CAT ACTION TRUST 1977
ANNUAL REPORT AND ACCOUNTS
YEARENDED31 MARCH 2024
CHARITY RIIGISTRATION f4UMBER 801245

CAT ACTION TRUST 1977
ANNUAL REPORT OFTHE EXECUTIVE COMMrrtEE
The Con￿￿tte¢preSents its annual report 8nd accounts for the year ended 31 March 2024.
The account5 have been prepared in accordance with theaccounting PDlirie5 set in note 2 to the accounts and
comply with the charity's In￿ deed aad the SORP - A¢¢ounliti8 and Reporting by Charilies: Statement of
RecommendedPractice applicablcto cbarities preP￿IDgtheiraccoUnts in a¢cordanc¢withthe FinanciAIReporting
Standard applicable in the UK and Repub]i¢ of Ireland (FRS102) 15s￿ed on 16 July 2014 and the Clwities Act
2011.
Reference fjnd sdminlstrntiyt informfjlfon
PAtrons
Dame Eileen Atkins
Ms StepbBnie Cole
Mrs Daphne Fowl¢r
Ms Lesley Anne Ivory
Eie¢utfvo Committee and Tru8t¢¢
The ex￿UtIVe ¢onllnitt¢e wcmberB who S￿Ved dtwingthe yearwEtE as follows:
Kim Kelly
Nxgel Waddy (Vice Chair)
Karcn Stevenson
Judith Roberts
Helen Latnb (Memberdllp Secretary)
Trudie Farrell (Honory Sccrct8ry)
Malcolm Godden (Honorary Treasurer)
Tim Street
Alex Yales
T￿￿tee
Tn￿tee
TnLStee
Tn￿tee
Tru5tce
Trllgle¢
Truslee
Tn]stee
BraneheA 2nd braneb leader*
Ayrshire
Central London
Donc8Ster South
Jersey
Flora Fleming
Ell(c de Vrics (Brau¢h Closed 0510Y24)
Kurell Begvers
Jean FaIk
Lucy Rochc (SheilaPiekersgill vp to Juoe 2023)
Sybil BroNwn
PtitriciaBowers
Nuneaton and Hinkley
Sknw
luadditionto catrescue work tho branth Iwlus deal with administration aud fimdraisins fortheirr¢specti
branches.

CAT ACTION TRUST 1977
ANNUAL REPORT OF THE EXECtITIVE COMMrrTEE (contd)
lleadqllarter8 8ddress
Brook8ide.
Lustl¢ig
Newton AbboL
Devon.
TQ13 9TJ
CTrarity number 801245
Main Bllnkerg
Bmwlays Bank Pl
Pinner BTaneh
15117 Bridge Street
PIL￿er
MiddLesexHA5 3HU
IDd¢pelldent E￿MIner
Margaret Anne Payne
Payn¢ & Co
Chartered Aecoutthts
16 Ingham Road
Imdon
NW6 IDE
Strllctiire> governance and Jnanagement
The clwity is constitutedasan unl￿Orporated￿90Qi8tsOllWIdera trust deed dated 14 Febnthry 1989, fts amended.
The charity 1$ administered by a manugement eornmittec who have a shared and statutory rc8ponsTrI ility lo cLsur¢
that the chfirity functions according to its COIL4tilutjo￿ Committee mcmbers we elected at the Annual Genernl
Mccling to hold Offi￿ for a period not exceedtng three yeurs. thr which lime th¢y relire and are eligible forre-
election. One third of the con]mittec members from those lOng￿t 8erYins* retire from office each year. M¢mber8
are elected on receipt of not less than 51QA of the vote9 of the mellthers Prese￿ and votin& New wmrnittee
members m￿t be a member of the trELgt for not less than two conseculive fin8ncial years inllnedialely precedin8
tbe dllte of the anttu81 Bener81 meeting at ￿tch the election is held and eithLY have been recommcndcd by the
committee or submittd a letter to the chair fourteen clear days before the annual general meetin8 si8nifyin8their
illin80￿% to seThe. such letter to be caunter-SiEned by at lea8t five eltBible membets of the trnst in support.
CoD]mxttee members are briefed on their re5ponsibilitie5 as Irustees priorlo the acceptance of the role.
The commthee meets as requirf but not Icss thatt eight times a year. All exeelltive committee members 8r¢
obliged to attend at least six committee meetings ayear aud to contribute to the efficient attd propermanagement
of the ckMrAty. The clwity docs not have an office and the conunittee members work from their olyn homes. All

