REGISTERED COMPANY NUMBER: 09550385 (England and Wales)
REGISTERED CHARITY NUMBEL" 1163312
Report of the TNstaes and
Unaudited Financial Ststements
for the Year Ended 31 M•y 2025
JEG TRUS[ LIMtrED
Melinek Fine LLP
Chartered Accountants
rst Floor, Winston Hi)u
349 Regents Park Road
London
N3 IDH

JEG TRusf LIMrtED
Contents of the FiTrancial Statements
FOR THE YEAR ENDED 31 MAY 2025
Report of the Trustees
I to 2
Independent Examinerfs Report
statement of Financial Acdvities
Balance Sheet
5 to 6
Cash Flow Statement
Notss to the Cash Flow Statement
Notss to the FIMnclal Ststements
9 to 12

JEG TRUST LIMITED (REGISTERED NUMBER: 09550385)
Report of the Trustees
FOR THE YEAR ENDED 31 MAY 2025
The tnjstees who are also directors of the charity for the purwses of the Companies Art 20C6, present their rerth wrth
the finanaal ststements of d￿rity for the year erKled 31 May 2025. Tr trustees have adopted the provisions of
Accounting a￿1 Reporknng by Chartties.. Statement of Recornmended Practi￿ applicable to charities preparing their
accounts in accordan￿ with the Financial Reporting Stsndard applicable in the UK and Republic of Ireland IFRS I02)
(effertwe l January 2019).
OB)ECtIVES AND AcfivmES
Charitsble objectives
JEG Trust ￿'MIted is e*abli5hed as a charitable organisation wfth the principal aim of supporbng the relief of tx)verty and
the advan￿ment of the Jewish religion. These objecbves a￿ ad)￿ed by providlng financlal aS￿Stan￿ to organlsatlons
that operate in alignment with the charitys objectives
To meet its charitable airns, the charty primarily distributes funds in the form of grants and donations to sewed Jewish
d)arities and related causes. Each fijnding decision is subjert to appropriate due diligen￿ and revEw to ensure
alignment wth the tharitys obiethes and the intended public benefft.
Public benefft
The trystees confimi that they have had due regard to the Charfty Commlssion's guidan￿ (x) publlc benefit, particularfy
s general guidan￿, in shaping the charivs g(rdtegic direciK*n and operational grant-rnaknng actiwties during the year
under review.
STRATEGIC REPORT
Financial po$ltlon
Totsl incoming resour￿ for the year were £672,27912024'. £750,866). primarily comprised of voluntsry donations and
gift aid. Total eX[￿￿1￿lre was £608,363 (2024: £718,592}, including £606,402 in charitable grants and £1,961 In
suppjrt and govemarKe costs. At the year end, the Trust held unrestricted funds of £210,210 (2024: £146,294).
Principal funding sou
The prinapal funding soutres of the chathty are vduntsry donations.
RegeThes polky
The tsu5tees have been able, and continue to ￿ able, to meet the trust's liabilrt￿s as they fdll due and they also hold
sufficyent funds which are un￿striCted and available fcf use to meet the charity's objectives. Therefore, at present, the
trustees do not cons￿er it necessary to have a speofic re5erve5 poIKy.
Future development
The trustees remaln committed to the continued SUPPDrt of charitsble inrtiatives that align ￿tti the charivs objectives.
Gclng fomard, they will continue to app￿ rigorous suubny to all grant applications to ensure that fvI￿$ are distributed
effectively. ressxM)siblyF a￿1 in accordan￿ with the ¢hariVs charitable objective5.
STRUCTURE, GOVERNANCE AND MANAGEMENT
Governing docwment
The tharity is controlled by its goveming document, a deed of trust, aTrJ constitutes a limite(I cornpanyi limrted ty
guatantee, as defined by the Companies Att 2CK)6.
The charity is con5tibJted a5 a company lim￿ed by guafftntee atKJ as Such, its goveming doojments are its Memorandum
and AJtKJes of Assouation and was incorporated on the 20th April 2015.
Rlsk management
The trustees ore of the opSnion that there are no Mal'￿ risks to which the charty is exposed.
REFERENCE AND ADMINIsfRATIVE DEfAILS
Registered Company number
09550385 (England a￿1 Wales)
Registered ChJrity number
1163312
Page I

JEG TRUST UMrrED {REGIsfERED NUMBEIL" 09550385}
Report of the Trnstees
FOR THE YEAR ENDED 31 MAY 2025
Régistered offic*
Fitst Roor, Winston House
349 Regents Park Road
London
N3 IDH
Mrj Guryrts
Mrs E GuNits
Mrs Y Davis
Independent Examiner
Aryeh Melinek FCA
Melinek Fine LLP
Chartered Accountsnts
Fkr5t Floor, Winston House
349 Regents Path Road
London
N3 IDH
Report of the trustee
directors, on .....J.&..
rporating a strategic re￿rt, approved by order of the board of trustees, as the company
. aThJ slgned on the board's behalf by:
Mrs
uNits- Trustee
Page 2

