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2025-03-31-accounts

Oldham Cats

Toynton Villa Cattery Saxon Street Manchester M24 2AD

Financial Statements

for the

12 Month Period Ending 31 March 2025

Bank House, 71 Dale Street, Milnrow, Rochdale, Lancashire, OL16 3NJ Tel (01706) 868 868 Fax (01706) 868 830

Oldham Cats

12 Month Period Ending 31 March 2025

Contents for the financial statements

Page
General information 3
Accountants report 4
Income and Expenditure 5
Balance Sheet 6
Notes to the accounts 7

2

Oldham Cats

12 Month Period Ending 31 March 2025

General information

Registered Office

Telephone

Web site

Email

Charity No.

Trustees

Accountants

Toynton Villa Cattery Saxon Street Middleton Greater Manchester M24 2AD

0161 653 6530

www.oldhamcats.co.uk

faye@oldhamcats.co.uk oldhamcatsrescue@outlook.com 1058621

Faye Kennerley Samantha Fahmy Davina Hanes Sarah Collins Abigail Rusell Deborah Khan Rosemary Killough Marcia Watson Carolyn Legate Joan Anne Mills Helen Haigh

Shaw Mitchell Bank House 71 Dale Street Rochdale Lancashire OL16 3NJ

3

Accountants Certificate

In accordance with instructions given to us, we have prepared the enclosed accounts from the books, records, vouchers and explanations supplied to us, and we certify that in our opinion they are properly drawn up so as to exhibit

a true and fair view of the state of affairs of the business.

Shaw Mitchell & Co Bank House 71 Dale Street Milnrow Rochdale Lancs OL16 3NJ

Oldham Cats

Income & Expenditure Account for the

12 Month Period Ending 31 March 2025

Income
Donations and shop sales
Legacies
Grants
Bank interest
Expenditure
Fund raising expenses
Pet products
Vet fees
Volunteer welfare
Premises costs
Repairs
General insurance
Telephone
Printing & stationary
Member, subs & ref materials
Travel expenses
Advertising and entertaining
Legal and professional costs
Other expenses
Financial charges
Depreciation
Surplus for period
110,283
62,340
142
172,765
738
24,784
39,582
385
10,654
1,780
1,942
610
897
169
2,750
852
8,382
1,473
3,964
98,961
73,804
Unrestricted funds
2025
Unrestricted funds
2024
Unrestricted funds
2024
111,774
48,173
138
160,085
23,506
37,638
256
10,548
1,883
1,894
977
286
35
3,181
420
8,939
1,813
4,458
95,835
64,250

5

Oldham Cats

Balance Sheet for the

12 Month Period Ending 31 March 2025

Notes 2025 2024
Fixed Assets 1
Fixtures & fittings 2,913 4
Office equipment 117 2
Motor vehicles 2,764 5,973
5,794 5,979
Current Assets
Bank and cash in hand 234,154 160,153
Current Liabilities
Creditors and accruals 432 420
Other creditors
432 420
Net Current Assets 233,722 159,733
Long-Term Liabilities - -
Net Business Assets 239,516 165,712
Financed By
Capital account brought forward 165,712 101,462
Surplus / (deficit) for the period 73,804 64,250
239,516 165,712

6

Oldham Cats

12 Month Period Ending 31 March 2025

Notes to the financial statements

1- Fixed assets

Cost
At 1st April 2023
Additions
Disposals
At 31st March 2024
Depreciation
At 1st April 2023
Charge for period
On disposals
At 31st March 2024
Net Book Values
At 31st March 2024
At 31st March 2023
Fixtures &
Fittings
35,771
3,779
39,550
35,767
870
36,637
2,913
4
Office
equipment
1,966
147
2,113
1,964
33
1,997
116
2
Motor
vehicles
22,652
22,652
16,679
3,208
19,887
2,765
5,973
Total
60,389
3,926
64,315
54,410
4,111
58,521
5,794
5,979

7