STONE
WALLING
ASSOCIATION
ANNUAL REPORT AND
SUMMARY ACCOUNTS 2021- 2022
Friendship Bridge, RHS Harlow Carr Garden

Contents
Office Bearers
Page 3
Current Honorary Life Members
Page 4
Trustee Board Members
Page 4
Chaimian's Report
Financial Report
Statement of Financial Activities
Page 5
Page13
Page 14
Balance Sheet
Page15
Summary ol Branch Annual Retums
Branch Officers
Page 16
Page 18
Membership Re(ords
Page 19
¢)DSWA 2022. All right5 are reserved. No part of this publication may be ryoduced, stored
in a retrieval system or transmitted in any form or by any means- electronic. mechanical,
photocopied, recorded or othew5e, wthout the prior and Yffltten permission of the
Dry Stone WallingAssL*fdtion.
DSWA, Lane Farm, Crooklands,
Milnthorpe, Cumbria, LA7 7NH
www.d5wa.LKg.uk
Registefed Charity Number 289678

Office Bearers
PATRON
HRH The Prince of Wale5
2006-
Her Grace, The Dowager Duchess of Devonshire
1990- 2005
PRESIDENT
The Lord Cavendish of Furness DL
2008-
ryan Hough LCG
2005- 2008
Ken France
2002- 2005
ryan Hough, LCG
1999- 2002
Terry Eggleshaw, MBE
1994- 1999
Ramsay Rainsford Hannay
1989- 1994
Mrs E Murray Usher of Cally, OBE
1968- 1989 {part as convenorl
VICE PRESIDENTS Brian lones
Bill Noble
Tom Norris
Chris Stephens
Paul Clayton 2020-
Ray Stockall 2013- 2020
Alan Devonport 2010- 2013
Richard Love 2004- 2010
Paul Webley 1994- 2004
Terry Eggleshaw MBE 1983- 1994
Eric Boyes 1982- 1983
Peter Wilson Retired 1982
CHAIRMAN
DEPUTY CHAIRMAN Tracey Biackweli
CRAFT SKILLS
CO-ORDINATOR Andrew Loudon
TREASURER
Linda Ciarkson

Current Honora
Life Members
J R Bown. l K Dewar.
J Riddick. F E Shields OBE. FRAgS,
Mrs J Simpkins. P Webley
DSWA Trustee Board Members
Se
t 2021- Au
2022
Tracey Blackwell
Andrew Loudon
Paul Clayton (Chairman)
(appointed March 20221
Cuthbert Noble
Brian Hartley
Lydia Noble
Peter Isherwood
lack Taylor
{appointed 2022)
Emma Yates
(resigned 2022)
Pamela Kirkup
{appointed 20221
FourTrustee Board meeting aTe heid during the period covered
by this report
Banks
HSBC Bank plc.
331 Lord Street. Southport. PR8 INJ
Solicitors
Milne Moser. Solicitors,
Westmorland House. The Square,
Milnthorpe. Cumbria. LA7 7QJ
Insurers
NFU Mutual Insurance Society Limited.
Prospect House. Meadow Bank Business Parl
Shap Road. Kendal. Cumbria. LA9 6NY

Annual Re
0rt1Se
tember 2021- 31 Au
ust 2022
Introduction
Welcome to the latest annual report for the Dry Stone Walling Association,
covering the period mentioned above.
We start by extending our good wishes to His Majesty The Kin& on his
accession to the throne, whilst also acknowledging that it is a time of sadness
and change. The DSWA has been privileged to have Prince Charles, in his role
as The Prince of Wales, as its Patron and we wait to see if this can be
continued.
After almost two years of events being cancelled or postponed due to the
pandemic. the Royal Garden Parties were once again back up and running.
DSWA has been fortunate enough to receive an invitation for a representative
to attend these events and we were delighted to be able to offer the place to
Sally Fielding from Dorset. who enjoyed the day at Buckingham Palace in May.
Small changes at the DSWA office in that it is now closed on Fridays. We are
also pleased to welcome Kate Dymock as our new Training & Education
Coordinator, who is full- time and takes over from Linda Clarkson who has
retired from that role. However, Linda is still involved with the Association in
her role as Treasurer.
Governance
At the Annual Ger￿ra1 Meeting in March. we said farewell to three of our long-
standing Trustees. Gordon Hicks. Ray Stockall and Trevor Wragg and extend
our thanks to them for their help and commitment over the years. We were
pleased to welcome Pamela Kirkup on to the Trustee Board as a new Trustee
and also to have lack Taylor returning for a further tem of office. The
Association cfropted Cuthbert Noble on to the Trustee Board for a one- year
period. which brings the number of Trustees to ten. However. during the year
we were sorry to receive the resignation of Emma Yates for personal reasons.
We extend our thanks to Emma for her contribution to the work of the Trustee
Board during her time as a Trustee.
Meetings of the Trustee Board have continued as a mixture of in-person and
Zoom links. which works well and means that the opportunity of becoming a
Trustee opens up to those members not close enough to the office to drive to
meetings. We hope this will encourage members to consider putting
themselves foNard as Trustees in the future.

The Association continues to receive. and act upon. regular free advice and
guidance issued by the Charity Commission and strives to adopt best
practice wherever possible.
Membershi
There has been a small increase in members during the period covered by
this report. which is encouraging. Most of the change comes in the open
membership category. whilst the professional and corporate listings remain
much the same as previous years. Subscriptions is one of the main sources
of ongoing funding for the Association and there is a continued need to
encourage people to join and support the work that we do, even if they do
not wish to get actively involved in practical walling. By joining as an open
member. that support is valuable and there are opportunities to help out at
branch level with tasks other than actually walling. Joint membership for
two open members at one address is also available. which still benefits the
DSWA but saves a small amount of money for the household.
Corporate members are important to the Association and we have tried
hard to offer opportunities for them to promote their businesses and for
branches to establish links with corporate members in their area.
Membership •5 it 31 Aulust 2021
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rl51
The Dry Stone Walling A5￿￿latIOn is registered with the HMRC Gift Aid
Scheme and is able to claim 25p per £1 of membership andlor donations if
members sign up to the scheme. This generates a significant sum of money
each year. at no extra cost to the members. For the tax year ended 5 April
2022 the Association received over £9.000 which is from subscriptions of
just over 600 members who are registered with the Gift Aid scheme.
Members are encouraged to join if possible if they are eligible to do so.

The Association is very grateful for support from branches that have made
transfers during the year. Cheshire Branch generously funded the cost of
reprinting the Walls in the Landscape leaflet as well as the updatelreprint of the
little booklet, Building & Repairing Dry Stone Walis. Cumbria Branch was able
to fund the spring issue of the Waller & Dykerand colleagues in Wales covered
the cost of the general information leaflet for 2022. There have been other
general transfers from the following branches which are likely to be used in the
training budget. Dorset. Lancashire and South West England.
Quarterly Zoom meetings between branches have continued as a way of
networking and sharing ideas and best practice. Topics for discussion are
submitted by branches and the meetings are hosted by one of the Trustees.
Ideas and suggestions are then followed up.
The DSWA website continues to be a valuable tool for members and others,
seeking advice and guidance on all matters dry stone walling related. There is a
wealth of information available for educational purposes and the oTrline shop
offers books. tools and merchandise. The Association also has Facebook,
Twitter and Instagram accounts. all of which help spread the word about the
work we do, which in turn fits with our charitable purpose'to advance
education in the craft and heritage of drystone walling for the public benefif.
Trainin
& Education
This year has seen the retum of training in person and courses have been in high
demand. with waiting lists for the four-day courses at Crooklands and the
branch two-day beginner courses being testament to the level of interest these
training opportunities generate.
It is encouraging to see an
ongoing number of people
seeking a qualification in
dry stone walling and most
of the attendees on the
courses at Crooklands take
part in, and are successful
in, the assessment on the
fifth day. An oTrline course
booking system for the
four-day courses at
Crooklands is now up and
running which helps with
the admin side of things.
Entered • Pa55ed

Most of these candidates are entering for the Level l and Level 2 qualifications
but we have also had one or two working towards the higher levels. We extend
our congratulations to James Kidd who was successful in achieving his Master
Craftsman certificate in April.
Dry stone walling is available to people of all ages and abilities. We were
pleased to welcome trainees at CrookLands who had hearing difficulties but
nothing that a sign language interpreter could not address and we were very
pleased that both people achieved their Level I qualification at the end of the
week. Similarly, South West England Branch was able to offer a visually
impaired student the
chance to attend a
beginner training course.
Accompanied by a full-
time carer. he
successfully completed a
section of wall by the end
of the weekend and had
thoroughly enjoyed the
experience.
As mentioned earlier, the
Association was very
pleased to welcome Kate
Dymock as its new Training & Education Coordinator. She has settled in well
and takes fO￿ard the training work that was started by Linda Ciarkson. She
will also have responsibility for test days and certification.
The Rural Skills Hub project is progressing well and there have been a number
of community experience days hosted by branches as part of this initiative.
Northumbria Branch organised taster days for the National Park Young Green
Leaders as well as community days in County Durham. whilst the Otley &
Yorkshire Dales Branch hosted an event for the local Aizheimerfs, Society. As
well as dry stone walling. the Rural Skills Hub is working with the National
Hedgelaying Society and has been coordinating training for that traditional
craft too. Funding for young people to be'apprenticed" to professional wallers
and hedgelayers has enabled up to six trainees to benefit from a placement
provider for a year, during which time they work towards achieving one of the
qualifications in either craft. The project runs for an eighteen month period and
will come to an end in March 2023. It is hoped that further funding might be
found in order to continue some of the work as a lasting legacy to the project.

Other community based projects have also taken place with Dorset Branch
offering a team-building day for Defra vets and Wales Branch hosted a
beginner training event for volunteers of the Friends of Cardiff Reservoirs, an
event which is to be repeated next year. In North Wales members had the
chance to build a traditional clawdd wall under guidance from Sean Adcock
and members in Central and South East Scotland continue with the building
of walis on the training site in Fife.
South West England Branch was fortunate enough to receive funding from the
National Grid Community Grant for volunteer trainin& some of which has
been used to provide beginner training to National Grid staff, who are allowed
work time to pursue environmentally useful activities. Dorset Branch also
completed a cuNed wall incorporating lettering at its regular walling site at
Tyneham.
At a national level. DSWA had its annual External Quality Assurance visit from
Lantra. to ensure that all Assessors are working to a common standard and
that procedures are in place to address health and safety and welfare issues
during test days. It is encouraging to report that this was successful and
thanks are recorded to everyone involved not only in the day itself but also in
all the background WO￿ done beforehand.
The Pendle Hill Landscape Partnership Projett has now come to an end but it
is hoped that DSWA will continue to have links with that area for future
training opportunities. The Association was able to offer training to six young
apprentices at the North York Moors National Park with funds left over from
the Prince's Countryside Fund project. The trainees were successful in gaining
their Level I qualification and can use their skills to benefit work within the
national park.

Publici
Publicity comes in a variety of forms and this year we have seen a number of
new and unusual opportunities. In May. members of the Ellwood Branch held a
24-hour walling event to raise money for the Ukraine. which proved very
successful and not only raised much needed funds for those in the war-torn
country but also raised the awareness of dry stone walling. Well done to
everyone who was involved in the wallin& not to mention those providing
"background support".
One of our members had an article published in the British Dental Journal and
dry stone walling also featured in a new book about traditional crafts in
Somerset by Kate Lynch. There were some brief TV stardom moments for
colleagues in Derbyshire when the Canal Journeys programme included dry
stone walling for the presenters.
Dry stone walling competitions
have taken pkce around the
country and included generous
prizes from some of our overseas
members. This resulted in one
lucky person making a trip to
Canada to experience dry stone
walling over there . Photo shows
competitors from the walling
competition held at Penrith Show,
organised by the Cumbria Branch.
The Friendship Bridge built at the RHS Harlow Carr garden near Harrogate wa5
awarded a Certificate of Merit under the Pinnacle Award Scheme and a
presentation was made in June to those who worked on the project. Dry stone
walling also featured at other garden events including the RHS Chelsea Flower
Show and congratulations are extended to those members involved in
ward-winning gardens.
Fife Doors Open Days events were attended by members from Central and
South East Scotland Branches and numerous shows and fairs play host to dry
stone walling displays and competitions. including Weardale Show, Haddington
Agricultural Show and She￿orne Castle Country Fair.
10

South West Scotland Branch hosted a
joint branch event as part of the
Galloway Glens Landscape
Partnership project and constructed a
section of traditional Galloway dyke.
incorporating a cattle trough.
In the far north of the country. Northstone Stone Fest took place again this
year. Coordinated by George Gunn. the event offers a mixture of
community build for a dry stone walling project. illustrated talks and visits
and helps promote walling to a range of participants from far and wide.
All in all. a broad range of publicity over the year- there are no doubt
opportunities that have not been reported on or that the Association is not
aware of. We do rely on members sending in details of activities or events
so as to try and gain as wide a perspective on the craft as possible.
Finance
Subscriptions were increased by small amounts from January 2022 and it is
encouraging to see that this did not have a major impact on membership
numbers, with over 200 new membersjoining during the period covered by
this report. There are always some memberships that are not renewed for
whatever reason. As at the end of August the Association had almost 1,100
members.
The Association was grateful to receive a donation of £500 from the Curry
Fund of the Geologists, Association to allow a reprint of the "Geology for
Wallers" leaflet. which gives a useful insight into the different rock types
found throughout the country.
There continues to be a steady stream of sales of books. tools and
merchandisin& all of which help generate a small amount of income.
Bookings for the four-day training courses includes payment at the time of
booking and it is encouraging that most of the bookings are used and
refunds not issued. The on-line booknng system has improved the

processing of these applications. Likewise. the test day assessment can now be
booked and paid for on-line, streamlining the admin process.
DSWA branches continue to hold independent bank accounts which are
operated under designated powers afforded to the branch officers. However,
all monies are reported to the Charity Commission in the full year end
accounts for the Dry Stone Walling Association of Great Britain.
Risk Mana
ement
The Trustees have agreed that. in the light of price increases over the last few
years. a minor increase in the rese￿eS would be prudent. The major risks which
the charity might face have been reviewed and the Trustees believes that
regular reviews of the controls over key financial systems. combined with the
small increase in reseNes will provide sufficient resources in the event of
adverse conditions. The Trustees have also examined other operational
business risks faced by the charity and continue to estsblish systems to
mitigate significant risk.
Conclusion
On behalf of the Trustee Board I would like to thank everyone for their
continued support for our craft and hope to meet some ofyou during the year.
Paul Clayton
DSWA Chairman

Financial Re
ort for Year Ended 31 Au
ust 2022
The charity's income decreased from £279.716 in 2021 to £241.042 in 2022.
However. most of the increase seen in the previous year related to restricted
funds which were used in the current year. Expenditure increased from
£169,543 in 2021 to £226.607 reflecting these restricted projects. Overall,
charity funds increased by £14.435 in the year. of which £34,904 related to
unrestricted funds. increasing reserves to £512.590.
Branch funds remain buoyant and a number of branches have made transfers to
central funds. These moines have been allocated as per branch requests if
specified- general transfers will help facilitate the recruitment of a full time
Training & Education Coordinator.
Restricted funds projects have continued under the Pendle Hill Landscape
Partnership, including the delivery of beginner courses. a walling week and
production of a video. This project comes to an end in October.
The Rural Skills Hub project. funded by the Defra Green Recovery Challenge
Fund. is proving successful in offering a central point for advice. SLtpport and
funded training on traditional boundary skills of walling and hedgelaying.
In accordance with Charity SORP guidelines. branch activities and monies held
have been integrated into the full accounts. Branch bank accounts are held
independently and are not readily available to the National Association.
Resetves Poli
Under charity law. the Trustees are obliged to define the charity's policy for
holding reseNes to ensure the continuation of the charity's activities. The
policy enables the charity to meet its legal objectives. provide confidence to
donors seeking to give financial support to a prudently controlled charity and to
ensure that the rese￿eS are at a level sufficient to discharge all the charity's
obligations in the event that it should cease its operations. This is not
considered likely in the foreseeable future. so the reserves which the charity will
maintain are those needed to fund ongoing monthly costs and future
development. The Trustees have decided that the charity should seek to have
accessible resetves of a sum equal to no more than 12 months general running
costs and £70.000 has been designated for this purpose. It is recommended
that all branches should apply a reseNe equivalent to 12 months of the branch
operating costs.
Linda Clarkson
Treasurer
13

