CHARITY COMMISSION
FOR ENGLAND AND WALES
Trustees, Annual Report for the period
From 1"July2022 To 30 June2023
Charity name: BORDER TERRIER WELFARE
Charity registration number: 1116853
Objectives and Activities
Summary of the wrposes of
the charity as set out in its
goveming document
Para 1.17
To assist any member of the public who is in
diff￿lty in caring for their Border Terrier,
whether that be shetter, rehoming or
financial assistance with vetenna
costs.
To find homes for Border Terriers when and
for whatever reason their Current owner can
no longer keep them. 2) To provide
accommodation. care and assessment of
those dogs vthilst seeking a SUFtable home
arKJ owner. 3) To ￿llect and deliver without
charge these dcgs. 4) To financially support
those members of the public who seek help
with veterinary care and to continue that
support to ensure the future health of the
dog in either the old or new home. 5) To
continue to seek new volunteers to assist in
our y￿rk, this o
ective is o
oin
Summary of the main
activities in relation to those
purposes for the public
benefrt, in particular, the
activities, projects or servi￿$
identified in the accounts.
Para 1.17 arkl
t.19
Statement confimiing
whether the trustees have
had regard to the guidance
issued by the Charity
Commission on public
benefrt
Para 1.18
The trustees do have such regard.
Additlonal Information {optional)
You may choose to include fvrther statements where relevant about:
Grants are cccasionally provided on a case
by case basis where it is Gonsidered that the
award is Border Terrier txrt not necessarily
exdusively Border Terrier related.
The chanty intend to donate a significant
sum to Breed Heatth research and are in
disujssion wtih various recognisedl
ovemed bodies to facilitate this.
Para 1.38
Policy on grant makirvJ
Parn 1.38
As per the Border Terrier Weware Nyebsite
and social media.
Policy on soaal investment
including program related
investment

Volunteers i)ften make contributions in
various ways eg. by not charging for their
time, travel or out of pocket expenses. Also.
on occasions providing foster care or
kennelling without Gharge or at a reduced
rate.
P*a 1.38
Contribution made by
volunteers
Other
Achievements and Perforniance
The main achievements have been the
rehoming and care of a substantial number
of Border Terriers. Thos6 benefitting are the
mostly distraught owners, those vtho find
themselves hawng to rehome for vthatever
reason arKI the d(yJs themselves who i)ften
face an un￿rtain future were it not for
Border Terrier Wetfare. Other achievements
have been tEing able to assist owners
financially where they have been unable to
cover the ever increasing ¢ost of veterinary
ca￿.
Summary of the main
achievements of the charity.
identifying the differen￿ the
charity's work has made to
the orcumstances of its
beneficiaries and any wder
benefits to society as
whole.
Para 1.20
Figures for YIE June 23 IYE June 2022 in
brackets)
Dog Transport
Travel approx 22673 miles (11851)
Transporting 116 Dogs {60)
At a cost of £10440 {£4740.40)
she￿er l Kennelling
No of dcN3s 34 (31)
Cost . £19348 (£198W)
Days .' 1671 (1724)
Ave cost '. £11.57 per day per dog (£10.91)
Ave Days per dog . 49 (56)
Vet Fees
Vet Fees £68424 {£54420)
No of dogs 109 (72)
Ave cost per dog £627.74 {£755.83)
Note
Total exp YE June 22 £78
For YE June 23 £98371
erall increase of almost 25%
Due mainly to increases in travel expenses
as well veterinary costs.

AdditiOr￿1 inforniation loptional)
You ma
choose to include further statements where relevant about:
Our objectives are to be a￿e to help
rever our assistance is requested.
Achievements against
objectives set
Para 1_41
This we mostly achieve.
Performance of fuThJraising
activities against objectives
set
We are fortunate in having a large number of
loyal supporters who help us with varied
fundraising iniiiatives in addition to those of
our own.
Parn 1.41
There are no speufic objectives regarding
investment other than seeking an interest
return from bank accounts that are covered
by the Financial servI￿s Authorty's
Com
nsation Scheme.
Investment performan
against objectives
Parn 1.41
Other
Financial Review
Review of the chantls
financial posrtion at the end
of the period
Parn 121
We have handled more dogs and travelled
further therefore incurring a substantial
increase in associated Costs. Veterinary
fees have also increased substantially. Our
kennelling costs have remained at a similar
level to the previous year our financial
posÈtion remains stroThJ.
statement explaining the
policy for holding reserves
stating why they are held
Para 1.22
General reserves are not restricted to or
designated for a particular purpose. The
level set is reviewed annually by the
trustees. gtving due consideration to the fact
that expenditure can be unpredictable in the
short temi and that our main source of
income is reliant almost solely on the
go(thill of and donations from our
supporter5. Reserves are therefore set to
protec* the charity from a sudden decrease
or cessation of income at such a level that
V￿ would be able to conts'nue our work
caring for Border Terriers in need of shelter
or veterinary assistance or rehoming.
Amount of reserves held
Reasons for holdin
zero
Para 122
£178,000
NA
Pwa 722

