Three Countles Dog Rescue
CHARITY COMMISSION REGISTERED NO. 1170606
FINANCIAL STATEMENTS
for the year ended
31 March 2024
"To accep( carn for. and find homos for unwanted. los( and stray dogs."
01778 424953
07708 589792
rhrfe ¢
Dog Rescue
www. tliretjcou n tILJsdc)&Tre&icue.or

Thvee Counties Dog R￿u8
Flnancial Stat￿nts
for the yoar ènded 31 March 2024
Contènts
Pag
Chanty Infomatson
Report of the truste88
2to4
Independent examinerfs reprKt
Statement of Finanaal Activty
8alance Sheet
Notes to th8 Financial Statements
81011

Throe Counties Dog Rwcue
Charfty Infomiation
for tho year endod 31 Mar¢h 2024
Boanl of Tru8tee8
Mrs G.R. Mauchline
Mr M Mauchline
Mrs A Andrew
Mrs J Kettle
Chainnan l Head of Three Counties & Trustee
Secretary l Treasurer & Tnjstee
Trustee
Trustee
Charlty Number
1170606
Rogl$t•rod offlce
High Park Cottage
Kirkby Unde￿00d Road
Aslackby
Sl8aford
Lincolnshir8
NG34 OHP
Charlty lo¢atlon
Three Counties Dog R8s¢ue Kennels
37 Spalding Road
Bourne
Lincolnshire
PEIOOAU
Independgnt Examln•r
Ken M8ggs BA, FCA
Hoekman Way
Spalding
Linc$
PE113HE
84nkor•
The Cfroperative Bank
PO Box 250
Skelmersdale
WN86
Pag¢: I

Thrne Counties Dog Rescue
Report of the trust988
for the year ended 31 March 2024
The Trustees have pleasure in presenting their report and the finanual ststements for the charity for the year
ended 31 March 2024
The trustees have adopted the provisions of Accounb"ng and ReForbng by Charities.. Staternent of
Recommended Practice applicable to charibes preparing their accounts in accordance with the Financial
Reportsng Stsndard applicable in the UK and Republic of Ireland (FRS 1021 issued in 2019 in preparing the
annual ￿port arsd financial statements of the tharity.
STRUCTURE, GOVERNANCE AND MANAGEMEKr
Th8 charity is a Charrtable Incorporated Organisation registered wth Ihe Chanty Commission in England and
Wales on 7 December 2016 under rts Constitution of a CIO FoundatMIn.
ReGrultm8nt and appolntmont of trusto
Apart from the first charity trustees, every trustee must be appointed by a resolution Pass￿ at a property
Convened meeting of the chariti'es, tfustees.
In selecting indivKluals for apFoinlment as charity trustees, the charity trustees musl have regard to the skllls,
knowledge and experience for the effectNe administration of the CIO.
Infomalion on the trustees and charty can be found on page 1,. 'Charity infonnaty'on,.
OBJECTIVES AND ACTIVITIES
ObJoctlve8 and •lm8
The charilabb objectives of the chanty are to accopL care for and find homes for unwanted, lost and stray
dogs and cats and lo (elieve the suffering of such animals in need of care and attention. The activil*s Include
the provision and maintenance of rescue homes and fac11rt￿ for the reception. cara and treatment of such
animals.
The Trustees have conS￿ered the chanb.es Commission's requirement In respect of Public Benefit when
reviewing our aims and objectives and in pkqnning future ath*it￿s.
The Charity und&rtakes a range of athitie$ in pursuance of ils charitable alms. The Trustees consider that
these activities provide tenefit as are dela'led in both the Achievements and perfom)an* section plus the
Chairfs report on page 2.
ACHIEVEMENTS AND PERFORMANCE
Slgnmcant actfvitl•s
Summary of the years achievements.
Continued lo impn)ve the kennels and surrounds,
Improved the lives of 118 dogs and cats,
NeLrtered 87 dogs arKI eats,
Successfully promotsd our boarding and cremation servKes.
Achlov•ments again•t obJ•ctlve•
Rghoming
We improved the lives of118 dogs and r2ts In ts year.
Our leam of volunteer supporters. regulady come to the kennel$ to exercise, s￿laIl$e and encourage the
dogs in our care. Some doJs arrive at the kennels in a traumatised condrfoon and our team spends one to one
time with them until they are restored to a happy and relaxed state and ready for re-homing. This requires
infinits patience but SUW8ssfvI outcomes are very rewarding.
Numbers in the kennel$ and cattery grew through the year and V•P ended the peric•J with a record 55 d¢>Js and
19 cats there.
We also had 34 dogs and cats in long term foster care.
Page.. 2

