TRUSTEES REPORT AND FINANCIAL STATEMENTS
FOR THE PERIOD ENDED 31 MARCH 2024
FOR
BEST LIFE DOG RESCUE LIMITED

BEST LIFE DOG RESCUE LIMITED
cO￿rENTs OF THE FINANCIAL STATEMEwrs
FOR THE PERIOD ENDED 31 MARCH 2024
Legal (tr￿ Administrntive Infornbttitjn
Report of the Trustees
Independent Examiner's Rwt ￿ the AccoLrrts
Statemerrt of Activities
Balonce Sheet
Notes to the FirKvKial Stotements

BEST LIFE D06 RESCUE IIMrrED
COPAPANY INFORMATION
TRUSTEES:
J Hutchinson
J Hutchinson
V Herrett
Choir
ADDRESS".
10 Red House Lane
Adwick Le Street
Doncagtrer
South Yorkshire
DN6 7UX
CHAkfry NUMBER:
1197504
ACCOVNTANTS:
AMH AcCo￿tallc￿ Services Ltd
10 Railway Co
Doncaster
South Yorkshire
DN4 5FB
Pa9e I

FOR THE PWOD ￿tsEts 31 AIAktrl 2024
2024.
c01knive￿￿1trrcd *DILS the Trnsirts.
isa IiMTFd Lowrv.
CC+nti￿IO
Thcobiediw of tlrt thyty
chorityho5 cgntirnzd to SLVPVtkncd ¢*)>% ih ill r£dof ￿l¥j re￿￿. pfdo9Y¢tt riskof btiryw*tos**
for limn￿ll1 retLfof6. fonuty wtknthe to w wTth.
We hove also St¢M an incfw)s¢ indcgs ta owrws TKLI*fgawaywl￿ryt￿k¢Th 1K*o<r￿. Wel￿￿
OVEr IW dags ill the yt4r 202312024. Vie WVWLYedr•Js in rttd of rehth1ltahuno￿ yadittrcsoKSr￿C¢s
<dong ￿th wre<W rLed of SLP￿r thE dugsto styin th•r h￿% ¢wbe to￿￿h1
rA gJprrf£d byowsel4tS.L¥P* thcc05t vf fxs cre lildory. We ￿sentIal
coreand Enth￿¢￿1 asSes>r￿0f ¢oth C¢Yt We In￿￿*thI￿e￿th resux dDgThifh a suitab
ceord hElpar￿ thisw rl knr4 irrta kntyrythc inthEJrlKw. Weset ￿ WTrots*SY¢LP fOre￿￿j0pttT￿o
se￿ tsnd osk forGThyryK7ceibl¥ch wv wdeto besr¢f krww. i$tso
alkW￿ weoffera¢￿bfi¢d BVknTth￿ins[tr amtpkn resw>ws 9)% of *h¢ cfjsts.wnthiS Isf￿￿4 Kerf* i+￿¥¢h
as Itoften h£￿ W thE do9.$ intl*r ill

BEST LIFE DOG RESCUE LIMrrED
INDEPENDEt+if EXAMINER'S RS•ORT ON THE ACCOUFfS
FOR THE PERZOD ENDED 31 MARCH 2024
kÈport to the tr[￿et$ ar¢d directors of Life Dog RestJJe Linuted ort accounts for the
period eThJed 31 March 2024 set out on Pty￿ 7 to 12.
I report to the charity tnjsfees on my examirntion of the accourts of the Compw for the
period ended 31 March 2024.
ResponsibilitTrts ond bosis of r¢pwt
As the charitys trusfets of the Compary (who ctre also the directors of the comFW for the
compaw for the purpoAs of c¢>mpuny law). you ore responsible for the preptsration of the accourtts
in o¢cordance with the requirements of the Chorities Act 2011 Cthe Act").
I report in respect of my ex<miir*2tÈon of the choritys occounts c(wrJed out under section 145 of the
Act and in o¢Jt my ex(mliNtion I have followed ail the applicable Directions given by the
Charity Commission under section 145(5Xb} of the Act.
Indep￿￿¢￿* exami￿.$ statement
I have ¢ompl¢t¢d my e%¢YniFWtiorn I confirn no material rn¢trters h(Ne tome to my tyttention
¢ontwction ￿th the ex¢Jmith"on 9iviThJ me ctytse to b¢lieve that in (ry mattrid respect."
. accountiryj reeonts were not kept in respect of the dwity ¢ts rewired by section 130 of the
Charities Act.. or
. the at￿￿n*S do accord with those records." or
. the accounTS do not cornpty with the applicable requirements concernirg the form ond content of
accounts set in the Charities (Accounts ond Rewrt5) Regulations 2008 other th(m any requirement
that the accounts 9sve a'true and fair vie¥rf whidi is a mdtter coEk%idered as port of an independent
exomination. I have F¥) concerns hove come acri￿ other mutters in connection with the
xamitrwttion to which Llttentton shouki be drawn in this report to eTh]ble o proper uThJerst¢rxliw of the
accounts to be reached.
AMH Accountancy Se￿ces Ltd
10 Roilwoy Court
t)oncaster
South Yorkshire
DN4 5F8
Pt>Je 4

