REGISTERED COMPANY NUMBER: 07￿0￿n (England and Wales)
REGISTERED CHARITY NUMBER: 1140114
Unaudlted FIMndal StatrDMts for Ihe Yev Ended 31 Aupt X124
The N￿oll Partnership
24 Cold Bath Rowl
lknogale
)rtb Y(xkthire
HG2 IINA

The Wwlfleld FoundatlDD
Contents of the FIDanclal Sl#tenwits
for the Yeor Endal 31 August 2024
R¢￿t ofthe Trwtees
I to 2
Delxlkd Ststement ofTrknantlal A¢llTltles
io

The w(￿dde1d Follndalh)D
forlhe Year Ended 31 AJ8L8t%)24
The tsusttts who are al￿ di1&t￿$ rf the charity for the PUFK)ses d the Compani&8 Act 2(W wesent Iheir re[￿ with
Ihe financial ststemeots rf the Ch￿lty for the year ended 31 2(N. Tbe trusltrs bave •Jopted the provisions of
Acc(wnting and RepK*tin8 by awities: Ststement of Rec(rfnn*ndeAI Prxlice aNJlicatAe lo charities Neparing their
aLvJunts in accordance with the Rewtillg s￿￿11[d &t*'C￿le in the UK and RyNic of Ireland (TrRS 102)
(elTe£tive l January 2019).
Objectfvtt and alnL
The pincipl &tivities of £￿Y are to IxonK)te hunwe IKlwviour towards fami and (*her animals; prom(4e the
sav￿lOtt d breeds and bretAliog gw of dqMI￿1Ic ￿Mm11s. *JvanLing the ethicall(￿ of the pulAic o)n(trning the
cart and treattixnt of animals aDd the ¢(￿serVatiOn of vulnerable sFcies and rare animal breeds; and pMviding disabled
pu)pie with the oppK)rtUnity kn rilk andlor caniage dfive to i￿rit their I￿1th Bnd Well￿1￿8.
These xlivities will te (arried by maknng to
FINANaAL REVIEW
The allached fU￿la1 ststaMIts sknw the sts* of the fwanLts at the year t￿. The Inisttts ￿lIeVe that the
cawy's fIn￿￿La1 situalioti is s*lisfxtsxy.
The cbarity is controlled by its g(fferning a deed wtstitules a limited (x)mpny. limited ty
giiaranlK as defined by the Cwxes Act 2tffi.
OryanL4AdonAI slrD¢ture
The cmipaDy operated on a iwis aThl 18 a cknity. The trustees aTe re8F(K￿Ib1e for the overnll
(yr3(IpJn (Fngjand at￿ Waks)
Re&*rnl Ch8rlty m•nther
114KIl14
offlce
w￿lfIeld House Farni
Bislw Thorntoll
Notth Yotkshire
HG33 3JB
A H ￿E1)ugall Tn￿le¢
J EMcDoug411 Tn
M8 N R LCaw8ton Marketing C(Thultant
A H Mctknugail
Independent ExamlRer
David Norton
The Norton Partnershtp
Com Bath Road
Haffogate
Nonh Yorkshire
HG2 ONA
Page I

The W￿dfield Foundgthn
Rqx)rt of th¢ TrDste4s
for the Year Ended JI Augffjt 2024
The {￿MPanY was I￿o￿K)ra*A 31 Augusl XIIO by its Memorandwn and Articl&s of A&fociation to be compaDy
limited by guatante& In the eveni rf Ihe compally's windAng all its have agree&l to contribllte a sum not to
exceed £10.
The Cbarity W&8 regis*red with the awities C(xnmi&sV)ti 28 January 2011. No. 114K)114
ApEYoved by order d the oftrusk&8 on 25 Ctlober 2￿￿ WMI sigDul its behalf by:
A H MctkJu8211 . TTr￿tr

