HENDON ADATH YISROEL CONGREGATION CIO
REPORT AND FINANCIAL STATEMENTS
FOR THE PERIOD EIYDED
31 MARCH 2023

HENDON ADATH YISROEL CONGREGATION CIO
CONTENTS
Reference and administrativ¢ infoTmation
Trustees. report
4-6
Independent examincrs, report
Slatement of financial activities
Balance shc¢t
Stat¢m¢nt of cash tlows
io
Notes to the financial statements
11-19

Report of iheTrustees ot
Hendon Adath Ylsr¢el Congregation CIO
For the period ended 31st March 2023
Reference *nd admlnls¢ratlve informatlon
Registered Charity Number
1187431
Tnlstees
David Segal-President
Ricky Darren Noimark- Vice Prcsident
Asher Andrew Gultentag- Vice Presid¢nt
Adrian Mark Jacobs- TTe&8urer
Benjamin Nathan Rowe- Honorary Se¢retary
David Goldberg
Dr Maurice Klajjnau
David Kl&ss
Shraga Shalom Zaltzman
Joseph Katz
Andr¢w Stimler
Pini Stiml¢r
SKr¢tary
Meii Moll¢r
]ndependent Examiner
Anthony Epton
Goldwins
Chartered Accountants
75 Maygrove Road
West Hampstead
Li>ndon NW6 2EG
Principal Address
I l Brent Street
London
NW4 2EU
Bankers
N&tW￿t Bank
HendoD C¢ntral Circus
5 Central Circus
IA)ndon
NW4 3LA

Report of the Trustees of
Hendon Adath Ylsroel Congregatlon CIO
For the period ended 31st Mèrch 2023
The Trustees present their report and financial statements for the pui(Kl ¢nded 31 March 2023. The finan¢ial
statements have been prepared in accordunc¢ with Accounting and Reporting by Chariti¢s'. Statement of
Recommended Practice applicable to charities preparing their accounts in accordallce with the Financial
Reporting Standard applirable in the UK and Republic of Ireland {FRS102- effective l January 2015-
(Chariti¢s SORP FRS 102).
ObJeetlve8 a¢dvltl¢s
Th¢ cbarity's objects arc the advancement of the orthodox Jewish faith.
Advancing orthodox Jewish faith for the benefit of the public in su¢h ways as ar¢ exclusively
haritable in English law & by maintaining & managing the Synagogue known ￿ Hendon Adath
Yisroel COn￿egatIon located at I l Brent Street, London NW4 as a place of worship prayer &
religious study & by providing for the religious n¢¢ds, spiritual education, p&storal needs & welfare of
its members.
The trustees have paid due regard to the guidance issued by the Charity Commission in deciding what
activities the charity should UDdertake.
Achlevemtnts and performance
Promoting orthodox Jewish faith and religiou5 activities.
Providing buildings, facilitie5 aT)d op¢n space to the Jewish ¢ommunily.
Improving Lonllnunity welfare to support ihe q￿lity of life of disadvantuged ￿pIeS such as the poor
essentially from education. s(KiuI welfare and hutnanitarian artion.
Structure9 goverD8nce and management
The Governing Documenl 15 u Constitution Associalion Model dated 16 January 2020 Charitable Ittcorporated
Organisation-CIO". Hendon Adath Yisroel Con¥r¢gation has been Tegistered by the Charity Commission as
CIO siDG¢ 17 January 2020. The charity started its charitable activities on l April 2020.
Tru5te¢s are the people responsible for controlling the worl management and Administration of the charity on
beha]f of its beneficiaTies.
The trust¢¢s who setved the charity during the period were as follows..
David S¢gal- President
Clive Benjamin Brdude- Vi¢e President ( resigned I I September 2022)
Ricky Darr¢n NoimaTk- Vice President
Asher Andrew Guttentag- Vice President
Adrian Mark Jacobs- Treasurer
Benjamin Nathan Rowe- Honorary Secretary
David Goldberg
Dr Maurice Klajman
David Klass
Shraga Shalom Zaltnnan
Joseph Katz
Andrew Stmnler
PiDi Stind¢r (appointed I I September 2022)
None of the trustees have any beneficial interest in ihe charity.

