Umudtted Ststem¢Ats fw the Ye*r F￿at￿ 31 2023
24 Cold Bttth Rowd
Harrogate
HG2 ONA

Th¢ W￿dfield Found*th)
Contsnts of tbe Flnanclal Ststem¢nty
for the Year Ended 31 August 2(123
Report Dfthe Truthes
1 ￿ 2
lthdepeDd¢nt ￿￿E￿￿tr,8 Rtport
sthterne*t of Fin￿d￿ Atdvld
ststement ofFkn1lld￿ Poslth)n
Not￿ to the FlJ*ndal Ststements
Drt￿￿d Ststement of Flmandll A¢tlvlth•
io

Th¢ W￿lfie￿I Foundatlo
Report of the TnE#tts
for the Yexr Ended 31 All￿$t 2011
The ttwtees who w¢ also dirttior5 of the ¢b8tity for the of the Collpo0ie5 A¢t 2¢M￿, presffit their report with
the fthoncial ststem¢nts of the ¢knity for the yes eNl&l 31 Au8lLSt 2023. The trustees bav¢ the proviskons of
A¢¢ountsDg alld Re￿rtIng by ChaTiti&%'. Siat¢ll*th OF RfK(XDm￿ Pta¢tice 4TJlw4bk to chan'ties prepèn￿ their
a¢¢ounts in aC￿rda￿tt with th¢ Finanwi RwtsDg Standud aFylicable in th¢ UK 8￿j Repthlic of Ireland (FRS 102)
{eff￿tIV¢ l Jalluary 2019).
ObJ¢ctlvri and *lms
The ￿inCiPal activiti&s of the cojwy art to rrfonN)te b￿nd￿ beh*vic4w knwatds farm and other 8nimais' promot¢ thc
pttservation of breeds and Ixwjing w of Ik)ttiesti¢ anima]s' wJvanciuB of the public concerning the
care and treatmeni of ￿lme15 8￿j consavats'on of W]ne￿Ie srrcies a￿1 Are anirn￿ 8nd providw disabled
pwle with tho OPPLMThmity to ride aniVtye8rria8e thiiK to twefft thewhealth well￿]n&
These activiti¢S will be carrird LNt bymaknng gr￿ts to wis￿.
FINANCIAL REVIEW
Re8erv¢5 poII¢y
cornpany's financi&l situAtiQn 18
STRucfuRL GOVERNANCE AND MANAGEMENT
G0Ven￿n¥ d￿ll￿¢￿t
The chanty is contyolled by its gov￿]ng d(Kimrf A de*1 of a limited compfiny, ihmited by
8uar8ntee, as defLoed by the CompaD1￿ Ak# 2(￿.
OrgAnl¥#tloDal $trn¢iiire
Th¢ company opcrat¢d on a not.for.profft btsis 18 O ¢hanty. The tn￿te*S 8re respoDsiTr+le for the overall
rnanwwi and L*ntrol orth¢ ryjmpany.
REFERENCE AND ADMINISTRATIVE DETAILS
Regtstered Cornpny Dumber
07360977 IEll814nd Wales)
Reglltered ChaTIty ll￿mber
1140114
Re*tered offl¢e
Wotylfield House Fami
BishLW Thomton
HwTogat¢
North Yorkshi
HG33 3JB
Trnste
A FL M¢Dougall TTr￿tee
Mrs. J E McDougall Tn￿te¢
M5 N K L Cw5ton Marf<dirt8 co[￿11•￿t
Company Secret
A H McDou8811
Independent Examlner
David Nonon
The Norton PartDaship
24 Cold Bath Road
H3m)8at¢
North Yorkshire
HG2 ONA

TheW•odfleld Found￿
forth• Y¢*r Ended 31 AW J)23
exced £10.
Th¢ ￿¥jIty 28JrOj￿ ￿11. 1140114
AH￿.T￿￿e

