CHARITY COMMISSION
I FOR ENGLAND AND WALES
Trustees, Annual Report for the period
From 0110412023
To 3110312024
Charlty name: Buttercups Sanctuary for Goats
Charlty registration number: 1099627
Objectives and Activities
SORP ralwence
P4ra 1.17
Summary of the purpo$8s of
the ¢harity as sel out in ils
governing document
To a118viale the suffering, the
abuse and neglgct of goals, and
lo provide them with sanctuary
and lo find new homes for other
unwanted goats.
To advanc8 public knowledge
8nd understanding of goals and
their requirements. treatment
and care through education
To help improve Ihe standard of
welfare for
oats.
To provid8 knowledg@ on goat
husbandry and welfare
standards
To provide building, facilili?s and
open space for safekeeping of
goals
To provide advo¢acy, advice
and information
To improve standards ol care,
treatment and welfare of goals
through educallon and provision
of human resources.
As referenced in the Aims and Objectives of
the charily, we deliver public benefit by
promoting human morality through the
encouragement of kindness to animals.
discouraging cruglty. and expanding
knowledge on goal welfare. By sourcing
and overseeing f051er homes for goals w8
seek lo enable people and animals lo Iivg in
harmony to their mutual benefit. Trustees
always have regard to the guidarice issued
by Ihe Charities Commission in all aspects
of runnin
the charit
Summary of th8 main
a¢livities in relation lo those
purposes for the public
benefit, in particular. the
activilios. projects or
servlc6s identified in tha
accounts.
Para 1.17
iv)
Statement confimiing
whether the trustees have
had regard lo the guidan¢e
Issued by the Charity
Commission on public
benefit
Par• 1, 18

Addltlonal Infomiatlon (optional)
You ma
choose to in¢lude further statements wher8 relevant about:
SORP refer8nco
Tho charity doos not offer financial grants.
Policy on grant making
Para 1.38
The charity Dj￿ a numb&r of events and
workshop$ for corporate clients and the
publi¢. These activities benefit the
sanctuary and the part￿1pants alikg.
Policy on social Investment
including program related
invèstment
P4ra 1.38
A dedicated i•am of unpaid volunteers
assists with carlng for goats each day.
Activities in¢lude feeding. groomlng,
d•aning of facilities and assislance with
goat health i$$ues. Volunteers also assist
V￿th public interacllon when the site is open
k) the
ubllc.
Contributton made by
volunteers
1.38
Other
Achievements and Performanco
SORP retw￿¢8
Trustèos conlinue to believe that Ihé
charity delivers uniquè and essential work
in relation to tho care of goats. Wider
benefits to SoC￿ty include the ability for the
public to participat• by vi5ittng on open
days or tsking part in organised activities.
We b81ieve th1$ provides a benèfit to
montal health.
Summary of the main
achievaments of the charity,
identifying the difference the
charity's work has made to
the circumstances of ts
beneflciaries and any wder
benefits to society as a
whol8.
P8r4 l.
We are ablo to offerwork expeTienco to
individuals who may othep•vi$e encounter
social isolation.
Addltlonal Infomiatlon (Opllonal)
You may choose to indude further ststements whore relevant about:

Trustee8 believe the charity is achi8ving Ils
obJectNes as set out in the commentary
atthie.
AGhievements against
objectlves Set
P4rg 1.41
Fundraising continue5 to prosent
challenge bul the charity has a loyal
nelwork of Supporters and is abla to meot
its Commitments.
New website and logo laU￿hed to Improve
marketing appeal
Th• trustees plan lo look for a new Patron
to Eromoto the charfty.
The main investments ol the charlty are
property, including r8nlal Incom8 from
prop8ty and Mmmerclal premls•s. Th8
pfrrfomance 1$ In Iln8 Wlth expectations.
Perforn￿nce ol lundrolslng
8Ctivliies againgt objeclwes
Set
Par4 1.41
Investment perfonn8n
8galnst oblectlve8
Pn 1.41
The trustees plan to undertake 8 SWOT
analysls to support the development of a
new 5 ￿ar strategy
Oth8r
Flnanclal Revlew
Revlew of the chadty'8
flnan¢lal poslllon at the end
of th8
od
Statement axplainlng tho
pollcy for holdlng reserves
stating why they are held
P8ra 1.21
Th8 posltlon is satl8factory and thèra are
sufflclent resetves for forgseoable needs.
Pora 1.22
Cash reserves are held at a high stroot
branch of a malnstream bank. The purp080
Is to provldo working capStal and serve 88 8
contin
enc
One mllllon seven hundred and nln&ty Iwo
thousand and hvo hundred and forty
pound. Held langlble, In both fixed and
Ilquld as8et$.
Amounl of rosgpies held
P•r• 1.22
Reasons for holdlng zero
reseNes
Oetall$ of fund materlally In
deficit
Explanatlon of any
uncèrtalnlies about the
charlty contlnulng as a golng
concem
P•M 1.22
NIA
Pwj 1.24
NIA
P•ra 1.23
NIA
Addltlonal Informatlon (optlonal)
You ma
choose to Include further 51atem8nls where relevant about-.
Income from vlsilorg to thg Sanctuary whi¢h
will includo donations, sale of merchandise,
refreshments etc. Donatlon$ by tho publi
P&M 1.47

Tha charit￿$ principal
sourres of funds (includlng
any fundraislng)
In response to appeals. Income from
Ilcensed raffles. Leg8ci8s. Corporate
donations.
Investsment policy and
objectives including any
Soclal investment policy
8dop18d
Pw• 1.46
A de$cripllon of principal
risks facing tho charity
P4r• 1.46
f￿h•r
Structure, Governance and Management
TN8t•• naffl•
Offic• Ilf *nyl
O•t•• aGt•d 11 not for whol•
ar
Name of p•T￿n lor Ix¥dyl •ntlllgd lo
olnt tw$l••
Sleph8n Klng
Alan M¢Elllgott
Amy As8inder
8atsra Stead
Jenny Watemian
Sarah Leeson
Malcolm Mewe8
Ruth Parker
Martyn Ellls
Chalr
Up unlll Fobru8ry 2024
Up untll February 2024
Co£halr
As from February 2024
AS from February 2024
Co£halr
10
11
12
13
14
15
16
17
18
19
20

Co
oral8 twstso$- names of tha dlrectors at the dale Ihe re
Dlreaor nam•
ortwasa
roved
Name of tNstse$ holdlng tlde to propoty belonging to tha charlty
TNBt•g narn•
Daiu aaad W noi fvr whole
Funds held as custodlan tru8t8es on behalf of othars
Oescrlptlon of Ihe as$el$
hold In th18 capaclty
Nam& and objects of the
Charity on whose behalf th8
assets arè hold and how thi$
falls wlthln the custodlan
chartV8 object8
Detslls of arr8ngem8nts lor
safe custody and
88gregallon of 8uch a88et8
from th& charty's o*
a88et8
Addltlonal Infomiallon (optlonal)
Names and 4ddr•Mo8 of advl8er8 Ioptlonal Inform•tlon)
Type ol
Nam•
Addre88
advls8r
Non-Exec
Mr R H Hltch
Name of chlef executivo or names of senlor staff m•mber8 (Optlonal Infonnatlon)
General Manager- Mr G F Mccarthy

Exemptlons from dlsclosure
Reason for non4ls¢lo$uro of ke
rsonn&l dotsils
Other o
ional information
Declarations
The trustees declare that they have approved tho trustsos, roport abovo.
Slgned on behalf of the charity's trusleos
Slgnatyre(s
Full name(s)
Poslllon leg Secretary,
Chalr, etc)
Mr Gower Mcca
General Manager
Dato
Frrday 3rt January 2025

