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Company Limited by Guarantee |
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Company Limited by Guarantee |
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Financial Statements |
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Page |
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Trustees' annual report (incorporating the director's report) |
1 |
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Independent examiner's report to the trustees |
5 |
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Statement of financial activities (including income and expenditure account) |
7 |
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Statement of financial position |
8 |
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Statement of cash flows |
9 |
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Notes to the financial statements |
10 |
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Company Limited by Guarantee |
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Trustees' Annual Report (Incorporating the Director's Report) |
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Registered charity name |
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Charity registration number |
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Company registration number |
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Principal office and registered |
30 Plevna Crescent |
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office |
London |
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N15 6DN |
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Independent examiner |
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2nd Floor - Parkgates |
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Bury New Road |
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Prestwich |
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Manchester |
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M25 0TL |
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Trustee |
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Company Limited by Guarantee |
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Independent Examiner's Report to the Trustees of
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Company Limited by Guarantee |
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Statement of Financial Activities |
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(including income and expenditure account) |
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2025 |
2024 |
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Unrestricted funds |
Total funds |
Total funds |
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Note |
£ |
£ |
£ |
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Donations and legacies |
5 |
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Total income |
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Expenditure on charitable activities |
6,7 |
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Total expenditure |
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Net (expenditure)/income and net movement in funds |
(
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(
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Total funds brought forward |
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-------- |
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Total funds carried forward |
(
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(
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Company Limited by Guarantee |
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Statement of Financial Position |
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2025 |
2024 |
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Note |
£ |
£ |
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Debtors |
13 |
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Cash at bank and in hand |
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Creditors: amounts falling due within one year |
14 |
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Net current liabilities |
(
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Total assets less current liabilities |
(
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-------- |
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Net liabilities |
(
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Unrestricted funds |
(
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-------- |
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Total charity funds |
15 |
(
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Trustee |
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Company Limited by Guarantee |
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Statement of Cash Flows |
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2025 |
2024 |
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£ |
£ |
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Net (expenditure)/income |
(102,091) |
8,533 |
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Adjustments for: |
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Accrued expenses/(income) |
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(
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Changes in: |
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Trade and other debtors |
(
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(
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Trade and other creditors |
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– |
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Cash generated from operations |
(
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Net cash (used in)/from operating activities |
(
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Net (decrease)/increase in cash and cash equivalents |
(
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Cash and cash equivalents at beginning of year |
16,091 |
11,532 |
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Cash and cash equivalents at end of year |
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Company Limited by Guarantee |
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Notes to the Financial Statements |
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Unrestricted Funds |
Total Funds 2025 |
Unrestricted Funds |
Total Funds 2024 |
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£ |
£ |
£ |
£ |
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Donations |
501,847 |
501,847 |
23,260 |
23,260 |
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Unrestricted Funds |
Total Funds 2025 |
Unrestricted Funds |
Total Funds 2024 |
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£ |
£ |
£ |
£ |
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Charitable Grants |
599,410 |
599,410 |
13,872 |
13,872 |
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Support costs |
4,528 |
4,528 |
855 |
855 |
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Grant funding of activities |
Support costs |
Total funds 2025 |
Total fund 2024 |
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£ |
£ |
£ |
£ |
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Charitable Grants |
599,410 |
3,329 |
602,739 |
14,126 |
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Governance costs |
– |
1,199 |
1,199 |
601 |
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Analysis of support costs activity 1 |
Total 2025 |
Total 2024 |
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£ |
£ |
£ |
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General office |
3,329 |
3,329 |
254 |
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Governance costs |
1,199 |
1,199 |
601 |
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4,528 |
4,528 |
855 |
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2025 |
2024 |
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£ |
£ |
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Chasdai Yitzchak |
113,888 |
– |
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Friends Of Tiferes Beis Viznitz |
64,432 |
– |
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grants under £10,000 |
40,976 |
– |
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Kehila Kadisha Pramishlan |
51,794 |
– |
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Keren Or Lemishpacha |
24,893 |
– |
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Kupat Hamalchis |
12,946 |
– |
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Merkaz Hasideiy Viznitz Mosdot Yeshuot Moshe |
202,397 |
– |
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--------- |
---- |
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– |
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Religious grants |
– |
3,780 |
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Relief Of Poverty Grants |
88,084 |
10,092 |
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Total grants |
599,410 |
13,872 |
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2025 |
2024 |
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£ |
£ |
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Independent examination of the financial statements |
1,200 |
– |
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------- |
---- |
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2025 |
2024 |
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£ |
£ |
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Other debtors |
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-------- |
------- |
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2025 |
2024 |
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£ |
£ |
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Accruals and deferred income |
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Other creditors |
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At 1 September 2024 |
Income |
Expenditure |
At 31 August 2025 |
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£ |
£ |
£ |
£ |
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General funds |
12,862 |
501,847 |
(603,938) |
(89,229) |
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At 1 September 2023 |
Income |
Expenditure |
At 31 August 2024 |
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£ |
£ |
£ |
£ |
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General funds |
4,329 |
23,260 |
(14,727) |
12,862 |
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Unrestricted Funds |
Total Funds 2025 |
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£ |
£ |
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Current assets |
31,071 |
31,071 |
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Creditors less than 1 year |
(120,300) |
(120,300) |
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Net liabilities |
(89,229) |
(89,229) |
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Unrestricted Funds |
Total Funds 2024 |
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£ |
£ |
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Current assets |
18,462 |
18,462 |
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Creditors less than 1 year |
(5,600) |
(5,600) |
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-------- |
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Net liabilities |
12,862 |
12,862 |
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-------- |
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At 1 Sep 2024 |
Cash flows |
At 31 Aug 2025 |
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£ |
£ |
£ |
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Cash at bank and in hand |
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(12,020) |
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-------- |
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