C&H Association Limited
C'ompan). limitLd b}. gliardntee
Annual Report and
Financial Siatemenls
For year ended
31 March 2024
Cliartly Registration Numbei 01696892
Company Number 287082

nd H Association Limited
(. c)nipai)I limited by" giu(iranlL¢
FINANCIAI. STATEMENTS
FOR YEAR ENDED 31 MARCH 2024
Page I
Contents
Charitl, Informaticin
Report of the Directors/Tru%teL's
Ind¢penilcnt F..xaminer's Rewil
Statcmenl ot. rii)¢iiicial ALtii'ilie
Stat¢mcnt of financial position
Notes forJnii)g part of ilie fiiiancial staiein¢nts
9- 10
Detailcd profil and loss aLlOUlIt and SiatLinenl
of financi<il actii'ities

C. and H Association Limited
Conipany limited bs, guarantee
I IN.4NCIAL STATEMENI-S
FOR YI.-AR ENDED 31 MARL H 2024
Page 2
C.'harity Information
Board uf Trustee$
C Berg)L'r . DirLetor/Trustee
M BirgLr- Directorfl rusieL
H BergyLr- Director/Triistec
Registcred OffJ¢c
t Floor
Ili)it l Grosveiior Way
London N16 6EJ
Chariti. Number
287118,
CompanTr Regi4tration Number
016()6892 1l.'ngland ai)d Wales)
Acciiuntant$
Rothfeld & Lo
M¢dcar 14ousc
149A Sianif()rd Hill
L.ondoii, N16 SLI.
BAnkers
BarclaNs Elcliik Pl.C'
Mi le End &. B()i% Group
Loiidon
EI 3DA

and H Association Ltmited
Conipany" limited bj. giuaranlee
I.INANCIAI. S'I'A"I"EME.-NTS
FOR YI.-AR F.NDFD .31 MARL14 2024
Page 3
Ri'port of the Directorsrfrustees
"Flie DirLCtI)rsl'l ru5tee% haiL' pleasiirL' in presL"iiting their Report and Financial Statements of ihe
CoinpanylL hdrit). lor ihL' )'e2r uiidcd 31 March 20?4
Tlie Directors/"Iriistee% have adoplcd the provisions of the Charities SORP (FRS 102) 2019
in preparing tlie annual report diid liiianiial st41tements of the Charity.
The Tru.qtec5 in ol'fice throu¥ihout th¢ yL'dr i¥¢re Mr C. Berger. Mr M. Berger & Mrs H. Berger.
All truqtces give of tlieir liini IrLelN dnd no Iruslee remuneration was paid in the year.
Reference and Ailministration
RL.feren¢c nd AdIllinistralioii deiails dre sho￿￿ in ihe sihcdule of members of the board and
professional advi%Lrs on pa¥e ? of tlic fiiian¢ial Statements.
Structllre* goi'ornance 3ind manaivement
C&H Associatioii l.iinited is a Lolllpdni liinited b), guarantee incorporated on 3 Fcbruary 1983 aiid is
goi'emed bv it% metnor<induiii aiid artlLles of association.
The Dircctorsrfrustees are resp(Insible for IhL governance of the organisation and are aciive in all
operationc21 aspL'cts of slratebiiL Illdllcl()L'in¢ni. M7￿ jor pc)licv decisii)ns arL decided at full dirL'ctors'/
Trustees, InLctlllb?S.
Principa)l ActiTrity
The prillcipal activity of the C()IllPilll) diiring ilie vear was that of giwin¥ grants lo charitabl¢ institiitions.
Charitable Objects are:
The cliJriti was ¢*ldbli%hed lo fiirtl)Lr hoth in tlic Llniled Kin¥doni aiid abroad those piirpos¢s
rccob)iii%¢d ds Lliai-itable bfv F.Ilbl ish l.dM'. Til achicve tliese obj¢Lts. (lie CliaritN' utilises its inc()mL
to makL grants diid doiiatlolls ￿111¢1] clre in a¢Lordaiic¢ ￿ ith the guidanc¢ of ihe Cl)arity' Conimission
relattng to l)ublii Beiielii.

