OpenCharities

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

2024-12-31-accounts

Huads Huddersfield Feral and Strays Statement of Financial Activities For the Year Ended 31 St December 2024

Trustees of Huddersfield Feral and Strays Offic•rs and Professional Advlsors Yoar Ended 31S1 De¢ern￿r 2024 Chari Re istration Number: 1181055 TRUSTEES Trustees Miss Emma Hanson Miss Jarnie DeGiorgio Mrs Sally Fletcher Independent Examiners Horley Green Chartered Aco)untants Horley Green House Horley Green Road Claremount Halifax HX3 6AS Bankers Virgin Money UK PLC 40 St Vin￿nt Place Glasgow G1 2HL

Trustees of Huddersfield Feral and Strays Annual Report of the Trustees Year Ended 31st December 2024 The Trustees have pleasu￿ in preSe￿ing their ￿port and the financial statement of the Charity for the year ended 31st December 2024 Legal Status The charity is govemed by its Trust Deed arKJ is registered with the Charities Commi&8ion (Number 1181055) Objectives Huddersfield Feral and Strays aim is to provide the best care. protection and veterinary treaknent by providing a safe environment for cats in need of attention through sickness. mattreatment or abandonment. In addition to this, educate the community regarding cat welfare and responsible ownership through various methods including social media and events. We help both domesticated and feral cats wthTn Huddersfield and Su￿ound1ng area by a trap. neuter release inFtiative. This has a positive direct impact on the welfare of the animals and also the local communty. Huddersfield Feral and Strays work alongside large and small charities both local and national, to assist wth rescue and rehoming. Organisatlon The Charity is administered by three Trustees who are the Management Committee comprising of: Co-Founders Miss Emma Hanson Miss Jamie DeGiorgio Mrs Sally Fletcher Revlew of transactions and financial position The Staternent of Financial Activitses shows income for the charity of £132,908 and expenditure of £125,193 for the Year Ended 31st December 2024, resulting in a profft for the year of £7.715

Trustees of HudderJfield Feral and Strays Annual Report of the Trust•es Year Ended 31*t December 2024 Rasponsibilitles of the Trustee8 The trustees are responsible for the preparalion 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 truSt￿S are required to: Select suitable accounting policies arKI apply them consistently. Make judgements and estimates that are reasonable and prudent. State whether applicable accountant stsndards and statements of recommended practice have been followed. subject to any departures disclosed 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 ￿'me the financial posrtion 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 charrty arKI hence taking reasonable steps for the prevention of fraud and other irregulatiites. Approved by the trustees of the Charrty on 315t October 2025 and signed on its behalf by.. S. Fletcher Trustee

Trusta•8 of Huddorsfield Feral and Strays Independent Examiners Report to the Trustees Year Ended 31st December 2024 We report on the accounts of the trust for the year ended 31st De￿mber 2024, which are set out on pages 7 to 13. Respoctivo Responsibllities of Trustees and Examiners As the charitys Trustees you are responsible for preparation of the accounts; you consider that the audit requirements of section 43(2) Charities Act 1993 (rhe Act) does not apply. It is our responsibilty to state. on the basis of procedures specified in the general directions given by the Charrty Commissions under section 43(7b) of the Act, whether particular matters come to our attention. Basls of Indepondent examiner8 report Our examination was carried out in accordan￿ with the General Directions given by the Charity Commissioners. An examination includes a review of the accounting records kept by the chartty and a comparison of the accounts presented which includes consideration of any unusual items or disclosures in the accounts and seeking explanations from you as Trustees con￿mIng any such matters. The procedures undertaken do not provide all the eviden￿ that would 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 material respect the requirements to Keep accounts records in accordan￿ with section 41 of the Act,. Prepare accounts which accord with accounting records arKI to comply with the accounting requi￿rnents of the Act have not been met. or 2. Which in our opinion, attention shoukd be drawn in order to enable a proper understanding of the accounts to be reached. Approved by the Board of T￿￿taeS on 31st October 2025 Slgned on Behalf of the Board by ......

