2022 UK WILD OTTER TRUST ANNUAL REPORT OF ACTIVITIES
NEW REHABILITATION CENTRE:
We moved premises to a larger, easier to manage site of 2 acres by kind permission of our Hon: President The Earl of Lichfield.
The site now comprises of 20 purpose built otter cub rehabilitation enclosures, 1 site hospital room, 4 indoor cub monitoring rooms with water & electric on site for such purposes.
REHABILITATION OF OTTER CUBS/ADULTS:
2022 saw an upturn in the number of orphans needed our help. 2021 saw us deal with 22 in with 18 released back to the wild. 2022 saw us receive 32 in and release 26 back to the wild. All of our rehabilitation work is carried out with the support of public funding. We are of the opinion that more are being found and brought to us as a result of people still working from home as a result of Covid.
FISHERY INVESTIGATION WORK:
We had several calls regarding the alleged, suspected wrongdoings or illegal persecution of otters. Fisheries were visited and illegally set traps were removed under Police presence and destroyed. The owners of the fisheries were educated on the law and are unlikely to replace traps at these sites. No prosecutions were brought forward in these cases.
PLANS FOR 2023:
Our goals for 2023 are to install a 2[nd] cub hospital room on site with a 2[nd] weighing shed. Once this has been completed, we will have reached our goal in terms of the rehabilitation unit. This work will increase our capacity to 40 animals.
UK WILD OThER TRUST HEAO MILL UMBERLEIGH DEVON INCOME & EXPENDITURE ACCOUNT FOR THE YEAR ENDED 2nd MAY 2022 MEADOW BROOKACCOUNTANCY I DUKE STRE SOUTH MOLTON DEVON
Independent Examiners Report Basis of Independent Examlnerfs Statement: My examination was carried out in accordance with general direttions givell by the Charlty Commission. An examination includes a review of the accountlng records kept by the charity nd comparison of the accounts presented with those records. It also include5 consideration pf any unusual Items or disclosures in the accounts and seeking explanations from the trustees oncerning any such matters. The procedures undertaken do not provide all the evidence that would be requlred in an audit, and consequently no oplnion is given as to whether the accounts presented a true and fair view and the report is limlted to those matters set out in the statement5 below. Independent Examiner's Ststement: In connectlon with my examlnatlon, no matter has come to my attention: l. whlch 8ives me reasonable cause to belleve that In, any material respect, the requlrements- to keep accounting records In accordance with 5ectlon 130 of the charities act. to prepare accounts whlch accord wlth the accounting records and comply with the accounting requirements of the charities act have not been met; or 2. to whlch, in my opinlon, attention should be drawn In order to enable a proper understandln8 of the accounts to be reached. Sl8ned'. C ¢-- Date.. Name: C A 14pi** Relevant professlonal qualification or body..