D Stonewallin
Association of Great Britain
ststement of Financial Activities for
ear ended 31 Au
ust 2022
Unrestricted Restricted
funds
funds
Branch
funds
Total
2022
Total
2021
Income and Endowments from:
Donations and legacies
74,098
563
4,262
78,923
84,111
Charitable activities
58,618
7,792
84,321
150,731
180,211
Other trading activwties
8,166
1,598
9,764
11,970
Investment income
36
36
15
Other income
1,588
1,588
3,409
Total Income
140,882
8,355
91,805
241,042
279,716
Expenditure on:
Charitable activities
123,818
47,266
55,523
226,607
169,543
Total Expenditure
123.818
47.266
55,523
226,607
169,543
Net incomellexpenditurel
Gross transfer between
funds
17.064
{38,911)
36,282
14.435
110.173
17,840
200
17,640
Net movement in funds
34,904
{39,111)
18.642
14.435
110.173
Reconciliation of funds
Total funds
brought forward
Total funds
carried forward
239,968
102,311
155,876
498,155
387,982
274,872
63,200
174,518
512,590
498,155
All of the Charitys activities derive from continuing operations during the above
period.
The above figures are taken from the full Charity Commission accounts. Please
contact the DSWA Office ifyou would like a copy.
14

D Stone Wallin
Association of Great Britain
Balance Sheet as at 31 Au
ust 2022
2022
2021
Fixed assets
Tangible assets
14,812
17,421
Current assets
Stocks
16.045
17,755
Debtors
1,047
3,071
Branch bank accounts.
174,075
155,433
Cash at bank and in hand
321,088
312,760
512,255
489,019
Creditors.. Amounts falling due within one year
114,4771
18,2851
Net current assets
497,778
480,734
Net assets
512,590
498,155
Funds of the charity.
Branch fund5
174,518
155,876
Restricted funds
63.200
102,311
Unrestricted fuTrJs
274,872
239,968
Total funds
512,590
498,155
**
Money held in branch bank occounts is held independently by the branches
and cannot be readily accessed by Head Office.
The above figures are taken from the full Charity Commission accounts. Please
contact the DSWA Office if you would like a copy.
15








|**BRANCH**|**M/ship**<br>**01/01/21**|**M/ship**<br>**31/12/21**|**New**<br>**Recruits**|**Opening**<br>**bank bal £**<br>**1/09/20**|**Closing**<br>**bank bal £**<br>**31/08/21**|
|---|---|---|---|---|---|
|Central Scotland|51|54|14|8,034|7,859|
|Cheshire|34|43|9|9,575|10,977|
|Cotswold||||||
|Cumbria|84|105|21|14,686|15,252|
|Derbyshire||||15,591|23,565|
|Dorset|43|45|2|8,589|14,903|
|Ellwood||||1,350|1,210|
|Isle of Skye||||442.00|442.00|
|Lancashire||||9,109|9,397|
|Mid-Lancs|7|7|0|8,551|8369|
|Northumbria|25|27|4|4,162|4,682|
|Otley & Yorkshire Dales|152|134|14|18,902|12,660|
|Pennine|14|12|1|1,925|2,163|
|South East Scotland|32|41|9|3,101|2,001|
|South West England|74|97|23|8,134|13,105|
|South West Scotland||||4,747|5,176|
|South Yorkshire|25|37|7|3,141|3,278|
|Wales (North & South)||||7,131|4,805|
|West Yorkshire|52|39|3|7,573|7,878|








|**BRANCH**|**No of**<br>**events**<br>**held**|**No of**<br>**Courses**<br>**held**|**No of**<br>**Course**<br>**Particip'ts**|**No of Branch**<br>**Competition**<br>**Particip'ts**|**No of**<br>**Demos**<br>**held**|
|---|---|---|---|---|---|
|Central Scotland|12|5|30|0|1|
|Cheshire|5|2|24|0|1|
|Cotswold||||||
|Cumbria|8|4|34|0|1|
|Derbyshire||||||
|Dorset|84|3|41|0|0|
|Ellwood||||||
|Isle of Skye||||||
|Lancashire||||||
|Mid-Lancs|3|3|11|0|0|
|Northumbria|20|17|47|4|2|
|Otley & Yorkshire Dales||5|68|0|3|
|Pennine|8|3|6|0|0|
|South East Scotland||3|27|0|1|
|South West England||5|77|0|1|
|South West Scotland||||||
|South Yorkshire|0|5|25|0|0|
|Wales (North & South)||||||
|West Yorkshire||5|44|0|0|








|**Branch**|**Chairman**|**Hon Secretary**|**Hon Treasurer**|
|---|---|---|---|
|Central Scotland|Kate Armstrong|Bob Pawson|Dorothy Findlay|
|Cheshire|Jack Taylor|Jack Taylor|Liz Cottle|
|Cotswold|Chris Ingles|Linda Brailsford|Richard Ingles|
|Cumbria|Stephen Atkinson|Patrick Lacey|Joe Bowman|
|Derbyshire|Carl Hardman|Jon Earnshaw|Alan Malia|
|Dorset|Wendy Manning|Carole Reeves<br>Phyllis Warren|Iain Pullen|
|Ellwood|Lydia Noble|Luke Powell|Cuthbert Noble|
|Isle of Skye|Hector Nicolson|Hector Nicolson||
|Lancashire|Chris Bolshaw|Paul Clayton|Gill Bolshaw|
|Mid-Lancs|Neil Kerr|Neil Kerr|Brenda Hayman|
|Northumbria|Paul Foster|Pam Kirkup|Neil Weddell|
|Otley & Yorkshire<br>Dales|Peter Bull|Colin Alexander|Rona Dailey|
|Pennine|Eric Fort|Peter Walker|Pamela Smithies|
|South East<br>Scotland|Richard Love|Dave Taylor|Donald McInnes|
|South West<br>England|Barry Angell|Chris Waite|James Orme|
|South West<br>Scotland|Nic Coombey|Linda Wilson|Jak Kane|
|South Yorkshire|Gary Helliwell|Paul Clegg|David Brookes<br>Mick Booth|
|Wales|David Cope|Brian Lock|Colin Brown<br>Nigel Spiers|
|West Yorkshire|Trevor Womack|Shared duties|Chris Hanwell|








|**_Calendar_**<br>**_Year_**|Total All<br>Members||**_New_**<br>**_Members_**<br>**_included_**<br>**_in totals_**|**_New_**<br>**_Members_**<br>**_included_**<br>**_in totals_**|**_Total_**<br>**_Open_**|**_Total_**<br>**_Prof_**|Total<br>Junior/<br>student|Total<br>Corporate|Other|
|---|---|---|---|---|---|---|---|---|---|
|**1968**|**55**|||||||||
|**1999**|**1239**||279||956|238|7|24|14|
|**2000**|**1326**||335||1039|237|7|28|6|
|**2001**|**1122**||144||845|233|12|21|11|
|**2002**|**1233**||331||945|248|12|20|8|
|**2003**|**1317**||335||1004|267|7|25|14|
|**2004**|**1468**||422||1151|267|11|23|16|
|**2005**|**1470**||407||1177|234|22|24|13|
|**2006**|**1484**||408||1179|248|17|28|12|
|**2007**|**1456**||426||1156|256|12|25|7|
|**2008**|**1416**||387||1117|263|12|24|7|
|**2009**|**1301**||309||1000|256|18|21|6|
|**2010**|**1204**||215||909|242|12|20|6|
|**2011**|**1194**||163||894|261|10|23|6|
|**2012**|**1209**||147||903|269|12|25|6|
|**2013**|**1100**||164||780|282|8|24|6|
|**2014**|**1054**||141||774|249|7|18|6|
|**2015**|**1084**||185||808|240|12|18|6|
|**2016**|**1040**||151||780|230|7|17|6|
|2017|**1042**||178||787|228|6|15|6|
|2018|**1045**||171||785|220|20|14|6|
|2019|**1154**||194||869|239|28|13|5|
|2020|**1047**||88||774|233|22|14|4|
|2021|**1128**||139||853|232|22|17|4|
|2022**|**1095**||245||832|221|25|13|4|
|**||||.||||||
|||||||||||






Choriry registration nu[lltr￿. 289678
Dry Stone Walling Association of Great Britain
Annual KeEK)rt and Financial Slaiemenrs
for the Year F￿ded 31 A￿gUSt 2022

Dry StODe Walling A&so¢iation of Great Brilain
Contents
Reference and Administrative Detsils
Ttustees. Report
2105
Statement of Trustres, R&wort4ibiliti¢5
Independeni Examinerfs Report
Statement of Finon¢io1 Aaivities
8t09
Balance Sheet
10
N01¢5 ¢0 the Financial Ststemtnts
11 to28

Dry Stone Walling Association of Great Britain
Reference aDd Administrative Details
Trnsttt5
T Blackwell
P Clayt￿. Chair
B H¥rfl¢y
P Jsh¢rwood
P Kirkup
A Loudon
C Noble
L Noble
J Taylor
289678
ChArlty' Rt8lstr*ilon Nurnb¢r
Prlntlp*l Office
lane Fann
Crookland5
MilnthiYp¢
Cwnbria
LA7 7NH
Independent EI*mlmer
Stybl¢s Thompson & Bris¢oe
Chartered Accountants & Swutory AudI￿S
34 Lowther Strtti
Kendal
tA9 4DX
Bonk¢rJ
HSBC
331 Lord Stre
Southp)rt
PR8 INJ
Page I

Dry Slone Walling Association of Great Britain
Tr￿stee5, Report
The ￿￿%tees present the annual rewjff togetheT with the financial stat¢ittents of the charity for the year ended 31
August 2022.
ObJe¢tfve8 and *etfvltle4
Objrtts
Th¢ obj¢¢ts of the charity are kn thance eth￿10n in th¢ ¢TJft attd herityg¢ of dry stone walling for the public
benefit.
ObJec¢lves. slrnl¢8le$ ohduc¢lvirf
2022 saw the r¢rurn to a fijll programtne of tsaining eourse$ and lest days. after two y¢arn of disruption duc lo
the pandemic. Delivery of irainitig via branches and centrally generated in￿85¢d income. particularly from
the courses held ai Crooklands whith were fully booked from March io oc10￿r. There 15 a significani amouni
of pr¢-pa)'ment of course ftts geneTaied by the new online booking sysiem which could be offset against 2023.
There hgs also been a considerable increas¢ in ¢rthman Certification fees following the return of regular test
days.
Demand for trainin8 cc4irs¢$ r¢main5 styon8 with the National Training eouts¢s already fulty booked up to June
2023. Branches have reported that beginner courses have been very popular Èn 2022. A Stsndard Selling event
for DSWA Assessors was held in April 2022, wthere the Associaiion launched the tnternal I￿alitY Assurance
{IQA) scheme. Many of the assessors hAve su¢¢essfvlly compleied an IQA assc55mcnl in 2022. A Lantra Audit
of the Craft Ctrtiflcation Stheme (CCS) c•rri¢d C￿ in September 2021 and DSWA found io meet all
Lantrd Tequiremet)ts.
Branrh fiJnd5 remain buoyant and • nutDber of branch&s have trwf¢rred surplus fi￿d5 lo central financ¢8.
These fi￿d$ have E¢eD allocated as F¢r branch requests: any gener81 tran5fer5 will help to facilitht¢ the
recruitmeni of o full timc Training & Ethicaiion Coordinator.
The Tryscee Board has coniinu¢d io hold regular mttiings throu8houi the year. Thtsttts continue lo minimise
expenditure b). embracing technology and reducing travel costs.
Subscriptions M'cre incre85¢d and there has been ¥n incr￿¢ in new members, whi¢h also led fo an increase
in the amount claimed through Gifl Aid. M¢r¢handise sales have also Increased.
Re$tri¢ted Funds projects hlive coniinued with a fijll pro8fdmme of activities under the Pendle Hill Landscape
P8rtn¢r5hip, which saw the Association involved it) the delivery of beginner courses, Initial level qualificauons,
a wallin8 week and production of a video.
ThL. Rural Skills Hub Projecl. fijnded by the Defrl Green Recovery Challen8e Fund. ha5 proved very successfijl
otTerin8 a central point for advic4 supporL fvnded tyaining and si8np05tÈn8 to infomiation sources on
tradiiional bowidary skills. The Rurnl Ski115 Hub Coordinator has becn working with the DSWA and the
National Hedgela)'ing Society to deliver grants iowards trdining in dry stone walling and hedgelaving for 20
young people looking io gain qualificatlons and accreditation in rural skills, paid work placements with
pn)fessiond dry stone waller5 and hedg¢layer5 for 5 young people looking for a Tural career and Expwien¢e
Days in trdditional boundary skills for ¢omrnuntty organiS￿l0nS.
The Association COttltnue5 to receive numcrow requests for advice and guidaft¢¢ on all aspects of the ¢rnft of
dry stone walling and Thill strive to maintsin the quality of inforn)ation available on this tradittonal ¢rafL
Publlc bÉn¢fii
The Trnsiees ¢opfJrJn thai they have complied with the rrquircrnents of section 17 of the Charities Act 201 I to
have due regard to the ￿b]I¢ benefit guidance ￿bliShed by the Charity Commi&sion for England and Wales.
Page 2

Dry Stone Walling Association of Great Brilain
Trustees, Report
Finanei¥41 review
The charify s income decre&sed from £279.716 in 202110 £241,042 in 2022, however rnost of the increase last
year Telared to restricted ￿nds which were used in the currcni year. Expenditure increased from £169,543 in
2021 to £226,607 refl￿ting the5¢ restrided projects. Overall clwity fvnds increased by £14.435 in th¢ year of
which £34,904 relatrd to ut]restricted fimds iticrtL%iDg tcstTV￿ to £512,590.
Poucy on reserws
Under the requir¢m¢nt5 of ¢h¥ity jaw, the Trus(ees are obliged io defu)e the charity's poliry for holding
resetves. The intention in estsblishing thi5 R¢scrvu Policy is to ensure the continuation of the charity's
iivities. The policy will enable the charity io meei its1¢8al objcclives. prrjvide confidence to dortors seektng io
giv¢ f￿ancial 5UPEXlrt to a prudeni]y controlled charity and to ¢D5ur¢ that the reserves are at a level Su￿le1cnI to
discharge all th¢ ¢lwitys oblig¥¢ions in the even( that il should cease its operations.
Thi5 15 not considered to be likety in the fores¢e•ble ffijwre. and therefore the reserves which the thiriry 15
required (o mainiain are those needed 10 fund ongoin8 monthly cosls and future developmen(. To this end, the
Trus￿eS have decided that the charity should seek w have reserves which are not invesied in fixcd assets of a
sum equal io no Tnore than 12 months ¥eneral TunDing costs and £70,000 has b¢¢n designated for this pu7po.sc. A
l&rge proportion of the ¢haritY$ re$¢rv¢s are held ￿ bank accounts.
The f￿￿CIal slat¢m¢nts detsil the movem¢ni in reserves during the yar.
Trngte¢s orncers
The Nstee$ athd offirers servtn8 durin8 the year and sin¢¢ the year end were &5 foUow3'.
Tru5teu.'
T Bl*ckwcll
P cl￿￿￿. Chair, Chllir
B Hartley
P Isherwood
P KiTkup (appointed 12 March 2022)
A Loudom
C Noble
LNobl¢
J Taylor
E Yat¢s a150 served as a trnstee in the y¢or #nd resigned on 18 Juty 2022.
Stru¢¢ur¢• governance and mxnxgtmeut
The uninwrporated charity. is conSti￿ted under a ¢wsi deed dated 1968 with subsequent revisions, the most
c¢nt being. dated 4 June 2016 and ratifled at the Annual General M¢¢ting on 4 March 2017. The registered
charity number is 289678.
Page 3

