RECISTERED COMPANY NUMBER: 11843722 (England and Wales)
REGISTERED CHAIUTY NUMBER: 1184971
Report of the Trnsttts and
Unaudited Fin8Trcial Ststernents
for the Year Ended 31 December 21121
for
Tethvorth Equestrixn
4 Cedar Park
Cobham Road
Fenth￿ Ind￿$￿131 Esta
Wimborne
DoTset
BH217SF
*A8th8GBU4
A23
COMPANIES HOUSE

Tedworth Eque5tri*
Content5 of the Fiu#vci•l St4ttments
for the Year Ended 31 Defe￿ber 2021
Page
Report of the Tr¥$te¢s
I to 7
Illdependettt Exami*er's Report
St*temellt of Financial Activitie5
Balanet Sheet
10 to 11
tts the Finanti#l St•¢erneuts
12 to 22

Tedworth Equestrian Oiegistered number: 11843722)
Report of the Trustees
ror tht Yexr Ended 31 December 21121
The trus￿eS who are also directors of the charity for thc purpD5CS of the Companie$ A¢¢ 2￿. presetst tbeAr report with
the fil￿¢]8] 5tatem¢rJts of the charity for tbe year ended 31 Decernber 2021. The twstees have adopted the provisioos of
Attounting and Reporting by Charities.. Sratement of Recornmerkded Practice applicable to Charities preparing their
accounts in accordance the Fina￿18] Reporting Stsndard applicable in the UK and Republtc of Ireland (FRS 102)
(efftclive l January 2019).
OBJECTIVES AND ACTIVITIL8
Objettives and alms
The objects as set out In our goveming documents are..
"Promoiion of the ¢ffi¢ien¢y of ihe arned forces by providing re¢Trational f#cili¢ies for physJ¢al fits%s5 of servin8
members, bener prepar¢ them for active service and the performance of their duties. promote esprit de corps, raise
morale and foster close relationshjps". and subject thereto. the encourage￿t of P￿D¢7P0(10n irt amaieur sport and
re¢TeatJon by all members of the communiry, includingchildren and Yo￿ng people. the elderly artd the disabled."
Our Visio
A network of self-su$taining Amied FoTces Equine Centres that are interwym into the welfare aTKI wellbeing (abri¢ of
the Garri50DS. Station and bws IA vknich they reside and play their part in improving the lived experiences of Th¢
Anned Forces Cotnmunity.
Our Core Tasks
Equine Sport and Recreation
We enable and assure that affordability. availability. and a¢¢¢ssÈbklity are not battlers for ittdividuals to improve their
physieal and rnenial health througb equ>ne sport and re¢wration.
Equine Assisted Services in support to Ihernpy. Reeovery *nd Rekabllhtstlon
We play our part in improvin8 the aThncd forces ¢OTnmunity health and well￿1n8 by providing nonclinical quine
assisted Anterventions that support therapy. reCO￿r and rehabilitation.
Equine As$i$ted t*arAlng
We $up3x)rt tIM)se who are Neuro Diverse. aDd others wllere tbe classtoom is simply Th)1 working through Equine
Assisted LearnJn8 iThterytnlions.
Wlder Welfare Support
Beyond eqtjines, each of our cefttres provide welfaTf hubs for tl* commwlilies around them. Our Arnied FoTC¢S
Community Hubsl Café are by rn8Dy indiviththls and organisaiioii$ utilise them for wider welfare 5uppon activity.
Governan<< Leadership and BusiDe55 Support
We provide ihe governance, oversighi. leadership. lyJsit*&8 and fiDancial support th•¢ equestyiaD ¢¢Otr¢5 and staff need
to sutvive and thnve. Increasing legislation. liabilities and financial regulations makes rnnnjrtg equestrian ctntres by
njilirary indLvidual$ Is a secottdary dury no longer realistic or feasible. Given the sizt of the UK Amied Force5. the level
of ¢ommittnents and budgetary pressure5 tbey no longer ha￿ the cw¢ity 01 skn.ll sets for this role. The charity en8ages
with local ¢ommattders, heads of &sthblishtnents and local authorities iu order ￿ ¢Dsur¢ that we are delivering to welfare
at)d wellbeing as they perceive them io be. We ernploy the staff who deliver e4uine activity at)d facilities management to
enable and assures that our centres remain safr and legis18tively ¢onylianL
Page I

Tedwor¢h Equt$triats (Registered number: 11843722)
Report of the Trusttts
for the Yexr E￿ded 31 December 2021
FINANCIAL REVJEW
Fithathf ial po$ition
The charity platss to build and mainttin the level of free reserve5 th be at le&sl three rnonth5 operating ex￿￿11¢Urr.
Progress against this routinely reviewed by Trustxs through the Chan"ty Finance and Audit CoThmittee and at Majn
Board meetin8S.
As at 31 Decem￿[ 2021. the Charity total reserve5 (re51ric*d and unrestricted) of £202.828 which represents an
decrease of £33.549 from the Prior year. Of this tothl the reserve £140.827 1$ utuestri¢ted and £62,1)01 is restricted.
Of the UQTestri¢teAJ Teserves figuT¢ £189.550 is represenied by fixed assets. This left a level of free re5erve5 as at 31
De¢ember 2021 as negative £48,723 wbich is belowl tht W8et level of frec reser¥e5 %t. Howcver the trnstees are
working towards increasin8 the free reserv&s.
Tbe Testricled reserves figute of £62.IJOI is a result of filtyk￿ nth.ng in advance of 2021 and are liktly to be
fully eXpel￿d irt 2022.
FUTURE PLAf4S
The Chanty saw again an iocreasing demand for its seryices in 2021 and continues lo do so in 2022. The ¢oronavirus
presented Ihe chariry wiib considerable operdtioDal cballeDgc5. a5 is obviously the case a¢ross the whole charity seeior.
In ternis of our financial positioz4 the first half of 2022 has continued to be challenyn8. We have seen an increase in
restrickd grant support that has enabled the charity 10 iocre&se ITh its dclivcry of its 5 core &ciivities.
Complaints
We have r￿e1v￿ c¢)rnp13ints about fur¥hai5iDg adiviti¢& All oth¢r fdou￿101llts w¢r¢ dealt with throuKh the Charity's
omplasnts pro¢ess.
STRUCTURE. GOVERNANCE AND MANACEMEiYr
Governirtg document
Tedworth Equesrrian - The Arnxd Forces Equine Charity is a charitsble company by guarantee and was set up
on 25 Feb 2019. Tb¢ governing dLKunKnts are the Artides of A$￿i3110n wert ÈgTeed on estsblishn￿￿t of the cbarity
in Augusi 2019.
Page 2

