REGISTERED CHARITY NUMBEK. 1164563
ReP￿t ofthe TTUStaes and
Unaudited FSnancial StatemÈrts
FOR THE YEAR ENDED
29 February 2024
THE KEMACH FOUNDATION
Melir*k Flne LLP
charte￿ knouniarts
Fir￿ FkMN, Winston House
349 Regents Pa￿ Road
London
N3 IDH

THE KEMACH FOIJNDATION
Contents of the Financial Statements
FOR THE YEAR ENDED 29 FEBRUARY 2024
Rep￿ ofthe Tn
I to 2
Ind•p•ndent Examinrfs Report
ststemént ot Financial Acbvitles
Balance Sheet
CBsh Flow St•tsment
Notes to the Cash Flow Statement
Notss to the Finan¢lal Statemqnts
8 to 9

THE KEMACH FOVNDATION
Report of the Trustees
FOR THE YEAR ENDED 29 FEBRUARY 1024
The bu5tees present tt*ir wjrt with th2 financol siaten*nts cl the charfty for ts yew ended 29 February 2024. The
trustees have adopted the provi&ons of Acc(mJn￿ng and Reporting by tharlty"es'. StatewTRnt of Recommended Practice
aPpIthb￿ to d)￿leS preparing their aCc￿nts in accordance with the Financkil RetxJrt6ThJ Stsndard ap￿table in the UK
aThJ Republ￿ of Ireland IFRS 1021 leffettfve l January 20191.
OBJECTIVES AND AcnvrriES
Objectlves and aimg
The 9)al of The Kemach F￿￿jatIOn is tr> I￿rease the leveb cl observant Jewlsh twple In the workfo￿. Its
objectives are achleved by Indlvldualty addressng finandal and academK thallenges and faclitatiTrJ Tr?b Flate￿nt to
ccnfront critral Issues of ￿￿al ￿bilty, equal ￿￿$5 to h￿her edLKabon and wor*force partiupabon.
The objects cl the CIO as per it5 Trust Deed are..
- The relief of finanaal hardship amon9 Jewish Feople living or worklThJ In I￿e7 andlor elserfth ty providiro ￿￿1
kysons with education and trn¢niry ark1 a5gstance to find empwment
The a<fvaKew￿nt of the Jewlth religion through ￿lIgIOUS ￿￿tIon hhJher atatsmic prcleS*)￿lI andlc
vIK&C￿l edl￿a￿an tra￿ing.
Significant arthfftles
The tharty pursues Its obJectives by supp)rtirvJ the tharital￿e *Drk OfT￿ K￿￿h Fwndati¢M In Jerwlem. lyael.
Publlc b•nefft
The Tnthes confinn their Complian￿ ￿th the thty to have (lue r£gard to the pthlK Lwefit guithrKe published by tp
arity Corniission when re￿ewIng the Chailty's alms and obiecUves ab￿ in pL4nniNJ future ELtiV￿"eS.
Volunteers
There were no volunieers dwlro the year.
ACHIEVEMEMf AND PERFORMANCE
awritable artivitie5
The charlty has had a sxce5sful year, raising £682,280 12023: £730,943) In donations and ma￿ThJ grants trkalling
£682.079 {2023.' £730,733) to The Kern￿h FouThJab"on in lyael.
lrternal and external factors
There are m SFeclfic faciors to rep)rt.
FINANCIAL REVIEW
Reserves pollcv
The charlty aims to rnalntsln res￿eS In ¢xder t1¥3t It Is in a pKJ4tk)n to Khieve gant making thities at a conastent
vel and to cover contingendes of addit*JMI calls belng made charlty for gJpport of organisations instthdon5
or ir¥JNiduals in tlmes of need.
FUTURE PLANS
The trustee5 plan to Con￿nlE to pursue charttable objKtNes ¢f the chanty and that the abllty to gerErate
sufficSent I[￿Me is maint￿"￿ed to achleve that end.
sTriicruRK GOVERhlAP4CE AND MANAGEMENT
Governing do¢ument
The charty u)ntrC4￿d ty ts gmmlng doojment, a deed of tmst and con5titLrtes an unlncorpoRt8J tharity.
Organisational 5tructurn
The ch)rlty must have a muiimum of3 tw#ees, The trvstees regularfy to man&¥ the busts￿ ofthe tharity.
Induction and tralnlng of nÈw trustees
Apart from the fi￿ trust*s, every Irustee must te ap￿$￿ted by a resolukn.on passed at a proFerty corNened meetlng
the trustees. Trustees ML& have regard to the Sk11￿ knowledge arKI experlence ￿ded for the effectNe management
the ao.

