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
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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
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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￿$, skills and knowledge.
Increased focus on expanding our in-person edut2tion aryd
information
ramme.
Section E
Financial review
Brief sLqtement of the
charity's policy on reserves
Tnjstees keep the need for reserves under review to ensure the charity
an manage drops in income and ensure sufficient funds are available to
achieve thè ¢hanty's objectives.
Details of any funds matsrially
in deficit
Further financlal ￿VIeW details (Optional informatlon)
You may choose to include
The trustees confinn, in accordance with the Charitable Incorporated
additional information, where
Organisations (General) Regulations 2012, that, at year end, the CIO did
relevant aboLrt.'
not have any outstsnding guarantees to third parties nor any debts
the Gharity's principal
secured on assets of the CIO.
sources of funds {including
any fundraising).,
how expenditure has
supported the key objectives
of the charity.,
investment policy and
objectives incIL￿ing any
ethical investment policy
adopted.
C•nbri*J8shlr8W￿lIec8r* Annu4 RepLYt and Accwnts Year Endirvj XS Jun6 2024
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Section F
Other optional information
Section G
Declaration
The trustees declare that thay have approved the trustees, roport above.
Signod on behalf of the ¢harity'8 trustees
Signature(s
Full namè(s
Position18g Secretaryi Chair,
Dinah Northfield
Chair
Date
2¥ /04
C*nbr¥Yge$hir8WibJlilvCare Annud Repryt and Accojrts Year E￿lIng 30 June 2024
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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
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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
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