Clwrity registration number.. 1162689
Christadelphian Jewish Clothing Relief
Al￿￿￿1 Report aTJd FinancE&I Stst¢ments
for the Year Ended 31 December 2023

Chrlstadelphlan Jewish Clothing Relief
Contents (continued)
Reference and Administrative Dctails
Trns*es' ReNIrt
Staiement of Trustee&, Responsibilities
Independent Examinerfs Report
Sialemcnt of Financial Activitie5
Bala1￿ Sheet
Notes to the Financial Statements
7tolO

Chri5tadelphian Jewi$b Clothing Relief
Referenee Administrative Details
Trnstees
Mr C Matlin
Mr P Hale
Mts E Hale
C Martin
Mr C Mander
Mr R B￿h¢
Ch*rlty Registr&tiDn Number
1162689
IndepeDdeDt £samin¢r
David Bvlant BA FCCA
BucklcT Spcncer Ltd
Old Polic¢ Ststio
Church Strect
Swadlincote
DEI18LN
Page I

ChrlstAdelphl2n Jewish Clothing Relief
Truslees, Report
The trustoes pr¢stnt the annual report together with the finan¢ial stateM￿ts of the charity for the year ended 31
De￿￿b¢r 2023.
Objecdve• gnd gctiviti
Publlc benefii
Thc trustws confirn) that they have complied with the requirements of section 17 of the Charities Act 2011 to
have due tY8ard to the public benefit guidanc¢ publishod by th¢ ChaTiiy Conullission forEn8land arHE Walfs.
StrUCts￿ governanee and management
The aMnual repo
was approved by th¢ tNsttt6 of the Charity o
J4d si￿1 on its beha]f by:
rustce
Page 2

Christadelphian Jewish Clothing Relief
ststement of Trnstees, Responsibilities
The Irustees arc responsible forpreparing the trustee5' IEP)rt 8nd the financial siaiements in aecordance with the
United K￿SdoM ACCOU￿1]ng Standaids (Uni￿￿ Kingdom G¢n¢rally AC￿pted Accounting PT4ctice) a￿1
applicable law a￿1 regulation5.
Th¢ law applicable to ch#Tities requires the iTUStees to pr¢paY¢ finan¢ial $tat¢ments for ¢ach financial year which
give a trne and fair view of the state of affaErs of th¢ ¢harity artd of the Trteoming resources and applicaliort of
re¥ourc&s of the chariry for thai period. ltt preparing these financial stat¢meni4 the tNstees are required to:
le¢t suitable accouniing policies and then apply th¢m consistenlly.
observe the meihods alld principles in the Chariti&￿ SORP.
makc judgements and csliMa￿ ¢iial aT¢ r¢wnabl¢ and prnthnt:
state whether applicable aLcoiinting standards have been followed. subject io any material deparnires
discloscd and explained in the financial statements; and
PTepare the financial sratements on the going concem balis unless it is inappropnate io presume that the
charity wi]1 coniittue busilles5.
Thc ln￿tecS are responsible for keeping proper accowiting records that disclose with reasonable a¢wra¢y at any
time tlie fmanciJl position of th¢ Glwiiy und cDable then) lo ensure thai the financi81 sthtements comply with ihe
Charities Act 2011, Ihe Charill¢5 IAc¢out)ts and Reports) Regulations 2008. and the provisions of the
constitution. The iwst¢¢s also res￿A$1b}e for safeguarding the asseis of the charity and hence for tsking
asonable steps for the preveniion and d¢tedion of fraud and otheT irregularities.
The trnslees are responsEbl¢ for thc main(crtanee and integrity of the corporate and financial infom)ation
included oh the eharithble companys web5Lte. t£8islation governing the preparation aTwJ dissemillati(m or
financi￿ stAtem¢nts may diffcr from Ic¥islation in other jurisdtctions.
AppEoved bythe tr￿￿t¢S of the charity on
3*al￿ s]￿ed on its behalf by."
n]siec
Page 3

