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

INDEPEldlE14TEX4MIKn REPDRTTOIHETrUSTEES¢F
I r*￿rt￿￿*1c£OUntsfor￿ej*3rerthd 31 A￿Se￿￿*th•re$*tmI0fi P¥t5t￿et0$
REspNo1￿M•S1nd￿%]SOI r•port
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I hmexarnkned I￿r￿l￿1¥¢￿U*tyaSveqUfr￿dwdeVSethon 145 0ftheChar￿¢5A¢t2o11l￿hewI. li t￿rI
out myexan*nadon I haVèfOlmdt￿ ￿thecharftyC0rnrn￿r￿UnderslCd[￿ 14SI5Mbl¢ftht
2011Act.
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thatacctyjntlng record5 WRre notkèpta$ requlr*l bysethon 130oftheA¢'or
thatthe ac£ounts do not accord with those records., or
th*the accounts do not coMp￿￿1th the acu>urrtin& requirem￿ oftheA¢' or
thatthere 1sfurtherlnforn*￿0Th rLeededfora proper understsndkn8ofthe4(toun
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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

140TtSYOTHE FlflAiiaALSTITEMEMrs
£¢JuKnM6poU￿S
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Fln•h¢l81 RepO￿n85ts￿sJrd forknalerEnty¥¢s leffecfj¥e￿wrlI ZC(111, thE Charltles*£t2011•nd thp
requhmentsoftl*StItEmEntofRecornmethd Prnfflke, AcWJnfjrrfar￿RlpLYtIWtyc￿rft￿S.
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tothE income and th¢anvnt(¥N beqU1￿fied T￿sCI￿b￿aCUJr1ry.
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t acc￿￿ asexpe￿NyTe.
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Fi*id
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armwhen spe¢fftd bytrK dLmDfoTwhenfund5 are raked for partlojlar resbi¢ted purms.
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tsAL4rrteshettdate. Tran5Kdonsln fore1￿ pxrenrJes ire tra￿•t¢￿ lrto sterfiniarthe rlte Of2￿h1n￿ rth pi
thE date oftran5athors. Exch•wdiffererKe5aretaken Intoac£oum In arrmn8aI￿
THi￿EE5, REMUtIEMn*)NAIID •￿EFI
r*notN8tett' r•Nrtrknoncf other benefftsforthevp4rended31￿￿st2o24nOrfDrtheyearended
There vRre DOtiU5tee5' exp￿pa1df0rIhe¥eaIefyJed YI Au￿t2024 Mrfortheyaarended 31Auw¥ 2023
DEgTORS..AMOUIItsFALLIIG DUE wmiN40NE YEAA
20Z4
8.227
2024
2023
Ttwli Cred￿￿%

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