REGIsfERED CHARITY NUMBER: 1173655
Report of the Trustees and
Unaudlted Flnandal Stat•ment$ for the Year Ended 30 Septembor 2024
for
Beth Hamldrash Hagadol Synagogue Le¢dJ
Q&K Audltors Ltd
14 Cllfton Moor Buslness Vlllage
James Nlcolson Llnk
York
Y030 4XG

Beth Hamldrash Hagadol Synagogue Leeds
Contents of the Flnanclal Statements
for the Year Ended 30 Septémber 2024
Page
Report of the Trnstees
Independent Examlner's Report
Statement of Flnanclhl ACtlvltle$
Balan¢• Sheet
Cash Flow Ststement
Notes to the Cash Flow Statsment
Notes to th¢ Flnanclal Statsm•nts
8 to 15
Detallod Statement of Plftanclal Actlvltle8
16 to 17

Beth Hamldrash Hagadol Synagogue Leeds
Report of the Trugtees
for the Year Ended 30 September 2024
The trustees present thelr report wlth the financial ststements of the charlty for the year ended
30 September 2024. The trustees have adopted the provlsions of AccDuntlng and Reportlng by Charltles:
Statement of Recommended Practlce appllcable to charltles preparlng thelr accounts In accordance wlth the
Flnanclal Reportlng Standard appllcable In the UK and Republic of Ireland (FRS 102) (effertlve l January
2019).
OBJEcfIvES AND ACTivrriES
Objectives and alms
The objectlves of the charlty are to advance the Orthodox Jewlsh rellglon and falth for the pub51c benefit by
all or any of the followlng mean5:.
to advance the Orthodox Jewlsh tEllglon amongst Jewlsh people and the general publlc, In accordance wlth
Its doctrfnes by the celebratlon of dlv5ne servlces and other religious actlvlties.
to provlde and malntaln a synagogue for prayer and to further encourage the practlce of Orthodox
Judalsm;
to provlde for the rellglou5 needs and splrltual growth of the members Qf the synagogue and to e5tabllsh
and malntaln Such Instltutlons as may be requlred for thls purp05e In accordance wlth tradltlonal Orthodox
Jew15h law.
to do all such other thlngs (conslstent wlth the charltable character of the synagogue) as wlll further the
attalnment of the other obJectlve5 provlded always that the actlvltles shall be carrled on In accordance wlth
the prlnclples of Orthodox Jewish law.
Actlvltles
The actlvltles of the charlty, usually through Its Rabbl$ and lay preachers Indude the provlslon or:.
dally rellglous servlces wlth speclal arrangements for chlldren on sabbaths and festlvals.
approprlate senilces for members celebratlng marrlages, Bar Mltzvahs and Bat Mltzvahs and other Ilfecycle
events.
servlces for all the festlvals and hlgh holy days.
leamlng opportunlties for the study of Torah and Jewlsh values.
a burlal ground and funeral servlces for members, non members and thelr famllles,
The charlty also provldes a regular soclal programme throughout the year addresslng varlous age group51 as
well as engaglng In pastoral care accordlng to members, needs.
ACHIEVEMENT AND PERFORMANCI
Charltable Jrtlvltles
The charlty provlded physlcal rellglous s8rvlce5 on a dally basls throughout the year. On weekdays, a Ilve
streBm of servlces was gffered for those who were elther unable or unwllllng to attend the bulldlng In person,
As an Important role, the charity welcomed vlslts to the Synagogue from local schools. Thls glves puplls of
other falths an Inslght Into the Orthodox Jewl$h rellglon and culture. Through thls Inltlatlve the charfty helps
to reduce Ignorance and antisemltism In the wlder communlty.
FINANCIAL REVIEW
Flnanclal posltlon
During the year the charlty Incurred a deflclt of £11,280 {2023 deficlt £26,793) leavlng reserves carrled
forward of £385,814 (2023 É397,094),
It Is the charlty's pollcy to try to malnt?In unre5trlcted funds, after deductlng the book value of fixed assets
at a level whlch equates to not less than slx Months, unrestrlcted expendlture so as to provlde sufficlent
funds to cover normal runnlng costs. It Is consldered that unrestrfcted funds were rnalntalned at a reèsonable
level throughDUt the year.
The charlty Is funded prlnclpally by voluntary subscrlptlons and donatlons and these pay for the stafflng and
other fa¢llltles required to deliver the chorlty'5 objectives.
Page I