Christadelphian Jewish Clothing Relief
Indepcndent Examiner's Report to the trustees of Christadelphiydn Jewish Clothing
Relief
I report to the ttuslees on my ¢umin3ti0n of the aCco￿￿t& of Chri5tadelphian Jewt5h Clothing Relief for the year
led 31 December 2023.
Re6poMlblllt(es and b*sis of report
As. I}￿ charily trnstces oKChrisiadelphian Jewish Clothitig Relief you are res￿nSIble for the Preparation of the
in accordance with th¢ requirements of th¢ ChaTittes Aet 2011 ('the Art.).
I report in resptti of my examination of the Christadelphian 5ewi&h Cluthin¥ Relief¥ account&. carried out under
section 145 of thc 2011 Aet a￿d in earrying oui my examination I hav¢ followed all the applicabk DtreGtio]Is
8iven by the Chariiy Commission und¢r section 145{510)) of the Act.
Independ¢Dt ¢xJknther's Statement
I hiv¢ ￿n￿leted rrty ¢Aamination. J confim) that nuterial n)atters have come to my attention in connection
with ¢xamiDa¢ion giving me cause to believe that in any material respeetr.
l. a¢couThting records were not kept in r¢spcct of Christadelphian Jewish Clothing Rclief as required by
seclion 130 ofthe A¢¢- or
2. thc ac¢ounts do not accord wilh those reeords: or
3. th¢ accounts do not c(Trrnply with the accounling requ1￿Ments. conceming ihe foim and ¢ottleAi ofaecounts
sei out in the Lharities (A¢¢ounts and Rew)ttsl Re8ulation5 2wg other than any requirement that the
acciwnts give a 'true and fair view vthich is not a matter considered as part of an independent
cxaminalioji.
I have no concerns and have come across no other matteTS in connection with the examination to which attention
should be drawn in this reporl in order to enable &proper utsdet5landu￿ of the accoun15 to be reached.
David BeYAnL BA FCCA
Buckler Spencer Ltd
Old Policc Slaliotl
Church Street
Swadltncotc
DEI 18LN
Pag¢ 4

Chri$tsdelphian Jejvish Clothing Relief
Statement of Financial Activities for the Yur Ended 31 December 2023
Unrestricted
fund5
Tfrt*l
2023
Note
Income and Endowm¢nt$ from:
Donatiotts and Iwcies
27,590
275
Total income
27,590
27.590
Expendlture on:
ChaTitablc aclivilics
(42.4171
(42.417)
Total expendittUE
Nd exr*nditure
Nct mov¢mcnt in fimds
142,417)
(42,417)
{14.827}
114.1127)
{14.8271
(14,827)
Reconciliation of funds
Tol&l fvnds brought forward
64.639
64.639
Totsl fun(ts ¢8rri¢d (orward
49.812
Unrestrltted
49,812
TotAI
21)22
Note
IDcotn¢ and Ertdtswmethts from:
Donations and les&cÈes
33.857
33,857
Totsl income
33.857
33.857
Expellditure on:
Charitsbl¢ artiviti¢s
(39.2951
(39.295)
Toial ¢xpendilurc
(39.2951
139,295)
Net expenditure
(5,4381
5.438)
Net movement in ￿ndS
{5.4311)
(5,438)
Re¢ortdliAtlon of funds
Totsl ￿oUght forward
Tothl fi￿d5 caffied forward
70,077
70.077
64.639
64,639
All of the charity's 8¢tivities deriv¢ Irom Continuing owations during the abov¢ two periods.
The fi￿￿$ breakdown foT 2022 is showll irt note 8.
notes on pages 7 ￿ 10 forni an inlegfdl part of these financial stalements.
Page 5

Christsdelphlan Jewlsh Clothlng Rellef
{Registration number: 1162689)
Bal*nee Sheet as at 31 December 2023
2023
2•22
Curr¢nt a35¢ts
Cash at bank and in hand
50.232
66,139
Credh•rs: Amounts falllng due within Me year
(420)
(1.500)
49.812
64.639
Funds of tht ch*rlty:
Uttr¢strk¢ed Ineorn funds
UnT¢stricted fvnd5
49,812
64,639
Total funds
49.812
64.639
sl8t¢meDts on pabe& 5 to 10 wcrr Approved by th¢ tnthes, Bnd authorised for i&sue on
. and sI￿d on their behalf by.
Tnh5tec
Th¢ not￿ pa8e5 7 ÈO 10 forni an integral pari of thcs¢ financial stalcm¢nts.
Pag¢ 6