r)onations ond
Cknpitabie atti￿t
Other trod4rgochTrffti&%
95
19.443
395
34.518
27?71
Totsl
31J38
35A38
61.889
AthsiT¥J fu
cl￿Tob￿ acfiwti¢s
120.W)
13XUJ (24.4HI
{26510)
Oth
{ZO.9H)
{35)0) 124.4441
{Z6.510}
10.894
35A79
Toy pwb
94
35,379
tOJ94
IOM94
35,379
(hher gty@Ibss¢sl
io
35.379
To+d lurds brwhtftr*JAI
35.379
35J79
40.273
35.379
The M1¢5 12 fm pwt vf I￿¢￿15.

BALANfE SHEEf AS AT 31 MARCH 2024
20Z4
2￿3
F￿ed Assets
Tongible awts
Debtors
Cash at bank and in hand
46073
35.7T9
46.873
35,TT9
Creditors: Am(ffjurt5 falliry <bJ¢
within year
4QKk
46.473
35379
Tot41 dss¢ts Itss cwrwrt Ilobilities
46,473
35.379
estricted
Uryesfrided
46273
35.379
46.273
35.379
The cgmtA7ny ￿ ertrtledto exemptiLvr from a￿*t thdEr s477 of the Comiwits Act 2C£t6 ff*lttting to
to small cornwmies.
The members ho￿ not r47uirtd the conyJry to obtain on 0ty4it in accordance with section 476 of the
Comw7nies Art 21Xl6.
The dNrertors aekMwl* Pa%Fwibiliti£¥ for compl￿￿ with the requirnrwrts of t￿￿ ComF4ThieS
Art wTth re-PCt to occouti]ing retorEds ond the PreF￿rnt￿On of ¢iccotrts.
These a¢£ounts hcTK been prewred accOrdy￿ wtth thÈ provsionf twlicfjbk to *MII comp]nies
s￿bject to smollcom￿lrnS rwme and in accordonce With FR5102 S)RP.
ApproNtd by the Tntslees on..
ond sig￿1 on thwr behdf ty.
Pt¥2 6

TO THE FINANaAL sfATEMEI4Trs
FOR ThE PEPIOD ENDED 31 MARCH 2024
fTMnGidl stGtrtn￿ts Qre wwed the historicd cost ti)rTh*tttion 4#d in accord2n
with the StateM￿t of keconvwxkd Prncltc¢ A¢tthihliry dnd Repxirting by C￿ltIeS
preparitvj th￿r acc￿ntS in oCCorth￿ wmth the FINI￿10] Rewtrirg Stdnthrd opplithk in the
VK and Republi¢ of freknd (FRS IOZ) issxd on 16 Juty 2014 and The FIMncid P£pJrting
Standard applie0b￿ in the Urnted ￿"T9￿M Rewtslic of Irelond (FRS 102) oxd ￿th the
Chorities Act 2011.
Th¢ £htsJYty ¢o¥thtut¢% o pknlic tr￿fIt Entity as (kfia ty FPS 102.
Vnrestricted funds (sre avail2b￿ for u* at thE discretion of the trwlees in filv1hv￿ of
the gerEral objutives af charity.
Desi9Mted fur& lyre ￿re￿￿¢ted fur¥ts eirnwk&d Tnjstees for a Ixirticubr pwpose.
Restricted *unts ￿ *thiected to reshictK)ns on thBir iMP)s￿ by the &)nor or
throu9h t)￿ terms of apwl.
All intornin9 resources ¢]re inclu(W in the stryteJKrt of fiM)ncial ¢thties when the thority is
entitled to the income and the ¢imwnt ca# be ¢•th*if￿5 w¢th occurary. The
follw"n9 SFetifit pDlici¢s arc ttpplicd to Fwticukr tow1￿ of irKo
Vokthtory inta•* i% ￿￿1Ved by way of wts. ¢tyJ 9ifts is included
ih full in the Stotsnwit of Filw￿l01 Acti￿t￿ when receivoblt. 6ronts where
entltkW￿t is not conditioMI on the deliNEry of a specific perforrnr￿ by the
charity, (we rtto9YMsed th¢ cknrity uhc0#ditTord￿ entit& to the
Domted sermees ond f+xilitotes ore inchJ&d at the th to the th￿lty wkre this
cfjn be qwnttfth. The vol￿ of seryices hos tsjt L*en
deliverrtbl¢s. tve dctOE￿ted for47$ thvity the rTght to co￿SI￿t￿n
Th¢ vah* of ary w)bJntthy help re¢eibEd is IT￿h￿d in the t*cwnts is

