l (/ tluddpr.R
field"-'
AND
STRAYS
Huddersfield Feral and Strays
Statement of Financial Activities
For the Year Ended 31st December 2021

Trustees of Huddersfield Feral and Strays
Officer4 and Professional Advisors
Year Ended 31st Decomber 2021
Chari
R 18tratlon Number: 1181055
TRUSTEES
Trustees
Miss Emma Hanson
Miss Jamie DeGiorgio
Mrs Sally Fletcher
Mrs Dannie1￿ Boyes
Independent Examiners
Horley Green Chartered Accountants
Horley Green House
Horley Green Road
Claremount
Halifax
HX3 6AS
Bankers
)rirgin Money UK PLC
40 St Vin￿nt PlaGe
Glasgow
G12HL

Trustees of Huddersfield Feral and Strays
Annual Roport of the Tru8taes
Year Ended 31•t December 2021
The Trustees have pleasure in presenttng their report and the financial statement of
the Charity for the year ended 31st De￿rnber 2021
Legal Ststus
The charity is govemed by i<s Trust Deed arKI is registered with the Charities
Commission (Number 1181055)
ObJective8
Huddersfield Feral and Strays aim is to provide the best care. protection and
veterinary treatrnent by providing a safe environment for cats in need of attention
Ihrough sickness. maltreatment or abandonment. In addition to this. educate the
community regarding cat Welfa￿ and responsible ownership through various
methods including social media and events.
We help both domesticated and feral ￿ wrthin the Huddersfield and surrounding
area by a trap, neuter release inrtiative. This has a posittve direct impact on the
welfare of the animals and also the local C￿mUnty.
Huddersfield Feral and Strays work alongside large and small charities both local
and national. to assist with rescue and rehoming.
Organisation
The Charity is administered by four Trustees who are the Management Committee
comprising of:
Co-Founders
Miss Emma Hanson
Miss Jamie DeGiorgio
Mrs Sally Fletcher
Mrs Dannielle Boyes
Review of transactions and fir￿nCial position
The Statement of Financial Activities shows income for the charity of £128,782 and
expenditure of £142,044 for the Year Ended 315t December 2021, resulting in a
deficit for the year of £13,866.

Trustees of Huddersfield Feral and Strays
Annual R•port of the Trustees
Year Ended 31st December 2021
Responsibllities of the Trustees
The trustees are responsible for the preparation of accounts for each financial year
which give a true and fair view of the Charity's financial activities during the year and
of its financial position at the end of the year. In preparing those accounts the
trustees are required to:
Select suitable accounting policies and apply them consistently.
Make judgements and estimates that are reasonable and prudent.
State whether applicable accountant standards and statements of
recommended practi￿ have b￿n followed. subject to any departures
discfosed and explained in the accounts.
Prepare the accounts on the going con￿rn basis unless it is inappropriate to
presume that the charity will continue in operation.
The Trustees are responsible for keeping proper accounting records which disclose
with reasonable accuracy at any time the financial posttion of the charity and to
enable them to ensure that the accounts comply with the Charities Act 1993. They
are also responsible for safeguarding the assets of the char￿￿ and hence tsking
reasonable steps for the prevention of fraud arKI other irregularities.
Approved by the trustees of the Charity on 31st October 2021 and suned on its
behalf by:
S. Fletcher
Trustee

Trustses of Huddersfield Fèral and Strays
Indopandent Examiners Report to tho Trustee8
Year End•d 31st December 2021
We report on the accounts of the trust for the year ended 31st December 2021, which
are set out on pages 7 to 13.
Respective Responsibilities of Trustees and Examiners
As the charity's Trustees you a￿ responsible for preparation of the accounts. you
consider that the audit requirements of section 43(2) Charities Act 1993 (The Act)
does not apply. It is our responsibilty to stste, on the basis of procedures specified in
the general directions given by the Charity Commissions under section 43(7b) of the
Act. whether particular matters come to our attention.
Basis of independent axamlners report
Our examination was ￿rrIed out in accordance with the General D1￿ctionS given by
the Charity Commissioners. An examination includes a review of the accounting
records kept by the charity and a ￿)mparisOn of the accounts presented which
includes consideration of any unusual items or disclosures in the accounts and
seeking explanations from you as Trust&s con￿MIng any such mattets. The
procedures undertaken do not provide all the eviden￿ that woukj be requires in an
audit and consequently we do not express an audit opinion on the view given by the
accounts.
Independent Examiners Statement
In connection with our examination, no matter has come to our attention:
1. Which gives us reasonable cause to believe that in a rnaterial respect the
requirements to
Keep accounts records in accordan￿ with section 41 of the Act.,
Prepare accounts which accord with accounting records and to
compty with the accounling requirements of the Act have not
been met" or
2. INhich in our opinion. attention should be drdwn in order to enable a proper
understarKling of the accounts to be reached.
Approved by the Board of Trustees on 318t October 2021
Slgned on Behalf of the Board by ...