Tedwortk Eqttestrian Oiegtstered Trurnber: 11843722)
Report of tbe Trn5tees
for the Ye*r Ended 31 December 21121
STRUCTUR4 GOVERNANCE AND MAIYAGEMEf4T
Retruitment and xppointrnent of new trustees
All Mjstee appoitttments are approved forn￿llY by the Board of Tn]SW. Applications for trltsteeship 8re encouraged
from all sections of society. The iK>aTd of TnJst¢e5 met 4 tiThK5 in 2021 ar￿ the board delegates certain fimctions to the
followiDg committees". Finance and Audit. 1knsL Stratewy and NOmiT￿lOn aDd Remw)erntioo.
Armed Forces Covenant
The charity 15 a Si￿atOry to the Arrned Fortts Covenaut.
COBSEO
The Charity is a meTnber of the C(￿f￿erntiOn of Forces Chon"ti¢s and in 2021 we became an associate
membership of the Contact Gioup which 15 a ¢lwter of arn*d forces cknities and orBanisations connected with Ihc
dclivery of mental health support.
The NationaI Coun¢ll for VoluntAry Orgaoisation$
The chaTity is a ￿mber of NCVO that provides trdining. events. c¢)n5ulthncy. belp and guid&nce. policy aDd Jt5ear¢h to
it$ third sector mettthership in UK attd abroad.
British Horse Society
Ail our centres are mtrnbers of BHS whose rni5510n is to.. Pro￿￿te and adwar￿ tb¢ education. trainm8 aJKI safety of the
public in all inatters relating to the horse. Promote the breedin& well-being. safety, environmenL health and
maDagetnent of the horse for the public benefit," PrntTKJte Community participation in heallhy recreation involving the
hots¢, PTOItiote and frd¢ilitaie the prev¢ntion of cruelty, neglect or harm to horse5 and to promotc the rclief. safety,
Sanctuary, rescue and welfare of horses in Deed of care. alleniion ar￿ assistsDce and to pmmote and se¢ure the provision.
proitction and prestryation of rights of way and of acce55 for ridden aTKi driven hotses over public roads, highways,
footpath5. bridleways. carriag¢￿￿Ys. public paths and other lajxl.
Hurjingham Polo Asso¢iAIIo
Our Tedworth Park Polo Club 1$ a inenknr of the Hwlingham Polo Aswiation. This is the 8overning body for polo in
the UK, Ireland and many other eouotrie$ throughoui the world. As such. li is res￿nSible for the regulatiODS 2nd Tules
under which the game is played. This iJKludes ihe handicapping of any one playing in the U.K. or Ireland. and the
fixnjres list. The objeci of the HPA is to fiwther the iMere5ts of w)lo geD¢￿IlY a￿j supwjrt by ail possible means the
common interest5 of its affiliated Clubs and associations.
HETJ
The charity is a meTnber of the Federation of Horses in Education and Therdpy International whose misskon is to
facilitate the WOTldwide collaboratioo bett¥tcn OTganisJlions and Èndividuals whose objKtives at¢ philanthropic,
scientific and edllcaiional iD the field of equinc assisted activities arjd therapies.
HEIR- Hum*A Equine Inter*ction Register UK
The charity is registered is 00 the UK HEIR. This ￿gIster airt￿ to bri￿g tO8ether all people involved in the field of
bumarh equkne interactions to en$￿￿ high quality service provision and create a 8reaier awatenes5 of their work. The
Register a¢ts as a helpfid resource for s¢tvice usets LO Jnake inf0m￿d choices. service commi55ioners. fijnder
PTaciitioners and anyothe wishing to find out llK>re aF*)ut equine a5SiStcd or facilitated progrdnllne5 LD the UK. Those on
the Regisier bave deAX)nstrattd thai they have both human and equine welfare at the heart of what they do.
Lo¢*1 Authority Rtglstration and Inspection
All of out cetttres are re8JStered with their local authorities who conduct aDnual TrD5PCCtioDs of Ihern in order to certify
tbat they are saft, secure faciliiies. Key 5tsndards thai must bE for certification are.. Horse Welfa￿. Safeguardirtg..
Customer Care. FacilitLC5 and Faci]itit5 Management. Quality Tea¢hinpJcoaching' Grassland and estste managemertt attd
legJ51ative compliance. that place people at thE hcart of what they deliver aThJ have a ￿.￿h standaTd of animal w¢lfare.
All of our Centr&s art at the Gold (Highest) stand￿d.
Page 3

