REGt¥rERED CHARITY NUMBER: 1191518
REPORT OF THE TRUSTEES AND
UNAUDwfEO FINANCIAL STATEMENTS FOR THE
YAR ENDED31 AUGU￿2023
FOR
TIFERES YISROEL
MAP ACCOUPfflNG LIMITED
Chartefed Certifled Accountsnts
26, OAKFIELD AVENUE
HARROW, LONDON
HA38TJ

TIFERES YISROEL
coNrENTS OF THE FINANaAL STATEMENTS
FOR THE YEAR ENDED 31 AUGUST 2023
Pa8È
Report o*the Tr[￿tee5
Independent Examiner's Report
Statement of Flnancial ActI￿tIeS
Balan￿ Sheet
Notes to the Hnanclal Statements
5t06
Detailed Statement of Financlal A¢tivities

nFERESYWL
REp￿oF TNÈ TIIUSTEeS
FOR ThEYEAR ENDED 31 AUGUSTIiQJ
Thetru5tees preserttheir repm wnth ihefinarKialst3tememsoftt*charity It*they*e4thd 31 Ay512023.Trtrustees
ha¥e a&Jpted thepro¥k5Io￿ of the Statemenl ol Re¢m￿ended Pr¥tKe1gJRPI PLrtyjntw￿and Rew11￿
Chariiies, is5uedin Marth I￿.
REFERENCE APIDADMIN15TAATfvE DEfAIIS
Revster￿[h￿ty humb•f
1191$18
Prfn¢lp•l 4ddws
2 Wyre Grove
Édiware
Middle5ex
HA88UP
Ellyohu Loth
Wllty Godlewsky
LauMceC•Mn Frelllth
dépend•ttt ex•rnlner
MAP kctyJntin8 Lin4led
Chartered Cert￿￿￿£¢¢￿￿rts
16, Oakfldd Avenue
arrow, London
HA58TJ
STiucniftLGOVEIIIIAIICE AIID MAMAGEl•ftiir
The tharltyls controlled 6o%•rrAw a deedolirwL rwstttwesan ￿nto￿￿è1edth1rfty.
luik m•Mymont
The trustees • dvtyto identfy4nd rwewiP*ilsks lo*th*hlJ*th¥liy15•wsed •Nlto effjuit apprwlaie
t￿r￿{sI1e ITh placeiowo¥* reason•ble•sswarKe aplnsr tra￿￿4￿1 errcf.
Apprth*d tyorderoft1￿bo1rd oftntstees M 5 W 2024 ald 5y*dmtts P4halfty.
Wllty G¢dle%Ysty

IIFEftESYISROEL
I rtporton the￿OU￿$fOrth*￿T•nd•￿3I •AW12O23.t*t￿•rese1 P¥4gllY•fosk.
As thecharltqs Irwt••S Y￿￿Te rtsm**i0tthewe￿r•￿o1th¢ac¢￿fits rEWrefrtntsof
Ch4rW*SAtt 20111'theALi'I.
l examlnel Yow Iharfty5 aCCtyJhts uigw*Edurthrsecrnn 1450fthECti•Jftwl(tWJllltheA¢t'l. li
myexamln•tkn I h•¥elDilo￿theokeCI￿￿ty￿￿thec￿lvC￿￿v*￿￿￿rséc￿ffl ￿$1511b)r*th•
2011 Act.
that accouniity records ￿re not *eptas ttylred tyseakm UOofthe*rt. or
thattheattoun15 do notaccordwrth rhose re{0￿s. +y
Ihat the attgunts do not cthmptywkh the1￿OuNtIN vequtremertsofthe*t: or
t￿1 therÈ1sfvrth¥ Informawon needtd I￿8 undetstsntholthe actotsrts.
I have cornplew my•*aminatlon and n•eon(erf4 kn rn5F*arftPern4ttersllltol41 lthd •fyl,
c¢nnecthJn wrnitt•ryth*trwke¢tra¥Aniio
rattenik
AnknJrSh•h
ACCA
WP kwuntlw Llmknd
Charte¢Ed C1rtW￿dAC(￿Jrflfits
16, 0•kneldAv￿Y
Horiow. Londty)
A31TI
O>AuTr24

TIFERES YISROEL
STATEMENT OF FINAficiAL AcrivmE5
FOR THE YEAR ENDED 31 Aueust 2023
2023
Unrestrltted
fund
2022
Total
funds
INCOMING RESOURCES
Incoming resour¢e5 Ir4)m 8en•rated funds
Voluntary Income
Notes
118,837
79,883
RESOiIRCES EXPENDED
Ch•rftsble •rtlvltl•s
Educational events and lectures
Unlted Kingdom
Totsi resources expended
117.729
77.737
117,729
77,737
NET INCOMINGIIOUT601NG)
RESOURCES
1.108
2.146
RECONCILIATION OF FUNDS
Total lunds brought forward
2.146
TOTAL FUNDS CARRIED FORWARD
3.254
2,146
The notes form part of these ffinan¢41 stztements
Page 3

