Chority Mo 1176468
THE BEIS
Annual Accounts
31 March 2024

THE BEIS
CONTENTS
Reference and admlnislrallvedetails of the charity
Trusl888' report
Slat8ment of financial activities
Balance sheet
Notes lo the financial statements

THE BEIS
REFERENCES AND ADMINISTRATIVE DETAILS OF THE CHARITY. ITS TRUSTESS AND ADVISERS
FOR THE Y&4R ENDED 31 MARCH 2024
Tru8t•
Mr Marc Zemmel
Mr Isiael R05enb&rg
Mr Gabriel SchwAlbe
Chartty r•ghtr•tlonno
117546B
Prln¢lp•l offl
OHR YERUSHALAYIM SYNAGOGUE
47D 8URY NEW ROAD
SALFORD
M7 4NU
B•nk•r•
Notsv•Bt

TRUSTEES. REPORT
FOR THE YEAR ENDED 31 MARCH 2024
The Trnytees pre8ent their annual rep¢¥t to￿ther with the fin8nc•al statemgnts of Th¢ Bels for the ended 31
Mareh 2024. The Tru8teè8 confirm that the annual report and fMancial stAterr*nts olthe charity cortT)ly wrth the
current 8tatutory requirgfflènts, th• requirements ofihe charitys governing document and the p(OVi8iDn8 ol Ih?
Stattsment of Recommended Pr8the4 ISORPI.Ao￿untlfia and Reporting by Charit1•8 prepanroJ their acoJunt8
In accordonr* ￿th thè Ftnanciol Reporting Standard BpplICab￿ in th• UK and Republic ol Ireland IFRS 1021
188wd 16 July 2014.
STRUCTURE. GOVERNANCE AND IAANAGEMENT
There18 nD aX•OJt￿fr Off￿1 and the d8y to d&y 8ff•lr8 ol the tharfly are undertaken by th? m•mb•rn.
All molor dgc4Blon$ tak•n colkryelfv•ty by the trustees and ill of th• tru8ts88 give ol theirtirro freely,
Th• m8mbers ar• unpo¢ •n¢l det8ilB of any related paty tran$Aclion8 ar• discloae¢J 88 applicable In th¢ not•8 to t1￿ accounts.
Recrultment and appokntmant of naw tru8tee8 would be In line wllh th• Iru$t deed and wbth the ronaenl ollhg Iru•ts•i. Th• crtt•rlft
sèt lor the tsullgbl8 rAnd*J8te would be someone who 18 ￿n$11￿0 t) lttè needs and demand8 01 the oroanl881I0n.
RISK REVIEW
Tha m•mb•r8 have as8e8oed th•J rf8k• to whieth the charity 18 expo8eil, In partKulor thot• r•l8t•d to th operalon¥ and of
th• tru8t, and are sJUBfied that ¥ystèms Ar• kn place to mana98 Ihl•.
OBJECTI￿8 ANO ACTIVITIE8
To Advanc* the Jew￿h rellglon for the bgngfit of tM p￿11* In &c￿rdanC• wrth Iha State￿nI ol faith. To advanc4 educNlion In
portrapAnt8 by the provision of 9UPPOrt and Sctfvit￿g whlch develop the 8klll¥, copadV•£ and capabllStie8 to enable Ihem to
ntributè to 80dely 88 mature and re6pon¥blo individuals.

TRUSTEES. REPORT Icontinuèdl FOR THE
YEAR ENDED 31 MARCH 2024
FINANCIAL REVIEW
A¢hl•vemonl• and P•rfornian¢e;
The charity recgived £24.S67 in dOna￿On6 during the period.
The charity had costs oIE17,821 of￿1th £3,039 were g¢)VeM#n￿ eAXts.
Th•r• %4or8 no inveBtments made durin9 thè per￿.
Flnanelal R•vlow:
The trusts88 feel that th• charty was wcrnJ$fvl in m8eting th •im8.
R8••rvo1 Pollcy..
The Dwmbèrs are lats￿d Ih4t th8 bakqnce ol lh• unrest￿Cted fijnd is 01 •n 0￿ptable knl glv•n the naturo of revenuo roc*lpl8
again•t cJJ¥ts.
R••ponilblllllM of th• TruBIg••:
The tru8tee¥ ore regpon8lble lor prnparing the tru8t••8 annual report and th• finanelal 8tat•m•nt8 In acujrdfince with 4ppllc•ble
I￿and Vnltsd Kingdom Accounting Standard8 IUK¢YAPI.
Th18 report w•B ¥pprov•d by tho Tr￿1￿ on 18lh Septembgr 2￿24
ond on th•lr b•hBW, by..
Mr Marc Zemm•l

