Charity registratknn number. 117￿27
FIELD NURSE CIO
TRUSTEES, REPORT AND
UNAUDITED FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025
David H Evans Ltd

Fleld Nurse CIO
Contsnts
Page
Trustees, Report
Independent Examiners Report
Slalemenl of Financial Adivities
statement of Finandal Position
Notes lo the Fin8naal Slatements
10
The followlng pages do not fom part ofthe ststulory &￿unts.
Detailed Statement of FI￿ana￿ ACti￿tres
11

Field Nurse CIO
TTU$tees' R•port For The Year Endgd 31 March 2025
The Iruslees present their report and the financial statements for tho ye8r ended 31 Marth 2025.
Objactives and Activities
Aims and Objectfves
Field Nurse CIO LS a UK based charity that supports the Physic￿ and mental health of people in rural areas
wilhln Lancashire. Yorkshire and Curnbria. The charity employs qualified nurses who attend agTiGultural auction
marts and various agr￿ultUral shows and events.
Referenc8 and Administrative Detalls
Trustees
T Richard Schofield
Ms Kathryn Phlllips lapwinted 01109r2024)
Mr John Dugdale
Charlty Number
1179627
Prlnclpal Address
Brookslde Coltage
Grunsaglll
Tosside
Skipton
BD23 4SJ
Independenl Ex￿in￿r
David H Evans Chartered Accountant
David H Evans Ltd
Chartpred Accountants
Unll 27B. Mitlon Road Bijsiness Park
Mitton Road
Whallsy
Lancashlre
BB7 9YE
Page 1

Fleld Nurs• CIO
Trustees. Report {continuedl
For Tho Year Ended 31 March 2025
The trustees, report was aFvroved by the trM)ard of truslees arKI S￿5ned on its behalf by.
Mr Rlchard Schofield
Trustee
10112026
PwJ& 2

Flold Nurse CIO
Independent Examlnorfs Report to the Twstees of Field Nurse CIO
For The Year Ended 31 March 2025
I report to the trustees on my examinaflon of the ￿CoUnts of Field Nurse CIO (Ihe Trusll for the year ended 31
March 2025.
Responslbllltt8s and Basls of Raport
As the charity Irustses of the Trust you are responsible for the preparation of thg accoun15 in accordan￿ with the
requirements of the charit￿ Act 2011 fihe Acr).
I report in resp8cI of my examination of the Trust's aowunts carried out under section 145 of the 2011 Act 8nd in
carrying out my examination, I have fdlowed the applicable Directions gNen by the Charity Commisslon undgr
section 14515)Ib} of the ACL
Independent Examlnerfs Statement
I have cOMp￿ted my examination. I conflmi that no malervdl matters have come to my attention in connection wtth
the examinallon giving me caus8 Its bdiev6 that in any material respect..
l. accounting records were not kept in respect of the Trust as required by wtion 130 of the Act,. or
2. tho accounts do not a￿OTd with those records: or
3. the ac(x)unts do not comply with the applicable requirements conceming the form and ￿ntents of accoun18
set out in thè Chaiiti9s IAL*ounts and Reports) Regulations 2008 other than any requirement that the
accounts gwe a Irue and fair which is not a matter considered 85 part of an independent examination.
I have no concerns and have come across no other matter5 in connection with the examinatK)n to whlch att8ntlon
should be drawn in this repgrt in order to enable a proper understanding of the accounts to be reached.
David H Evans Chartered Accountant
0610112026
Unit 27B, Mltton Road Business Park
Mitton Road
Whalley
Lancashire
BB7 9YE
Page 3

Fleld Nurse CIO
Statgment of Financlal Actlvltles
For The Year Ended 31 Ma￿h 2025
2025
2024
Unrg$trlcted Restrlcted Total Unrestrlcted
funds
funds
fund6
funds
Notss
INCOME AND ENDOWMENTS FROM:
Donations and legaC￿S
EXPENDITURE ON:
Charit8ble aclivilies..
Providing health and wellbelng advice.
NET EXPENDITURE
18.270
11,009 29,279
25,265
(27.0291 111,009) (38,038)
(8,759)
18,759)
128.6541
13,389)
NET MOVEMENT IN FUNDS
RECONCILIATION OF FUNDS:
Total funds brought forward
TOTAL FUNDS CARRIED FORWARD
18,759}
18,759}
(3,3891
28.299
28,299
31.688
13
19.540
19,540
28,299
The notes on pages 6 10 10 form part of th8se financial statements.
Page 4

