Registered Charity Nurnl￿: 1161758
HADERECH
Charitable Incorporated Organisation (CIO)
Report of the Trustees and
Financial Statements
For the year ended 31 March 2024
Sefton Yodaiken & Co. Ltd
Chartered Accountants
Fairways House
George Street
Prestwich M25 9WS

•Haderech•
Legal and Administrative Details
As at 31 March 2024
Trustees
Mr Charles Bursk
Mr Daniel Gordon
Address
122 Park Road
Prestwich
M25 ODU
Accountants/Independent Examiner
Sefton Yodaiken & Co. Ltd
Fairways House
George Street
14esiwich M25 9WS

.Haderech•
Trustees, Report
For the year ended 31 March 2024
The Trustees present their Teport together with the fInana￿ statements for the
yeaT ended 31 March 2024.
The financial statements have been prepared in accordan￿ with the acwunting
policies set out in note I to the financial statements and comply with the charitys
Trust Deed, the Charities Art 2011 and the Statement of Recommended Practice
"Accounting and Reporting by Charities" (Charities ￿RP FRS 102).
STRUCllJRE, GOVERNANCE AND MANAGEMENT
Status and Administration
The dwity, constituted by CIO - Foundation Registered 20 May 2015 and is a
registered charity.
Charitable O '
The charitys object is to advance or as51St in the advancement of the religious
education of Jewish students and/or young adults by providing facilities and
services run in accordance with Orthodox Jewish practice and other such
purposes as recognised by English Law as charitrable.
The above obiect was continued during the year and it is envisaged that similar
progress will ensue in the following year.
No trustees nor any person comiected with them received any Temuneration
during the year.
Trustees
The trustees throughout the year were:
Mr Charles Bursk
Mr Daniel Gordon
Res
onsibiIities of the trustees
Charity law requires the trustees to prepare financial statements for each
linancial year which give a true and fair view of the state of affairs of the charity
as at the balance sheet date and of its incoming resources including income and
expenditure for the financial year.

•Haderech•
Trnstees, Report (convd)
The trustees are pleased to report on Haderech'5 successfid accomplishments a￿]ng the
year,. these include
Financial results
This yearf5 incoming resources by increased by 208% to £116Jll (2023: £37,650).
Public benefit
The trustees confinn that they have referred to the gui(lance contained in the Charity
conmi15￿ senerai guidance on public benefit and in partI￿18T to its supplemenlary
public benefit suidance on advancing education when reviewing the clwitys aim5 and
objectives and in planning ￿t￿re activities.
srATEMENT OF TRusfEES' RESPONSIBILITIES
Charity law require the trustees to prepare financial 8tatements for each financial year
which give a true and fair view of the state of affairs of the Charity and of its financial
activities for that perioLt together with its assets and liabilities at the end of the period
and adequately dislinguish any material special trust or other testricted fund of the
ch￿￿ty. In preparing those financial ststements the trustees are required to:
Select suitsble accounting policies and then apply them consistently
Make judgements and estimates that aTe reasonable and prndent
State whether the w)licies adopted are in accordance with the appropriate
ststements of Recon)mended Practice on Accounting by Charities and
Accounting Regulations and with applicable Accounling Standards suiryect to
any material depathres disclosed ana explained in the financid statements
Prepare the financial statements on the going concern basis unless it IS
inappmpriate to assume that the charity will continue in business
The trllSt￿ are responsible for keeping Proper aCc(￿￿tIng records which disclose with
reasonable accuracy at any time the financial position of the Charity and enable them to
ensure that the financial statements comply with applicable Accounting Standards and
Statement of ReC0mn￿lded Practice and the Tegulations of the Charities Act 2011. They
are also reS￿nsIble for safeguarding the assets of the Charity and hence for taking
reasonable steps for the prevention and detection of fraud or other IrregU￿ltie5.
Approved by the trustees and signed on its behalf:
3 Febntary 2025

