COMPANY NO. CE014988 {ENGLA14D AND WALES)
CHARrrY NO. 1179708 (ENGLAND AND WALES)
THE SHINE FOR SHANI CHARITABLE FOUNDATION
ANNUAL REPORT AND FINANCIAL STATEMENTS
For the Year Ended
31 December 2024

THE SHINE FOR SHANI CHARITABLE FOUNDATION
CONTENTS
Page No.
Reference arKI administrative details of the tharty. its Directors and Trustees
Annual Report
24
Independent Examinerfs Report
statement of Financial Activth"es
Balaneè Sheet
Notes to the accounts
9-11

THE SHINE FOR SHANI CHARITABLE FOUNDATION
REFERENCE AND ADPJJINISTRATJVE DETAILS OF THE CHARir
Registered charity number
1179708 IEng18nd aThJ Wales)
Company numbèr
CE014988 (England and Waks)
Governlng document
CIO Consliiubon registered on 29 August 2018
Dlr•¢tors and Trustees
SinK)n Berman
Juliet Bennan
Geofftey Jayson
Judrth Friedman
Daren Gordon
Avner Radomsky
The above seNe(l a¥ Oirectors and Trustees during the year end￿1 31 December 2024
Inde￿nthnt examlnor
Pryush Tanna
M￿uS Chartered Accountsnts
134 Bud(ingham Pala￿ Roa
London
SW1W 9SA
Principal addrgss
32 Hampstead High Street
London
NWJ 1QD
Bankers
Natwesl Bank p
BorehamwcM)d
Leicester Custr>mer Service Centre
Bede House
11 Westem Boulevard
LE2 7EJ

THE SHINE FOR SHANI CHARITABLE FOUNDATION
ANNUAL REPORT FOR THE YEAR ENDED 31 DECEMBER 2024
The directors, as trustees of the charity. present their amual rem and finanaal statements for
the year ended 31 December 2024.
History
In 2017, events were held lo raise fijnds solety for Great Ormond Street Hospital for Children. It
was decided that a more fomal approach was appropriate, wth a wder remit to raise funds to
imp¥ove the health and lrfè opportunitses of children wlh heart cond￿on$. whilst still supporbng
the work done at Great Orniond Street. The Shine for Shani Foundats'on was uèatèd for this
purpose on 29" August 2018.
Structurn, Govemance and Manag¢n¥ent
The Shine for Shani Charitable Foundats'on is registered with Companiès House {No. CE0149881
and the Charty Commission (No. 1179708} and is constitLrted by a Charilable Incorporated
Organisalion governing document exeth on 29 August 2018.
The company is limited by guarantee and has no share caprtal. The membets of the company are
prohibited from receiving any share of any surpluses tr* company may make. these being
retained to further its charitable objectives.
The company is vtholly dependent on tharItab￿ donab"orB and e￿ntS lo carry out its aetivrtie3. It
is the board of tnjstèes who make fJery"sions on strategy and finance. The trustees meet on a
regular basis.
The financial statements have been prepared in accordarKe wrth the ac(x)unting poliaes set txjt
in note 1 to the ffinanaal statements arKI comply wtth the charity's governing document. the
Charit1È5 Act 2011 and Ststemènt of Recommended Pracbce." Accounting and reporting by
chanties preparing their accounts in aco)rdance with the Finanual Reporb'ng Standard applicable
in the UK and Republic of Ireland IFRS 1021 published in January 2019.
The Charity is administered by a management o)mmrttee. who are all Directors. and Trustees.
comprising..
Simon Bernian (Chairman)
Juliet Beman
Geoffrey Jayson
Judith Friedman
Darèn Gordon
Avner Radomsky
Objectives for the publk ￿nefft
The aims of The Shine for Sh8ni Charitabkn Foundation include the followng..
To improve the Hearth and Lrfe d￿r￿e5 of ¢hildTen with Heart conditr)ny, primarily by
supporting research into paediatric cardiology..
Any other purposes (whether effected or to be affettedl as shall for the time being
charitable according to the laws of England and Wales..
Nothing in the consbtution Shall aLrthorise an application of the property of the CIO for
purposes which are not tharitable in accord¥n¢x with seclion 7 of the charib.es and
truste investThEnt Iscouand) Act 2005 aTrJ sethon 2 of the Charities Act (Northèm
Ireland) 2008.

