DAJTRAIN LIMITED

Registered charity 285513 · accounts filings on the Charity Commission register

Latest income
£749k
Latest spending
£760k
Registered
1982
Accounts read
FY2025

Financial health, per its FY2025 accounts

The accounts state that the charity reported a net deficit of £11,312 for the year ended 30 September 2025, resulting in total unrestricted reserves of £1,616,897. The trustees confirm that the financial position is satisfactory and that the present balance of distributable reserves is sufficient to support anticipated expenditure. The charity's principal funding sources were its investment portfolio and donations from related companies.

What the accounts disclose

Reserves policy: a level they consider appropriate to the charity's needs taking into account likely future requirements (held: £1.6m)
The Reserves Policy of the trustees is to maintain unrestricted funds, which are the free reserves of the charity, at a level they consider appropriate to the charity's needs taking into account likely future requirements. — page 4
Per its FY2025 accounts as filed with the Charity Commission.
Related-party transaction: Loan/Investment
Included within current asset investments is an amount of £1,500,000 (2024: £1,500,000) due from Sabreleague Limited, a company in which two of the trustees are directors. Interest of 8% per annum is charged on this balance. Included within debtors is an amount of £120,000 (2024: £120,000) due in respect of interest income. — page 15
During the period under review, donations of £609,100 (2024: £885,000) were received from companies under common control and directorship. Additionally, donations of £20,000 (2024:£nil) were received from a trustee of the charity. — page 15
Per its FY2025 accounts as filed with the Charity Commission.
Related-party transaction: Donations
Included within current asset investments is an amount of £1,500,000 (2024: £1,500,000) due from Sabreleague Limited, a company in which two of the trustees are directors. Interest of 8% per annum is charged on this balance. Included within debtors is an amount of £120,000 (2024: £120,000) due in respect of interest income. — page 15
During the period under review, donations of £609,100 (2024: £885,000) were received from companies under common control and directorship. Additionally, donations of £20,000 (2024:£nil) were received from a trustee of the charity. — page 15
Per its FY2025 accounts as filed with the Charity Commission.
Related-party transaction: Grants
Included within current asset investments is an amount of £1,500,000 (2024: £1,500,000) due from Sabreleague Limited, a company in which two of the trustees are directors. Interest of 8% per annum is charged on this balance. Included within debtors is an amount of £120,000 (2024: £120,000) due in respect of interest income. — page 15
During the period under review, donations of £609,100 (2024: £885,000) were received from companies under common control and directorship. Additionally, donations of £20,000 (2024:£nil) were received from a trustee of the charity. — page 15
Per its FY2025 accounts as filed with the Charity Commission.
Related-party transaction: Payments on behalf
Included within current asset investments is an amount of £1,500,000 (2024: £1,500,000) due from Sabreleague Limited, a company in which two of the trustees are directors. Interest of 8% per annum is charged on this balance. Included within debtors is an amount of £120,000 (2024: £120,000) due in respect of interest income. — page 15
During the period under review, donations of £609,100 (2024: £885,000) were received from companies under common control and directorship. Additionally, donations of £20,000 (2024:£nil) were received from a trustee of the charity. — page 15
Per its FY2025 accounts as filed with the Charity Commission.

Accounts independently examined (not a full audit).

Structured financials (annual return, FY ending 30/09/2025)

Total income
£749k
Total spending
£760k
Cost of raising funds
£312
Reserves (reported)
£1.6m
Employees
0

Reported reserves equal ~25.5 months of spending — in the top quarter for charities its size (median 5.2 months; benchmarks).

Trustees

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

Operates in: Throughout England And Wales

Income and spending

Financial year endIncomeSpending
30/09/2025£749k£760k
30/09/2024£1.0m£1.6m
30/09/2023£511k£537k
30/09/2022£1.4m£935k
30/09/2021£534k£370k

Common questions

Is DAJTRAIN LIMITED financially healthy?

The accounts state that the charity reported a net deficit of £11,312 for the year ended 30 September 2025, resulting in total unrestricted reserves of £1,616,897. The trustees confirm that the financial position is satisfactory and that the present balance of distributable reserves is sufficient to support anticipated expenditure. The charity's principal funding sources were its investment portfolio and donations from related companies. Its FY2025 accounts were independently examined.

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