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Independent examiners report for the trustees
For the year ended 31 March 2024
I report on the accounts of the Trust for the year ended 31 March 2ff24 which are
set out on pages 7 ts) 8.
Respective respottsibilxties 0£ trustee8 and examiner
As the charity's trustees you are responsible for the preparation 0£ the accounts.
You consider that the audit requirement of section 144 of the Charities Act 2011
(the Act) does not apply. It is my responsibility to state, on the basis of
protrdures specified in the General Directions given by the Charity
Commissioners under sectAon 145{5)(b) of the ACL whether partieular matters
have come to my attention.
Basis of independent examiner's report
My examination was carried out in accordance with the General Directions given
the Charity Commissioners. An exarnination includes a review of the
accounting reeords kept by the charity and a comparison of the accounts
presented with those records. It also includes consideration of any unusual items
or disclosures in the accounts, and seeking explanations from you as trustees
concerning any such matters. The pnxedures undertaken do not provide all the
evidence that would be required in an audit, and consequently do not express an
audit opinion on the view given by the accounts.
Independent examinerf8 statement
In conneetion with my examinatio￿ no matLer has come to my attention:
(I) Trvhich gives me reasonable cause to believe that in any material respect the
requirements
to keep accounting records in accordance with seciion 130 of the Act;
(ii)
to prepare accounts which accord with the accounting records and to
comply with the accounting requirement of the Act
have not been met or
{2) to which, in my opinion, attention should be drawn in order to enable a
proper understanding of the accounts to ￿ reached.
Mr. &fton Yodaiken
3 February 2025

•Hadereth.
Statement of Financial Activity
For the year ended 31 March 2024
Unrestricted Unrestricted
Funds
fimds
2024
Incoming resources
Income
116211
37fi50
Toial incoming resources
116,311
37,650
Resou￿¢￿ expendihlre
Clwitable activities
Support costs
49,477
&3,403
39,980
39,524
Total resources expended
IIZ880
79,504
Net SUTplus/(deficit) for the year
Surplus B/F
3,431
13,313
(41,854)
55,167
Surplus C/F
16,744
13213

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Balance Sheet
As at 31 March 2024
2024
Furniture, fixtures & fittlll8S
Books
194
397
Cash at bank
17.786
14,286
Cxeditors: due in a year
(IA39)
(1,439)
Net current assets
16247
12,847
Net assets
16,744
13,313
Funds
un￿$trActed funds
16,744
13,313
Approved by the I￿￿tee5 on 3 Febrnary 2(Y25 and SA￿ed on their beha]f.
Tr￿stee

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Notes to the Financial Statements
For the year ended 31 March 2024
Ae¢ountlng Pollcies
These accounts have been prepared under the historAcal cost convention and in
accordance with applicable accounting standards and the charities stateyjient of
recommended praclise on acc()unting by charities (Charities SORF FRS 102) and
the Charities Art 2011).
a) Expenditu
A]1 expendAknre is accounted for on an accrua15 basis
Charitable expenditure includes all expen(liture directly related to the
objects of the cknity in accordance with the ￿RP
The charity is not VAT registered and expenditure is shown gross of
irrecoverable VAT
Costs of generating funds are those directly aswiated with
fun(Iraising
Governance costs are those costs associated in compliance with
statutory and constitutional requirements
Support costs are general costs which have been Iticwr￿ in order
that the charity con operate effedively,
b) Fund Accounting
Unrestricted funds are available for use at the di8crelion of the Trnstees in
furtherance of the general objectives of the cknity.
c) Going coneern
There are no nuterial uneertainties about the charitys abjlity to conttnue.
Jttcome
2024
2023
Unrestricted fLmds Unrestricted funds
107,876
31,697
8￿84
5,953
Gifts and donations received
Fees for charitable 8erYi¢es
116Jll
37￿50

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Notes to the Financi￿ Statements
For the year ended 31 March 2024
Support eosts
2ff24
Unrestricted funds Unrestrictea funds
4221
4,294
350
350
116
Advertising and promotional costs
Independent examine￿ fee
Depreciation
Donations to UK charities
Telephone and internet
Travel and meetings
aeanxng and waste
Prinling
Office expenses
Rent
17,750
2.260
2,023
256
6,329
547
550
24,169
16,810
180
675
19,869
457
63.403
39524
Fixed a88L*8
Furniture & equipment
Books
At cost
Depreciation B/F
Charge for the year
702
674
NBV: 31/3/24
194
NBV-31/3/23
238

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Notes to the Financial Statements
For the year ended 31 March 2024
ditOTg: amounts due within one year
2024
2023
Other creditr)rs
Accrnals
739
700
739
700
. 1rt39
IA39
Inde￿dent examkn fees
2024
2023
350
350
Trnstees
No remuneration was paid and no expenses were reinibursed to the tNstees during the
year.
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