REGISTERED CHARITY NUM8ER: 227576
af
Fln
rEn
•M￿r 202
DI
R•f
Matthgwg Sutton & Co L
Chartered Certified Accountsnts
48- 52 Penny Lane
Mo$s￿Y Hill
Liverpool
Merseyside
L181DG

ontgnts of the Flnanclal Stat•m•n
for th• Y?#r End•d 31 D•c•mbor 202
P•g•
R•port ol th• Tru•t•••
1 to 2
Ind•p•nd•nl Ex•mln•rf¥ R•port
St•t•m•nt of Flnancl•l Actlvltl••
Balan¢• ShMI
Not•# to th• Fln*n¢l•l St•t•m•nts
6 to 11
l)•t•ll•d Stat•m•nt of Fln•Thcl*l Actlvhl
12 to 13

South ort #nd Dis
rlet R•forni S
ue
Re
ort of the Trust¢
for the Year Ended 31 D•c•mb•r 2025
The Iruslees present thelr report with the financial statèments of the charity for the yèar ended
31 D8cember 2025. The trustees have adopted the provisions of Accountlng and Reporting by Charities..
Statement of Recommended Practice applicable to charities preparing their accounts in accordance with the
Fin8nci81 Rewung Standard applicable in the UK and Republic of Ireland {FRS 1021 leffe¢tiva 1 January 2019).
ACHIEVEMENTS AND PERFORMANCE
Charitabl• a¢tlvlties
The synagogue is known as 'Soulhport and Dlstriet Reform Synagogue.. The Synagogue MOM￿rship have
met to discuss forward plans for the ¢oming years. We will continue lo monitor our outgoings and income
earelully lo ensure that financially we are in a position lo provide for 8 Reform Jewish charitable service lo
Soulhport and distrid.
FINANCIAL REVIEW
R•sèrv•s polley
It is Ihe policy of the charty to maintain unreslrfcts(i reserves at a level which provides sufficient resources lo
covef managemant, admlnislration and support costs and to respond lo any Ltnforeseen circumslances.
Th8 Trust88s aim to maintain reserves at a level by means of a surplus over the long term 8nd stringent Cash
management.
STRUCTURE, GOVERNANCE AND MANAGEMENT
Governing document
The charity is controlled by its goveming documènt. 8 dèèd of trust and conslilule8 an unlncorporated charlty.
REFERENCE AND ADMINISTRATIVE DETAILS
R•gist•r•d Charfty numb¢r
227576
Prlnelpal •ddr•$$
'BY EMAIL"
Tru$tè
P Levine
M Zachariah
G Corre lappointed 20.7.25}
S Goldthorpe lappoinled 20.7251
Independent Examln•r
G Evans
Matthtrws Sutton & Co Ltd
Chartered Certified Accountants
48 - 52 Penny Lan8
Mossley Hill
Liverpool
Merseyside
L18 1DG
Executive Commltt
Dr Selwyn Goldthorpe {Chaim)anl
Mrs Gillian Goldlhorpe (Vice Chairl
Mrs Fortune Ch8mberl8in Isecretsryl
Mr Anthony Kletz (Treasurer)
Page 1

South rt and Dlstrlct Relom) S
na
R•
rt ol th• Trust888
for tho Year Ended 31 December 2025
Approved by order of the board of trusteès on 19 Juty 2026 and s￿ned on its b•h4lf by..
Zachariah - Tru5tse
Page 2

Ind•
endent Examinerfs Re
ort to thè Truste¢$ of
South ort and Di¥trict Rèform
na
ue
Indèp•nd•nt •xamln•rf$ report to the tru$l••s of Southport and Olstrlct R•form Synagogu•
I roport to the charity trustees on my examination of th8 accounts of Southport and Dlslricl Refom) Syn8gogu&
(the Trust) for the year ended 31 December 2025.
Ro$ponslbllltlè8 and ba818 of roport
As the charity trustees of the Trust you 8re responsible for the preparation of the accounts in accordance with
the requirèmanls of the Charltl88 Act 2011 I'lhe Act,).
I r&port In respect of my exAmlnaJon of thè Trust's accounts carried out under Section 145 of the Act and in
carrying out my examination I have followed all applicable DireclionB given by the Charity Commission under
Seclbon 14515llbl ol the Act.
Ind•p•nd•nt •xamln•rf• •tatsm•n¢
I have completed my examination. I confirm that no material matters have come to my attention in connection
wllh the èxamination oiving me cause lo balieve that In any mat8rial respect..
accounting records were not kept in respect ol the Trusl as required by Section 130 of the Act., or
the accounts do not accord wllh those r8cord8', or
th8 account8 do not comply wllh th8 8ppll¢abl8 r8qulromenls conc8rnln9 the form 8nd content of
accounts sel out In Ihe Chadts'es IAccounls and Reports) Regulallon$ 2008 other than any rgquiromenl
Ihal the accounts glve a tru& and fair view whlch is not a matter considered as part of an independent
èxamination.
I have no concems and h8v& come across no other matters In connection with the examlnalion lo which
attention should be drawn Sn Ihls roport in ordgr lo gn8ble o propor understanding of thg accounts to bg roached.
G Evans
Marth8ws Sutton & Co Ltd
Chartered Certlfied Accountants
48- 52 Penny Lane
Mossley Hill
Llv6rpool
Merseyside
L18 1DG
19 July 2026
Page 3

