REGISTERED CHARITY NUMBER: 1186765
an
ncial S
Two Rivers A￿OuntancY
38 Eton Wck Road
Eton Wck
INrKlsor
Berkshire
SL4 6JL

Rim
ewish Prim
ool Cha
ofthe Fina
Year End
Page
Report of the TnJste88
IrKlependent Examinerfs Report
Statsmant of FinarKial Activities
Balan(x Sheet
Cash Flow Statement
Notes to the Cash FILW Sts￿￿ent
Notss to the Financaal Statem8nts
7 to 12
Detalled Statement of Financial Activibes
13

Bimon Jewish Prim
ritab
ort of the Trustees
for th
ust2
The trustees present their r8pcMt V￿th the finanrAal ststements of the charity for the year ended
31 August 2025. The trustees have adopted the provisions of AccountiThJ and RepOrfa￿J by
Charities.. Statement of Recommended Practic8 applicable to charrties preparing their accounts in
accordan￿ vrith the Finanaal Reporting StarKlard applicable in the UK and Rewblic of Ireland
{FRS 102) {effective 1 January 2019).
OBJECTIVES AND ACTMTIES
Objective8 and aims
The objects of the charity are to advanc8 the educab'on of the puy'ls at the Rimon Jewish Primary
Sch¢Jols by providing and assisting in the provision of furKls arKI facilities.
STRUCTURE, GOVERNANCE AND MANAGEMEKr
Governing document
The diarity is controll&1 by ts goveming document. a deed of trust dated 14th May 2019 as
am8ThJed 3rd December 2019, and constitutes arvj unincorporated chanty.
Rlsk managan•nt
The trustees have a duty to idenb'fy arKI review the risks to which the charity is exFosed to
ensure appropriate ￿ntrOl$ are in pla￿ to provide reasonable assurance against fraud and error.
REFERENCE AND ADMINISTRATIVE DETAILS
Reglstered Charlty numb8r
1186765
Prlnclpal addre88
41A Dunstan Road
LorKlon
NW11 &4E
J M Zinkin
D R Wolfin
P MorfarKI
Independent Examlner
TV￿ Rivers Accountancy
38 Eton Wck Road
Eton INck
rKlsor
Berkshire
SL4 6JL
Approved by order of the board of trust80s on ...........
behalf by:
arKI sign￿1 on its
J M Zinkin - Truste8
Page 1

Inde
ndent ExaMine￿S Re
rt to the Trustees of
Rimon Jewish Prima
School Charitable
Trusl
Independent oxaminerfs report to the truste0$ of Rimon Jewish Primary School Charitablg
Trust
I report to the tharity trustees on my examination of the accounts of Rimon Jewish Primary School
Charitable Trust (the Trust) for the year ended 31 August 2025.
Rosponsibllttles and basis of report
As the charity trustees of the Trust you are responsible for the preparation of the accounts in
accordance with the requirem8nts of the Charities Act 2011 ('the ACV).
I report in respect of my examination of the Trusvs accounts carried out under Sedion 145 of the
Act and in carrying out my examination I have followed all applicable Directions given by the
Charity Commission under Section 145(5llbl of the Act.
Independent examlnetrs statoment
Since your charity's gross income exceeded £250,000 your examiner must be a member of a listed
body. l Can confim that l am qualified to undertake the examination because l am a member of the
Association of Chartered Certified Accountants, which is one of the listed bodies.
I have completed my examination. I confirm that no material matters have com8 to my attention in
conne¢tion with the examination giving me cause to believe Ihat in any material respect:
accounting records were not kept in respo¢X of the Trust as roquired by Section 130 of the
Act.. or
th8 accounts do not a￿)rd wtth those records,. or
the accounts do not compty with the applicable requirements conceming the fomi and
content of accounts set out in the Charities (Accounts and Reports) Regulations 2008 other
than any requiremenl that the accounts give a true and fair view which is not a matter
considered as part of an independent examination.
I have no concerns and have come across no othèr matters in connection with the examination to
which attention should be drawn In this report in order to enable a proper understanding of the
accounls to be reached.
Delia Allott
The Assoaation of Chart8red Cerknfied Accountants
Two Flvers Accountancy
38 Eton Wick Road
Eton Wick
Windsor
Berkshire
SL4 6JL
Date:...........11° May 2026
Page 2

&trtemen]D.f Financial Actiw_t'es
r the Year Ended 31 A
ust2
31.8.25
Unrestrtct8d
nd
31.8.24
Total
ndg
INCOME AND ENDOWMENTS FROM
Donations and legacies
378,388
340,217
EXPENDITURE ON
Charitsble actlvitl88
Advancement of educats'on
389,085
385.167
Other
1,301
Total
391,180 386.468
NEf INCOMEI(EXPENDrruRE)
(12.792) (46,251)
RECONCIUATION OF FUNDS
Total funds brought forward
411.392
457.643
TOTAL FUNDS CARRIED FORWARD
398.6(X)
411.392
The rths fonn part of these financial statanents
Page 3