THE SHINE FOR SHANI CHARITABLE FOUNDATION
ANNUAL REPORT FOR THE YEAR ENDED 31 DECEMBER 2024
The Trustees have paid due regard to guidan￿ in ￿l0￿"0n lo Public Benefft issued by the
Charity Commission in deuding what a¢b"vrties the charity shouly undertake. The Trustees are of
the opinion that rt ha8 fvlly complied with all such guidance.
Reviaw olthe pgrlod
The overall income fol the year was £35.896 12023- £84.3341 and expendtture amounted to
£41,548 12023.. £61.9931 consisting of donatsons gf £38,284 12023.. £58.0411 and costs £3,264
12023.. £3,952). resutting in a deficit for the year of £5,652 {2023'. £22.341 3urplusl. Reserves
have thus deueased to £43,883 from £49.335.
During the year the charity carr￿d out a 'Football Marathon 2024. program to raise additional
fijnds. An amount of £7,000 12023.. £50,000) was paid as a donation to Great Ormond st￿et
Hospital during the year The charity addrtionalty made a donalion of £31,284 12023.. £8,041110
Schneider Childrens Medical Cenler.
Golng Concern
11 is the opinion of the Trustees that the charity is a going o)ncem, and they are aware of no
matefial uncertainties which may affect its abilth.es to conts.nuè as such for the foreseeable future.
These accounts rèfle¢t the pOSrt￿ at 31 December 2024.
Recrultment of Trustees and tsining
The composrtion of the Charity'$ board of Trustee$ is to be reviewed regularty with a view to
achieving a spread of expertise #nd age designed to faulrtate the achievement of the Charity's
objects. The Tnjstees keep up to date on thwr responsibilrties by various means, $uch as
reviewing the Charity Cofflmission web site. reading rdevant periodicals and providing
profèssional advKe. The Trustees a￿vaYS recrurt those with the requisite skills in the area where
the charty operates. The TnJ5tees eon$ider the Board of TfUStees as ¢omprising the key
management personnel of the charty. All Trustees gwe their b.me freety and no remunerab.on was
paid in the year.
Resgr¥•s policy
The Trustees have been de￿nderrt on support from donations to c¢mmence the activities of the
charity and thereafter have carried out several fund-raisiivJ a(*vities.
The Reserves at present are suffiaent to support ongoing expenditure to hold events. Th8
Tiustees aim. rf possÉble. to in¢￿#se the reserves to provjde a ojshion. The free Resetves at the
year-end amounted lo £43.68312023." £49.3351.
Rijk factora
The major risk to the chanty achieving its primary aims 1$ failure to obtsin the present degree of
spgn50rship and donatrons, p3rtt"¢ularfy due to the cost-of-living crisis. The Trustees aim to
mrtigate thi5 by Careful planning of events and other fijndraising aCtiV￿"e$.