Three Counti•s Dog ReKue
Report of the truste8s (¢ontinuedl
for the year eThd￿ 31 Marth 2024
A¢hSevements agalnst obje¢tiVOS {¢ontlnu•d)
Rehoming Icontlnued)
The considerable expenditure needed to bring dogs and cats that come to us, back to fijll health have meant
vel costs have nsen sleepty. Rising costs Y￿re also driven ty the grtrwing numter of elderly dogs in long term
foster homes and those in the kennels.
Thre• Counties continues rts policy of not destroying a dog or cat unless its qualty of lrfe makes11 fairer lo do
so, or it is a danger to staff and volunteers. but this feals to a grthmng number of older dogs wtth us In the
kennels and In foster ca￿.
We conts'nue to see a mark&J Increase in dogs tought through the internet and relinquished to us when a
mistake has teen realtsed. Together vAth reiats"onship break ups. moving to rented accommodation wher8 th8
landlord does not albw pets arKI prO￿eMS with mixing young chihjren and dogs, these form the most common
reasons for parttng a dcg.
Flnancial rnvl•w
VeteAn•ry a¢tlvlty
87 animals were neutered in the period and 318 varxinations carried
We have all th& animals comlng into our care checked by our Vet and often they havè ailments that need
attention. Veterinary costs have increased again wth an average of 62 animals receNing treatment every
month. The cost of this care is a major part of our total expenditure.
Annual expondftuv•
Revenue expendrture {net of VAT recovery) relatrng to the Per￿ 2023 to March 2024 and including shop
costs was £366,835 {2023.' £332,686).
The maln rtems of expenditure are".
Kennel Costs {Wages, Pet food.
Equipment and Repairs)
£160.753 {2023. £128,426)
Veterinary f
Advertising fees
£150.530 {2023. £148.775)
£5,075
Charity shop costs
{2023. £5.433)
£50,477
{2023. £50.022)
As in previou$ years, all expendrture on administration. travel. telephone calls 8tc. wa$ bome by the trustee
and the helpers For the management tsam afone hours d&voted to dog and cal rescue continue to amount to
al least £125,000 per annum. We estr.mate the absorbed travel costs for 811 volunteers at £7,000 per annum
and an estimated 600 outbound telephone calls are made each month.
AJI our volunteers are Unpa￿ and ￿ver their lywn travel costs. in some cases qurte substantial. Wé have
teams of voluntsers who.
help at the kennels, with rehoming. transwrt, h(Mne checks and vet trips. manage the w&bsite, our
Facebook page, and Instagram accounts",
hold ad hoc sales to raise furKIs".
work in the charity shop.
foster dogs and ¢als for us.
It goes without sawng that the Rescue could not fvnction withtyjt support of these dedi¢*d people.

Three COU￿￿e$ Dog Rescue
Rgport of the trustees (continued)
for tho year endod 31 March 2024
Annual Income
The charlty shop
Sales have been down at the shop but an annual profit of £7.902 was made12023 £10,393} to contribute to
our R8scue funds.
Sales/¢ollectlons and events
Pounds for Hounds has been a major contributor to our funds with their sales. Over £11.000 was raised by
them.
Payments for dog and cat adoptlons totalled £18,74412023.' £16,717)
Donatlons, in¢luding those made through the"Sponsor a Dog. $¢heme totalled £264,82412023'. £136,873)..
The°Sponsor a Dog" s¢heme had 28 regular donors to the scheme durlng the year. Together with these
regular donors we now have a total of 85 supporters maklng monthty donations giving us a wel¢ome regular
income.
Petplan Commlsslon
Commission from acting as an 'introducerf' for Petplan insurance amounted lo £3,451.
Legacles
We benefilled from 8 legacies lotalling £14,998.
We contlnue to promote Our leafiet, aimed at prompb'ng people to think about what will happen to their pets it
they pass away before them. 11 includes a Section inviting supporters to consider leaving Three Counties
somelhlng in their will after Ihoir families have been catered for. A free will Wrlting option remains on our
website.
2024 Calond•r
The popular calendar Gompelition was well supported with many photos entsred for inclusion in the Three
Counties calendar.
Charltablo and other Grants
We received £5,700 from Charitable and other grants.
Communlc8tlon$
Our website continues to receive many positlve comments and rec8lves over 9.000 visits a month.
Facebook membershlp now exceeds 11,000 and provides a r￿h source of entertainment from photos of the
escapades of dogs rehomed and of Ihtrde going off with their new owners.
Our mailing list lops 1300 supporters vtho re¢6ive occasional newsletters. (Any supporter$ who do not think
they are on the mailing list should email us at info@threecountiesdogrescue.org to request inclusion). All on
the maillng list have posits'vely chos8n to be included.
Busine88 proc•dur68 and practl¢o8
We maintain..
A disaster recovery pian.,
A training programme and record for helpers at the kennels,.
A complaints procedure.,
A vulnerable persons procedure.
and retain memberships of the Association of Dog and Cats homes and the Fedethon of Small Businesses.
Page.. 4