Fleld Nurse CIO
ststement of Flnancial Posltlon
As At 31 March 2025
2025
2024
Unrestrlcted Restrlcted Total
funds
funds
fund5
Total
fund$
Notes
FIXED ASSETS
Tangible Ass9ts
10
4,611
9,414 14.025
6,148
4,611
9.414 14.025
6.148
CURRENT ASSETS
Cash at bank and in hand
14.929
14,929
22.151
14,929
14.929 22,151
Credltors: Amounts Falllng Dua Within One Year
11
{9,414) 19.4141
NET CURRENT ASSETS {LIABIUTIES}
14,929
19.4141 5,515 22.151
TOTAL ASSETS LESS CURRENT LIABILMES
19,540
19,540 28.299
NET ASSETS
19,540
19.540
28,299
FUNDS OF THE CHARrr
Unrestricted Funds
19.540 28,299
TOTAL FUNDS
13
19,540
28,299
On behalf of the board
g sU.-IJ
Mr Richard Schofield
Trustee
0610112026
The notes on pages 6 10 10 fonn part of these financ4al stalem8nts.
Page 5

Fleld Nurse CIO
Noteg to the Flnanclal Stslements
ForThe Year Ended 31 March 2025
General Infom)atlon
Field Nurse CIO is a charitable incorporated organisation registered wtth the Charity Commisslon. register
charity number 1179627. The prinL¥pal address is Brooksmje Cottage , Gnmsagill. Tosside. Skipton. BD23 4SJ.
2. Accounting Pollclos
2.1. Basi$ of Preparatlon of Financlal Statsments
Th8 financial statements have been prepared in acCordar￿ with the Charities SORP {FRS 1021 "Accountlng
and Reporting by Charities.. Statement of Recommended Practice applicable to Charl￿eS preparing their
accounts in aL%ordance with the Financial Reporting Standarrl applicable in the UK and Republic of Ireland
{FRS 1021 (effective 1 January 2019).. Finanual Reporting Standard 102 Yhe Financial Reporting Standard
applicable in the UK and Republic of Irdand. and the Charities Act 2011.
The charlty is a Publlc Benefit Entity as defined by FRS 102.
2.2. Incornlng Resources
Donations are recongni8ed 8s and when T￿lved.
Both Restricted and UnTeslricted Fund Granls are recogniwj in the pertrxl received.
Any Capital Grants arg offset agalnst the LX)sl of Ihe asset for whlc* the the grant was made.
2.3. Resources Expended
Resources expended are recongnised on an accruals basis and a¢xounted for in accordance wlth the
CharitEs Statement of Recommended Practice {SORPI.
2.4. Tangible Flxed A55ets and Depr￿latIon
Tangible fixed assets are measured al ￿$t less accumulated depradabon and any accurnulaled impairment
losses. Depreciation L8 prDMded al rale5 calculated lo write off the cost of the fixed assets. less their
estimated residual valu8. over thelT eX[￿ed useful INes on the followirvJ bases".
Plant & Machinery
Motor Vehides
Fixtures & Fitting8
Computer Equipment
25% ofthe written down value
25% of the written down value
25% of the written down value
25% of the written down value
2.5. Cash and Cash Equlvalents
Cash and cash equivalents ar8 basic financial assets aryj indude cash in haThJ and deposlts held at call with
banks, other short-lerm hvJhty liqukl investments that mature in no more than three months from the dale of
acquisition and are readily convertible to a known amount of cash with insignificant rksk of change In value.
and bank overdrafts.
Income from Donallon8 and Legacles
2025
UTrrestrlcted Restsl¢ted
Total
funds
funds
fund6
Donations and glfts
Grants
15,260
3.010
15,261
14,018
11.008
18.270
11.009
29,279
Page 6

Field Nurse CIO
Notss to the Financlal Statements (contlnuedl
For The Yèai Ended 31 March 2025
2024
Unrestrlcted Ro$trlGted
funds
Totsl
funds
funds
Donations and gifts
Grants
12.765
12.500
12.765
12.500
25,265
25.265
Net Incomel(Expendliurel
Thg net expendlture is slated after chargiwll¢xeditsng}'.
2025
2024
Depreciatson of tangib le fixed assets- owned
1.537
5. Analysls of Expendlture
2025
Actlvlti•s
Support
undertaken
costs
dlrectty (see note 6)
Total
Provldlng health and wellbeing a(Mce.
28.392
9,646
38,038
2024
Actlvltles
Support
undertaken
costs
diTeGty (see note 6)
Total
Providing heaith and wellbeing advKe.
23.299
5.355
28.654
Support Costs
2025
Provldlng
health and
wellbelng
advice.
Employee costs
General adminSslration
872
8.774
9,646
Page 7