C and H A5soeiation Lin)ited
C'onipan)". limited by gJUiiranlee
FINANCIAL S I"ATEMENI"S
FOR 11-.AR EN'DF.D 31 MARCH 2024
Page 4
Report of thL. Directot3rrruslees (continued)
Achioi'ements
The c'harity reLeii'ed giift% and di)naiii)ns iii ilie Near for its operationq - £34,044 (2023 £18.0601
Durinq the l'ear. ili¢ Cuiiipaiii LiaN'L £106.64412023- £38.5121 iii grants. The Compan), receives
appliiatioiis li)I' LTrai)ts. ￿,1)iCh ire c(¥11gidLred bs, th¢ board.
The Cliaritable doi)aiions tnade ilent to fiirth¥r Ilie g)oals and objcctives of tlie C harily. Donations w¢nl
to orbsanisation% and ii)stitulion5 iniwoli'¢d in onhodox Jewish religious education, social welfare ell
Grdnts are onl) made iipon a uiiaiiinious decisioii b). the board.
Tlie r¢siilts and finaiicial positioii al'e shoi¥'i) iii the dLcounts. The Charity's income is suffi¢ieni to fund
its i)bligations.
Tlie Tru4ieLS have identified the major risks the charitable vompany is exposed to and systems have been
LStablished to mitigatc thcse risk%.
Public benefit
Iii settiiigi our objiLtIVL$ 42nd pliiiiniii(J iiur actii ille% the Trustees hai'e gNiv¥n cdrLful coiisideraiion to
tlie Charitj Coinmissioii's g¢nLral u)uiddiiLe on publil benefit and in partlLular lo its supplementarv
public b¢nLfit bjiiidancc 01) fee_Lliar(yji)o.
l-liis r¢port lias h¢en prLPdJ'¢d takinl-y advaiitagwc of the qpecial exemptions applicable to small Coinpanies
ndcr Pclrt 15 ot. tlie Coinpai)i¢s ALI ?0116.
Contliiued

C" 2nd H Association Limited
Company limited by guarantee
riNANCIAI. S'I"ATEMENTS
OR YI.-,IR F.NDED .31 MARCH 2024
Page 5
Report of the DirectorsfTrustees {continued)
Tlie re¢ipiei)t% c)f c)ur SLfi ILL'S LC)ntii)Iioiisl J e.xprL"ss their appreLiatioii and admiration to all m¢mhers
of tl)e publiL tlidi assist u% iii dLI ii'criiig) i iial serviLes.
Investment poliev and returns
Under the mem()randuin and aiticle% of association. the charity" has the power to make any investment
hich the tru%t¢es see fit.
Resen'es PoliLI"
"rhe trustecs rerain rcsLfvLS as iILcessarv and wh¢re dppropriale. consolidate funds in order to
enable tl)e Ll)c2rlt￿. io tncet fLiiur¢ neLds or io niake more substantial grants lihich they leel to be
appropriaii..
Responsibilities nf the Direetnrsfl'rustees
Compans l.aw requircs the directors to prepare linancial statements for each financial year which give
a true and fair I'le￿ c)f tlie slate of afiairs i)f tlie cliarily as dt tlie Balance sheet date. and of its
iiicomii)g resoLirics. iiicliidisig iiiLoin¢ dnd expenditure for the financial ycar.
In preparing thos¢ finanLial staiem¢iits, tli¢ Directorsrfruslees shoiild follow best practice and
Select suitable accc)untiiig i)uliciL's and apply them ¢onsistentl}'.
b. make.jiidgiiieiits aiid estiinalts that are r¢asoiiable <2nd prudcnl.
e. Folloi
ippl iLabl¢ <lLLouiiliiig sldiiddi'ds aiid the Charities SORP, disclosiiig and explaining
an) depanLirLs tlic liiiaiiLial slcllLITients.
d. PrepaiL the tiiianLial statLnieIits iiii ihe gjoing concern basis uttless it is inappropriate to
assume that the ¢l)aritv ill iontinue in operation.
The DirectnrslT'riistees are rLsponsible fur maintaining proper accounting records which
disclose ￿.1th rLa%i)nablL 1( cLiiraLy cil iii), tinit, the finanLial position of the charity and to enabl¢
them as Direct()rs1 I ruslees tc) L'iisurL' Ili¢ii Ihe tinancial statements ¢ompl)' with the Company Law.
The Directorsl'frustees are d150 respnnsible for safeguardii)g the charilv's asscts and hence for tsking
reasonable step% l()r the prei'Lntii)n aiid dcteciion nf fraiid aiid other re&7iilarities.
Appr(Ived b! I'he l)irectorsll ru5tees on 30 January 2075
C. BergF¢'r- TrLJSteLI Direcior