Report of the trustoe* (c¢)ntlnuod}
fortho yearended 31 March 2024
Partnershl
We continue to enjoy the tfftfits of our Forknership with Burghley Vetwfftary Centre through discounted fees.
It is reassuring to use a practice which has avoidol the current drrft to corporate ownership. Along with most
other practtces. due to problems r￿lI￿ng Vets prepared to work nights. Burghley have signed up to an
8Xternal °out of hours" pwder. However. if a w is under trèatrnent thoy we *ill kept ovwnvJht under proper
supervision * Burgh16y.
Th• way forward
Boardhg requests contrlbuw £15,8¥2 before VAT.
Our caring Crémations contrihrt￿I £8,000 b6forn vaL We hava wtrrftded a cremation service to
clients of Stamford Vets.
These ènterprises are wntributing Signif#• to our In￿rne and h￿PIng ouraim to secure the sustainable
future of the RegCU8.
We con*'nue to take on vountsers to help at the kennels. We are a￿yE on the look out for new voluntser8 to '
h8lp al the kennels, wtth fundralsing and managing the shop but adding volunteers wth legal and financial
$kill$ would be an 8nom)ou8 tenefit Let us know rf Y￿ think you might be able to help on any of Ihese fronts.
We have managed our way through anothgr extremety demandlng year due18rgely to th8 8UPPOrt of our
committed greup of staff and volunte8rs. They remain our greatest strength ￿d our gratllude and that of all
tho animals, wtto80 welfare we continue to knk after, goes to them.
The year ahead continue8 to pr8sent challeng85 ￿th energy and fcK*J vJst incTra￿s. Our alm to be¢oma
fvIIy su8talnable rwnains koy.
Th8 Twstees have considered th8 requirement for freo reserves whkh a￿ tr￿se unresirithd funds not
Invested In tsngiblè fixed assets. fred assets inv8stments, or d8S*3n8ted for specifi¢ purposes or
otherwise commrtted. The Trust￿$ have decided that th8 group thould seok to maintaln free reservgs
equivalent to 3 months. r8venue expendttiJre.
The Truste8s have a reasonable exFOCtabon that th8 Charrty Mfjll continue in op8r8tk>nal existence for the
for8seeable fiJture', the Trustees are not alftre of any matwial uncertainties about th8 entitys ability to
¢ontr"nue. The Twste88 have thereforq the going o)n(xn b8si* in preparing tha*8 fln•ncS8l statements.
Independ•nt gxamln•r
A re8olutton proposing the rwpolntsnent of Ken M4gs as Indetfjnd8nt axamlner wali be put to the members
at the Annual General Mg•Ung.
Approved by the 8oard of Tnistees on ..
-.2024 and 3tgn&g on its behalf by.
Mr. M Mau¢hllno
Director