Tedworth Equestrian IRegi5tered Duthber: 11843n2)
Report of the Trnsttts
for the Year Ended 31 December 2021
STRucfuRE GOVERNANCE AND MA]YAGEMEP4T
Risk management
The TDJsiees havt tbe overall responsibility for ensuring the cbarity has appropriate Sy5tvns of ¢ontroI organJsatioJJally.
They are respoDsible for.. ensuring that the ¢haTity is opernting efficiently aThJ effe¢tivelytr its assets are safeguarded
against unauthorised use or dispositioD-. proper records arc tTLaint3ined. the financial infom]ation used within the chariry
or for publicatLOti is reliable and the ¢haTity ¢omplies with relevant laws and tegulations.
The sysiems of internal ¢ootrol ar¢ codified ittto chariry policy and procedures alld are desigDed to provide r¢a50Dable
but not absolute &ssurdnce awdinst MISS￿lement or Ios5. Some of the key internal control measures illclude..
- Delivery of a Strate￿C Plan and an annual budgtt ?pproved by Tn￿te5 bcfore the start of the fJDan¢ial year.
Regular con52deration by the Tru5ttts of fLnan¢ial results. variance tts budgets. non-finan¢ial perfornwice indicators
and b¢nchrrwrking reviews.
- Delegation of authority and swegation of duii¢5.
- Ideniifjcation and matlagement of risks.
Key risks
Objective
H•w wt m*n*ge the rl$k
Regulai Perfomunce Reviews against
budgei.+kOprimise esuie. rernain
agile and be prepared to diveF5ify by
utilising Irr￿u¢1b1¢ spaTe ¢apa¢ity for
in¢ome genetating activiry.Ensure
opetatin8 a 8roup 8enerates
financial efficiencie& e.g VAT Group.
Insurance Group etc.*Fundrai5jDg
plan whicb sets Out diverse range of
opportunities and initiatives,
benchmarkin8 and securin8 new
opporiuniries.
Provide CCDtralised busilles$ support
seryi¢es martd with Individuals with
appropriate KSE foAn annual staff
trdining necd5 analysL5'S leadiiig to &
os*d slate￿¢￿t of training
requiiement that is used io
H2A.AStaff Outpur Survey5 and
manage growth in accoTdaDce with
individual staff ¢apa¢ity ond staff
numbers.++Revi¢w pay and rewards in
November ajmually.
Thewof
covtDmroughVC05t of Living on
our Trading Subsjdiaries ability to
generate cusiomer income for
charirablt purpos￿.
Customer itKome streatt
Lackof suktably qualified and
expErien¢ed staff Capable and with
the capacity to TWI srllall and
dium entewses
lrtsufficient llumbers of board
member5 to deliver requiremEDts
leath'Dg to b￿[d burnout / lack of
volunteer supwJrL++Board does n
truly represent the berteficiary
groups ii is sei up to support. The
board lack5 fresh perspeciivcs fro
Organisationgindividuab outside
the mJlit8ry and charity sector.
Effective. efficient and compliant
delivery of the Charity Trdding
subsidiaries
Annual Board SurVey+￿cOmPanY Se
conducts traiDing ¥*eds analysis with
Iy)atd members and it)wlements and
appropriate IM)ard training plan.+
Growing the size, 5ki115 5cts and
div¢tsity of the Charity iwd.

Tedworth Eque5tri*n Oiegisttred Trumbtr: 11843722)
Report of¢he Trustees
for the Ye*r Ended 31 Dettmber 21121
STRUCTURI. GOVERNANCE AND MANAGEMENT
Memberships of OTganisation such as
COBSEO, NCVO , BHS, HPA, HEri
with acce5S to membership areas
where learning is sha]Ed at)d where
]nforn￿tIoft LS cascaded via email to
key charity 5￿ff.￿At1endance on
¢harity conferences and meeting5.
webinars by charjty staff on a quarterly
basis.++Horizon scanning by CEO and
The Charity becot)XS ttM40mpliant Op5 Direcior becomes part of routine
or fail$ to mtd its Sta￿tOry duties.
business.
Detasled disrussion betwceD tharity,
MOD. Chanty Legal (Wilsons) and
Estxte (S2wlls) teams to secllre
The charity 15 CODstrained from
appropriate leas&li¢en¢¢s at the
investrn¢nt inlo infrastructure due to correct rnarkei value for the correct
Jack of se¢uTity 011
penods with apptopriaie liabilities and
tenur¢.++Chatity ￿ is limited
sponsibilitie5 attrlbUttd.+￿Charity
and ability to trade for charity
Licence5 Working Group tnade
in¢ome to support charithble
up of key trt)aTd [r￿MberS with relevant
•¢tivity Is curtailed.
KSE. legal and estat¢ t¢arns.
The inability ro genernte and
Website and Social Media Pres(¢r)¢¢
appropriate broad range of donor
is kept up to d*e to push information
support and iTKOTne
00 charity aciivity to appropriate
strea[￿.+>Per￿PtiO￿s of the
sources.+kChan"ty attendance ai hkgh
charity and its purpose ¢ould have
profile equesttian events both
detritnentsl Impact on delivery of
internally (Ruudle Cup and Tedworth
purFH)se.
Cup5) as well as other
Failure to deliver effective
Effeciive ¢ommunication ¢0 strff and
Change.￿DIsruption to indLVLdual.
supporters via fare to face, and online
team and group
briefirtgs.+kEmploymertt of an
cohesion.++Oigonisational Culture
Owation5 Dire¢toi to facilitate
nd ethos is dIsrupt￿.￿+strategic
cbange management and culture
aligtknlleni is difficuli to identify and
work%hops for sraff ar charity and
subsidiary level.
Introduction of online seminars and
COUTses.++The design and ¢r¢ation of
a Virtual Equestrjan Cetttre that
outreaches to thos¢ who mi8ht not
otherwise be able ￿ get to our
facilities and activities.
Maintaining pace legislation
and statutory compliance
requiTemEnts
Ensure appropTia* s¢¢utiry of
tenwe- Lcase and Li¢¢[￿e$.
Raising the PTofjle and
utHkrstandiDg of the ¢hatity
Effective Cbange Man¥gem¢nt
Exploilin8 teehnology to our
advantage.
We do not realise the thll p)teniiaJ
to support our beAeficiari¢s.
Financial Risk M#n•g¢mettt
Price RislL
The Ch2nty is exposcd to price risk duc to Dortnal infviionary I￿rea￿ in the purchase price of the and services
purchased in the UK.
Credit RfslL
The amount of exposure to any ind1vith￿l cowiterpaTty is noi cDrrentlysubj¢¢t to a limiL
Liquidity Rl$lL
The Charity a¢tiv¢ly maiDtaiAs a mixnLre of cash and long tenn debt finance that is designed to ensure that the chariry
has suificieDt avaLlable fijnds to meet its chan"tsblt PUqJ05e aDd charity 8roMblexpanSiODS.
Itstere$t Rate RislL
The ¢haTity has iOL¢re51-based liabiliiies whi¢h ar¢ at a fixed rai¢ ￿der the Coronavirus Business Bounce Back Loan
Scheme.