Independent Examinerfs Repurt to the Trustee$of
JEG Trust Llmlted (Reglstered number: 09550385)
Indepèndent examln•rfs reportto thetNstees of JEG Trust Llmlted ('the Company.)
I report to the charfty trustee5 on my examlnatbn of the accounts of Ihe Company for the year end￿ 31 May 2025.
Réyponslbilltles and ￿81$ of report
As the charfty's trustees of the Company land also Its dlrectors for the purposes of company law) you are responsible for
the preparation of the &counts in acLtrdantr with the rw4uTefnents of the Companles Att 2(K16 (kne 2006 Pd).
Havln9 satpsfied myself that the accounts of the Company are n(* requ[￿ to be audited under Part 16 of the 2006 Att
and are el1g1b￿ frjr Independent erdmlnation, I report In respect of my examlnatron of your (harf￿$ accounts as carrted
out under Secuon 145 of the Charitles Art 2011 (the 2011 A(£l. tn carrylng out my examlnation I have followed the
Dlrectlons glven by the Charity Comm￿on under Se¢tlon 145(5) (b) of the 2011 Att.
Independent examlnoVs statem*nt
Slnce your charlty's gross Income eXcee(￿d £250,000 your examlner must be a member of a Ilsted body. l tan confirni
that L am quallfled to undertake the examlnatlon because I Jm a member of the Institute of Chartered AcmL*ntsnts In
England and Wales, whlch Is one of the Ilsted bcxlles.
I have completed my examln*lDn. I confirm that no matters have come to my attentlon In connectknn w5th the
examlnation gfvlng cause to belleve:
accounting records were not kept In respeLt of Ccanpany as required by Settlon 386 of the 2006 A(¢. or
the accounts do not accord wlth those record5; or
the accounts do not compty wilh the accounting requlrements of Sethon 396 of the 2(MJ6 Act other than anv
requlrement that thè a¢¢ounts give a trye and falr vlew whlch Is not a matter conldered as part of an
Independent examlnaUon,' or
the accounts have not been prepared In accordano with thè methods and prlnclples of the Ststement of
Recommended ItaCti￿ for attountlng and reJx>rdng by d)arl￿e5 (applicable to charities preparlng thelr aimunts
In accordano wlth the Rnandal Reporting Standard applloble In the UK and Republic of freland (FRS 102)).
I have no con￿m$ and have come across ￿ other matters In connectFon wlth the eXamIna￿On to whlch atten￿On
should be drawn In thls report In ordeT to enable a proFer understanding of the accouTts to L* reached.
Aryeh Mellnek FCA
Melinek Flne LLP
thartered Acwuntsnts
fl15t Floor, Wlnston Hi)use
349 Regents Park Road
London
N3 IDH
Page 3

JEG TRUST LIM￿ED
ststement of Financlal Actlvities
ncory)oratlng an Income and Expenditure Account)
FOR THE YEAR ENDED 31 MAY 2025
2025
Unresknicted
fund
2024
Total
funds
INCOME AND ENDOWMENTS FROM
tknnatKsns and ￿9aCleS
672,IIN
750,341
Investment Ir￿ome
175
525
Total
EXPENDtWRE OM
Charitable actlvltles
tknnations paid
char￿able ath"v￿e$
606,402
716,442
Totsl
718 592
NEf INCOME
63,916
32,274
RECONCILIATION OF FUNDS
Totsl funds brought fO￿ard
146,294
114.020
TOTAL FUNDS CARRIED FORWARD
210 210
146 294
The notes forrn part of these financial statements
Page 4

JEG TRUST LIMrrED (REGIsfERED NUMBER: 09550385)
Bèlance Sheet
31 MAY 2025
2025
Unrestricted
fund
2024
Totsl
funds
Notes
FIXED ASSETS
Investment propety
31,850
31,850
CURRENT ASSETS
Debtors
Cath at bank
20,500
25,000
112 311
191,227
137,311
CREDrroRS
Amounts falling due wthin one year
io
{11,200}
(11,200)
NET CURRE1￿ ASSEtS
126 111
TOTAL ASSETS LESS CURRENT LIABILITIES
211.877
157,961
CREDThORS
Amounts falling due after MO￿ than year
li
(1,6671
(11.667)
NET ASSErs
210 210
146 294
FUNDS
Unrestrirted funds
210 210
TOTAL FUNDS
210 210
The charitable company is entitted to exemptj'on from a￿jr( uThJer Section 477 of the Companies Att 2006 for the year
ended 31 May 2025.
The members have not required the company to obtain an audit crf its financial ststeM￿ts for the year ended
31 May 2025 in accordan￿ wrth Seth"on 476 of the Companles Art 2006.
The trustees a(knowledge their responsibilities for
{a)
ensuring that tJ)e d)aritable company keeps accounting recor(Js that comply with Sections 386 and 387 of the
Companie5 Att 2CK)6 and
preparing financial ststements whith gwe a true and fair view of the stste of affairs of the charitable company as
at the end of eath finanoal year and of its surplus or deficrt for each financial year in accordance with the
requirements of Sections 394 and 395 and which otherwise comply Trmth the requirements of the Companies Act
20C6 relating to finanoal statements, so far as applicable to the CharItsb￿ company.
{b)
The
nanaal ststemen
were approved by the Board of Trustses and authorised for Issue on
and were signed ¢)n its behalf by:
The notes fo￿ part of these financial statements
continued...