Beth Hamidrash Hagadol Synagogue Leeds
Report of the Trustees
for the Year Ended 30 September 2024
FUTURE PLANS
The charlty plans to contlnua to provlde the same servlces and fadlltles as have been supplled In the current
year.
STRUCTURE, GOVERNANCE AND MANAGEMENT
Governlng document
The charltyi a Charitable Incorporated Organlsation, Is govemed by Its Artlcles and constltutlon.
Organlsatlonal structure
The management of the charlty Is vested In the trustees, There Ss an advlsory councll whlch provlde5
feedback and arts as a sounding board for trustees. The trustees and most of the councll are elected by
the members at the Annual General Meetlng.
Related partles
The charlty wholly owns a subsldlary companyi Street Lane Bakery Umlted, whlch operates as
manufacturlng baker and bakery retaller as well as operatlng a café on slte.
Rlgk managemont
The major rtsks to whlch the charlty Is exposed, as Identlfled by the trustees, have been revlewed and
systems andlor Pro￿dUreS have been establlshed to manage them.
REFERENCE AND ADMINXSTRATIVE DETAILS
Regl8tered Charlty number
1173655
Prlnclpal address
399 Street Lane
Leed5
LS8 6HQ
Trustses
M R Eaton
J M Stralght
l Green
M H Port (reslgned 19.12.23)
A Taylor
M Sumroy (appolnted 21.2.24)
A Jacobs (appolnted 16.5.24)
rndependent Examlner
Mr R Ormlston
Q&K Audltors Ltd
14 Cllfton Moor Buslness Vlllage
James Nlcolson Llnk
York
Y030 4XG
Chlef Exécutlve Offlcer:
The day to day management of the charlty Is delegated by the trustees to the Chlef Executlve offi￿r,
Deborah Selwyn.
Approved by order of the board of trustees on ..
and slgned on Its behalf by:
jmstra
rustee
Page 2

Independent Examlner's Report to tho Trustses of
Beth Hamldrash Hagadol Synagogue Leed5
Independent examlner's report to the trustees of Beth Hamldrash Hagadol Synagogue Leeds
I report to the charlty trustees on my examlnatlon of the accounts of Beth Hamldrash Hagadol Synagogue
Leed5 (the Trust) for the year ended 30 September 2024.
Responsiblllties and basis of roport
As the tharlty trustees of the Trust you are responslble for the preparatlon of the a¢count¥ In attordance wlth
the requlrements of the Charltles Act 2011 ('the Act,),
I report In respect of my examlnatlon of the Trust'5 accounts carried out under Sectlon 145 of the Act and In
carrylng out my exarnlnatlon I have followed all appllcable Dlrectlons given by the Charlty Comrnlsslon under
Sectlon 145(5)(b) of the Art,
Independent examlner's statement
Slnce your charlty's gross Income exceeded £250,000 your examlner must be a member of a 115ted body. I
can conflrm that l am quaiif18d to undertake the examination because l am a member of the Instltute of
Chartered Accountants In England and Wales, whlch Is one of the Ilsted bodles.
I have completed my examlnjtlon. I conflrni that no materlal matters have come to my attentlon In
onnectlon wlth the examlnatlon glvlng me cause to belleve that In any materlal respert:
accountlng records were not kept In respect of the Trust as requlred by Sectlon 130 of the Act. or
the accounts do not accord wlth those records. or
the accounts do not comply wlth the appllcable requlrements concernlng the form and content of
accounts set out In the Charftles (Accounts and Reports) Regulatlons 2008 other than any requlrement
that the accounts glve a true and falr vlew whlch Is not a matter consldered as part of an Independent
examlnatlon.
I have no concems and have come across no other matters In connectlon wlth the examlnatlon to whlch
attentlon should be drawn In thls report In order to enable a proper understandlng of the accounts to be
reached.
Mr R Omilston
The Institute of Chartered Accountants In England and Wales
Q&K Audltors Lid
14 Cllfton Moor Bu51ness Vlllage
James NlcolsDn Llnk
York
Y030 4XG
Date:
Page 3