Tedworth Equ¢strian (RegL5tered numbeT: 11843722)
Report of the Trustees
for ihe Year Ethded 31 Detember 2021
STRUCTURE. GOVERJYANCE AND MANAGEMENT
We confimi thal the major risks which rhe charity is exposed. as identifled by the Tn￿￿£$. have beert r¢vi¢wed and
5yStems or procedures are estsblished ro mana8e th05C risks.
REFERENCE AND ADMINISTRATIVE DUAIIS
Registered Company number
11843722 (En8land and Wale5)
Registered Charity number
Il84971
Registered offjce
CTOtnwell House
Hubeil Hamilton Road
Bulford Barrdcks
Salisbury
Wiltshire
SP4 9JY
Trustees
Mr A R Ixjrd MBE (appointed 27.9.21)
Colonel F E Castle
Air M5hl S Gray. DBE. CB, FiiEng {•ppointed 12.10.21)
Mr C E Whittington {appointed l.10.21)
Captsin A J Wilson
Maj Gen R H falbot Rice CBE
Company Se¢ret¥ry
Ms S Illingworth
Independent Examiner
Ward Goodtnan
4 Cedar Park
Cobham Road
Ferndown Industrial Estate
Wirnbome
Dorsct
BH21 7SF
Soll¢it(fvr$
Wilsons Solicirors LLP Sali5bury.' Alexandra House. St Jobns StreeL Salisbury SPI 2SB
B*nker5
Holt's Mililary Bankin& 200 Fowl￿ Avcnue. Fowlet Business Farn￿rQu8ty Hampsbire, GU14 7JP
Property *nd Est¥tt MAnag¢rnertt
Savills, Rolfes Ho￿$t. ￿ Milford Street. Salisbury. SPI 2BP
Key Management
Liajtenant Colonel (Retired) James Balls MBE- Chief Executive
Mis Sam Illin8WOrth- Corporate Services Managcr
Mrs Iean Joyce- Finartce Manager
"ss AmaDda Smith- Websiic atMI Mcdia Manager
Miss Joanna Lonergan- Social Media Manager
Mr Kcith Luca5- Facilit1¢5 Managtr
MTS Clare Renouf - Book Ke£per
Page 6

Tedworth Equestrian (Registered Dumber: 11843722)
RepDTI of the Trustees
lor the Year Eaded 31 Dectjnber 2021
Approved by order of the board of ttustee5 on... 28 Septernber 2ff22
. and si&*d on its behalf by..
Maj Gen R H Talbot Ri¢e CBE- Twsiee
PaBe 7

Independent Examiner'5 Report to the Tru5tee5 of
Tedworth Equestrian
Independent ex#rniner's report to ihe tru$ttts of Tedworth Equestrian Cthe Comp2ny?
l rtptsrt tt> the tharity ttustees on my examination of rhe accoun15 of the Company for the year ended 31 De¢ember 2021.
Responsibilities and basis of report
As the eharity'5 tnistees of the Company land a150 its directors foT the pUr￿Se5 of company law) you art iesponsjble for
the preparation of ibe accounts in accordance with the r¢quiTenJrnts tsf the Companies A¢t 2006 Cthe 2¢Y)6 ACV).
Having 5at15fied Tlly5elf that the artouHts of the CoJnpany are I￿[ requirtd to be audited under Part 16 of tbe 2006 Act
a]Jd are eligible f(Fr indep¢Ddent examination, I report Lll respeei of my exanuoation of your charitys accounts a5 carried
out urtdeT section 145 of the Charities Aci 2011 Cthe 2011 Aci?. In c4ryin8 oui my examination I have followed the
DIT¢¢tiolls gjven by tbe ChaEity Commission wider section 145{5) Ib) of thc 2011 Act.
Independent examiner's statement
I have completed my examination. L confiTrn thjt matters have come ¢0 my attention in conne¢tiott the
examiDati¢)n giving cause to believe:
accounting iecords wete ]wt kept in respect of ihe Cornpanyas required by section 386 of the 21))6 Act" Ot
the accouttts do nor accord with those records.. or
the accounts do not comply with the accounting rEquiTtTt*uts of seuion 396 of the 21NJ6 Aci other than any
rquirernent that the accounts give a true aryl fait view wbich is llot a matter considered as part of an independent
examinatioth. or
the accouAt$ have ]wt been prepared in accordanct with the mcthods and principle5 of the Statement of
Recommended Practice for accountin8 and reporting by charitie5 {applicable lo charities prepaTing their ac¢ouDIS
in accordance with the Financial Kcporting sta[￿aT￿ appli¢able iu the UK and Repllbli¢ of Irelaod (FRS 102)).
I bave no ¢on¢erns have come a¢TOSS no other matters connection with the exarniDation to which attention should
be drawn in tbi$ teport in order to enable a propu understanding of thc accounts w be reached.
Miss J lknchardsoo ACA FCCA DChA
Ward Goodrna
4 Cedar Park
Cobham Road
Femdown Industrial Estate
Wimborne
DoTse¢
BH21 7SF
Date..
29 September 2022
Page 8

Tedwortth EquestriArt
St¥tement of Financi¥l A¢tivities
corporatlAg aD Income and Expendieurt A¢co￿￿t}
for the Year Ended 31 December 21J21
2021
Total
funds
2020
Total
fwhds
Unresiricwl
Restricted
fl￿d$
Notes
INCOME AND ENDOWMENTS FROM
Donations and leg2¢ies
60,649
2.788
63.437
66.876
Ch¥ritable 4¢tiviti¢s
Charitable activity
15,699
142.108
157.807
2CH),887
Other traditJ8 activitles
Investrnent income
Other income
21.499
105
1.089
21.499
105
1,089
47
Total
99.041
144.896
243.937
267.810
EXPENDITURE ON
Raising fund$
12.033
J2,033
1,279
Charitable aetivities
Clwitable activity
IS9.714
105.739
265.453
214.530
Total
171.747
105.739
277.486
215,809
ET INCOMEJ(EXPETIDITUREI
(72.706)
39.157
(33.549)
52,001
RECONCILIATION OF FUNDS
Total funds brought foTw*rd
213.533
22.844
236,377
184,376
TOTAL FUNDS CARRIED FORWARD
140,827
62.(M)I
202,828
236.377
The noies fomi part of these financial 5tatenKnts
Page 9