Balance Sheet
31A
ust
31.8.25
Unrestricted
nd
31.8.24
Total
ftjnds
CURRENT ASSETS
Debto
Cash at bank
60,276
340,174
83.731
330,081
400,450
413,792
CREDrroRS
Amounts falling due ￿￿thin on8 year
(1,850)
(2,400)
NEf cuRRE￿r ASSErs
398,6(K)
411,392
TOTAL ASSEfs LESS CURRENT
LIABILMES
398,6CK)
411,392
NEfASSETS
398,600
411,392
FUNDS
Unrestri¢kn￿ funds
10
398,6C(I
411,392
TOTAL FUNDS
398,6C
411,392
The financial statements approved by the Board of Trustees arKI authorised for issu8 on
. and were sign&J on its behatf by".
J M Zinkin - Trustee
D R Wolfin- Trustee
P Morfand - Trustee
The notes form part of th8S8 ffinancial statsments
Pag8 4

Tru.
Qash_Flow_Sta_tement
Year Ended 31 A
31.8.25
31.8.24
Notes
Cash flows from operatlng actlvltlas
Cash gemrated from Orefations
10.113
(57.246)
Net cash provided byl(used in) operating
activities
10,113
{57.246)
Chango In cash and cash
•quivalants in the reporting
poriod
Cash and •quivalents at tho
beginning of the reporting period
10,113
(57,246)
330,061
387.307
Cash and cash equlvalents at tho
end of the reporting period
340,174
330,(￿1
The notes fonn part of these finanaal statemerts
Page 5

Rim
to the Cash Flow Statem8
forth Y rEn
RECONCILIATION OF NEf EXPENDITURE TO NEf CASH FLOW FROM OPERATING
ACTIVITIES
31.8.25
31.8.24
Net expenditure for the reportlng perlod (as per the
Statement of Financial Activltles)
Adjuslments for.
Decreasel{increase) in debtors
(Decreaseyincrease in creditors
(12,792) (46,251)
23,455
(550)
(12,195)
1.200
Not cash FKovlded byllused In) operntions
10,113
(57,246)
ANALYSIS OF CHANGES IN NET FUNDS
At 1.9.24 Cash flow At 31.8.25
Net cash
Cash at bank
330,061
10,113
340,174
330.061
10,113
340,174
Total
330,061
10,113
340,174
The notes fomi part of the8e finanaal stat8m8nts
Pag8 6

Bim
Fin
Y ar Ended 31 A
ACCOUNTING POLICIES
Basls of preparlng the flnanclal 8tatement8
The financial ststements of the charity, ￿tch is a pUl￿1C benefit entity under FRS 102, have
been p￿par￿￿ in accordan￿ with the Charib'es SORP (FRS 102) 'Accounb'ng arKI ReportiThJ
by Charities.. Statement of Recommended Practi￿ applicable to charities preparing their
accounts in accordan￿ the Financial Reporbng Stsndard applicable in the UK arNJ
Republic of IrelarKI {FRS 102) (effective 1 January 2019),, Finan(ial Reportiro StarKlard 102
'The Financial Reporting Stsndard applicable in the UK and Republic of Ireland. and
Charities A(* 2011. The financaal statements have been prepared under the historical cost
(yJnvention.
Income
All income is recognised in the Statement of Financial Activities once the charity has
entitlement to the funds, rt is probable that the income will be re￿iVed and the amount can
be measured reliably.
Donations are receiv&J from parents of the children st￿Ying at the Rimon Jewsh Primary
School. They are recognised when the amounts have been received by either the Tr￿t or
th8 School directy.
Expenditure
Liabilities are recognised as ex￿￿lture as soon as there is a kgal or ￿nstrUCti￿ obligation
committing the ¢*arity to Ihat expenditure, it is probable that a transfer of economic benefits
will be required in settlement and the amount of the obligation can be measured reliabty.
Expenditure is accounted for on an accruals basis arKI has be8n dassified under headings
that aggregate all cost relabJ to the category. Ilvhere costs cannot b8 diredy attributed to
particular headings they have been allocated to activits'es on a basis consistent with the Use
of resou￿$.
Grants offered subject to conditions vthich have not been met at the year erKI date are noted
as a commitment but not accrued as expendiknre.
Charftable activilios
Advancement of educatlon
Activities..
- To c¢ioperat8 With th8 school's govemors. staff arKI parents in encouraging parental
voluntary mtributions cn a regular basis and in other adthoc furKlwraisir¥J activities and
- To advance funds raised on thts basis to the school for stated objectives. within the
nstraints of the fvnds available and with a ￿ularity agreed wrth the school administration
and govemors
Taxallon
The charity is exempt from tax on its charitable activitses.
Page 7
c0nlinL￿d...

