Hopton Rehab & Homing Centre Registered Charity No. 1173847 Annual Report and Financial Statement For the year ended 31 July, 2022
Hopton Rehab and Homing Centre Flnanclal Statements for year ended 31 July 2022 Page No. Trustees. Report Independent Examiner's Report Statement of Flnanclal Activltles Balance Sheet Notes to Financlal Statement 10
Hopton Rehab & Homing Centre Report of the Trustees For the year ended 31 July 2022 The Financial statements comply with the Charities A¢t 2011 and accounting and porting by Charltle5 Statement of Recommended Practice applicable to charities preparing their account5 in accordance with the Financial Reporting Standard applicable in the UK and the Republlc of Ireland IFRS 1021 publlshed on 16 July 2014 las amended by (Update Bulletin I publlshed on 2 February 20161. CHARITY INFORMATION Board of Trustees: T Cooper L Mariott-Lod8e 5 Roberts W Uent Correspondence Address & Prlnclpal Office: T Cooper, 72 8eechfleld Orlve, Worcs. DYII SHQ Charlty Number: 1173847 Independent Examlner: K A Thompson. 40 Cranmere Avenue. Tettenhall. Woiverhampton, WV6 8TS Bank: Barclays 8ank PLC, Lelcester, LE87 28B
Hopton Rehab & Homing Centre Report of the Trustees (continued) For the year ended 31 July 2022 TRUSTEES The followln8 TsonS were In offlte as Trustees for the whole of the rIOd from 1° August 2021 to 31" July 2022. T Cooper L Mariott-Lodge S Roberts W Clent Reference and Administrative Detsils: Hopton Rehab & Homlng Centre Is a reglsTrred charlty. number 1173847.lts correspondee address Is.. T Cooper, 72 Beechfield Drfve, Worcs. OYII 5HQ Structure, Governance and Management The Charlty wa5 reglsrered wlth the Charltle5 Commission on 18 July 2017. The 8overnln8 documents Instruct the trustees to act in a wty to promote the objects of the charity. Recrultment and Appolntment of Trustees Recrultment to the Board of Trustees is normally by invitstion to individuals with the relevant sk1115 and experlence to strengthen the 8overnan¢e of the organls&tlon. Potentlal Trustees are appolnted i resolutlon at a properly corwened meetlng of the current trustees. Objectlves and Activlties The charitsble object St the promotlon of humane behaviour towards hoe5 by pr¢)vidirvA approprlate care, protection. treatment and security for those which are in need of Care and attention by reason of sickness, maltreatment or poor circumstances, through the provi51on of facilities for the CeptIOn, care and treatmènt of sLh anlmals and the rehoming of them. We have referred to The Charity Commission'$ 8eneral guldante on Publlc 8enefit Entities when revlewlng our aim5 and objectSves and In plannlng our future acttvities.
