Report for the Charity Commission 2021_22 

With the covid pandemic our main aim as a group was to survive. 

We had a year with no riding activity and therefore no riding money coming in. But due to generous donations and loaning three ponies out to reduce costs we managed to stay afloat. 

Our Wednesday rides started up small with just one ride to begin with on 4th August. 

Our Monday rides started up again in the September. .Looking forward The Wednesday rides are scheduled to restart on the 20th April 2022 . 

Carole Johnson. 

(Chair) 

## **YORK AND DISTRICT GROUP RIDING FOR THE DISABLED ASSOCIATION** 

Trustees:  July 2022 


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Carole Johnson 30 Carrington Avenue, Poppleton Road, York, YO26  01904<br>Chairman 4SH 795101<br>E-mail address: carolejohnson2103@gmail.com<br>Alan Ross 29 Heworth Hall Drive, York, YO31 1AG 01904<br>Trustee/Committee  421010<br>Member<br>Charity Commission<br>Contact<br>E-mail address: alan.ross29@btinternet.com<br>Margaret Wake 37 Fairfax Street, Bishophill, York, Y01 6EB 01904<br>Secretary 638147<br>E-mail address: margaretwake191@btinternet.com<br>Jerry Firth 15 Beaverdyke, York, YO30 5ZG 01904<br>Group Treasurer 690918<br>E-mail address: jerryfrth@aol.com<br>Margaret Dibb Sandfield Farm, Shipton by Beningbrough, York 01904<br>**----- End of picture text -----**<br>





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Trustee/Committee  YO30 1AS 470245<br>Member<br>E-mail address: margaret.dibb@gmail.com<br>Tina Roberts Clay Cottage, North End, Raskelf, York, YO61 3LF 01347<br>Trustee/Committee  822415<br>Member<br>Instructor<br>E-mail address: christineroberts770@outlook.com<br>Jodie Galtrey Evergreen Farm, Alne, York, YO61 1TB 01347<br>Trustee/Committee  838245<br>Member<br>Instructor<br>E-mail address: jodiegaltrey@easingwold-pri.n-<br>yorks.sch.uk<br>Pam Wilson Yeomans Course House, Thornton Hill, Easingwold, 01347<br>Trustee/Committee  YO61 3PY 868126<br>Member<br>E-mail address: pam@yeomanscourse.com<br>Floss Peacock 192 Stockton Lane, York, YO31 1EY 07986<br>Trustee/Committee  588909<br>Member<br>E-mail address: fosspeacock192@hotmail.com<br>**----- End of picture text -----**<br>




Payments and Recelpts year ended 31st March 2022
2020-21
Payments
2021-22
2020-21
Re¢elpts
2021.22
11,312.86
660.63
450.00
1,843.00
0.00
140.65
5,000.00
Horses Keep
Vets Fees
Insurance
Groomlng
Equlpment
Electrlclty
Sklpton BS Tfr
Horse purchase
Fees
Sundrles
Total
11,491.49
1,571.60
415.50
2,123.34
21,722.47
270.00
0.00
34.50
44.79
0.00
5,000.00
Donatlons
Fund ra151ng
Rldlng Monles
Ins Refund
Sklpton BS Interest
Sales
Sklpton BS Tfr
Sundrles
17,580.00
893.89
1,552.00
4.20
1,725.00
0.00
18.76
111.61
0.00
4,350.00
265.41
239.76
20,568.71
0.00
218.34
19,625.48
27.071.76
Total
21,773.85
I confirm that I have prepared the above statement of Payments and Receipts year ended 31st March 2022 from the book5 Of
York and District RDA Group.
s.s.EIL Jerry Firth ITreasurerl
l Confirm that I have independently examlned.the bank statements• payments, receipts and flnan¢ial records of York and
Distrirt RDA Group for year ended 31st March 2022.
I certify that the above statement of payments and receipts together with the attached balance sheet are In a¢¢ordance
therewith.
Name and signature:
Address and posltion:
Date:
*-TL.-
16 TA￿VaAy 2¢•%J
Balance at year ended 31st March 2022
Accounts
2021-21
SBC Account
IS,942.03
Sklpton Bulld
10,029.16
2020-21
14,736.89
10,029.16

Yearly ¢omparlson (Rounded)
INCOME
2020-21
EXPENDITURE
2020-21
2021.22
Month
April
May
June
july
August
September
October
November
December
January
February
March
2021.22
Cumulatlve
490
1068
1288
1488
1488
2628
8691
16595
19485
21125
24171
27071
Cumulatlve
3341
5521
5541
5635
6475
6924
7168
8823
13253
Cumulative
1610
3138
4343
5435
6840
8082
9099
10351
11143
12635
13765
19625
490
578
220
2C
Cumulatlve
1339
Z352
3126
4313
6570
8135
9130
10390
11487
12783
18702
20568
3341
2180
20
1610
1528
1205
1092
1405
1242
1017
1252
792
1492
1130
5860
1339
1013
774
1187
2257
1565
995
1260
1097
1296
5919
1866
1140
6063
7904
2890
1640
3046
2900
449
244
1655
4430
1590
6050
20893
2177S
End of
month
balance
14736.89
16738.56
17905.81
17151.78
16058.53
Month
Income
Expenditure
Startlng Balance Ilst April 20211
April
3340.66
Mav
2180.18
June
20
july
93.75
August
840
1338.99
1012.93
774.03
1187
2256.75
Ftil
14641.78
13525.79
12775.23
13170.03
16S02.87
16796.14
16926.53
15942.03
September
October
November
December
January
February
March
Totals
448.57
244
1654.96
4430
1590
6050
881.73
21773.85
1564.56
994.56
1260.16
1097.16
1296.73
5919.61
1866,23
20568.71
End Balance131st March 2022
15942.03