Trustees of Huddersfield Foral and Strays
Notes to the Accounts
Year Ended 31*t DKember 2021
l. Accounting Policies
General
These accounts have been prepared under historical cost convention and in
accordan￿ with applicable accounting standards and the Charities SORP
(Statement of Recommended Practi￿, °Accounting by Charities.)
Capital Item8
Capital items for the Chariti'es own use are capitalised rf they are greater than
£1000. If they have been funded by a specffic grant. then an equivalent
amount is credited to differed income and written off over the estimated life of
the asset.
All other ¢apital items purchased are written off through the statement of
financial activities during the year of acquisition.
Grants Received
Grants which have been received for a specific purpose are accounted for
Separate￿ as restricted funds. Grants are brought to account when they are
received. Huddersfield Feral and Strays have received one grant in November
2021 to use towards Veterinary Expenses. Food and Trap Neuter Release
Costs..

'1I3yditcd Fln2ncial St2tt¥neNts for
he I.￿r Endtd
l December 2021
ror
Huddtrs
Id Feral Sir2v5

HuddeTJfield Feral am%l.S*ra
Contents tsfthe FiAAncial St*itment*
for the I"eJr F.￿ded 31 December 2n21
Page
Ceneral Ih(ormation
.4¢ttsuJJlants' Rtport
Trodint and Profit and Loss #trrguwt
Ba12nft Shttt
TAngible Fixed A55tts Schvlvle

dder5r￿1¢l Ferxl and Straws
fvènerjl InfornTAtio
for rhe lear Ended 31 Derember 2021
TRusfEES:
K4155 E Hans(Kt
J Ik(iiorgio
S FILlchLY
N415 D BOYL
AccoDYfA￿TS.
Fhjrlev Gr￿ Charteted ActouHtants
Ilorlev Green House
Florlcy GtL'Cll Road
ClJrcmouni
W¢si YorLthire
I*ge I

art¢i*l Ststeme
e Year Fndtd
I l)¢rembor 2021
Acc&untant5' R
rtto
Huddersfitld Fcral 2nd Stra
In a¢L￿rG.a[￿C iyiih instructions lo us we ha*e [￿e￿ILld ￿￿¥$ng out an audit the an￿￿￿id fibtsn¢ial staiemtn15 from tk.
JL'¥ouniiiis rLYnFd% of IluddLrsliL.lJ F¢ral and SLrJy% Jnd Irom infijrmation and knxPl￿u7iOlls suppliLxI in ws.
Fli)rley GriLn ChJrt¢red ilcco*Jnthots
14orliy Cjreen Houk.
141)rlL'y (irel￿ Road
WLiI YurkbhirL'
IIX3 6A%
DJi¢'.

Ilu&iler5field F ral 8t
TrJdi*<• and Profit #nd i&*SS AeEthunt
for the Ytjr F 31 DetÈmb¢T ?O?I
31.1221
31.12.2
Ineomt
18,080
ucil0￿]IlL[￿h2ndLxC
23.293
4.687
4.04G
39.355
37.609
5.149
89U
36,966
23551
OihLr
128.178
Cost ors￿leS
ILrin4ry i.KPLn5¢S
FLIiTrL wppli
LvL'nt
Buiius bull ivinning5
ILrthindiie
124287
9.428
74.994
9.473
l.858
1157
l.i73
403
136J30
86.f>O8
f•ROSS ILOSSYPROFIT
18,6521
Kxtiendi*ure
1ftsuraAtc
-rclL'plior
345
4.439
8iinilrv LKtKnses
ALLouiiiaii¥
1.730
3.632
54
5214
liJ J66}
15.74Q
Finince costs
(14522)
25.740
D¢proci&iiort
l-ixtllrL% fiiiings
50
ET ILOS.SVPROFIT
14572
75.740

Hudder%fie141 FerAI %trgvs
Bal2nfC.SF4ttt
JI Detem
er*th71
31.1221
31.1?.2n
FI.YED ASSEI'b
iy¥
CIIRREYT ASSETS
29.493
2.835
lJd7
32J28
CURREliT LI.4BILITILS
'rrad¢ erediior
17J1>6
3?.3*8
ET ASSETS
17.954
. j?0
FINANCED BY
CAPIT.4L.4CCOUNT
.111 lonvJrd
J2J26
16.748
?5.740
3Z526
42.488
Draivi11¥5
N¢c Iv5
9.962
9.96?
17.954
17,954

Huddtr%fiel(l Fergl And StTIV5
T2
ible Fixed Asscts Scbtdule
J l Dt£ember"021
ixiure8
nd
rittings
COST
.4t l Jli nuary 2U21
and JI Dl￿lm￿.r 20?1
198
DIPRECIATION
LlitsrgL for y¥ar
Al 31 fAY¢mber?D21
Nkl. BOO]% V.ILL.E
148
Ai 31 tkrembLr 2020
198
I'Jg¢ 5