CAT ACI'IOIY TRlJ41I' 1977
ANNIIAL REPORT oTr"'fHE EXEC.UTIVE cOMMI￿EE (ton¢d)
A copy of the charity's constitLrtion, the latest A(FM minutes and accounts and a leaflet about the charity are
avai18ble from the Headquartcr% address. lirfornialioi) about the charity and advice abu￿ feral c8t Care are available
from ihe charity's websile www.iui77.or
Overview of the year
Fully integrated onllne
payments uslng StrlF
were added to t
webslte.
Iwww.cat77.¢x8.ukl
Feline Friend5 London
became an affiliate branch
of UT77 followln8 ihe sad
closurè of ihe Central
London branch
Two new51etters produced
and mailed by Executlve
Commlttèè members
What have the
CAT77 trustees
been doln8
throughout
20231247
Headquarters provlded
wrltten evldence to thè
Competltion and Maikets
authority detailln8 the
conslderable price
Increase5 that
The Tony Welsh Neuterln8
and Rehabllitatlon kheme
had another succes51ul
vear. The ten small rescues
Involved in this CAT77
operated Scheme
neutered 1920 cats.
orwrate vets are
Intrtsdutlng and the effects
on charhie5 and rexuÈs.
Hèadquarters has offered
Increased support for our
branches due to the
unprecedented demands
on the chariVs ser¥lces.
The Chri5trnas Appeal %vas
a success, Talsinq over
£I1,c￿ for the work of
the charity.

CAT ACTION TRll¢*T 1977
ANNIIAI. REPORT OF THTr: EXECUTIVE COMMIITEF. (eontd)
,St*ti%ties
CAf17 STATISTICS 1 APRIL 2023 TO 31 MARCH 2024
N•uter
Horn•d N•ut•red
HOn￿d Un-nautsred {kltt•n•)
V•t Tr•at•d
Stlll w•ltlng hom•8 al y•ar's •nd
Wiltlng for hom•• ov•r 12 months
Un-lmxaklffl
117
R•tum•d to •lts
In
Slt• f•d by branch
TOTAL THROUGH THE DOORS
2794
Risk m4niR¢ment
The major risks lo which the charity 15 exposed have bcen idcnlified by Ihc Intstees as below. The trustees actively
review the risks the charity faces on a regular basi5. cov¢rin8 operational and tinancial aspcL'ts.
The trustees consider thal the main risk to the ¢harity's objective ofthe humane control of feral cats by neuterin
providing ncL'¢ssary velerin8ry care and fmding pernwjeni homes for kittcns and thme slray ca15. 15 recruiting and
maintaining etTcctive volunteers and ensurin8 sufficient continuin8 finance to cover the ¢osts of all the chariiy's
activities.
A further risk idenlified by the trustees is the 8eo8T8phical spread of the charity's areas of operation and Ihe need
to have etTeLtive syslems in place. and suifi¢ienl resources to ￿51st the branih leaders. in ¥ompliance with Ihe
charity's laid down procedur¢5.
As the average age of the charily's volunteers in certain branches increases. and the number ofun-homeable cats
in Ihe hands 1)fih¢se volunleers also inLTeases. the truslee5 are mindful of thL n¢¢d lo assist with the r¢Lnbiiment
of additional. younger. volunieers and to ensure thal adequate back-up 15 available.