Dry Stone Walling Assoei2tion of Great Britain
Trustees, Report
The Association has a Board of Tru5tecs, consisting ofup to12 elected mernbers, ￿th0 hold offLC¢ for a period of
three }'ears. Retiring 'frusiees are eligible for re-election for further ternjs of office. The Chairman is elected by
the Ttusiees follow'ing the Annual Gtnernl Meetin8. Nominati(ms for the election of Tnjstees are invited
4nnually from the mernbership.
Induc￿0￿ ￿dIMIn￿R olfftisie
The Tru5tee5 provid¢ WTiuen confumation that they understand the duues and responsibilities of their
steeship. They concern themsclve5 with every aspe¢t of the DWLagemenl of the charity and are fillly aware of
their onerr￿S responsibilities.
The Truste¢s receive and upon regular frt¢ Jdvi¢¢ issued by the Ch•rity Commi5510rL
Airangememtsforsettthz key ￿￿17￿¢￿¢￿1pepSOnneI renwMeTorf•n
Key management ¢omwises Alison Shaw &% ffijll iimr officc admini5tratt¥. The Trus￿5 set remuneraiion for all
8taff ai the September Trustee Board medin8 each year. to thke effect from the October of thal year.
Relatlonshlps wlth related partles
Branch assotl#tlonJ
The Dry Stone W811in8 AssociatioAJ currently hJ5 fifte¢n tryiches in En8iand and Wales and four bran¢h¢s in
Scoilwml.
Mojor rtsky andmlnaxemeni ofthose rtsks
Risk Managemeni
Thc rTUSt¢￿ have reviewed the major risks which th¢ ¢h•rity faw and believe thal mainthtniny reserves at
¢urreni lev¢15, ¢ombincd with an annual r¢view of th¢ controi5 over key financial 5yStems. will provi¢k
sutTicient r¢sour¢e$ in the event of adverse conditions. The Tru$t¢¢s hav¢ also ¢xJmined other operational and
business risks faced by the ¢h#rity and continue to esthblish systrms to mitigat¢ 8ny significpnt risk.
Flnanclil Instruments
ObJécllv*s andpvll¢14S
The Chariry's activiti¢5 expose it lo a number of financial risks in¢luding rr¢th't risk, flow risk pmd liquidity
risk. The charity does no¢ use derivative financial instruments.
Credll rLsk"
The Charity's principal fmancial assets bank balances and c&th. trade and other teccivables, on O￿a510n
short tern] inv&stments.
The Chariw hos no signific8n¢ ¢on¢entration of credit risK with expasure spread over a Iwg¢ number of
counterparties and c￿merS.
Llquldlty rl¥k
In order to main¢ain liquidity to ensure that Sufficie￿ funth are avtiiiable ￿ ongoing operation5 and future
develo￿eThts, the Charity rnainiains a rea%onabl¢ kvel of fi￿d$ in tn51ant access bank accounts.
.Further detsils regarding liquidity risk be found ID the Statement of accoun(ing policies in the fmancial
statement5.
Pag¢ 4

Dry Stone Walling Association of Great Britain
Trustecs, Report
The annual report wa5 approved by the tNstees of th¢ charity on 17 Dtccmb¢r 2022 and signed on their bchalf
Board Chainnan
ndTn
Pag¢ 5

Dry Slone Walling Assoeiation of Greal Britain
Statement of Trnstees, Responsibilities
The trnstees are resp)nsible for preparing the tnjstees. report and the finaD¢ial $tatrments in accordance with the
United Kingdom Accounting Stsndards (United Kingdom Generaliy Acceptrd Accounting Practic¢) and
ar4)licAble law and regulations.
The law applicable to charitie5 requires the tN5tees to preyare financial ststrments for each financial year which
give a trye and fair view ol the state of affairs of the charity and of the inccéning resour¢¢s and applicalion of
r¢source5 of the charty for that period. In preparin8 these fmancial stsf¢m¢nty the Intsic£s are required to..
selrxt 5uiiabl¢ accounting policies and then appty them coLs1￿cn￿y.
obsetrye the methods and principles in the Charitse5 SORP;
make judgements and estimates that are reasonable and Frudent.
State whether applicable accounling sLandar(L4' have b¢¢n followel subject to any mal¢rial (kpartures
di5c105ed and cxplained in the financial statements. and
prepare ihe fthaneial $u(tments on the going ¢oneern basis unless it is inappropriate to preswne that the
charity will continue im business.
The trusrees are r¢5ponsibl¢ for keeping prcyer a¢¢wntin8 records that disclose with reason￿le accuracy ar any
lime the financial position of the chariry and ellable them to ensu￿ thai the fjnancial st8t¢ments ¢omply with the
Charities Act 2011. the applicable Charities (Accounts and Reports) Re8ulauons. and the provisions of the
¢onsliDJtion. The ¢n￿leeS are also r&8ponsible for safeguardin8 the assets of the ¢harity and hence for tsking
reasonable steps for the prevention and detrclion of fraud and other irre8u]arilies.
Approved by the iDJstees of the charity on 17 December 2022 5ignwJ on their beh￿r by..
BoaTd C
n and TTU$tee
Pa8c 6

Dry Stone Walling Association of Greai Britaln
Independent ExamiDer's Report to the trustees of Dry StODe Walling Association of
Great Britain
I report to the tr[￿¢$ on my examin￿10￿ of the accounts of thy Slon¢ Walling Association of Gre4t Bri￿Ill for
the year ended 31 August 2022.
Rupo•sibilities And basls of report
As the charity trustees of Dry St￿¢ Wallin8 Association of Gre4t Britain you are resN)nsible for the preparation
of the accounts in accordance with th¢ requirements of the Ch¥rities Act 2011 ('the Act,).
I report in respecl of my cxarnination of the thy Stonc Walling A￿oCIatIOn ofGreai Britain's accowits catTied
out un(kr S¢CLion 145 of the 2011 Act pnd in carrying out my examination I have followed all the applicable
Direction5 Blven by the Charity Commission undeT S¢¢tion 145(5Xb) of the AtL
Independent ex*mlner's stAleffjent
I have compl¢¢ed my examination. I confwm that no material matters have come to my ai¢¢ntion in conneclion
wtth th¢ examinaiion 8iving me ¢4us¢ io believe that in any material respect..
ccounling r¢¢ords were not kepl in re5pr¢i of thy Sione Walling Association of Great Britain as required
by 5cciion 130 of the Aci. or
2. the accounts do nol aciord with those records: or
3. the accounts do noi compty with th¢ O¢¢fAintin8 requirements ¢on¢eminB the forni und conteni of a¢counts
set out in the Charities (A¢¢ounL8 and Reports) Regu14ti¢)ns 2008 other than any r¢quirement thai the
account5 give a 'Due and fair view, which 1$ not a matter considered as part of an indep¢Dd¢nl
exatninafion.
I have no concems and have u)me ?¢ross no other matteTS in connection with the examination to which attention
should be drawn in this report in order io enable a proper un(kTStandirtg of the accounts to be reached.
Helen Holme5
ICAEW
Siables Thomp50n & Briscoe
Chartered AccountHnL5 & Statutory Audilors
34 Lowther Street
Kendal
LA9 4DX
Datc..
Page 7

Dry Stone Walling A580¢i*tion of Grcat Britain
Statement of Financial Activities for the Year Ended 31 August 2022
Unrestritied
funds
R¢strlttrd
fvnds
Branth
funds
Tot81
2022
Note
Ineorne and Endowments from:
Donaiions and le8aci&s
Chariiable activities
Other Iradin8 ac(ivities
Investsnent income
Oth¢T income
74,098
58,618
8.166
563
7.792
4,262
84,321
1,598
36
1,588
78.923
150.731
9,764
36
I,S88
Totsl IncoTne
140.882
8.355
241042
Expe*dlture on:
Chariwble a¢tiviiie8
123818
55.523
226.607
Total Expenditure
123,818
47,26
55.523
226.607
incom&'(expenditure)
GTOSS transfers beN'een OJnds
17.064
(38.911)
200
36,282
14,435
18
Net movement in fjJnds
34.sNM
(39.111)
18,642
14,435
Reconelll*tlon offvnds
Total ffijnds brought forward
239 968
102 311
155 876
498 155
Total funds carried foNard
63
274 872 ￿00
174518
512 590
Braneh fjJnds ar¢ separated in the accounts as they are not readily •cets5ible by the ¢¢ntral office, being under
the control of the r¢l¢vani br￿ch ccrfnmittee.
The notes on pages I I to 28 forn) an integral pon of th¢5e financial statements.
Page 8

Dry Stone Walling Association of Great Britain
Statement of Fin2neial Aetivities for the Year Ended 31 August 2022
Testrl¢ted
ds
Re5trleted
fund5
Branch
funds
Tolal
2021
Comparatlves
Ineome And Endowments from:
Donation5 and legacies
Charitablt a¢iivities
Other trading aaivities
Investment income
O¢h¢r income
12211
45.670
1,536
84,111
180,211
11,970
15
35,559
10,434
98.982
3.409
Total Ittcomt
117893
279716
Expendliure
ch￿itable activities
169543
Total Ex￿ndI￿re
(104.307
41,738
169,543
Net irtcome
Gros$ transfers fund5
13.586
75.484
21.103
110.173
Net movemeni ith
43,280
48.020
18.873
110.173
R¢conclllwilun of funds
Total funds brou8ht fonward
Total fjJnds earri¢d fon¥*d
196 688
387 982
239 968
102 311
155876
498 155
The fvnds breakdown for the curreni yw and 2021 is shown in Dote 18.
The noi¢s on page5 1 I to 28 forni an integral part of these financial stsiements.
Page 9

Dry Stone Walling Association of GreAt Britain
(R¢gislr*tion nunbber: 289678)
Balanee Sheet ￿ at 31 August 2022
2Q22
2021
Filed assets
Tangible assets
13
14.812
17.421
Current i&qets
Stocks
Debtors
Branch bank accounts
Casb at bank and in hand
14
15
16
16,045
1.047
174.075
321.088
17,755
3,071
155,433
312,760
512,255
489,019
Credl¢oYs: Amount$ falling due wlthln ODt yur
Net £urrenl assets
17
14,477
11.285
497.778
480.734
Net 8SS¢ts
19
512,590
498 155
Funds of the ¢h•rity:
Branch funds
174,518
155,876
Restrlctrd
63.200
102.311
Unrutrlcted
274.872
239,968
Toi41 fuThd8
18
512590
498,155
The financial staiements on pages 8 10 28 w¢re approved by the U￿ste£S. and authorised for i%ue on 17
De¢ember 2022 and $i￿ta on their behalf by..
Llayto
Ilian and Trustee
Th¢ notes on pag¢s I I to 28 fonn aD intrgrdl part olthese fman¢ial Slatements.
Page 10

Dry Stone Walling A&qoeRgtion of.Great Britain
Notes to the Finantial Ststem¢nts for the Year Ended 31 August 2022
l A¢¢ountlng polici
Stat¢m¢nt of compliance
The f￿ancial statements have been prepared in acc4)rdance with Accounting and Reportirtg by Charities..
Staiemenl of Recommended Practice applicable ￿ charilies prcparing their accounts in accordance with the
Financial Rerrfjrting S(andard applicable in the UK and Republic of Ireland (FRS 102) (¢ffectlV2 1 January
2019) - (Charities SORP (FRS 102)), the Financial ReFKJrting Stwndard applicablc TD th¢ UK and Republic of
Ircland {FRS 102) and the ChaTities Aci 2011.
Baili of prep*rntlo•
Dry Stone Walling Association of Great Britain is an unincoTPrted charity registered in England and Wal¢s.
The address of the regiS￿red offitt is given on the eh8rity Inform￿lOn page of these fthortei81 statements. The
naDJre of the charity's operntions gnd principal a¢tiviues ar¢ ￿ adv)n¢¢ ¢du¢8¢ion in the ¢ran and h¢rithg¢ of
dry stone walling.
Dry Stone W811in8 Association of Great Britsin meets the definition of a public benefii entity under FRS 102.
Assets and li8bilitie5 are ini¢ialty recognised ai hi5wrical cos¢ or tran￿110￿ value un1¢55 oth¢rwis¢ s¢it¢d in the
relevant accounting policy notes.
Tht a¢¢ourtts are presertted in SieTling which 15 the functional currency of the chariry and rounded to the neareyt
Exempllon from pr¢p*rlth% 4 c*sh now s¢atemenl
Tlie Lhdfiiy qUdlifi¥s smdll and therefore noi included a cash flow sthtement in these financial $totcmenLS.
Golng eoneern
The tswst¢es ¢ottsider that there are no ￿￿terial uncertatnties abo￿ the tharity's ability to continue Hs a 80in8
¢ontern.
Income #nd endowments
Voluntary incom¢ including donations, gift& legacies grants thai provide core fvnding or are of a general
naDJre 15 recognlsed when the charity ¢ntitlem¢nt to th¢ incom¢, it 15 probablc th8t th¢ income will be
received and the amount catt bc musured with sutricienl r¢liabilitv.
Donotlon.f le¥4cles
Donations and legaci&q are recognised on g r¢c¢ivable tosis when re¢eiy is probable and the am￿nI ¢an be
reliably rneDsured.
GT4nts recehyable
Grat]ts are recognised when the ¢E￿Ity att ¢lltit1e[n￿t to the fiJtLds attd arty ¢onditions link¢d to th¢ gratsts
have been met. Ivhere perfomiance conditit)n5 ar¢ atta¢h¢d io the grdnt alld ar¢ y¢t to Ix meL the iucomc is
recogni5￿ &5 a liability pnd in¢lud¢d on the balance Sheet a5 deferred income to be r¢l¢a5ed.
Pagell