Ttdworth Equutrlgn (Registered n￿rnber: 11843722)
Balance Sheet
31 De¢ember 21121
2021
Total
nds
2020
Total
fi]nds
Unrestricwl Restricted
N￿e5
FIXED ASSETS
Inian8Jble assets
Tangible assets
Investrnents
10
27.786
160.763
1,001
27.786
160,763
I,ooi
30,086
194,527
i.ooi
12
189,550
189.550
225.614
CURJiENT ASSEIS
Ikbiors
Cash at bank
13
6.657
313
6.657
62,314
5,963
58,565
62.CKII
6,970
62.LK)I
68,971
64.528
CREDITORS
Amounts falling du¢ within one y¢ar
14
(5.839)
(5.839)
(3,765)
r4£T CUNAENf ASSETS
.131
62.1)01
63,132
60,763
TOTAL ASSETS LESS CURRENT
LIABILITIES
190.681
62.001
252.682
286.377
CRED￿oRs
AmouDts falling due after more than one year
15
{49.854)
(49,854)
(50,000)
NET ASSETS
140,827
62.001
202.828
236.377
FUNDS
Unre5(ricted funds
Rc5trL¢led fi￿d$
17
140,827
62.001
213,533
22,844
TOTAL FUNDS
202.828
236.377
ThE charitable company is entit]fyJ w exemption fmm audit under Sectiots 477 of the Cot)wanies Aci 2006 for tht year
ethded 31 December 2021.
The wkmbers have not required the company to obtaiD an audit of its fill8￿]¢1 stateTWllts for the year ended
31 Dectmb¢r 2021 in accordance with Section 476 of the Companies Act 2[1￿.
The trustees acknowledgt Ihtir reS￿M)StbIlIf1eS for
{a)
ensuring that the charitable CODwany keep5 aCcou[￿L￿g Tecord5 that ¢omply with Sections 386 and 387 0( the
Companies Act 2006 and
preparing financial 5ts¢ewnents whith giv¢ a tw¢ atxd fair view of the state of affairs of the cbaritablt company a5
at the end of each finartial year and of its sufjjlus or deficit for each financial y￿r in accordance with the
requirements of Seciions 394 and 395 and which other¥*i5e comply with the requit¢ments of the Comp8nies Act
2006 relating to financial staremenis. 50 faras appli¢able to Ibe chatitable Company.
O))
Tht notes fomipart of the5t fil￿¢1￿ statements
Pa8e 10
tontintsed..

Tedworth Equestriam (Registered ttomber: lJ843722)
Balance Shttt- contillued
31 Decernber 21121
These financial staleynents have been prepared in accordance with the provisions appli￿b]e io charithble companies
subject to th¢ srrtall companie5 regi￿￿.
The financial statements were approved by the Board of Trustees and avthotised for issue
28 Septetnber 2022
. and were sigThed on its behalf by..
on
Maj Gen R H Tally)t RJ'¢e CBE- Twstre
The ￿01¢$ forni tthrt of these finattial staternents
Pa8e 11

Tedwtsrth Equestrian
Note5 th the Finxneial Stltemtthts
for the Year EAded 31 Decernljer 2021
ACCOUPITING POLIC
Bas1$ of pttplring the fin¥nci¥l 5t¥temeDts
The fitw]¢ial staterll¢nls of the chari¢Able company. wbi¢h is a publi¢ benefit eniity uuder FRS 102. have b¢¢n
prepared irt a¢COTd8rt¢e with the Charities SORP (FRS 102) 'A¢£ounting and Reporting by Chanties". Statemertt
of Recortmlleuded Ptartic¢ appliuble to chan'tie5 Prtpoting their ar¢ounts aG¢oidau¢¢ th¢ Financial
Reporting Standard appli¢able Jtt the UK and Republic of Iteland {FRS 102) {effe¢tive l Jartuary 2019).,
Financial ReponLnE Standard 102 Tr Ftnancial Reporting stat￿rd applicable in the UK and Republie of
ErelatLd' and ibe Companies Aci 2006. The finaDcial stsiements have been prepared under the hisiorical cost
convention.'with the exception of inv&stmcnts which are included at mthet value.
Intomt
All income is reco8tsised in th¢ Statement of Finoncial A¢tiviti¢S oD¢e th¢ ¢haT5ty h¥$ etsiid¢ment to th¢ fimds, it
15 probable thai the income will b¢ r¢¢eiv¢d and Ihe amowit can be measured r¢liably.
Governrnent grants
Government grants shall be reco￿lsed in the SOFA on a 5y5trmatic basis over the puiods in whicb the entity
recognises as expeTW the related costs lor which the grants arr intcThJed to compensate.
Trade debtors
Trade debtors are aT)KTrUt)ts dlle fiom for n￿h8ndIst sold or services ￿rforE1￿ed in the ordit
Course of business.
Trade debtOT5 are rccogni5ed initially at the transaction price. Tlry are 5ubsequtntly mtasured al amortised cost
usirtg the effective interest rntihod. less provision for impairTn¢n¢. A provision for the impair￿￿nI of trade
debtors is establLshed when there is obje¢tive t￿dell£¢ that the ¢hatity will not b¢ abl¢ to ¢oll¢¢t all aTnouttts due
according to the original ternkS of the debL
Expenditure
Liabilities aff rt¢ognised as expellditt]Tr as so)n as there is # Icgal or ¢onstrLKtive obligation committing the
charAty to that expenditure, It Js piobable that a transfer of eeonotijit benefits ￿1[ b¢ iequiTed In settletnent and
the amount of ihe obligation can be measured relÈably. Expenditure Is accounted for on an aten￿￿$ basis and ha$
been c13ssified under hradiDg5 tbat aggregaie all c05r related to ihe category. Where costs carmoi bc directly
attributed to particular h¢adittg5 they have been all(uted to activitie5 on a ba515 consistent with the use of
]rsources.
Trade creditors
Trade rreditors are obligatiOD5 to pay for gr￿5 or services that bavc beeD acquired in the ordtnary course of
business from supplieTS. AccouDts payable are clatsified as cwrent liabilities if the charity does Dot have an
unconditlortal right ai the end of the rwrting period. to defer settlement tsf the creditor for at least twelve
rnoDths after the reportill8 date. If there 1$ at) ￿KondItiOnal righi th defer settlement for at least twelve ny)nths
after the reporting date. they are pre5eDted non-current liabilitie5.
Tnde creditOTS are recognised initially at the tran58ction price aThJ subsequently rneasu￿ at arnortised cost
u$itl8 the effectiv¢ Jn*r¢st uKthod.
Goodwill
Good￿11. bein8 the paid in conrtttion with the acquisiikon of a b￿sinesS in 2019. is being amortised
evenly over its estirnatcd useful lift of tCD Ye￿5.
T*tsgible tlxed auets
Depreciation LS pl0￿ded at the following allnual rntes in order to write off ea¢h ass¢t ov¢r its ¢StitDdted usefvl
Arcna5 and Fencin8
Horses
Motor v¢hi¢les
FumittLre and Eqllipment
4Vo ¢Jn cost
2(VA on cost
33% on ¢tsst
33Yts on cost and 21)% 00 rA
Pa8e 12
continued...