I IHARITY COMM155ION
I EN6LhAU ANL) WALES
1099627
Annual accounts for the
eriod
en
en
dale
Penod S￿ date
01
r-23
31th1ar-24
Section A
Statement of financial activities
RostrKtgd
UnreslrKled incomg Endowrr*nt
fund5
lund$
fvnds
Recommended catsgories by
activtty
Tolal fumds Prioryeaifunds
Incoming resources INole 3)
Income and endo%vments from..
Dor￿110￿ ar￿
F01
F02
F03
F04
F05
$01
316.922
24.671
76.424
45.57S
2.000
316.922
24.671
76.424
45.575
2.000
252,725
ortmdlr9ac￿rt
s(
68,558
47,725
2,000
so¢
G￿Trt
Total
Resources expended (Note 61
Expendlbjrc on..
R•iwng
$07
,008
37.419
248.51 S
37.419
248.515
14.260
254,355
S10
El
1 D2.202
388.1
102.202
71,D83
Total
S12
t incomellexpenditure) before investment
gainslllossesl
S13
77.456
77,456
31.310
No19aifflWlknssosion
S14
Not ineomellèxpÈnditurèl
Extraordrnary item5
Transfers between funds
Other re¢ognised gainslllossesl:
S15
77.456
77.456
31,310
S16
$17
$1B
$19
Net movement In fun¢ts
77.456
77.456
31,310
Reconclll&tlon of funds..
Toial hwwJ5biDL¥ht ID￿
Total funds carri•d fonvard
$21
1.082.976
.160.432
1.08
1.160.432
$22
1.082.976

Section B
Balance sheet
Re5tr1cted
Unrestricted Income
funds
nd5
Endowment Total thls
funds
year
Totsl last
year
Fixed assets
Inlanglble assets
Tanglble assets
Herftage asset8
Investments
F01
F02
F03
F04
F05
(Note 151
(Note 14)
(Note 16}
(Note 171
Total fixed assets
1,454.223
1.454,223
1.457.245
B04
Current assets
Stocks
(Note 18)
Debtors
(Note 191
Investments
(Note 17.41
Cash at bank and In hand (Note 24)
Total cufftnt assets
B07
3,803
3.803
3.715
255,977
B10
Creditors: amounts falling due within
one year
(Note 20)
10,108
10.108
2.153
Net current asse￿[lIabIll￿eSj 812
Totsl assets less curnnt Ilabllltles 813
Creditors: amounts falllng due after
one year
(Note 20)
Provlslons for Ilabllltles
814
815
Total net assets or Ilabllities
Funds of the Charity
Endowmont funds (Not8 2n
Restrfcted Income funds (Note 2n
Unrestricted funds
Revaluation reserve
B16
1.792.240
1,792,240
1,714,784
817
B18
981
1,161.914
631.307
981
1,161,914
631,307
981
1,084,458
631.307
B19
Total funds
Signed by c￿e or tsvo trustees on behaifof all
the trustees
D8te c>f
approv81
ddlmml
Signalure
Print Narne
SARAH L£65oKJ
CC17a (Excell
0811012024

IPRSWI
RJ 1gL'
Y•f
V•r

SttLllnn L
Nots2
Ac¢ountlng polldes
2.1 RECONCIUATION WITH PREMOUS GENERALLY ACCEPTED ACCOUNTING
PRACTICE
PlJ•wpmvPJo•¢Ju¢rtyl
*)lthenalur•Qlwchc￿￿¥
•E¢•unllngpoII
11•rt01
p•ihd
Indol
ETrdol
Prwlwi yrlod
1>1112024

Nots2
2.2 INCOME
Y•¥
p•TrrAW VR8 IIV2 sORP￿ FR8102.
Y••
No
atall* FAS102￿
Y••
Y••
Y••
YM
YM
D•Mi•dggod¥f•r •[• b•J•
Y••
Y•*
Nl*
Nl*
Ilo
•r• ThDtIS.I01• 5.12 FR8102 sciie**Ar•lx•thd M•Trf•rnql*

r•••
13 EXPENfATURE AND LIABILITIES
Yes
Y•9
No
NM
Nl•
InThirrts
11.17b 11.I*.FRS102 SORP.
2A ASSETS
Y•s
Mr*
11(*
Ye#
tlr*