Dry Stone WAlling Association of Great Britvdln
Notes to the Financial St*t¢m¢nts for the Year Ended 31 August 2022
Gifts k￿d
Gifts in kind donated for resale are included at fair value. being the exp¢¢t¢d prcK¢eds from sale less the
txpectrd costs of sale. Where estimating the fair valu¢ 15 pfdclicable upon receipt it is recognised in 5wck and
'Income from other trading aclivities,. bpon sal¢. th¢ value of the si(Ick is charged againsi 'lncome from other
trading activities, and the proceeds are recognised as 'lncome frorn oiber tradillg activities,. Where it is
impracticable io fair value the items due lo the volume of low value items they are not reeognised in the
f￿￿nCIal stalements UtLtiI they ar¢ sold. This income is recogrtised within 'lncome from oth¢r tradinB a¢tiviti¢5'.
Donul¢d services 4ndfq¢UIrf
Donited faciliiies and donated professional service5 are recogni5ed in iDCOrn¢ at their fair v8lue when their
economic benefit is probable. li can be measured reliably and the chartty has wDtroI over the it¢m. Fair value is
detemiined on the basis of the va]ue of the gift to the charity. For ¢xmpl¢ th¢ wnouni the charity would be
willing to pay in the open markei for such fa¢ilities and seTVittS. A ¢(YT¢spottding 4mouni is r¢¢ognised in
expenditure.
Eipenditure
All expendiwre 15 Tecognised once there is a le8al or constructive obligalion to thai expendillire, it is probable
settlem￿1 is required and the arn(￿nt can b¢ rn¢asured reli•bty. All tosts #re Allocattd to the Applicabl¢
¢xpcnditure hcading thot a88re8atr similar ¢osts th thal cate80ry. Where costs cannot bc direcily atlributcd (o
purti¢ular hcadift8& ihry havc bccn allocaicd on a bLsi5 consisteni with the use of resources. with central staff
costs allocaied on the basis of (ime spen(. and depreciaiion char8es allocaied on the portion of the asset's Use.
Other suppon costs are allocaied based on the 5Prtad of stsff costs.
Charlioble rtcllvliles
Charitable expendi¢ure comprises those costs incurred ty the charity in the delivery of its activities and services
for ils beneficiaries. It includes both costs that can be allocated direcily lo such activities and ihose costs ol. a
indircct nature n¢c¢ssary to 5UPPOrt them.
GrttAlprovtsloHs
Provisions for Brants are madc when the intention lo a 8raDi h&$ been communica*d io the recipient but
there is wicertainty alMJUt either the timin8 of the 8rant or the amount of grant payable.
Gov¢rTrAn¢e £oJtJ
These in¢lude the cosi$ ottritrMJtabl¢ to the charity'$ complian¢e with ￿nStitU110naj and statutory r¢quiremenus.
including audit. Slrategic management and trustees's medings and reimbursed expenses.
GoverTrThent grsnts
Government granis are rttognised based on the acCn￿l model and are measured at the fair value of the asset
received or receivable. Grdnts are classified as relating either io revenue or to assets. Grants relating to revenue
are reco8nised in income over the period in which the relatrd costs are recognised. Granls relating io assets are
reco8nised 0￿er rhe expected useful life of the &ssd. Where part of a grant relating to an asset is deferred, it is
recogniscd as deferred income.
Page 12

Dry Stone Walling Association of Great Britain
Notes to the Financial Statements for the Year Ended 31 August 2022
T*I¥tio
The charity 15 Considered to pass the le5ts Set oui in Paragraph I Sehedule 6 of the Finance Act 2010 and
therefore it meets the deflnition of a charitsblc company for UK corpord(ion tsx purposes. Accordingly. the
¢hariry is pot¢niially ¢x¢mpt from laxation in Tesp¢¢i of inc(*n¢ or upitsl gain5 received M'ithin categories
eovered by Chapter 3 Part I l of the Corpcrdiion Tax Act 2010 or Stetitsn 256 of th¢ Taxaiion of Ch)rg¢able
Gains Aci 1992. 10 the exieni ihai such income or gains are applied exclusively to charitsble purposes.
Tangiblt flied d55ets
Indivithsal fixed assets costing £250.00 or more are initialty recorded Al ¢OSL
Depreclatlon amortlsatlDn
Depreciarion is provided on tsngibl¢ fixed assets so a5 lo WT1￿ off the cost or valuation. less any estimated
residual value. over their expected us¢thl t￿￿<￿￿1¢ lif¢ as follows:
Asset clam
Fixtures. fittin85 aDd equikYnen¢
Deprtelatlon mtlhod ibd rate
150/0 reducing balance
Reg¢ar¢h and development
Research and development expenditure is wrilten off a5 incuTTed.
Currttnt Amet Invutments
Current &sset inwes(rne#ts Ire included at the lower of and net realisablt value / markel vBlue.
Stock
Stocks are ￿ated at the lower of cost and Csiimated selling pric¢ less costs th ¢omplete and sell. Cos¢ in¢lude$ all
¢osts of pur¢hase, costs of conversion and other costs inruTr¢d in bringing stock to its present loca(ion and
condition. Cos¢ 1$ ¢al¢ulat¢d usin8 the fllsi-in, fllsi•OUt fomLuIL Provision is made for damaged. obsol¢tt and
slow-moving siock where appropriate.
Tr4de debtDrs
Debiors and creditors with tto ststed interest ratr and receivable or pyabl¢ within one year are recorded ai
Iransaction price. Any losses Irising from impainneDt are recognised in expenditure.
CAih and cash ¢qulYalents
Cash and cash equivalents wmpri5e cash OD lland and call d¢posits, and (rther short-term highly liquid
investments thal are readily ¢onv¢rtible to a known amount of ¢ash Jnd are subject to an insignifican¢ risk of
change in valvc.
Page 13

Dry Stone WYdlliDg Association of Great Britain
Noles to the Financial Stalements for the Year Ended 31 August 2022
Trade crtdito
Trade creditors are obliEaiions to pay for g¢xxls or services tbat bave been acquired in the ordtnary course of
busiDess from suppliers. Accounts payable are classified as current liabilities if the chariry does Thot have an
unconditional right, ai the end of the reportillg p¢ri(M4, to defer settlement of the credilor for at least twelv¢
months after the rcFK)rtin8 date. If there is an uncondickonal right to defeT settlement for at IcLSt twelve months
after the reN)rting date. they are presented &s nort￿Urrent liabilitlC5.
Trnde ¢reditOTS are re¢tsgnised initially ai the tyan5action price and subsequently Measur￿ at amortised c05t
using ihe effective inlcrttst method.
Fund structure
Unrestricted income funds are genezal funds that are available for use at the tn￿tte5'S discretion in furtherance
of Lhc objectives of the charity.
Restri¢t¢d in¢ome funds are those don&ed for use in a particular area or for specific purposes, th¢ us¢ of whi¢h
is restricted io thai area or purpe6¢.
Branch fijnds are separated in th¢ a¢¢oun¢s &% thcy •Te readily llcce5s&ble by the central office and ar¢
ontrolled by the knnch committtts.
Fltt4n¢l#l Injtruments
CloK%lflcrtrfon
Finoncial Lssets and financial liabilities are reco&ni&ed th8 charity become5 a party to the contractual
provisions of the instnJTnent.
Financial liabilitie5 and equity in5trnmeDiS are classified according io the substance of th¢ contractual
arraiigements eniercd into. An cquity LfistrLim¢nl is any contyath thai evidences a residual inLerest in thc ￿￿ets of
the charits, after deducting all vf i(5 liabiliti¢s.
Rtcognlrtoll
All fU￿n¢18] assets and liabilities ￿e initially mea5ur¢d at (Tansllction wice (including rr8nsa¢tion ¢osts). excepl
for those f￿ancial assets classified as * fair value through profit or loss. which are initially m¢4sur¢d at fair
value (which is norn]alty the transacuon price excludin8 trdnsaction costs). unless the arng¢ment ¢on$iilu¢es a
financing tran5aclion. If an arrdn8em#i¢ con5ti¢utes a financin8 Msaciion. the financial &sset or financial
liabili¢y is measured at the preseni v&lue of the future pwents discoun*d at a Ma￿et rnte of interest for a
sirnilar debt iDstnJmenL
Financial assets and liabilities are only offset in the sfaiernenl of financial position when. and only whett there
¢xi$¢5 a legally enforceable right io sei off the reco8ni5ed amounts and the charity in*nds either to settle on
net t05is, or lo realise the a￿£¢ and s¢ttl¢ the lithility sltnultaneo￿ty.
Financial assets are derecognised when and onty when a) the contracDJal rights to the cash flow5 from Ihe
financial asset expire or are settled, b) the tharity transfers io another party substantially ail of the risks and
rewards of ownersbip of the fllun¢ial asseL or c) the chariry.. despite having rethined Some. but not all,
signifiLant risks and rewards of ownership, has transferred control of the asset io another parts.
Finattcial liabiliues are derecognised onty when the obligation specified in the contract is discharged, cancelled
or expires.
Page 14

Dry Stone Walling Association of Gr¢at Britain
Notes to the Financial Stydtemellls for the Year Ended 31 August 2022
2 Income from doDatiotsJ Mnd leiades
Unrestricted
Restrieted
d$
Branch funds
Total
2022
Gtneral
Donalions and le8acies'
Donation5
Gift aid reclaimed
rants, includin8 capital grants.
Grants from other charities
Granis received by branches
Branch Syb%ripiions
Subscriptions
1,758
9,083
500
3.065
5.323
9,083
63
63
1,242
(45)
63,257
78.923
1.242
(4S)
63.257
74.098
563
4,262
Unrutricttd
funds
Gelleral
Br¥Jneh fundi
Tothl
2021
Donations and le8acies;
Donations
Clift aid reclaimed
Grants, including capiral grants.
Government 8fdnts
Grants received by branches
Branch Substripiions
Subscriptions
2.624
7.093
2,912
5,536
7,093
5.717
5,717
9,244
55
56,466
9,244
55
71.900
12.211
Page 15

Dry Stone Walling AssociatioD of Great Britain
otes to the Financial Statements for the Year Ended 31 August 2022
3 Intome from cbarltable getivilie
Unrtstrie¢¢d
Restricted
f•nd#
Braneb funds
Tot
2022
General
Certification fees
Trdining
D¢monstrations
Pendle Hill
Branch projects and ¢v¢nts
32,497
26.121
32.497
106,819
400
7,792
3,223
80,698
400
7.792
3.223
58.618
7,792
84.321
150,731
UTrrestrleted
rund5
GeTrerAI
Restrleted
rund%
Branch funds
To141
2(121
PCF S(epping Ston¢$ 2019
Certifi¢ation fees
Trninln8
DemonstraiioD
Pertdl¢ Hill
HLF Em¢rg¢ncy Fund
Brdnch projects and events
HLF Green Recovery Challenge
10.000
10,900
20,654
58,276
250
532
38,600
1,149
20,654
14,CQS
44.271
250
532
38.600
1.149
35.559
180 211
Page 16

Dry Stone Walling A$so¢igtion of Great Britain
otes to tbe Finanelal Statements for the Y¢8r Ended 31 August 2022
4 Tllcome from other trading activitie5
Unrestricted
funds
General
Br**eh lunds
Perm*￿¢￿*
Total
2022
Trading income.
Sales of goods and 5trvices
Lotteri¢s and competitions income
7.178
988
1,598
8.776
988
8.166
1.598
9.764
Unrestrleied
nds
General
Brnneh funds
Permanent
Total
2021
Trnding income;
Sales of good5 and 8ervi¢¢s
Lotteries and competitions illcom¢
9,376
,536
10,912
S Invutment Income
Branch funds
Perm#nent
Totxl
2022
Interes¢ re¢¢iv8ble and similar income.
Interest receivable on bank deposits
36
36
36
36
Branch funds
Pennanellt
TotAI
2021
Inieres( receivabl¢ and similar income;
tntrrest receivable on bank d¢posits
15
15
15
15
6 Other IncoThe
Branch funds
Perm#ttent
Total
2022
Other branch income
1,588
1,588
Brnneh funds
Permanent
Total
2021
Other brdnch income
3,409
Page 17

Dry Stone Walling knociation of Great Britain
Note5 to the FiDaDcial Statements for the Year EDded 31 August 2022
7 EXpethdItu￿ on eh#r￿ble *¢tlvldes
iiDrestrict¢d
ds
Gener*1
Restrieied
fvnds
BNnch fund5
P¢nngnent
Total
1022
Am'ards and demonstrations
Certification scheme
Training
Leaflets, journals and advertisin8
Purch&8es of goods for resale {adj
for siock)
Restricted project5 (see fvnds note)
Branch equipmenL advertising and
events
Branch donations
Other branch costs
Governance costs
Wage5 and salaries
Fre¢ltth¢e TEC 8nd Dev¢lopm¢ni
Retst and rates
Offi¢¢ maint¢n8tt¢¢ ond r¢pairs
In5uraDce
Stationery, ¢¢lephon¢ ond pOS￿&e
Bank chBr8es
General travel expenses
Depreciation
36
21.901
15,597
7.365
3.434
3,470
21.901
47.832
7.928
32.235
563
7.183
977
8,160
46,703
46,703
10,066
878
7.796
10,066
878
7.796
11,463
27,593
6.815
,943
2,412
2,274
6,813
2,730
221
11.463
27.593
6,815
8.943
2.412
2,274
6,813
1593
221
137
47
123.818 ￿66
226,607
P48e 18

Dry Stone Wvdlling Associallon of Great Britain
Notes to the Financial Statements for tbe Year Ended 31 August 2022
Unrestricted
runds
Cener*l
Rtstrieted
nds
BrAnclb funds
Permanent
Totsl
2021
Award5 and denionstrauons
C¢rtifi¢arion s¢heme
Training
Leaflets. jownals and a¢fvertising
Pur¢hase5 of goods for resale (adj
for stock)
Restricied projecis (see fijnds not¢)
Branch equipmen( advertisin8 and
events
11.501
7.871
4.655
11.501
22,608
4,655
14,737
5.033
2.233
7.266
23,498
23.498
14.517
298
14.517
298
BT¥nch donalions
Oth¢r branch costs
Governatt¢e Costs
Wiges and salarie5
Freelance TEC and Developmeni
Rcn¢ and rntes
Office maintenance and repairs
InsurAn¢e
S¢a¢ionery, telephone and TKJSta8e
Bank ¢harges
Genernl travel expenses
DepTCCIEltion
9.752
9.752
8,481
29,731
8,143
10,426
5,633
2,162
5,985
2,129
178
2,463
8.481
29,731
.143
10,426
5,633
2,162
5.985
2,045
178
2,463
104,307
23.498
41,738
169,543
Page 19

Dry Stone Walling Asso¢iation of Great Britain
Notes to the Financial Statements for the Year Ended 31 August 2022
Activity
yndertaken
dirtttty
Activity
iupport ¢05
2022
Awards, events and demonstrations
Certificauon scheme
Training
Le)flets. joumais and advertising
Purch&4es of good5 for resale
Restricred projects (see fvn&% no¢e)
Branch equipment. advertisin8 artd evrnts
Branch donaiion5
Other bran¢h costs
Governance ¢o$ts
Wages and salaries
Freelan¢¢ TEC and Development
Rent and rates
Offic¢ maintenAnce and reF4irs
Insuronee
Stationery., t¢l¢phone and postage
Bank charges
General irji'el ¢xpense5
D¢pr¢¢iaiion
3.470
21.901
47.832
7,928
8.160
46,703
10.066
878
7,796
3,470
21.901
47,832
7,928
8,160
46.703
10,066
878
7,796
11,463
27,593
6,815
8.943
2,412
2.274
6,813
2,730
221
2,609
11.463
27,593
6.815
8,943
2.412
2,274
6,813
2,730
221
2,609
161549
226 607
Page 20

Dry Stone Walling As$o¢ialion of Gr¢4t Britain
'ol¢s to the Fin*neial Statements for the Year End¢d 31 August 2022
Artlvlty
dert*ken
direetly
Aetivity
support C￿ts
2021
Award5, events and demonstratity
Certificauon scheme
Training
Leafleis. journals and advertising
Purcbases of 8oo¢Ls for rcsal¢
Restricted projects {see filljds notc)
Branch equipmenL advertising and events
Branch donations
OtheT branLh costs
Gov¢rn8ncc costs
Wages and salaries
Freelance TEC and DeveloFxneni
Rent and rntes
Offlce maintenance and repairs
Inswance
Staiionery. *lephone and posts8e
Bank ¢har8¢5
Gcncral travel expenses
Depre¢iaiion
117
11.501
22.608
4.655
7,266
23,498
14,517
298
9,752
8,481
29,731
8.143
10,426
5.633
2,162
5,985
2.129
178
2,463
11.501
22,608
4.655
7.266
23,498
14.517
298
9.752
8,481
29,731
.143
10,426
5,633
2,162
5,985
2,129
178
IL12 355
169 543
8 Anal)'sl$ of governancc and support twt•
Governance cosls
Unrestrieted
funds
General
Restricted
fund5
TotAI
2022
Independent examiner fees
Examination of the fituncial $wanellts
Other fees ￿ld io exarniners
TN5tee5 remuneration and ewn5es
Legal fees
Tre45urerfs fee$
C05t of tru51ees' meeiings and AGM
2,650
759
935
3,722
3.069
328
2,650
759
935
3,722
3.069
328
11,463
11,463
Page21