T¢dworth Eqkn¢strian
Notes to the Fin*￿¢1*1 StaterneRts- Continued
for tbe Year Ended 31 Deternber 2021
AccouwfIiYc POLICIES- cont5￿￿ed
Tax8tion
The charity is extmpi from corporation tsx on its ¢lwi"tsble activiti¢S.
Fund actounting
Unre51ricted fimds can be used in accordance with the Charitsble objectives * the discretion of the tNstee
Re5kncied fijnds can only be used for particul¥r restrictyj purposes within the objects of the Charity. Restrictions
arise when speeified by ihe donor orwhen fimjds #re ni5ed for particularffstricted p￿￿oSe$.
Furfher explaTtation of the naftLre aud pwpose of ea¢h fiubj is io¢lwl¢d the notes ro the finatlcial statements.
Pension costs and other post•retirement benefits
The ¢haTiiable company operat¢5 a deflnd ctsntyibutionp¢n5ion s¢h¢me. Contributions payable lo the ¢haritable
cOtnpan￿S pe￿70a s¢hetne aTe ¢hargcd to the sta￿￿ent of Fb￿8￿111 Activiftes in the period to whicb they relate.
DONATIONS Af4D LEGACIES
2021
2020
Dotjations
Gift aid
Grattts
Subscriptioos
62.753
53.804
10.213
2.859
63,437
66,876
Grallts receive4, in¢lvded in the above, ar¢ ¥ follows:
2021
2020
GovernTnent grdnts
10,213
OTHER TRAD￿C ACTIVITIES
2021
2020
Fundraising events
Cafe and bar in¢ome
18.207
3.292
21.499
INVLSTl¥fENT INCOME
2021
2020
DerK)sit a¢COUDt inttrtst
105
47
Page 13
continued...

Tedworth Eque5tri*
to tbe FittAtt¢ial Statefflents- Continued
for the Ye&r Ended 31 December 2021
INCOME FROM CHARITABLE ACTIVITtLS
2021
Charitsble
activity
2020
Total
a¢tivities
Les50n income
Livery incorne
Competiiion Inco￿
Facility hirc
Grants
Other income
43,302
55.953
972
4.145
94.276
2.239
157,71
96
157.807
200.887
Grants received, included in the above. are 8$ follows:
2021
2020
Kickstart Grani
Rural Payments 08ency
British Horse Society
Arnieij Force5 Covenant
Sport England
Wiltthire Ctsw*il
Wilts]Jire Community Foundation
Sir Peter 0'S￿lIeva￿ Charitsble TnLSi
HorseBack UK
WASP- Steve Boocock
Drapers, Charitable Fund
GOGA
Arniy Central Fund
5.603
40.926
I,(K)O
42,750
9,600
62,500
20.740
9.250
iO.O(N)
10,(KKJ
io.o(y)
4.5(N)
17.118
157.711
94.276
NET INCOME1￿XPEND1TuRE)
Net incomeJ(exr*nditure) is stakd after Chargin￿[Crediting).
2021
2020
Depreciation- owned assets
Surplus on disposal of fixed &85ets
Goodwill amorti5ation
IndepeThdent examination frc
40.287
(399)
2,3
2.750
41.922
(7.500)
2,300
1,600
Page 14
¢ontiDu¢d...

Ttdwtsrth Equestrian
Notes to the Financial Statements- continued
for the Ytxr End¢d 31 December 2021
TRUSTEES, REMUNERATIof4 AM) BENEFITS
There were no tntsttts. remuneration or other beneflts for the year erKled 31 Dc¢ember 2021 nor foi th¢ year
ended 31 December 2020.
Tru5tee5 expenses
There Were no tswstces, expenses paid for th¢ yeaT eThJ￿1 31 Decernber 2021 nor for the year ended
31 Dectmbcr 2020.
STAFF COSTS
2021
2020
Wages and salaries
Social se¢urity ¢OSts
Other pension ¢OSLS
78.295
4.078
613
89.932
4.017
1.366
82.986
95.315
The avera8e rllonthly number of employees during the year was as follows..
2021
2020
Employees
No employees received emolunxnts in excess of £60,1W.
COMPARATIVES FOR THE STATEMEKf OF FINANCIAL AcrIvrrffES
Unrestrtcted
fund
Restricted
funds
Totsl
futMIs
INCOME AND ENDOWMEf4TS FROM
DoDations 3nd le8acies
65.362
1.514
66.876
Charitable A¢rfvltie5
Ch8ritable a¢tivity
147.537
53.350
200.887
IDv¢stment ithcorne
47
47
Total
212.946
54.864
267.810
EXPEND￿uRE ON
Raising funds
,279
1.279
Charitable 8ctivitie5
Charitable activiry
182,510
32,020
214.530
Total
183,789
32,020
215,809
PIET INCOME
29.157
22,844
52,001
RECONCILIATION OF FUNDS
Tot41 fund$ brought forw*rd
184J76
184,376
Page 15
continucd...