Independent Examinets Report to the Tnmtees of
Three Countles Dog Rescue
for thfr year ended 31 March 2024
I report to the charity trnstees on my examination of the accounts of the chanty for the year ended 31 M8r¢h
2024 which are sel out on pages 8 to 11.
Responslbllitle8 and basi8 of report
As the charity trustees you are responsEMle for the preparatu)n ofthe aLxounts In a(xordance wth Ihè
requirements of the Chanties Act 2011 Ilhe 2011 ACVI
I report in respect of my examination of the chaws accounts Carried out under sect￿n 145 of the Act 2nd in
carrying out my examination I have foliowed all the applicable Direth"ons given by the Charity Commission
under se¢tion 14515)Ib) of the A(
Indepgndent examinorf$ stat•ment
Since the company's gross income exceeded £250.000 your examiner must be a member of a body listed in
section 145 of the 2011 Act. I conffim that l am qualthed to undertake the examinat￿1 because l am
member of The Instituts of Chartered Accountants of England and Wales IICAEW)
I have completed my eXaminat￿n. I confirm that no matters have come to my attentK>n in Connection with the
examination giving me ca4Jse lo bdEve that in any material respect.
1. accounting records were not kept in respect of the charity as required by sectlon 130 of the Act.. or
2. the a¢¢ounts do not accord with Ihose records. or
3. the accounts do not comply with the appltable requirements C￿￿mIng the fomi and conlenl of
a¢counl$ set out in the Chariti'es IAeo)unts and Reports) Regulations 2008 other than any requirement
that the accounts gfve a 'true and fair whKh is not a matter considered as part of an Independent
examination.. or
I have no concems and have come across no other matters in ¢onne¢b"on wth the examinatK)n to vlhich
attention should be drawn in this report in order to enable a proper understaTrJing of the accounts to bo
reached.
Chartered Accounlant
Spal¢Ylng
2024
P405

Three Coun1186 Dog Rescue
Statement of Flnancial Activlty lincluding Incom• and expenditure o¢count)
for the year ended 31 M•rch 2024
2024
2023
Total
Total
fund5
funds
In¢ome and endowmonts from:
Donations and legacies
Charitsble ath'vitses
other trading activ￿185
Investment income
315,291
14,332
24.446
18
670
315.961
14,332
24.446
256,995
7,523
26,735
Total Income
354,087
870
354.757
291258
Expenditur• on:
Raising fund
Chartsble a¢tsvies
{3,619)
343,358
346,977
13,6191
344,028
347,647
{3,8891
272,314
276,203
670
Total expenditur•
670
Net Incom•
7,110
7.110
15,055
Transfers betsveen funds
Not movom•nt In funds
7,110
7.110
15,055
Fund balances brought foThward
Fund balancos carrlod forward
12
12
682,454
682,454
667 399
682
689,564 ￿54
All Income and expendKure derlve from conts'nuing xtivttw.
The notes ￿ pages 8 to 11 fo￿ part ofthese finan¢i81 $181ements
Page.. 6

Throe Counti•s Dog Rgs¢ue
Balance Sheet
al 31 March 2024
2024
Note
2023
Flxed assèts
Tangible r￿ed assets
Investments
630.313
632,492
630.314
632.493
Current 088ets
Debtors
Cash al bank and in hand
10
52,579
7.926
60.505
45,840
6,150
51,990
Cr•dltor8:
Amounts falling due vAthin one year
Net currnnt a888ts
1,255
2,029
59.250
49.961
Total o88•ts 1081 currnnt IlabllllO8•
689,564
682,4S4
Not as80ts
689,564
Ineom• fund8
Unrestrlcted funds
12
689.564
682,454
689,564
682,464
These financlal statements approved by the Trustees on .ts....tTh&t. ... 2024 and are slgned on
Ihelr behalf
G.R. Mau¢h
Tnjstee
In•
The notes on pages 8 to 11 fomi part ofthesefTrThial statements

