OpenCharities

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2023-03-31-accounts

HAPPY DOGS

FINANCIAL STATEMENTS FOR THE PERIOD 1ST APRIL 2022 TO 31ST MARCH 2023

INCOME
Donations
Sponsorship
TOTAL
EXPENDITURE
Veterinary Costs
Insurances & Licences
Rent
Website & Internet
Donations to other charities
Legal Fees
TOTAL
Net Surplus/(Deficit)
Bank Interest Received
Surplus/(Deficit) for the Year after bank interest
2022
£
284
36
£320
11,949
559
23
52
0
480
£13,063
(£12,743)
25
(£12,718)
2023
£
109,640
18
£109,658
9,221
559
0
52
129,107
0
£138,939
(£29,281)
467
(£28,814)

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HAPPY DOGS

BALANCE SHEET AS AT 31st March 2023

FIXED ASSETS
Tangible Assets
Note 3
CURRENT ASSETS
Current Account
Deposit Accounts
Debtors
CURRENT LIABILITIES
Creditors
NET CURRENT ASSETS
TOTAL NET ASSETS
FINANCED BY
Reserves Brought Forward
(Surplus)/Deficit for the Year
Signed on behalf of the Trustees:
L Betteridge
Trustee
2022
£
0
45,985
245,956
0
291,942
0
0
291,942
£291,942
304,660
(12,718)
£291,942
Dated:
2023
£
0
16,704
246,423
0
263,127
0
0
263,127
£263,127
291,942
(28,814)
£263,127
30/09/2023

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