Beth Hamidrash Hagadol Synagogue Leeds
Statement of Flftancial Actlvltles
for the Year Ended 30 September 2024
30.9,24
Total
funds
Unrestrlcted Endowment
fund
fund
30.9.23
Total
funds
Notes
INCOME AND ENDOWMENTS FROM
Donatlons and legacies
437,896
437,896
386,727
Charltable actlvltles
Incomlng resources from charltable actlvltles
58,036
58,036
48,734
Other tradlng ac￿VItI￿$
Investment Income
Other Income
9,850
994
26,821
9,850
994
26,821
20,229
608
28,950
Total
533,597
533,597
485,248
EXPENDITURE ON
Costs of tradlng actlvltles and fundralslng
Charltsble a¢tlvltl¢s
Costs of charltable actlvltles
Governance costs
6,695
6,695
23,625
533,851
4,331
533,851
4,331
483,655
4,761
Total
544,877
544,877
512,041
NET INCOME/(EXPENDITURE)
(11,280)
(11,280)
<26,793)
RECONCIUATION OP FUNDS
Total funds brought forward
378,789
18,305
397,094
423,887
TOTAL FUNDS CARRIED FORWARD
367,509
18,305
385,814
397,094
The notes form part of these financlal ststements
Page 4

Beth Hamldrash Hagadol Synagogue Leed8
Balance Sheet
30 September 2024
30.9.24
Total
funds
30.9.23
Total
fund5
Unrestrltted Endowment
fund
fijnd
Notes
FIXED ASSETS
Tangible assets
Investments
li
12
380,128
380,128
381,412
380,129
380,129
381,413
CURRENT ASSETS
Stocks
Debtors
Cash at bank and In hand
13
14
36,519
55,868
36,519
74,173
27,584
84,110
18,305
92,388
18,305
ILO,693
111,695
CREDITORS
Amounts falllng due wlthln one year
15
{63,430)
(63,430)
(48,663)
NEf CURRENT ASSETS
28,958
18,305
47,263
63,032
TOTAL ASSETS LESS CURRENT
LZABILITIE5
409,087
18,305
427,392
444,445
CREDITORS
Amounts falllng due after more than one
year
16
(41,578)
(41,578)
(47,351)
NET ASSEYS
367,509
18,305
385,814
397,094
FUNDS
Unrestrlcted funds
Endowment funds
18
367,509
18,305
378,789
18,305
TOTAL PUNDS
385,814
397,094
The flnonclal statements were approved by the Board of Trustees and authorlsed for Issue on
and were slgned on Its behalf by:
ustee
The notes form part of these financlal statements
Page 5

Beth Hamldrash Hagadol Synagogue Leeds
Cash Flow Statement
for the Year Ended 30 September 2024
30.9.24
30.9.23
Notes
Cash flows from operatlng actlvltles
Cash generated from operatlons
Interest pald
(5,745)
(1,004)
(29,684)
(1,130)
Net cash used In operatlng actlvltles
(6,749)
(30,814)
Cash flows from Investing actlvltles
Purchase of tanglble flxed assets
Interest recelved
(1,607)
994
(6,381)
608
Net cash used In Investlng artlvltles
(613)
(5,773)
Cash flows from flnan¢lng a¢tlvltlos
Loan repayments In year
(5,208)
(5,080)
Net cash used In flnanclng actlvltles
(5,208)
(5,080)
Change In cash and ca8h equlvalentg
In the reportlng perlod
Caah and ¢a8h equlvalents at the
beglnnlng of the reportlng perlod
(12,570)
(41,667)
84,110
125,777
Cash and cash equlvalonts at the
end oe the reportlng perl•xI
71,540
84,110
The notes form part of these financlal statements
Page 6