CAT ACTION TRUST 1977
ANNUAL REPORT OF ThE EXECUTIVE COMMITtEE (CQDtd)
Objeetives Illld aetivitses forthe publi¢ ben¢rtt
Th¢ glwity's principle objective continues to be the relief of suffering of ferd cats which ore in need of attention
by rea8on of homelessnessi poor circumstance4 ill-usage or other similar C4llS¢ and to encournge the prevention
ofunwanted breediDS among such eats. The objective ofhuman¢ control of feral cats is achieved by lirniting their
numbers through neuteriag and rctwnillg io gite. by providing vet¢ritiwy care. Nthre necessary. and by finthng
homes for kitteDS alld tam¢ stray cats. Thc clwrity is totalIy opposed to ktllin8 for expediency.
This work ben¢fits local communities by ¢ontrolling the pOpul￿10n of stray cats. controlling the ineidence aad
spread of disease ond suffeTing> prevcnlins stray allimals from poying a risk to themselves and to peopl¢ through
road trzffic accidents attd providinsu)mpanion 8nimth that I1￿￿Y and suited to their envirollllfftit.
The trustees that they bav¢ referred to the guidance MntAined in th¢ Clwity Commission's general
guidan￿ on public benefit when reviewing thelnist's aims and obj¢rtives.
The activilies and achievetncllts o£the charity duTingtheye4rarn set oirt on pages 3 and 4.
Fin8ndal revlew and reserveJ pollcy
The ch&rity'8 ￿0￿nts ar¢ an amalgamation of seven brgnch accounts and headquarter's a¢¢ounts.
Dirc¢t expenditurc on cats {i.e. on vets bi119, shelter. fool transport hnd equipment) renwined hi￿ at £456,496
(2023 £374,638) and 89.16Yo (2023 80.23%) of the charity's lot81 outgoings was spent directly on the cth.
The reserves that Ihe charity l)&s set aside provide finan¢ial slability And the means for the development of its
priticiple activity. The charity intend8 to m&intain reserves at a level that is ￿U1ve1C￿t to at least two times its
annual ¢xpettditure.withregudlo cjwity conuni35ionguldelines, so thattho¢lwity's core activity could contin
durinu a period of unforesun diffi¢ulty. For the current year. the ¢b￿lty'S expenditure was £512.024 and its
re5¢tves were £799.081. These reserves in¢lude £89.277 of r¢3trithd fullds r¢l8tiU8 to "The Tony Welsh CAT
77 Neutering and Rebabilitstion
IK8al and Profe8sioD81 expenses in the year include £16,252 relating io the disputed k8acy of David Patrick
Geor8e McKcon rcfcrred to ill llot¢ io to the accounts.
The tru51¢es review the amount of reserves at ev¢ry meeting of the executive c0lllln1￿, to ets8Ute that they a
8deqiiate to fulfil the clwity's contslluin8 obli8ations and not ¢xcessiV¢.
knual general mettiDg
The charity's aDaual Benernl meeting held on 14 Octob¢r 2023. Final accounts for the tWD y￿5 31 Match
2022 and 31 March 2023 were pre$￿tted and adopted. Anac Payne of Payne & Co w88 retsined 98 the
hatity's independent examintt.

CAT ACIIOIY TRUST 1977
ststement of tru5tees' respon$lbllltleB
The tru5tecs Ure responsible for preparingthe truslee5' rq>ort and thc accounts in aGGothc¢ with appli￿)1￿18w
and United Wom Accounting Slandards (United Kingdom Generally Accepted Accounting Practice).
The lawapplicablc to cljarities in England and Wales requxru the trustees ofthe c￿lty to prq)ore accounts each
fjnancial year which giv¢ 4 tTh￿ and fnir view o£the state of affairs of the charity and of the incomin8 resources
and applic8tionofresources ofthecharity fortllat period. Inpreparing those accounts the t￿￿ceS are rcquired lo:
select suitable aceountin8 policies and appty them Co￿1$tentIy.
observe the DKthods and winciples inthe Charities SORP
mnke judgements and estimates that are r￿on￿ble #Dd prlldenL"
state whether applicable accounting standards hwe been followed. 8ubjert to aoy material depart
disclos¢d and explained ill the account, und
prepare the accounts on the goin8 coocern basi5 unless it is inappropriate to presume the charity will
continue in business.
The Irusttts are responsibl¢ forkeepinB sufficient accounling records vthich disclose with reasonabl¢ acw at
any tim¢ the fu)nncial position ofthe cherity and enable them lo ensurethatthe accounis comply with thecbaritiss
Act 2011, the Charity (A¢¢oullts znd Reports) Regul￿10￿3 2008 alld thc provisions of thc trust dccd. Thcy are
aIso responsiblo foz $4fwwding the &ssets of tho chority and hence for taking reasonable 8I¢p8 for the
prevention 8nd detwtion of fraud and other irre8ularities.
The trustees are responsible for thc rna7ntrnance and integrity of the charity and fiDwicial inforniation
included on the charity's website. LegislRtion governing the prcporation and disseminution of accounts may
differfrom legi$latiOD in otherjuri8dictiolls.
Approved by the execulive ￿)mmittee on 10 October 2024 and 8igned on its belmlf
7tJL
Kim K¢lly- Chair