THE SHINE FOR SHANI CHAR￿ABLE FOUNDATION
ANNUAL REPORT FOR THE YEAR ENDED 31 DECEMBER 2024
Trustees, respon8ibilitles
The charity Directors and Trustees are restM)Nble for weparir#J a Tntstees annual report aThJ
finanaal statements in accordance aFO'Jxble law arxl UK arxxxJnkn'TrJ staThJards (United
Kingdom generally accepted accountirwJ wa¢*￿e).
The law appliCa￿e to Charities in ErolarKI aThJ Waks requires the Tntstees to prepare
finanaal statements for each fjnanaal year grwe a true and fa￿ view ofthe state of affairs of
the charity and ofthe In￿mIr0 resources and aFWvtion of resource8 of the L*arity for that year.
In preparing those financ4al statemen15. the Tnjstees are required to:
select suitable accowrtirvJ FKAiue5 arxl then them ryxtsthrty.
observe the Meth￿j8 and pn'naples in the aP￿ThL￿e Ghantie5 SORP
make judgements and eslimates that are re&sonable aThJ wudent
state vthether applicable ac¢ountirYd slandards have teen fou1m￿￿, suLyeGt to any
material deparbJFes d￿¢10$&￿ and explained in the finanGial statements.
prepare the financial st*ements on the goir¥J corwn t*sis unless * r& inapwolxth to
presume that the charity viill conb"Ne in tr￿ne5&
The Trustees are reSpor￿Ible for keerAro accx)untry recoTts *thich d￿clOse with
reaSona￿e accuracy at any time the ftnancial posth.on of the c*arity and to enable them to etsLtre
that the financial ststements compty wth the Charithes Act 2011. the appIl￿ble Charities
{A￿OUnts and Re￿rts) Regulation5. aThJ the prov￿10nS of the TnBt deed. They are also
resporBible for safeguarding the assets of the tharity hence kn tsking reason*k Ste￿ for
the prevention and detection of fraLKI aThJ clher ir￿JUlaTities.
Approved by the TnJ&ees on 24 0(Xoter Z125 s¥Jned on their behalf by:
S L Bemian
an
Trustees

THE SHINE FOR SHANI CHARITABLE FOUNDATION
INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES ON THE ACCOUNTS
FOR THE YEAR ENDED 31 DECEMBER 2024
I report lo the Trustees on my examination of the on the finanual statefflents of The Shine for
Shani Charitable Foundation (company charity) for the year ended 31 D￿mber 2024 which are
¥el out on pages 7 to 11.
Re5ponslbllities and basls of report
As the Trustees of the charrty. you are responsible for the prepar*ion of the finanaal statements
in accordance with the r¢quirements of the Charilies Act 2011 Ilhe 2011 Act'i.
I report in respect of my examination of the charTty's finanual statements carried out under
section 145 of the 2011 A¢t and in carrying out my examinab.on I have followed all the applicabla
Directions given by the Charity CommissK)n urKler section 145151{bl of the 2011 Act.
An independent examinab.on does not involve gathering all the ewdence that would be required in
an audit and consequenlty not cover all the matters that an auditor considers in giving their
opinion on the financaal statements. The planning and condutt of an audit goes beyond tha
limited assurxnce that an independent examination can provide. Consequenuy, l express no
opinion as to whethèr the finanaal stslements present a ttnje and fair view, and my report is
limited to tho¥e speofic matters set out in the independent examinefs statemenL
Indownd•nt •xJminorfs statsment
I confimi that l am qualffied to undertake the exam1nats.c￿ because l am a member of The Institutè
of Chartered Ac£ountsnts in Engla￿fj and Wales, whKh is olthe listed bodies.
I have complete¢J my examinats"on. I (￿nfim7 that material matters have comè to my attention in
conne￿10n wtth the examination giving me reasonabk cause to believe that in any matèrial
respe¢t.'
accounting records were not kept in respect of the thaiity a$ required by $Ktion 130 of
the2011 Acl" or
the finan¢ial statements do not accord with those reojrds.. or
the financial statements do not ¢ompty the applicable requirements concerning the
form and content of fin3nty81 statements set out in the Charitiè5 (Financial statements
and Reports) Regulations 2008 other than any requi￿rnent that the financAal statements
give a Inje and fair vthich 1$ not a matter consklered as part of an independent
examination.

THE SHINE FOR SHANI CHARITABLE FOUNDATION
INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES. ON THE ACCOUNTS
FOR THE YEAR ENDED 31 DECEMBER 2024
I have no concerns and have come across no other matters in ¢onneckn"on with the examination to
whi¢h attention should be drawn to this report in order to ena￿e a proper ur￿erstaThj1ng of the
financial statements to be reached.
Piyush Tanna FCA
The Institute of Chartered Aco)untants in England and Wales
On behalf of Magus Chartered Arxountants
134 Buckingham Pala￿ R¢￿d
London
SW1W9SA
24 October 2025