reserves
Details of fund materially in
deficit
Explanation of any
uncertainties about the
charity continuing as a going
COn￿M
Para 1.24
Para 1.23
At the current time our rate of income is
covering our level of expenditure and for this
reason there are no immediate GOn￿mS
Additlonal Inf0m￿tiOn loptional
You ma
choose to include further statements where relevant about:
The principal sources of funds are general
and rehoming donations, legacies &
memorials. fundraising events including
organised d&J walks, weekend camping
events . webstore sales , calendar sales,
audion sales , raffles. social media events.
Reserves are held in no risk accounts that
are covered by the Financial setVi￿s
Authority's Compensation Scheme and
seeking an interest retum.
The charity's principal
sources of funds (including
any fundraising)
Para 1.47
Investment policy and
objectives including any
social investment policy
adopted
Para 1.46
The principal risks would te the loss of
income from donations or fundraising athvity
and or a signrficant increase in the number
of do3s needing our support.
A description of the principal
risks facing the charity
Para 1.46
Other
Structure, Governance and Management
De￿riptIOn of charity's
trusts:
Type of goveming document
Para 1.25
Constitution
How is the chaiity
constituted?
Trustee selection methods
including details of any
constitutional prowsions e.g.
election to wst or name of
any person or body entiued
to appoint one or more
trustees
Para 1.25
Association
P¥a 1.25
By Election at an AGM
Additional inforniation loptional)
You ma
choose to include further statements Whe￿ relevant about..
Policies and procedures
adopted for the induction and
training of trustees
Para 1.51
The cha
anisational

structure and any wider
ne￿ork with whith the
charity works
Para 1.51
Relationship with any related
parties
Pawa 1.51
Other
Reference and Administrative details
Charity
name
Border Teffier Welfare
Other
name the
charity
uses
Registered
charity
number
Charity's
principal
address
Border Terrier Welfare
Known to some as Border Terrier Rescue or BTW
1116853
Chaimian Mr Ton
Wrenn
98 Gainsborough Court, wa￿On-on-Tharnes, Surrey KT12 1 NL
Treasurerlsecreta
Mrs Melanie Robson
Carisbrooke, 3 BUCk￿S Wa
Banstead, Surre . SM7 1 HB

Names of the charity trustees who manage the charity
Office lrfany}
Trusts• name
Nam• of person lor body) entitl•d
ifan
Mr Tony Wrenn
Mrs Melanie
Robson
Mr Mark Harvey
Mr Roger Newson
Chaiman
Treasuw A¢Xing
Secretary
Records
Co Ordinator Data
Base
Mrs Joyce Rhodes
Mrs Jenny
Oakshott
Mr John Jessop
Mrs Vanessa
Jessop
Mrs Louise Nowell
Mrs Paula Byers
Fostering
Fostering
10
Resigned 23.6.23
11
12
13
14
15
16
17
18
19
20
Co
orate trustees - names of the dirertors at the date the re
Director name
rtwasa
roved
Nota
licable
Name of trustees holding tide to Fyoperty belonging to the charity
Trustee nam?
Nota
licable

Funds held as custodian trustees on behalf of other3
Description of the assets
held in this capaoty
Name and objects of the
charity on whose behatf the
assets are held and how this
falls within the custodian
¢hartty's objects
Details of arrangements for
safe custody and
segregation of such assets
from the Charity's own assets
Additional information loptlonal)
Names and addresses of advisers Ioptlonal Infommtion)
Typo of
Name
Address
advlsor
Name of chief executive or names of senior staff members (Optional Infomiation)
Exemptions from discl¢)sure
Reason for non-disdosure of ke
rsonnel details
Other o
ional infomiation

