CARLEE LTD
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.
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.
Corporate structure
- Registered company of the charity Companies House 01547535
- Trading subsidiary: ELMERS END ESTATES LTD Companies House 11349594
- Trading subsidiary: HEATH ROAD ESTATES LTD Companies House 11349840
- Trading subsidiary: NORTH END ESTATES LTD Companies House 11349865
Structured financials (annual return, FY ending 31/03/2025)
Total income
£785k
Total spending
£1.2m
Reserves (reported)
£1.0m
Employees
0
Trustees
- ALEXANDER SOLOMON SINGERchair
- BERNARD DOV STROH
- EPHRAIM BLEIER
- ESTHER KAHN
Income and spending
| Financial year end | Income | Spending |
|---|---|---|
| 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?
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
| Funder | Similar charities funded | Amount to them |
|---|---|---|
| KEREN ASSOCIATION LIMITED | 1 | £188k |
| BEIS MENACHEM CHABAD LUBAVITCH | 1 | £102k |
| SIVA CHARITABLE FUND | 1 | £23k |
| CML - CHEVRAS MO'OZ LADOL | 1 | £21k |
| YESHIVAS LUBAVITCH MANCHESTER | 1 | £20k |
| THE ELIEZER FOUNDATION | 1 | £10k |