71FERES YISROEL
BALANCE SHEEr
AT 31 AUGUST 2023
2023
Unrestricted
fvnd
2022
Total
funds
Note5
CURRENT ASSETS
Debtors
Cash at banK
3SOO
-1354
2146
4,528
4,528
CREDITORS
Amounts falling due withln one year
NET CURRENT ASSEYS
4.528
2146
TOTAL ASSEf5 LESS CURRENT
LJABILITIES
1.274
NET ASSErs
3,254
2146
FUNDS
Ub)restrlcted funds
3,254
2146
TOTAL FUNDS
3,254
2146
The flnaThcJal ststements apprg¥ed by the 8oardof Trusteos on S Awust 2024 and wère stgned on its behalf ￿..
Willy Godlewsky
The ￿te$ forni partof these fiftarKlal ststemer
Page 4

FERE5 Y15R￿1
NOTES TOThE FINANCIILSTATrAEFITS
ThE YEAR ENOED31AiwNtIou
The t￿3￿ClaI statementskn*kwn Kry•*d ￿1#￿Ical c05rcor*eTh￿￿. anrfknac¢oTdaw ¥rith the
Financ￿1 Rew￿r¥S￿nd•rd lorSma¥er Ehrths (elfedi￿A￿￿ 2(R)8Tr. tbE ChJrrtiesAct 2Qll and the
requirernents olthe Stat•ment ofqec£¥M*thIPwpuwthMand w￿rt￿¥b¥cha￿t￿.
I resourtes we t￿S1*emEnt￿F1wth1￿CMle5 whtn th•rty lslepltyefitlt
t¢ IhelnciMr* tht*Thxrtun be•ulfrtM￿T￿ rea￿•ble4cc￿0ty.
Expendiiure 15 KCoL￿¢df￿fjfy￿ KtNahb•$I5￿ hllsbeencf•5sW underheathwihot I￿rt￿tall cost
ated to the ¢al¢80ty. WhErecoststsnTrot be th"rWJttyitxrtedto Ivthwthryha¥t t*enalttated
to ￿ti￿lIe5c￿ è **htho
•ntsofl•red iotoThJttkn6t*l*hhm* w been atth0￿r￿4 d•ttarentsted•s4 corrth*n%nt but
notlcuutd •sexpwdttute.
7•x•iion
Fund K¢tyJnts
Unrestrlcied lundsun beY￿dIn*t(￿d•￿• ¢he it Ihed*retknoltfr*tw#e
fundsun onlvte w&df0rp•rt*￿1Ir￿IrkIed wposes wtthin ot*ct501ihe ￿rtty. Rewi¢kns
•rb4 Y4hensp•ttRed tyth• rIl*dlorw￿cI￿r re5thcted
Fwtler WI•￿•11￿￿1&Yelnd purK* ole•thfimd ththe rt0￿ tOth*fjnar*w st¥•ffi*rt&
AssEts I￿lI1￿¢S In lordp<u1i•nc￿ ar•tran*ted in¢05t•rtkni•¢th• ra¢qs rulk¥•tthe
nr• >leerd•te. T￿￿￿¢1￿5 CLwrendEs4t*lrnhthd lrto rnte ￿eXCh•￿e rulkniit
thedmioltransxtbEth. Ex(tsw*Jrflererw¥rtf¥len Intoac¢tyJni Inarn￿re¥l theo¢orniini re￿It.
TRUSIEES'Rt¥UNEi4TfoiiAPX*IWIITS
Thwewere noirurt*S'fomunwthnorothv tthefitstrts)wethdg1 Aw#2021 r*vfoithtwr ffjded
31-Au8-22
Thernwere no tNstees'*AF•nses PWdloFiheywrende¢131 AuwstX+23 Trxft¢thewrvth31 A4ust 2022
1023
Other tsetr•rs
CREQITORS:AMOLVITS FAiLING CWEIAYTHIIIW
2023
2012
TTrdp cMdlt(*5
PaReS

TIFERES YISROEL
NOTES TO THE FINANCIAL sfATEMENTS- CONTINUED
FOR THE YEAR ENOED 31 AUGUST 2023
MOVEMENT IN FUNDS
Net movement In fund5, induded In the above are as follows:
Incoming
restyjrces
Rèsource5
expended
Movement In
funds
Unre5trlrted lunds
General fund
118A37
117.729
1.108
TOTAL FUNDS
118.837
117,729
1,108
Pa8e 6

TIFERES YISROEL
DETAILED STAIEMENTOF FINANCIAL A￿￿rnES
FOR THE YEAR ENDED 31 Au8USt 2023
2023
2022
INCOMING RESOURCES
Voluntary Ineomè
Donatlons
I18￿3?
79.883
Total Incomlng resources
118.837
79,883
RESOURCES EXPENOED
a￿rItsb1• actl¥ltles
Rent
Cleaning
Repalrs and malntenance
Sundry Expenses
Insurance
Software
Equipment
Prlntlng ènd statlontry
Travel and subslstence
Advertlsin8 and PR
Other legal and professional
Grants to Indivtdu315
29,265
20,353
240
17
28,324
556
411
25
758
828
3,383
34.328
2.159
17,683
31.704
1,410
23.998
Support ¢osts
Flnanc•
Bank charges
Total resources expended
117.729
77,737
Net lexpendlturellSncomÈ
1,108
2,146
This page does not fom) part of the statutory finandal statements
Page 7