CARLEE LTD

Registered charity 282873 · accounts filings on the Charity Commission register

The principal activity of the company in the year under review was that of a charity company making distributions for Jewish charitable purposes in the advancement of religion and the relief of needy persons, such as Talmudical Scholars, widows and their families.

Causes: Education/training · The Prevention Or Relief Of Poverty · Religious Activities · Grant history (this charity is a funder) · Get email alerts

Latest income
£785k
Latest spending
£1.2m
Registered
1981
Accounts read
FY2025

Financial health, per its FY2025 accounts

The accounts state that the charity reported a net expenditure of £385,879 for the year, resulting in a decrease in total unrestricted funds from £1,466,915 to £1,081,036. The trustees confirm the use of the going concern basis, stating they are confident the charity has adequate resources to continue into the foreseeable future.

Automated summary of the FY2025 accounts; the evidenced findings below carry the verbatim passages.

What the accounts disclose

Reserves policy: to ensure that there is sufficient stream of income to meet the ongoing calls made on the charity. (held: £1.1m)
“The reserves policy is to ensure that there is sufficient stream of income to meet the ongoing calls made on the charity.” — page 4
Per its FY2025 accounts as filed with the Charity Commission.
Related-party transaction: Sale of subsidiary shares to Investwell Estates Ltd
“The charity sold the entire share capital of Elmers End Estates Ltd, North End Estates Ltd and Heath Road Estates Ltd to Investwell Estates Ltd for fair market value.” — page 18
“Other creditor includes amount payable to the subsidiaries and other entities connected to the trustees.” — page 16
Per its FY2025 accounts as filed with the Charity Commission.
Related-party transaction: Amounts payable to subsidiaries and entities connected to trustees
“The charity sold the entire share capital of Elmers End Estates Ltd, North End Estates Ltd and Heath Road Estates Ltd to Investwell Estates Ltd for fair market value.” — page 18
“Other creditor includes amount payable to the subsidiaries and other entities connected to the trustees.” — page 16
Per its FY2025 accounts as filed with the Charity Commission.
Trading subsidiary: Elmers End Estates Ltd, North End Estates Ltd, Heath Road Estates Ltd
“The charity sold the entire share capital of Elmers End Estates Ltd, North End Estates Ltd and Heath Road Estates Ltd to Investwell Estates Ltd for fair market value.” — page 18
Per its FY2025 accounts as filed with the Charity Commission.

Accounts independently examined (not a full audit). Discloses 4 of 6 completeness components.

Corporate structure

ELMERS END ESTATES LTD — per its own Companies House accounts
  • Debtors: Amounts owed by group undertakings were £374,620 (2024: £94,000).
HEATH ROAD ESTATES LTD — per its own Companies House accounts
  • Profit before tax: £-190k
  • Amounts owed by group undertakings: £203,028 (Debtors); Amounts owed to group undertakings: £332,143 (Creditors)
NORTH END ESTATES LTD — per its own Companies House accounts
  • Amounts owed to group undertakings 1,500

Company officers (Companies House)

Current officers of the charity’s own company per the Companies House register, cross-checked against the Charity Commission trustee list by name. A director not on the trustee list is usually a timing or naming difference between the two registers — check both records before drawing conclusions.

Official officers record.

Property (HM Land Registry)

4 registered titles in England and Wales held by the charity’s company or corporate body (4 freehold); recorded price paid £3.8m. All charity-held property. Contains HM Land Registry data © Crown copyright, OGL v3.0.

Structured financials (annual return, FY ending 31/03/2025)

Total income
£785k
Total spending
£1.2m
Reserves (reported)
£1.0m
Employees
0

Reported reserves equal ~10.0 months of spending — above the median for charities its size (median 5.2 months; benchmarks).

Per its annual return, largest income source: Donations and legacies (90% of income) — components as reported reconcile to the return’s total income; not from the accounts narrative.

Per its annual return, cost of raising funds: 0.0% of total income — below the median for charities its size (4.9%) (benchmarks).

Trustees · trustee networks

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

Operates in: Throughout England And Wales

Income and spending

Financial year endIncomeSpending
31/03/2025£785k£1.2m
31/03/2024£285k£574k
31/03/2023£566k£1.7m
31/03/2022£506k£484k
31/03/2021£459k£439k

Common questions

Is CARLEE LTD financially healthy?

Per its FY2025 accounts: The accounts state that the charity reported a net expenditure of £385,879 for the year, resulting in a decrease in total unrestricted funds from £1,466,915 to £1,081,036. The trustees confirm the use of the going concern basis, stating they are confident the charity has adequate resources to continue into the foreseeable future. Its FY2025 accounts were independently examined.

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.

Charities like this

Semantically similar by activities and financial character, from our analysed corpus. Compare with UTRY.

Side by side with its peers

CharityIncomeTop pay bandStaff >£60kReserves vs policyFundraising costGoing concern
CARLEE LTD£785k—0unclear—no doubt
UTRY FY2025£998k—0unclear—no doubt
YAD VEACHISOMOCH L'CHAIM FY2025£834k—0unclear—no doubt
KOLEL BYS SHLOME ARYE TRUST FY2025£857k—0unclear—no doubt
CLYMER FY2025£197k—0unclear—no doubt
BC TRUST FY2025£2.9m—0unclear—no doubt

Each row is that charity’s latest analysed filing; every value is quote-backed on its own page.