## EQUINE PATHWAYS UK  1160850 

## ANNUAL REPORT 

## TRUSTEES 

## CHRISTINE STANLEY, MICHELLE EASTWOOD, SHIRLEY MEGSON 

The charity is constituted and Trustee appointed. 

## OBJECTIVES AND ACTIVITIES 

Our organisation is voluntary run and managed by a committee of dedicated volunteers who commit their time to supporting adults and children going through life changing and challenging situations, through its equine interaction based therapy/learning programmes. 

## ACHIEVEMENTS AND PERFORMANCE 

Our services to the public have been drastically reduced throughout this year due to the COVID 19 pandemic, we have followed government and local council guidelines and policies throughout this period to ensure safety to volunteers and public. 

Once open and up and running after lockdown, strict covid 19 measures were put into place to ensure smooth and safe running of activities could be resumed. 

## ACHIEVEMENT AND PERFORMANCE 

Our continued support for other third sector organisations, Engage Leeds, Amitola sheltered housing, NHS Leeds organisations and Wakefield mental health groups has been vital for their clients general wellbeing and mental health over this very difficult time, these programmes have been very popular and extremely beneficial. 

Our Young Lives Empowerment programme has been a major success, children have really struggled with mental health over this period and we have supported many children throughout this devastating period.  Parents and families attending have reaped the benefits of our services, we supported many children and adults in this period that have been at a loss. 

## FINANCIAL REVIEW 

Online donations linked to therapy session have really helped keep the charity afloat throughout this difficult time. 



Fundraising through our Bonus Ball monthly activity has continued throughout this period and has helped with running costs for our ponies and insurance. 

Barry Greene Memeorial Trust grant has enabled us to put plans into place to enhance our pony working areas and stabling for summer/autumn 2021. 

## OTHER NEWS 

January 2021 saw the arrival of 5 miniature rescue ponies, all in terrible condition welcomed into our stables to start their rehabilitation and education to become valued members of our therapy pony team. 

We also welcomed a new volunteer to our team, Gracie Taylor who has shown dedication and leadership and has brought a wealth of enthusiasm and skills to our organisation. 

Fantastic news for Sukie Smith one of our Young Lives Empowerment programme attendees has gained a place at Craven College, working towards her Equine Management qualifications and is totally enjoying the experience and doing extremely well!! 



EQUINE PATHWAYS UK
EPUK
FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31st MAY 2021
Contents
Pa
Profit & Loss Account
Balance Sh*t
Notes to the accounts

uine Pathwa
SUK
EPUK
Profft & Loss
For the Year Ended 31st Ma 2021
Profit & Loss
e Year Ended 31st Ma
For
2020
2020
2020
Income
Donations
Calendar Sa￿$
Fundraising
Grants
Others
55
8907
3814
600
17964
28164
13321
Less Ex
Equipment
Fundraising Expenses
Licencesllnsurance
Postage, Stationary & Advertising
DRB Checks
Horse Expenses
Volunteer Expenses
Subcontractors
Skip Hire
Syndries
Capital Intro
&n5es
1949
1520
70
3824
2189
7570
7354
730
750
12441
13519
ProfiVILossl
15723
-198

uine Pathwa
UK
EPUK
Balance Sheet as at 31st Ma 2021
Balance Sheet a$ a
31st Ma
2020
Ca
ital em
lo
ed
Opening Capital
Caprtal Introduced
Nel profit for the year
6033
105
15723
21763
198
6138
21763
Represented by :_
CURRENT ASSETS
Cash at bank
Cash in hand
21791
127
6265
6393
32
21823
Less".
CURRENT LIABILITIES
Trade Creditors
61
61
453
453
21763
5940

EQUINE PATHWAYS UK
EPUK
FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31st MAY 2021
Contents
Pa
Profit & Loss Account
Balance Sh*t
Notes to the accounts

uine Pathwa
SUK
EPUK
Profft & Loss
For the Year Ended 31st Ma 2021
Profit & Loss
e Year Ended 31st Ma
For
2020
2020
2020
Income
Donations
Calendar Sa￿$
Fundraising
Grants
Others
55
8907
3814
600
17964
28164
13321
Less Ex
Equipment
Fundraising Expenses
Licencesllnsurance
Postage, Stationary & Advertising
DRB Checks
Horse Expenses
Volunteer Expenses
Subcontractors
Skip Hire
Syndries
Capital Intro
&n5es
1949
1520
70
3824
2189
7570
7354
730
750
12441
13519
ProfiVILossl
15723
-198

uine Pathwa
UK
EPUK
Balance Sheet as at 31st Ma 2021
Balance Sheet a$ a
31st Ma
2020
Ca
ital em
lo
ed
Opening Capital
Caprtal Introduced
Nel profit for the year
6033
105
15723
21763
198
6138
21763
Represented by :_
CURRENT ASSETS
Cash at bank
Cash in hand
21791
127
6265
6393
32
21823
Less".
CURRENT LIABILITIES
Trade Creditors
61
61
453
453
21763
5940