UK WILD 0ER TRUST INCOME & EXPENDITURE ACCOUNT FOR THE YEAR ENDED 2nd MAY2022 2022 2021 RECEIPTS Grants Donations & adoptions Sale of merchandise Gift aid Membershi Fundraiser Bank interest received S.00 33,715.41 5,275.00 152.90 24,477.02 5,362.27 25.00 1,217.73 0.16 0.13 39,643.44 31,082.18 PAYMENTS Purchases of merchandlse ladlusted for stock Feed and beddin Veterina costs Equipment Re alrs & maintenance Workwear Motor expenses Public liability insurance Advertisin Posta e & statlonery Computer costs Subscriptions & sundries Van hire Professional fees Water charges Phone costs Travel costs Donations Interest aid 5,159.72 4,562.64 346.86 849.86 10,263.27 153.ljo 2,314.51 144.20 141.48 164.63 80.74 289.79 105.00 263.20 41.22 4,407.60 2,176.(K) 421.74 1,328.50 14,260.36 230.99 659.42 144.20 109.59 834.20 341.61 486.52 io.(MJ 257.41 1,797.65 2.03 34,880.12 27,467.82 8alan¢elsl brought forward (from previous yearl 6,649.41 3,035.05 Balancelsl in hand at year-end 11,412.73 6,649.41
STATEMENT OF A55ETS AND LIABILITIES Asset5 Fixed Truck Trailer L200 Truck Stock of merchandise sold 5th July 2021 sale proceeds £3,400 purchased 29th December 2021 purchased 10th January 2022 3,400 2,000 4,500 2,51JO 9,1)00 Current 2,500 5.900 Cash and Bank balances In hand Bank Buslne55 account Savings account 412.53 2,OCrf).20 2,412.73 49.34 700.07 749.41 TOTAL 11,412.73 6,649.41
UK WILD OThER TRUST HEAO MILL UMBERLEIGH DEVON INCOME & EXPENDITURE ACCOUNT FOR THE YEAR ENDED 2nd MAY 2022 MEADOW BROOKACCOUNTANCY I DUKE STRE SOUTH MOLTON DEVON
Independent Examiners Report Basis of Independent Examlnerfs Statement: My examination was carried out in accordance with general direttions givell by the Charlty Commission. An examination includes a review of the accountlng records kept by the charity nd comparison of the accounts presented with those records. It also include5 consideration pf any unusual Items or disclosures in the accounts and seeking explanations from the trustees oncerning any such matters. The procedures undertaken do not provide all the evidence that would be requlred in an audit, and consequently no oplnion is given as to whether the accounts presented a true and fair view and the report is limlted to those matters set out in the statement5 below. Independent Examiner's Ststement: In connectlon with my examlnatlon, no matter has come to my attention: l. whlch 8ives me reasonable cause to belleve that In, any material respect, the requlrements- to keep accounting records In accordance with 5ectlon 130 of the charities act. to prepare accounts whlch accord wlth the accounting records and comply with the accounting requirements of the charities act have not been met; or 2. to whlch, in my opinlon, attention should be drawn In order to enable a proper understandln8 of the accounts to be reached. Sl8ned'. C ¢-- Date.. Name: C A 14pi** Relevant professlonal qualification or body..
UK WILD 0ER TRUST INCOME & EXPENDITURE ACCOUNT FOR THE YEAR ENDED 2nd MAY2022 2022 2021 RECEIPTS Grants Donations & adoptions Sale of merchandise Gift aid Membershi Fundraiser Bank interest received S.00 33,715.41 5,275.00 152.90 24,477.02 5,362.27 25.00 1,217.73 0.16 0.13 39,643.44 31,082.18 PAYMENTS Purchases of merchandlse ladlusted for stock Feed and beddin Veterina costs Equipment Re alrs & maintenance Workwear Motor expenses Public liability insurance Advertisin Posta e & statlonery Computer costs Subscriptions & sundries Van hire Professional fees Water charges Phone costs Travel costs Donations Interest aid 5,159.72 4,562.64 346.86 849.86 10,263.27 153.ljo 2,314.51 144.20 141.48 164.63 80.74 289.79 105.00 263.20 41.22 4,407.60 2,176.(K) 421.74 1,328.50 14,260.36 230.99 659.42 144.20 109.59 834.20 341.61 486.52 io.(MJ 257.41 1,797.65 2.03 34,880.12 27,467.82 8alan¢elsl brought forward (from previous yearl 6,649.41 3,035.05 Balancelsl in hand at year-end 11,412.73 6,649.41
STATEMENT OF A55ETS AND LIABILITIES Asset5 Fixed Truck Trailer L200 Truck Stock of merchandise sold 5th July 2021 sale proceeds £3,400 purchased 29th December 2021 purchased 10th January 2022 3,400 2,000 4,500 2,51JO 9,1)00 Current 2,500 5.900 Cash and Bank balances In hand Bank Buslne55 account Savings account 412.53 2,OCrf).20 2,412.73 49.34 700.07 749.41 TOTAL 11,412.73 6,649.41