C and H Association Limited
C'ompan! limited by guarantee
riN,INL IAL STATEMENI S
FOR YI.-AR ENDED 31 MARCH 2024
Pag¢ 6
Independent F.xamiller's Report to the Trustees l Direetors
We report on tlie fiiiajicial stalements of Fiiiegrant Limited for th¢ year ei)ded 31 March 2024.
RespectiTr'e Respon%ibilit?£'s of Tru$tL'cs Examiner
The cl)arilv's IriisiL'L% are responsible for the pr¢paration of the acLounls. The charity's truqlees consider
thal ali audil is noi required f()r tliis Ne8r uiider s¢ition 144 of the Charities Ali 2011 {the Chariiies Act}
and tliat an indepLndint exaniinatioii is 1)cLded.
li is ni). responsibi lili to..
¢xaniiiie IhL' aci()uiitS Linder %¢Llioii 145 Ol-lhe Charities Acl,
to tollvii the pri)cL'dures laid dui¥'n in ihe general Direciions given b! the Charity Commission
{under seLti()n 145(5Mbl of ih¢ Chic riiils ALt. and
to state whether Pilrticiilar nicltlL'I's Ii£ll'e conie lo niv atteiition
Basis of Indepcndl'nt Examiner's Rei)i)rt
M) examination M as carried out iii aLcurddllLe w ith giLnenl Directions given bi, the Charity Comwnis5ion.
An examiiiation incliides a re%'lL.￿ ol'tliL a¢Loun(iiig) r¢¢ords kept b). Ihe charity and a comparison of tli¢
a¢¢ounts present¢d ii'itli tl)0s¢ rccL)rds. It alsv inLludes coiisideration of ans iiniisual items or disclosiireg
in ihe accoLilli%. and SLekiiiiT eXI)laii:ItiLlllb Ii-(Iiii tlie trustee% concerning anj. siich matter8. 'fhe procedlires
undcnakeii di) not provide all IliL ewidLii¥¥ tliat M ould he rcquired in an audit. and con%equcntl>' no opinion
1% giN'en a4 t() IicihLr tl)¢ aLcouiits pre%LlIt a 'irue ai)d fair and ihe report is limii¢d to those matters
set out in the siatemeiit beloNI.
In connection i¥'iih In￿ ex2￿ Illillatioi). nci iiiJiter hds Cotne to m), attention.
.liicli gi￿LS mc reasoiiabl¢ iaiise to beli¢ie Iliat in. an!. material respeil. thc requiremLnts'.
to keep ¢1ClOUlltlllbY reic)rds in a¥Loi'dai)ce w'ith 5cclion 130 of the Charities Act; and
to pr¢pare aLcount% wl)iLh accord i¥'iih IhL accounting records and comply with the accounting
requir¢iiienis of the CharitiLs Act
haN"e iiot been IllLt: oi.
2. to i%,hich. ii) niN upiiiion. attentioii %liciuld be dra¥¥'n in ()rd¢r to cnablc a proper understanding of the
acLOUI)ts to be reaLhid.
Roilif¢ld & Co
McdL<ir I li)us¢
149a %taiiitL)rd Hill
London N16 iL.L
Date 30101120?5

C and H A8sociation Limited
C ompany liniited by giuarantee
riNANC'IAL STATEMENTS
FOR YEAR F.NDED 31 MARCH 2024
Page 7
Statement of Financial Activities
Inc(Ime ai?d expei)diture a¢¢ount
For the Ycar ended 31 March 2024
Unrestricted
Unrestricted
INCOMING RESC)IIRCF.S
InLoine
34.044
18,060
34.044
18.060
OUTcoifiG RF.gOLIRCF.S
c.haritable expenditure
Grants made
Admini%traiion
(106,644)
(1.399)
(38,512)
17781
(108,043)
{39.290)
Net surplusl(deficil) funds for year
(73,999)
{21,230}
Funds brought fonY#nl
307,?69
328,499
Funds ¢aTried forward
233.?70
307.?69
Tl)ere were no othLr reCi)g￿nised giiins or li)55es

