CHARITY
COMMISSION
Trustees, Annual Report
for the period
&FJW
Section A
Refeience and administration delails
charity name
other names the charity is known by
Registered charity numbe( (if any)
u￿rIty'S piirtcipal oddress
Postcode
Name5 of the charity trustees who manage the d￿rItY
Trustee #ame
Office (If w)
Dates arted rf not lor
wrt￿1e year
Ilame ol wson (or body)
enlltled t¢* appoint
trustee (if ally)
LÈ
10
11
12
13
14
Is
16
17
18
19
20
Names of the Iiv51ees for the charity, if any (lor exafflple, any custodian trustee5)
Name
Oates acted rf not lor TNhole yeai
TAR
March 2012

Section A
Refeience and administration details (continued)
Names and addresses of advisers
Yype ol adviser
tional infomatlon
Name
Addre55
Name ol chief executive or names ol senior staff members
ti￿al In1￿mation
Section B
structure, governance and management
Oesiription of the charity's trusts
ype of governing doojment
(eg tIUSt deed, constltullon
CONS I t-Trr(o
Fkjw the Iharily is constiiLrted
(e9 trus¢ association, cofflpafty)
Trustee seleaion methryts
(eg appointed by, elected by)
ReYNT IRost&S
Additional governan(e is5￿5 (optional infoirnation
You may choose to ilKlude additional
in1￿[￿&110￿, where relevant. abovi=
policies and prO￿d￿re5 adopted the
induction and training of trustees-
. the charity's orgallisalronal 5trucluie and any
wider network with which the charily works,-
relationship with any related parties,.
. trustees. consideration of major risks the
sysletll ptocedure5 to mwoge them.
TAR
Mèrch 2012

section
Financial Feview
Briel slatefflent ol the
charity's policy on reserves
Details ol any funds materially In defictl
Further financial feview detsils (Opti￿01 in1￿MatiOn)
You may choose io in£lude additional
inlocmalion, where felevanl, abo￿=
the charity's piincipal souices ol funds
(including any fundraising),-
. how eX￿ndItUre has SUPPOrted the kry
obje(lives of the thaity.
' inveslment policy and 0￿.e(liVe$ including
any ethical investment policy adopted.
iTh ￿JLL• LaleJi,@.
Section F
other optional infoifflation
Section G
Declaration
The trustees de(lare that they have approved the trustees, fewt above
Signed on behalf ol the charity's Iiustees
SiWure(s)
Full namels>
Posilion (eg Se(retsry, (hair, etc)
nrqnThFJE]
TAR
Marth 2012

Section C
Objectives and aitivities
Summary ol the objecls of the dbarlty sel
out in its governing document
gfeLLCLL, I, k•,
ICL,
Summary ol the main activlties
undeitaken lor the public benelit ITr relation
lo these obje(15 {l￿1ude wiihin this section
the slatuloiy de(laraiion that tiustees have
had iegard to the guidance issued by the
Charity Commission on public benefit)
Additional details ol objectives and activities (optional information)
You may thoose to include ￿rther
stslements, where ielevanL about..
' policy on grantmaki
' policy wogramme related inveslmenl
. contribution mwk by wJbJrrteeT
Lkeoc-clckne Ct PL
LknLLW Eo knojp
brLng.
Section D
Achievements and performance
Summary ol the main achievetnerT15 01 the
(harity during ihe year
ko ,Iin&>J,
FcLJ£&() laz)fn* &iks G
CLLCO 9￿] ra?L
ctt 4ttJ ckthpy
TAR
March 2012

## South Devon Hedgehog Hospital 

## Financial Activities 

## April 2022 - March 2023 

||TOTAL|
|---|---|
|Income||
|Donations and legacies|8,335.85|
|Sales|3,772.91|
|Uncategorised Income|10.00|
|Uncategorised Income ( 5 )|297.78|
|**Total Income**|**£12,416.54**|
|Cost of Sales||
|Cost of sales|3.00|
|**Total Cost of Sales**|**£3.00**|
|TOTAL|**£12,413.54**|
|Expenditures||
|Accounts Costs|192.00|
|Advertising/Promotional|235.92|
|Animal feed/pen accessories|1,682.56|
|Insurances|100.98|
|Medical Equipment|131.30|
|Medication|651.39|
|Office/General Administrative Expenses|53.31|
|Other Professional Services|619.18|
|Phone Internet|165.00|
|Printing, Postage and Stationery|44.90|
|Raising funds|150.00|
|Rent or Lease of Buildings|3,900.00|
|Supplies|134.69|
|Travel|655.19|
|Uncategorised Expense ( 6 )|28.10|
|Utilities|750.98|
|Vet Costs|805.87|
|**Total Expenditures**|**£10,301.37**|
|NET OPERATING INCOME|**£2,112.17**|
|Other Income||
|Gift Aid|290.02|
|**Total Other Income**|**£290.02**|
|Other Expenditures||
|Refund|250.00|
|**Total Other Expenditures**|**£250.00**|
|NET OTHER INCOME|**£40.02**|
|NET INCOME/(EXPENDITURE)|**£2,152.19**|



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**Cash Basis  Saturday, 18 November 2023 05:17 pm GMT+00:00** 