South rt #nd Di$tri¢t Rèform S
na
u•
statement of Flnanclal A¢tlvltlo5
for the Year Ended 31 D•¢$mb•r 2025
2025
Totsl
fvnds
2024
Total
lunds
Unrestrictod
fund
Restrfct8d
funds
Notes
INCOME AND ENDOWMEpifs FROM
Don81ions and legacies
25,855
866
26,721
24.381
Other trading activities
Inveslrnenl income
Oth&r Income
5,332
6.689
198
5.332
6,689
198
8.002
6,423
155
Total
38,074
866
38,940
38,961
EXPENDrruRE ON
Raising funds
8.827
8.827
12,395
Ch•ritabl• 8¢tlvltl•$
Cost of generating voluntsry income
20,501
909
21,410
20,385
Total
29,328
909
30,237
32,780
NET INCOMEIIEXPENDITURE>
8,746
1431
8.703
6,181
RECONCILIATION OF FUNDS
Total funds brought forward
428.529
431,523
425,342
TOTAL FUNDS CARRIED FORWARD
437 275
2,951
440,226
431,523
The Th)te$ fom part of these financial statements
Page 4

•nd Dfi¥tr¥d Reforni
Balance Sheet
31 Decernber 2025
2025
ToLIl
fvnds
2024
Total
Jnds
UnreStr￿ed ReslrKted
nds
Notes
FIXED ASSETS
Tangible assets
Investments
264.082
264,162
264,598
60,000
324,082
324,162
324,598
CURRENT ASSETS
Deblors
Cash at bank and in hand
5.448
5,513
108.441
113.623
3,737
119,{￿9
3.737
122,8C
113,954
CREDThORS
Amounts falling due wrthin tsne ye
10
{5.8761
{8661
(6.7421
17.0291
NET CURREMT ASSETS
2.B71
116.
106,925
TOTAL ASSETS LESS CURRENT
UABIUTIES
437.275
2.951
431,523
NET ASSETS
437.275
2.951
440,226
431,523
FUNDS
Unrestncted fiJnd$
Reslrided lunds
437,275
2.951
428,529
2,994
TOTAL FUNDS
440,226
431,523
The financial $latements were approved Board of Trustees aThJ aithon.sed for issue on 19 Juty 2026 and
vRre signed on rts behalf by..
Zachartah - Trustee
Page S

DI trlct Reform S
na
lotes to the F5nanclal Stat&m•nts
for the Year Ended 31 Decembèr 2025
ACCOUNTING POLICIES
Basls of prèparlng tho flnanclal statements
The financial stalements of the charity, which is a public benefit entity under FRS 102, have been
prepared in accordance with the Charities SORP IFRS 1021 'Accounting and Reporting by Charili&s'.
Statement of Recommended Practice applicable lo charities preparing their accounts in accordance with
the Financlal Reporting Standard applicable In the UK and Republic of Ireland IFRS 1021 leffeclive 1
January 20191.. Financial Reporting Standard 102 The Financial Reptsrting Standard applicable in the UK
and Republic of Ireland, at)d the Charib'es Act 2011. The financial stslemenls have been prepared under
the historical cost conventson, with the exceptron of investments whtch are included at market value.
Income
All in¢om8 is iecognised in the Statoment of Fin8n¢ial Activities once the charity has entitl8menl lo the
funds. il is probable that the income will be received and the amount can be measured reliably.
Exp•ndltur•
Liabilities are reco9nised as èxpgnditure 8s soon as there is a legal or constructive obligation committing
the charity to that expenditure. it is probable that a transfer of economic benefits will be reqUI￿d in
8ettl8mènl and the amount of the obligation can be m&asured reliably. Expenditure is 8¢counled for on an
accruals basis and has btren classified under headings that aggregate all cost related lo the category.
Where Costs cannot be directly attributed to particular headings they have been allocated to activities on
a basis consistent with the use ol resources.
Tanglble fix•d ass•ts
Depreciation is provided at the following annual rates in order to write off ea¢h asset over its estimated
useful liftr.
Plant and machinery
Fixtures and fittt'ngs
20Yo on reduclng balance
20 /0 on reducing balance
The Synagogue holds a numb8r of r8ligious 8rtef8cls. Thèse havè not been included in the financial
ststements since it is impractical to place a valuatK)n on these items with the exception of tho Scroll
acquisition in 2015.
Taxatlon
Th8 eh8rity is 8xempl from tsx on its ¢harit8ble activities.
Fund •¢¢ountlng
Unrestn'¢ted funds Can be used in aGcordan¢e wilh the Gharitsble objeGtive$ at the discretion of the
trustees.
Restricted funds can only be used for p8rticular restricted purposes wthin the objects of the ch8rsty.
Restrictions arise when specrfied by the donor or when funds a￿ raised for particular restricted purposes.
Further èxplanation of tho natur8 and purpose ol each fund is in¢luded in the notes to the financial
statements.
Pag8 8
continued..