Three Counties Dog Rescu•
Notes to the Financial Ststernents
for the year ended 31 March 2024
1. Accountlng pollcles
Basls of a¢counting
Three Counties Dog Rescue meets the definrt￿ of a public benefft entity under FRS102. The financial
statements have been prepared in a¢cordance with A￿UntIng and Reporb"ng by Charibes". Ststement of
Recommended Practits applicable to charities preparing their accounts in accordance with the Financial
Reporting Standard applicable in the UK and Republic of I￿land issued in October 2019, the Financial
Reporting Standard applicable in the United lQ"ngdom and Republic of Ireland IFRS 1021, the Charities
Act 2011, and UK Generalty Accepted A(￿Untsng Pracbce.
The financial statements are prepared on a going concem basis under the histoncal Cost convents'on,
modified to include certain rtems at fair value. The financial statemants ar8 presented in sterling which is
the functsonal currency of the chanty and rounded to the nearest £.
The significant accountsng pjries appl￿d in the preparatson of these finanrial statements are set out
below. These policies have been consistenty applied to all years presented unless otherwise stated.
Incorna recognrtion
All incoming resources are included in the Stslement of Financial A¢tivitses ISOFAI when the charty 1$
legally entiued to the income after any perfom)ance condib'ons have been meL the amount ¢an be
measufed reliably and It is probabte that the income wll be received.
Grants and donations are induded in the Ststement of Financial Activitles when the general income
crfteria are met in accordance V•ith paragraphs 5.10 to 5.12 of FRS 102 SORP.
Legacies are included wthin the Statement of Financial Athit*s when receipt is probable, that is when
there has been grant of probate. the executors have established that Ihere are sufficient asset in the
estate and that no condibons attached lo the legacy are ether wrthin the control of the charity or have
been meL
Gift aid receivable is irKlude in income vthen the￿ Is a valid declaration from the donor and the Gift Aid
recovered is added lo the same fund as the gfft unless the donor or tem$ of the app8al Sp￿fy otherwise.
Exp•ndlture rn¢ognltlon
Liabilities are recognised as resources expended when thwe Is a *al or constructive obligation
committing the Charity to the expendrture..
Charltable ath'viti'es Indude the costs of the activities defined by the chariV$ aims for the benefit of the
petsons sited In the charty obj¢¢ts. Costs of chantable athibes includes the direct costs of the
activities and deprecIat￿n on related awts. Whèro su¢h assets relate to more than one functsonal
cost category, they have been alkcated on either an estsmats time or floor spaeA basis, as appropriate.
Support costs include the costs which rekqts to the general running of the charty as opposed to the
direct management function inherent in generatsng funds. servw delNery and program or proJo¢t work.
Flxad a8sets and Investments
Fixed assets are induded at cost. less actumukated depreciation.
Depreciation
Depreciation is ¢al¢ulated to v￿lIe down the cosl less esb"mated resKlual value. of all tangible ftxed assets
over their expected useful INes. The rates generalty applicable are:
Machinery
5 year Stra￿ht line
Inve81mgnts
Investments in subsidiaries are measured at ￿st less impaimienL
Page. 8

Threo Counti•s Dog Re6¢ue
Note8 to the Flnancial Statsments l¢ontlnu•dl
forthe year end¢d 31 IAarch 2024
1. A¢¢ounting pollcles (contlnued)
R8stricted funds
Restricted fvnds are funds which are to be used in accordance wth specfft restrithons imposed by
donors or which have ￿en faised by the charity for part￿lar purposes. The cost of r4ising and
administering such funds are charged against the specffic fund. The aim and use of each restricted fund
is set out in the notes to the finanual statements.
Unrestrfct•d funds
Unrestricted funds are available for use at the discretion of the trustees in Sustenan￿ of the objeclNes
of the charity and which have not teen desNJnated ft)r other wrposes.
Leases
Rentsls payable and recer¥able under operatsng are charged lo the SOFA on a straight line basis
over the period of the lease.
Golng concern
The financial statements have t*en prepared on a going concem basis a$ the trustees b8lieve that no
material uncertainties exi$L The truste8s have Considered the level of fvnds held and the expected lavel
of income and exp8ndrture for 12 months from authorising these financ￿1 statements The budgeted
income and expenditure is SLrfficient with level of reser¥Ès for the chanty to be able to continue as a
going concem.
2. Incom• from donatk)ns and legael••
Unr••lrlcW Ro•trfctod Total
lund•
fund•
2024
Tol•l
2023
Donations receNed
Legacies and funera18
Grants
291.982
15,934
7,375
315.291
670
292.852
15.934
7,375
315,961
187.492
25,197
44,306
256 995
670
3. Incom• from ¢harftablo acllvltl
Totsl
2024
Total
2023
funds
nd•
Dog Welfare
Events
Collection$ and raffies
11.526
2.806
14,332
11.526
2,8C6
6.938
585
4. Income from other tr•ding acllvltlo•
Unrnstrlcted Restrlctod
funds
fund$
Total
2024
Total
2023
Adoption of dogs and Cats
Sales of ca￿ndar$
Renlal income
Pet Plan Insurance introducer commissK)n
18.744
18,744
901
1,350
3.451
24,446
16,717
1,180
5.400
3,438
26,735
1.350
3,451
24,446