Dry Stone Walling knoeiation of Great Britain
Notes to tbe Financial Statements for the Year Ended 31 August 2022
Unrestrided
funds
General
Total
21121
dep¢nden¢ examiner fees
Examination of the financial *attm¢nis
Oth¢T f¢cs paid to examiners
Trustees remunerktion and eX￿se3
Lcgal fees
Tre85ureVs fees
C(kSt of trustees, meeiin8S gnd AGM
2,805
701
675
175
3,945
180
2.805
701
675
17S
3,945
180
8,481
8,481
9 Net IneominEloui%oln% Mourtts
Net incoming resources for ihe year include..
2022
2021
Deprecialion of fixed &￿ets
2.609
2,463
10 Trustees remuneratlon gnd ¢xpetyse5
Durin8 the year the charity made the followin8 Ir•tiu¢tions with ttuste¢s".
T Blackm'ell
£4712021.. £Nil) of expenses were reimbursed to T Bla¢kw¢ll during the year.
B Harfley
B Hanle) re¢eived Examiner ftt%qtJstructor TTrÈning T￿(Or costs of £682 (2021.. £Nill and £492 (2021.. £Nil) of
experts¢s were reirnbursed to B Hartley during th¢ year.
G Hl¢ks
£bTjl12021.. £162) of expenses were reirnbursed to G Hicks thiring th¢ yeor.
P Clai'ton
£283 (2021.. £216) of exp¢ns¢$ were reimbursed io P Clayton during the year.
P 18heTh'ood
P 15h¢rFlo￿ received Examiner feesllnstsvd(* Trninin8 Tutor costs of £392 (2021.. £2.188) and £45 {2021..
£Nil) of wen5es were reimbursed to P tshemod durin8 the year.
A Loudon
A Loudon received Examiner fe￿r￿ty￿0r Trnining Tuior costs of £11,926 12021.. £3,530) and £Nil (2021..
£Nil) of ex￿n5¢S were reimbursed to A Loudon thiring the year.
J Taylor
£155 (2021.. £79) of expenses were ￿1Mb￿sed to J TayloT during the Jear.
L Noble
L Noble received Examiticr fee511nstructor Training TutOT costs of £361 12021.. £Nil} and £189 (2021.. £89) of
expenses were reimbursed to L N'obl¢ during the year.
T Wr*gg
T Iwragg rtteiited Examiner fe&ln5truc(or Training Tutor costs of £Nil (2021: £250) during the year.
Pag¢ 22

Dry Stone Walling Association of Great Britain
Note5 to the FthYdn¢fial StatcmeDI8 for the Year Ended 31 August 2022
C Noble
C Noble received Examiner fees/lnsknJetor Tnining Tu￿r costs of £989 (2021.. £603) arsd £81 (2021.. £89) of
expenses were reimbursed to C Noble during the year.
R Sto¢kAII
£Nil12021.. £2l8) of expense5 were re1t1th￿ to R Stockall during the ycar.
P KArkup
£8212021.. £Nil) of expensts w¢re r¢imbw5ed io P Kirkup thiring th¢ y¢4r.
Eyat
E Yales re¢e&ved Examiner feeslInstructor Trnining Tutwcosis of £1.78412021: £Nil) thiring the year.
No Iruste¢5 have received any other benefits from the charity during the year.
The ireasurer. %>ho is not forrnally 4 tru5tr¢, is a fre¢lanc¢ conwltanl ynd r¢¢¢iv¢d £3,069 for ￿ting as treasurer
and £9.338 for the role of freelance Trdining & Educa(ion CIM)rdinaior and &ssi5wIG¢ on r¢5tricted projects.
I I St*ff eosts
The aggregate payrnll costs were as follows:
2022
2021
Si%ff coJts durlng th¢ year were:
Ih'age5 and salaries
Freelance
48,426
6.815
29,731
8,143
55,241
37.874
Thc monthty avcrdgc number of persons (incbJdin8 $¢nior mana8¢m¢ni I leadership It￿￿) employ¢d by the
charil). during the year express¢d as full lime eqwvalents was as follows..
2022
2021
No
Administration
PToje¢( Costs
No employee received emoluments of more thgn £*50,IXK) during the year
The ￿tal employee benefits of the kry management personnel of the charity were £20,466 (2021- £23.169).
A2 T#i*ilon
The charity is a r¢gi5t¢red charity and 15 thereth cxernpt from tsxatiiJD.
Page 23

Dry Stone WAlling Association of Great Britain
Noles to the Financial Statements for the Year Ended 31 August 2022
13 Tanglble nxed assets
Furniture ind
equlpmcnl
Ttyt41
Cost
At I Sept¢rnE¢r 2021
31.666
31,666
At 31 Augus12022
31.666
31.666
Depreclailon
Ar I Sepiernber 2021
Charge for the year
AI 31 Au8U5t 2022
14,245
2,609
14245
2,609
16,854
16.854
Net boolL valye
Ai 31 August 2022
14.812
14,812
Al 31 August 2021
17,421
14 Stock
2022
2021
Finished goods
17,755
15 Debtors
2022
2021
Trad¢ debtors
Prepayynents
859
188
3,071
1,047
16 Branch bAnk #ceounts
2022
2021
Balances held bv branthes thac are not readily available to the PArent
charity
174075
155433
Pagc 24

Dry Stone WAlling Association of Great Britain
Notes to the Financial Statements for the Year Ended 31 August 2022
17 Crediiorn: omounts falllDg dye wlthln one y￿r
2022
21)21
Trade creditors
Other i&xation And s(Kial security
A¢¢rnals
741
544
13,192
S.733
312
2,240
14.477
8.285
18 FuDdJ
Balance at I
September
2021
IncoTnlni
r¢fyour¢
Re￿Ur£
¢xp¢nded
3] August
2022
Transfers
UnrestrScted hJndJ
Genernl
G¢ner411 ynr¢5tricied funds
160,865
140.882
(119.715)
17,840
199,872
Deslgnoled
Awards fijnd
Operatin8 reserve
Developmeni olfiur
5,000
70,0(K)
4.103
5,000
70.000
79,103
(4,103
75.000
Total unreitrlcted lundi
239,968
140.882
(123,818
17,840
274,872
Rejtrlcted funds
Specific donations and
sponsorship for prin(in8
Arcbive project
Legacy for dry, stotte wallin8
in the Durham orea
Pendle Hill
PCF Stepping Stones 2019
DEFRA Green Recovery
Challenge Fund l Rural
Skills Hub)
563
(563)
2W
(200)
40,088
4.756
8.363
40,088
5,410
4,034
7.792
(7,138)
(4,329)
48,904
35.236
13,668
Tot81 restrlcted fundj
102.311
8,355
(47.266)
(200)
63,200
Brnneh funds
PernMneRI
Brall¢b fimds
155.876
91.805
(55.523
17,640
174,518
Total fvllds
498,155
226.60
512,590
Page 25

Dry Stone Walling Association of GreAt Britain
Notes to the Financial Statements for the Year Ellded 31 Augus12022
Bal•nce at I
Septernber
2020
Balance at
31 August
2021
IDcominz
resollr¢es
Rttources
exptthded
Tramsftn
Unr¢strltted f￿ndS
Gemeral
Gener8J unrestricted fimd5
117,585
117.893
1104,307)
29,694
160,865
Deslznaied
AwaTds fimd
0￿raCing reserve
Deit¢lopm¢ni officeT
5.000
70.000
4.103
70.CK(J
4.103
79.103
79,103
Tot*1 unrutTlCted funds
196.688
117,893
104,307
29,694
239,968
Restrl¢t¢d
Archive project
Le8ac)' for dry s¢one walling
in the Durham area
Pendle Hill
PCF Steppin8 Sloncs 2019
HLF Emer8ency Fund
DEFRA Greln Recovery
Challenge Fund { Rural
Skj'lls H¥b)
200
200
40.088
9.658
4,345
40,088
4,756
8.363
532
10,0
38,6fy)
{5.434)
(5,982)
(11,136)
(27,464)
49.850
946
48.904
TolAI rtsiricted funds
54.291
98.982
(23,498)
(27,464)
102,31
BroD¢h
Br&nch fimds
137.003
41,738
2.230
155,876
Total fun(ts
387 982
279,716
169,543
498,155
Page 26

Dry Stone Walling Association of Great Britaln
4ote$ to the Financial Statements for the Year EDded 31 August 2022
The spe¢ifi¢ PUTP0S¢5 for whith the fund$ ore to b¢ applied ar¢ &8 follows:
The National Lollery Heritsge Fund Emergency Grant WHS Used Specifically on measures to support the
Association to deal wilh the pandemic crisi5. The A$S￿latiOn pw¢lwed PPE and equipmen( io enable Br￿]ch
and National training Courses and Test Days to resume under Covid-19 protocols. The remainder of the Grant
W7s used to support central overhead COSLS during the kxriod where there was no income (Tom trdinin8 and test
days.
The D¢fra Green Recovery Chailen8c Fund is u5¢d 501ety io fjjnd th¢ Rurnl Skills Hub project which is
deliVe￿d ￿ ¥ parlner5hip between ihe Dry Stone Walling AsyKiation and the National Hed8elaying Society,
The project brithgs tO8eiher all the expertise of the Naiional Hedgelaying Sociery and the Dry Stone Walling
A£s￿latIOn to forn) a Rural Skills Hub offering a central poini foT 8dvice, sUPPOrt, fund¢d ¢r4ining and
signposting to info￿all011 sources. It has provided funding for young people towards training and qualifi¢ations
in dry stone walling and hed8elayin8 and fijnded c¢Jmmunity en888ement events to prom¢X¢ the benefits of
tradiuonal boundaries. The project wlll be comple¢¢d in March 2023.
The P¢ndl¢ Hill Lands¢ap¢ Partnership Pffoje¢t in¢ludes on el¢m¢nt of training for dry 5wn¢ walling and
hedgelayin& which is managed by the Dry Sione Walling A&8ociation. Training courses have been offered (o
rdn8e of people that would bcnefii from these skills. including trdinces, famiLrs. contractors and vulunlcLrs.
Funding for this work has been made available direcily ¢0 DSWA as pan of a grani from the National Lottery
Heritage Fund Pendl¢ Hill L•nds¢¥pe Panner5hip. The grant finances are managed by Lancashire County
Council for the Pendle Hill Landscape Partnership.
The PCF Steppin8 Stone5 Projeci has been completed and the Prince's Countryside Fund has agreed that thc
remainin8 8fdn¢ should be used to providc dr). Stone wallin8 trainin8 to yOUll8 people would siruggle to
finance iheir own trainin8 and qualifications.
The legacy was received from a lady who DJi8raied io Australia in the 19505, having been brought up in
tMrham. Th¢ fijnds ar¢ io b¢ used for dry SfLme walling in the Durhwn 8r¢a. Th¢ As$o¢i4uon 1$ ¢onsldering how
to achieve maximurn b¢nefii with th¢s¢ funds and ¢ompty with th¢ 1¢8a¢y. There is no time limii on using (he
legacy.
19 An*lysl$ of n¢t •Mtts b¢¢wttn
Unrestrlcted
Totsl fvnd$
Iljl
August 2022
Brxnch
rvnds
G¢￿traI
DeJl%n*ted
Restrleted
Tangibl¢ fixed assets
Current asset5
Current liabilities
14.812
199.537
14,47
14,512
512.255
14,477
75.000
63200
174.518
Total net &%se(s
199.872
63
75 000 ￿00
174 518
512 590
Pag¢ 27

Dry Ston¢ Walllng Associrdtion of Great Britain
Note8 to the FiDaD¢lal Statements for the Year Ended 31 August 2022
Unrestricted
Tot*1 funds
8t31
August 2021
Braneb
runds
G¢ner•l
Deslgn8t¢d Restrlctrd
Tangible fixed &ssets
Curr¢n( assets
Currenc liabilities
17.421
151.729
8,285
17,421
489,019
8,285
79.103
102.311
155,876
T¢Jtal net assets
160 865
102.311
155.876
498,155
Page28

Choriry registration nu[lltr￿. 289678
Dry Stone Walling Association of Great Britain
Annual KeEK)rt and Financial Slaiemenrs
for the Year F￿ded 31 A￿gUSt 2022

Dry StODe Walling A&so¢iation of Great Brilain
Contents
Reference and Administrative Detsils
Ttustees. Report
2105
Statement of Trustres, R&wort4ibiliti¢5
Independeni Examinerfs Report
Statement of Finon¢io1 Aaivities
8t09
Balance Sheet
10
N01¢5 ¢0 the Financial Ststemtnts
11 to28

Dry Stone Walling Association of Great Britain
Reference aDd Administrative Details
Trnsttt5
T Blackwell
P Clayt￿. Chair
B H¥rfl¢y
P Jsh¢rwood
P Kirkup
A Loudon
C Noble
L Noble
J Taylor
289678
ChArlty' Rt8lstr*ilon Nurnb¢r
Prlntlp*l Office
lane Fann
Crookland5
MilnthiYp¢
Cwnbria
LA7 7NH
Independent EI*mlmer
Stybl¢s Thompson & Bris¢oe
Chartered Accountants & Swutory AudI￿S
34 Lowther Strtti
Kendal
tA9 4DX
Bonk¢rJ
HSBC
331 Lord Stre
Southp)rt
PR8 INJ
Page I

Dry Slone Walling Association of Great Britain
Tr￿stee5, Report
The ￿￿%tees present the annual rewjff togetheT with the financial stat¢ittents of the charity for the year ended 31
August 2022.
ObJe¢tfve8 and *etfvltle4
Objrtts
Th¢ obj¢¢ts of the charity are kn thance eth￿10n in th¢ ¢TJft attd herityg¢ of dry stone walling for the public
benefit.
ObJec¢lves. slrnl¢8le$ ohduc¢lvirf
2022 saw the r¢rurn to a fijll programtne of tsaining eourse$ and lest days. after two y¢arn of disruption duc lo
the pandemic. Delivery of irainitig via branches and centrally generated in￿85¢d income. particularly from
the courses held ai Crooklands whith were fully booked from March io oc10￿r. There 15 a significani amouni
of pr¢-pa)'ment of course ftts geneTaied by the new online booking sysiem which could be offset against 2023.
There hgs also been a considerable increas¢ in ¢rthman Certification fees following the return of regular test
days.
Demand for trainin8 cc4irs¢$ r¢main5 styon8 with the National Training eouts¢s already fulty booked up to June
2023. Branches have reported that beginner courses have been very popular Èn 2022. A Stsndard Selling event
for DSWA Assessors was held in April 2022, wthere the Associaiion launched the tnternal I￿alitY Assurance
{IQA) scheme. Many of the assessors hAve su¢¢essfvlly compleied an IQA assc55mcnl in 2022. A Lantra Audit
of the Craft Ctrtiflcation Stheme (CCS) c•rri¢d C￿ in September 2021 and DSWA found io meet all
Lantrd Tequiremet)ts.
Branrh fiJnd5 remain buoyant and • nutDber of branch&s have trwf¢rred surplus fi￿d5 lo central financ¢8.
These fi￿d$ have E¢eD allocated as F¢r branch requests: any gener81 tran5fer5 will help to facilitht¢ the
recruitmeni of o full timc Training & Ethicaiion Coordinator.
The Tryscee Board has coniinu¢d io hold regular mttiings throu8houi the year. Thtsttts continue lo minimise
expenditure b). embracing technology and reducing travel costs.
Subscriptions M'cre incre85¢d and there has been ¥n incr￿¢ in new members, whi¢h also led fo an increase
in the amount claimed through Gifl Aid. M¢r¢handise sales have also Increased.
Re$tri¢ted Funds projects hlive coniinued with a fijll pro8fdmme of activities under the Pendle Hill Landscape
P8rtn¢r5hip, which saw the Association involved it) the delivery of beginner courses, Initial level qualificauons,
a wallin8 week and production of a video.
ThL. Rural Skills Hub Projecl. fijnded by the Defrl Green Recovery Challen8e Fund. ha5 proved very successfijl
otTerin8 a central point for advic4 supporL fvnded tyaining and si8np05tÈn8 to infomiation sources on
tradiiional bowidary skills. The Rurnl Ski115 Hub Coordinator has becn working with the DSWA and the
National Hedgela)'ing Society to deliver grants iowards trdining in dry stone walling and hedgelaving for 20
young people looking io gain qualificatlons and accreditation in rural skills, paid work placements with
pn)fessiond dry stone waller5 and hedg¢layer5 for 5 young people looking for a Tural career and Expwien¢e
Days in trdditional boundary skills for ¢omrnuntty organiS￿l0nS.
The Association COttltnue5 to receive numcrow requests for advice and guidaft¢¢ on all aspects of the ¢rnft of
dry stone walling and Thill strive to maintsin the quality of inforn)ation available on this tradittonal ¢rafL
Publlc bÉn¢fii
The Trnsiees ¢opfJrJn thai they have complied with the rrquircrnents of section 17 of the Charities Act 201 I to
have due regard to the ￿b]I¢ benefit guidance ￿bliShed by the Charity Commi&sion for England and Wales.
Page 2