Ich
ritable
Notes
Financial
rEn
31A
ACCOUNTING POUCIES - conllnued
Fund accountlng
Unrestricted funds can be used in accordance charstable objectives at the discretion
of th8 trustees.
Restric￿￿ furKls can only b8 used for particular restricted purposes wthin the objects of the
charity. Restrictions arise when speofied by the donor or vthen funds are raised for
parti￿lar restricted pU￿0$eS.
Further explanation of tre na￿re and purpose of each fvrKI is induded in the notes to the
finan￿al ststsments.
DONATIONS AND LEGACIES
31.8.25
31.8.24
Donats'or
Gfft aid
354,537
23,851
292,750
47,467
378,388
340,217
CHARrrABLE ACTMTIES COSTS
Grant
funding of
activities
(see note
4)
Advancement of edu(xtion
389,085
GRAKfs PAYABLE
31.8.25
31.8.24
Advancemert of education
389,085 384,000
The total grants paid to institutions during th8 year was as
follows..
31.8.25
31.8.24
Rirrnn Jthylsh Primary School
389,085
384,1XKJ
Page 8
continued...

bl
Notesth.th_@FinanoAI.S.tatements -.￿
Y rEnded31A
us
nued
SUPPORT COSTS
Govemanc8
Financ£
Totals
Other resouros experKled
TRUSTEES. REMUNERATION AND BENEFITS
There y￿re no trustees, remuneration or other beneffts for the year ended 31 August 2025
nor for the year erKled 31 August 2024.
Tru8teOB' expon88S
There were r￿ trustees, expenses paid for the year erKled 31 A￿uSt 2025 nor for th8 year
ended 31 August 2024.
COMPARATIVES FOR THE STATEMENT OF FINANCIALACTWMES
Unrestricted
furm
INCOME AND ENDOWMENTS FROM
Donations arKI legacies
340,217
EXPENDITURE ON
Charitable activities
Advancement of education
385,167
1,301
Total
386,468
NEf INCOMEI(EXPENDrruRE)
(46,251)
RECONCIUATION OF FUNDS
Total fvnds brought fO￿ard
457,643
TOTAL FUNDS CARRIED
FORWARD
411,ya2
Page g
CA)ntin￿l...

tes to the Finanaal Statements -
for the Year End
DEBTORS: AMOUNTS FALUNG DUE WITHIN ONE YEAR
31.8.25
31.8.24
Prepayments and accrued income
60,276
83,731
CREDITORS: AMOUNTS FALLING DUE ￿THIN ONE YEAR
31.8.25
31.8.24
Other creditors
1,850
2,4CK)
10. MOvEmE￿r IN FUNDS
Net
moverrent
in funds
At
31.8.25
At 1.9.24
Unrestrlcted funds
General fijnd
411,392
(12,792)
398.600
TOTAL FUNDS
411,392
(12,792)
398,6LYJ
Net movernent in funds, indud8d in the above are as follows:
Incoming Resourixs Movement
reSoUr￿S expended
in fvnds
Unrestricted funds
General fund
378,388
(391,180)
(12,792)
TOTAL FUNDS
378,388
(391,180) (12,792)
Comparative8 for movem•nt in funds
Net
movement
in funds
At
31.8.24
At 1.9.23
Unrestrfcted funds
General fiJnd
457,643
(46,251)
411,392
TOTAL FUNDS
457,643
(46,251)
411,392
Page 10
continued...

Rimon
ot & to.the Fin
for th
nci
temen
10. MOVEMEMf IN FUNDS - conllnued
Comparative net movement in fuThYs, induded in the above are as follovr8'.
Incomi￿ Resources Movement
resources
expended
in fund$
Unrestricted funds
General fijnd
340.217
(386,468) (46,251)
TOTAL FUNDS
340,217
(386,468)
(46,251)
A current year 12 months and prior year 12 monlhs combined position 18 as follows:
Net
Move￿￿nI
in funds
At
31.8.25
At 1.9.23
Unrestricted fund•
General fvnd
457,643
(59.043)
398.600
TOTAL FUNDS
457,643
(59,043) 398,600
A CXJTrent year 12 months aNJ prior year 12 months combined n8t movement in funds,
induded in the above are as follows:
Incomiro Resources Movement
resources expended
in fvnds
Unrestricted fund8
General fund
718,805
(777.648)
{59.043)
TOTAL FUNDS
718,605
(777.648)
(59.043)
Page11
cont.nl￿d...

tements. co
11. RELATED PARTY DISCLOSURES
There ￿re r¥J related paty transactiong forthe year ended 31 August 2025.
Page 12

Rimon Jewis
Prima
School Charitable
Detailed Statement of Finanaal Actimti
for the Year En
st2
31.8.25
31.8.24
INCOME AND ENDOWMENTS
Donatlons and legacie8
Donations
Gift aid
354,537
23,851
292,750
47,467
378,388
340,217
Total Incomlng resourcas
378,388
340,217
EXPENDrruRE
Charltable actlvllles
Jewish strjdies
Grants to inslitutions
1,167
389,085 384,iJOO
389,085 385,167
Support costs
Flnance
Bank charges
95
101
Governance costs
Accountancy and legal fees
2,0(J)
Total resources exFaKled
391,180
386,468
Net expenditur•
(12,792) (46,251)
This page does not form part of the statutory finanaal statements
Page 13