haril number= 5067 RSPCA Mont ome shire & Radnor Branch WR Partners
RSP A MONTGOMERYSHIRE CHARITY NUM DN 701 R BRANCH PRINCIPAL ADDRESS Garth Cotlage Fachwen Newtown Powys SY16 3LN TRUSTEES Margaret Mclnally Andy Mcvicar Susan Mcvicar Jenny Lloyd Mis P Bunner Vikki Hunt Louise Pealson Deborah Shaw signed 20" October 2022 élected 20111 October 2022 elected 201h October 2022 elected 201h October 2022 BANKERS HSBC Newtown Powys Wales ACCOUNTANTS WR P?rtners Belmont HoLSse Shrewsbury Business Park Shrewsbury SY2 6LG
R.S.P.C.A. MONTGOMERYSHIRE AND RAD HAIRMAN'S REP BRAN This is my second report as Chairman of the Monlgomeryshire & Radnor Branch of the RSPCA. It has been an eventful year for many of us with some changes to Irustees during the financial year 2021. This year has been extremely difficult with the Covid Pandemic which has not enabled us tci hold any events or hold normal trustee meetings all of which have had to bé via the internet During the financial year 2021 1 WOLJld wish to thank our Irusle8s for the considerable lime and effort that they do 3s both trustees dnd volunte8rs to ensure that the branch is able tc> help many pet owners and their animals. All of OLJr trustees are very proactive and without their support the Charity would not be able lo function I think it is right that I shoLJld highlight the work being undertaken by specific Iruslees. namely.. Our Secretary Margaret Mclnally who ensur8S that we act lavrfully and are kept up to date with all matters conc8rning the RSPCA policies elc. Jenrly Lloyd who is our new regional represenlalive and keeps US UP to date with new policies etc. Mrs Sue Mcvicar our treasurèr who spends many hours each week dealing with Veterinary Surgeons, members ol the public, organising the administr3tson of neutering scheme5 lor ca15 and dogs and arranging IDr all invoices to be paid. This year has been very difficult with many more rèquests for help in ielation to welfare issues. This has been a year Df change. but l am able lo say on a positive note that 2022 will be rn0 secure with new trustees being recruited who will bè undertaking educational talks, Gal trapping of stray cals elc. The charity's assets have increased over the last few years and al the 31st December 2021 we had cash assets of £49,986 which gives us financi81 security lor the years ahead. Finally, I would wish lo tha grateful. eve who has support8d our work during 2021, for which wè ara véry Andy Mcvicar Chairman Mtsntgomeryshi & Radnor Branch RSPCA Dated..
R.S.P.C.A. MONTGOMERYSHIRE AND RADNOR BRANCH TREASURERS REPORT It gives me pleasure to presènt a summary ol the br8n¢h's financial circtjmslances for the financial year 1st January lo 31 st December 2021. Montgomeryshire and Radnoi Branch received a paymènt of £24,134 from the RSPCA Door lo Door Collection fund. This monpy has cnabled us lo spend £1.789 on the neutering ol cats and dogs IN our branch area. In addit50n. we have run a scheme for the Neutering of Farm and stray cats at a tol81 cost to the branch of £896 and the Farm Dog Neutering scheme to the cost of £3,850. In addilion. we spent 8 furthér £10,949 on animal welfare. treating a total 01108 dogs. 60 cals During the financial year we received £943.55 in donations from members of the public and organisations. To summarise during the financial year. we received an income of £35,405, which included a £10,000 grant from the RSPCA Regional Group lor farm dog neutering. By way of expenditure. we spent a total of £18,244 during the year. At Ihe 31 st December 2021 the assels of the charity amounted to Currenl account balance £44, 160, Money Manager Account balaiice £5,827 making a total of £49,986. Re5erve5 The TTUSlee5 have a pdicy of ensuring Ihat sufficient reservcs are maintained to fund the operations of the Chaflty lor al least six months, should ils usual sources of Income cease. Reserv8 18vels in rec8nt years have been sufficient to ensure Ihal the oiganisation could continue to operate lor al least two years. without further injections of funds. Al 31 December 2021, reserves amounted to £49,98612020.' £32.8251 ol which £nil 12020." £Trill has been designated for neutéring dogs and cats, lèaving fre& rÈséNes of £49.986. To Maintain these reserves al currenl levels. the charity Is dependent on receiving funds, in the main by donations frorn the public and in the form of grants from RSPCA Wales and froTn RSPCA National. The Trustees aim to use some of the resèrva funds to support member% ol the public who 3re In receipt of state benefits, lo enablè their pets, predominately cats and dogs, to receive the necessary veterinary Irealmcnl and where appropriate to bc neutered. In addition, the branch h8$ 8n objective lo ensure that all cats which Comè into the caiè of the branch. receive all necessary veterinary treattnent, and be neutered and micro chipped belore being offered for rehoming.