THE SHINE FOR SHANI CHARITABLE FOUNDATION
STATEMENT OF FINANCIAL ACTIVITIES
FOR THE YEAR ENDED 31 DECEMBER 2024
Unrnstricted
Funds
2024
Unrnstricted
Funds
2023
Ineome
Inrxjme from
charitable acalvit￿S
35,8
84.334
Total income
35,896
84,334
Expenditurn
Expenditure on
charitable actNit*s
(41.5481
161.993}
Total 8xk*nditure
141.548)
161,9931
Nat lèxpenditurel fincome and net
movement in fvnds
{5.6521
22.341
Total funds brou9ht forward
49,335
26,994
Total fund$ carried forward
43,683
49,335
These unaudrted financial stateffents ha%E subled￿l indepenclent examinalK)n. See report on
pages5-6

THE SHINE FOR SHANI CHARftABLE FOUNDATION
BALANCE SHEEr
FOR THE YEAR ENDED 31 DECEMBER 3)24
2024
2023
Current assets
Cash at Bank
49.335
Current Ilabilitsts.. Amounts due
within one y
Credrtors
49.335
Net current a
43.683
49.335
Net assets
43.683
49,335
The funds ofthe charlty:
Unre*ictgJ funds
49,335
fun
43,6&3
49,335
The Company was errtttl￿ to exemtkn fr(xn a￿1* urmler S47T ofthe c￿leS 3)C6
relating to smatl oxnpanie&
The members have not requir&J the ¢wmwyto oL*ain an audrt in ao)xdan￿ ￿1th S476 ofthe
Companies kt 2LTh.
The dirertor5 ad¢￿￿&￿ge their reswrtsitilitks ￿rn[ty1ng V*tth the req￿￿ements oflhe
These accourts have ts9￿ ￿epar￿1 in acco￿an￿ the FYovBicfts applicable to small
companies 8Uty'ec*to the sffrall companY8 regime arMJ in accordarts FRS102 SORP.
The ffnancFal staterrthts on Ffjges 7 to 11 vme aKwved ty the TnJ#ee8 for issue on
24 Ortober 2￿25
S L Berman
Director and Trltstee
J R Berman
Dwector and Trust
ge85-6

THE SHINE FOR SHANI CHARITABLE FOUNDATIOM
NOTES TO THE ACCOUNTS
FOR THE YEAR ENDED 31 DECEM8ER 2024
ACCOUNTING POLICIES
Basis of accountlng
The accounts have been prepared under the historieal Cost convention wrth items
recognised at the cost or transath.on value unless olherwise stated in the relevant note to
thèse accounts.
The finanrAal ststemenls are prepared in $lerting. %thich is the fvnctional curren¢y of the
Tru31. Monetary amounts in these financ4al statements are roLsnded to the nearest £.
The accounts {finantyal statements) have been prepared in at￿rdance with the Statement
of Recommended Pract￿.. Aoxunting and Reporting by Charrbes preparing their
accounts in accordance the Financtal Repo￿"n9 Stsndard appl￿ble in the UK and
Republic of Ireland IFRS 1021 issued on 16 July 2014 and the Financial Reporting
Standard applicable in the United Kingdom #nd Republic of ITeland IFRS 1021 and the
Charities Act 2011 and the financial reFubng stsndard applicable in the United lQngdom
and the Republic of Ireland
The ar￿unts {finaneial statements) have been prèpared to give a Iruè and fairf view and
have departed from the Charrties (Accounts and Reports) Regulations 2008 only to the
extent required to provide a true and fair view. This departure has involved following
Accounting and RepM)rting by Charities preparing their accounts in accordance wrth the
Finan¢ial Repc*ting Stsndard applicable in the UK and Republic of Ireland IFRS 1021
issued on 16 July 2014 rather than the Accountsng and Reporting by Charities.. Statement
of Recg)mmende<1 Prac*ice effecbve from 1 April 2005 whith has sincs been wfthdrawn.
The charrty wnstitutes a ptlblic benefft entsty as defined by FRS 102. The charity is a
company limited by guarantee that 1$ registered in England aThJ Walos.
Golng concern
The charity was able to Tun public ￿entS follo￿n9 the Govemmenfs Covid-19 lockdown
strictions in the previou$ years. As a trjnsequenee. the Injstees We￿ able lo raise fvnds
via these events and via genwal donations enabling them so far to fuffil their grant pledges.
The trustees intend to plan events for the fvrture whKh will be adaptabte to Cwd-19
govemment restrrb.ons and the cosl-of-living ¢risis.
According￿, it is the opinK)n of the dire¢tors and trustees that the ¢h¥rity is a going
con¢em, and they are aware of no maten.al ￿n￿rtaInlieS affecting its abilty to continue a5
such for the foreseeable fvture.
These UnaUdrt￿ finanual statements hal? $ubiEctsd to irthFendent examination. See t•port
onpages5-6
THE SHINE FOR SHANI CHARITABLE FOUNDATION