Declarations
The trustees declare that they have approved the trustees. report above.
Signed on behalf of the charity's trustees
Signature(s)
Full name(s)
Position {eg Secretary.
Chair, etc
Tony Wrenn
Chaimian
13° November 2023

BORDER TERRIER WELFARE
STATEMENT OF FINANCIALAcnvmES
FOR THE YEAR ENDED 3mi JUNE 2023
Unrestricted Restricted
Funds
Funds
Total Funds
2022
INCOME RECEIPTS
Volijntary Receipts
R&homing donations
General donations
Gift Aid tax reclaimed
Legacies and memorials
33.1
60.987
6.945
116.552
217.584
33.ICO
25,915
60,987
65,484
6,945
7,327
116,552
29,612
217.584 128,338
Recelpts from fund-raising actNfties
Events
Sales
1,283
11.272
12,555
1.283
11.272
12.555
1.537
14,382
15,919
Investment Income
Bank Inte￿$t
1,298
1.298
93
Totsl receipts
231,437
231.437 144,350
DIRE￿ CHAR ￿ABLE EXPENDtTURE
Kennel accommodations costs
Veterinary fees
Travel costs to kennels etc
Honoraria and gifts
19.348
68.424
10,599
701
19,348
68.424
10,599
701
19.81x1
54.420
4,740
1.382
80.342
99,072
99,072
FUND-RAISING COSTS
Events
Goods foT re-sale
2,509
7.778
10.287
2,509
7,778
10,287
193
7,526
7,719
MANAGEMENT AND ADMIP41STRATK)N
Insurance
General administrative expenses
Fees.- PayPal and JustGrvir7g
Equipment
Independent Examinerfs fee
990
970
1.055
631
727
1.147
970
1.055
660
3.675
660
3.675
660
3.165
Totsl payments
113.034
113.034
91,226
Surpluslldeficitl forthe year
118.403
118.403
53,124
Funds brought fonward l JuTry 2022
Fund5 Ca￿led forward 30th Jurbe 2023
259.498
377,901
259,998 206,874
378.401 259.998

BORDER TERRIER WELFARE
BALANCE 5HEEr
FOR THE YEAR ENDED 30TH JUNE 2023
Unrestricted Restricted
Fund5
Funds
Totsl Funds
2023
2022
Current assets
Stock
Debtors
Gift aid reclaim
Prepayments
2,266
2,266
4.465
14,324
1,244
17.834
14.324
1.244
17,834
12.354
1,225
18.044
Cash at Bank and In Hand
Virgin Money charity deposit account
Scottish Widows deposit account
Metro bank
Paypal account
Stripe
CAF Bank
HSBC Money Market depostts
HSBC Bank deposit account
HSBC Bank current account
Cash in hand
50,1
83,IXK)
85.(
919
50.cw 50.CKJO
506
85,C
919
3.553
59,797
59.797
59.751
85.CO) 120,844
1.570
12.726
73
73
365.359 247,453
1,070
73
364,859
Total Current assets
382,693
383,193 265,497
rrent Llabllltles
Creditors
Accruals
Total current Ilabllltles
2,4n
2.319
4,792
2.473
2,319
4,792
2,649
2,850
5,499
Net assets
377.9)1
500 378.401 259.998
ReseThe$
Unrestricted
Restricted
377.901 259,498
500
378.401 259.998
The financial statements were approved by the Board of Trustees and authorised for issue on
/é NOV aOa3 ..and weresigned on its behalfby:
M Robson- Acting Treasurer

