5￿pe of Claims Conference grants. and its support for
specific social projects of the Charithble company.
-27-

THE ASSOCIATION OF JEWISH REFUGEES {AJR)
NOTES TO THE ACCOUNTS (tontinu¢d)
FOR THE YEAR ENDED 31 DECEMBER 2021
16.
ANALYSIS OF NET ASSETS
BETWEEN FUNDS
Uarestri¢t¢d
Rutricted
fynd$
Total funds
2021
Tan8iblt f2xed a55ets
Investments
105.059
20.481.196
4.856.595
(1,751,000)
105.059
20.488.196
4,856,595
(1,751.000)
Cuttet)i assets
Total liabilities
Total net a$5eis
23,698.850
23,698.851)
Compar•ilve
Unrestritted
funds
Re5tricied
fwnds
TDl•l funds
202
Tan8ible fixed
Investrnents
IiW.127
20,756288
4.605.245
11.593.678)
100,127
20.756.288
4,605,245
(1,593,678)
C￿￿￿¢ asseis
Total liabiliries
Toial nei assets
23.867.982
23,867,982
17.
PENSION SCHEME
The charitable company contribuies io ihe personal pension schemes of ihe employees. Contribuiions payable ar¢
charged to ihe St8iemeni of Financial A¢iiviti¢s. The ioial ¢ost of penSLons incwred by the charitable company was
£137.104 (2020.. £136,437). No amoun15 wcrc out5ttnding to bc paid a5 at the year eod (2020: nil).
-28-

THE ASSOCIATION OF JEWISH REFUGEES (AJR)
ACKNOWLEDGEMENT
The Tn￿1¢¢$ woukf lik¢ ro acknowledge ihat."
Social services for Nazi victims have been supwed by a grant from the Conference on Jewish Material Claims
A8ainsi Germany.
Claims Conference
niy)Jni ni?yi
The C.onfereiKeon Icwish Maicrial aaims A¥ai11st GermAny
-29-