Jnd£pendeDt Exathr's R¢port to the Trustee8 of
The w(￿field FoulldidoD
llldependent ¢xamin¢r'8 rep)rt to the trusteej ofTbe Woodlldd FDund*tlon {'the Comp9ny
i rwttothe charity trus*es on my examination of the accouttts of the Cowy forthe y¢8r ended 31 August 2023.
Rapon￿bIlItIeS *Dd basb ofreport
As the charitys tsvsttts of th¢ Cowy (and dyo its dirtctors foT the pu￿0$¢8 of cowy Law) you grc respoMs1￿le for
tbe pTep8ratiOll of the acc(xmts in accordancc with the r4uiT¢tllcnts ofihe Companies Act 2(K)6 ('the 2006 A¢¢1.
Havin8 satisfied myself that th¢ accounts of the Company ￿ not r4Usrd to be audited under Part 16 of the 2006 Act
and are eligtble for independent examination. I report in respect of rny examination of your ¢1￿7ty's wounts a8 carri
out under gectiort 145 of the Charities Act 2011 Vthe 2011 Act). In carryll￿ Wt my examination I hav¢ followed the
Directso7s givcn by the Charity Commission under Section 14515) Ib) of the 2011 Act.
IDdeptDdent exanthier'j statem¢Dt
I have completed my ¢xamillation. I conf]rn) that no matters have come to n)y atl¢ntiOD in c4)nnection with th¢
examintitiott 8ivinB me cause to believe:
a¢couDtin8 rewrds were uotkept in ttspect of the Cwatty as requir￿1 by Section 386 of the 2fA>6 OT
the accounts do not accord with those r¢cords; or
thc aecounts do not comply wkth th¢ accountin8 requirements of Sextion 396 of the 2[￿ Act other thall any
uiremcnt that the a¢¢ounts 8iV¢ O true and fair view which is not a mattu considered as of an ind¢pend¢Dt
amin8tiOt); or
the &eeounts hav¢ not been prepa￿d in accord￿ with the methods as￿ winciples of the St&t¢ment or
Re¢omfflended Practice for accounting ond reroning by charitie8 {applicabl¢ to ¢horiti¢$ pr¢p8riA8 their account5
iti ￿COrdanCe with the Financial Reporting Standard applicable in the UK and Rrpubli¢ of Ir¢18￿] (FRS 102)).
I have concerns and have come a¢ros8 no otheT rnatteTh in conrKction with the ¢xaTnination to which &tt¢nti¢)n should
b¢ drawn in this Ifport in order to enablc a propcr und¢rst8ndw of the aeccrtmts to be rached.
D&vid Norton
The Nortan P8Ttythip
24 Cold Bath Road
Harroghte
North Yorkshirt
HG2 ONA
10 November2023

ststement ￿￿￿#￿£1￿1 Actlvities
for the Year Ended 31 August 2023
31.823
31.8.22
Total
funds
UYCOME AND ENDOWMENtS FROM
74267
88211
thjnauons 8rwJ legacies
6.114
6.976
Oth¢r trading aetivitie6
80,381
95,187
Totsl
EXPENDITURE ON
Raising fun(ts
15.508
111,846
Ch•rlt•ble ￿tly1￿
Donation
7Q689
93,622
86259
112.468
Totsl
NET INCOMFJIEXPENDrruRE)
(5.878)
(17,281)
RECONC]LYATION OF FUNDS
Total funds brou8hi fmvard
89.443
106,724
83565
89.443
TOTAL FUNDS CARRIED FORWARD

￿￿2023
31.&23
31.8.22
FIXED Assrrs
323
617
83242
,7
83242
796
65
89,443
83565
¢fyts131 Au8u* 2023.
31 Au8usI ￿23 io w#b 476dtheQYwK¥Aal)
?iploll its tthlfby:
bJ)
A HMctkn8•ll. Trn*¢

The Wwdfield Found*th
the FIna•d￿ statWDe￿ts
for the Year Ettd¢d JI August 2023
ACcoir￿TING POLIC
BASIS of preparfng the fin#nd*l stattmrnts
The finan¢ia] #atell￿ts of the chan"tkble compw. vAJicb is a wb]ic bel￿fil entsty under FRS 102. have b
prepared in accorth with the Chant￿5 SORP (FRS 102) 'AmN]nling and Rwting by Cbaritics.. Statemcnl
of Reconunended Prx¢i¢¢ a￿lICable ￿ ¢lJarities Tryolln8 their accounts tn accoTdan¢¢ with the Financial
Rep)rting Standard wli(xble in the UK aThl Ryblic of Irel8nd (FRS i¢r21 (eff￿1Ve l J8nuary 2019),.
Fin8ncia] Reporting Stsndard 102 Tr FirotKial Rcpxting Starmlard applirAble in the UK and Republic of
convention.
ID¢OID¢
All incorne is rte0gn￿ in the Sthtemcnt of Fiuancial Activities on¢¢ th¢ has entitlement to th¢ fAmds. it
1$ probable thAtthe ittom¢ vrill be received a￿1 the an￿U￿t can Measu￿ ￿lIablY.
Expenditure
¢hAriry to that wendiiure, It 18 proEAbie that a transfer of ec0￿MI¢ be￿fits wtll bt required in gettlement and
the an￿Unt of the obligation can be tt)easured reli8bly. Eywjith is rnted for OD on accru￿$ basis and has
E¢en classified utthr headings that a88reBa* ail reknted b) th¢ eate80ry. Wh¢]r casts wJTh)t be directly
attrib￿r>j to bwrncular hudw8s they trAv¢ bt4m ailocatyj trj P£t1V￿"¢8 on # with the use of
Grants offtred subieet to conditi￿$ wbi¢h bave met 81 the year ￿ d•t¢ u¢ a c4)tillnittnen¢ but
not a¢cruoJ as exp￿￿ltsWt.
Tan8lble flied *uets
Dcprcciation is providal ¥t thc followiD8 iti ordty to vnite off e¥b a88el over ity e81in]a*d u5¢r
life.
Taxation
The charity is exempt from worati￿ tsx ￿ its¢TrAnt•bl¢ ¥tiviti
FuDd Acctsllnthig
Restrit*d fund8 ¢8D only ￿ used for restr1th￿ within the Obi￿ts of the ¢h8rity. Restrictions
OTHER TRADING ACTIVRTIFS
31.8.23
31.8.22
6.114
6,976
Page 6
continud..

