Rewed Number 326164
TEN CHARITABLE TRUST
Financial Statement
For the year ended 31 March 2024
SEFfoN YODAIKEN & CO
FaiEW&yS House
M25 9WS

•Ten awitsbk Tn￿.
Annual Report
For the year ended 31: MaTch 2024
The Ten Chritsble TTh￿t is constituted by Deed of Tnjst and is a registered charty, nvmber
32616Q Its ad&ess is at 27 Waterpark Road Salford M7 4Fr.
. Mf. Mordecai Halpertt
Mt. Sllmuel Halpern
The object of the charity is to F)rovide &ssistance:
To relieve povety;
To 5UpF￿.eduCati0￿ estsblishnients;
To supportqeligio
The administration of.the trust is carrieLt out by the Trustees.
The of the eharity is.reLEwed..by way of Gift Ai4 doliations, iftteres¢ renL
The Trustees examine allgrattt applicatsoths and they decide on the level 0£ grant ID Ee made
Risk Review
The trustees have assessed the major Tisks to which the charity is exp05e(L in paTtscular
those related to the operationg and finance of the charity, and are satisfied that Systems are
in Pla.￿ to mttigatp thL)se Tisks
The ch"atity is ftthded by d.onations and'also from investment incorne. The tharity gives o
grants ity line with th.e above objectives and in accordance with the chatities grant n)akng
po]icy. The trustees (onfirni their compliance with the duty to have due regard to the public
benefit guidance published by the Charity Commi￿on wlEn reviewing the eliarity.'s ain
Page I

•T•TCharitable Tnist•
Tntstees Report
For the year ended 31 Mareh 2024
Achi&vethents artd Perfonkiance
The cknity re￿iVed £SO,(M￿ in donations during. the year. Grants given durin8 the year
totalled £634A65. The 8rants were all in accordanLE the charities obiectsves
knvestment Powers al￿ Polky
In accordance with the trust deed. the charity has power to make any investll￿nts which the
trustses see fit. The trustee5 Rgularty review the charAtys ￿ltiOn and needs in respttt of
the investftiellt policy.
Reserves Pollcy
It is the policy of tlE charity ID rnaintsin unrestricted funds, which are free resefves of the
charity at ? level which the trustees think appropriate after cottsidering the futute
coiniilltments of the chan-ty and lthdy costs of the charity for the next year.
Mt.M
Trustee
For and,signed on ￿halfvE the BoaTd of Tn￿lee&
12 DeCeM￿r 2024
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•Ten awitable Tru8t•
Independent£xamknrfs Reporf to the Trn&tee8
For The Year Ended 31 March 2024
We report on Ibe aecounts of the Tntst for the year ended 31 MaTdL %)24 whith are set ottt
on pages 4 to 5.
Resii'ective responsibl￿fie￿or tru8tee& and exathet
As the charl￿$. tn￿tee$ you are responstt>le for the preparation. of the ￿counts. You
consider that the audit requirement of section 144 0£ the awities Act 2011 (the Act) does
not apply. It is my respon￿& bility tt) state, oft the basis of P￿￿edureS specified in the General
Directsons given by the awity Comrriwoners undet ￿tIOn 145(5)(b) of the ACL whether
partscular matters have come lo my alteatio
Basis ot independent exammerf8 report
My examination was carried out in accordance with the General: Directions given by the
aTity ComrnissionÉ"rs. An examination mdudes a review of the accouiiting records: kept
by the charity and a comparison of the accounts presented with those records. It a]80
includes cortsitleration of any Uftu￿ items or di￿10S￿reS in the accounts, and Seeking
do not provide altthe evidence that.would be required in an audi¢ and c(yiweAtty do not
ss an aodti opinion on the view given by the
cortrtection with Yny exarn1natto￿ no mat*r has. come to my attetitio
(l) W&ich gives me reasonable cause to beliève that in arty material Tespett the
keep &ccounting rewrds in accOrdart￿ with secflon 130 of the Act. and
(14 to prepate accounfs whxch accord with the accowiting records and to comply
with the accounting requirement of the Act
have not Iren Met ot
(2. ) to whiÈl¥ in my Opinio￿ attention should be drawn in order to enable. a PToper
uThderstandmg of the accounts to be read￿1.
12 December 2024
Fairways House
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Ten Charitable Trust•
Statement of Financial Activities
For the y&ir ended 31 March 2024
2024
Volunfary Itkctyn
lttvestmait income
36J)(X)
322J88
413,723
1,173
359￿41
Charitable disthtio
G0vetnail￿ costs
313,982
19AXM
so￿01
59531
Total resources expeiided
6%A145
383,487
Net deficif for the year
Suq)lus &/F
(209,615)
(23,646)
3M3,164
Syrplus C/F
SA)99,￿
3J09,518

•Ten Charitable Trust.
Balaft￿ Sheet
As at 31 March 2024
Flxed,asyeEs
Tangible fixed assets
1.968W6
1,968ANS
Debtors
Cash at bank
1,1%875
117,1
IA89,Y36
(25.707)
157,434)
125£614
IA64229
3213220
3A32,835
3￿32￿35
°Approved by the ttl￿tees on 12 Decem￿ 2024 and Si￿ed on their behalf
Mr M Halpern
Trustee
* * ¥ •
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•Ten Charitable Trust.
Notes to the Finaiicial Statements
tror the year ended 31 March 2024
l. knounthig Poliae&
by charlties (SORP 21M)5) issued in Marth 2￿5 and the (Jw1￿ Act 2011.
3)24
2023
Donations te￿yea
21534
n534
36AXXI
2024
413.715
Ban1< and other interest
3W88
413.723
322J88
4. Governance costs
2024
2013
I￿50
3n
17283
419
72gal and professional
19m4
2023
Insurall￿, hEat arnl ]i8ht
(1.122)
18,060
31659
Repairs arfdd¢aning
Telepthone and 4nler
3B.114
313
8,744
32
457
Sutidry
59531
50,51n

•TenCharitable Trust.
Notes to the Finaneral Staternet
For the year ended 31 M￿ch 2024
6. Tan8ibl¢ Flxed A8aet8 - Freehold Propaty
2024
B/F &C/F
1,968h06
7. DebtOZ8
2024
Trade debtors
ah debtors
123295
IJ06J14
I,IW75
.IA29,609
2024
Trade creditors
Rental deposits
iJ96
I9￿99
35,189
676
Othet £reditors
25,707
9. Unknicted ReBerve
2023
Setded ￿nd
CaÈital accounts
10
IZ43
3m9,91k3
10
123J07
3,309M,8
3213220
3,432A35
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