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2024-08-31-accounts

REGISTERED CHARITY NUMBER., 1191518 REPORT OF THE TRUSTEES AND UNAUDITED FINANCIAL STATEMENTS FOR THE YAR ENDED 31 AUGUST 2024 FOR TIFERES YISROEL MAP ACCOUNTING LIMITED Chartered Certified Accountsnts 26, OAKFIELD AVENUE HARROW. LONDON HA38TJ

TIFERES YISROEI coNrENTS OF THE FINANCIAL ￿ATEmENTs FOR THE YEAR ENDED 31 AUGusf2024 Pa8e Report of the Trustees Independent Examlner's Report Statement of Flnancial Actwitie5 Balance Sheet Notes to the Financial Statements 5t06 Detalled 5tstement of Financtal Actlvltles

TrERtsv￿RtsEL REPORTOFMIftUSTEES FOR THEYEAR ENDED 31 AiIGitsT2024 ThetnJStÈÈ$presentthelrreK￿th th¢finI￿&191•tements0lthPthtyfcrthe yearended 31 Auw5t202&ThE trustees h￿e ad(wed theprov151ons ofthe statement of Recommondqd Piartke (SORPI AttwntIn8a￿l Rep￿￿￿6¥ Charibe5' l$yJed In Marth 2005. REFERENCEANDADMIN15tRATIVE DEfA R¥8btsrnd Chwliy nunthr 1191518 Prkndp4 4ddres5 Iwyre Grv EdBware Mlddlesex Hla 8UP El'yohu LLVi•A lty&)dlew5 Lèwence Cafvln Frfllch dopehd•nt •Aamlner AccounSr¥Umited rthartered Certlffed Accourrtonts 26. ¢)ak)leld Avenue H•rm. ￿d￿n HA38TJ STrUCTURE, GOVERNAIICEAND MAP4AGEMENT Thech7rftylJ rnntrQI￿d byks £tr￿TN￿d0c￿YnL a deed Of￿￿$( and ¥ffj uNncoryor•tedeharfty. Therru5tee5 ha¥e adutyto Identlfyand risks towhlchthecharfty150Ak>5ed andtoen5ure aFproprfate tontruls arq in p￿£•tO pr￿de reasonable asS￿nCe 88ali)stfraud and error. 4)wo¥edbyorderofthe boardoftrnrtees on 24Jur*2025 aThd$w￿d Tts ts¢h￿f trr. EIWU L(ylan Payl

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TIFERES YISROÉL STATEMENT OF FINANCIAI ACTIVITIES FOR THE YEAR ENDED 31 August 2024 2024 Unrestrfcted fund 2023 Total funds Notes INCOMING RESOVRCES Incomln8 re￿ilr¢eS from 8eft¢ratrd fvnds Voluntary income £322.164 £118,837 REsOuR￿s EXPENDED Charltoble acthrftle5 Educational events and lecture5 Unlted Kingdom £302,568 £117.729 Total resources expended £302.568 £117,729 NET INCOMINGIIOUTGOING) RESOURCES £19,596 £1.108 RECONCILIATh)N OF FUNDS Ttstal funds brought forward £3.254 £2,146 TOTAL FUNDS CARRIED FORWARD £22,850 £3,254 The notes fomi part of thesefinonclal statements Page 3

TIFERES YISROEL bAiANCE SMEEr AT JI AUGUST 2QZ4 2024 Unrestrlcted fund 2023 Total funds Notes CURRENT ASSETS Debtors Cash at banK £B.227 £14,623 £22.850 £0 £4.528 £4.528 CREDifoRS ounts fallin8 due within one year £0 £0 NET CURRENT ASSETS £22,850 £4.528 TOTAL ASSEfs LESS CURREpir L146IUnES £0 £1,274 NEf ASSErs £22.850 £3.254 FUNDS Unrestritted funds £22.850 £3.254 TOTAL FUND5 £22.850 £3,254 Theflnanclal $tstements were approved bythe Board of Tnjstees on 26Jun• 2025 were signed on beha￿by.. Eliyohu Lopian The notesfom partofthese flnanclal ststernents Page 4

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TIFERESYISROEL NOTES TO THE FINANaAL sfATEMENYS. CONnNiED FOR THE YEAR ENDED 31 AUGUST 2014 MOVEMEKf IN FUNDS Net movement In funds, Included In the above are as follows: Incomln8 resources Resources expended Movementln funds Unrestrlcted fund$ General fund 322,164 301568 19,596 TOTAL FUNDS 322,164 302,568 19,596 P4e6

TIFERES YISROEL D￿AlLED STATEME￿ OF FINANCIAL A￿1vrriEs FOR THE YEAR ENDED 31 August 2024 2024 2023 INCOMING RESOURCES Voluntsry In￿rne Donations £322,164 £118,837 Totsl Incomlng resources £322,164 £118￿37 RESOURCES EXPENDED Charltable •¢tlvltles Travel & Subslstance Rent £13,￿7 £52,631 £2.781 £2,Crf)3 £753 £y £438 £3,383 É29.265 Rates Cleaning ststionery& Printin8 Subscriptions Insuance Eqipment Expen Software Repairs and maintenance Sundry Expenses Accountanry Fees ConSU￿ancY Fees Advertlslng and PR Other legal and professional Grants Expenses £828 £411 £758 £25 £28,324 £556 £610 £76 £370 £1,234 £2,899 £6.195 £68,557 £34.328 £2,159 £17,683 £150,877 Support Costs Flnance Bank charges £43 £9 Total resources expended £302.568 £117,729 Net lexpendlturelfincome £19,596 £1,108