The WOod￿d FOu￿d￿tE0￿
Notes t• the FIn*ntI￿ St•t¢m¢nts- conlinued
for the Year Ended 31 Augllst 20LI
NET INCOMVJILXPENDMJRE)
31.823
31.822
324
1545
TRUSTEES, REMUNERATION AND BENE
31 August 21722.
Trultett, expen
31 August 2022.
STAFF COSTS
The average numberof ¢mployets duriti8th¢ y¢arv4ts ￿ foJh)ws:
31.8.23
31.822
unTestri¢t￿j
tund
INCOME AND ENDOWMETh FROM
DonatlOTL5 and l¢8xies
88211
Othcr tradin8 8eiTVitie8
6,976
Totsl
95,187
EXPENDITURE ON
R￿'SIng funth
18.846
Ch•rltAble Atlfvit
Donation
93,622
Totsl
112,468
NET INCOMEJ{EXPENDITURE)
(17281)
RECONCILIATION OF FUNDS
106.724
TOTAL FUNDS CARRIED FORWARD
89.443

The WDDrlfiehi F•u*datioA
Notes to the FInart¢1￿ St*wts- eoDlimMed
for the YeAr Ended 31 AUg￿$t 21
Fixthtres
fittings
COST
At I Sep¢¢nth¢r2022 8ts131 Augwt 2023
6.180
DEPRECL4TION
At I Septcttiber 2022
Char8c for year
5.533
324
At 31 Au8U8t 2023
5,857
NET BOOK VALiJE
At 31 August 2(n3
323
At 31 August 2022
647
MOVEMEiYf I]¥ FUNDS
Net
At 1.922
31.8.23
Unrestrl¢ted
89,443
(5,878)
83.565
T(YfAL FUNDS
89.443
15,878)
83,565
Net movement in fimth. Incl￿ in the alw follow8:
Movement
expthl in fimd8
80J81
(86259)
(5.8781
TOTAL FUNDS
80J81
{86259)
(5,878)
Comprntlveo for rnoverntht
Net
movemcnt
At
31.822
At 1.9.21
UnrestrlLrted fthidq
1(fj724
(17281)
89.443
TOTAL FUNDS
106.724
{17281)
89,443

The W￿d1[eld Foulld*tto
Notes tij the FIDanela] state￿e￿I%- ¢Ontlnu¢d
for the Year Ended 31 August 2023
MOVEMENT IN vifNDS. continued
CowtiY¢ n¢t n￿Y¢M¢nt ID fund& included iD th¢ above arc as foll¢)ws:
tncotning
resour¢¢8
ResourceJ Movement
expendtd
in futMIs
Unrestrfcted funds
G¢n¢ra] fvnd
95,187
1112.468)
{l7,281)
TOTAL Fuf4DS
95.187
{112,468)
117,281)
A current year 12 monthg 8nd pior y¢4r 12 months eombined position is 85 follows:
Net
movcmetti
in fwid8
At
31.8.23
At 1.9.21
Unresttlcted fundi
Generdl fvnd
100,724
(23.1591
83565
TOTAL FUNDS
106,724
{23,159)
83.565
A curreDt y¢aT 12 months and prior year 12 montlLs cornbintsj rtet mov¢ment in fjJnd4 included ill the above are
follow$'.
Incomin
Mtsvem¢nt
in fijnds
expended
UnreBtrlcted fullds
Gcncral fimd
175,568
(198,727)
{23,159)
TOTAL FUNDS
175,568
{198,727)
(23,IS91
RELATED PARTY DISCLOSURES
Thcr¢ w¢Jr no r¢lated paty tra￿￿tiOns for theyear ended 31 Au8U8t 2023.
Page 9

Tbe Wfjodfield Fovndatlo
D¢tsiled ststeMentofFi￿0d￿l Aedvltks
for the Year Ended 31 August 21J23
31.8.23
31.8ll2
DonatioAs and legades
Di)oatiu]]s
74267
88211
Other tradlng #¢tlvl¢les
Fundrnising events
6.114
6,976
Total kncomlng ruourc¢s
80,381
95.187
EXPENDITURE
Ral8lng doaadons 4nd leKAcki
Contractor reMW￿ratiOn
15,508
18,119
Other trAdlrtg actlvlde4
Purcha5CS
727
Chllritsbk aetlvldei
Adoption prepsrnthon e08ts
163
4,406
200
324
65.697
Sundn.
Fixtur&s and fittings
Grants ￿ institytion8
9.509
1,545
82,219
70.627
93.436
Support costs
Managemcnt
Tftsuronce
Fln•n
Bank¢bar8es
124
166
Totsl re*)urces ¢X￿nded
86,259
112.468
Net expendltwe
(5,878)
{17,281)
This pag¢ doc5 Ilot fornpart of the statutory finau¢iai strdtelllents
Pwlo