THE SOCIETY FOR THE RELIEF OF DISTRESSED JEWS
Profft and Loss actount for the year ended 30th September 2022
2022
2021
Tumover
Interest RerElvable
Investment Income
Gains on Investments
Donations
Other Income
Total IncomSng Recources
579.43
3.038.75
41,787.38
120.00
0.00
45.525.56
1.01
2.680.23
-31,260.95
-28.039.71
Less Expenses
Charitable Donations
Bank Charges
Gener81 Expenses
rued expenses
47,574.39
0.00
83.00
2,383.37
50,050.56
2,500.00
Retained proflt fol the year
43.025.56
-78,090.27
Non8 of the companls actlvilies was acqUi￿d or disconllnued during the above two financial years
The note on the final page form part of thesg financial statements.

THE SOCIETY FOR THE RELIEF OF DISTRESSED JEWS
Balance Sheet as at 30th Sepletnber 2022
Notes
2022
2021
Current Assots
Investments
Community Account
Premium Account
83,857
17.169
10,617
42,070
24.049
Current Liabilit￿S
55,700
53,201
Total Assfrts
55,943
12,918
Fund8
Share Capital Account
Unrestricted
Profil for the Year
94,544
-81.626
43.025
94,544
-3.536
-78.0
Total Fund$
55,943
12,918