Report of ihe Trustees of
Hendon Adath Ylsroel Congre8atlon CIO
Forthe puiod ended 31st March 20Z3
Appointment of trustees
The appointment of the Charity TnTslee5 and th¢ Executive at each AGM shall be detem)ined by way of secret
ballot cast by the members of the CIO present at the meeting together with postal, email or proxy votes sent or
lodged wilh the Secretary of the CIO ID advance of the meeting, ID a¢¢ordanc¢ wlth such requirements as th¢
thw) existing Board of Management shall require.
If eiiher the Charity Trusl¢¢s an(Vor the Executiv¢ are unopposed at any AGM and there is therefore no
election. the Charity TTUStees andlor the Execuliv¢ shall automatically be ￿appoInted and contiJ)ue to serve
for the following year. subject to the provisions of Clauye 16 of the ConStit￿li0n.
Flnanci*l revlew
The total income of the Charity in the year was £803,280 of which £231,966 was restricted and the
remaining balan¢¢ £571,314 was UDrestrith¢d.
The total eXp￿dItUre for the year was £687,945 out of which the charity 5pcnt £292,249 on restricted
charitable activities.
Th¢ fLmds carried forward to the following financial year are £596,723 which includes the restricted
funds of £62,563 and the unrestri¢ted fi￿d5 amount of £534,160. These funds will be availabl¢ for
futur¢ charitable pu￿0￿¢s.
Reserve polley
It is the policy of the charity that uDrestricled funds which have noi been designated for a specific use should
be JnaiDtain¢d at a lev¢1 ¢ouivalent to between three to six months, expenditure. The truste¢s consider that
reserv¢s at ihis level will ensur¢ that, in the evcnt of a SAgnificant drop in funding, they will bc able to conlinue
the charity's current activities while ¢onsideration 15 given to ways in which additional funds may ￿ raised.
This level of reserves has been maintained throughout the ye&r.
Risk management
The truslees hav¢ assessed thc major risks to which the charity is exposed, and a￿ s4tAsfied that sysl¢ms are in
place to n]itig&t¢ ¢x]xisure to the major risks.
Dat* protectlon I￿￿&1￿110￿
The trustees bave tak¢n necessary Actions in implementing laws and regulations regarding the GDPR and data
protection ad and will continue lo comply with the Chariry Commission regulations AJLd the law in this regard.
Publlc benellt
In nmning the Chority, the trustees have complied with thcir duty under Section 17 of the Charitses Act 2011
to have regard to the public benefit gutdance published by the Charity Commission. The activities that the
Charity ]w ca￿led out to achieve this hav¢ been covered in detail Carlier in this report.
St#tem¢nt of trusteesg responslbilities
The tnjstees are r￿POnSible for preparing the Trnstees. Report and th¢ financial stsiements in accordaD¢e with
applicable law and ihe Untied Kingdom Accounting Standards including Financial Reporting Stsndard 102-
The Financial Reporling Siartdard applicoble in ihe UK andRepublic oflreland (Ullited Kingdom Generally
Accepted Accounting Prdclice).

Report of the Trustees of
Hendon Adath Ylsroel Congiegatlon CIO
For the period ended 31st March 2023
The law applicable to Charities in England & Wales require5 the trL8tees to prepare financial stslements for
each financial year which give a true and fair vt¢w of the state of affairs of the Charity and of the incom¢ at]d
¢xp¢nditure of the Charity for that period. In preparing these financial 5ts1ements. the trU￿eeS ar¢ r¢quired to:
selKt yuitable accouniing policies and then apply them consistently)
observe the methods and principles in the charilies SORP.
make judgments and accounting estimates that are reabonable and prudent.
stale whether applicable accounting standards have been followed, subjeci to any material
departures 4Jis¢losed and explained in the financial statements. and
prepare the financial statements on a going concern basis unless it is inappropriate to Presume
that the Charity will continu¢ in busines5.
The trustees are re5poDsible for maint&inAn8 Proper accounting records which disclose with reasonable
accwracy at any lime the financial position of th¢ Charity and cnable them to ensure thai the financial
statements comply with thc Charities Act 2011, the ChaTity (Account5 aud R¢ports) Regulations 2008 and the
provisioms of the kn￿st deedlconsiituiion. They are albo responsible for safe¥uording the assets of the Charity
alld hence for taking reasonable steps for the prevention and detection of fraud and other irregularities.
The trustees ar¢ resp)nsible for the maintenance and inl¢grAty of the Chtirity and financial infom￿110ll
included on th¢ Charity's website. Legislation in the Unit¢d Kingdom gov¢rning the preparation and
dAssemination of finAncial sta*ments may differ from legislation in oth¢r jurisdictions.
The trustee5' r¢port bas been approved by th¢ tswstees on ..
and signed on their behalf by"
Adrlan Jacobs
Trustee

