CHARITY REGISTRATION NUMBER: 1152757
NORTH HENDON SYNAGOGUE
Unaudited Financial Statements
31 August 2025

NORTH HENDON SYNAGOGUE
Flnancial Statements
Year ended 31 August 2025
Page
Trustees, annual report
Independent examinef s report to the trustees
Statement of financial activities
Statement of financial position
Notes to the financial statements

NORTH HENDON SYNAGOGUE
Trustees, Annual Report
Year ended 31 August 2025
The trustees present their report and the unaLbdlled financlal slatemenls of the charity for the year ended
31 August 202S.
Reference and administrative details
Regi¥térad charity name
NORTH HENt)ON SYNAGOGUE
Charlty iegistration number
1152757
Prlncipal office
Hokjers Hlll R08d
London NW4 1JP
The Irustoes
Mr J A Gershllck
Mr H L Keller
Mr D Z Rabinowitz
Mr J E Weisrose
Charity Secretary
A H Ehreich
Independent examiner
J Joseph FCA MCMI

NORTH HENDON SYNAGOGUE
Trustees, Annual Report (contlnu8dJ
Year ended 31 August 2025
Slructure, govemanca and managemenl
The Charity is a Charitable InGorporated Organisalion and is govemed by its Constflulion.
The day-1041ay affairs of the Charrty are administered by a Board of Man8gement which 15 nomin8ted
and elected by the Synagogue membership, and which meets monthly or as requlred to ensure the
smooth operation of the Synagogue.
The Board of Management manage the Synagogue building and rts contents {'The Shul'l, which were
Pro￿ded by previous members of Ihe community. The Shul which continues to be used for daily
religious Se￿ICe$ and leaming, cannot be valued.
None of the Trustees have any benef￿al Inte￿$t in Ihe Charily. The Tru51ees will provk1e suftable
Irainlng and inductlon procedures lor new Twstees who may be appointed.
TRUSTEES
Th8 Trustees who seNed during the period were..
Mr J A Gershllck
Mr H L Keller
Mr D Z Rabinowllz
Mr J E Iljeisrose
TRUSTEES. RESPONSIBILITIES
The Charity's Trustees are responsible for prep8rlng the Trusleas Annu81 Report and the Flnancial
Slolements in accordance wtth applicable law and United Klngdom Accounllng Standards {Un￿ed
Kingdom Generally Accepted Accounting Praclice).
The law applicable lo charities in England and Wales requires the Trustees Io ￿yepa￿ financlal
statements for each financial year which give a true and fair view of the slate of aff8irs of the Charity
and ol the incoming resource5 and application of resources of the Charity for that period. In preparing
thes8 Fin8ncial Statements the Trustees a￿ required lo..
Select suitable o¢¢ounting poli￿e5 and then apply them consislentty..
' Obsem the rnethods and prlnclples in the Charities SORP,.
Make judgements 8nd estinales that atE ￿aSOnable and prudent..
Slate whether applicable accounting standards have boen folk)wed subject to any material departure
disc105ed and explained in the Financial Slalements.,
Prepare the Financial Statements on the golnwncem basis unless it is inappropriate to presume
that the Chaiity wlll continue in operation.
The Trustees are responsible for keeping proper accounting records that disclose wfÉh reasonable
accuracy at any time the financial position of the Charity and enable them lo ensure thal the Financial
Slalemenls comply with the Charities Act 2011 and the Charity (Accounts and Reports) Regulations
2008. The Tfuslees are also responsible for safeguarding the assets of the Charity and hence for
laking reasonable steps for the prevention and detection of fraud and other irregularitie5.

NORTH HENDON SYNAGOGUE
Trustees, Annual Report (conthiu8dJ
Year ended 31 August 2025
Objectlves and activlties
The object of the Charity and Its prlncipal actlvity is lo advance al￿ promote the Orthodox Jewish
Religion and in particular to maintain The Shul and to Fyovide facilrties for FY2yer, relioious worship and
loious study.
The Trustees confim that they have referred to the guidance contained in the Charity Commission's
general guidance on publlc bènefit when reviewing the Chafiiy's aim5 and objectives and in planning
future activrties.
Achievements and performance
Prayer setvKes a￿ held daily with enhanced services on Sabbaths And Fèstivals.
R8gular18ctur85 ar8 given by the Syn8gogue's r8lkJlous leader. D8yan D Cohn, Rabbi Sholom Segal,
member5 ofthe Synagogue and atso by guest speakets.
In addition to the regular funclions and activities the Charity h8S also held services and acti￿lieS for
children.
The many and varled activities of the Synagogue can be seen on its websrte www.northhendon.Go.uk.
Flnanclal revlew
Aggregated charitable income is £197,971 12024 £198,787). other income is £11.11612024 £10,587).
Total resources expended duiing the year were £209,84312024 £202.2761 as sel out in Ihe Statement
of Financial Aclivrties lo these Financial Slatemenls.
The financlal results of the Chartty's adlvities for the year are fully refle¢ted In the attached Financial
Statements together with the nole5 thereon.
RESERVES POLICY
1115 the policy of the Charity to mainlaln unrestricted funds al 8 level which the Trustees Consider
appropriate after taking account of the futu￿ commitments of the Charity.
RISK FACTORS
The Tw51ees have assessed the major risks to which the Charrty is exposed particularfy those relaling
lo operation5 and finances 8nd are satisfied that systems a￿ in place to mitlgate exposure to those
risk5.
Plans for future periods
The Trustees will continue to prov¥Je relvJious leÈdership. prayer services and Tel￿louS leaming lo
enhance the weligious knowledge of its members and the Cornmunrty.

