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ALSAGER ANIMALS IN NEED
Registered Charity No.519969
TRUSTEES' REPORT FOR 2024
Throughout 2024 we have continued in our quest to help all cats and dogs in our area, particularly where
those animals are in real need of food, shelter or veterinary treatment.
We have been finding an increase in cases where we are called upon in cases when elderly people are unable to care properly for their pets through infirmity or having to spend time in hospital or into long term care.
We have also had to make an extended appeal for cat fosterers as we have seen an extended kitten season greatly increased number of cats and kittens.
On that subject, the lack of neutering is a real problem with other cases of neglect ans abuse. During 2024 we have taken in 135 cats and have rehomed 130 of those.
Smilarly, we have taken in 28 dogs, of which we have rehomed 24.
Our Accounts for the year 2024 are attached to this Report and whilst we are enormously grateful
for the increase of funds, particularly as a result of two extremely generous bequests which have helped us to manage the increase of about £28,000 in our running costs
Once again this is my annual opportunity to thank everyone who helps us in ANY and EVERY way, particularky those who I don't get to meet on a regular basis, such as at our monthly Coffee Mornings at Alsager Civic.
ONCE MORE, THANK YOU ALL SO VERY MUCH !
Hilary Baxter
Trustee
ALSAGER ANIMALS IN NEED
Registered Charity No.519969
FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31st DECEMBER 2024
ALSAGER ANIMALS IN NEED
Registered Charity No.519969
I have examined the Accounting Records of Alsager Animals in Need for the year ended 31st December 2024 and confirm that the annexed Financial Statements
are in accordance therewith and are true and correct to the best of my
knowledge and belief.
NIGEL SMITH
NIGEL SMITH ACCOUNTANCY SERVICES
37 Marsh Parade,
Newcastle-under-Lyme,
Staffordshire
24th October 2025
ALSAGER ANIMALS IN NEED Registered Charity No.519969
STATEMENT OF FINANCIAL ACTIVITIES
FOR THE YEAR ENDED 31st DECEMBER 2024
| INCOMING RESOURCES Donations Stalls and Coffee Mornings Collection Boxes Other Fundraising Grants Investment Income Deposit Account Interest TOTAL INCOMING RESOURCES CHARITABLE RESOURCES EXPENDED Boarding Kennels Feeding Costs and Sundry Animal Welfare Kennel Maintenance Kennel Refurbishment Veterinary Fees Motor and Travelling Expenses Miscellaneous Expenses Depreciation/Amortisation OTHER EXPENDITURE Fund Raising and Publicity TOTAL RESOURCES EXPENDED NET MOVEMENT IN FUNDS Positive Negative FUND BALANCES Brought forward - 1st Jan 2024 (2023) FUND BALANCES Carried forward - 31st Dec 2024 (2023) |
2024 £ 155,180.50 14,615.54 1,434.58 6,433.94 2,356.48 180,021.04 22,595.25 14,231.45 4,031.57 6,540.99 48,043.41 4,815.45 4,144.22 5,998.86 110,401.20 4,210.21 114,611.41 65,409.63 £ 175,105.34 £ 240,514.97 £ |
2023 £ 35,490.02 15,013.88 281.74 1,406.80 1,836.27 |
|---|---|---|
| 54,028.71 | ||
| 22,817.30 8,161.31 3,157.16 - 34,806.21 3,792.07 3,903.56 4,164.73 |
||
| 80,802.34 | ||
| 6,063.84 | ||
| 86,866.18 | ||
| 32,837.47 -£ 207,942.81 £ |
||
| 175,105.34 £ |
These Financial Statements were approved by the Trustees on 27th October 2025
and were signed on their behalf by;
Pauline Rowle y Pauline Rowley
Chairman