Section C
Noles lo the accounts
Note 3
Analysis ol iiicome
Tot¥funds Prior yeir
Ana
Dnalions and ￿$
Gift Aid
Le
acies
Genèral grant$ provid?a by 9OV8rnrn8Thvolher
Dos)atltsn$
and legaGle8'.
205.492
18,430
93.000
205.492
18430
93 DOQ
219.643
19.846
13.23
2,000
2,000
2,000
emb$Tship $ubscTiplions and spon$orships
on8ied
oods f8cI1rt1&5 8nd se￿ceS
Rtrnlal Income
45,57S
364,497
45.575
364,497
47.725
302.450
TotAI
ChArltable
4¢tlvlfje•'.
Event5 and exwn¢n¢e5
12,841
4.192
1.285
6.353
24,671
12841
4.192
1.285
6.352
24.671
raffl
Ha
Other
Tot41
oth•r Ir4<11nq
SBle of m•rchandise
27.S21
0,672
18,221
27.521
30.672
18231
23.935
26.192
18.431
Total
Ihcoma Irom
InveBtmentB'.
eo
Dividend Income
Total
S•parit•
mateilal It•m
of Incorn¢'.
Total
Oth•r'.
nv
fen
ovlm
Thd
om
Gain on d15P05al ol ll laTh9ible IM•d 158•1 held
Ggin on d19POsel ol 4 progrnmme rèl•ifrd
Roy8hio6 Irom tho explorta￿On ol Inlellectu•l
Tot41
TOTAL INCOME
¢)th•r Inlormllltsn..
All Incom• In th4 prlor 5ffjar w4s unr451rf¢t•d •AC•Pt lor..
I￿*￿¥¢ provlde dvi¢rlption and *m¥untsi
WA
Where anyendovrnentfund Is ¢oThverleil Inlr* Inc?n￿ Ih th•
r•pDrtlng yrlod, please gly• tho reason for Ihp Gonversl•n.
NIA
Wthgre anyendovrnenrfund IJ ¢on¥ert•d Into Inronvd In th•
prlor p*rfo4 F4•a5• ilv• the f*ason for tho EonversloTr.
NIA
Wlthln the Income Item5 above the lollovAni It•m$ av*
mBterlal.. Iplrawq dlicl•yq th• M4wr•, 4mount and ony prlor
ye•r amounts)
NIA
CC17w IExcg11
13111r2W24

Section C
Notes to the atcounts
cont
Note 4
Analysis of roeoipts of gowrnmÈnt grdnts
This yur
Descri
Gov*mment grant 1
Govemrnent grant 2
Govarnm•nt grant 3
Olhtrr
Tot•1
Last s*ar
Govemmentgrant 1
Govemment yrnnt 2
Gov•rnrngntgrnnt J
Other
Harbou￿8$1
2,000
Tot•1
Thls
L•st
Pl••$è pmvld• dglall¥ of •ny
unfuMIll￿ condltlons •nd othw
¢onllng•ncl•8 attaehlng lo pranls
Ih81 have been recognls•d In Ineorn¢.
not app1￿•b
Thls
List
Pl•••• glv• d•t•ll• ololhw forn￿ ol
ly0￿mm•nI a*￿81•n¢• from thch
Ihe charttyhas dlreclly b•nellt•d.
ntst •pplk•bk•
CC17a IEx¢dl
13111f2024