THE KEI4AC•I FOUNDATION
Report of the Trustees
FOR THE YEAR ENDED 29 FEBRUARY 2024
stRUCTURE, GOVERNAIICÉ AND mAN￿mENT
Risk managemert
The t￿St￿ ha￿ the rroiw rl¥*s ro whth the charity is exkwd and are sat￿fied thèt 5Werns are In pkxe to
miti￿te exposure to major risk5.
REFeRENCE AND ADMINISTRATIVE I)EfAILS
Reglstsred Charlty n¥mbeY
1164563
Prfnclpal thlress
Fourth Fl¢x)r
30 Market rla
London
wiw &4p
MrLNt
Mr S Kanter
SIrMLD￿s
Mr M Abadi
Inthjendert Examiner
Melinek Fine LLP
Chartered Atcountsnts
First Floor, Wlnston House
349 Rewts Park Road
London
N3 IC*1
Apwoved by order o
6 July 2024
the board of trustees on ..........
. shJn&l on its t￿ha￿ bv..
MTLNoe-Tru
PJJe 2

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THE KEMACH FOUNDATION
SL*emtnt of Flnanclal Actlvltle5
FOR THE YEAR ENDED 29 FEBRUARY 2024
2024
Unre5trkled
fund
2023
Totsl
fuTrJs
IPKOME AND ENIXIWMENTS FROM
Lknnatrons and legack5
EXPENDITURE ON
Ch3rttabl¢ artlvlties
Owiiable ￿ll￿tieS
Lknatr)rG to Kemach, Igael
1,591
127
730 733
683 670
730
NET INCOMEI(EXPENDrnIRe)
RECONCILIATION OF FUNDS
Total furKls tWO￿ht forward
11,863
11,7
TOTAL FUNDS CARRIED FORWARD
The form port [￿ firklTKral 5tstements
Page4

THE KEMACH FOUNDATION
Balance Sheet
29 FEBRUARY 2024
2024
Unrestrthd
fund
2023
Totsl
fuNIs
Nctes
Cash at bank
11,433
12,823
CREDITORS
Pm(wnts falllng thje wrthin Th)e year
19601
(960)
NEf CURRENT ASSErs
TOTAL ASSETS LESS CURRENT LIABILThIES
10,473
11,863
NEf ASSErs
FIINDS
Unre*rftted fuThJs
TOTAL FUNDS
The ￿na￿L{l Strte￿nts were approv&J by the Bcard of Trustees and auth￿ised for i59Je on
6 July. 2024
. and were ggngj OTr Its behaK by:
MrL￿-
The f¢m) part of these fiThirthl State￿nts
Paje 5

THE KEMACH FOIJNDATION
Cash Flow Statemert
FOR THE YEAR ENDED 29 FEBRUARY 2024
2024
2023
N(*es
Cash flow5 from ts￿ratIng activities
sh generted from OFeralk)ns
83
Net cath l￿d In}Iwovithd by operatiwJ athltles
Chan90 In cash and cash équlvalents in
the re1￿l￿g pÈrlod
Cash and cash Èqulvalerts * the
beglnnlng of th¢ ￿e￿rtIng perlod
{1,3￿1}
83
Cash and cash equiYalerrtS at the end of
the reporting period
The notes forrn part of these flnarKial aatfjnerts
Page 6

THE KEMACH FOU14DATION
Notes to the Cash How Statement
FOR ThE YEAR ENDED 29 FEBRUARY 2024
RECONCILIATION OF NEf (EXPENDITURE)IINCOME TO NEf CASH FLOW FROM OPERATING
ACTivfTIES
2024
2023
Net {expenditure)lincome for th¢ reporting period (as pw the
statèment of FinaKW ActlYltles}
Adjustments for:
I1.3￿}
Ilet Iwed In)Iprovided lry opwations
83
ANALYSIS OF CHANGES IN NEf FUNDS
At 1.3.23
29.2.24
Net ca$h
Cath at bonk
Totsl
The notes frym part of these finarKial ststements
Paje 7