Beth Hamldrash Hagadol Synagogue Leeds
Notss to the Cash Flow Statement
for the Year Ended 30 September 2024
RecoNCILIATION OF NEf EXPENDITURE TO NEf CASH PLOW FROM OPERATING AcllviTIES
30.9.24
30.9.23
Net expendlture for the reportlng perlod (as per the
Statement of Flnanclal Artlvltles)
Adjustments for:
Depreclatlon charges
Interest recelved
Interest pald
Increase in debtors
Increase In credltors
(11,280)
(26,793)
2,891
(994)
1,004
(8,935)
11,569
2,158
{608)
1,130
(8,537)
2,966
Net cash used In operatlons
(5,745)
(29,684)
ANALYSIS OF CASH AND CASH EQUIVALENTS
30.9.24
30.9.23
Cash In hand
Notlce deposlts (less than 3 months)
Overdrafts Included In bank loans and overdrafts falllng due wlthln one
year
50
74,123
60
84,050
(2,633)
Total cash and cash equlvalents
7.1,540
84,110
ANALYSIS OF CHANGES IN NET FUNDS
At 1.10.23
Cash flow
At 30.9.24
Net ￿$h
Cash at bank and In hand
Bank overdraft
84,LlO
(9,937)
(2,633)
74,173
(2,633)
84,110
(12,570)
71,540
Debt
Debts felllng due withln l year
Debts falllng due after l year
(5,081)
(37,351)
(125)
5,333
(5,206)
(32,018)
(42,432)
5,208
(37,224)
Total
41,678
(7,362)
34,316
The notes form part of these financlal statements
Page 7

Beth Hamldrash Hagadol Synagogue Leeds
Notes to the Flnanclal Statements
for the Year Ended 30 September 2024
ACCOUNTING POLICIES
Basls of preparing the flnanclal statements
The financlal statements of the charfty, whlch Is a publlc beneftt entlty under FRS 102, have been
prepared In accordance wlth the Charities SORP (FRS 102) 'Accountlng and Reporttng by Charltles.,
Statement of Recomrrtended Practlce appllcable to ¢harltles preparlng thelr accounts In accordan
with the Flnanclal Reporting Standard appllcable In the UK and Republlc of Ireland (FRS 102) (effectlve
l January 2019),, Flnanclal Reportlng Stsndard 102 'The Flnanclal Reportlng Standard appllcable In the
UK and Republlc of Ireland, and the Charities Act 2011. The flnanclal statements have been prepared
under the hlstorlcal cost conventlon, wlth the exceptlon of Investments whlch are Included at market
value.
Income
Voluntary Income Is recognlsed on ￿CeIpt.
Interest15 Induded when recelvable.
Incomlng resources fmm charltable actlvltles are recognlsed upon reedpt.
Expéftdlture
Llabllltles are recognlsed as expendlture as soon as there 1$ a legal or constructlve obllgatlon
committlng the charity to that expenditure, It Is probable that a transfer of economlc beneflts wlll be
requlred In settlement and the amount of the obllgation can be measured rellably. Expenditure 1$
accounted for on an accNals basls and has been classlfled under headlngs that aggregate all cost
related to the category. Where costs cannot be dlrectly attrlbuted to partlcular headlngs they have
been allocated to actlvltles on a basls conslstent wlth the use of resources.
Tanolble flx•d assets
Tanglble fixed assets are capitallsed and Included at cost,
Depreclatlon Is provided on plant and machlnery on a stralght Ilne basls over 3 years.
Freehold property and Slfrel Torah are wall malntalned such that the trustees ccnslder It unnecessary
to make provlslon for depreclatlon In respect thereof.
Stockg
Stocks are valued at the lower of cost and net reallsable value, after maklng due allowance for
obsolete and glow movlng Items.
Taxatlon
The charlty Is exempt from tax on Its charltable actlvltles.
Fund accountlng
Unrestrlcted funés can be used In accordance wlth the charftable objectlves at the dlscretlon of thé
trustees.
RestrEcted funds can only be used for particular restrlcted purposes wlthln the objects of the charlty.
Restrlctlons arlse when spe¢med by the donor or when funds are ralsed for partlcular restrfcted
purposes.
Further explanatl¢n of the nature and purpose of each fund Is Included In the notes to the flnanclal
statements.
Panslon costs and other post-retlrement benellts
The charlty operates a defined contrlbutlon penslon schema. Contrlbutlons payable to the charfty's
penslon scheme are charged to the Statement of Flnanclal Actlvltles In the perlod to whlch they
relate.
Page 8
contlnued.,.