Section C
Note5 to the acrounts
Iconti
Note 5
Donated goods, facilltles and services
Thls yEar
Last year
Secontled staff
Use of property
Other
Thos
ar
Last
ar
Please provide details of the
accountlng policy for the recognttlon
and valuatlon of donat•d goods,
fa¢ilitie5 and services.
NIA
NIA
Please provlde Iletalls of any
unfumlled ¢ondltlons and othor
contingencies attochlng tf) re$our¢e$
from donated goods and services not
recoonlsed In Income.
NIA
NIA
Plèasè giv• details of othèr fonns of
other donatèd goods znd 5ervlces not
recogni5ed In the zccounts, eq
contrbbutlon of unDald voluntègrs.
A team of unpaid volunteers agsists wlh caring
lor the 9081$ on 2 daily basis- Cleanlng perb8,
fèeding grooming goats, ei
A team of unpaid Voluntee￿ assis18 Wth caring
foi thè goals on a ttally ￿Els- cle?niw pens.
feeding and gioomiw goals, elc.
CC178 {EX￿1)
13111r2024

Section C
Notes lo the accovnts
(conti
Note 6
Analysis of expet)dituYe
Th1$ ￿•1
Last year
R*￿rt￿•d
Ltrrf•*trktdd R•#rkl•d
Anaty$l$
dhure on ralsln
funds..
lThcurred seeking donations
Incurred Seeking legac￿5
Incurrèd sèèkino orafits
r¥rth
Tts14
Oper8iing rntmbership schemtrs athd
Stsging fundraising events
Fudraising agents
Operating ¢hanty shops
Operating a trading ¢omp8ny
uDdert8king norFcharrtable trading
Advertssiny. m&thebn9. direct rnail and
9.356
9.356
start up Costs m¢uirÈd In generatsng
new source ol luture income
DBtsb35e development ¢osts
othei trading aciNtheS
In¥èstrn£nt mana9emenl ¢osis'
Portfolio mana
emenl cost5
Cost Df obtaining Inve5trnent athKe
28.063
?8.(￿3
13.099
13,099
Investment admMistratr&n ¢osls
Intenectual propety Iicen¢ing costs
Rent CDlleclion. propety repair5 and
rnainlenance char
Yotal expendRure OD ralsfjng funds
37.419
37.419
14.260
14.280
Expenditure on charftabk •¢tNftles=
C05t of running the Goat Sanctuary-
1000h charrtable actmty
248.515
248.515
2￿.355
254.355
Total expenditure on charitable
a¢tl¥S1Se$
248.515
248.515
254.355
264.355
So
rot• matsrial rt•m of ex
Total
Other
Goal relaiefl &xp8nses-feed, vet
beddin9 etc
29.135
29.135
26.142
26.14?
re
airs and rnainienance
Vehicl@ cost5
44.287
7619
5661
15.SOO
44.287
33.196
5470
4275
zooo
33.196
5.470
5661
15500
Le
al and consuttan¢
Misc ofFice ex
ense
2.000
Total other e¥penrt6t¥ie
TOTAL ExpeND]TURE
102.202
388.136
1￿.202
3Be.136
71.083
339.698
71.083
339.698
CC17a (Ertdl
10
13171r2024

Othw Infovmthlon..
An*lyil• Of ?XpTrnd￿￿T• on ch4rltal)l• Kti￿tI•l
Th1•
Gr4nl
fuThdkng of
A¢uvbUv4
und•rta*•n
A¢￿vI￿gI mrwwn•
Supwt
o¥ts
AciMtt•*
ufid•rt**•Tr
dlrK#
fundlnv pl
4¢U¥l¥•i
8upwt
Costs
AciJVI
Acbvi
Other
To
CC178 IEx£èll
13111rJ)24