Principal rlsks The two main risks lo the Gharily'5 ability lo continue operations are.. 1. The financial risk, resulting frorn a lack of funding, both funding from members of thè public and in the form of grants from the appropriate bodies", and 2. The organisalional risk resulting from 8 lack c>1 people prepared to operate the branch As noted in the reserves policy slalement above, the branch has more than sufficient reserves to continue Its present levels of operationg. The Trustees monitor the level of expenditure. however. to ensure that tho reseNes are maintained at acceptable levels. Tho branch is currently well served by ils supporters. Any reduction in support would be immediately obvious lo the trustees and aGlion could then be taken lo address the issue. Structure and Governance The R S P C.A. Montgomeryshire and Radnor Branch is a branch ol the National R.S.P.C.A governed by branch rules revised in 2017. The objects of the Branch are to promote kindnes5 and the prevention ol cruelty to anitnals within the area ol Monloomeryshire ènd Radnor. The Trustees have given due regard to Charity Commission guidance on public benefit. The Trijstees are volunteers who wish lo scrve as TrLJStees. They are appointed or c(Fopted onlo the Board of Trustees by serving Tru51ees. Signed on bèhalf of the Trustee5 by Mrs S Mcvicar Hon Treasurer Dated: 151&lLL
INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES OF R.S.P.C.A. MONTGOMERYSHIRE AND RADNOR BRANCH the'chari I report lo the charily Trustees on my exafflinalion of the accounts of the charity for the year ended 31 December 2021. Respectlve responsibilities of trustees and examiner This réport is made solely lo the charity's Trustees, as a body. in accordance with Part 4 of the Charities IAccounls and Reports) Regulalions 2008. My work has been undertaken so that I might state to the charity's Trustees those malters l am required 19 slate to them in an Independent examiner's report and for no other purpose. To the fullest extent perrnitted by law. I do not accept or assume responsibility to anyone other than the charity and the charity's Trustees as a body, for my work or lor this report. RESPONSIBILITIES AND BASIS OF REPORT A5 the Trustees of the Gharity you aro responsible for the preparation of the accounts in aGGordanGe with the requirements of the Gharilies Act 20111'th8 2011 Acl'l. I report in respect ol my examination ol the charily's accounts carried out under section 145 of the 2011 Act and in carrying out my examination I have followèd all the applicable Directions given by the Charity Commission under section 14515llbl of the 2011 Act. INDEPENDENT EXAMINER'S STATEMENT I have completed my exarllination. I czn confirm that no matters have come lo my atlenlion in conneclion with the ex2minalioN giving me cause to believe Ihat in any m31erial rèspèct.. accounting records were not kept in respect of the charity as required by section 130 of the 2011 Act". or the accounts do not accord with those records". or the accounts do not comply with the applicable requirements concerning the loiin and content of accoun15 set out in the Charities IAccoun15 and Report51 Regulations 2008 olher than any requirernent that the accounts give a 'liue afid fair, view which is not a maller Gon5idered as p2rl of an Independent examination. I have no concerns and have come across no other matters in connection with the examination to which attenlion should be drawn in this report in other to enable 8 proper underslanding of the a¢¢ounls to be reached. Tim Lunt BA FCCA MIRPM WR Partners Belnionl House Shrewrsbury Business Park Shrewsbury SY2 6LG Dated. 2010612022
R.S.P.C.A. MONT MERYSIRE AND RADNOR BRANCH Cash Assets 2021 2020 HS8C- Current Account 44,160 26,999 HSBC- Money ManagerAccount 5,826 5,826 Cash in hand The e accounts were approved by the TrSteeS on and signed on their behalf by.. S Mcvicar Trustee Datè".
R.S.P.C.A. MONTGOMERYSHIRE AND RADNOR BRANCH ACCOUNTING S NT- RECEIPTS AND PAYMENTS BASIS AR ENDE 2027 2020 Designated Fund Regional Fund Genèral Fund Total Re¢el General Donations Street Collection Sub5criplions Collection Boxes Interest Receivable Grants Door 2 OoDr Other 400 90 166 4DO 276 166 71 71 10,000 10,000 25,173 24,134 544 24,134 10.000 25,405 35,405 25,395 RSPCA Purchases BEF donation Br8nch conlfibulion Meetings & bookings Sialionery Telephone and pustag RSPCA CDnlribulion Audit & Accountancy fees Annual Fees and Insurance Farm Dog Neutering Welfare Neutèring Other Sundry Addition81 nculenng expenditure 30 3. 160 2.462 551 110 110 621 621 574 468 564 616 616 3.850 10.949 1,789 274 3.850 10.949 17,202 T,832 1,789 274 1094 15,6391 110.9491 11,6561 118,2441 (27909) 949 2514
R.S.P.C.A. MONTGOMERYSHIRE AND RADNOR BRANCH ACCOUNTING STATEMENT- RECEIPTS AND PAYMENTS 8ASI FOR THE YEAR ENDED 021 2021 202Q Designatèd Fund Regional Fund GenÈral Fund Total SurplusllDeficitl blfv 949 2.514 Transfers 5.639 18.110 123,7491 Surplus (Deficit) after Iransfers Nel As5et5 BIF Nel Assets CIF
R.S.P.C.A. MONTGOMERYSHIRE AND RADNOR BRANCH OUNTING STATEMENT- RECEIPTS AND PAYMENTS BASIS CONTINUED FOR THE YEAR END EMBER 2021 NOTES TO THE ACCOUNTS 1. Accounting Policle5 The a¢counls have been prepared on a receipts and payments basis.