Trustees of Huddersfield Fernl and Strays Notes to the Accounts Year Ended 318t December 2024 1. Accounting Policies General These accounts have been prepared under historical cost convention and in accordan￿ with appIl￿ble accounting standards and the Charities SORP (Statement of Recommended Practi￿, °Accounting by Charities") Capital Items Capital items for the Charities own use are capitalised rf they are greater than £1000. If they have been fijnded by a specific grant. then an equivalent amount is uedited to differed in(x)rne and written off over the estimated life of the asset. All other capital items purchased a￿ written off through the statement of financial activities during the year of acquisition. Grants Reeeived Grants which have been received for a specffic purpose are accounted for separately as restricted funds. Grants are brought to account when they are re￿ived. Huddetsfield Feral and Strays have re￿iVed no grants in this financial year.

el1 Yer End btr2024 erAl* dst

dd Ferxl •Nd.St ts Trf the Finrial. ror ibÈ I'car ded 3 lknwbtr2024 PARe Tr•dlhE ad Profil amd Ath¥•t B#l•c¢Sheet TngdJle lix¢d A¥¢tssthd•k

Iluddc er*1 ltyform¥tto e Yt¥r E•dt4131 her2 PROPIUETOIL. Fjnma Ilanso Sally Fk(cJv ADDRW: AcroiIKfAprrs: Flowlcy Ho Hajir West Yowk&lJ IIX3 6A% P•8c I

f theyur Att Feral In ￿0Th13n¢¢ with it￿u￿on8￿]Y¢n io us have withoui rarrying oth an audil the artncxed rtwicial Ih c¢ountin r￿OrdS ofiiu(IdeT5fi¢ld F¢raJ and Stry a￿j inforn￿lI)fft and CXpla￿lOrts supplied AorleyG.,- CHARTERED ACQOUNTANTS Ilorley Green Chartertsi Account￿ts Ilorley GrL*n IIousL Horlcy Oreen Road Clayemouni Flalif4LY Wlsi YothiTe HX3 6AS Pa8e 2

Hud Ver1 4nd.sira d Prnfft #Md fpr Ihe I'er End 31 htr 2024 31.1224 31.1223 Incom¢ Adopiiors fL 11.30D 34.062 4.723 21.278 38.071 1.894 Bonus ￿11 Don￿10n5 Fundr4isbnB 39.fl S3)8 41.7Z4 I￿9• Cost fjfsales Vrri￿llry ¢xpetW5 Fcliw svpplies IJODUS ball wiwjings Merd>adi Rom¢ Winrtthbg5 ,4l• S.163 45.992 7J27 1.484 650 470 97J75 55.953 Gk(K8S PROFIT 55.375 "xpeTrdittsre Kcnt RalLS and IVa￿t Iiisuran Ligbiond h¢ai Telephone Posl and StsEioncry R¢pairs and r¢r￿￿11$ OmPUlkrcost5 S'wjdry Accotuan¢y 11079 510 1.061 1217 442 1,•12 lJ73 452 50 1.127 734 M7 17Jl8 24.091 7,713 31,2 itr#UC¢ ¢05ts Bank tharg¢s 403 92 7JA2 31.192 l)tprcci*tiv4 l ixlurcs fillin&8 Compulcre¢w4)JJxnl 65 19 IS4 NKT PROFIT 31,038

Det 8herf 31 IkceNber2 31.1224 31.12.23 FIXEDAS8trs Fixiurcso]¥J fittings Compuler LVIÈpr￿t 193 264 372 CIIRREwf Assrrs sv$￿nse account •• 7J54 21.167 PayP￿ accounl 7.354 25.903 55 C.IIRRFKT I.IABILITJ Trndc creditors 932 33J12 4932 33 NKf ASSLYS 29.196 33.685 blNANCF.D BY CAPITAL Accouwr Ilrouglit for Add N¢1 12.010 31.038 43.048 DrnwinBS 9J63 33.685 29.196 Py3

Fixcd Srhtd k JI Dtrembtr2024 C'DmputeT 'rota]5 C05r Ai i J&nuury2024 nd 31 IkYLmirr 2024 401 795 DLPRU'.IATJQN Ai i JllDtsar)' 2024 LTharg¢ foryetr 222 423 Ai 31 Detemtr*r 2024 531 NLT B(M)K VALUE Ai 31 fkccJJkn2024 145 119 Al 31 tkc¢mkr2023 193 179 372