JEG TRusf LIMrrED {REGISTERED NUMBER: 09550385)
Balance Sheet- contlnued
31 MAY 2025
E Gurvits- Trustee
The notes fomi part of these financial statements
Page 6

JEG TRusf UMttED
Cash Flow Statement
FOR THE YEAR ENDED 31 MAY 2025
2025
2024
)tes
Cash flows frryn operating activities
Cash gene>7ted from operations
103 916
Net cash provided by opeTrting aLtNths
103 916
Gish floT&VS from financing artivities
Loan repayments in year
W cash used In financing actI￿tieS
io 000)
Change in o5h and cash equivalents in
the reportlng period
Cash and cash equivalents at the
beglnning of the re1￿ing period
58,416
93,916
112 311
Cash and wh equlvalents at the end of
tho reportlng period
112 311
The notes form of these financial statements
Page 7

JEG TRUST LIMITED
Notes to the Cash How Statement
FOR THE YEAR ENDED 31 MAY 2025
RECONCIUATION OF NEf INCOME TO NET CASH FLOW FROM OPERATING ACtIvrtIES
2025
2024
Net income for the weporting period (as per the Ststement of
Flnandal Actlvltles)
Adjustments for:
Decrease in debtors
63,916
32,274
Met cash provlded by operatlons
103 916
ANALYSIS OF CHANGES IN NET FUNDS
At 1.6.24
Cash fk)w
At 31.5.25
Net cash
Cash at bank
112 311
170 727
112 311
tkbts falling due within l year
Debts falling due after l year
{io,000)
(10,0001
116671
T¢)tal
The notes fomi Fort of the* fin8￿jaI statsments
Page 8

JEG TRUST LIMITED
Notes to the Financial Ststements
FOR THE YEAR ENDED 31 MAY 2025
ACCOUNTING POUCIES
Basis of preparing the linanaal statements
The financial ststements of tl* charitstle company, which Is a publlc benefft entity under FRS 102, have been
prepa￿ accordan￿ with the CharitEs SORP IFRS 102) 'AccountirrfJ and Reporting by Charities.. Statement of
Recommended Practice appllcabse to charitres preparing their accounts in accordan￿ with Financial
Reporting Standard applicable in the UK and Republic of Ireland (FRS 102) (effertive l January 2019)., Financkl
Reporting Stsndard 102 The Flnancial Reporting Stsndard appliCa￿e in the UK and Republic of Ireland, and the
Companies Act 2006. The financkil ststements have been prepa￿d uThJer the hi5torKal cost convention.
Income
l income is reccgnised in the Statement of Financial Activities ono the charity has entidement to the funds. it is
probable that the income will received and the amount can be measured reliably. For donations and legaues,
entitlement 15 the earlier of ￿ d￿rity ￿Ing notified of an impending distribution ￿ the donation or legacy beir¥J
received.
Expenditure
abilities a￿ rec(xJnised as expkTKliture as soon as there is a legal or constructive obligati¢)n committing the
charity to that expenditure, it is probable that a transfer of econom￿ benefits will i￿ required in setdement and
the amount of the obligation can be meagjred relhabty. Expenditure is accounted for on an accruals basis and has
been dassified under heading5 that aggregate all cost related to the categ(ry. Where costs canrH)t ￿ directly
attributed to partiojlar headings tw have been alkthted to activibes on a basis consistent with the use of
resour￿.
Grants offered subject to coTrJition5 which have not been met at the year end date are n¢)ted a5 a commitment
but not accrued as ex￿e￿Ilture.
Allocation and apportlonment of costs
SupFK)rt Costs have been allocated to governan￿ costs and comprf5e costs involwrKJ the public accountabllty of
the charity and rts Complian￿ with regulatK)ns.
Governance costs Fhlve been all¢xated to dcnatlons pald under char￿ble actiVI￿eS.
Investment propaty
Investrnent propety is shown at re￿nt valuation. Any aggregat2 Surplus or defiat arising from change5 in
fair value is recognised in the Statement of Finanaal Acb"vitÈs.
Taxatlon
The charity Is exempt from corp)ratK)n tax on its chaiiiable activibe5.
Fund accounting
I furKJs are unre5tntted and can be used In acC￿￿an￿ wlth the charftable objectives at the discrets'r￿ of the
trnstees,
Going concern
The accounts have tEen prepared on the golrvj conttm basis. The trustees consider that there are no material
urKertainb'es regarding the charitys ability to conty.nue in operats.onal existen￿ for the foreseeab￿ fLsbJre, wh
is deemed to be 12 months from the date of approval of the financkil ststements.
Page 9
ccrf)tinued...

