THE TAJTELBAUM CHARITABLE TRUST
The charity's activities consist of the payment & application of its income in the advancement of the Orthodox Jewish religion & the relief of poverty & sickness.
Financial health, per its FY2025 accounts
The accounts state that the charity holds unrestricted free reserves of £7,404,623, which the trustees consider sufficient to support anticipated expenditure. The charity reported a net movement in funds of £(355,193) for the year, primarily driven by a £690,000 loss on the revaluation of investment properties. Despite this loss, the charity remains solvent with no long-term creditors and adequate cash reserves.
What the accounts disclose
“It is the policy of the charity to maintain unrestricted funds, which are the free reserves of the charity, at a level which the trustees think appropriate after considering the future commitments of the charity and the likely future administrative costs of the charity.” — page 4
“All donations received amounting to £145,356 (2024- £377,907) were from related parties.” — page 21
“Donations amounting to £363,108 (2024- £375,496) were paid to related charities.” — page 21
“All donations received amounting to £145,356 (2024- £377,907) were from related parties.” — page 21
“Donations amounting to £363,108 (2024- £375,496) were paid to related charities.” — page 21
“All donations received amounting to £145,356 (2024- £377,907) were from related parties.” — page 21
“Donations amounting to £363,108 (2024- £375,496) were paid to related charities.” — page 21
Structured financials (annual return, FY ending 05/04/2025)
Trustees
- EMANUEL TAJTELBAUM
- Hannah Prager
- Mordechai Kahn
- Shoshana Tajtelbaum
Income and spending
| Financial year end | Income | Spending |
|---|---|---|
| 05/04/2025 | £580k | £617k |
| 05/04/2024 | £770k | £619k |
| 05/04/2023 | £661k | £676k |
| 05/04/2022 | £675k | £642k |
| 05/04/2021 | £491k | £460k |
Common questions
Is THE TAJTELBAUM CHARITABLE TRUST financially healthy?
Per its FY2025 accounts: The accounts state that the charity holds unrestricted free reserves of £7,404,623, which the trustees consider sufficient to support anticipated expenditure. The charity reported a net movement in funds of £(355,193) for the year, primarily driven by a £690,000 loss on the revaluation of investment properties. Despite this loss, the charity remains solvent with no long-term creditors and adequate cash reserves. Its FY2025 accounts were audited by Harold Everett Wreford LLP.
Funders of similar charities
| Funder | Similar charities funded | Amount to them |
|---|---|---|
| KEREN ASSOCIATION LIMITED | 1 | £188k |
| TRUMROS LIMITED | 1 | £161k |
| BEAULAND LIMITED | 1 | £107k |
| CARLEE LTD | 1 | £50k |
| SIVA CHARITABLE FUND | 1 | £33k |
| EMES FOUNDATION | 1 | £24k |
| AHAVAS SHALOM TRUST | 1 | £7k |
| GEFEN FOUNDATION | 1 | £0 |
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- DEBMAR BENEVOLENT TRUST LIMITED
- YEMIN CHARITABLE TRUST LTD
- LINGATE CHARITABLE TRUST
- TEGHAM LIMITED
- SANBRI LTD
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Side by side with its peers
| Charity | Income | Top pay band | Staff >£60k | Reserves vs policy | Fundraising cost | Going concern |
|---|---|---|---|---|---|---|
| THE TAJTELBAUM CHARITABLE TRUST | £580k | — | 0 | above | — | no doubt |
| DEBMAR BENEVOLENT TRUST LIMITED | £396k | — | 0 | within | — | no doubt |
| YEMIN CHARITABLE TRUST LTD | £1.7m | — | 0 | unclear | — | no doubt |
| LINGATE CHARITABLE TRUST | £122k | — | 0 | unclear | — | no doubt |
| TEGHAM LIMITED | £395k | — | 0 | unclear | — | no doubt |
| SANBRI LTD | £2.9m | — | 0 | unclear | — | no doubt |