NORTH HENDON SYNAGOGUE
Trustees, Annual Report {C￿￿kn￿
Year ended 31 August 2025
INDEPENDENT EXAMINER
J Joseph FCA MCMI, of JKA Accountancy Ltd, has been re-appointed 8s independent ex8miner for the
ensulng year
The trustees, annual report was approved on ...
trustees by..
. 2028 svJned on behalf of the board ol
Mr D Z Rabinowitz
Truste8
Mr B Bergman
Treasurer

NORTH HENDON SYNAGOGUE
Independent Examinerfs Report to the Trustees of
NORTH HENDON SYNAGOGUE
Year ended 31 August 2025
I report lo the twustees on my examination of the finanoal stalernen15 of NORTH HENDON
SYNAGOGUE I'lhe ch8rity) for Ihe year ended 31 Augusl 2025.
Respongibilities and ba$1$ of report
As the trustees of the charity, you are responsible for the preparation of the fln8ncial statements in
ac¢ordance wrih the requirements of the Charities Act 2011 ('the Act,).
I report in ￿speCt of my examination of the charity's financial st8temenls carried out under SeCt￿n 145
of the 2011 Act and In carrying out my ex8mlnalion I have followed all the applicable Directlons given
by the Charily Commisslon under section 145{5)Ib) of the Acl.
Independent examin•¢s •tat•m•nt
I have comp181ed my examination. I confim that no materfal matters have come to my attention In
connection with the examination glving me cause to t*lieve that in any material respect..
accounting records wore not k8Pt in r6sp6cl of the cttarily as ￿quired by section 130 of the
Act; or
the financial 518temenls do not accord wllh those records., or
the financial slatements do not comply with the 8ppIIc8ble requlremenls concerning the fomi
and content of accounts sel out in the Charities (Accounls and Reports) Regulations 2008
other than any requirement that the accounls give a Irue and fai¢ view which is not a matter
consKlered as part of an independent examination.
I have no conrEms and have come across no other matters In conneclk)n with the examination lo which
lenlion Should be drawn In this ￿port in order to enable a proper underslarKling of the accoun15 lo be
reached.
J Joseph FCA MCMI
Independent Examiner
JKA ArLountancy Ltd
Marfborough House
298 Regenls Park Road
London. N3 2SZ
, 2028

NORTH HENDON SYNAGOGUE
Statement of Financial Activities
Year ended 31 August 2025
202S
Unrestricted Restricted
funds
funds
2024
Tot81
Funds
Total
Funds
Not•
Incoming rosourcos
Donations and legacies
Other income
142.397
10,720
55.574
197.971
11,116
198,787
10.587
Total incoming re$ource8
Rosources Expended
CharfÉable activities
(Xher expenditure
Total resourc•$ expended
153,117
55,970
209,087
209,374
6,6,7
143.951
7.805
58,087
202,038
7.605
194,807
7,469
202,276
151,558
58,087
209,643
Net In¢om•llexpendllur•) and n8t
movement sn fundi
1,561
(2,11n
15561
7,098
Reconciliation of funds
Funds browhl forward
13
73,855
30,045
103,700
98.601
Total funds carriod forward
13,
14
75,218
27.928
103,144
103,699
The slatemenl of financial activiiies includes all oains and losses recognised in the year.
All income and expenditure derfve from conllnulno act1￿118$.
The ntX•8 on p•gu 8 to 12 form part of tho*0 flnanclal •tatement8.