Hopton Rehab & Homing Centre Report of the Trustees (continued) For the year ended 31 July 2022 Achievements and Performance On 19July 2021, the UK government lifted restrictions of coronavirus-related legislation. The guidance on worklng from home wa5 also lifted. Over the summer a gradual return was planned for employees to return to the workplace. The Welsh Government lifted most legislatlon on the 7 August 2021 followed by Scotland on the 9 August. Northern Ireland wos later. The 8Tadual retufn to work meant that the rehomin8 of horses could also begin, and Hopton Rehab and Homlng IreferTed to as HRHI was allowed to continue with l)ome visits to rehome horses after that date. This was a welcome retLITn to norm as so mary horses had remained at the Centre. With the pandemlc now comlngto an end, It was most unfortunate to flnd that wlth the return to work for some came the request to retum a horse and requests for new horses to come to the centre. We were able to look atfoster homes for some as short-term solutions and tried to a¢commodate as many horses as possible. It was noted at the beginning of this year that we were now responsible for some 151 horses, elther rehomed and stlll "owned" by HRH or fostered or at the Cent. Our volunteers were able to return and support us and unlTrke many CharleS we were fortunate to retaln many of our volunteers after the pandemic. We were very grateful for thelr ¢ontlnued support. Our volunteer pro8famme enabled us to fundraise and supportthe yard work at the Cent. We were also able to contlnue wlth home visits to those IKJr5es who had been rehomed. Our major Costs a8ain for this year were rental of 3 yards, veterinary and farrber costs alon8With fodder and staffing expenses to run the yard operation. We continued to look for a sultable single yard with 8razlng to reduce the above costs and also reduce travel $ts too. It was also considered to be best for the welfare ol horses In our care for them all to be at one slte. We therefore started looking for a suitable solutlon. Fundralsln un As we We collertSng preloved equine equlpmen¢ rugs. riding wear and saddlery we looked for a suitable retail outlet and set up a popup shop which enhanced our already successful car boot sales. These were a key source of income for the Charfty. Volunteer5 were instrumentsl in ensuring the success of the car tr*)Ot sales and tabletop sales whlch were publicised locally ènd through our social media platfomi We were fortunate to also have donations through sponsored activitles by staff members, volunteers and continued contributions from indrvidual giving and donations through our website. The ongolng rehoming programmes also ensured monthly donatnS contlnued.
Hopton Rehab & Homing Centre Report of the Trustees (continued) For the year ended 31 July 2022 d Foundations Our volunteer was successful in gaining fund5 of £IOk from SIT Peter O'sullevan Trust, The Childwick Trust funded a further £IOk and Pets at Home Foundation £68¢. This wa5 also supplemented later in the year by a Jean SalnsburyAward also for £IOk. We would not have been able to support the number of horses in our care without them. At the same time it was noted that the number of thoroughbred Iracingl horse5 comlng into our care had Rreatly Increased and these types of horses needed greater rehabilitation tlme and pro¢edures. A5 always we are enormously thankful to the Trusts and Foundations who have supp)rted us. We were notified that there was a potential legacy opportunity from an individual who had pa$5ed away In November 2021. On 10 June. 2022 Trdcy Cooper, Lin Marriot Lodge and volunteer Lynette Arnott presented to the executor of the estate and this was te1ved well. We were hopeful that a gift from the estatè would be awarded to the Charity at a later date. in lal Medi ms We were fortunate enough to be able to Bet a dlscourrted Ipro-bonol website whlch enabled us to profile our horses in a more suitable and sustslnable woy as well as inform interested parties in news. adoption procedures and educatlon on Welfa of horses. This updated our old website and one of our volunteers tk over the day-td¥V runnln8 of the webslte after they had recelved approprlate Iraining. Our social media platforms 15mpsl continued to help us tremendou51y and we drarn?tlcally 8W number of vlsits. number of contacts and number of followers with Twltter, Llnkedln and In5tagram but most Importantly Facebook. We wlll contlnue to Sncrease our stxial medla presence over the followlng year and wlll be usin8 dlfferent channels to do $0 too leg Tlktokl- mma The Trustees remaSned commltted to the Charlty during this challenging perlod. The number of Stsff rernalned the same. despite the In¢aSe in the number of horses and difficult loglstics durlng these thanging times. We were supported by a solld and dedicated volunteer base which wa5 imrnense mportant. Our due diligente during thls time enabled us to formulate a 501id future for the Charlty and one whlch we are exclted to move forward.
