OpenCharities

This text was generated using OCR and may contain errors. Check the original PDF to see the document submitted to the regulator.

2024-06-30-accounts

Trustees. Annual Report for the period , From Peri¢xl stsrt date To i Period end date Year Year 01 'Juty l June '. 2024 Section A Reference and administration details Charity name Cambrtdgeshire Wildlrfe Ca Other name$ charity is known by Registered charlty number (rf any 1175171 Charity's principal address 56 East Fen Common Soham Cambridgeshire Postcode CB7 5JJ Names of the Charity trustees who manage the charity Trustee name Offi¢9 Ilf atgs act•d11 not for wholo y￿r Name ¢f ￿KSon lor bo(tyl entided Int trustse If a Dinah Northfield Eleanor Walliker Chair Clare Hetherington 10 12 13 14 15 16 17 18 Names of the trustees for the charity, if any, (for example, any custodian trustees) Name Dates actsd if not for whole ear Carb￿&5￿￿8wS￿ffioc8rO Ann￿￿ Roport and **ctyJnts Y•ar Endiw 30 June 2024 PaJo1 of4

Names and addresses of advisers (Optional infomiation) e of advisor Name Address Name of chief executive or names of senior staff members (Optlonal information) Section B Structure, governance and management Da8¢rfption of the charity's trusts Foundation Constitution Type of goveming document How the charity is constituted Charitable Incorporated Organisation Trustee selection methods Appointed by trustees Addltional governance issues (Optional inforniatlon) You may Choose to include additional information, where levant, about.. policies and prO￿dureS adopted for the induction and training of trustees- the Charity's organisational structure and any wider network with which the charity relationship with any related parties,. trustees, consideration of major risks and the system and prO￿dureS to manage them. Section C Objectives and activities a) To relieve Ihe suffering of animals in need of care and attention but primarily UK wildlrfe and in partI￿lIar to provide or maintain sanctuanes or other facilities for the reception and care of orphaned, injured, ill or abandoned animals with the aim of retuming any wild animals to their natural environment and any domestic animal to a suitable home. b) To advance the education of the public in the subjects of wildlrfe and animal care. Summary of the objects of the charity set out in its governing document Cambrfdgeshw&wI￿&fa Care Annu￿ Rewt and Accwnts Year ErnllNJ 30 Junè 2024 P4e2rf4

Summary ofthe maln activities undertaken for the public benefit in rolation to thèse objects {include within this section the statutory declaration that trustees have had regard to the guidance Issued by the Charity Commission on public benefit) Additional details of objectlves and activitles (Optional infomiation) You may choose to include further statements, where relevant, about.. policy on grantmaking.. policy programme related investm6nt', contribLrtion made by volunteers. Information, advi￿ and guidance provided lo the general public in person, by telephone, by mail and via social media channels. Grants provided to local wil lrfe rescue and rehabilitation organisations. In setting objectives and planning activities, trustees have given due consideration to the Charity Commission's guidan￿ on public benefit. Section D Achievements and performance Summary ofthe main achievements of the charity durlng the year Strategic decision taken to move away from providing hands-on animal care to providing financial support in the form of grants to lo￿1 wildlife rescue and rehabilitation organisations. Collaboration with nearby wildlrfe rescue explored to enable sharing of resour￿$, skills and knowledge. Increased focus on expanding our in-person edut2tion aryd information ramme. Section E Financial review Brief sLqtement of the charity's policy on reserves Tnjstees keep the need for reserves under review to ensure the charity an manage drops in income and ensure sufficient funds are available to achieve thè ¢hanty's objectives. Details of any funds matsrially in deficit Further financlal ￿VIeW details (Optional informatlon) You may choose to include The trustees confinn, in accordance with the Charitable Incorporated additional information, where Organisations (General) Regulations 2012, that, at year end, the CIO did relevant aboLrt.' not have any outstsnding guarantees to third parties nor any debts the Gharity's principal secured on assets of the CIO. sources of funds {including any fundraising)., how expenditure has supported the key objectives of the charity., investment policy and objectives incIL￿ing any ethical investment policy adopted. C•nbriJ8shlr8W￿lIec8r Annu4 RepLYt and Accwnts Year Endirvj XS Jun6 2024 Ptye3rf4

Section F Other optional information Section G Declaration The trustees declare that thay have approved the trustees, roport above. Signod on behalf of the ¢harity'8 trustees Signature(s Full namè(s Position18g Secretaryi Chair, Dinah Northfield Chair Date 2¥ /04 C*nbr¥Yge$hir8WibJlilvCare Annud Repryt and Accojrts Year E￿lIng 30 June 2024 P•3e4c44

CHARITY COMMISSION FOR ENGiAND AND WALES Cambridgeshlre Wlldllfe Carè Receipts and payments accounts For the period 1 July 2023 from 1175171 30 June 2024 CC16a To Section A Receipts and payments Unrestricted fund8 Restricted funds £l*',. To the nearest £ Endowment nds. Total funds tothe nearest £ Last year to tho nearest £ tothe nearest £ tothe nearest £ A1 Re¢oi Individual donations IndividLtal donations re Communit donab'ons Cor orate donations Online commission TrusUGrant Gift Aid Donations in kn'nd Refunds Subtotal (Gross incon7e forAR) on 2,057 12.277 65 1.625 2.057 12.2TI 6,293 12,091 77 2.798 ular 1,625 400 3,342 1,178 134 19,471 134 19,471 27.561 A2 Asset and investment sales. Sub total Total racelpts 19A71 19,471 27.561 A3 Payments Food Health & safetylcleaning Medicationfveterinary Consumables Equipment Adminnegal Fundraisinglmarkebng Trainingldevdopmenl Travd Telephone & IT Feeslbank charges Renuulilities Faalrtieslmaintenan Sundries Wages Grant Refunds 2,465 81 1,264 413 533 164 164 262 610 315 996 315 368 307 11,187 &377 134 17,160 5,377 134 Sub total 19,334 19,334 25,122 A4 Agset and investment Purchases, See tablel Sub totsl 19.334 CwnMdgeshtr&Wik￿￿o Cgra Annud Rwcrt 4nd AccoJnt8 Yaar Er¥JiNJ 30 Jun6 2024 P485c16

Nét of reCeIpt￿[PaYments} A5 Transfern between funds A6 Cash funds last year end Cash funds this yoar end 137 137 2A39 26,644 26.781 25,205 27,781 Seclioi? B Stateixent of assets and liabilities at the end of the F)eriod Unrestricted funds Restricted fund8 Endovnnent fund¥ Cat¢gorles Details to nearest £ to nearest £ to n•are8t £ 81 Cash funds Bank acLount 26,781 1,000 Total &7sh funds {agree balance5 Wth receipts and payments account{sll OK OK OK Unre8trfcted funds Restrictsd funds End6wmont funds Details lo nearest £ to nearest £ to nearest £ B2 Other monotary a88ets Fund to which asset bolon Cvrrent value tional Detalls loptionall B3 Investment as6ets Fund to which assot belon Current value tional Details loptionall B4 Assets retained for the Chaiity's owi use Fund to whlch liability relates Amount due lopdonal) Whon due loptlonal) Details BS Liabilitie8 Signed by one or ￿ trustees on behalf of all the trustees Signature Print Name Date of approval Dinah Northfield Cambr%tg8shireWibJlfeCaraAnnud Rep¢Jt and Acctyjrts Year Ending 30 Jun8 2024 Page6of6