Thrne Countles Dog Regcue
Notes to the Financial Statements (COn￿nued
for the year ended 31 March 2024
S. Investment Income
Total
2024
Total
2023
nds
fund8
Bank interest receivable
18
18
6. Expendlture on other tradlng acllvltle8
Unvestricted Re6trlctod
fund8
lund$
Total
2024
Total
2023
Adoption of animals
3,619
3.619
3,889
7. Expendlturn on ¢h4ritabl• actfvitl••
Unv•8trfctod Re8trlct•d
funds
nds
Total
2024
Total
2023
Dc*3 welfare
Support Costs
670
333,314
10,714
344,028
260,573
11,741
272,314
10.714
343.358
670
Unrestrlctod Re8trl¢t•d
Total
Tt>tsl
Dog food, equipment and miscelk3neous purcha
Kennel Boarding fees
Veterinary Costs
Prèmises costs
Insurance
2.275
177.370
150,530
1,297
1,172
2.275
178,040
150,530
1,297
1.172
453
110,000
148,775
101
1,244
260,573
670
670
ofsu
Managem8nl and administration èxpenses
Accountancy and Independent Examiner fees
9,464
1,250
10.714
10,491
1,250
11,741
1,250
10.714
8. Board of TrustoM romunerallon
No trustee lor any persons Conn￿ wth them) receNed any remuneration or expenses either directly
or indirecdy.
Pag8: 10

Three Countlos Dog Rescu•
Notss to the Financial SLitements {¢ontlnued)
for the year ended 31 March 2024
9. Tanglble fixod ass•ts
Land and
Bulldlng8
Plant.
Ma¢hlnery &
Equipment
Flxtures
and
fftllngs
Total
Cost
Al 1 Apnl 2023
Addrtions
Disposals
Al 31 March 2024
Daproclatlon
At 1 April 2023
Charge for the year
At 31 March 2024
630,152
3.489
852
4.249
637.890
852
1,303
5,552
630,152
4,341
640.045
1,449
870
3.949
561
5,398
4,334
2,903
2.903
2.319
4.510
Net b¢)ok valuo
Al 31 March 2024
627.249
2.022
1,042
630.313
At 31 March 2023
630,152
2.040
300
632,492
10. Debtors
2024
Total
2023
Total
Trade debtors
VAT
Amounts due from Group undertakings
Other debtors- Gift Aid Claimed
Prepayments and accrued income
5.366
8,339
38,088
786
52,579
7.816
12,842
25.057
325
45,840
11. Cr•dltor•
2024
Tolal
2023
Total
Trade creditors
cruals and deferred income
779
1,250
2,029
1,250
1,255
12. Funds
At1Apr
Incomlng
Oirtgolng
At 31 Mar
2024
Unrostrlctod funds
General Fund
682,454
354,087
346.977
Restrictsd funds
ut￿ltieS donat￿n$
670
(8701
347,647
682.454
354,757
689,564
Page.. 11

Three Countl¢s Dog Rescue
Notes to the Flnancial Statements Icontinuedl
forthe year ended 31 Mar¢h 2024
12. Funds continued...
The fijnds are constituted as follows".
Unre8tricted Restrfctod
Tolal
Tangible fix&1 assets
Investments
Debtors
Cash at bank and in hand
Creditors. Amounts falling due within one year
630,313
630.313
52.579
7.926
1,255
689,564
52,579
7,926
1,255
689,564
At1Apr
2022
In¢omlng
Outgolng
vowurcm resources Tran•for8
At 31 Mar
2023
Unrestrfctsd fund8
General
667.399
291.258
276 203
682 454
The funds are cThiskn'tuted as folky￿..
Unrestrlcw Restrl¢t•d
Total
Tangibie fixed assets
Investments
Debtors
Cash al bank an¢J in hand
Creditors.. Amounts falling due within one yoar
832,492
632,492
45,840
6,150
2,029
682.454
45,840
6,150
682,454
13. Fln•n¢lal commltmonts
The charity has undertaken tha ft￿k>win9 financiai commibnents un¢J8r n¢)nwcan￿I1ab￿ operating lea88
agreements..
2024
Total
2023
Total
Amount$ falling duo wthin..
One year
One to hvo years
Two to five year5
Over 5 years
9,000
5,250
14.250
This commrtment ha$ t*en tske CArt for the trading subsidiary, 3CDR Trading Limrted.
13. Trnstees donatJon8
During the year the trustees made donat￿ to Ihe tharity totalling £186.10012023.' £103.901). None
received any form of tenefft from tw donations made.
PwJe.' 13