Independent Examiners Report
To the Trustee5 of Hendon Adath y￿r0e1 Congregation CIO
I report to the trust¢¢s on my examinalion of the accounts of the Hendon Adaih Yisroel Congregation CIO for
the year ended 31 Mar¢h 2023.
Responsibilities and bAsls of report
As th¢ Charity Irustees you are responsible for the pr¢par8tion of the a¢¢ounts in accordance with the
requirements of the Charities Act 2011 ('th¢ Act.).
I report in respect of my examination of the Charity's accounts caTried out under section 145 of the 2011 Act
and ill canying out my examination I have followed all the applicable Directions given by the Charity
Commission under Section 145(5){b) of the Act.
dqxnd¢nt mmAn￿8 8tatement
Sin¢e th¢ charity's gross income exceeded £250,000, I confm thai l am qualified to undertake the
¢xaminaiion because l am a m¢mb¢r of the ICAEW, which 15 One of the listed bodies.
I have completed my exaTnination. I confirm that no material matters have com¢ to my attention in
Connection with the examination giving me cause to believe that in any material r¢spect'.
accounting records were not kept in respect of the TTUSt a5 required by section 130 of tbe
2. the accounts do not accord with those records. or
th¢ accounts do not comply with the applicable requircments concerning the fonn and
contenl of accounts sel out in the Clwities (Accounts and Reports) Regulations 2008 other
than any requirement that th¢ accounts give a 'true and fair view which 15 not a matter
considered as part of an indcpendent examiT]ation.
I have no concerns and have come across no oth¢r matters in connection with the examination to
whicb attention should be drawn in this report in order lo enabl¢ a proper understanding of the
accounts to be reached.
Anthony Epton B
Goldwlns
Chartered *ecouDt•nts
75 Maygrove Road
West Hamp5te4d
LondoD NW6 2EG
FCA CTA FCIE
17 July 2023

Hwdon Adath Yl•rod Congr•gatlon CIO
8t*tw￿ of flnanclal actmlkn Ilncludlng Incom• •nd Exp•ftdlthrn account)
For tho y••r ondad 31 Plarch 2023
2023
2022
funth
fund•
Totslfvndl
Tolal
Dono¢i(m$ leg8Q8S
Chari¢ableaGtivitie8'
Advancernant of Ihe orthodox Jowi$h folth
Inve5ttnpJrt inwme
Other Incom&- HMRC Job Retsnlon Sth8m&
180.705
59.T68
39),517
92
231.906
480,2P3
92
13,016
T•lal Inco
5T1 J14
231Jff6
553,oe7
R8i&n9 funds
charfl•b￿•ctr•KI••
Advancement ofthe orthorbx Jowlsh f8lth
Oih¥$
28,40>
27.IyJ1
367,287
292.249
510,262
637.
N8t In¢om•l I•xp•nd￿I•) b•lgr• n•t gdm1lloj￿I on
175,618
160,2831
11&335
15.824
Net gakns IlhJsse5lon irwestments
In¢om•l(•xpMdknr•l forthg y•Ar
176.618
100,2831
11S,335
15￿24
Tran5feF5 btheen fv￿8
14•t Inwn• Il•xp•ndI￿rn) b•for• ath•rr•cognlwl gal
16
44,346
44,346
131.272
114336
15,824
Gln$l I10sso$1 on revaluation of fi¥￿ as60ts
131272
11V3n
15,824
R•conGIUatlon olfund•.'
Total funds brought foThvard
402,888
78,51K)
481.388
465,864
Toill l￿dI ¢arA•d fomrd
62
481,388
Avoffv ab￿ r￿￿tt6 are derivéd fromconttnulrvJ•thiNties.
T￿ewere noolhgrTrcogni$ed gainB or lossesotherth*nthoges￿tfjd above.
8ttached notesftym partoft*wo fmancl81 stst•rMrtts.
Page18

H•ndon Adath Y1•r0￿ C¢)ngr•gallon CIO
8alan¢o •ho•t
A• •t 31 M*reh 2023
2022
2022
Tanglble assets
10
313412
313,412
Debtors
C28h at bank and In hand
11
114,570
1e2,706
277,278
97,783
182,357
280,140
u•￿1￿￿.
Cr8dltcrfs.' amunts falllThJ du8 wthin one year
12
167,976
Total ••••ts oJrMnt It•bllW
481,388
Creditors". amwftts falllrg due alt8rone ye8r
Tolal MtaJ•¢ts
481.38B
Restrkbj fund5
Unrestrlcknl fvnds..
G8nwal fu￿$
Totsl Unrestrict￿ fuThYs
78.YJO
534.160
402.888
S34,1eo
402.888
Tdxl thirlty
096.n3
481,388
4)pro¥ed by the trustees on
and 5rg
on Ihelr behalf by=
Adrkn Ja¢obs
The a¢lachgJ mt•s fr)rm part ol the financial statements.
Pzge19

