OpenCharities

This text was generated using OCR and may contain errors. Check the original PDF to see the document submitted to the regulator.

2025-03-31-accounts

CharSty No 1178488 THE BEI8 Annual Accounts 31 March 2025

THE BEIS CONTENTS Reference and adminislraliv8details of the charity Trustees, ieport 2-3 Statement of financial actlvitl88 8alance 8heet Notes to the financial 8tatemenls

THE BEIS REFERENCES AND ADMINISTRATIVE DETAILS OF THE CHARITY. ITS TRUSTESS AND ADVISERS FOR THE YEAR ENOED 31 MARCH 2025 Tru•t•• MrMar¢ Zemmel Mr brnel R088nterg Mr Gabrid Sc￿aIt0 Ch•rtty rngl•tr•tlDnno 1175488 Prfn¢lp•l •ffl¢• OHR YERUSHALAYIM SYNAGOGLIE 470 BURY NEW ROAD SALFORD M74NU 8•nk•r•

TRUSTEES. REPORT FOR THE YEAR ENDED 31 MARCH 2025 The Tru8tee8 pre88nt thelr annual rep￿1 log&th8f the financial 8tatements ofThg lor th• èndad 31 March 2025. The Tru¥tsts ¢onfimi that the annual report and fnancial 8latementa ofthe chaiity o)Thply whh the current stslutory r•qulremenl8, the requirement8 of lh8 th&nty8 goveming document and the pfovi8ion8 ollh? Statement of Recommended Practice ISORPI"AccounffjrvJ and R$portlng by Chartti88 prepanThJ their acrA)unts in 9¢¢0rdance wrth the FinancA81 Repo￿.n9 StandBrd applicab￿ In th8 UK and Republic ol Ireland IFRS 1021 188wd 16 July 2014. STRUCTURE. GOVERNANCE ANO WINAGEMENT Th•r• ￿ no thlefexe(Xrt￿ olknr and tfk• day io day affAITs olthe chadty efe undgrtak•n by th¢ memb•rn. All major declsbn8 are taken colknth•ly by tha tA￿tO•S and 911 of th8 trustees 9ive of t￿lT lirn fr8èty. Th• rnembars are unpapd and do1•il$ or ony r•l8t¢d p81ty tran80cbon8 are dMclo8ed aa apPl￿trIe in th• not•8 to th accounts. R8enJitment and 8ppointmenl ol new tNBtsa8 would b• In Iln8 th8 tru8t deed and ￿th Ihe Ix)n8ent of thg trusts•i. The tllterkg t for th8 8uttable c4ThJidate %w)uld ￿ 80rneone who 13 8en8rtive to the need8 and demands of Iho or9anl8ation. R18K REVIEW Th memb&r8 have 888es8ed the rf¥k¥ to lh8 charlty Is oxp088d, In particul&rlhw related lo IM wra1é￿e and finan￿ of th• trust, and are satisfied that 8yatèm8 In plac• to manage th18. OBJECTIVES AND ACTIVITIES To &Jvanc• th• Jowh relwion forth bantfit ol t￿ p￿IlIC in attOrdan￿ wtth the 8taterrnt 0lfvNh. To advance educat￿n partiopants by the pmvi$ion o18UPPOrt #nd activitie8 which develop the gkill¥, ￿paI)I* and capabillt1•8 to •n8bl• them to ¢ontributs to 50dety as mature and reBpgn8lile iThJlviduali.

TRUSTEES. REPORT {continued) FOR THE YEAR ENDED 31 MARCH 2025 FINANCIAL REVIEW Achlevements •nd PerfornMne•: The charity received £10.758 in donations during the peiiod. The charily had 4X>St8 of £21,002 ofwhleh £3,720 were govemanr tosts. There We￿ no inveatments made dunno the period. Flnanclal Revl•w'. The trustees feel that thè tharlty w88 succe86fiJl in meeting it8 aimv. R•8efV•8 Pollcy: Th& memb&r8 are SatiB￿d that t￿ bal•nc• ofth• unf•8trfctad 18 at aTh atteptsbb thl gfv•n th• nature ofrevenue rnceipts ag8in8t L￿18. Reopon•lbllltiM of th• Tw•t••¥.' Thè tru8ts88 are regponslW for pr•partng th• tru8teeB annual roport aTrJ Ib? fingndgl statemonts th ac￿rdanI% wth appllcabk law and UnN8d Kingdom Accountwy St¥ndord8 IUKGA4PI. Thlu rnport w41 apkyoved by th• Tr￿1888 on 24th D•c•mber 2025

nd 1gn•d on Imlr behl. ty..