Cbrlstadelphlan Jewlsh Clothlng Rellef
Notes to the FillanciAI Ststements for the Year Ended 31 Deeember 2023
l Accounti￿8 polleles
ststement of eompllance
The financial 5latemenis hav¢ been prepared in aecord8nce with the s￿Ond editiim of the Ch￿ltieS Statemenl of
R¢eornmcnd￿ Practiee issued in Octobcr 2019, the Financial Reporting Standard appli¢able in the United
Kingdom and R¢publi¢ of Ireland (FRS 102) and thc Chariti¢s Act 2011.
Basig of prcp*r8tio
Christadelphian Jcwish Clothing Rclief meets ihe definiiion of a public benefit entity under FRS 102. Thc
Iccounts {fJnancial siatementsl have been prepared undcr thc hisiorical cvst tonvcntion with items recognised ac
cost or tranS￿l0￿ YJlMe unless otherwise sta*d in the rel¢vdni note(sl to th¢5¢ 8w)unts.
GoÈDg con£ern
The tnjstees consider that there are no material un¢ertointi¢s about th¢ Chari￿8 Èbilty to eorttinue as a going
concern.
Ineome cDdowments
Volunlary it)¢on)e including donations, gifts. legacies and grants that provid¢ ¢or¢ fvnding or aTe of a general
nature is recogni5ed when the charity has entiLlemcnl to the incom& il is probable that the income will be
r￿elY￿ and the amount Lan be n3tasurcd with sufficient reliability.
&ndlegocies
D4)nalion5 and legacies are recognised on a receivable basis when receipt j5 Ptobllble 8TrJ the amounl can be
reliably mwured.
Expendltsr¢
All expenth'iure is Tecogni5ed once ihere is a legal or consirucLsv¢ obligaiioo to Lh81 ¢xpenditure. it is probable
settle￿¢ll1 is rr4uit¢d and the amount can be rnea5u￿d reliably. All rosL￿ are allO￿ted to the applicable
¢xp¢ndityre heading that aggrcgate similar costs to that category. Where costs eannot be direetly attri￿ttyj to
particular h¢adings tiicy hav¢ b¢¢n allocated on a basis Consistent with the we of rcsources, with ccntral stsff
5ts allocated on the basis of time spent, and depreciation char8es alloc&ted on the prtion of the a￿et'S use.
other support ¢osls are altoeated based on the spread of stsff ¢ost5.
GTrvtrnance costs
These include the costs attmbutable to the charity'5 ¢omplTaTtce with conFhtutional and staDJiory requirements.
kneluding audiL strai¢gic managemcnt and t￿Sit¢S mcelings and reimbursed expenses.
The charily i8 conside￿d to pa5S the l¢st5 set out in Paragrnph I S¢h¢thile 6 of the FIntr￿C Aci 2010 and
therefore it TnEets th¢ definitioll of a charitable company for UK ¢orporaiion tax pwpos¢8. ALcogdingly. the
ch&rity is potentially exempt from laxatian in Tespccf of income or capital gain8 reeeived within ¢aiegories
covcrcd by Chaptcr 3 Part l l of the Corporntion Tax Act 2010 or Section 256 of the T&xation of Ch&rgeablc
Gains Aci 1992, to the extent that such I￿Orn¢ or gaiDs arc applied exclLL4fftYely to char&thble pury)oses.
Pdg¢ 7

Christadelphian Jewish Clothing Relief
Notes to the Finafjcial Statements for the Year Ended 31 December 2023 (continued)
Cash c%sh equlvglenls
Cash and cash equiv81cDts comptise eash on hand alld call dwits, amd other short-tem] highly liquid
Lnvestrn￿ts that readily convertible to a known amount of caslj alld are subject lo an iDsi8nificant risk of
chang¢ in value.
Tr*de eredltors
are obligations io pay f¢)r goods OT seTviee5 that have been aequired in the ordinary course of business from
suppliers. Accounts payable ale classified as current liabilities if th¢y (kTr not have an wi¢otMlÉtional righi. ai ihe
¢nd of th¢ reporlin8 period. to defcT Settlcmcni of lh¢ ardiior for ai Ic&st Iw¢lv¢ months aftcr th¢ rcporting datc.
If there i5 an uncthrtditional right to defer settlement for At leost twelve tmnths alter the rep)rting date, they Are
PTesented as non-curr¢nt liabilities.
are reco￿1.8¢1 inl¢i#lly at the transaction price and subsequently measured at amortised cost using the effe¢tkv¢
inlerest m¢tlh)d.
Fund str*dure
Unrestricred income ore g¢n¢ral funds that are available for we at t￿ ￿￿tee5 discreiion in fiwtheTonce of
thc objcclivcs of the charity.
2 Intome fronb don*tlons and legacles
Unreslrieted
funds
Gener
Totsl
funds
Donations and legacies-
Donations from individuals
27,590
27.590
Total for 21b23
27,590
Totsl for 21122
33,857
33.857
3 Expendithre ¢h4rh*ble #etlthes
Unrestricted
nds
Gmeral
Total
Ntste
GovemaD¢e costs
42.417
42.417
Total for 2022
39,295
39.295
4 Trustees remDNeratioD and expen8
No tNs*es. noT any t*rsons conneded wTrth tlkn). have received any remuneration from the eharity durin8 the
year.
Pa￿8