Fwlh• y••r•nd•d 31 ltsr¢h 2023
2022
2022
N•t¢a•h pro¥ld•rf bylluMd kn) oprnlln4 •¢tt¥1th•
{2.4931
Interesii renv di¥Sdends from investffjèn
Sa*llpurcha8eloffixed 9s%gts
10
140,077
18,408
C••h tyl Iw•d knl Inw•llng •¢thTII
11#•.•BJI
118,4021
C••h prn¥W•d tyllumd knl lIn*￿I￿v •¢ll¥lll
Ching• ¢a•h Inth• yw
120.6951
ash and c*h a0￿Val￿18 atthe beglnning alth# year
182x7
203,252
Cwh •ndoll•h •4ul¥thnl••tth• •r￿ rfth•yMr
n6
182257
Page 110

H•ndon Adath Ylsro•l Congv•gatlon CIO
Nots• to th• flnanelal slatsm•nts
For th• y•ar •nd•d 31 Mar¢h 2023
1 ￿1¢1•*
•) ol pr•p•r4tlon
The finanGial stÈtarents have been prepar&1 in 8rAxrdan¢£ wfth A￿)Un￿n9 and Reporuw by Charlb"es.' Statern&nl of
Recommen(1od practi￿ app[￿8￿0 ￿ charftbs Ffeparing their 3¢counts In accordance with the Flnanual Rep(¥ting Standard
aOi¢able kn Ihe UK 8nd RepubliG of IreLqThl IFRS 102- eifectlve 1 January 20151- Icharftlas SORP FRS 1021.
HeThlon Adath Yisrod Congrega1￿ CIO rrEets the of a publK benefit e￿￿ty FRS 102. A55ets and 118b*th* are
Irli￿lty raxgnised al hisknrtC81 coslor trdn5aGtion value unl988 othèmise stat&1 In Ihe rekv8ntatoyJnUTrJ pol* cf not8.
b) Golw c4Kvm
The trustee$ wn$kler that therè a￿ no rn8terlal uncert8lntt•S gbout Hendon Adath Ylsroel Coryregalkjn CIIYs abilly to
8$ a going wncern. The trL6te6s do not consider that there are 8ny swrces of ests'rnatN)n uncertainty at the rerK)rbr4 d8te that
hav8 a signfficant iisk of a mattri81 adluslment to the ¢arrying amwnts of assgts aTrJ Ilablulw within thg n8Xt repJrbn9
¢)
IrKDtnp is recognls&J whgn tha charlty h9$ enlllemenl io the fvnds, any perfomianc8 ts)ThYitty?ns aitsched ¢0 the irmme Iwve
be8n m8( 11 LB probabletrot the Iwme %thll be received #NJ th8¢ Ihe amount can b8 ffle85ur&J rdfrabty.
IKome froTll governmenl and othér grants, whèther 'capital' grants or 'revenu8' grants, is recognised when the charity has
entil8ment ￿ thè funds, any perfcrrnance ¢ondthons at12Ch￿ to the grants have been m81, it Is probable Ihal th8 Incomts bMII be
recelvd and th8 2rrKyJnt be measured fdL8Uy and Is not defwred. in adVar￿ for the provi¥h)n of 8p8cThl•J
saryke Is d8f8rnJ untd tha crlt8rkq for ￿COrne re￿9nftion are m81.
legacies. entiuement Is tsk￿ as th8 earfier Of the dè18 on which either. the chanty i8 aware that probat8 ha5 been granted.
the 8stste has been finali5ed nolfficallon has been made by the exe¢u¢or(sl to the chartty that a d1$trI￿tion will be made. or
when a dL8trlbutton is receiv&J from the estste. R￿￿pt of a legacy. in who18 or in part, is onty cDnS￿ered probable when the
amwnt c8n be Measu￿ rdlably and Ihe charity has b88n Mtifi*J of the executo¢s In¢gntlon to make a dl$triFAJtk)n. Whwe
lèJaci85 have rK)tift￿ tg the charlty, or the ehadty awar8 of the granting af probate. and the Criter￿ for [r￿ome recojnltlon
have not been me( then the legacy is a treabj a8 a rxJnb"ngent asset and Il[sclos￿ rf material.
Income ￿81¥ed In ofthe sxovL81on ofa 18 deferred until thèutterla for Incorne r￿l¥j￿k)n ar? rn8t.
Donabj professKJn81 services 3ThJ donated fa¢llrttes are ffjw9nlsed a$ FnoJm8 when the charity has ojntrol over Ihe item or
re¢dvèJ the service. any LX)rK1ilK)n$ assod8t*J with the donation have me( the re￿pt of ec4)nOM￿ bgnefft fmm the use by
Ihe 1*8rity of the item is probÈble and th818wnomi¢ bonelt can be measured Id￿bly. In accordance ￿th the CharlU85 SORP
IFRS 1021. volunteer lyne is not rBcognk8ed so refer lo th• tIU51885' annual report for rn0￿ inlormatlw aboLrt thÈw tontributlon.
On recelpt. donoted wof8sslonal servk* and donated facililK85 are rewonised on Ihe basY8 of the v81ue of Ihè gift to the
charity whi¢h is the amount the chatty ￿Ul￿ have been ￿#11[¥ to pay to obl8ln s8rvic85 or faillt* of equlvaloni O￿nOMIC
bat￿11 on the open Ma￿aL & wrrossx)ndlr¥J amtyjnl IheTr fgLY)9ni$e¢ In 8xpeTrJlbJr8 in the perk)d of receipt
Inter85t on fvnd5 on Includod recelv8ble aTrJ the amount be rr￿aS￿ed re￿&bty by the charity,. thi5 kl
[￿rM￿llY uwn nots"fication of the inte￿t paid or payable by the bank.
fj FUNI •ccourti
un￿$tr￿ted funds are ava118Ne to spend on activi￿0$ that furfher any of the purp05•s Of charity. Desvanhtd funds are
unrestrkted luTrJs of Ihe ch8rty Ihe Irusiees have derided at their dis¢rtbon to sel 88k88 to Use k)r a $peclflc pu￿0$￿.
R&tricted bJnd$ #fe donat￿)rts whk* th8 dO￿r h8$ spe¢fflgJ are io be stsldy for pa￿0118r ar8as of Ihe charity'5 work or for
$paeifi¢ projects bthng uTrJertak8n by the¢tsrl¥.
Page 111