Indep¢ndent ExAminer'J Report to the Trwteu of
The Woodfield FoundalioD
Independent examlner's re￿rt to the trusteej of Th¢ Woodfi¢ld FouDdatK•n et￿ Company
I re￿rt to the charity In￿le¢S on my examinati(ffj of the accthuts of the Conipany for the year end￿ 31 August 2024.
Rejponsibllltles *nd b￿18 of report
As the ¢hwity's In￿¢49 of thc Company (and al￿ its di[￿ts f(* the purpm of wmpany law) you are lEs￿)nSible for
the preparation of the accounts in aLxothc¢ with the r￿PIrements of the Companies Act 21X%5 (Ihe 20(￿ Act).
Having satisfied MY￿Er that the ac(¥Nmts of the CLinpany are not to be &￿Ill&l ￿]der Part 16 of the 2(K)6 Act
and s￿ eligible for independent examination, I ryrt in Tespect of my examination of your charity's a(￿Ullts &s ca￿1
out under Section 145 of the ChaTities Act 2011 Cthe 2011 Act). In carrying out my ¢xaminalion I have followed the
Directions 8ivcn by the Charity Commission undcr Seclion 145(5) (b) of the 2011 ACL
IDdepend¢nt eiamlDer'• it•lenwrt
I have Complet￿ my examination. l ernfllin that no matters have c4xne to my attffltifA in ￿nne￿on with the
examination 8iNing m¢ cause to kli¢ve:
untin8 reconls wrfe not kept in r* of the C(￿pally 8s rquir￿1 by Section 386 of the 2(Kkfj Act. or
the accounts do not a¢wrd with th0￿ re¢(￿￿. or
the accounts do not o)mply with the ￿￿￿tiliti8 requimats of thtion 396 of the 2C(hS Ad other than any
irnent that the accounts ￿ve a ttue and fair view wkn'th is a matter wllsider&l &8 part of an llthpendent
examination; or
the aw)unts have Dot been prepar&1 in &C￿rdanCe with the meth(Kts and principles of the Statement of
R￿ornmend￿ Practice for a(wunting 8nd rwiing by clwitics (applic4ble to charities preparAng their aC￿￿llts
in a￿A)rdance with the Financial ReF￿￿g Stand8rd wh'cable in the UK and Repubb'c of Ireland IFRS 102)).
I have no r￿cernS and have LY)m¢ acn>ss no other matters in wnnection with the examination to whi¢h attention thould
David Norton
The Norton Parthership
24 Cold Bath Road
Harrogate
North Yorkshire
HG2 ONA
25 Oclot¢r 2024
Page 3

The Wty)dfleld Foundatlon
Statement of Flnancl81 Attfvitits
for the Year Ended 31 Auyst 2024
31.8.24
Unrestric*d
fund
31.8.23
Total
funds
Noles
INCOME AND ENDOWMEiYfs FROM
Donxtioi)s and legacies
65,980
74267
Other ITadin8 activilies
6.114
T(*al
79.663
80381
EXPENDITURE ON
ChArttsbk a¢tlvltles
Donation
95,188
8&197
Other
95.188
86259
NEf INCOMEI(EXPENDITURE)
(15J25)
(5878)
RECONCILIATION OF FiJNIKS
Toiai funds btoughi forward
89,443
TryfAL FUNDS CARRIED FORWARD
83565
The Doles forni part ofth¢8e financial statements
Page 4

The Woodfleld Foundadon
Statement of Fln&nelY41 Posltlon
31 Au8llSt 2024
31.8.24
Unro8tricled
fund
31.8.23
Total
runds
Noles
FIXED AssErs
Tangible asseib
323
CURREPn ASSErs
C&sh ai Iwik
83,242
NET CURRENT AssErs
&3.242
TOTAL ASSETS LESS CURRENT
LIABILITI&S
NEr AsS￿S
Unrt8lTiCted funds
The ch*itable company is entiiled io exemption from audii Under Secti¢M 4T1 of the Companies Act 2(K)6 for the year
ended 31 August 2(124.
The mernbers have nol requiTed the wmpany to obtsin an audit of its fijwicial sta*ments for the year ended
31 August 2024 in accordance with Section 476 of the Companies Ad 2(K)6.
The trustees acknowledge their rOS￿￿sibilIti￿8 for
(a)
ensuring Ihat the chatitsble cofflpwiy keeps accounling reconls that comply with Sections 386 387 of the
Companies Act 21J)6 and
prepwing financial staiements which give a true and fair VAew of the stste of affairs of the charitable company as
at the elld of each financial year and of its surplus or deficit for each financial year in accordance with the
tequirements of Sections 394 and 395 and which otheTwise comply svith the requirements of the Companies Act
2(K6 relating to financial slalements. so far applicable to the chatitsble compauy.
(b)
These fmancial stalements have preparol in ac£ordance with the provisions applicable to chatitable companies
subject to the small comp)anies regime.
The financial statements were apwoved by the Board of Tru5W and auihorised for issue on 25 OciobeT 2024 and were
signeAJ on its behalf by:
A H McLk)ug811- Trustee
The notes fonn part ofth&se finauciaj statements
Page 5