NORTH HENDON SYNAGOGUE
Statement of Financial Position
As at 31 August 202S
2026
Restricled
funds Total funds
2024
Unrestricted
funds
Total funds
Current Assets
Debtors
Cash at bank and in hand
11
17,495
69.432
12,036
30,518
29,531
99,960
19,167
1 IX,281
Total ¢urr•nt assets
Less: Creditors: amounts falling duo
within one year
86,927
42,554
129,481
125.448
12
11,711
14,626
26.337
21,749
Net currem assets
75,216
27.928
103,144
103,899
Total assets less current liabiliti•s
14
75,218
27.928
103.144
103,699
Funds of the Charity
Unrestricted fund$
General funds
Restricted funds
13
75,218
75,216
27,928
103,144
73,655
30.044
27,928
27,928
Total charlly funds
14
75,216
103,699
These fi
ancial sl8tements were approved by the board of trustees and aulhorised for issue on the
..2026 and are spaned on behalf of the board by..
Mr D Z Rabinowrtz
Tmslee
Mr 8 Bergman
Treasurer
Th¢ notès on pages 8 to 12 form part of these financial statemwts.

NORTH HENDON SYNAGOGUE
Notes to the Financial Statements
Year ended 31 August 2025
General infomialion
The charity is a public benefrt entrty and a registered chaniy in England and Wales and a CIO,
Chaiiiable Incorporated Organisalion. The address of the pnncipal office is Holde￿ Hill Road,
London. NW4 1JP.
Staternenl of cornpllan
These financial statements have been p￿pared in eompllance with FRS 102, The Financial
Reporting Standard applicablè in the UK and the Republic of Ireland,, the Slatemenl of
Recommended Practlcé applicable lo chaniies preparing their arxounts in accordance whh the
Financial Reporting Standard ap￿Ica￿e in the UK and Republic ol Ireland {FRS 102) (Chafities
SORP IFRS 102)) and the Charities Acl 2011.
Accounllng pollcies
Th• •ynagogu• building and its contents.
The Ch8ri1y hohjs the Synagogue Buildbno and ils contents for rts members and the communlty. 11
is conshjered a Herrtage A55et speclfically for the objects of the Ch8rity. Th8 Syn8oogue building
and Its contents were gcqulred many years ago 8nd11 Ls dlfficJJlt lo attli￿le its cost or value.
Newly acquired heritage assets would be capiialised and included at cost In¢ludlng any Inadental
expenses of acquisition. Ttte very k)ng expectèd lives of herltage assets. due to Ihelr n8ture. value
and need lo be protected and preserved means th81 depreciallon is not material and is, therefore,
nol proviJed.
8a81$ of pr•parntion
The financlal statements have been prepared on the hislorical cosl basis, as mOdif￿d by the
revaluallon of certain financial assets and liabilittes and investment properties measured at fair
value through income or expenditu￿.
The flnanclal statements are prepared In slerllng, whlch Is the fundlon81 currency of the enlty.
Golng concem
There 8re no material uncertainties about the chaftty's abllity lo contlnue operating.
Judgements and key sources of osllmallon un¢ertalnty
The preparallon of the flnanclal statements requires management lo make judgements. estimates
and assumptions that affect thè amounts reported, These estimates and ludgemenls 8re
conlinu8lly ￿VieWed and 8re based on experience and other factors, including expeclallons of
future events th8t are believed to be reasonable undef the circurnstances.
Fund accounting
Unrestricled funds are available for use al the discretion of the Iruslees to further any of the
charlty's purposes.
Restricted funds are suty'eoled to ￿$trict10n$ on their expend￿Ure declared by the donor or through
the terms of an appeal and fall Into one of Iwo sut*dasses'. ￿$1￿￿ed inwme funds or endowment
funds.

NORTH HENDON SYNAGOGUE
Notes to the Financial Statements {conthiwdJ
Year ended 31 August 2025
3. Accounling policies {COrtth￿d)
Incoming resources
All incoming resources are included in the stalem¢nl of financial activities when enlAlemenl has
Passed to ltte chariiy., li is pmbable that the economic l*nefits associated wtth the transaction will
flow to the charity and the amount can be reliably measured. The following specific policies are
ap￿led to p8rticular calegones of income..
income from donations or grants is recognised when there 15 evKlence of entitlement lo the
gift. recelpl is probable, and rts amounl can be measured reliably.
legacy in¢om¢ is recognised when rec¢ipt is probable, and entitlement is established.
income from donated goods is measu￿¢ at the lalr value of the goods unless thls15 Impra(alo91
lo rneasu￿ reliably, in whicn case the value is derived from the oosl to the donor or Ihe
eslimaled resale value. Donoled fa¢llllies and seN¢es are recognised in the accounts when
received if the value can be ￿liablY meosured. No amunts are included for the contribution
of gener81 volunteers.
R•sourc•8 oxp•nd•d
Expendrture is recognised on an accruals basls a5 a Ilabilily is incurred. ExperKliture in¢ludes any
VAT which cannot be f(tlly recovered, and is classified under headings of the statement of finonci81
acilvitles lo which il relates..
expenditure on raising funds includ85 the costs of all lundraislng 8Ctivrties.
expenditure on charllable activities includes all costs incurred by 8 charity in undertaking
activities th81 further tts ch8ri18ble aims for the benefft of its benefici8ries, including those
support costs and costs relallng lo the governance of the charity 8PPOrtioned lo charilable
adlvrties.
other expendtture includes all expendrture that is nemher ￿lated lo raising funds for the charrty
nor part ol rts expenditure on chafllable activrties.
All costs are allocated to expenditure eAlegories reflectlng the use of the resource. Direct costs
allTlbutab5e lo a single activily are allocated directly lo thai a¢iivily. Sh8red costs a￿ apportloned
between the activities they contribute lo on a Teasonable, justifiable, and consistent basis.
Financlal Instrurnents
A finanaal asset or a financial liabilily is ￿COgniSed only when the entrty becomes 8 party to the
contractual prowsions of Ihe instrument.
B8sic financial instruments are inf(ially recognised al the amount receivable or payable including
ony related Ir8n5action costs, unless the arrangement C£Jnslilules a financino transaction, where it
is recognised at the present value of the future payments discounted al a market rale of interest
for a Similar debt in5tfument.