Expenditure is recognised on cn actrual basis os a liability is incurred. Expenditure
includes (Yry VAT which C￿0t be recovered. <nd is reported as port of the expemditure
to which it relates:
Costs of generatirwj funts comprise the costs ￿ocialed ￿th attracti
voluntary income (VKI the costs of trodin9 for fLndraisirs purposes.
Charitable expenditure comprises those costrs incurred by the chority in
the delivery of its actiwties and services for its beneficiaries. It intlLKles
both costs tl#it can be allocated directly to such activities ¢)nd those costrs
of indirect Mture necessary to wrt thenL
6ovÈrrThce costs include those costs ctssociated with meetin9 the
constitutiornl ond ￿0tUtory requirements of the charity ¢md include the
accountoncy costs linked to the strnte9ic nwogement of the charity.
All cosrs are ollocated between the e4enditure cote9ories of the SOFA
on o basis desisned to ref lect the use of the resources. Cosks rekrtitvj
to a Fwticular octivtty ¢re allocated direct￿. others are ¢¥POrtioned on
on appropriate bosis e.9. f loor areos. per copita or estiffnted usage. etc
Fixed assets
Fixed assets (excluding investments) are stote at cost less occumukjted depreciotion. The
costs of minor additions ore not topitaltsed. Depreciation is provided at rates colculated
to write off each ttsset over its eslirnted LLseful life.

Tpfvl
9JS2
&ftA5d
7￿33
12.35$
2533
15.89
J4Jl8
14.443
19.443
To*d
Told
Xi.B38

Tvt
Incwred seeknrgthMhD
IMcLvTed *eekE
rncurred seeki
rtt$
chari
OFgrotiw tt tradir•J cOryqkiryu￿jertdllry
choritoble Tradi
Ad**isiry. wkctiry. dw¢rt pbtraty
5tirt UP Costs ihCLrr¢d in of
other
Ih¥*ment
rrfolio
nt costs
Inte1￿Ct￿l
Rent CollEthon.
Vet fee5
19P18
17362
5.505
487
1.635
265
133
l.635
265
133
rnstsrwKE
Travel
AdvertFSI
115
87
38
ter
554
A¢counta
Profwiorhil fees
rs and ren¢T￿
anktjnd
Sundry expert
925
4(A)
141
147
147
216
216
Z4.444
26.510
26510

Details of ctrta41 tyw of
This year
Independent examiner's fees
ssuronct servsces other tlvln independent examiTb2ti
Tax advisory fees
Other fees (for example". f irnncial advtce. cOn￿lt(M¢y. accO￿t￿cY
400
Creditors Accrwls
Amounts falltw within one year
This year
Prior y¢or
Accruals for grants payable
Bank and overdrafts
Trade trtditors
Ptsyments received on accowtt for contracts or perforn¥]nce-reloted gMt
Accrwls and deferred income
Toxtttion (tnd social secjjrity
Other crditors
400
Total
Cash ¢tt bonk QMI ift hond
This year
Short term cash investments (less than 3 months IMt￿lty date}
Short term deposits
Cash at knnk t]nd on h(￿d
Other
Total
41,365
5.508
30.961
4,818
35,779
Page 11

Plefjse 9tve detoik of the mvemethts of ￿￿￿11￿41¥1d￿I fth& in the reiwtir9 w¥odtostthEr with a
. Key.. PE.Wyr￿nt eThlowrnent fuThYs.' EE. ex￿ble eTh$)￿ fi￿$.. R. fErtrirtedl￿ fLtyMts. irKI(L4irg
specit71 tr￿ts. of the C￿lty. t￿￿ V. ftThk
Type PE.
EE Ror
carrÉtd
P￿dn
6enerol fvnds
6eneml funds
35.379
31.838
(20.944)
(3,9)))
46.273
fw¢)
35.338
.273
forri9n currency
If yes, please state the iytsis on whiclt tht WA
This year
their clw(ty oro rebted entity.