Beth Hamidrash Hagadol Synagogue Leeds
Notes to the Fin8nci315tatement5 - contFnued
for the Yeap Ended 30 Septsmber 2024
DONATIONS AND LEGACIES
30.9.24
30.9.23
Member CDntrlbutlons
Securfty levy
Communlty levy
Other donatlons
355,460
21,410
6,661
54,365
310,655
22,086
6,594
47,392
437,896
386,727
OTHER TRADING ACTIVITZES
30.9.24
30.9.23
Bookshop Income
Lelsure club receSpts
Calendar and BIMA magazlne recelpts
90
664
, 10,032
9,533
9,760
9,850
20,229
INVESTMENT INCOME
3Q.9.24
30.9.23
Deposlt account Interest
994
608
INCOME FROM CHARITABLE ACTIVITIES
30.9.24
30.9,23
Actlvlty
Incomlng resources from charltable
4ctlvltle5
Incomlng resources from charltable
actlvltles
Cemetery and burlal
seNlces
44,931
43,280
Grants
13,105
5,454
58,036
48,734
Grants recelved, Included In the above, are as follows:
30.9.24
30.9.23
Securfty Grant
13,105
5,454
Page 9
contlnued...

Beth Hamldrash Hagadol Synagogue Leeds
Notes to the Financial Statsments - ¢ontlnued
for the Year Ended 30 September 2024
COSTS OF TRADXNG ACTIVMES AND FUNDRAISING
Ralslng donatlons and legacles
30.9.24
30.9.23
Lelsure club expenses
Events
Bookshop expenses
Calendar and BIMA expenses
8,441
5,391
3,577
6,216
671
6,024
6,69S
23,625
CHARITABLE ACTIVMES COSTS
Dlrect
Costs
Costs of charitab5e actlvltles
Govemance costs
533,851
4,331
538,182
TRUSTEES, REMUNERATXQN AND BENEPITS
There were no trustees, remuneratlon or other beneflts for the yaar ended 30 September 2024 nor for
the year ended 30 September 2023.
Trustoes, expenge4
There were no trustees, expenses pald for the year ended 30 September 2024 nor for the year ended
30 September 2023.
STAFF COSTS
30.9.24
30.9.23
Wages and salarles
Soclal securlty costs
Other pen51on costs
196,478
9,221
7,138
196,164
10,544
7,151
212,837
213,859
The average monthly number of employees durlng the year was as follows:
30.9.24
30.9,23
io
io
No employees recelved emoluments In excess of £60,00Q.
Page 10
continued.

Beth Hamidrash Hagadol Synagogue Leeds
Notes to the Financlal Statements - contlnued
for the Year Ended 30 September 2024
10. COMPARATIVES FOR THE STATEMENT OF FINANCIAL AcfIvITIES
Unrestrlcted Endowment
fund
fund
Total
fvnds
INCOME AND ENDOWMENTS FROM
Donatlons and legacles
386,727
386,727
Charltable actlvltles
Incomlng resources from charltable
acuvltles
48,734
48,734
Other tradlng attlvities
Investment Income
Other Income
20,229
608
28,950
20,229
608
28,950
Total
485,248
485,248
EXPENDITURE ON
Costs of tradlng actlvlties and fundralslng
23,625
23,625
Charftsble artlvltles
Costs of ¢harlt?ble actlvltles
Governance costs
483,655
4,761
483,655
4,761
Total
512,041
512,041
NET INCOME/(EXPENDXTURE)
(26,793)
(26,793)
RECONCXLXATION OF FUNDS
Total funds brought forward
405,582
18,305
423,887
TOTAL FUNDS CARRIED FORWARD
378,789
18,305
397,094
11. TANGIBLE FIXED ASSETS
Freehold
property
Plant and
machlnery
Tota15
COST
At i October 2023
Addltlons
340,765
217,491
1,607
558,256
1,607
At 30 September 2024
340,765
219,098
559,863
DEPRECIATION
At i October 2023
Charge for year
176,844
2,891
176,844
2,891
At 30 september 2024
179,735
179,735
NET BOOK VALUE
At 30 September 2024
340,765
39,363
380,128
At 30 September 2023
340,765
40,647
381,412
Page 11
contlnued,..