Tedworih Equestrig
r4otes to the Financial St¥temeNts- Continued
for the Year Ended 31 December 2021
COMPARATTVES FOR THE STATEMEP4T OF FINANCIAL AcrtVITIES- continutd
UrLre5tricred
(und
Re5tri¢ted
funds
Totsl
fi]nds
TOTAL FUNDS CARRIED FORWARD
213.533
22.844
236,377
INIAFIGIBLE FIXED ASSETS
Goodwill
COST
Al l January 2021 and 31 Dcccmkn 2021
32.386
AMORTISATION
At l January 2021
Charge for year
2.3
2.300
At 31 December 2021
NET BOOK VALUE
At 31 December 2021
27,786
At 31 December 2020
30.086
Ji.
TANGIBLE FIXED A&SETS
Furniture
snd
Equipment
and
Fe￿1￿8
Motor
vehi¢l¢s
Totsl$
COST
At l January 2021
Additions
Disposals
86,139
57.(XM)
47.348
45.962
10.255
236.449
10.255
(4,500)
(4.5C(I)
At 31 D¢cember 2021
86,139
52JIM)
47J48
56.217
242.204
DEPRECIATION
Ai l January 2021
Char8e for year
Eliminated on di5P05al
13287
10.304
(768)
14.504
15.784
10.047
10.754
41.922
40.287
(768)
3.445
Ai 31 DeceTythI 2021
7.529
22.823
30288
20,801
81.441
NET BOOK VALUE
At 31 Dece￿[ 2021
78,610
29.677
17.060
35.416
160.763
At 31 Decerthr 2020
82.055
43.713
32.844
35.915
194,527
Page 16
Oniinu¢d...

Tedworth Equestria
Note5 to the Finantial Statements- continued
for the Ye*r Etsd¢d 31 De<ember 2021
12.
FIXED ASSET INVESTMENTS
Unlisted
Investments
MARKET VALUE
At l January 2021 and 31 December 2021
NET BOOK VALUE
At 31 December 2021
1.001
At 31 DeceTtther 2020
1,001
Thtre were no investtneni assets outside the U
The ¢ompany$ ioyesttnents at the balanre sheet date iti the share rapiral of ¢ompatties include the followin8:
Tedworth Eque5tr5an Trading Limited
Registred office.. CroTnwell House Hubert Hamilion RO￿ Bulford Barra¢ks, Salisbury. Eng]and, SP4 9JY
Class of share".
Ordinary
holding
2021
2020
Aggregate ¢8pital and resenfes
Profjt for the year
1,066
799
267
266
Tedworth Park Polo Ltd
Registered office.. T¢dworth Polo Office. Tedworth ParK Tidwortl Salisbury. ETh81an￿ SP9 7AH
Clas5 of share..
Ordindary
holdin8
2021
2020
Aggr¢gaLe capital and reservtts
I￿$$ for the year
(33.958)
(9.198)
(24.760)
{56.386)
13.
DEBTORS: AMOUNTS FALLING DUE ￿THIN ONE YEAR
2021
2020
Trade debÈors
Other debtots
VAT
Pxepayments alld ac¢rned inwme
800
2,322
1.338
2.197
31
5.932
6.657
5.963
Page 17
continued...

Tedworth Eque5tTian
Notes to the Fithxrttial Staternents- Conti￿￿ed
for the Year Ended 31 December 2021
J4.
CREDITORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
2021
2020
Trade creditors
Arnount5 owed to group undertakJ"ngs
Social 5ecuTity and othu lax
Other creditor5
Accrued expens
1.436
1,676
333
66
1.690
491
3.910
5.839
3,765
15.
CREDITORS: AMOIJNTS FALLING DUE ArfER MOBI THAN ONE YEAR
2021.
2020
Bank lo￿$ (see noie 16)
49.854
so.000
16.
LOANS
An analysss of the maturity of loans is 8iven bekiv.
2021
2020
Amounts fallin8 between one and years:
Bank loans- 1-2 years
49,854
50.000
17.
MOVEMENT IN FU14DS
Net
Tty)vem¢nt
An fimds
At
31.12.21
At 1.1.21
Unre5trieted funds
General fund
213.533
(72.706)
140.827
Restricted funds
Positive Pathway5
Coming Togetber
Aviva Crowdfvnding
Local Youth Gratht
Loo Block- Tidworth Area Blc*k
Tidworth Area Board
Tackling tncqualitie5
Afghan PTograrnme
DrapeTS' Charitabl¢ Fund
Get Oui Get Aciive
Positive Pathways- Horseback UK GraDt
18.830
2.5(Kl
1,514
(4,256)
(2,500)
(1.005)
4.500
12,307
3.895
(3,754)
17.500
7.893
4.51)0
77
14.574
509
4.500
12,307
3,895
(3,754)
17.500
7.893
4,500
77
22.844
39,157
62,001
TOTAL Fuf4DS
236,377
(33.549)
202.828
Page 18
continued...

Tedworth Equestrian
Notes to the Fin*n¢ial Siaiements- continued
for the Year Ended 31 December 2021
17.
MOVEMENT IN FUNDS- Contin￿ed
Net movement in fimds, included in the above as ftillows..
Incomit)g
Re50urc&%
MovenKnt
irb funds
Unrestricted fund5
General fund
99.041
(171.747)
(72,7061
R¢$tricted funds
Positive Pathway$
Comirtg Together
Aviva Crowdfimding
iD¢al Youth Grant
Loo Blo¢k- Tidworth Area BlcKk
Tidworth Area Board
Tackling Inequalities
Equine fher2Py
Afghan Programme
Drapers, Charitable Fund
Get Out Get Active
Positiv¢ Pathways - Horseback UK Grant
35,IK*)
(39.256)
(2.500)
(4.434)
(13.(KlO)
{9.8ll)
{3.705)
(11.754)
(9.250)
(4,2561
{2,S(K)I
{1,005)
4,51K)
12,307
3,895
(3,754)
3,429
17,500
22,118
7,600
8.￿0
9,250
17,500
9,999
17,5(N>
7,893
4,500
77
(2.106)
iO,O(K)
(9.923)
144.896
(105.739)
39,157
TOTAL FUNDS
243,937
(277.486)
P3,549)
Conw*r8tives for movernent ID fund5
Net
movtmeni
in ￿TrdS
At
31.12.20
At 1.1.20
Unrtstricted fund$
General fi]nd
184,376
29.157
213,533
Restricted funds
Positive Pathways
Ctsming Together
Aviva crOwd￿r￿1n8
18.830
2.500
1.514
18,830
2,500
,514
22,844
22.844
TOTAL FUNDS
184.376
52,001
236.377
Page 19
continued...