H•ndon Ad•th Yl8ra•l Congr•gatloTr CIO
Not•s to th• flnanclal •tat•m•nts
For th• yur •nd•d 31 Ilarch 2023
1 A¢cowrfTrJ pollcl•o Iconum
gl EX￿ndlI￿r• and Ir1•￿￿4￿•vAT
Expenditure i8 re(y)gnised once there a legal or tL)nstnJdlve obltqation io make a p8yment to a thkd party. il 6 rxob2bl8 th￿t
setlern8nt wlll be requir￿ aThJ the amtyjnt of the 0￿￿810￿ can be m#asu￿ retLqt4y. Expenditure is dass1fi8d under Ihe
fdloYArg aGtivity headln9S'.
Costs of raisirvj fuThJs ￿MP￿S¢ of tradlng (y)sts and the cosis Incu￿ed by the Gharity kn Induory tlwd partkgs to make
vc4untsry ¢x)ntrbu￿ns to (85 wdl as the tt)stof any aCtN￿eS with a fundrak%ing PUryJOS8.
Expendituré on ¢harftable 8chvitie8 irKludes the o)sts ddelfverir¥J services undertaken to furth8r thB purwses ol thecharity
and their assocbled supp￿ (x)sts.
• Olher exP￿￿rtU￿¢ ￿pr?￿ts tl¥Jse itern¥ nDifolllng Irrto ary other h8819iryJ.
Irrecoverable VAT is charged a$ 8 cost against the a￿1VIty for whlch the 8xpendlbJre w9$ Incurr￿.
Expenditure is allocat￿ to the partiuJlai where tht c*)st relates dlrecty to that athty. Fl)w6ver. the cost ol ovwall
dlrecllon 8Th18dmlrlstr8tloTh of 00th acO¥lty Ls app)rt￿ned on th• ba$is of staff Urne.
Rentsl char9e$ are ch8rged ¢M 8 $tr8wJht Ilne bas￿ ovarthe term of Ihe leaso.
T•wtb1gllxodas￿ts
Items of equipment are t4pJi all￿ ￿ther8 th8 purchase prke excogds £500. D8pr8clatlon is provlded at ratas calculated to bwlte
down th8 cost ol 8a¢h assel to Its 8sdrn8t8d 19s￿￿al vakne over 8xp8¢1￿ vseful Ilfe. The depreeiation rates In use are os
folk)ws:
Fre*dd land 8 ￿lId1[¥d
Furniture equlpment
Nl
25% redudrMJ bala￿e
k) Ogbttsrn
Trade and othar detrths rewgn¢ed at the set118￿rt due after any tradèlis¢￿nt offer￿. Prepaymènts are valugd
at Ihg amunt prepakj ￿101 any trade di%tourts due.
Ca•h at bank arxl In hmnd
Cash at bank aTh1 cash In h8nd includes cash short temi hpJhty Ilquld Irwestrn8nts a short maiwlty of three mcffjths
less Irom the date of acqulslllon oropenlng olthe deposit or$imilar accounL Cash balance5 exthd8 any funds t*liY on b8h811of
S8rvlc8 users.
m) Cr•dlt¢x¥ and wknJon•
redftors and provisions are rec•)gnbed ￿ffiere the charity ha$ a kY08ent ot4lgatk)n re5ulbrvJ from 8 P8sI evtni Ihal ￿11 prcA)abty
result in th8 transfer of funds to a thtrd paty and the amount due to sethe the oblKJaOon can b8 measured or estlma18d ¥diaNy.
Cr•Jitor5 snd ¢wov6brs aro rbjnnally rec<xJnW ai I￿1r sett￿￿9￿1 afflounl after al￿￿j for any trade discounts 4u8.
np Fln•nd•l Irmlnth
The charlty onty has financlal assgts and financPdl Ivabililie5 of è kind that quallfy 8s basic knstnjments. Bas1¢ finar￿￿1
irtstruments are Initially Tecogni%ed at tr8￿CtIon volu& and sub8equendy measured at Iheir sètuement Value thg ex¢epfjon of
bank Ic4r* whlth ore sUbseq￿nIY ffieasured atanK)rth￿ c08t uskng th• •lkntive intwesl Meth￿j.
o) P•nDIo
T￿ tharity (¥￿te9 Stak&￿j￿ S¢￿￿.
PaÈe112