Section C
Notes to tlie acLOlllIt5
Not¢10
Detalls of ¢ertaln Items of expendlture
10.1 Fe8s lor•xamlnatlon of tho a¢¢ouM$
Ploas• provlde detalls of the am0untpaldf0ranysta￿ •mm41 $cnthy of
￿t￿U￿￿ andothw ¥9Th1￿￿ prnvldod byyour Indopendont ￿￿mIner. Ilnothlno
was Paldp1￿9o V. In thè •ppmprt•te box(¢$).
Th1$ Jwr
Last y￿r
Ind¢p•nd¢tht •xamln•V$ fe
soo
A5•uran￿ •eDAce8 Otherthan audlt or ￿nd￿endent examlnatlon
Tax advl$oryl••$
Oth¥r fee$ Iforoxamplè: finan¢lal advlce. consuiiancy. •ccounMn¢y s•rvl¢esl pild
lo the Independent examlner
CC17a IExcdl
12
13111r2024

Section C
Notes to the accounts
Icontl
Note 11
Paid employees
Please complete this note if the charity has any èrnployees.
11.1 Staff Costs
This year
Last year
Salaries and wagès
Soclal securlly costs
Pension costs (defined contrlbutlon scheme)
Other employee benoflts
194.042
14,655
2,994
195,051
9,004
2,705
Total staff costs
211 691
206 760
Thls year:
Please provlde detalls of expendlture on staff worklng for the
charity whose Contracts are wlth and are pald by a related party
Last year:
Not applicable
Please provide details of expendlture on staff worklng for the
charlty whose contracts are with and are pald by a related party
Not applicable
Please give details of the number of employees whose total employee benefits (excluding employer
pension costs) fell within each band of £10.000 from £60,000 upwards. M there are no such transactions.
please enter Yrue, in the box provided.
No employees recelved employee beneflts lexcludlng employer
penslon costs) for the reportlng perlod of more than £60,000
TRUE
Band
Number of em
Thls year
lo
ees
Last year
£60,000 to £69,999
£70,000 10 £79,999
£80.000 to £89,999
£90,000 to £99,999
£100.000 to £109.999
Thls
ear
Last
ear
Please provlde the total amount pald to key management
personnel {Includes trustees and senior management} for thelr
servl¢es to the charlty. For speclflc amounts pald to trustees,
See Note 28.
CC17a (Excell
13
1311112024

11.2 Average head count In the year
The parts of the charlty in whlch the
employees work
This year
Number
Last year
Number
Total
11.3 Ex-gratla payments to employees and others lexcludlng trustees}
Please complete if an ex-gratia payment is made.
Please explaln the nature of the
payment
Th15 year
Last year
Please state the legal authorlty or
reason for making the payment
This year
Last year
Thls ear
Last
ear
Please state the amount of the payment lor value of any walver of
right to an a5seti
CC17a (Excell
14
1311112024

11A Redund*ncy payments
Last
ar
Total amount of payment
The natur• ol th• payment (cath ass¢t
ar
ar
The extent of redundancy fundlng at th• balance sheet date
Plea$e slate the accourflng pollcy for any red￿thcy or
twmlnatlon p4ym¢nts
CC17a {Exc4
15
1311112024