BORDER TERRIER WEiFARE
NOTESTO THE FINANCIAL STATEMEP4TS
FOR THE YEAR ENDED 30Th JUNE 2023
I ACCOUNTING POLICIES
BASIS OF PREPARING THE FINANCIAL sfATEMENrs
The financial ststements of the charty, which Is a public benefit entity under FRS 102, have been
prepared in accordance with the Charlties SORP IFRS 1021 'Accounting and Reporting by Charities:
ststement of Recommended Prattl￿ applicable to chartbes preparing their accounts in accor(lance with
the Financial Reporting Standard applicable in the UK and Republic of Ireland IFRS 1021 (Èffective I
January 20191., Financi81 Reporting Standard 102 The Financial Reporting Standard applicable in the UK
and Republic of Ireland, and the Charitie5 Act 2011. The financial statements have been prepared under
the historical cost convention, with thè exception of investments whtch are iMluded at market value.
The accounts for the year ended 30th June 2020 were prepared on a receipts and payments basis.
These have not been reststed.
INCOME
All income is recognised in the Statement of Financial Activitses once the charTty has entitlement to the
funds. it is probable that the income will be ￿ceiVed and the 3mount can be measured reliably.
EXPENDITURE
Liabilities are reco8ni5ed as expenditure as soon as there is a legal or eonstrurtNe obliEation committing
the charity to that expendtture. it is probable that a transfer of economic beneffts will be required in
settlement and the amount of the obligation can be measured reliably. Expenditure is accounted for on
an ac£rua15 basis and has been classified under headir7gs that aggregate all cost related to the category.
Where costs cannot be directly attributed to particular headings they have been allocated to artivities
on a basis ¢onsistent with the use of resources.
STOCKS
Stocks are valued atthe lower of cost and net realisable value. after making due allowance for obsolete
and slow mowng items.
TAXATION
The charity is exempt from tsx on ts tharitable activitres.
FUP4D AccouffflNG
Unrestri£ted funds can be used in accordance with the charitable objectives at the discretion of the
trustees.
Restrlrted funds can only be used for panicular restricted purposes within the objects of the charity.
Further explanation of the nature and purrK)se of each fund is included in the notes to the financial
statements.

BORDER TERRIER WELFARE
NOTESTO THE FINANCIAL￿ATEMENTs
FOR THE YEAR ENDED aml JUNE 2023
2 TRUSTELS, REMUNERATION LND BENEFrrs
None of the trustees were remuneratsd in their capacity as trustee
£4,741 12022 £3,987) was reimbursed to six (2022 six) tru5tee5 to covertravel expenses in connection
with the transportation of do￿ to and from kennels, food, medKation and subscription costs.
Two trustees were entitled to receive honoraria to cover their out of p￿ket expenses as follows:
M Robson (Treasurer & Secretary) £8(KJ
In addition to thi5 subscriptions totslling £566 {2022 £8171 were recharged at cost by a company of
which a trustee wa5 a director.
3 FUNDS
Restrirted fund5 consists of E5CI) towards support for the Breed Heakh Group.

I reportto the tharlty trustees on my thminal¥on oftt* accOW￿ ofOex(*rTerrknWelfare (the (h3TItyj
forthe ￿￿rended 30June 2023.
A% the charitytrustees oftheTrustyou are resp￿ible1Orthe oftheaCc￿nts ￿ attordèn
'•rththe requlrwnents oftht c￿rflIe5Art 2011 Acn.
I report In r*spertOf￿￿eM1ffiIftatsOTh of thÈTnsVsacrLwnts carriedc4ft wthsecbon 145ofthe Artand
Sn orrytng myexam5ftatw)n I have fDl1ry￿a¥ applKablÈ thrertixtsglven bythètharity Commi54
urMler5ectlon 14515llbl ofts ACL
I hwe completed mY*xaminat￿. I conf*mttr*t noma*rial m*ter5 cometo myattetition In
torwRctlon wlththe eXam&￿tIOn81%￿nI me causeto b@Fkve that h any material r¢sppcL'
3CCOUntkng recoTd5 were not kepthi respect0ftt*Tn￿ a5 fwjlred bysection D) of the Act."
the accounts do not comk*th the ap￿a￿le rEquiremtYrt5 concemhitt*foTm and content gf
COLFnts srtout in the Charitl¢s (Accountsand Reports) fle8ul*ions 2(Thotherthan any wuirement
that the aUountsB￿4 true and falr blewvthkh is not a matter¢0￿ld￿edaS partdan Indeperh4ent
examlnatlon.
I haveno cO￿*m$ arvj havÈ comeacross ￿ other mattors iTr corffteulon wtth the exarnination to which
attenkn should be drawn in this report in trderto enable a proper undeistandir¥ of tr* acctyjnts to be
H. M. Day BSCFCA D
ICAEW
Tudorjohn Ltmlted
Nl8htln8ale
4&48 East Street
Ep50m
Surrev
Kf17 IHQ