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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