OPEN DOOR SOCIETY LIMITED

Registered charity 1142853 · accounts filings on the Charity Commission register

Latest income
£1.9m
Latest spending
£1.9m
Registered
2011
Accounts read
FY2024

Financial health, per its FY2024 accounts

The accounts state that unrestricted reserves of £64,168 are maintained in line with the trustees' policy of holding three to six months of expenditure. The charity reported a surplus of £60,212 for the period, supported by a significant increase in donation income to £1,474,704. The auditor confirmed that there are no material uncertainties regarding the charity's ability to continue as a going concern.

What the accounts disclose

Reserves policy: three and six month’s expenditure (held: £64k)
It is the policy of the Charity that unrestricted funds which have not been designated for a specific use should be maintained at a level equivalent to between three and six month’s expenditure. — page 4
Per its FY2024 accounts as filed with the Charity Commission.
Related-party transaction: Desk Ease Ltd
Desk Ease Ltd Education assistance (charitable activity): £125,850
Net Go Services Ltd Rent expense: £23,400 Staff training: £7,450 Office equipment and software rental: £6,400 General office expenses: £7,700 Consultancy services: £2,700
Per its FY2024 accounts as filed with the Charity Commission.
Related-party transaction: Net Go Services Ltd
Desk Ease Ltd Education assistance (charitable activity): £125,850
Net Go Services Ltd Rent expense: £23,400 Staff training: £7,450 Office equipment and software rental: £6,400 General office expenses: £7,700 Consultancy services: £2,700
Per its FY2024 accounts as filed with the Charity Commission.

Accounts audited by Glazers.

Structured financials (annual return, FY ending 31/05/2025)

Total income
£1.9m
Total spending
£1.9m
Cost of raising funds
£121k
Reserves (reported)
£66k
Employees
0

Reported reserves equal ~0.4 months of spending — in the bottom quarter for charities its size (median 4.8 months; benchmarks).

Trustees

Trustee list from the Charity Commission register (current, not historical).

Operates in: Barnet · Hackney · Haringey · Israel · United States

Income and spending

Financial year endIncomeSpending
31/05/2025£1.9m£1.9m
31/05/2024£1.5m£1.4m
30/04/2023£103k£99k
30/04/2022£0£0
30/04/2021£20k£14k

Common questions

Is OPEN DOOR SOCIETY LIMITED financially healthy?

The accounts state that unrestricted reserves of £64,168 are maintained in line with the trustees' policy of holding three to six months of expenditure. The charity reported a surplus of £60,212 for the period, supported by a significant increase in donation income to £1,474,704. The auditor confirmed that there are no material uncertainties regarding the charity's ability to continue as a going concern. Its FY2024 accounts were audited by Glazers.

Who funds OPEN DOOR SOCIETY LIMITED?

Funders whose own accounts filings name OPEN DOOR SOCIETY LIMITED as a grant recipient include HOLMFIELD CHARITABLE TRUST, CML - CHEVRAS MO'OZ LADOL, THE HOLDEN CHARITABLE TRUST, EZRAS YOEL, SHAAREI RACHAMIM LIMITED.

Known funders

Grants to this charity found in funders’ own accounts filings.

Funders of similar charities

Funders whose accounts show grants to charities similar to this one (and no recorded grant to this charity) — a starting list for fundraisers.

FunderSimilar charities fundedAmount to them
THE JD FOUNDATION1£561k
BEIS MENACHEM CHABAD LUBAVITCH1£102k
YESHIVAS LUBAVITCH MANCHESTER1£20k
SABENO LIMITED1£10k

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