NOTES TO THE ACCOUNTS
FOR THE YEAR ENDED 31 DECEMBER 2024
ACCOUNTING POLICIES (CONTINUED)
Inco
Income rep￿Sents the lotsl income receNable Ifuring the year comprising of donations. All
income is Included in the Statement of Finanrial Athities when the charity is legally
enb.ued to the income, it is probable that the income will be reeeived. and the amount Can
be measured reliably. Interest on ftjnds is induded whèn rev￿1¥#ble and the amount can bè
measured reliabty by the charity: this is nomialty upon notrfication of the Inte￿St pa￿tt or
payable by the bank.
Ex￿ndIture
Expendrture 1$ accounted for on an accrual basis and indusive of any VAT.
Charitable activities indude expenses ￿lating to the charity's acttvrties. These costs
include bglh direct costs and support cosls rejating to these activ￿e8.
Govomanco costs
Governance Costs ￿MpriSe all costs involving the public afxounlability of the chanty and
its compliance wrth ￿ul8￿"0n and good Pfacbce. These o)sts indude costs related to
independent examinats'on and legal fees and are indudèd in e¥penditure on charitable
activrties in the Statement of Finanual A￿VIlies.
Fund aeeounting
Unrestri¢ted fur)ds comprise accumulated surpluse5 and defiats on general fvnds. Thèy
are available for use al the d￿eb.￿ of the Trustees in fUrthera￿e of the general
charitable objectives.
Ir¥•eoverable VAT
The charrty is not registerèd fry VAT. therefo￿ irrecoverable VAT is induded wth the costs
to whi¢h it relates.
Taxation
The Shine for Shani CharTtable Foundation is a company and a registered charity. and as
rts income and gains falling within secb.ons 471 to 489 of the Corporation Tax Act
2010 or Section 255 Taxation and Chargeable Gains Aci 1992 are exempt from
corporation tax to the extent that they a￿ Sp￿led to its tharrtable obie¢tive8.
These unaudited finan(¥al statements habE been Subjected to intyrKlent 8xaminabon. See report
pages5-6
10

THE SHINE FOR SHANI CHARITABLE FOUNDAnoN
NOTES TO THE ACCOUNTS
FOR THE YEAR ENDED 31 DECEIABER 2024
Income from charitabl•
activities
2024
2023
Income from events
Other donations and fundraising ac*vibe$
24.680
11,216
67.621
16,713
35,896
84,334
Expenditure on Charitsble a¢Oviti¢8
2024
2023
Bank charges
Event o)sts
Donations paid
Printing. stationery. and websile fee¥
General èxpenses
16
3,248
36.284
28
3.521
58.041
403
41.548
61,993
Staff eo¥ts
Apart from the direcaors, there were no employee$ in the year under revivw.
Analysls of ¢haritablo fund¥
At
31 De¢embor
2024
01 January
2024
In¢ome
E¥pendithre
Unrestricted fvnds
49.335
35.896
141,548}
43.683
Total frjnds
49.335
35.896
{41.5481
43.683
These unaudited finanry￿ staiemerts have b8en 8W)JecttyJ to indepeNJentexaminats"on. See ￿port
on page85-6