JEG TRUST UMrrED
Notes to the Flnancial Ststements- continued
FOR ThE YEAR ENDED 31 MAY 2025
DONATIONS AND LEGACIES
2025
2024
[￿natiOnS
Gift aid
651,501
723,606
750 341
INVESTMENT INCOME
2025
2024
Rents re￿Ned
175
525
CHARrrABLt ACTIVMES COSTS
Grant
fijnding of
activities
(see note
Jpport
Costs (see
note 6)
5)
Totsls
Donations paKI
CharitrNe activrties
606,402
606.402
GRANTS PAYABLE
2025
2024
DonatK)ns paid
t￿nationS and gtBnts comprlse amounts paid to instibjbons in accordan￿ with the thaiity's objects. All
donatlons were paid direthy from the charsty to the institutions, as ftAIows.'
Name of charitable or9anisatlon
Total don•tion {É)
Aniyei Hadam Trust
The Rehabiltstion Trust
Keren Habinyan Limited
Bafth Lirnud Vchesed
Mercaz Chasidei Wizntt Trust
Mrfal Hachesed Vehattdoko
Ke￿n Yedidei Bels Viznitz Ltd
Chana Charty Ltd
Chasdei Sholom
Chasdei Dov Trust
Menorah Foundation
Torah (5759) ￿rn￿ed
Hasmnean
Communty co￿eM LoThJon
Care All ￿.rnited
SuprK)rt The Charty Worker
Kupath Gemath Chaim Bechesed Viznits Twst
Ateres Bels Yaakov Ltd
Torah Family Support Network Ltd
Bels Yaakov Primary Schcd F(￿ndatiOn
Edgware Yeshiva
North London Welfare and Educational Foundation
87,500
70,000
65,0
53,OCX)
40,720
40,C￿0
25,000
22,700
20,1M)
20,LYJO
11,925
11,700
10,933
10,833
10,000
io,o(x)
io,o(xJ
9,100
8,750
6,000
5,820
Page 10
continued..,

JEG TRUST UMrrED
Notes to the Financlal Ststements- continued
FOR THE YEAR ENDED 31 MAY 2025
GRANTS PAYABLE - continued
Wst Charity Ltd
Mercaz Hat0￿h Netrach Yisroel
Hattola Northwest Trust
HigherTalrnLNJical Educatlon Ltd
Other smaller donats.ons
5,400
4,2LKI
3,6(X)
2,5(X)
32,721
Total
606,402
SUPPORT cosrs
Govemance
Finarte
Totals
aritabie artwiti.es
529
TRusfEES' REMUNERATION AND BENEFrrs
There We￿ no trustees, remuneratk)n or other for the year ended 31 May 2025 nor for the year ended
31 May 2024.
Tru5tees' expenses
There were no trustees. expenses pald for the year ended 31 May 2025 nor for the year ended 31 May 2024.
INVEStmE1￿ PROPERTY
FAIR VALUE
At l June 2024
and 31 May 2025
NET BOOK VALUE
At 31 May 2025
At 31 May 2024
DEBTORS: AMOUNTS FALLING DUE wrrMIN ONE YEAR
2025
2024
other debtors
Page 11
continued...

JEG TRusf UMITED
Notes to the Flnandal Statements - continued
FOR THE YEAR ENDED 31 MAY 2025
10. CREDrroRS: AMOUNTS FALLING DUE WrnIIN ONE YEAR
2025
2024
Bank loans and overdrafts (see note 12)
AccDJals and deferred income
10,000
10,000
11. CREDITORS: AMOUNTS FALLING DUE AFtER MORE THAN ONE YEAR
2025
2024
8ank Icéns (see note 12)
12. LOANS
An analysis of the maturity of bans is gwen telow:
2025
2024
Amounts falling due within one year on demand..
Bank loans
Amunts falling befften one and ￿ years:
Bank loans - 1-2 years
Amounts falling due ttheen two and five yeats:
Bank loans- 2-5 years
13. RELATED PARTY DISCLOSURES
There ¥%Ere no rdated paty trans*im5 ftsr the year ended 31 May 2025.
Page 12