CAT£HING
YEAR ENDED 31 MARCH 2024
REPORT OF THE TRUSTEES & UNAUDITED FINANCIAL STATEMENTS
CHARITY NUMBER 1192603

CAT-CHING
YEAR ENDED 31 MARCH 2024
CONTENTS PAGE
Page
Report of the Trustees
1&2
Report of the Independent Examiner
Statement of financial 8Ctiwties
Ststement of financial position
Notes to the financial slalements
8&7

CAT4HING
YEAR ENDED 31 MARCH 2024
REPORT OF THE TrUSTEES
Reference and admlnlstratlve Inforniatlon
Ch8rity name
CAT£HING
0th8r names bY￿leh the
charity makes ttself known
CAT-CHING SHEFFIELD
Charity registration number
1192603
Prinapal address of the
charity
19 Leppings Lane
Sheffield
S6 1SS
Trustees
s Lauren James-Thomp50n
Miss Jasmine Rogers {ResvJned 01104f24)
Miss Katie Gates I￿Oi￿led 06109r241
Miss Danielle Davies (Appointed 181111241
Struthro, go¥•rnan¢e and manag•ment
The Trust is conthtuted 8$ 8 Chawrtable Inco￿lated OrrJ8nisatKJn la'CIO-l and was wk8tered as a dharity
under the Charibes Ad 2011 on 1 tknbu 2020. rwJistèMJ number 11￿2603. Prtjrto rg3iStrati)n as a
charty the OTganisath)n ￿ndu£￿e￿ as a nolfor WDfft since 1 Aprl 2019.
It is administered and managed bythe three Trustees in a0xrdart￿ vAth the pryAtrs set out in 1he Tnjsys
ConstitUt￿n vkni¢h amorYJst otherthtr#Js prvhibits the of m￿￿aTr￿ commthent to
exp8nditure foTwhi¢h funds a￿ not alre￿ wailablè.
ObJ9¢t1￿$ and artlvltlg4
Tre oWeclN8 ofthe CIO is to red1￿ the overp)pulatrJn d c* in South Y(xkshire throLyh TTap. Nwter and
Retum and rthorni￿ k¥c¥Jrams.
The organTsatioTr r8i98s funds forthe v*rirwrytrBatment and day-t￿(￿ ofthe (2ts.
The Trustees o)nfimi Ihat they have referred to the gUhlan￿ contained in the Charity Commiwon'$ gan•ral
gUilan￿ on public benefit whefi rev*bving the Tn￿S aims and obJ'eth8s and in piqnning bJbJre a¢*vrt*s.
Page 1