South ort and District Refomi S
na
Notes to the Flnanclal Statamènts - ¢¢ntlnu
for the Year Ended 310èc6mb•r 2025
OTHER TRAOING ACTIVITIES
2025
2024
Fundraising events
Fungral servSce conlr6bullons
1,765
3.567
595
7.407
5,332
8,002
INVESTMENT INCOME
2025
2024
Rents ￿¢￿￿ed
Investment income
Deposil account interesl
3,810
1.718
1,161
3,397
1,673
1,353
6.689
6,423
TRUSTEES. REMUNERATION AND BENEFITS
There were no trustees. remuneration or other benefits for the year endèd 31 December 2025 nor for the
year ended 31 December 2024.
Trusteès. expenses
Thefe were no Iruslees. expenses paid for the year ended 31 December 2025 nor for the year ended
31 Decernb8r 2024.
STAFF COSTS
Thg av&r8ge monthly number ol employees during the year was as follows..
2025
2024
No employees received emoluments in excess of £60,000.
COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTIVITIES
un￿striCted
lund
Restricted
fvnds
Totsl
funds
INCOME AND ENDOWMENTS FROM
Donalitsns 8nd legacies
22.100
2.281
24.381
Other trading activities
Investment income
Other income
8,LX12
6.396
155
8,002
6.423
155
27
Total
36.653
38,961
EXPENDITURE ON
Raising funds
12,238
157
12,395
Page 7
continued...

ou
t Relorm S
ue
Not¢$ to the Financlal Statements - eontlnu
for the Year Ended 31 December 2025
COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTIVITIES - ¢ontinued
Unreslricled
Restricted
fund
tunds
Total
funds
Charltablè actlvltles
Cost of generating voluntsry income
17,753
2.632
20,385
Total
32,780
NET INCOMEIIEXPENDITUREI
6,662
14811
6,181
RECONCILIATION OF FUNDS
Total funds brought forward
421.867
3,475
425,342
TOTAL FUNDS CARRIED FORWARD
428.529
2.994
431.523
TANGIBLE FIXED ASSETS
Fixtures
and
rittings
Freeho
property
Plant and
machinery
Totals
COST
At 1 January 2025 Bnd
31 December 2025
262,516
5.160
41,449
309.125
DEPRECIATION
At 1 January 2025
Charge for year
3,807
271
40,720
165
44,527
436
At 31 December 2025
4,078
40.885
44,963
NET BOOK VALUE
At 310e¢ember 2025
262 516
564
264,162
At 31 December 2024
262 516
729
264,598
FIXED ASSET INVESTMENTS
Unlisted
Investments
MARKET VALUE
Al 1 January 2025 and 31 Do¢ember 2025
60.000
NET BOOK VALUE
Al 31 December 2025
60.01)0
Al 31 December 2024
There were no investment assets outsido the UK.
Page 8
continued...

South ort and Distrlet R•form S
UO
Note8 to tho Flnanclal S
onllnu
for the Year Ended 31 Dec•mb•r 2025
DEBTOR8.' AMOUNTS FALLING DUE WITHIN ONE YEAR
2025
2024
Tax
Prepoymonls
5.102
5,182
331
5,513
10.
CREDITORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
2025
2024
Trade crgdllors
othgr cr8dilors
4.038
2,704
4.181
2,848
11. MOVEMENT IN FUNDS
Nel
mov8menl
Sn funds
Al
31.12.25
A11.1.25
Unrn•trlct•d fund•
Genaral lund
428.529
8.746
437.275
R••trlct•d fund•
Kol Nldr
Scroll lund
846
2,105
431
2.994
431
2,951
TOTAL PUND8
431 523
440,226
Nel movomenl In funds, Includad in the abové are as follow8..
Incoming
reBources
Resource$
expended
Movement
in funds
Unr••trlct•d fund•
G8nèral fijnd
38,074
{29,3281
8.746
R•*tflct•d fund•
Kol Nidre
Scroll fund
866
18661
866
431
TOTAL FUNOS
38.940
30.2371
Page 9
continued..

