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2022-03-31-accounts

Page
Trustees
Annual
Report
Independent Examiners' Report
Statement of Financial
Activities
Balance Sheet 10
Statement of Cash Flows
Notes to the Financial Statements 12

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2022 2021
Total Total
E E
32 872 27 560
Operating
s
urplus
The operating surplus Is arrived at after charging:
2022 2021
Total Total
f
Depreciation —Owned Assets 2,585 2,551
Accountancy Fees —Independent Examination 781 9].5
Accountancy Fees —Payroll Fees 310 322
3 676 3 788

Cattery
Cages and
Equipment
Air
Condition
Unit
Air
Condition
Unit
Sundry
Equipment
Sundry
Equipment
Motor
Vehicles
Total
E E
Cost
At Ol April 2021 29,084 17,165 12,309 58,558
Additions 4,560 4,560
Disposals
At 31 March 2022 29,084 4,560 17 165 12,309 63 118
Depreciation
At 01 April 2021 22,374 13,717 10,362 46,453
Charge for the 671 912 515 487 2,585
year
On Disposals
At 31 March 2022 23 045 912 14,232 10,849 49 038
Net BookValue
At 31 March 2021 6,710 3 448 1,947 12,105
At 31 March 2022 6 039 3,648 2 931 1,460 14079

ebtors
2022 2021
Total Total
Debtor —GIR Aid 5,692 506
HMRC Reclaimable VAT 23,869 13,371
Accrued Income
Prepayments 7 500 7 000
37 061 20 877

reditors : Am ounts
falling due
within one y ear
2022 2021
Total Total
Trade Creditors 14,028 3,338
Payroll Taxes 586 543
Pensions 80 39
Accruals and Deferred Income 870 910
15562 4 830
Accumul ate d funds
2022 2022 2022 2021
Unrestricted Restricted Total Total
funds funds funds Funds
E f
Balance at 01 April 2021 97,691 10,270 107,961 41,586
Movement in funds for the year 12889 1339 14228 66 375
Balance at 31 March 2022 84 802 8931 93733 107961

nalysis of net assets bet ween
funds
2022 2022 2022 2021
Unrestricted Restricted Total Total
funds funds Funds Funds
E E
Tangible Fixed Assets 6,589 7,491 14,080 12,105
Current Assets 93,777 1,440 95,217 100,686
Current Liabilities (15,564) (15,564) (4,830)
Non-Current Liabilities
84,802 8,931 93,733 107,961

Balance Movement Movement in Resources in Resources Balance
at at
01/04/21 Incoming Outgoing Asset Transfers 31/03/22
Depreciation
jean Sainsbury
Tl ust: 1,747 (175) ].,572
Pets at Home 2,523 (252) 2 271
The Petplan
Charitable Trust 6000 912 5 088
10270 1339 8931