CAT-CHING
YEAR ENDED 31 MARCH 2024
REPORT OF THE TRUSTEES
Achl•v•m•nts and po]tonnanc•
The Trustee$ 8re pb8s8d to T8FX)rt lh* thg c40￿year of 2tr23 of the 1.515 cats thai ￿rne thrO￿h our (*x)rs.
977 were ts) (knmastic hornés. 385 ￿Te n￿rtered for cwers. $3 W￿re mk7C¢hip￿Y and 38 TNR or
to rur￿ horn85. The r8maining105tlheir li¥e8, vHe reunit•l tmth their ry￿5 or wwe transferred to other r8SCU85.
The Trustees h8V8 continwl to l(M)k t(> ￿hance ewe￿ of thc6e using CA-CHING to r￿hOrne thwr pets.
we operate a sc*eme cal￿d 'Home Rtrhome, *there the uJThent ￿)ntr"n￿e to Ca￿ fortheir pet aThY
are involved in the process offind1r￿ their pet a h)me. Thls hdps T￿SU￿ U1￿8[$ that their pets ￿11
be well k￿ked after for years to ￿rne.
The Trustees to ftjrthw expand in Ij￿•je1o make a They produc8J the'Fre8
Nojteriny program whlch vras tiiall&J in t*￿Mb￿ 2021 ￿Ore offiaalTy starting in 2022. This i% aimed at
Shoffiebj ￿L￿Onts that are unable to afford the cJ)st oftha thomsaW. Tha Trus￿ rKJpo thai thls
11 decrease themork load duriffj kitten season.
Since last year Cat-CHING has onty grow), alilxjugh there are ontythree tnIst￿. we have 9[(￿vA the
volunteer administrat¥)n team to 6 trusted iThJMduak wlxs help in Èll arè85 of the tharits￿e athvthes.
The organisatDn rèvièwed how it c£Juld 8naLrf8 the puNicto to the orwing Ix)sts whilst on th
srKia M￿lIa pwJ8. This is curranity &hièV￿1 wth a thnat8 ftJTh*an on F￿tr￿M)K b8nk d*i15 8nd PayPal
address.
Flnonclal rgvhw
Un￿Stricted funds.. Incomin9 ￿$OurCES arnounted to £199.772 anol e￿it￿re of£201.862 was incurred.
Afterthe deficit for the year of£2,090 un￿￿1(￿e￿ fuThJs dec¥e￿￿ to £6,363 as of 31 Marrth 2024.
Restrfcted funds.. There h&s tfftn no restric￿ Income exp&ilitureft¥ the yw. restn.cted funds
warn earrf&J for%Yard at 31 IAarc* 2￿￿4. Res￿ ¥0 ojrrw hdd In bank a))wrts
The trustees. annual report was approved on ...
and sbJr*d on b8haifof Ihe board of trustees by.
Miss Katle Gates
Trustee
Page 2

CAT-CHING
YEAR ENDED 31 MARCH 2024
REPORT OF THE INDEPENDAMT EXAMINER
I report tts the trustees on my examlnation of th8ffin8n(x81 sl8t&nents ofCat-CHING fthe L*arilll for
the year ended 31 Marth 2024.
Responsrbilib•s at)d basls of report
A8 the tTUSte8s of the chanty you aTe resFonsible forthe pr8P8r8bon of thèfinandal statsments in
accordanco witt) the ￿qUirements of the Chanbes Act 2011 Ilha Adl.
I report in respect of my examlnatTon ofthe charivs financTal $18t8m8nts carri￿ out undeT s￿￿)n
145 of the 2011 Act and in cawng out my examination I have fo11(A%￿l 811 the applicable Dir￿nS
glven by the Ch8Thty Commission undw S￿￿10n 145(5Xb) of the Ad.
Independent examinoV¥ •tatsm•nt
I hove cyjmpleied my ex8miTr8tion. l (xjnfimi thai no materlal matters have to my attentlon in
nnection wth the examin8tion gMrKJ me ($￿e to beliLwe that In any rnater1￿ re5p&L..
1. accountlng r￿rdS werg not in rnspwt ofthg tharlty as ￿Uired by s8¢*on 130 of the
Act: or
2. the finandal ststements do not w)rd wAth those rwds.
I have no eoncerrB and have wrne acr￿ no olhar mattars in ￿n￿ti0Th with the 8y2mination to
which attention should be dravm in this report in ordérto anablo a proper understandirTrg of thè
acwunts to be re￿h&￿.
IAatthew Haw BA IHons} ACA
Independent Ey3min8r
5 Skeldale Driv8
Chesterffield
S40 2UW
Datg.
Page 3

CAT-CHING
YEAR ENDED 31 MARCH 2024
STATEMENT OF FINANCIAL ACTivmES
Unrestrleted
funds
2023
{£1
fvnds
2024
{£}
Inc4)min
Adoptions
Internal Fundraislng & Donatio
Extamal Fundrais1ng
85.1fLI
73.493
41.119
70.436
61.465
37.340
Total Incomlng resources
199.772
169,241
urc
Consumables
Vet8rin8ry Costs
Free N8Ut8r Sch$ma
Other Expenses
38.136
95,114
23,478
11,327
112.532
21.987
16.660
Total outgolng r•sourc¢s
201.862
168.055
Net outgoing r•sour¢es
I2.0￿)
1,186
Total funds brought frJrwaTd
8.453
7.267
Movement in funds for the year
(2.0￿)
1.186
Transfers bet*een fvnts
Total funds carried foThYard
6.363
8,453
Page 4