C and H Assoeiation Limited
Conipany limited b! guaranlee
I'INANLIAI. STATEMENTS
FOR I'F.AR b.NDED 31 MARCH 2024
Page 8
St41emenl of financial positio
At 31 March 2024
Unrestrieted
Unrestricted
2024
2024
2023
2023
Fixed Assets
Investments
580
580
580
580
Current Assets
Debt()rs
Cash at Bank ai)d in haiid
300.924
8.164
309.088
3011,924
17.715
318,639
Creditors
Aii)ounts du¢ i¥ iihin on¢ K'ear
(76.398)
111,9501
Net Current Asset.
232,690
306.689
Net A.4%et5
?33.270
307.269
-4Lcumulated Fullds
RestrictLd
UiirestriLted
233,?70
307.?69
307.269
In dpprovingi tl)¢se fiiiai)cial %laii'mciils s dirLClc)rs of the cotnpanv we l)ereb)' conlirm..
a. thai fnr IhL' N'ei£ r stated abc)VL tlie conipany was entitled io the exemption conferred by S¢¢tion 477 of the
Companies Act ?006
that no noiiLe Tria￿ been dcposiied at the registered office of the compai)y pursuant to Sectioi) 476
reque4tingT that cin audit bL L()noliictcd tor the j.ear ¢nd¢d 31 MarclTr )11?4: and
c. tliat w¢ aLkno￿.1￿dge Olir rc%pan%ibi lities lor..
ensuriiigy thcqt the compaiiv ki'¢p% accoiinting records M,hi¢h ¢ompl}' wilh S¢¢lion 386 . and
preparitig financial statements li hiLli ¥ii'e a true aiid fair i'iew of the state of affairs of the company as
ai ihc end of the finlln¢ial )car cliid of its profit or loss for ihe vcar theii ended in accordance wirh the
requirLinenii lil. %eLlii)n% 3(?4 aiid i95 aiid whiLh othcrwisc coinpl). with the provisions of the
Ccimpaiiie% Ali rel(Iiiiig til Iiiiaiiiial s¢atciiicnts. so tar as applicablL to the conipanl.
Thes¢ fiiiancial st<oicment% liai L, bLen pr¢parcd in accordance with tl)¢ pro￿ isions appli¢able to compaiiies
subjeLI to Ilie small L()mpai)ies' regIime.
Approved by the boclrd on 30 J#iiiiary ?11?5 lid gigned on b¢lialf of th¢ir b¢half by..
C B¢rger- DirectorlTru%tcc

C and H Asso¢iation Limited
C'c)mpan! limited by guarantee
flNAN'C'.IAL S IATEMENTS
FOR YEIIR ENDED J l MARCFI 2024
Pa8¢ 9
The notes on pages 9 and l O fonn Pdrt ot-the balance sheet
Notes To The Accounts
l) Principal Accountin% Policies
Basis of ALLOllI)Iii)
'IIL ALQOllllts liav¥ bLLli prepar¢d L111der tlie l)istori¥al c05t coi)iJenlion in acLordanLe with the
sl¢iieinL'nt ol. RLLiii7imei)dLxl PraLIi¢¢- rlLcouniiRgJ aiid r¢portingJ b>. Charities preparing their accounts
is) acLordanLL i¥'ith l.'RS' I O? 12U191 aiid iliL l. iiiaiicial r¢pc)rtii)gJ sthndard appli¢ablc in the Unit¢d
Kingidi)m lind Repiihlic ot Irelaiid (FR% I U?) aiid the C'harities ALt ?0 I I.
Incoming rLsoiirces
Ii)coming resour¢c.% are aLcoiintLd lui. upoi) rec¢ipl. excepl w'here it is proper to accrue.
2) Taxation
The Charitsble Compan>. is exempt from iaxation on its ¢haritsble activities.
The Companj is registercd i¥itli I IM Rev¢nue & Customs as a Charitable Companv.
3) Income
'I'li¥ total iuriiover i)f the compai)i. for the ￿edr has been derived from its principal activity wholly
undertaken in the UK.
2024
2023
Income
Grants aiid doiiations reCei￿ed
34,044
18.060
34.044
18.060
4) Grants
2024
2023
Donclti()n5 GiNeii
106.644
38.i12
106.644

and H As%ociation Limited
Ci)iiipany limiied by guarantee
FJNANCIAL STATEMF.NTS
FOR I'LAR LNDED 31 MARC H 20?4
Page 10
Notes I'O The Accounts (continued)
51 Administration
2024
2023
ALLouiitanLN fLes
Siindrv cxpeiises
750
649
750
28
1.399
778
6) Debiors
2024
2023
Loan Debii)r%
3￿.924
300.924
7) Creditors
2024
2023
Siindry. accruals
Loan crcditors
2.000
74.398
76.398
1,2iO
10.700
11,950
8) Related Parti" Transactions
The Loan Debtors (Note C)) are inlerest free loans to Compaies of which
oiie or InorL' ()f tlie Triisieets ()l-Ili C'liariti ar¢ also DireLlors