Tedworih Eq¥estri*n
Notes to the Financial St#trtnents- tontinued
for the Year Ended 31 December 2021
17.
MOVEMENT IN FUNDS- tontinued
Comparative net nN)vement in fund& ITKluded in the above are as follows:
Incoming
Resources
expEnded
Movement
in funds
Unrestricted fund5
GeDcral fiuKI
212,946
(183.789)
29.157
Restricted fttthd$
British Hardship Fund
Positjve Pathways
Sport England
Conun8 Together
Aviva Crowdfunding
(l.(N)01
(14,4201
(9.600)
(7.IX)01
33.250
9.6CN)
9,5rKI
1.514
18,830
2,5
I,$14
54,864
(32.020)
22.844
TOTAL FiJNDS
267.8JO
(215.8091
52.1)01
A current year 12 months and prior year 12 m¢)nts combined position is as follows:
Net
veTnent
in fimds
At
31.12.21
Atl.1.20
Unrestricted fund5
General fund
184,376
(43,549)
140,827
Restricted funds
Positive Pathways
Aviva CrOwdfi￿dIttg
L(￿31 Youth Granl
Block- Tidworth Area Blwk
Tidworth Area Board
Tackling lllequalities
Afghats Programrt)e
Drapers, Charitable Fund
Get Out Get Active
Positive Pathvays- Horseback UK Grant
14.S74
509
4.500
12.307
3,895
(3.754)
17.500
7.893
4,500
77
14.574
509
4,5(K)
12,307
3.895
(3.754)
17.5
7,893
4.5(K)
62.001
62.1)01
TOTAL FUNDS
184.376
18.452
202.828
Pag¢ 20
continued...

Tedworth EqMestrl*
Notes to the Fin¥nrial St4ternents- colltinued
for the Yur Ended 31 December 2021
17.
MOVEMENT IN FUNDS- tothtirtued
A currtnt year 12 nJonth5 and prior yeor 12 t￿tIl5 cory*ined net Twvement in filnds, tncluded in the above are
&5 follows..
In¢omirtg
Resources
expended
Movement
in fijnds
Unre5trieted funds
General knd
311.987
(355.5361
(43,549)
Restrltttd fund5
British Hardship Fund
Positive Pathvays
Sport En8land
Comin8 Togelher
Aviva Crowdfunding
Local Youth Grant
Loo Block- Tidwortb Area BIL*k
Tidworth Area Board
Tackling In¢qualitses
Equine Therapy
Afghan prograrn￿
Diapets, Chantsble Fund
Get Out Get Active
Positive Pathway5 - Horseback UK Grant
i.￿0
68.250
9.600
9.500
4,943
17.5
22.118
7.600
(1.000)
(53.676)
(9.600)
(9.500)
(4.4341
{13.000)
(9.811)
(3.705)
(11,754)
(9.250)
14,574
509
4,500
12.307
3,895
13,7541
9.250
I7.5(￿)
9.999
4.5(M)
io.oc
17.5(KJ
7.893
4,500
77
.106)
{9.923)
199,760
(137,759)
62,001
TOTAL FUNDS
511.747
{493.295)
18,452
Positive Pathways - ThÉs is a grnnt from Amied Forces Covenartt Trust (AFCFD that supported a Ve¢er#ns
Polo Project for Veterans p)sitiV¢ M¢rttal Health through participaiion and internction with polo ¢veDts and
a¢iiviti¢s.
Coming Together- This again Vds a grant froEn AFCFT that supportcd the Health and Wtllbeing of ihe S¢ryin8
Soldiers and their Families serving in and around Tidworth. Nether Avon and Bulford G8rrisort.
Aviva Crowdfunding - Thi5 wa5 a ¢rowdfunding a¢Ll￿ty that supported the purch&st of a winch that supports
that mounting onto hor5e&lponies those who as a t¢su]t ofdisability need this &ssistsnce.
Local Youth Grant- Thi5 was a WiltshiTe i￿cal Area Board aIll￿d at providing Eq￿Ine &ssisted Ixarning
for children young people of the Tidwonh Area Board wbo had become disengaged from schooveducation.
Loo Block- Tidwortb Area Blo¢k- This was a WiltshiTe t￿tal Area Board 8fdnt toward the TefLErbi5hrnent tsf
the Totlet fa¢iliiies and w0￿$hOP * the Tedworth F4uestyi•) C¢ntr¢.
Tidwortb Area Board- This was a second Wiltshire Llxai Area Board grant alt)￿d at children and young people
of thc Tidworth Area Board who bad become disengaged from schooveducation.
Tk¢kling Ineq￿&1111es - This was a grdni frorn Wiltshire al￿ Swindon Sports Partnetship that helped delivu a
virtual equestrian centre that provided free access to itidividua]s who otherwise would not be able ¢0 gei
physically to an equestrian ¢¢ntye to learn about equine matte￿_ li also included health aDd wellbeing (fLID¢ssI
5e5sions aiTtRd ai improving the S¢reDoh and o)nditionmg of iudividuals in COVID PEriod.
Afghan ProgtarDm¢- Tbi5 VdS1i5 an AFCFf Grnot to support our WOTk to ¥sist tFM)st who were impacted by the
rvents of Afghanistan drawdow] through the provision of an Artned Forces Community Hublcafé Lhai acts as a
Welfare ¢entr¢.
Page21
Continued...

Tedworth Equestria
Notes to the Finanri#l Stxiements- continued
for the Year Ended JI Detember 2021
17.
MOVEMENT U4 FUNDS- continued
DraFrs' Charitable Fund - This a gTrnt frorn the Drapets Liv¢ry Company that supports the delivery of
CqULne a5s1St￿ 5erviccs to Veterans thallcnge by PTSD
Get Out Get Active - This is a gtat)i from the Wiltshitt and Swindon Sports Partnership (WASP) Ibat supports
¢quin¢ assisted servitts to the elderly ill Wilishirt.
PositLve Pathways - This was a grant gbven by AF￿r to H¢)rseback UK Charity under a separate Positive
Pathways Grant iniiiaiive. The paJTneDt to was for tbe use of our f3cilitie5 the logist]￿admitt that we
around delivering 3 x I week Equine A5SiSted Service5 10 support Vderans Mental Health Challenges.
18.
RELATED PARTY DISCLOSIIRES
During the ytar etwjed 31 D¢cembei 2021. T¢dworth Equestriat) Charity owed nil (2020.. £3917) to Tedworth
Park Polo.
Dyring the year ended 31 December 2021. Tedworth Equ&striaD Charity was owed £844 (2020: £2.240) by
Tedworth Park ￿.dÈn8.
Pa8e 22