Beth Hamidrash Hagadol Synagogue Leeds
Notos to the Financlal Statements - contlnued
for the Year Ended 30 September 2024
11. TANGIBLE FIXED ASSEfs - contlnued
Flxed assets Includes £35,000 for Slfrel Torah whlch Is not depreclated.
12. FIXED ASSEf INVESTMENTS
Shares in
group
undertaklng
MARKET VALUE
At l October 2023 and
30 September 2024
NET BOOK VALUE
At 30 September 2024
At 30 September 2023
The charlty Is the beneflclal owner of IOOWO ¢f the Issued share capltal of Street Lane Bakery Llmlted,
a company that operates a bakery and café.
Advantage ha5 been taken of the regulations whlch set asldè the requlrement to prepare consolldated
accounts,
13. STOCKS
30.9.24
30,9,23
stocks
I& DEBTORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
30.9.24
30.9.23
Trade debtors
Other debtors
Prepayments
23,718
1,080
11,721
13,975
13,609
36,519
27,584
Page 12
contlnued...

Beth Hamidrash Hagadol Synagogue Leeds
Notes to the Flnandal Statements - contlnued
lor the Year Ended.30 September 2024
15. CREDrroRS: AMOUNTS FALLING DUE wrrHIN ONE YEAR
30,9.24
30.9.23
Unsecured bounce back loan (see note 17)
Trade creditors
Other credltors and accruals
7,839
26,757
28,834
5,081
23,511
20,071
63,430
48,663
CREDrroRS: AMOUNTS FALLING DUE AFTER MORE THAN ONE YEAR
30.9.24
30.9.23
Unsecurad bounce back loan (see note 17)
Members, deposlts
32,018
9,560
37,351
10,000
41,578
47,351
17. LOANS
An analysls of the maturlty of loans Is glven below:
30.9.24
30.9.23
Amounts falllng due wlthln one year on demand:
Bank overdrafts
Bank loans
2,633
5,206
5,081
7,839
5,081
Amount5 falllng between one and two years:
Bank loans - 1-2 years
5,206
5,081
Amounts falllng due between two and five years;
Bank loans - 2-5 years
15,619
15,242
Amounts falllng due In more than flve years;
Repayable by Instalment5:
Bank loan more than 5 years by Instalment5
11,193
17,028
MOVEMENT IN FUNDS
Net
movement
In funds
At
1.10.23
At
30,9,24
Unrestrlcted lunds
General fund
378,789
(11,280)
3S7,509
Endowment funds
Endowment fund
18,305
18,305
TOTAL FUNDS
397,094
(11,280)
385,814
Page 13
contlnued...

Beth Hamldrash Hagadol Synago9ue Leods
Notes to the Plrtanclal Statement$ - contlnued
for the Year Ended 30 September 2024
18. MOVEMENT IN FUNDS - contlnued
Net movement In funds, Included In the above are as follows:
Incomlno
resources
Resources
expended
Movement
in funds
Unr¢5tr1rted funds
General fund
533,597
(544,877)
(11,280)
TOTAL FUNDS
533,597
(544,877)
(11,280)
Compara¥ive8 for movement In fund8
Net
movement
In funds
At
1.10.22
At
30.9.23
Unrestrlcted funds
General fund
405,582
(26,793)
378,789
Endowment funds
Endowment fund
18,305
18,305
TOTAL FUNDS
423,887
(26,793)
397,094
Comparatlve net movement In funds, Included In the above are as follows:
Incomlng
resources
Resources
expended
Movement
In funds
Unrostrlcted funds
General fund
485,248
(512,041)
(26,793)
TOTAL FUNDS
485,248
(512,041)
(26,793)
A current year 12 months and prlor year 12 months comblned posltlon Is as follows:
Net
movament
In funds
At
1.10,22
At
30.9.24
Unrestricted funds
General fund
405,582
(38,073)
367,509
Endowment fund8
Endowment fund
18,305
18,305
TOTAL FUNDS
423,887
(38,073)
385,814
Page 14
continued..