The Woodfleld Foundath)n
Notes to the Flnanclil Ststements
for the Year Ended JI August 2024
AccouwfiNG POLicIrs
Basls of prepqrln8 the Iln#n¢l•l stst¢ments
'rhe fii)ancial sllllenK'I)Is of Ihe cliarilablL company. which is a public benefit entity under FRS l(r2. have been
PrL'par￿ in acL'oThJwiLc will) IIIL Churilicts SORP (tRS 102) 'Accounting and Reporting by Chartties: SL2￿Men1
of Recoinilieiid￿l Praclice appli¢Jblc lo ClU￿111cS prcpuring iheir accounls in accordance with the Financial
Rewiing Slwldard applicllljle iIi the UK and Republi¢ of Ireland (FRS Iff2) (errective l January 2019),,
Financial Reponing Sland4rd 102 The Financial Reporling Slandard applicable in the UK and Republic or
Ireland, and Ihe Companies Act 2(N)6. The financial statements have been prepued under the histo11c￿ cost
convciltion.
Income
All income is recognised in the Ststement of Financial Activities once the charity h&$ entillemeni to the funds. it
is pN)bable that the income will be received and the amounl can be M￿Ure{l reliably.
ExpendlturE
liabililies are tecfjgnised as ex￿nditUTe a8 soon as there is a legal or conslrnctive obligation committing the
cjwity to thal expendilurq il is probable that a transfer of economic benefits will be required in seltlement and
the amount of the obligation can ￿ measured reliably. ExpeThlItu￿ is accounted for on an wuals b&8is and has
been cla&sified under headings thal aggregate all cosi related to Ihe category. WheTr cosL8 cannot be directly
attribuled to particular headings they have betn allocaled to activities on a iwis consislent with the use of
Grants offered subject lo conditio￿9 which have not i*en met a¢ the year end date are noted as a commilmen¢ but
not accrued as expEndilure.
Tanglble fixed assets
Depreciation is provided at the following 8nnuaJ rates ift order to write off each asset over its estimaied useful
life.
TaxAtlon
The clwity is exempt from Cory￿ratIoll tax OD its eharitsble activities.
nd ae¢ovntln8
Unrestricled funds can be used in accordance with the charilable objectives at the discretion of the truslees.
R￿trIcted funds can only be used for particular reslricted purpoK8 within the objetts of the clwity. Restrictions
arise when spetified by the donor or when funds ate raised for particular restrtcted pUr￿ses.
Further explanati(￿ d ihe nature and purp)se ofeach fund 18 included in the notes lo the financial statenxnts.
OTHER TRADING AcfiviTIL8
31.8.2A
31.&23
Fundraising events
13.683
6,114
Page 6
continued...