NORTH HENDON SYNAGOGUE
Notes to the Financial Statements (tofflthu•dJ
Year ended 31 August 2025
Donations and le9acies
Unrestricted Restricted
Total
Total
Funds 2025 Funds 2025 Funds 2025 Funds 2024
Donatlons
Donations - meM￿[ship and sealing
Donations - offerings and donations
Donations - Yom Kippur other
appeals
Donations - sponsorship and surKIry
income
Donations - other
TOTAL DONATIONS RECEIVED
63.428
16,473
63.428
72.047
59,901
70,500
55,574
12,050
12,050
11,748
22,818
27,628
142,397
22,818
27.628
197 971
23.122
33,518
198,787
SS.574
Contributions towards burial fees
Interest ￿ceiVed
TOTAL OTHER INCOME
7,830
2,890
7,830
7,899
2,888
10,587
398
396
TOTAL INCOME
153117
55,970
209 374
Expendllure on charitabl• activities by fund type
Unrestricled Restricted
Total
Total
Funds 2025 Funds 2025 Funds 2026 Funds 2024
Charft8lAe activity
143.951
58,087
202,038
194.807
Expandlture on charltable acll¥ltl•s by actlvlty type
Aclivltles
undertaken
Total
Total
directly 2025 Funds 2026 Funds 2024
Provision of synagogue facllllles for rellolous and
communal use - unreslri(#ed
Supportlng the needy - reslrfcled
143,951
58,087
143,951
58,087
148,563
46,244
Analysis of charilable granti
Un￿StrICted Restricted
Total
Total
Funds 2025 Funds 2025 Funds 2025 Funds 2024
Gfanls to inslitthlons
14,946
38,110
63,056
33,344
Grants to indivNJuals
19,977
19.977
27.404
Tot81 grants
14.946
58,087
73,033
80,748
10-

NORTH HENDON SYNAGOGUE
Notes to the Financial Statements (¢onllnue¢l)
Year ended 31 August 2025
Independent gxamination fees
No fees were levied by the independent examiner, who conducts hi5 services on 8 voluntary basis,
both in the current and ￿VIouS year.
Staff costs
The total employee costs including National Insurance cL)ntrtbutlons for the rewrtlng pertod are as
follows..
2026
2024
Total emrAoyee Costs
74,205
78,462
The average head count of employees durfng the year was 4 (2024.. 4). The average number of
employees during the year is analysed as follows".
2025
No.
2024
No.
Number ol Synagogue stalf
No employee recelved remuneration of more than £80,000 during the year12024'. Nil).
10. Tru$teo r•munerntion and expenses
No remuneratlon or other benefrts from employment with the synagogue were feceived by th8
Truslees.
11. Debtors
202S
2024
Other debtors
Reslricled
Unreslricled
12,036
17,495
9,828
9,541
Total
29,531
19.167
12. Croditor8: amount$ falling due wlthln one year
2025
2024
Other Creditor5
Reslricled
Unrestricted
14.626
11,711
26.337
8,166
13.583
Total
21.749
11

NORTH HENDON SYNAGOGUE
Notes to the Financial Statements
Year ended 31 August 2025
13. Analysbs of fund rnovements In the year
Unrestrfcted funds
2025
Balance
Balance
clfvld
Income
Expenditure
General Funds
73,655
153.117
151.558
75,216
Total Funds
73,655
153,117
151,556
75,216
14. Analysis of net assets b•lwe•n funds
Unrestricted
Reslrl¢ted Total Funds Tolal Funds
Funds 2025 Funds 2025
2025
2024
Current assets
C￿dItorS less than l year
Not assets
86,927
(11,711)
75,216
42,554
114,6261
27,928
129,481
{26,337
103,144
125,448
121.749)
103,699
12-