H￿d0￿ Adath Yloroel Congr•gatlon CIO
Not• t(• th• financlal stat•m•nts
Forth• year •nd•d 31 Mavch 2023
3 Dgl•H•d lorth•#tal•mnt of Iln•ncl•l aclhflll••
2022
Un￿st￿rIed
2022
Restrfjd8d
2022
Tobl
Donations and189ac￿s
hartiab￿ actmtses..
Adv￿￿ment ofthe arthodox jeW￿h foi
Investment 5nrome
Otlw inrorne. HMRC Job RetenllDn Scheme
Totsl In¢(
69.7e6
.716
344.003
136296
0,29
13,016
13
411711 ￿9* S53,087
ExP￿dI￿r• o
Ralgng funds
27.(K11
27.
Advonr*m¢nt orthe orthDdox ￿1$h falth
Olhers
Totsl•¥portd￿
338.014
172,248
51Q362
380
1TI
N•t IrKc*no l •xp••￿1• b•forn q•tM I Ilo•M•) on
51,776
135,9521
14824
Net gai18 I (Ioss851 on inveskn¢nts
Il•tlnc<xM l •xp•ndStyr•
51.776
136,9521
14824
belw8en funds
22A57
22,457
golro •rrfl 1098•0
G￿n$/ I1¢&&6sl on r•waL*tbn olfixed
Athèrial 5ainsl1108808lon dofir*l bongfit pe￿￿n sd*N)
Othtrrgain&lllossesl
N•t mtyv•ffantln fvrrfl•
74333
Totsl fijnds Lyoughtforward
328.655
136,9Dg
Totsl fimth ¢•th•d for*4rd
Page113

Hmdon Adath Yl•ro•l Congr•gallon CIO
Nots• to th• flnanclal •l•t•m•nts
For th• yw •nd•d 31 March 2023
3 kn¢om• Imm dormthsns and Wl••
2•22
Total
Unrostrfjrled
R8strfcted
Totsl
Donabon$
Gfft AbJ
170.785
9.920
170.788
51.611
8255
180.705
59,786
In 2021, donatlons Int￿d& th8 neta888ts tr8n8lerred fityn Handon Adath. th8 old er￿ty.
2023
Totsl
2022
Total
Unre5tsIcted
Rgsirlcte
S¢forTtyah
8urial SoraÈty
CST Igales. 18nces & CCTV)
Kol Nldr81 Ap￿1
BFAnnu#l App8al
Welfare
RtyvAppe
S8cJJrftydon8tson
Kolbl Erev
Young Mlnyan kh1dush
Hwxjon Adath Ltd IcMrEcaed th￿ty)
ambarship
Seats
Offemy 4nd ma08￿r
Yah￿e•l lights 8nLI OffrtJdlDaf Yomi SpDnsor5hip
Weddings. frJncuOr￿ an¢ hire of holl
21.389
29,112
5,135
4,796
27300
29.112
8.136
13,826
30,868
7,825
19,040
69,439
12.945
20.330
15J62
14.B80
3.228
20Aao
16.482
14010
8.750
20,000
123.042
71,820
91,055
12.Q84
26.￿2
126,973
74.397
102,804
10,410
37.433
74.397
101804
37A33
390,517
231.966
480.299
2021
urK￿l￿tt8d
Reslrtctrd
T¢Xal
8art interest
•2
Page114