The Wo(bdQeld Foundath)n
Nots to the Flnanclal Ststements- contlnued
ror the Year Ei nded 31 August 2024
N￿r INCOMEIIEXPENDITURE)
Net ilicomel{￿pclldIlU￿} 15 slaled after ch8Tgingl(crediiing):
3 I.8.2A
31.8.13
DeP￿CIatiOn - ownfyl ￿e(S
313
324
TRUSTEK8' REMUNERATION AND BENEnl
There were DO tTUSttts' JEmuneratioo or other benefits for the year ended 31 August 2024 nor for the year ended
31 August 2(I23.
There were no trust￿, expellses paid for the year ended 31 August 21Y24 nor for the year ended
31 August 2023.
STAFF COSTS
The average mond]ly oumlKT of employees duting the year was as follow&
Trnstees
31.8.
31.8.23
No employees re￿ived emoJumeDts in excess of th),(KiO.
COMPARATIVLS FOR THE STATEMENT OF FINANCIAL ACTIVITIES
Unrestricted
fund
INCOME AND ENDOWMENTS FROM
Donations and le￿cleS
74267
Other trddillg activities
6.114
Total
80381
EXPENDITURE ON
Charltabk aetmdes
Donation
86.197
Other
62
Totsl
86.259
NEf INCOMFJ(EXPENDITURE)
(&878)
RECONCILIATION OF FUNDS
Total funds brought forward
89.443
TcyfAL FUNDS CARRIED FORWARD
Page 7
continued...

The W(￿￿fleld Found4thin
Notes to the finanelal Ststements- conthiutd
ror the Year Ei nded 31 August 2024
TANGIBLE FIXED ASSETS
Fixtures
ritlings
COST
Al I September 21713 and 31 Augusi 20
DEPRECIATION
At I September 2023
Charge for year
6.180
5.857
323
At31 Au8USt2024
6.180
NEf BOOK VALUE
A131 August20
At3 l Augllst 2023
323
MOVEMENT IN FUNDS
Net
movemenl
in funds
At
31.8.24
At 1.9.13
Unrestrkted tsnds
Gener￿ fund
(15525)
TOTAL FUNDS
83565
(15J25)
Net movement in funds. included in the aLKwe are as follows..
Incoming
reSoUr￿S
Resources
expended
Movement
An funds
Gene￿ fund
(95,188)
(15J25)
T(xfAL FUNDS
(95.188)
(15.525)
Comparatfves for movenjent In funiL8
Net
movemeut
in funds
At
31S.23
At 1.9.22
Unrestsleted funds
Gener￿ fund
(&878)
T(yfAL FUNDS
89.443
<5.878)
83565
Page 8
contiuued...

The w0(￿ne1d fiound4tk•n
Notes to the Flnanclal Ststen￿￿ts- eonthiued
for the Year Ended 31 Au8USt 2024
MOVEMENT IN FUNDS- c•ntInu￿1
Compardtive nel m0ven￿nI in fuiKls, included in the above are as follows:
Incoming
T￿OurCeS
Resources
expende4J
Movemenl
in fumls
Unrestrteted fonds
Gener￿ fuiid
80381
(86259)
(5878)
80381
(86259)
(5.878)
A current year 12 months and prior year 12 months combined ]y)sition 18 as f(4lows:
Net
movemeDI
in funds
At
31A.24
At 1.9.22
Uni*stslcted
Generni fund
{21.4￿3}
89,443
(21.403)
A cutrent year 12 months aw1 Prior year 12 months combined llel movemenl in fund& included in the aiK)ve are
as folloTrvs:
lttcomillg
Resources
expended
Movement
in funds
Unrestrlcted fvDds
Generdl fund
I￿,044
(181.447)
(21,403)
T(yfAL FUNtK8
l(A).044
(181.447)
(21,403)
RELATED PARTY DISCLOSURES
There were no rela*d party transacti(K￿ for the year ended 31 August 2024.
Page 9

The W(K)dfield Foundadon
Detalled Ststemtnt of Flnanelal Acllvltles
for the Year Ended 31 August 2024
31.8.24
31.8.23
JNCOME AND ENDOWME
Donadons and legacles
Donations
65.980
74.267
Other tradlng actlvlu
Fundrdising evenls
6.114
Total Ineomlng resources
79,663
381
EXPENDrruRE
Charftabk acllvllk5
Vet costs
Conlrdctor remunerntion
Behaviourist charges
farkeAing
Sundrtes
Fixtures and fittings
Grants to instilutir￿s
17J74
18223
450
758
323
55.061
2(Kl
324
65.697
86.135
Support costs
Management
Insurance
Batth charges
124
Tolal Ksources expended
95.188
Net expendltnre
(15.525)
{5.878)
This page does noi fonn of the srathtory financial slatements
Page 10