Rotherham Dog Rescue
Financial Statements for the year
Ending 31" December 2022
Charity registration Number 1092771

Rotherham Dog Rescue
Contents
Page
Organisational delails
Tn￿l¢eS Report
Independent Examiners Rcport
Income and Expenditure
Statement of Assets and Liabilities

Organisational Details
Name of Clwity
Rotherham Dog Rcscue
Registered CRwity No:
1092771
Tre&8urcr:
Ann Diaz
SecTetary.'
Ann Diaz
Trustees:
Ann Diaz
Lisa Park
R¢gisteT¢d Address:
36 Paddock Drive
Sunnyside
Rotherham S66 3ZE
Bankers:
Lloyds TSB
9 Wellgate
Rotherham
South Yorkshire
S60 2LU
Independent Examiner
Lorien Bookkeeping and
Accountancy Services
Westficld Road
Rotherham
South Yorkshire
S62 6HD
Page I

Rotherbam Dog Rescue
TnLStees Report for the year ending 31" DecembeT 2022
The trustees present their report and Independent ExaMi￿tion of the fuwicial statements for
the year ending 31" December 2022
Objectives
The cFwily alD￿ to provide ¢aTe aTNJ sancw for rescued dogs in the I(￿81 are& It also
endeavours to re-home abandoned and unwanted dogs.
Achievements and Pcrforniance
Rotherham Dog Rescue's ciymmitment to helping dogs out of bad Situations is unfailing
will ¢ontinue to be so. The chaTity will continue Striving to reach its aims and objectives with
passion and steadfa5thess. The workload continues to increase. and immense pressure has
onc¢ again been pul on the volunteers and supporters of the ¢haTity. Without this suppor
Roiherham Dog Rescue could not continue in its present fonn and many dogs would
undoubtedly have not survive
In January 2015 a decision was made to move the rescu¢ and dogs to a smaller boarding
kennel. where we had the opportunity lo build some needed paddocks and exercise areas for
the dogs including one area with agility equipment as an enrichrnenl tool. Since lhe move all
the dogs have benefitted ￿eatlY from a quieter location where they can all have daily ac¢&ss
to exercise paddock. The Charity also decided to Tent fewer kennels (from 20 to 12) lo ensure
a more financial stability due ￿ the e£onomic climate and less voluntrers lo give their time
freely.
Rotherham Dog Rescue is fortunate lo havc its own Canine Psychologist working with the
do&% under rehabililalion. Thts has undoubtedly helped ts a]levi8* dogs bouncing backward8
and forwards from homes to kennels.
In April 2018 we made thc decision to employ a part time kennel &q8iStanl five days a week.
This meant the rehabilitation dogs could have more one to one time both inside and outside of
the kennels. A.$ this w&$ a potential drain on our finance5. we decided to give up one of the
kennels meaning we currently rent I I k¢nn¢ls instead of12. This has proven to be a great
success by 8iving the dogs more enriclllnent and interacts'on.
The Coronavirus Pandemic at the start of 2020 has had further effects on the charity during
2021 All our fundraising events were cancelled during 2020 and quile a few in 2021. We still
only rent 9 kennels as the rehoming of dogs has slowed down. and also to kcep the charity in
a favourabl¢ financial position.
The number of dogs Tehomed in 2021 w&8 10 and in 2022 a slight decrease to 9 dogs
rehorned.
Financially Rotherham Dog Rescue continues to maintain itself through donations from our
loyal supporters and local fundraising. We will ende4vour to gain more funding wntinuer
operating a successful rescue and Maintaining a quality of life for the dogs in our care.
The retsined funds reflect this Increase £ 57668 compared to1&8t year £45955 for th¢ year
ending 2021.
Once again thanks must be conveyed to all Roth¢tham Dog Rescue's dedicated volunteers
who work uofailingly to n78intsin high standarth of care to all th¢ dogs brougbt in.
Page 2

Rotherham Dog Rescue
Trustees Report for the year ending 31. December 2022
Trustees responslbilities for the f￿ancial statements
The trustees are required by law to prepar¢ financial statun¢nts for each fin8ncial
pcriod. which shows a truc and fair view of the affairs of the charity at thc end of its
rinancial year and or its surplus or defjcit for the peri(ML ID preparing those financial
statement& the trustees are required to: _
Confimi that the accounts have been prepared in accordance with the charities
Ststement of Recording Practiccs and Accounting Standards.
Select suitable accounting p)licies and apply them consisteDtIy
Sia* whether the policies adopted are in acrordance with the Charities 1993 and
appliLable accounting standards and statements of r￿QMMended practice and if ihey
are subject io any departures disclosed aThJ explained in the financial statements.
Make sound judgements and estimate8 that are reasonable and Prudcnt.
Preparc the financial ststcments on an ongoing basis w)les6 it is inappropriate to
pr¢sume the charity will Contin￿ in operntion.
Th¢ trustees arc responsible for keeping accowiting records that th'sclosc with
reasonable accuracy at any time the financial position of thc ch8rtty and enable them
to ensure that the financial statements comply with the Charities act 1993. The
tr￿gleeS are re$r￿SIble for salcguarding the a&sets of the chkrity and hence for tsking
reasonable steps for the PreV￿tiOn of fraud and other iTTeg￿ar]ties.
Approval
This r¢port was approved by the trustees o
-and Signed on their behalf by
Trustee
Page 3