H8ndon Adath Ylsro•l Congrngatlon CIO
Notss to th• flnandal •tat•m￿￿
For tho y•ar•nd•d 31 M•rch 2023
Co#t of ch￿lIabl0
2022 Total
Stsff costs (Note 8)
13.726
137.263
219M21
265,170
Gran¢$ and dorAb)ns
Sefer Tor
8urfal Sod6ly
Synag¢gue and ￿¢85
Kollel Erev
Kiddush exwees
Securtty guard$
COVID.19
Support¢o•ts
147.882
45.958
27,253
14.856
53,570
C6.391
19.528
147082
4S￿56
27253
14I6S
To
67.471
14.395
27.300
15.991
10.796
21.514
20,585
415
19
2,130
3.995
6,630
31.700
5,193
11,743
6245
2.859
16,097
3.6LXJ
11a0
5.187
6.342
Rates
Inwrance
Repai￿and rTraInt￿8ntl
Telephone
ht and heal
IT eXP￿Se$
ank, c¥8dlt cwd paypal charges
Piinting postagÉ and sial￿nery
Independenl exaMi￿r,8 f88S
Deweriabon
Ba¢} delA
31,710
4193
11.743
40.479
3.344
5.203
6.187
16m7
6.199
3,6LK)
520
13.7X
14,883
612.689
14e,837
le1￿0
1161.5201
5J7,263
Suppcrftcosts
2B.dOII
J22total
537,263
Oftrlal expendil¥r¢, £395,69612022'. £365,015) wa5 unreslrlcted £2Yd.24912022.. £172248lwas rp$trictsd.
Page115

H•ndon Adath Yl•ro•l Congr•gatlrJn CIO
Notos to tho flnan¢lal statsmonts
For th• y•ar •nded 31 March 2023
NBt I (•xpW￿￿•I for th• y••r
This is stated after chargirol IcfvJitiNJl'.
23
2022
Depreciat*)n
Independent gxaminerfs f8•s
520
8 An•Pi•l• rfstaff co8￿ nNnunÈrallon I￿1 •XP•MW. •nd tl* ¢••¢ ol k•y m•MgNnert por•¢￿1
Staff fxjsts wer8 as folk)ws'.
2022
Salarl85 and wages
Social securlty cnsts
Employerfs contribution 10 d•ffMd pension sthm&s
201314
11.510
245,988
13,602
5,580
219121
265.170
No employee eamed more than £eLl.￿]0*1Ur￿n9 the ￿¥r.
Th2 tot81 wnployee benefits Indudiry pen5v)n and ￿t￿n81 Insur8nce conlribjtit*r￿ of the kèy
managem￿t personnelw8r8 £13151012022". £135,795).
The trus¢ees were not paid or r￿]Ved any olh8r benefits frorn empk)yment knlth Ihe CIO In tho year.
NeS¢her were they relrnbur5wJ expe[￿e$ dumg the year. No ￿$te¢s p8yrtr￿nt for prtlesslonal or
Oth￿ services supplied to the C￿rffy.
• Sl*ff
Th8 average numberof employees l￿d tsJJnt b8sad on number ol 8tsff grnploywjl durlng ts year wa5
a¥ follows..
2022
FundraisiThJ
C￿rfiable actiwt￿s
Support
Page116

H￿dOn Adath Yl8roel Congr•gadon CIO
Not•• lo th• Iln•nclal gtat•monl•
For th• y•ar •Thdod 31 March 2023
10 TaTrJll>l•llxod4•••1•
Freehjld FLThiIuTe ar¥J
Prop8ty
EqU￿)Ment
At the stsrt ofthe year
drth)n5 in year
c15rW￿ In y8ar
At end ofthe year
311,853
140.077
20,487
332J40
140,OTI
451.930
47
l*rnclatson
At th8 start of the year
Q)arge for Ihe y8ar
Elininted on disposal
Al Iho end of the year
18,928
18,928
19,318
19.310
At th8 eTrJ of the ye8r
451,930
1,169
At thp start of y¢ar
311,853
313A12
l olthe atsve asstts are us&J c*8ritablg purpos8S.
11 D•1
2023
2022
Qhw debt￿3
114670
114rn1
97.783
97,783
12 Cr•dtorn: d￿T￿1th￿ on•y•ar
2022
Othw (xeditors
T8xation sodal $8cJJrlty
Accrua15
Defwrgd Irthme (note 131
14852
4093
8.053
5.315
3.eA)O
95,106
107.107
1$3.052
112,164
13 L>•l•rrgd Incom•
Deferred ￿c(me conV￿8S Burial Society funds in advanc8 of £12.38012022'. £11,759), meM￿h1p Income in advance
of £53.e4012022.. £51,877), seat fees in advancè 01 £30.59712022. £31,560) and Jroot trip funds In adVart￿ £10.49).
2023
2022
Balance gt the b•Jinning of the yeor
Amount released to it¥x¥ne in the year
AnKJunt d8f8rrwJ in the year
gS.19B
196.196)
107.107
86,617
186,6171
95,196
95.196
Page | 17