Sectic>ii C
Notes to tlie accounts
Icontl
Not• 12
D8fined conlrfbutlort penilon *ch•m• or d•lln•d bèn•fit sch•m• a¢¢ountèd for •$ •
defin•d contrlbutlon •chem•.
111 pl￿•• ￿mPl•t• th18 n•t• K• d•finod ¢ortrfb4rt1on pon•lon •ch•m• l• op•r4te
ar
Arnount ol ¢onirfbutlon¥ Tecognl••d In the 80FA a• •n •xp•n•e
2.680
Phase •xpl•ln th• bi•li for allocatlng the Ilablllty and •xp•nw ol
d•fin•d contrtbullon pgn$l•n 8¢h•m• boiwMn a¢tlvlll•• and
botwo•n r•st￿¢t•d Ind unr•strtd•d fund•.
not appNcabl•
12.2 Pl•••• ¢ompkn ¥O¢llon wher• th• charltypartldp•t•• In • drfln•d ￿n0￿p•nI10n plan but l• un•bl•
a•cwt•ln h• •h•rn t)flh• und•rfylnB •ndll•bllttl
Pl•••• ¢onllrni that •hhough th•
h•m• l• Accounted for •* * defined
¢ontrlbutlon plan, ￿ l• * d•fin•d b•n•fft
plan.
Please provld• such Inf•mi•tlon •• l•
AvAllabl• about th• pl&n'• •urplu• or
d•fictt and thè Impll¢atlon•, If 4ny, for
th• rnportlng eh4rfty lor ihl• ye•r4nd
lalt y•ar, If t11ff￿nt
12.) PIM•e compkn ••ctlon wh•r• th• charlty p•rtlclp•t•• In • multh•fflployw d•An•db•nofftp•Mlon pl•n
th•th •ccounted for•• o dollned c•ntrfbullon plan.
De8¢rfb• th• •xl•nt to whlch chartty
can bo114ble to the plan for other
•nth￿l, obllgaWon• und•rth• ternis
Ind eondhlon• of th• mulll4mployor
plan. ff Ihl• 1$ dEff•rnnt lorth•¢ y••r,
provlde delalls
Provld• an •xplan•tlon of how any
Ilablllty •rlslng Irom •n agrn•mont wlth
multl4mploy•r plan to fund a dellcll
ha$ been d•t¢rnilnéd. Ilthl$18 dlff•r•nt
for la•t Y￿r. provlde d•t•ll•
CC17a (Excell
1W111&24

SÈttion C
Notes lo Ihe accounts
tont
Note 14
Tangible flxed assets
Ploase compleie ihl$ noie irthe chariiy has any lanylble Ilxed 4s>et•
14.1 Co¥t or valuation
Froehokl land &
bvikllng$
Oth?r land &
buSldlngs
Plant.
machln8ry
and mot
v¢hl¢l¢s
Flxture5, flttlnu6
and equlpment
Total
Al Ihe beglnnlng of the yèai
Addibon¥
1 445 000
65 553
2,640
1 54J 998
2,640
Revaluation•
Di¥poJals
Translers
Al end of Ihe ya8r
1,445.000
20.683
68.f93
12,780
1,548,636
14.2 Depr•ciatlon and Impalmienti
SL or RB (Straight
Line or Reducing
84loncel
SLorR8
SLorR8
SLorRB
SLorR8
' Rate
RB
RB
Re
RB
Al bEolnning Dllhe ye4r
Dlspo&a15
20.683
53.30B
12,760
66.752
Depreclalon
5,661
5,661
Impalrment
Tran8l•f8'
Al end of Ih• year
20,683
58,970
12.760
92.413
14.3 Net book Value
Net book value at the beginning of the year
1,445.000
12,244
1,4S7,244
Net book value Ntthe ond ofthe yeoi
1,445.000
9,223
1.454,223
CC17a (Excdl
17
13111Q024

Section C
Notes to the accounts
Icontl
Note 19
Debtors and prepayments
Plèase complot• thls note 11 tho ¢h4rlty any
d¢btor$ or prep8yment8.
19.1 Analysls of d¢btors
This year
Last year
Trade d•btors
Prnpaymont$ and iccruad Incomg
Other debtors
3,803.0
3,803.0
3,715.0
3,715.0
Total
Pl￿80 ¢ompl•t• 19.2 whvr• a met•rfal d8btorls rfy¢overable more than a yeerafter the rgportlng datg.
19.2 An41y$l8 of dtrbtors recovèrabl• Sn mor• than 1 year Ilncludod In dèbtoro above)
Thls year
Last year
Trad• d•btors
Prèpayments and a¢cnJed Incomè
Other debtors
Total
CC17a (Ex¢ell
18
1311112024