Beth Hamldrash Hagadol Syn3gogue Leeds
Notes to the Flnanclal Statements - cont5nued
for the Year Ended 30 September 2024
18.
MOVEMENT IN FUNDS - contlnued
A current year 12 months and prfor year 12 months comblned net movement In funds, Included In the
?bove are as follows:
Inc¢mlng
resources
Resources
expended
Movement
In funds
Unrestrlrted funds
General fund
1,018,845
(1,056,918)
(38,073)
TOTAL FUNDS
1,018,845
(1,056,918)
(38,073)
19. RELATED PARTY DISCLOSURES
There were no related party transattlons for the year ended 30 September 2024.
Page 15

Beth Hamldrash Hagadol Synagogu• Leeds
Detalled Statement of Flnancial Actlvltles
for the Year Ended 30 September 20
30,9.24
Total
funds
30.9.23
Total
funds
Unrestrlcted Endowment
funds
funds
INCOME AND ENDOWMENTS
Donatlons and legacles
Member contributlons
Securlty levy
Community levy
other donatlons
355,460
21,410
6,661
54,365
355,460
21,410
6,661
54,365
310,655
22,086
6,S94
47,392
437,896
437.896
386,727
other tradln9 actlvltles
Bookshop Income
Lelsure club recelpts
Calendar and BIMA magazlne receipts
90
90
664
10,032
9,533
9,760
9,760
9,850
9,850
20,229
Investment Income
Deposlt account Interest
994
994
608
Charltable actlvltlo•
Cemetery and burfal servlces
Grants
44,931
13,105
44,931
13,105
43,280
5,454
58,036
58,036
48,734
other Incomo
Sundry re￿IptS
Events recelpts
Weddlngs, bar mltzvah, bat mltzvah etc
Rent and rooms hlre
2,580
3,094
1,927
19,220
2,580
3,094
1,927
19,220
2,550
6,704
2,309
17,387
26,821
26,821
28,950
Total IDcomln9 r¢sour¢es
533,597
533,597
485,248
EXPENDITURE
Ralsln9 donatlons and legacles
Lelsure club expenses
Events
Bookshop expenses
Calendar and BSMA expenses
8,441
5,391
3,577
6,216
671
6,024
671
6,024
6,695
6,695
23,625
Charltabl• actlvltles
Wages
Carfed forward
196,478
196,478
196,478
196,478
196,164
196,164
This page does not fomi part of the statutory ff nanclal statements
Page 16

Beth Hamldrash Hagadol Synagogue Leeds
Detalled Statement of F5nanclal Actlvltles
for the Year Ended 30 September 2024
30.9.24
Total
funds
3f).9.23
Total
funds
Unrestrlrted Endowment
funds
funds
Charltable actlvltles
Brought forward
Soclal securlty
Penslons
Kiddush and festlval expenses
UOY youth programme etc
Support to other charltles
Synagogue runnlng costs
SecurSty costs
In-h¢use cemetery and burlal
Sub-contrarted burlal servlces
Sundry expenses
Subscrlptlons
Legal and professlonal fe8$
Flnancial costs
Accountancy and Independent examiner's
fees
Depreclatlon of tanglble flxed assets
196,478
9,221
7,138
35,219
1,577
10,256
129,948
19,531
11,607
73,400
4,675
3,520
22,465
5,925
196,478
9,221
7,138
35,219
1,577
10,256
129,948
19,531
11,607
73,400
4,675
3,520
22,465
5,925
196,164
10,544
7,151
17,658
2,759
7,285
104,142
21,285
12,144
73,400
3,095
5,886
14,048
5,936
4,331
2,891
4,331
2,891
4,761
2,158
538,182
538,182
488.416
Total resources expended
544,877
544,877
512,041
Net {expendlture)/lncome
(11,280)
(11,280)
(26,793)
This page does not form part of the statutory flnanclal statement5
Fage 17