THE KEMACH FOUNDATION
Notes to the Flnancial Statsments
FOR THE YEAR ENDED 29 FEBRiIARY 2024
ACCOUllllNG POLiaES
Basis of preparing the financial stjtsments
The finanaal stslements of the charsty, which 15 a put4K enbty FRS 102, ha¥e been prepared In
accordarKe with the Ch3rtdes SORP (FRS 102) 'AccountirrfJ and ReF¥)rtOwJ by Charitfs.. Staten￿t of
Recomment￿ appl￿)￿ io tt￿ritIeS preparfng thèlr acc(xmts In Kcordance wlth the FITra￿￿1
Retx)rtiNJ Stsndard applicable in the UK and RepublK OF IreIar￿A IFRS 102) (effective l january 20191,, Financ￿1
Rep)rtirKJ Siandard 102 FInar￿￿31 RepoTtirwJ Stsndard applicable Trn UK arwj Republlc of Irekind and the
Charit*s P£t 2011. Tr firorKial statements have been prepared unthr the hisiorfcal cost conventK)n.
Income
All Income Is reccojnlsed In the Statement of Flnancbl ACtfv￿es oKe the cNiriiy has entiuernent to the funds it i5
probatrAe ttwt the Incon* wlll LE recefved aTrJ the amount can be meagjred rdlally.
Expendlture
atm11t￿$ are recogni*d as exwditure as as there is a ￿gaI tsr ¢crf&rucbve obli9Jt#)n c￿nrnrttirIj
charfty to that expeThJlture, It Is probable th3t a transfer of ￿MMIC te￿fits wll be requir￿1 in setuefftent aT¥J
the amount of the obligath)n can be measured rdk3bty. Expenditure is accounted for on an a(mJals ba*s has
been clasgfEd urKkr head1￿5 tlklt aggregate all wst r￿at￿ to the category. Where cc6ts canTh)t be dlrec
attributed to parbthlar headirvjs they have treen altratÈd to &twrties on a b3gs ￿Stent wSth the use of
Grants offered subjett to conditw)ns which thve not teen met at the year date are noted as a cornmthnt
but not écqued as eXt￿ndi￿re.
Taxat5on
The charty is exempt from tax charitsble Ktwities.
Fund accounting
Unrestsl¢led fuThJs can tse used in aCcOrthn￿ wth chaitatle objLrUves at the dlscretbn of ￿ tr￿tee&
Rewitted fvnds on be used for parucular re5trickd purw5 wlihln the objetts of chaity.
Re5tricknon5 arise wI￿n w¢ied by tIE or when fuvK15 are r￿Sed lor partiLuhr restrthd puryx6es.
Foreign currencies
sets and lbbili1￿S in foreign currendes a￿ tsn￿ated ir*0 sterlry at the ra￿ of exchaTrJe nAiTrJ at t
baLirKe sheet date. Tr￿Sac￿0￿5 in fo￿1g￿ currencies are tfdn4ateil into 5terlng at the rate cl excharrfje mlirvJ
at the date of trartsactbn. Exchange dlffereKes are taken knto account in arr￿n9 at U)e 0￿ratIng re￿￿.
DONATIONS AND LEGACIES
2024
2023
Dcffjatlors
730 943
P￿8
ccfitlnued...

THE KEMACH FOUNDATION
Notes to the fimancial Statements- ¢ontlnued
FOR THE YEAR ENDED 29 FEBRUARY 2024
CHARrrABLE AcnvrtlES cosrs
frart
fU￿1r￿j of
acb'vitEs
(see ￿te
4)
Sup
cost5 l*e
note 5)
Totsls
Charrtable thiltles
Donations to KemKh, tsrael
1,591
1.591
683 670
GRA14TS PAYABLE
2024
2023
Donations to Kemach, Israel
Goveman
narKe
Totsls
aritatAe aclivFVes
631
960
TRusfEEY REMUNERATION AND BENEFITS
There were no trustees, ren￿￿ration or other be￿ts for the year entsj 29 February 2024 nor for the year
eTh*d 28 February 2023.
waE Tr) expenses pald for the year entsd 29 February 2024 for the Ye￿ ended
28 February 2023.
CREDITORS: AMOUNTS FALLING DUE wmiiN ONE YEAR
2024
other u8Jltc
960
960
RELATED PAirrY DISCLOSURES
During the year £681,979 (2023.. £693,408) was thnatgj by charlUe5 sclne trusw In convnon wlth The
KeThoch FouthtK)n.
Dwlng tIE year, É682,07912023.. £730,733) wa5 thxated to the Kemach Fo￿da￿On kn Iml, a ch•lty one
trthree In ccfflmon wltt) Tr Kemath Foundation.
P4e9