Section C
Notes to the accounts
Icontl
Note 20
Creditors and accruals
Please complete thls note rfthe charlty has any cr8dltors oraccrnals.
20.1 Analysis of er•ditors
Amounts falling due wrthin
one year
This year
Last year
Amount$ falling due after
more than onè year
This year
Last year
Aceruals for gr4r)ts payable
Bank loans and overrlrafts
153
Trade Creditors
Payments received on account for contracts or
performancethrelated grants
Accruals and deferred income
1.500
1.250
7.358
Taxation and social se¢urity
Other creditors
Total
20.2 Deferred incorne
Please complete thls note ttthe charfty has defwred Income.
This
ar
Last
ear
Please explaln the reasons why Income Is deferred.
Movement In doferrgd Income account
This year
Last year
Balanee * the start of the reporting period
Amounts added in current period
Amount$ r¢l¢ased to inGome from previous ptrriods
Balanee at thè •nd of thè rèporting pèriod
CC17a IExceD
19
1311112024

Note 24
Cash at bank and In hand
Sfiort term 015th In¥•slm•nts O•si th*n 3 moThthi m•bJrftyd*￿1
8hort t•rm 4•p06111
¢4•h Al bink on hand
Qth•r
25S.977
CC17A IExÈ•ll
20
13111r2024

Not•28
Thls yt8r
em￿0￿7￿e￿t￿4Ih thelr ¢h¥ltyora rnlaknd eAllty(rrne orF•lse
TOT•L
ovdw.
n•t4pplI¢￿*
L•st>*4r
th￿rth￿lty￿a relthd qnOtyITru•qr Fa￿1
n•t•ppl*aM•

Ifth• ¢hwlty hi8 trVSte•J •xp•ns•s lorfvlfflllng I1￿•rt￿￿fr1. de￿1* o18u¢h SI￿l￿b•￿¢v1d•4fth th1¥
Iioi•. Ilth•r• no ￿￿￿a¢￿0￿4 thrnport plHs• •Tr*rYTh•-lTr th•b¥¥ts•low. ff th•r• •M rnpor¢ pl••J•
No truitre•xpeniei hive be•n Incurred ￿Tn￿or Fals•)
Type of eAVnY•S r•lmtsArn
Th1¥ 5*41
Last>*or
Tr8¥
A£¢•mmo(t•Uon
oth•r Ipl•48• Jp•clfy>'.
TOTAL
Pl•ii• yo￿d* th• nuM￿r •f tyUit•M rnlmbw••d l¢r •xp•fiws •r*tho
hld •xp•n••• p•ld byth• ¢h•rfty
28.3 Tronaxtlon(81 wTrth rnloted
glv• &•i•ll* tylthy tr•nm¢*•tt¥nd•rt•1¢•nty{or￿ b•h•ll•Q th•¢h•rltyln **leh •r•lat•dp•rtyha8 i JMMrt•l
tru•'ln th• provld•d.
Th1¥ y
Th•r• ha￿ Ix•n no r•lal•d ytylrnTr•aetton• kn th• v•pNUw p•rfod (tN• ov FI1￿)
mouTh
M•A off
M• tsf th• truit••
orr•l•t•d pirty
R•l•¥oh•hlp
O•s¢rtpJtsfft of lh•
Amwfti
likn tor d•bts
•1 •nd
p•rfod •nd
reportnq
In t•l*th)h ts th• •*oM. pl•••• prvvld• rh•
ol•nypayTh•nt l¢on•ld•MIiEMJ rf4b•pthidrtlln
*•lll•m•nL
For•ny r•l•i•dp•ity. pl•w•wovM• d•r•lts •1
qfv•n T•¢•￿.
CCI74 (Ex

Lutye
olth• INiI••
to<h•r
•tp•rtod
thirf
CC17• ie#•D

Section C
Notes to the accounts
Icoiitl
Nots 29
AdJItI￿al Dlsclosures
Th¢ followlng aro slgnlficant matter¥ whkh ar• nol cov•rod In othor notss and no•d to b• Included to
provldo a proper undorslandlng of lh• a¢cO￿ts. If thor• l¥ In¥ufflGlent room hare• pl•ase add
soparate shoeL
CC17a IEKc•II
24
1311112024