Mr Marc Zvmmel

THE BEIS Stalem•nt Of Flnancial Activrties For the yoar ended 31st March 2025 2025 Unrestricted Funé8 2024 Unrestricted Funds Not INCOMING RESOURCES Incomlng resourc•• from gonerntsd fund# In¢oma 10,758 24.567 Totsl Incomlng resour¢•s 10.758 24.567 RESOURCES EXPENDED Charll•bl• •¢¢lvltl•• Résource6 expended on tharltabl8 8cb¥its8s 17,282 14.782 Governance cos18 3,720 3.039 Totsl vo8ourGeB oxp&n•od 21,002 17,821 surplu￿ {d•ficW for thg yeor 10.244 6,746 The notes form part of these finaKial statements Page 4

THE BEIS Bal•n¢• 8h••t A8 at 31¥Jt M•r¢h 2020 2025 Unr8stricted Funds 2024 Unrestric Funds Notes FIXED ASSETS TAngl￿e 8$8ets 179 224 CURRENT ASSETS Cash at bart( Debtors 1,565 11,764 CREDITOR8 Amounts falling due %thln w yoar 400 NET CURRENT ASSETS TOTAL ASSETS Less CURRENf LIABILTnES 11.588 NET ASSETS FUNOS Unr••trlct•d fund•: Gener81 fund 11,588 TOTAL FUNDS 1,586 The fin•wJal staknnts ￿rfr appToved by tha B￿r￿ ofTN8teeB on 2411212026 and wwe #lpn•d on It8 behalf by., ON BEHALF OF THE BOARO: Mr Z•mm•l Tru•t•• Th8 notsg form part of th8se finanual statements Po99 5

THE BEIS Notes to th• Flnan¢lal Statoffl•nts For th• p•rlod endgd 3181 Maf¢h 2025 ACCOUMTIMG POLICIES Acciwnting conv•ntion The finanaeAal statements have been prepared under the hlstorlcal c051 convention and In accordance wllh the Statement of recommended practu.. Atxounling 8nd Reporting by charltl&s proparing their arLounts in accordance with the Flnancial Reporting St8ndard appllcable In the UK and Reput4ic of Ireland IFRS 1021 issu8d on 16 July 2014 and wlth the Chariti9s Ad 2011 Incomlng r•*ou￿$S All incomlng resource8 are Ir￿luded on the Statement of F￿ane￿al Activities when the charity is18gally 8nlMed lo the Income and tho amount can be quanbfied with reasaonable accurw. R•8ourcu •xp•nd•d Expenditure Is accounted for on an 8¢UU8ls ba818 and ha8 been das6ifled und¢rthe he8dlnos that aggregate all costs relaled lo the category. Where costs cannot be tjiredy attributed to h8adlngs they have beèn allocated lo acts"vi1108 on a baBI8 con818tont wth th8 u88 ol re8ouThs. Taxatlon The ch8rfty Is exgmpt from lax on Its ohortt4blé 4ctivltlo8. Fund a￿OuntIng Unrestricted fund8 can be ujed In #c￿rdanc• wlh Iho tharitablè obloCtSve8 al the diBc¥ellon of th• tru8lee8. Réslricted lunds can only be usfjd for partlojlar reslrfdod purposes whhin the obje¢t8 of the Gharily. R&strfctlon 8rl8e8 vthan 8pecSfied by the donor or when fund8 are rai5gd for particular r851ricied purpose8. Further explanation of tho nalure purp08e of gach e4d) fund 18 Included In the noteg to the financlal stalemènls. VOLUNTARY INCOME 2025 2024 Donotions recelv8d Governmenl Grant 10,758 4,577 19,990 4,56 Page 8

THE BEIS Not￿ to tho Fln4nelal Stat•m•nt•. contlnuad For th• parlod •nded 31Bt Ma￿h 2025 CHARITABLE ACTIVrnE8 COSTS Dlre( Oirect 2025 2024 Fcod, Dtanks & Events 17,282 14,782 Rts6oU￿6 OXP8ndad on chantsbk8 athwb"•8 17,282 GOVERNANCE COSTS 21r25 2024 LMJhl 8nd h•al Travd R8p8irs and malntw8nc• ActAwnt8ncy fee8 Sundry Con8ultancy Fe Printing Postage & Ststkn Depffjtyalon 1,350 278 40a 4L 1.649 750 833 56 TRU8TEE8' REMUNERATION AND BENEFIT8 There Y+effj no Iru8te8< rernunèralion or othor t￿￿￿8 lorlh8 year ended 31Jt March 2025. Tr￿t•••' •xponw• There no tru8teeB exFen8e6 paid In th& yeAr anded 3161 Mèrth 2￿25. Poge 7

THE BEIS Not¢s to the Financial Statements - contlnued For tho por4od ended 31st March 2025 CREDITORS . AMOUNTS FALLING Due wrrHIN ONE YEAR 2025 AGcounts 31.03.2025 400 400 MOVEMENT IN FUNDS As at Surplugl 31.03.24 (deficrtl in year A88t 31.03.25 Unrnstrfctod fund• General fund 11,588 10,244 1,344 Page 8