ROTHERIIAM DOG RESCUE
Independent ExamiDer's Report to the Trn•t¢u 0lRoiherhx￿ Dog Rescut
I rwrt on tF¢ firw)cial ststernems of the dHrity forthe year en(kd 31. D￿ember2022. wkn¢h are 8¢t
out on pascs 5 to 7.
R¢sp¢ttive r¢spO￿51b1jI1I¢¥ of the •nd
As tht cbarity's tnL8te¢$ Y(￿ arc te4yo￿lAt for th prewioti of the Xco￿ts. Y¢yJ CLwidcrthat an
audit 15 noi requircd forthr ycar (under scra1￿ 4312) oftk ch8n.iies Act 19931 and that an
indepeniknt examinatson is lleede¢l
It is my r£S￿)nSIbL￿ty to..
Exam1r￿ tt* finthcial statements 8eiXion 43(3Xa) of the 1993 Act)
To follow thc pnKcdures ]aid dowl in the Gcnernt DirectioN 8iven by the Charity
CoDuThissioners Iwjder se¢tson 4317Kbl of the 1993 Act): and
To 4ate wh¢thcr prticylaTmatttts hllve ¢ortte wmy attentiOIL
B*sls of lttdependent ex*mlTrer'i report
My cxarnitttttion was conie￿ in accordarte wkth th CKDeral Dirt¢tioA% by the Chwity
C.omrnissioners. An emminatioth irtcluts a review of the *countln8 wrds kept by the charity and
ompansvn of the alrounts presen*d with tho% recordt 1¢ a150 includes ¢on$Mlcrdlion ofany unusual
item8 ￿ di8closures in Ihc xcounls aTh1 seeking ¢xpknatsons you ￿ rws*es corK¢rnin8 any Such
matters. Tr p￿￿d￿re¥ wmlertakcn do rK)I wivid¢ all the cvidewe t￿1 would be reqUI￿d in an audil.
and consequthtly I do nol express an audil opinion oft vtew 8iv¢n by the 4c£ounts.
Independent ￿*MIner'S i¢*tetheml
In conn￿￿on with my eXamlDats'￿ Tr) rnatt¢r Iw to my atte￿"￿..
IIJ IVhÉeh gives me tEwNbk ¢ause to believe that iti any Enateri41 resptet the TequiTtments
To kcep in aLrordanLt with Secllon 41 of 1993 Aa,.
To prepff ac*oun15 which 8¢¢ord with Ihe accou￿1￿8 rEcords and fo comply with
the f¢quiTcmcnts of ik 1993 ACL
121 To wkn'ch. in my q)inion. attention sknuld be drnwn in (Yderto e￿b]e a propgr
widcNanth"ng accounts to ￿ mcl*d.
Si8n¢d..
22&J S*& 1023
R ￿'rtg. Lorien B(K*keepiD8 aDd A(tou￿Y Sern"c¢g
Lofte￿ We￿rIe[d R(*
Parkgate,
Rothcrh
S62 6HD
Page 4

Rweipts and Payments Ar£ount and Funds Flow
Forthe year eN11￿ 31st De¢ember 2022
1092771
Totsl
2021 2020
Totsl
2022
Totsl
2019
Total
2017
Total
2016
2018
ReceSpts
Grants
Adoptlons a￿1 Subs(Jlptl¢ms
Fundraisir
Sale of Goods
Donations
oitos Lotto
Bank Interest
Comm555ion
6950
816
6195
4140
33831 18628 23&Y9 6188
15190
25
1451
20
1671
1188
1548
1570
1810
Total Rocelpts
37T48
22374
333n
19119
35516
23645
Payments
2022
2021
2020 2019
20
2017
2016
tharita￿t ExpendEtur•
Kennel Fee5
Vets Fees and Heath Costs
Goods for Resjlè
Telephone
Advèrtlslng
New Premls•s
Otto Lotto
Fundral4n¥ Cost
Postsge and Statlonery
Insurance
Wages
Independent Examlbmtlon F•*
Repair5 and Renewals
Total Payments
162(X)
4241
I62￿ 18900
2758
20700 2161KI
877J
I16￿)
67(Kl
398
456
667
672
1135
125
1996
17
1634
77
1337
1420
231
21
519
3960
100
l(K)
691
924
37705 34652
194
441
2520
l(KJ
246
312
5208
i(M)
218
286Y 31284
345
6120
351
6432
334
327
100
100
100
341
31960
36219
Surp1￿ Ddk
11713
4320
-171(￿ -15268
-8315
B•lante Bltwd @tstJan21
45955
52275
$0186 67286 82554
816
lance Clfwd @ Jist (>e¢ 2022
57568
45955
52275
50186 67286
82554
81690
P•8e 5

1092771
statement of Assèts and Uabllltles
Forthe ￿arelldl￿ 3tst tbecember 2022
2021
20
20
2022
2017 2016
Bank Current Account
Bank 30 Day notlce Account
Bank Land Account
CashAccount
16675
4972
3910
I¢xw IIK178 lilTr7 1(I174
7074
7070 I(￿9
241
241
241
241
34074 22361 28681 26591
8026
18314
17770
IIX164 10059
30327
190
59060 58346
25356
241
R•pr•s•nted By:
Gener?1 Fund
R8strlct•d Fwxl
34074
22361
28681
43692 58960
58096
34074 22361 28681 26592 43692
Non-monetary Assets
New Prèmlsas
Kennels
250
23594
5365
23594
536S
23594
5365
23594 23594
5365
$365
23594
5365
23594
5365
Total Flxed A$5tts lor t￿rffy Us•
28959 28959 28959 28959 28959
28959
29209
Crndhors du• In l ytar
A¢cru•15
250
Total Non.Mon•tsry N•t Asmts
28959
28959
28859 28859
28959
The notes on p4* 7 fomi part ofthe Hnandal statements
notes not applkabl
These Ac(•unts were apprrrltd tyth• Trusteeson
thelr beh•lf lyr.