Dry Stone Walling Association of Great Brilain
Trustees, Report
Finanei¥41 review
The charify s income decre&sed from £279.716 in 202110 £241,042 in 2022, however rnost of the increase last
year Telared to restricted ￿nds which were used in the currcni year. Expenditure increased from £169,543 in
2021 to £226,607 refl￿ting the5¢ restrided projects. Overall clwity fvnds increased by £14.435 in th¢ year of
which £34,904 relatrd to ut]restricted fimds iticrtL%iDg tcstTV￿ to £512,590.
Poucy on reserws
Under the requir¢m¢nt5 of ¢h¥ity jaw, the Trus(ees are obliged io defu)e the charity's poliry for holding
resetves. The intention in estsblishing thi5 R¢scrvu Policy is to ensure the continuation of the charity's
iivities. The policy will enable the charity io meei its1¢8al objcclives. prrjvide confidence to dortors seektng io
giv¢ f￿ancial 5UPEXlrt to a prudeni]y controlled charity and to ¢D5ur¢ that the reserves are at a level Su￿le1cnI to
discharge all th¢ ¢lwitys oblig¥¢ions in the even( that il should cease its operations.
Thi5 15 not considered to be likety in the fores¢e•ble ffijwre. and therefore the reserves which the thiriry 15
required (o mainiain are those needed 10 fund ongoin8 monthly cosls and future developmen(. To this end, the
Trus￿eS have decided that the charity should seek w have reserves which are not invesied in fixcd assets of a
sum equal io no Tnore than 12 months ¥eneral TunDing costs and £70,000 has b¢¢n designated for this pu7po.sc. A
l&rge proportion of the ¢haritY$ re$¢rv¢s are held ￿ bank accounts.
The f￿￿CIal slat¢m¢nts detsil the movem¢ni in reserves during the yar.
Trngte¢s orncers
The Nstee$ athd offirers servtn8 durin8 the year and sin¢¢ the year end were &5 foUow3'.
Tru5teu.'
T Bl*ckwcll
P cl￿￿￿. Chair, Chllir
B Hartley
P Isherwood
P KiTkup (appointed 12 March 2022)
A Loudom
C Noble
LNobl¢
J Taylor
E Yat¢s a150 served as a trnstee in the y¢or #nd resigned on 18 Juty 2022.
Stru¢¢ur¢• governance and mxnxgtmeut
The uninwrporated charity. is conSti￿ted under a ¢wsi deed dated 1968 with subsequent revisions, the most
c¢nt being. dated 4 June 2016 and ratifled at the Annual General M¢¢ting on 4 March 2017. The registered
charity number is 289678.
Page 3

Dry Stone Walling Assoei2tion of Great Britain
Trustees, Report
The Association has a Board of Tru5tecs, consisting ofup to12 elected mernbers, ￿th0 hold offLC¢ for a period of
three }'ears. Retiring 'frusiees are eligible for re-election for further ternjs of office. The Chairman is elected by
the Ttusiees follow'ing the Annual Gtnernl Meetin8. Nominati(ms for the election of Tnjstees are invited
4nnually from the mernbership.
Induc￿0￿ ￿dIMIn￿R olfftisie
The Tru5tee5 provid¢ WTiuen confumation that they understand the duues and responsibilities of their
steeship. They concern themsclve5 with every aspe¢t of the DWLagemenl of the charity and are fillly aware of
their onerr￿S responsibilities.
The Truste¢s receive and upon regular frt¢ Jdvi¢¢ issued by the Ch•rity Commi5510rL
Airangememtsforsettthz key ￿￿17￿¢￿¢￿1pepSOnneI renwMeTorf•n
Key management ¢omwises Alison Shaw &% ffijll iimr officc admini5tratt¥. The Trus￿5 set remuneraiion for all
8taff ai the September Trustee Board medin8 each year. to thke effect from the October of thal year.
Relatlonshlps wlth related partles
Branch assotl#tlonJ
The Dry Stone W811in8 AssociatioAJ currently hJ5 fifte¢n tryiches in En8iand and Wales and four bran¢h¢s in
Scoilwml.
Mojor rtsky andmlnaxemeni ofthose rtsks
Risk Managemeni
Thc rTUSt¢￿ have reviewed the major risks which th¢ ¢h•rity faw and believe thal mainthtniny reserves at
¢urreni lev¢15, ¢ombincd with an annual r¢view of th¢ controi5 over key financial 5yStems. will provi¢k
sutTicient r¢sour¢e$ in the event of adverse conditions. The Tru$t¢¢s hav¢ also ¢xJmined other operational and
business risks faced by the ¢h#rity and continue to esthblish systrms to mitigat¢ 8ny significpnt risk.
Flnanclil Instruments
ObJécllv*s andpvll¢14S
The Chariry's activiti¢5 expose it lo a number of financial risks in¢luding rr¢th't risk, flow risk pmd liquidity
risk. The charity does no¢ use derivative financial instruments.
Credll rLsk"
The Charity's principal fmancial assets bank balances and c&th. trade and other teccivables, on O￿a510n
short tern] inv&stments.
The Chariw hos no signific8n¢ ¢on¢entration of credit risK with expasure spread over a Iwg¢ number of
counterparties and c￿merS.
Llquldlty rl¥k
In order to main¢ain liquidity to ensure that Sufficie￿ funth are avtiiiable ￿ ongoing operation5 and future
develo￿eThts, the Charity rnainiains a rea%onabl¢ kvel of fi￿d$ in tn51ant access bank accounts.
.Further detsils regarding liquidity risk be found ID the Statement of accoun(ing policies in the fmancial
statement5.
Pag¢ 4

Dry Stone Walling Association of Great Britain
Trustecs, Report
The annual report wa5 approved by the tNstees of th¢ charity on 17 Dtccmb¢r 2022 and signed on their bchalf
Board Chainnan
ndTn
Pag¢ 5

Dry Slone Walling Assoeiation of Greal Britain
Statement of Trnstees, Responsibilities
The trnstees are resp)nsible for preparing the tnjstees. report and the finaD¢ial $tatrments in accordance with the
United Kingdom Accounting Stsndards (United Kingdom Generaliy Acceptrd Accounting Practic¢) and
ar4)licAble law and regulations.
The law applicable to charitie5 requires the tN5tees to preyare financial ststrments for each financial year which
give a trye and fair view ol the state of affairs of the charity and of the inccéning resour¢¢s and applicalion of
r¢source5 of the charty for that period. In preparin8 these fmancial stsf¢m¢nty the Intsic£s are required to..
selrxt 5uiiabl¢ accounting policies and then appty them coLs1￿cn￿y.
obsetrye the methods and principles in the Charitse5 SORP;
make judgements and estimates that are reasonable and Frudent.
State whether applicable accounling sLandar(L4' have b¢¢n followel subject to any mal¢rial (kpartures
di5c105ed and cxplained in the financial statements. and
prepare ihe fthaneial $u(tments on the going ¢oneern basis unless it is inappropriate to preswne that the
charity will continue im business.
The trusrees are r¢5ponsibl¢ for keeping prcyer a¢¢wntin8 records that disclose with reason￿le accuracy ar any
lime the financial position of the chariry and ellable them to ensu￿ thai the fjnancial st8t¢ments ¢omply with the
Charities Act 2011. the applicable Charities (Accounts and Reports) Re8ulauons. and the provisions of the
¢onsliDJtion. The ¢n￿leeS are also r&8ponsible for safeguardin8 the assets of the ¢harity and hence for tsking
reasonable steps for the prevention and detrclion of fraud and other irre8u]arilies.
Approved by the iDJstees of the charity on 17 December 2022 5ignwJ on their beh￿r by..
BoaTd C
n and TTU$tee
Pa8c 6

Dry Stone Walling Association of Greai Britaln
Independent ExamiDer's Report to the trustees of Dry StODe Walling Association of
Great Britain
I report to the tr[￿¢$ on my examin￿10￿ of the accounts of thy Slon¢ Walling Association of Gre4t Bri￿Ill for
the year ended 31 August 2022.
Rupo•sibilities And basls of report
As the charity trustees of Dry St￿¢ Wallin8 Association of Gre4t Britain you are resN)nsible for the preparation
of the accounts in accordance with th¢ requirements of the Ch¥rities Act 2011 ('the Act,).
I report in respecl of my cxarnination of the thy Stonc Walling A￿oCIatIOn ofGreai Britain's accowits catTied
out un(kr S¢CLion 145 of the 2011 Act pnd in carrying out my examination I have followed all the applicable
Direction5 Blven by the Charity Commission undeT S¢¢tion 145(5Xb) of the AtL
Independent ex*mlner's stAleffjent
I have compl¢¢ed my examination. I confwm that no material matters have come to my ai¢¢ntion in conneclion
wtth th¢ examinaiion 8iving me ¢4us¢ io believe that in any material respect..
ccounling r¢¢ords were not kepl in re5pr¢i of thy Sione Walling Association of Great Britain as required
by 5cciion 130 of the Aci. or
2. the accounts do nol aciord with those records: or
3. the accounts do noi compty with th¢ O¢¢fAintin8 requirements ¢on¢eminB the forni und conteni of a¢counts
set out in the Charities (A¢¢ounL8 and Reports) Regu14ti¢)ns 2008 other than any r¢quirement thai the
account5 give a 'Due and fair view, which 1$ not a matter considered as part of an indep¢Dd¢nl
exatninafion.
I have no concems and have u)me ?¢ross no other matteTS in connection with the examination to which attention
should be drawn in this report in order io enable a proper un(kTStandirtg of the accounts to be reached.
Helen Holme5
ICAEW
Siables Thomp50n & Briscoe
Chartered AccountHnL5 & Statutory Audilors
34 Lowther Street
Kendal
LA9 4DX
Datc..
Page 7

Dry Stone Walling A580¢i*tion of Grcat Britain
Statement of Financial Activities for the Year Ended 31 August 2022
Unrestritied
funds
R¢strlttrd
fvnds
Branth
funds
Tot81
2022
Note
Ineorne and Endowments from:
Donaiions and le8aci&s
Chariiable activities
Other Iradin8 ac(ivities
Investsnent income
Oth¢T income
74,098
58,618
8.166
563
7.792
4,262
84,321
1,598
36
1,588
78.923
150.731
9,764
36
I,S88
Totsl IncoTne
140.882
8.355
241042
Expe*dlture on:
Chariwble a¢tiviiie8
123818
55.523
226.607
Total Expenditure
123,818
47,26
55.523
226.607
incom&'(expenditure)
GTOSS transfers beN'een OJnds
17.064
(38.911)
200
36,282
14,435
18
Net movement in fjJnds
34.sNM
(39.111)
18,642
14,435
Reconelll*tlon offvnds
Total ffijnds brought forward
239 968
102 311
155 876
498 155
Total funds carried foNard
63
274 872 ￿00
174518
512 590
Braneh fjJnds ar¢ separated in the accounts as they are not readily •cets5ible by the ¢¢ntral office, being under
the control of the r¢l¢vani br￿ch ccrfnmittee.
The notes on pages I I to 28 forn) an integral pon of th¢5e financial statements.
Page 8

Dry Stone Walling Association of Great Britain
Statement of Fin2neial Aetivities for the Year Ended 31 August 2022
Testrl¢ted
ds
Re5trleted
fund5
Branch
funds
Tolal
2021
Comparatlves
Ineome And Endowments from:
Donation5 and legacies
Charitablt a¢iivities
Other trading aaivities
Investment income
O¢h¢r income
12211
45.670
1,536
84,111
180,211
11,970
15
35,559
10,434
98.982
3.409
Total Ittcomt
117893
279716
Expendliure
ch￿itable activities
169543
Total Ex￿ndI￿re
(104.307
41,738
169,543
Net irtcome
Gros$ transfers fund5
13.586
75.484
21.103
110.173
Net movemeni ith
43,280
48.020
18.873
110.173
R¢conclllwilun of funds
Total funds brou8ht fonward
Total fjJnds earri¢d fon¥*d
196 688
387 982
239 968
102 311
155876
498 155
The fvnds breakdown for the curreni yw and 2021 is shown in Dote 18.
The noi¢s on page5 1 I to 28 forni an integral part of these financial stsiements.
Page 9

Dry Stone Walling Association of GreAt Britain
(R¢gislr*tion nunbber: 289678)
Balanee Sheet ￿ at 31 August 2022
2Q22
2021
Filed assets
Tangible assets
13
14.812
17.421
Current i&qets
Stocks
Debtors
Branch bank accounts
Casb at bank and in hand
14
15
16
16,045
1.047
174.075
321.088
17,755
3,071
155,433
312,760
512,255
489,019
Credl¢oYs: Amount$ falling due wlthln ODt yur
Net £urrenl assets
17
14,477
11.285
497.778
480.734
Net 8SS¢ts
19
512,590
498 155
Funds of the ¢h•rity:
Branch funds
174,518
155,876
Restrlctrd
63.200
102.311
Unrutrlcted
274.872
239,968
Toi41 fuThd8
18
512590
498,155
The financial staiements on pages 8 10 28 w¢re approved by the U￿ste£S. and authorised for i%ue on 17
De¢ember 2022 and $i￿ta on their behalf by..
Llayto
Ilian and Trustee
Th¢ notes on pag¢s I I to 28 fonn aD intrgrdl part olthese fman¢ial Slatements.
Page 10