H•ndoTh Adath Yl¥roo1 Congr•gatlon CIO
Nots• to th• flnanclal Statomonts
For th•
r •nd•d 31 Mar¢h 2023
14 An•tysh of nwl•wts b•t*••n fun
General
Unr•5trId￿ DesbJna
funds
fiJnd5
Restricted
lund$
nth
TavJiblefix&1 ass8t5
Net ￿rtnt assets
453,099
81.061
82,563
14J,WA4
596.n3
N•t M••ts oflhy••r
534,160
62,563
115 MOV￿9￿• In fvnd•
At th? $1grt
ofth8
Irrome 8 Expwses &
galn8
k)sses
At 31 March
Translers
Sefer Torah
Buri81 So¢
CST (gates. fences & CCTV)
Kol Nldrei Appeal
Bl-Annual Appeal
Welfare
Rov App8è1
Young Mlnyan klldu5h
Kolld Erev
rlty donation
15.979
21.389
29.112
5.135
145,9581
127,2531
8,588
1S,125)
6,476
11001
197,4641
115,8821
133,6721
(9.8421
142.5521
119.5281
46A22
69.439
12.945
20.330
3,228
I4￿80
15,462
28.025
2.937
1,562
6.614
11,780
41,954
2,311
14282
1,755
TL*al rnAtrlcl•dfvnd•
78,500
231.966
292,249
44,348
62MJ
402,888
571,314
{395,6981
395,696
144.3461
44,346
6¥189
402.8B8
Total fvnd•
687.945
.721
1. S8f8r Torah F￿d
at the beglnnlryj of the COVKI ParKlemlc. over £50.0￿ was ralsed from the
m8rnb&s tr) hav* wrllten a new S8f8r TLY8h for the $hJl for th8 Refuoh ofour memws who were 5tru¢k
down by rt. fuTrJs wer8 used lo pay for the WTiling of rt ITr instalmwts and 8180 for the ¢debratiDn
when Itw8s bro￿aht to the Shuj in jur￿ 2022.
2. BurLql ScKi8ty - For Ih05e members who ar8 member5 of the Adath Yisrod Burlal socbty we cn18rt
th8irfèes on behaifofAYBS then pay th8m over lo AYBS.
3. CST- 8 9ran¢ vra$ r8c8fv8J from CST to covw the cc6ts of the in51albtK)n of 8 wall. fences and
gate5 together with 8ddI￿onSI CCTV camEras.
4. Kol N￿￿r￿ Appeal- monles rai*1 on Kol Nbjrel nTraht whlth th15 yoar wont sgldy for SUPPLrfng the
ntr￿Y fouThJed KolK4 Erev In thè Slwl.
5. 8i-anNal appeal- to raise funds for lor£l peo￿e in the wmrrnjnty to halp tha cost of Pesath &
Rosh Hashonoh. ￿r0)nla[n￿1 P858chs.
8. Welfare- funds donated by membw¥ during the year to help poorfwnilies in the communlty.
7. Rov ApFeal- funds donat￿ by members to ￿ dlsthbuied at the discretion of th8 Rov.
8. Kc41d Erev- n￿Y fourvjed Kollel taklng placa In Iho S￿1 each evenkng.
9. Seujrty dtsnaiion- fvnds coll￿ted frorn members ¢098ther wlth g8nts from CSTI the ggvwnmenl to
halp t¢Mrds lh6Sec￿ty ￿sts I￿rr￿j by the shL￿.
Page118

Hondon Adath Yl8M•l Congr•goUon CIO
Nots* to th• flnanclal •lat•m•nt8
For th• yoar •ndod 31 Ma￿h 2023
16 R•¢oMllldlon of I 1•xW￿ltur0}to not¢￿h fflowfmn opr¥ln9 *cIMU
2023
2022
Il•t In¢oTh l{gXPOfKIMurn)lorth• raF*)rtlw pwknd
(a• pwth• •tatomgnl gffln•n¢lal xUvlU•o1
114335
15.824
DepreciatK)n
Intaresl. rent and dIv￿endS from Invesbnents
Ilncreasey ￿￿e9$& In debtors
IrKr8ase/ (dec￿$￿} In creditors
Net ca8h wovlthd by l{u••d In) op•rnUThJ •ctlvkl
620
161
2,125
120,9561
12,4931
1921
{16.78TJ
120.334
17 Arotysls of ¢aoh ¥Thl ¢o#h •qufval•nt•
At Ihe startof
the period
At 31 Mar%*
2023
Cash fl¢)ws
Cash at bank and In hand
182.357
119,6511
162,708
Totsl •rtd ca•h •qulvthrt¥
IV7
119,651)
162.706
chartty has Th) luttjre p8yrwits under ￿r￿an¢$lI&b18 Dporating leasès.
19 Rel•l•d g•rty tranoa¢tlo
Durirq the year th6 eharlty recw¥¢d donations of £38.SOO12022.. QO.0001 frrmn trknndon Adath Ltd. a connected tharity.
Page119