THE BEIS
3tat8ment Of Flnanclal Actlvltlas
For the ygar &ndgd 31st IAarch 2024
2024
Unrestricted
Funds
2023
Unrestricted
Funds
Notes
INCOMING RESOURces
Incomlng r68ourcM from g•n•ratsd funda
Income
24,587
19.484
Totsl Incomlng rgsourc•*
24,567
19484
RESOURCES EXPENDED
Ch•rltsble actlvltles
ResoLtrce8 expended on ¢harltable actlvttie8
14,782
10,453
Governance co818
3,039
6,150
Totsl rnsourcm oxp•n8•d
17,821
Surplusl Id•fl¢ltl for th• year
2,881
The notes fom part of the88 fin8nGi81 slaloments
Page 4

THE BEIS
8alance Shoot
A¥ at 31$t Mor¢h 2024
2024
2023
Unresirfcw Unrastrictsd
Funds
Funds
Notes
FIXED ASSETS
Tangiblè as68ts
224
CURRENT ASSETS
C8$h at bank
Debtor9
11,7fj4
4.g62
CREDITORS
Amounts falliry ￿thIn ono ya
400
4(K)
NET CURRENT A88ETS
11,384
4.562
TOTAL A88ET8 LESS CURRENT LIABIUTIES
11,58
4.842
NET ASSETS
FUND8
Unmtrletsd fvnd8:
Gen8fal fund
11,588
4,842
TOTAL FUN08
11.
4842
Th• ffinancial 8tatern•nt¥ **r• approv8d ty BOS￿ of Tru8teos on 1PJ09r2024 ond wglè 8ign8d on rts bohalf by.,
ON 8EHALF OF THE BOARD:
Ali M•r¢ Z•mm•l
Tnrnt••
Thg notes fom part ol these financi813t8tern8nts
Page 5

THE BEIS
Not0¥ to the FIMn¢lal Stst8mgnts
For tho perlod ondod 31st Plarch 2024
ACCOUNTING POLICIES
Aecountin9 convention
The fin8nacial $18temenls have been prepared under the historical cost convgnlion and in awrdance with the
slalemenl of re￿MMended practice.. Accounting 8nd Reporting by Charit￿$ preparing their accounts In accordance
with the Financlal Reportlng Standard applicable In th9 UK and Republlc of Ireland (FRS 1021 is$ued on 18 July 2014
and with thè Charities Acl 2011
Incomlng r080urc••
All incoming reBourcos are indud8d on thé Statement of FSn8ncial Adivlttès when th¢ d)arity i$19gally eft1￿ed
to t￿ Income and th8 amount can be quaniified wth ro8saonable accuracy.
R6•our¢M exp•nd•d
Expondilure is accnunled for on an accnJ818 basls and has beèn da$￿Tled under th8 headlThJ8 Ihal gggf9galg
all cost8 related to the category. Where coslB cannot b& directly attrlbulgd lo particular headings Ih8y have
begn 811ocaled lo athiilie8 on a b8$18 eon8181enl ￿th the u80 of résourc￿8.
T#xatlon
Th• charity 1$ exempl from tsx on118 charflatle a¢tivilkg8.
Fund aKountsng
UnreBlricted fund8 Con b? u6ed in acoNdance vllh the charllablg oblocUv98 91 tho dl8¢yetk*n of the tru￿988.
ReBtrictgd fund8 can onty bg u88d lor partlcular reslrfcted purp0888 wlthln the oblec18 of the charity.
Re81rlctlon arf8e8 whon SFodfied by the d￿0[ Of when fund8 ore raised lor PBrti¢%lar re61ri¢ted purposos.
Further oxplanation of the nalure and purpo88 0108ch each fund18 I￿luded in notés to thè flnanclal
8talement8.
VOLuirfARY INCOME
2024
2023
Donatlons re￿IVed
Governmont Granl
4,577
19,WJ
9,534
9.950
.484
Pa￿6

THE BEIS
Note¥ to the Flrtancial Statsments . conilnued
Forthè p•rlod ended 31st March 2024
CHARITABLE ACTIVITIES COSTS
Dlrect
CO8is
Direct
costs
2024
2023
Food, D￿nkS & Events
14.782
lo,￿3
Resources expended on ch8nlable acbvltie$
14,782
10 453
GOVERNANCE C08T8
2024
2023
Ughl and hèal
Cl•8ning
Repalrs and rnaintsnance
Accountan￿ fe88
Sundry
Consultsncy Fee8
Prints'ng Po¥tage & Stationery
D¥prociation
1.OCQ
457
1,817
115
760
833
810
821
TRUSTEES. REMUNERATION ANO BENEFITS
Thero werg no trust8e8' rèmun8rth.on or other b8nafits lor Iho year ended 3151 March 2024.
Trn•t•o•' •xp•no
Th•r• no trust888 expenses paid In the year •nde(J 318t March 2024.
Pa￿7

THE BEIS
Notes to the Flnanclal Statements - contlnued
For the perlod gnded 31st March 2024
CREDITORS . AMOUNTS FALLING DUE WITHIN ONE YEAR
2024
Accounts 31,03.2024
400
MOVEMENT IN FUNDS
AS at Surplusl
31.03.23 Ideficitl In
year
Asal
31.03.24
UnreBtrlct•d funds
General fund
4,842
8,746
11,588
Page 8