Dry Stone Walling A&qoeRgtion of.Great Britain
Notes to the Finantial Ststem¢nts for the Year Ended 31 August 2022
l A¢¢ountlng polici
Stat¢m¢nt of compliance
The f￿ancial statements have been prepared in acc4)rdance with Accounting and Reportirtg by Charities..
Staiemenl of Recommended Practice applicable ￿ charilies prcparing their accounts in accordance with the
Financial Rerrfjrting S(andard applicable in the UK and Republic of Ireland (FRS 102) (¢ffectlV2 1 January
2019) - (Charities SORP (FRS 102)), the Financial ReFKJrting Stwndard applicablc TD th¢ UK and Republic of
Ircland {FRS 102) and the ChaTities Aci 2011.
Baili of prep*rntlo•
Dry Stone Walling Association of Great Britain is an unincoTPrted charity registered in England and Wal¢s.
The address of the regiS￿red offitt is given on the eh8rity Inform￿lOn page of these fthortei81 statements. The
naDJre of the charity's operntions gnd principal a¢tiviues ar¢ ￿ adv)n¢¢ ¢du¢8¢ion in the ¢ran and h¢rithg¢ of
dry stone walling.
Dry Stone W811in8 Association of Great Britsin meets the definition of a public benefii entity under FRS 102.
Assets and li8bilitie5 are ini¢ialty recognised ai hi5wrical cos¢ or tran￿110￿ value un1¢55 oth¢rwis¢ s¢it¢d in the
relevant accounting policy notes.
Tht a¢¢ourtts are presertted in SieTling which 15 the functional currency of the chariry and rounded to the neareyt
Exempllon from pr¢p*rlth% 4 c*sh now s¢atemenl
Tlie Lhdfiiy qUdlifi¥s smdll and therefore noi included a cash flow sthtement in these financial $totcmenLS.
Golng eoneern
The tswst¢es ¢ottsider that there are no ￿￿terial uncertatnties abo￿ the tharity's ability to continue Hs a 80in8
¢ontern.
Income #nd endowments
Voluntary incom¢ including donations, gift& legacies grants thai provide core fvnding or are of a general
naDJre 15 recognlsed when the charity ¢ntitlem¢nt to th¢ incom¢, it 15 probablc th8t th¢ income will be
received and the amount catt bc musured with sutricienl r¢liabilitv.
Donotlon.f le¥4cles
Donations and legaci&q are recognised on g r¢c¢ivable tosis when re¢eiy is probable and the am￿nI ¢an be
reliably rneDsured.
GT4nts recehyable
Grat]ts are recognised when the ¢E￿Ity att ¢lltit1e[n￿t to the fiJtLds attd arty ¢onditions link¢d to th¢ gratsts
have been met. Ivhere perfomiance conditit)n5 ar¢ atta¢h¢d io the grdnt alld ar¢ y¢t to Ix meL the iucomc is
recogni5￿ &5 a liability pnd in¢lud¢d on the balance Sheet a5 deferred income to be r¢l¢a5ed.
Pagell

Dry Stone WAlling Association of Great Britvdln
Notes to the Financial St*t¢m¢nts for the Year Ended 31 August 2022
Gifts k￿d
Gifts in kind donated for resale are included at fair value. being the exp¢¢t¢d prcK¢eds from sale less the
txpectrd costs of sale. Where estimating the fair valu¢ 15 pfdclicable upon receipt it is recognised in 5wck and
'Income from other trading aclivities,. bpon sal¢. th¢ value of the si(Ick is charged againsi 'lncome from other
trading activities, and the proceeds are recognised as 'lncome frorn oiber tradillg activities,. Where it is
impracticable io fair value the items due lo the volume of low value items they are not reeognised in the
f￿￿nCIal stalements UtLtiI they ar¢ sold. This income is recogrtised within 'lncome from oth¢r tradinB a¢tiviti¢5'.
Donul¢d services 4ndfq¢UIrf
Donited faciliiies and donated professional service5 are recogni5ed in iDCOrn¢ at their fair v8lue when their
economic benefit is probable. li can be measured reliably and the chartty has wDtroI over the it¢m. Fair value is
detemiined on the basis of the va]ue of the gift to the charity. For ¢xmpl¢ th¢ wnouni the charity would be
willing to pay in the open markei for such fa¢ilities and seTVittS. A ¢(YT¢spottding 4mouni is r¢¢ognised in
expenditure.
Eipenditure
All expendiwre 15 Tecognised once there is a le8al or constructive obligalion to thai expendillire, it is probable
settlem￿1 is required and the arn(￿nt can b¢ rn¢asured reli•bty. All tosts #re Allocattd to the Applicabl¢
¢xpcnditure hcading thot a88re8atr similar ¢osts th thal cate80ry. Where costs cannot bc direcily atlributcd (o
purti¢ular hcadift8& ihry havc bccn allocaicd on a bLsi5 consisteni with the use of resources. with central staff
costs allocaied on the basis of (ime spen(. and depreciaiion char8es allocaied on the portion of the asset's Use.
Other suppon costs are allocaied based on the 5Prtad of stsff costs.
Charlioble rtcllvliles
Charitable expendi¢ure comprises those costs incurred ty the charity in the delivery of its activities and services
for ils beneficiaries. It includes both costs that can be allocated direcily lo such activities and ihose costs ol. a
indircct nature n¢c¢ssary to 5UPPOrt them.
GrttAlprovtsloHs
Provisions for Brants are madc when the intention lo a 8raDi h&$ been communica*d io the recipient but
there is wicertainty alMJUt either the timin8 of the 8rant or the amount of grant payable.
Gov¢rTrAn¢e £oJtJ
These in¢lude the cosi$ ottritrMJtabl¢ to the charity'$ complian¢e with ￿nStitU110naj and statutory r¢quiremenus.
including audit. Slrategic management and trustees's medings and reimbursed expenses.
GoverTrThent grsnts
Government granis are rttognised based on the acCn￿l model and are measured at the fair value of the asset
received or receivable. Grdnts are classified as relating either io revenue or to assets. Grants relating to revenue
are reco8nised in income over the period in which the relatrd costs are recognised. Granls relating io assets are
reco8nised 0￿er rhe expected useful life of the &ssd. Where part of a grant relating to an asset is deferred, it is
recogniscd as deferred income.
Page 12

Dry Stone Walling Association of Great Britain
Notes to the Financial Statements for the Year Ended 31 August 2022
T*I¥tio
The charity 15 Considered to pass the le5ts Set oui in Paragraph I Sehedule 6 of the Finance Act 2010 and
therefore it meets the deflnition of a charitsblc company for UK corpord(ion tsx purposes. Accordingly. the
¢hariry is pot¢niially ¢x¢mpt from laxation in Tesp¢¢i of inc(*n¢ or upitsl gain5 received M'ithin categories
eovered by Chapter 3 Part I l of the Corpcrdiion Tax Act 2010 or Stetitsn 256 of th¢ Taxaiion of Ch)rg¢able
Gains Aci 1992. 10 the exieni ihai such income or gains are applied exclusively to charitsble purposes.
Tangiblt flied d55ets
Indivithsal fixed assets costing £250.00 or more are initialty recorded Al ¢OSL
Depreclatlon amortlsatlDn
Depreciarion is provided on tsngibl¢ fixed assets so a5 lo WT1￿ off the cost or valuation. less any estimated
residual value. over their expected us¢thl t￿￿<￿￿1¢ lif¢ as follows:
Asset clam
Fixtures. fittin85 aDd equikYnen¢
Deprtelatlon mtlhod ibd rate
150/0 reducing balance
Reg¢ar¢h and development
Research and development expenditure is wrilten off a5 incuTTed.
Currttnt Amet Invutments
Current &sset inwes(rne#ts Ire included at the lower of and net realisablt value / markel vBlue.
Stock
Stocks are ￿ated at the lower of cost and Csiimated selling pric¢ less costs th ¢omplete and sell. Cos¢ in¢lude$ all
¢osts of pur¢hase, costs of conversion and other costs inruTr¢d in bringing stock to its present loca(ion and
condition. Cos¢ 1$ ¢al¢ulat¢d usin8 the fllsi-in, fllsi•OUt fomLuIL Provision is made for damaged. obsol¢tt and
slow-moving siock where appropriate.
Tr4de debtDrs
Debiors and creditors with tto ststed interest ratr and receivable or pyabl¢ within one year are recorded ai
Iransaction price. Any losses Irising from impainneDt are recognised in expenditure.
CAih and cash ¢qulYalents
Cash and cash equivalents wmpri5e cash OD lland and call d¢posits, and (rther short-term highly liquid
investments thal are readily ¢onv¢rtible to a known amount of ¢ash Jnd are subject to an insignifican¢ risk of
change in valvc.
Page 13

Dry Stone WYdlliDg Association of Great Britain
Noles to the Financial Stalements for the Year Ended 31 August 2022
Trade crtdito
Trade creditors are obliEaiions to pay for g¢xxls or services tbat bave been acquired in the ordtnary course of
busiDess from suppliers. Accounts payable are classified as current liabilities if the chariry does Thot have an
unconditional right, ai the end of the reportillg p¢ri(M4, to defer settlement of the credilor for at least twelv¢
months after the rcFK)rtin8 date. If there is an uncondickonal right to defeT settlement for at IcLSt twelve months
after the reN)rting date. they are presented &s nort￿Urrent liabilitlC5.
Trnde ¢reditOTS are re¢tsgnised initially ai the tyan5action price and subsequently Measur￿ at amortised c05t
using ihe effective inlcrttst method.
Fund structure
Unrestricted income funds are genezal funds that are available for use at the tn￿tte5'S discretion in furtherance
of Lhc objectives of the charity.
Restri¢t¢d in¢ome funds are those don&ed for use in a particular area or for specific purposes, th¢ us¢ of whi¢h
is restricted io thai area or purpe6¢.
Branch fijnds are separated in th¢ a¢¢oun¢s &% thcy •Te readily llcce5s&ble by the central office and ar¢
ontrolled by the knnch committtts.
Fltt4n¢l#l Injtruments
CloK%lflcrtrfon
Finoncial Lssets and financial liabilities are reco&ni&ed th8 charity become5 a party to the contractual
provisions of the instnJTnent.
Financial liabilitie5 and equity in5trnmeDiS are classified according io the substance of th¢ contractual
arraiigements eniercd into. An cquity LfistrLim¢nl is any contyath thai evidences a residual inLerest in thc ￿￿ets of
the charits, after deducting all vf i(5 liabiliti¢s.
Rtcognlrtoll
All fU￿n¢18] assets and liabilities ￿e initially mea5ur¢d at (Tansllction wice (including rr8nsa¢tion ¢osts). excepl
for those f￿ancial assets classified as * fair value through profit or loss. which are initially m¢4sur¢d at fair
value (which is norn]alty the transacuon price excludin8 trdnsaction costs). unless the arng¢ment ¢on$iilu¢es a
financing tran5aclion. If an arrdn8em#i¢ con5ti¢utes a financin8 Msaciion. the financial &sset or financial
liabili¢y is measured at the preseni v&lue of the future pwents discoun*d at a Ma￿et rnte of interest for a
sirnilar debt iDstnJmenL
Financial assets and liabilities are only offset in the sfaiernenl of financial position when. and only whett there
¢xi$¢5 a legally enforceable right io sei off the reco8ni5ed amounts and the charity in*nds either to settle on
net t05is, or lo realise the a￿£¢ and s¢ttl¢ the lithility sltnultaneo￿ty.
Financial assets are derecognised when and onty when a) the contracDJal rights to the cash flow5 from Ihe
financial asset expire or are settled, b) the tharity transfers io another party substantially ail of the risks and
rewards of ownersbip of the fllun¢ial asseL or c) the chariry.. despite having rethined Some. but not all,
signifiLant risks and rewards of ownership, has transferred control of the asset io another parts.
Finattcial liabiliues are derecognised onty when the obligation specified in the contract is discharged, cancelled
or expires.
Page 14

Dry Stone Walling Association of Gr¢at Britain
Notes to the Financial Stydtemellls for the Year Ended 31 August 2022
2 Income from doDatiotsJ Mnd leiades
Unrestricted
Restrieted
d$
Branch funds
Total
2022
Gtneral
Donalions and le8acies'
Donation5
Gift aid reclaimed
rants, includin8 capital grants.
Grants from other charities
Granis received by branches
Branch Syb%ripiions
Subscriptions
1,758
9,083
500
3.065
5.323
9,083
63
63
1,242
(45)
63,257
78.923
1.242
(4S)
63.257
74.098
563
4,262
Unrutricttd
funds
Gelleral
Br¥Jneh fundi
Tothl
2021
Donations and le8acies;
Donations
Clift aid reclaimed
Grants, including capiral grants.
Government 8fdnts
Grants received by branches
Branch Substripiions
Subscriptions
2.624
7.093
2,912
5,536
7,093
5.717
5,717
9,244
55
56,466
9,244
55
71.900
12.211
Page 15

Dry Stone Walling AssociatioD of Great Britain
otes to the Financial Statements for the Year Ended 31 August 2022
3 Intome from cbarltable getivilie
Unrtstrie¢¢d
Restricted
f•nd#
Braneb funds
Tot
2022
General
Certification fees
Trdining
D¢monstrations
Pendle Hill
Branch projects and ¢v¢nts
32,497
26.121
32.497
106,819
400
7,792
3,223
80,698
400
7.792
3.223
58.618
7,792
84.321
150,731
UTrrestrleted
rund5
GeTrerAI
Restrleted
rund%
Branch funds
To141
2(121
PCF S(epping Ston¢$ 2019
Certifi¢ation fees
Trninln8
DemonstraiioD
Pertdl¢ Hill
HLF Em¢rg¢ncy Fund
Brdnch projects and events
HLF Green Recovery Challenge
10.000
10,900
20,654
58,276
250
532
38,600
1,149
20,654
14,CQS
44.271
250
532
38.600
1.149
35.559
180 211
Page 16

Dry Stone Walling A$so¢igtion of Great Britain
otes to tbe Finanelal Statements for the Y¢8r Ended 31 August 2022
4 Tllcome from other trading activitie5
Unrestricted
funds
General
Br**eh lunds
Perm*￿¢￿*
Total
2022
Trading income.
Sales of goods and 5trvices
Lotteri¢s and competitions income
7.178
988
1,598
8.776
988
8.166
1.598
9.764
Unrestrleied
nds
General
Brnneh funds
Permanent
Total
2021
Trnding income;
Sales of good5 and 8ervi¢¢s
Lotteries and competitions illcom¢
9,376
,536
10,912
S Invutment Income
Branch funds
Perm#nent
Totxl
2022
Interes¢ re¢¢iv8ble and similar income.
Interest receivable on bank deposits
36
36
36
36
Branch funds
Pennanellt
TotAI
2021
Inieres( receivabl¢ and similar income;
tntrrest receivable on bank d¢posits
15
15
15
15
6 Other IncoThe
Branch funds
Perm#ttent
Total
2022
Other branch income
1,588
1,588
Brnneh funds
Permanent
Total
2021
Other brdnch income
3,409
Page 17

Dry Stone Walling knociation of Great Britain
Note5 to the FiDaDcial Statements for the Year EDded 31 August 2022
7 EXpethdItu￿ on eh#r￿ble *¢tlvldes
iiDrestrict¢d
ds
Gener*1
Restrieied
fvnds
BNnch fund5
P¢nngnent
Total
1022
Am'ards and demonstrations
Certification scheme
Training
Leaflets, journals and advertisin8
Purch&8es of goods for resale {adj
for siock)
Restricted project5 (see fvnds note)
Branch equipmenL advertising and
events
Branch donations
Other branch costs
Governance costs
Wage5 and salaries
Fre¢ltth¢e TEC 8nd Dev¢lopm¢ni
Retst and rates
Offi¢¢ maint¢n8tt¢¢ ond r¢pairs
In5uraDce
Stationery, ¢¢lephon¢ ond pOS￿&e
Bank chBr8es
General travel expenses
Depreciation
36
21.901
15,597
7.365
3.434
3,470
21.901
47.832
7.928
32.235
563
7.183
977
8,160
46,703
46,703
10,066
878
7.796
10,066
878
7.796
11,463
27,593
6.815
,943
2,412
2,274
6,813
2,730
221
11.463
27.593
6,815
8.943
2.412
2,274
6,813
1593
221
137
47
123.818 ￿66
226,607
P48e 18