Fleld Nurse CIO
Notes to the Flnanctal Statèments (continued)
For The Year Ended 31 March 2025
2024
Providing
health and
wellb¢lng
advlcg.
Employee costs
General administration
1.897
3,458
5.355
Indepèndent Ex8mlneVs Remuneratlon
The Independ8nt Examiner does not make a separate charye for the lThJependent ExaminatM)n.
2025
2024
Inde￿ndant examination of the flnanLyal statements
Other assurance s8rvices
Tax advisory servi￿$
Other financial ￿rviCeS
1.176
950
1.176
950
The charge analysed as Other finanaal servkes L8 for accounts preparation and payroll administration.
Staff Costs
staff costs wor9 as fdlows:
21)25
2024
Wages and salaries
Other pension costs
24,092
296
22.024
318
24,388
22.342
No employees receiv8d gmployee iEnefits {exduding employer pension costs) for the rew)rOng period of more
than £60.000.
Average Number of Employees
Average number of employees during the year was: 1412024". 8)
Page 8

Fl•ld Nurse CIO
Notes to the Flnanclal Statemènts (continued)
For Tho Year Ended 31 March 2025
10. Tanglbl? Assets
Plant &
Machlnery
Fixtures &
Ftttings
Totsl
Cost
AS at 1 April 2024
Additions
10.500
9.414
9,414
As at 31 March 2025
18.414
1,500
19,914
Dgpreclation
As al 1 April 2024
Provided during the p8riod
As 8131 March 2025
3.563
1,359
789
178
4,352
1,537
4,922
967
5.889
Net Book Volue
As at 31 March 2025
13.492
533
14,025
A5 at 1 April 2024
5.437
711
6,148
11. Creditors: Amounts Falling Due Within One Year
2025
2024
Other cr¢ditors
9,414
12. Penslon Commltments
The charity yrates a defined Contribution penwon scheme. The ossets of the sthme are held separataly from
those of thg charity In an independenuy administerèj fund.
Durfng the ygar the charge to the statement of financial athriies in resFect of defined ¢X)ntrfbution schemes was
£296 {2024.. £3181.
Al the slalgment of flnancial position date contribut￿n$ of £NIL were lo the fvnd and are Included in creditors.
13. Movemont in Funds
As at 1 April
2024
Asat31
Expendlturg March 2025
Income
Unrgstricted funds
General..
General unreslrKted fuThJ
Restricted funds
28,299
18,270
{27,0291
19,540
..CONTINUED
Page 9

Flèld Nurse CIO
Notes to th8 Financlal Statements (contIn￿dI
For The Year Ended 31 March 2025
Defra Farmir@ Stronger arKI Longer
Craven Communilles Fund
9,509
1.500
19,5091
11.500)
Total restricted funds
11,009
111.0091
Total funds
28.299
29,279
(38.038)
19,540
As at 1 Aprfl
2023
A8at31
Exponditure March 2024
Income
Unrestrlctsd funds
General..
General unrestricted fund
31,688
25,265
{28.654)
28,299
Totsl funds
31,688
25.265
128.654)
28,299
14. Transactlons wlth Trusta•s
Non8 of the trustees recefved any remuneration or any other benefits fn)m an employment with the charity or a
related entiiy during the ￿rrent previous year.
No trustee expenses have been incurred.
15. Related Party Dlsclosures
There have been no related party Iransaratons In the reportuig pericKI that require dlsclosure.
Page 10

Field Nurse CIO
Detsiled Statement of Flnanclal Actlvltlgs
For The Year Ended 31 March 2025
2025
2024
Totsl
funds
Total
funds
INCOME AND ENDOWMETrifs FROM:
Donatlons and legacies
Donatlons grfls
Grants
15,261
14,018
12,765
12,500
29.279
25.265
29,279
25,265
EXPENDITURE ON:
Charltable Activltles:
Provldlng health and vmllboing advlce.
Protective clolhirrfJ
Wages and 88laiies
Employers pensi¢)ns- defined ￿ntributIOn schemes
Travel and Subsisten￿ expenses
Temporary staff
Depreciatlon of plant and m￿lnery
Deprecialon ol comFthr equipment
staff trainlng
Repalrs, rgn8wals and malntenance
Insurance
Advert181ng and marketing costs
Accountancy fees
Sundry expenses
{656)
(24,092)
12961
{1,6881
1123)
(1.359)
(178)
(8721
{5,6671
(1,2311
17fKJ>
11,176)
(1281
{22,0241
{3181
{829)
{1,8971
11,1881
11,027)
(290)
(950)
13)
128.6541
128,6541
138,038)
(38,0381
18,759)
NET EXPENDITURE
(3,389)
Page 11