Christadelphian Jewish Clothing Relief
Not￿ to the Finaneial Stalements for the Year Ended 31 December 2023 {continued)
No tn]siees have received any reimbursed expBn5es or any other be*etil$ trom ihe clJariLy dtiring ihc year.
5 Taxatlon
The charity is a r¢g1st¢r￿1 charity a￿1 is 1ljerefo￿ cx¢mpt from lax8tion.
6 C*sh #nd cAsb eqMh'•lents
2023
2022
Cash it bank
50.232
66.139
7 Creditorj: faulng due wltbln one )e8r
2023
2•22
Trade creditors
420
1.500
Page 9

Christadelphian Jejvish Clothing Relief
Notes to the Fln&neial Statement5 for the Year Ended 31 December 2023 (continued)
8 Funds
Balanee #t 31
December
2023
B￿aTree *¢ I
JaThuary 2023
Rtywrce5
txpcttded
resoureos
Unrestrieted
General
64,639
27,590
(42.417)
49.812
Balanee at 31
Decernber
2022
Balance at I
J•Thu2ry 2022
lTrcomlng
resoureel
Resoprces
expended
UnTestrid¢d
General
70.077
33,857
1392951
64.639
9 Analysis of net assets betwetjb futtds
Unrestri¢ted
funds
GeD¢r81
Total funds at
31 December
2023
Curr¢nt assets
CLwreTht liabili¢ie5
50232
(420)
50232
1420)
Totsl nct &￿ets
49,812
49,812
Unrcslritled
nds
Geieral
Total funds at
31 De¢emb¢r
2022
Current assels
Current liabiliti¢5
66.139
i Joo
6&139
I,5￿)
Total net assets
64.639
64,639
lil Related p4rty tr•n$a¢tions
Page 10

Chrlstadelphlan Jewlsh Clothlng Relief
Statement of Fiordncial Activities by fund for the Year Ended 31 Deeember 2023
Total
Totsl
Unrestrlcted Unrestrleted
Fundi
Fund8
2023
2022
and Endowments from:
Donations and l¢gacies
27.590
33.857
Total income
27,590
33.857
Expcnditurc
Charitable artivitie%
142.4171
{39.295
Totsl eX￿dItuTe
(42.417)
(39,295)
Net eXK*ttdiD￿t
Net movement in fi]nds
114,827
(5.438}
(14,827)
(5,438}
Reconcllsation of funds
Total fiumls brought forV￿rd
64,639
70,077
Tol81 carried foTW8Td
49.812
64.639
This page does noi forni part of ihe slaluiory financial statements.
Page 11

Chri5tadelphlan Jewish Clothing Relief
Detsiled Statement of Financial Activities for the Year Ended 31 December 2023
Tol81
2923
Totsl
2022
Income *ttd ElldOwtt￿llts from:
Don￿70￿ and le8#cies (analysed below)
Total ineorne
27.590
27,590
33,857
Eipendlwre OD:
Charitabl¢ aclivitie5 {anAlysed bclow)
Total expenditure
(42.417)
(39.295)
142,417
39,?95)
Net exwditure
(14,8271
5.438)
Nei movemen¢ ITr funds
(14.827)
(5.438>
Reubn¢ili4tioD of funds
Tota] fvnds brought forward
64.639
70,077
Total fun(ts ¢&rried forward
49,812
64.639
This page does not fomi pam of ihe statulory financial stat¢rn¢nts.
Page 12

Chrl$tad¢lphian Jewish Clothing Relief
Detslled Ststement of ￿nanCial Actlvfitles for the Year Ended 31 December 2023
(continued)
Total
2023
T￿ts1
21)22
Donations legffjries
App¢&ls and donations
Recycling
27.590
33.824
33
27.590
33,857
Chorfffible athAti
Wwl
F￿agIng
(3,8311,
{5.0731
(15,l22j
115.8821
(1,2001
{156)
18031
{3501
(5.604)
(3.5.5E)
(16.749)
{9,155)
(1.21K))
(2.181)
1505)
ijsoi
GaTments
Transport
Rent
Repairs and ret)ew8ls
Sundry exp¢n
Accountancy fees
(42.417
This page doES not fom) parl of ihe ￿al￿tOry finarKial statements.
Page 13