Beit Rehovot Messianic Synagogue
Scottish Charity Number SCO38529
Trustees' Annual Report for the Year Ending 30.09.25
Current Trustees
Mrs Julie Chalmers Mrs Heather Beattie Rabbi Dr Ruth Fleischer
Other Trustees during this year
None
Contact Address
15 Larch Place Greenhills East Kilbride G75 9HQ
Recruitment and Appointment of Trustees
The Trustees were those appointed by the Charity and represent the minimum required.
Appointment and removal is approved by unanimous agreement of the existing trustees.
Governing Document
Beit Rehovot was recognised as a Scottish Charity with effect from the 03.03.07.
Charitable Purpose
The purpose of the Charity is the advancement of religion and the humanitarian work of Judaism across the world by prayer, encouragement and financial support as is appropriate.
Activities and Achievements
Weekly Shabbat Services, Bible Studies, collection of voluntary funds in support of humanitarian work. Promoting positive contact between Jews and Gentiles.
Beit Rehovot celebrates all Jewish Festivals and feasts and continues to provide regular studies and services for the community.
Trustees and Remuneration Expenses
The trustees did not receive any remuneration, or expenses.
As at the 30.09.25 Beit Rehovot has a financial balance of 22,807.87 which has not yet been utilised.
Approved by the trustees and signed on their behalf
Julie Chalmers
Julie Chalmers
Leadership Committee
Beit Rehovot Messianic Synagogue
Scottish Charity Number SCO38529
Receipts and Payments for the Year Ending 30.09.25 (comparative year 30.09.24)
| Total YE 2025 | Total YE 2024 | |||
|---|---|---|---|---|
| Receipts Ending 30 September 2025 | ||||
| Tithes and Offerings | 10,473.66 | 10,285.98 | ||
| Donations | 8,250.00 | 7,650.00 | ||
| Gift Aid | 4,619.21 | - | ||
| Total Receipts | 23,342.87 | 17,935.98 | ||
| Payments | ||||
| Salary | 15,600.00 | 14,600.00 | ||
| Hire of Hall | 420.75 | 1,301.85 | ||
| Conference Fee | 190.00 | 200.00 | ||
| Total Payments | 16,210.75 | 16,601.85 | ||
| Surplus | 7,132.12 | 1,334.13 | ||
| Net Movement of Funds | 7,132.12 | |||
| Balance at 30.09.24 | Receipts | Payments | Surplus | Balance at 30.09.25 |
| 15,675.75 | 23,342.87 | 16,210.75 | 7,132.12 | 22,807.87 |