Hopton Rehab & Homing Centre Report of the Trustees (continued) For the year ended 31 July 2022 Financial Review The income for the charity was £110,997 for the year. Expendlture In furtherance of the charitvs oblertlves was £89.327 whllst other expenditure totslled £17,414. Thls returned a surplus of £4,256 for the year Ilncludlng £11,046 restrirted funds designated for stsffing Costs until December 20221. The supportof the charity continues to grow arid we are currently exploring some opportunitles, which will realise our alm of having all the hotse5 on one site at our own premise5. Due to the covid pandemic we h3ve struggled to achieve phase l of our serye fund. However, the charlty has moved forwai(I with a clear vislon of realising our 8oals and furtherln8 our main aims and objectives. Reserves Policy and Going Concern The Trustees aim to maintain reseryes at a level sufflcient to cover tosts related to each period, wlth target to accumulate three month's reserves, risin8 to six months in the future. Trustees Responslbillty Statement The Trustees are responslble for preparing the Trustees Report and the Financial Statements In accordance with applicable law and UK accountlng stsndards (UK General Acceptèd Accountlng PractScel. The law applicable to chafltle5 In England and Wales requlres he Trustees to prepare financial statements for each financial year which Bive a true and falr vlew of the state of affair5 of the charity and of the Incomin8 resources and appllcatlon of the resources of the charity for that period. In preparln8 these flnancial statements. the Trustees a requId to- Select suitable accounting polides and apply them consistently. Observe the methods and principles In the Charities SORP 2015 IFRS 1021. Make jud8ements and estimates that are reasonable and prudent. State whether appllcable accountln8 Standards have been followed subject to any materlal departures dixlosed and explained in the financial ststements. Prepare the financial statements on the going conrn basls unless It 15 inapproprlate to presume that the charity will continue In operation. The Trustees are reskX)nsible for keepin8 accountin8 rerdS that disclose with reasonable accLtracy at any time the financial position of the charity and enable them to ensure that the financlal statements comply with the Charities Act 2011, the applicable Charities (Accounts and Reports) Regulations, and the prov15ions of the Trusi Oeed. They are also responsible for 5afe8uarding the assets of the charlty and hence for tsking reasonable steps for t preventfon and detection of fraud and other Irregularltie&
Hopton Rehab & Homing Centre Report of the Trustees (continued) For the year ended 31 July 2022 On behalf of the Trustees: T CoopeT 18 May 2023
CHARITY (OMMISSION FOR ENGLAND AND WALE5 Independent examiner's report on the accounts Section A Independent Examiner's Report Report to tho tru81eesl members of Hoplon Rehab & Homing Centre On accounts for the year ended 31 July 2022 Charity no {if any) 1173847 Set out on page8 I report lo the trustees on my examination of tha 8ccounts of the abov8 charityllhe Trust'l for the year ended 31 July 2021. As the charity'8 tru8lee8, you are responsible for the pr8paration of the account$ in accordance with th8 requirements of the Charities Act 2011 I'the Act"). R88ponslbllltles and bas18 of roport I report in respect of my examination of the Trust's accounts carrled out under section 145 of the 2011 Ad and in carying out my examination, I have followed all th8 applicable Directions given by the Charity Commisslon under section 145151(bl of the Act. Ind•p•ndent axamIne8 I have completed my examination. I confimi that no material matters have ststemont come lo my attention in connection with the examination which gives me cause to believe that in, any material respe.. the a¢¢ounting records were not kept in accordance with section 130 of the Charities Act., or the accounts