Dry Stone Wvdlling Associallon of Great Britain
Notes to the Financial Statements for tbe Year Ended 31 August 2022
Unrestricted
runds
Cener*l
Rtstrieted
nds
BrAnclb funds
Permanent
Totsl
2021
Award5 and denionstrauons
C¢rtifi¢arion s¢heme
Training
Leaflets. jownals and a¢fvertising
Pur¢hase5 of goods for resale (adj
for stock)
Restricied projecis (see fijnds not¢)
Branch equipmen( advertisin8 and
events
11.501
7.871
4.655
11.501
22,608
4,655
14,737
5.033
2.233
7.266
23,498
23.498
14.517
298
14.517
298
BT¥nch donalions
Oth¢r branch costs
Governatt¢e Costs
Wiges and salarie5
Freelance TEC and Developmeni
Rcn¢ and rntes
Office maintenance and repairs
InsurAn¢e
S¢a¢ionery, telephone and TKJSta8e
Bank ¢harges
Genernl travel expenses
DepTCCIEltion
9.752
9.752
8,481
29,731
8,143
10,426
5,633
2,162
5,985
2,129
178
2,463
8.481
29,731
.143
10,426
5,633
2,162
5.985
2,045
178
2,463
104,307
23.498
41,738
169,543
Page 19

Dry Stone Walling Asso¢iation of Great Britain
Notes to the Financial Statements for the Year Ended 31 August 2022
Activity
yndertaken
dirtttty
Activity
iupport ¢05
2022
Awards, events and demonstrations
Certificauon scheme
Training
Le)flets. joumais and advertising
Purch&4es of good5 for resale
Restricred projects (see fvn&% no¢e)
Branch equipment. advertisin8 artd evrnts
Branch donaiion5
Other bran¢h costs
Governance ¢o$ts
Wages and salaries
Freelan¢¢ TEC and Development
Rent and rates
Offic¢ maintenAnce and reF4irs
Insuronee
Stationery., t¢l¢phone and postage
Bank charges
General irji'el ¢xpense5
D¢pr¢¢iaiion
3.470
21.901
47.832
7,928
8.160
46,703
10.066
878
7,796
3,470
21.901
47,832
7,928
8,160
46.703
10,066
878
7,796
11,463
27,593
6,815
8.943
2,412
2.274
6,813
2,730
221
2,609
11.463
27,593
6.815
8,943
2.412
2,274
6,813
2,730
221
2,609
161549
226 607
Page 20

Dry Stone Walling As$o¢ialion of Gr¢4t Britain
'ol¢s to the Fin*neial Statements for the Year End¢d 31 August 2022
Artlvlty
dert*ken
direetly
Aetivity
support C￿ts
2021
Award5, events and demonstratity
Certificauon scheme
Training
Leafleis. journals and advertising
Purcbases of 8oo¢Ls for rcsal¢
Restricted projects {see filljds notc)
Branch equipmenL advertising and events
Branch donations
OtheT branLh costs
Gov¢rn8ncc costs
Wages and salaries
Freelance TEC and DeveloFxneni
Rent and rntes
Offlce maintenance and repairs
Inswance
Staiionery. *lephone and posts8e
Bank ¢har8¢5
Gcncral travel expenses
Depre¢iaiion
117
11.501
22.608
4.655
7,266
23,498
14,517
298
9,752
8,481
29,731
8.143
10,426
5.633
2,162
5,985
2.129
178
2,463
11.501
22,608
4.655
7.266
23,498
14.517
298
9.752
8,481
29,731
.143
10,426
5,633
2,162
5,985
2,129
178
IL12 355
169 543
8 Anal)'sl$ of governancc and support twt•
Governance cosls
Unrestrieted
funds
General
Restricted
fund5
TotAI
2022
Independent examiner fees
Examination of the fituncial $wanellts
Other fees ￿ld io exarniners
TN5tee5 remuneration and ewn5es
Legal fees
Tre45urerfs fee$
C05t of tru51ees' meeiings and AGM
2,650
759
935
3,722
3.069
328
2,650
759
935
3,722
3.069
328
11,463
11,463
Page21

Dry Stone Walling knoeiation of Great Britain
Notes to tbe Financial Statements for the Year Ended 31 August 2022
Unrestrided
funds
General
Total
21121
dep¢nden¢ examiner fees
Examination of the financial *attm¢nis
Oth¢T f¢cs paid to examiners
Trustees remunerktion and eX￿se3
Lcgal fees
Tre85ureVs fees
C(kSt of trustees, meeiin8S gnd AGM
2,805
701
675
175
3,945
180
2.805
701
675
17S
3,945
180
8,481
8,481
9 Net IneominEloui%oln% Mourtts
Net incoming resources for ihe year include..
2022
2021
Deprecialion of fixed &￿ets
2.609
2,463
10 Trustees remuneratlon gnd ¢xpetyse5
Durin8 the year the charity made the followin8 Ir•tiu¢tions with ttuste¢s".
T Blackm'ell
£4712021.. £Nil) of expenses were reimbursed to T Bla¢kw¢ll during the year.
B Harfley
B Hanle) re¢eived Examiner ftt%qtJstructor TTrÈning T￿(Or costs of £682 (2021.. £Nill and £492 (2021.. £Nil) of
experts¢s were reirnbursed to B Hartley during th¢ year.
G Hl¢ks
£bTjl12021.. £162) of expenses were reirnbursed to G Hicks thiring th¢ yeor.
P Clai'ton
£283 (2021.. £216) of exp¢ns¢$ were reimbursed io P Clayton during the year.
P 18heTh'ood
P 15h¢rFlo￿ received Examiner feesllnstsvd(* Trninin8 Tutor costs of £392 (2021.. £2.188) and £45 {2021..
£Nil) of wen5es were reimbursed to P tshemod durin8 the year.
A Loudon
A Loudon received Examiner fe￿r￿ty￿0r Trnining Tuior costs of £11,926 12021.. £3,530) and £Nil (2021..
£Nil) of ex￿n5¢S were reimbursed to A Loudon thiring the year.
J Taylor
£155 (2021.. £79) of expenses were ￿1Mb￿sed to J TayloT during the Jear.
L Noble
L Noble received Examiticr fee511nstructor Training TutOT costs of £361 12021.. £Nil} and £189 (2021.. £89) of
expenses were reimbursed to L N'obl¢ during the year.
T Wr*gg
T Iwragg rtteiited Examiner fe&ln5truc(or Training Tutor costs of £Nil (2021: £250) during the year.
Pag¢ 22

Dry Stone Walling Association of Great Britain
Note5 to the FthYdn¢fial StatcmeDI8 for the Year Ended 31 August 2022
C Noble
C Noble received Examiner fees/lnsknJetor Tnining Tu￿r costs of £989 (2021.. £603) arsd £81 (2021.. £89) of
expenses were reimbursed to C Noble during the year.
R Sto¢kAII
£Nil12021.. £2l8) of expense5 were re1t1th￿ to R Stockall during the ycar.
P KArkup
£8212021.. £Nil) of expensts w¢re r¢imbw5ed io P Kirkup thiring th¢ y¢4r.
Eyat
E Yales re¢e&ved Examiner feeslInstructor Trnining Tutwcosis of £1.78412021: £Nil) thiring the year.
No Iruste¢5 have received any other benefits from the charity during the year.
The ireasurer. %>ho is not forrnally 4 tru5tr¢, is a fre¢lanc¢ conwltanl ynd r¢¢¢iv¢d £3,069 for ￿ting as treasurer
and £9.338 for the role of freelance Trdining & Educa(ion CIM)rdinaior and &ssi5wIG¢ on r¢5tricted projects.
I I St*ff eosts
The aggregate payrnll costs were as follows:
2022
2021
Si%ff coJts durlng th¢ year were:
Ih'age5 and salaries
Freelance
48,426
6.815
29,731
8,143
55,241
37.874
Thc monthty avcrdgc number of persons (incbJdin8 $¢nior mana8¢m¢ni I leadership It￿￿) employ¢d by the
charil). during the year express¢d as full lime eqwvalents was as follows..
2022
2021
No
Administration
PToje¢( Costs
No employee received emoluments of more thgn £*50,IXK) during the year
The ￿tal employee benefits of the kry management personnel of the charity were £20,466 (2021- £23.169).
A2 T#i*ilon
The charity is a r¢gi5t¢red charity and 15 thereth cxernpt from tsxatiiJD.
Page 23

Dry Stone WAlling Association of Great Britain
Noles to the Financial Statements for the Year Ended 31 August 2022
13 Tanglble nxed assets
Furniture ind
equlpmcnl
Ttyt41
Cost
At I Sept¢rnE¢r 2021
31.666
31,666
At 31 Augus12022
31.666
31.666
Depreclailon
Ar I Sepiernber 2021
Charge for the year
AI 31 Au8U5t 2022
14,245
2,609
14245
2,609
16,854
16.854
Net boolL valye
Ai 31 August 2022
14.812
14,812
Al 31 August 2021
17,421
14 Stock
2022
2021
Finished goods
17,755
15 Debtors
2022
2021
Trad¢ debtors
Prepayynents
859
188
3,071
1,047
16 Branch bAnk #ceounts
2022
2021
Balances held bv branthes thac are not readily available to the PArent
charity
174075
155433
Pagc 24

Dry Stone WAlling Association of Great Britain
Notes to the Financial Statements for the Year Ended 31 August 2022
17 Crediiorn: omounts falllDg dye wlthln one y￿r
2022
21)21
Trade creditors
Other i&xation And s(Kial security
A¢¢rnals
741
544
13,192
S.733
312
2,240
14.477
8.285
18 FuDdJ
Balance at I
September
2021
IncoTnlni
r¢fyour¢
Re￿Ur£
¢xp¢nded
3] August
2022
Transfers
UnrestrScted hJndJ
Genernl
G¢ner411 ynr¢5tricied funds
160,865
140.882
(119.715)
17,840
199,872
Deslgnoled
Awards fijnd
Operatin8 reserve
Developmeni olfiur
5,000
70,0(K)
4.103
5,000
70.000
79,103
(4,103
75.000
Total unreitrlcted lundi
239,968
140.882
(123,818
17,840
274,872
Rejtrlcted funds
Specific donations and
sponsorship for prin(in8
Arcbive project
Legacy for dry, stotte wallin8
in the Durham orea
Pendle Hill
PCF Stepping Stones 2019
DEFRA Green Recovery
Challenge Fund l Rural
Skills Hub)
563
(563)
2W
(200)
40,088
4.756
8.363
40,088
5,410
4,034
7.792
(7,138)
(4,329)
48,904
35.236
13,668
Tot81 restrlcted fundj
102.311
8,355
(47.266)
(200)
63,200
Brnneh funds
PernMneRI
Brall¢b fimds
155.876
91.805
(55.523
17,640
174,518
Total fvllds
498,155
226.60
512,590
Page 25

Dry Stone Walling Association of GreAt Britain
Notes to the Financial Statements for the Year Ellded 31 Augus12022
Bal•nce at I
Septernber
2020
Balance at
31 August
2021
IDcominz
resollr¢es
Rttources
exptthded
Tramsftn
Unr¢strltted f￿ndS
Gemeral
Gener8J unrestricted fimd5
117,585
117.893
1104,307)
29,694
160,865
Deslznaied
AwaTds fimd
0￿raCing reserve
Deit¢lopm¢ni officeT
5.000
70.000
4.103
70.CK(J
4.103
79.103
79,103
Tot*1 unrutTlCted funds
196.688
117,893
104,307
29,694
239,968
Restrl¢t¢d
Archive project
Le8ac)' for dry s¢one walling
in the Durham area
Pendle Hill
PCF Steppin8 Sloncs 2019
HLF Emer8ency Fund
DEFRA Greln Recovery
Challenge Fund { Rural
Skj'lls H¥b)
200
200
40.088
9.658
4,345
40,088
4,756
8.363
532
10,0
38,6fy)
{5.434)
(5,982)
(11,136)
(27,464)
49.850
946
48.904
TolAI rtsiricted funds
54.291
98.982
(23,498)
(27,464)
102,31
BroD¢h
Br&nch fimds
137.003
41,738
2.230
155,876
Total fun(ts
387 982
279,716
169,543
498,155
Page 26

Dry Stone Walling Association of Great Britaln
4ote$ to the Financial Statements for the Year EDded 31 August 2022
The spe¢ifi¢ PUTP0S¢5 for whith the fund$ ore to b¢ applied ar¢ &8 follows:
The National Lollery Heritsge Fund Emergency Grant WHS Used Specifically on measures to support the
Association to deal wilh the pandemic crisi5. The A$S￿latiOn pw¢lwed PPE and equipmen( io enable Br￿]ch
and National training Courses and Test Days to resume under Covid-19 protocols. The remainder of the Grant
W7s used to support central overhead COSLS during the kxriod where there was no income (Tom trdinin8 and test
days.
The D¢fra Green Recovery Chailen8c Fund is u5¢d 501ety io fjjnd th¢ Rurnl Skills Hub project which is
deliVe￿d ￿ ¥ parlner5hip between ihe Dry Stone Walling AsyKiation and the National Hed8elaying Society,
The project brithgs tO8eiher all the expertise of the Naiional Hedgelaying Sociery and the Dry Stone Walling
A£s￿latIOn to forn) a Rural Skills Hub offering a central poini foT 8dvice, sUPPOrt, fund¢d ¢r4ining and
signposting to info￿all011 sources. It has provided funding for young people towards training and qualifi¢ations
in dry stone walling and hed8elayin8 and fijnded c¢Jmmunity en888ement events to prom¢X¢ the benefits of
tradiuonal boundaries. The project wlll be comple¢¢d in March 2023.
The P¢ndl¢ Hill Lands¢ap¢ Partnership Pffoje¢t in¢ludes on el¢m¢nt of training for dry 5wn¢ walling and
hedgelayin& which is managed by the Dry Sione Walling A&8ociation. Training courses have been offered (o
rdn8e of people that would bcnefii from these skills. including trdinces, famiLrs. contractors and vulunlcLrs.
Funding for this work has been made available direcily ¢0 DSWA as pan of a grani from the National Lottery
Heritage Fund Pendl¢ Hill L•nds¢¥pe Panner5hip. The grant finances are managed by Lancashire County
Council for the Pendle Hill Landscape Partnership.
The PCF Steppin8 Stone5 Projeci has been completed and the Prince's Countryside Fund has agreed that thc
remainin8 8fdn¢ should be used to providc dr). Stone wallin8 trainin8 to yOUll8 people would siruggle to
finance iheir own trainin8 and qualifications.
The legacy was received from a lady who DJi8raied io Australia in the 19505, having been brought up in
tMrham. Th¢ fijnds ar¢ io b¢ used for dry SfLme walling in the Durhwn 8r¢a. Th¢ As$o¢i4uon 1$ ¢onsldering how
to achieve maximurn b¢nefii with th¢s¢ funds and ¢ompty with th¢ 1¢8a¢y. There is no time limii on using (he
legacy.
19 An*lysl$ of n¢t •Mtts b¢¢wttn
Unrestrlcted
Totsl fvnd$
Iljl
August 2022
Brxnch
rvnds
G¢￿traI
DeJl%n*ted
Restrleted
Tangibl¢ fixed assets
Current asset5
Current liabilities
14.812
199.537
14,47
14,512
512.255
14,477
75.000
63200
174.518
Total net &%se(s
199.872
63
75 000 ￿00
174 518
512 590
Pag¢ 27

Dry Ston¢ Walllng Associrdtion of Great Britain
Note8 to the FiDaD¢lal Statements for the Year Ended 31 August 2022
Unrestricted
Tot*1 funds
8t31
August 2021
Braneb
runds
G¢ner•l
Deslgn8t¢d Restrlctrd
Tangible fixed &ssets
Curr¢n( assets
Currenc liabilities
17.421
151.729
8,285
17,421
489,019
8,285
79.103
102.311
155,876
T¢Jtal net assets
160 865
102.311
155.876
498,155
Page28