CAT£HING
YEAR ENDED 31 MARCH 2024
BALANCE SHEEr
ASAT
ASAT
31 MARCH 2024
31 MARCH 2023
1£)
(£1
FIx8d assets
Tangible fixed assgts
449
Current as8•ts
Cash at bank and in hand
8.004
6,453
Accumulated funds
Unrastrfcted fund$
8.453
Totsl charfty funda
8,453
These finanu81 ststementsM*rt approved on.....
and svJr￿l on bghalfofthe l)oard oftrustee5 by.
Miss Katie
Tru5te&
P898 5

CAT4NING
YEAR ENDED 31 MARCH ￿24
NOTES TO ThE FINANCIAL STATEMEHr8
1 G8n8fal Infonnatlon
The sFHrty vts a pJtAr entity a rwJist8r•J In ar¥J Wal85 ar>J 18 unlnLrypJrateJ. ThB
address Oft￿ prinw 0￿e 1$ 19 Lepkiry5 Lane. Sheffidd. S6 1SS.
2 Accountlng pollcles
Basrs of
ration
These firwncial ststements have been in com￿laT￿eW￿Ih FFIS 1tr2. Tne F￿ancIal Rekwytiry stsndatd
app1iG8b18 In the UKand the ReptstrJi¢ of IrdarKI'. Ststernent rfR&xxnrnerthJ Practi￿ apF4i(atAe to char￿e$
pr9￿rIr0 their accounts in acrxlrdar￿ wSth the FI￿A¢A￿ Rwrtiw Starthrd akWT(atle in the UK aTh1 Republic
of ITdand IFRS 1￿2) IChariti&B SORP IFRS 102llarkl tsCh8nbes Act 2011.
Thesefinartk41 are tyek*rwJ in stdir¥J. 15 th8 fvJnLa￿)r￿I currerLy ofth& ￿tity.
Ther8 are ro rnat*l uTh*lnUes at¥)uttr* ?)nUn￿.
All Irttimo * [￿ud￿j In tho stsI￿ent ￿fln￿￿[￿l thb85 th plrysK¥l tran5fw ha5 b88n [1￿1
urces
ExFeThJlknr818 TWn15￿ on a cash tosls.
Tan
These are capilalised rf they w te form(*e offt ￿ aThJ cost at kast £250. Try a￿ valued at
Provis1￿ for dep￿L￿tIon Is made g) &$ to write off the ¢(6t ￿trn91t￿e fix&J assets ￿ a stsaght line bass ov
the exp8CtgJ us8fiJl ￿r￿rn￿ Itre clth8 asset
Th8 pri￿lF￿1 annual rales usd for this ￿F￿ar￿.
Equiprne
- 33% 5tr8h3ht1￿?
3 Stthff ¢osts
No rornuneratKsn has b88n re£8￿￿ tyjsleas.

CAT-CHING
YEAR ENDED 31 MARCH 2024
NOTES TO THE FINANCIAL STATEMENTS
4 Tjnglblg FIx8d Assets
FUM5￿1¢ & Equlpment
19
Cost
Bslan¢* Lthyd.
1.647
Bolanr* cJfv¥d.
1.647
B81an¢o t￿.
1.198
Clwrge year
Bolancg chd.
1.647
Balanc8 clm.
Bal8nc8 Lthvd.
S Funds
Jnd5
Bal*n¢e Incomlng OutgolrvJ
r•sour¢•$ Ygsourcos Tran5fvr5
Balanco
Fund nam
Gèneral fu
1g9.7r2
1201.8621
8,453 199.7r2
1201.8621
6,363