uth
and Di$tri¢t Reform S
Notes to the Flnancial Statements - contlnued
for the Year Ended 31 D¢rRmber 2025
11.
MOVEMENT IN FUNDS - cont5nu•d
ComparatIv￿ for mov•mont In funds
Nel
movement
in funds
At 1.1.24
31.12.24
Unrnstrlct•d funds
General lund
421.867
6.662
428,529
Restri¢t•d funds
Kol Nidre
Scroll fund
2.629
2,148
3.475
TOTAL FUNDS
425.342
431,523
Comparative net movem8nl in fvnds, incI￿j&j in the atjove are a5 ftAl¢)WS".
Incx)mirwJ
resourcgs
Resources
expended
Movement
in funds
unr￿tr1et0d funds
General fijnd
36.653
129.991}
6.662
Ro$triet•d fvnds
Kol Nidre
Scroll lund
1.006
1,302
11,CA)6}
1,783)
2,308
2,789)
TOTAL FUNDS
38.961
32.780
6.181
A cjjrrenl year 12 months and pricff year 12 months comlmned posib.on ￿ as folknvs:
N81
n￿vement
in funds
At
31.12.25
At 1.1.24
Unrestrlcted fund$
General fund
421,867
15,408
437.275
Restricted lund$
Kol Nidre
Scroll fund
2.629
2,105
3,475
2.951
TOTAL FUNDS
425,342
14.884
440,226
Page 10
continued...

(¥uth ort and DI trlct Reforni S
N tes to th8 Flnancial Statemènts - eontlnuod
for the Y•ar End•d 31 December 2025
11.
MOVEMENT IN FUNDS- eontinu•d
A current year 12 months and prior year 12 m¢)nths enmblned n81 movamenl In funds, included in the
above are as follows..
Incoming
resourc88
Resources
expended
Movement
in funds
Unr•strlct•d fund•
General fund
74,727
159,3191
15,408
R•itrlct•d fund•
Kol Nidre
Scroll fund
1,872
11,6721
3,174
TOTAL FUNDS
630171
12.
RELATED PARTY DISCLOSURES
Th&re wore no relal&d p8ty Ir8nsacllon$ for th8 year ended 31 Decgmbgr 2025.
Page 11

outh rt and Dlstrlct Reform S
ue
D¥tsll¢d StatèTnent of Flnan¢lal Actlvltl•¥
for th• Yèar End•d 31 D•¢tmbèr 2025
2025
2024
INCOME AND ENDOWMENTS
Don•tlon8 •nd l•93¢1o•
Donations & bequests
Gift ald
Don81ions Kol Nidro Appoal
Grants
Subscriptions
New Machzor Iprayer books}
Other Income
2.702
1,800
866
5,094
16.259
3,370
1,800
1,006
1,996
15,144
690
375
26.721
24,381
oth•r tradlng actbvltl••
Fundraising events
Funeral servicè conlrlbutlon8
1,76S
595
5.332
8,002
Inv•#tmont Incom•
Rents receive(I
Investm8nl Income
Doposil account Inlerosl
3,810
1.718
3,397
1,673
1,353
6.689
6,423
oth•r Incom•
Inl&resl r8celv8d on glft 8ld
198
155
Tol•l In¢omlng rM•urc••
38.940
38.961
EXPENDITURE
Other tradlng a¢tlvltl••
Fe8llvals 8nd servl¢e8
Fun&ral$ & JJBS
757
337
12.058
8.827
12.395
Charbtabl• •¢tlvlll•$
Light, heal & water
Insuranca & subs¢￿pIlon8
Telephone
Repairs & cem81èry upk8ep
Postagg and $tationgry
Gifts, piesentations & prizes
Carried forward
3,266
2,876
836
2.129
461
23
9.591
2,623
2,030
2,901
472
8,884
This page does nol f¢)mi part of the statutory financlal s18t8ments
Pag& 12

South ort and Dlstr5ct R•fomi S
DetaSl&d Statemant of Flnanelal Aetlvltl8s
for the Year Ended 31 Oecember 2025
2025
2024
Charitable activlties
Brought forward
Sundries
Rabbinic support
Cleaning
Security & Keyholding
Social Visiting expenses
Don81ions Kol Nidre Appeal
New M8ehAor (prayer books)
9,591
7.233
3.803
136
4.195
310
866
8,884
957
3.961
343
1,771
1.006
1,559
20,134
18,765
Support costs
Flnance
Bank charges
61
Oih•r
Depreciation on plant & machinery
Depre¢iation on fixtures and fittings
271
164
338
218
435
556
Governanc• costs
Accountsncy and legal fees
780
974
Totsl resources expended
30.237
32,780
N•t In¢om•
8.703
6.181
This page does not fom part of tho slalutory financial statements
Page 13