did not accord with the accounting re¢ords; or the accounts did not comply with the applicable requirements Concerning the form and content of accounts set out in the Charities (Accounts and Reports) Regulation£ 2008 other than any requirement that the a¢counls give a Irue and fair, view which 1$ nol a matter considered as part of an independent examination. I havg no concerns and hav6 come across no other matters in conn8ctlon with the 8xaminalion Ic which attention should be drawn in thi5 report in order to enable a proper understanding of the accounts to be r•a¢hed. Please delg18 tho words in the brackets if they do not apply. Slgned: Date: 18 May 2023 Name: Mr Keith Thompson Rolovant profe88lon41 quallflcatlon(s) or body lif any): Addr•8S: 40 Cranmere Avenue, Tettenhall, Wolverhampton, West Midlands. 68TS
Hopton Rehab & Homln8 Centre ststement of IncoFne and Experxllture For th• ar •nd•d 31 July 2022 2022 2021 Government Grants other Grant¥ Donations 'very Fees Sale of Donated Grd$ Fundrai$ing Events Gift Aid CL91med Oth Intsrnsl Eam•d 2,668 45,645 38,911 8,762 11.718 11,841 18.1)00 37.847 6.010 10.261 179 1,263 449 1,858 1.069 110.997 85.853 Expendfture Expenditure on Ch•ritat4& Activit Governan Co•ls 89,327 17,414 88,137 8,787 108.741 98,924 N•tt In¢om•llExperrtlltur•l 4.258 11.071 R•contillatSon of Fund5 rotsl fttnds brought l¢Jward Net movem¢nt In fun(ts 16.381 4,2 26,452 111,0711 Total fund¥ rrknd forwo
Hopton Rehab & Homlng Centre Statement of Assets and Llablllties As at 31 July 2022 2022 2021 Flyed Assets SIH Horsebox 10,200 13.548 Current Assets Barclays Bank Current Account Barclays Bank Restncted Funds Account Barclay8 Bank Hay Fund Account Barclays Bank Reserves Acctyjnt PayPal AccKJunt 6,754 11.048 1.747 1.262 649 12.024 221 Credltors Falllng Due Wlthln One Year Lo8n¥ {11.6701 111,910} Netl Current Assets/(Uabllilies) 9.437 1,835 Nett Assetsl(Llabllltlo} 19.637 Reconclllatlon of Funds Re81rtcted Fund8 Unra8trbcted Fund¥ 11,046 8,591 12,024 3.357 Totsl Fund5 Carrled Forward 19,637 15,381 Approved by the board of trustees on 18 May 2023 arbd si8ned on rts behalf by:_ T Cooper 18 May 2023
10 Aopton flehab & Homln8 Centrt to the Flnanelal Statements Forth• yaar ondod 31 July 2022 Notè¥ 2022 2021 l. Expendlture on Charltable ALtlvlile$ Grazlng, Slabllng & 8am Space R1 Foraga. Feed & supprnents Vevmediones F8rrier Bedding TÈck. Equipment & Rep•l¢• Staff Salari81 CaBual Labour Fual frusttse Expenses Volunt¢•r Expen* Sundry 18,220 6,288 11, e,175 505 4,479 36.976 1.237 2,178 18.U29 9.246 16,084 2,067 2,698 29.326 617 2,8 237 1,229 8g,327 88.137 2. Exp•Thdlture on GLivernJn¢• Advertin9. Including Webs6 Colts Merchandis Motor vèhi In8urnn¢a, Tax 8nd Moinlenon Printing, Postap & Ststionery Sundry ompul•r Costs Repair8 Liability In$uTrnc• Relrthhmen¢s & Cl•BnlrvJ Sub$¢riptKn8 & Sundry Admln Ewan8 Accwntancy and bookk8gplng fè88 IGAinylo$s on disposal of t8ThJibl• flxed •M•t8 2.852 S21 3,821 $82 310 474 1.238 2.843 10 4,233 311 1,855 342 17.414 8,787 3. Loans Tha IoAn rdate$ iunds r¢tslved from Equttriin Limrted, a compony who89 diractors or• Iso Tn&1 of thi¥ charity. Thor• total loan r•pAymgnt8 of £240 to thlB ¥ccount durfrq thè yeir. 4. Trustee Expenses Expenses paid to tru5tee5 durin8 the year rePsentS reirnbursemÈnt5 mède to 2 trustee5120212 tru5tEe51 tor expenditure incurred in their role as trustee. Trustees worked honorarilylor the thaiity dur5n8 the vear ènd reIed no remuneration 12021 £nlll. One of the Trustees, T Cooper, invoiced the chaty £360 frorn her bu51ness. Tracy Cooper Bookkeeping ServKes, for bookkeepinE services supplied. Another Trustee. W Clent. was paid £10,000 for the rental of his land and buildln8s for thE use of the charlty. 5. Bank and cash 8ank and cash incltsdes Cash from the sale of go¢ds alon8 Wlth cash drawn from the bank to fund expendlture. Cash from the sale of goods Is generally set aside for the purpose of buying wlnter hay stocks.