CAT ACTIO1¥ TRUST 1977
IND*:PF.NDENT EXAMINER'.S RKPORT TO THE TRIISTEF.S OF CAT ArrioN TRUST 1977
I TePOrt on the accounts of the t￿St for the year ended 31 March 2024. Ivhich are sel out on pages 8 to 15.
Respectivt re5￿￿11b11lltieS of trumteeg •nd examiner
The charity'5 trustees are T¢sponsible for the preparation of the accounts. The ¢lwity's trustees consider that an
audit is not required for this year under Section 144(2) of the Charilies Act 2011 ('Xbe Charities Act") and thai an
independent exaniinatii)n 1$ needed. The Charity's gross income exceeded £250.0(K) and l am qualified io
nderthke the examination by bein8 a qualified membeT of the Institute of Chartered Aecountanls in England &
It is my responsibility to:
examine the accounts undLr seclion 145 of the Charilies Act.
to follow ihe pr(?cedur¢s laid dowm in the Genernl DirectioLs given by the Charity Commissiun under
section 145(5Xb) of the Charities ALt; and
to stale wheihcr particular mattepth have come to my attention.
Basis of indtp¢ndenl exAminer's report
My Lxaminalion was carried oul in g¢¢ordance with Ihe General Dir¢¥lioiib given by the Charity Commission. An
exarninatti)n includes a rcview of ihc acci)unling records k¢pl by th¢ charity and a comparisim of thc ￿coUnts
presented with th0￿ reL'ords. 11 also includes consideralion of any unusual ilcms or di%closures in the accounls,
and the seeking of explanations from you as trw8te¢5 concerning any such rnatlers. 'fhe procedures undertaken do
not provide ail the evidence that would be required in an audit 8nd consequently no opinion is given 85 to wheiher
the accounts PTe5ent o 'true and fair view" and the report 15 limited to those matters set out in the statement below.
Independent txamtDer'J statement
In connecliDn wilh my examiiialion. no material matters have ¢ome io my atlenlion which 8ives me cause to
believe th&t, in any material respc¢t:
the ￿cOUntIng recor&8 were not kepl in accordance wilh %eclion 130 of the Ch8rities Act: nr
the account5 did not aL'cord with the accounling records. or
the acLounls did not comply with Ihe applicable requiremen15 conccming thc forni and conlent of the
accounls scl out in the Charities (AcLI)unts and Rq>orts) R¢8ulalion¥ 2008 c)Iher than any rcquir¢m¢nt
that the acwunts give a 'true and fair, view which is not a matter considered as part of an independent
examinalion.
I have come acroys no other malters in Co1￿¢¢I10n with the examination lo which allention should be dra￿￿ in
thi5 rcrrt)rt in Order to enablc a pri)rKr und¢r%tsnding of the accounts to be reachcd.
argarti Anne P
Payne & Co
Chartered Accounlanls
16 Ingham Road
IA>ndon NW6 IDF.
eBAFCA
10 Odober 2024

CAT A￿lON TRUST 1977
srATEMENf OF FINAFICLIL ACIIVITIES
OR YEAR ENDED 31 MARCH 2024
Notes
2024
2023
Ihrestrleted
Restrlctsd
Incon
Donations and le88cles
Memb¢rship incoll*
Fundrnising activities
tnconr frominvestll￿Dt$ (iateR5t illcon￿)
293.IIM
1979
25.089
14402
293.104
170,478
1371
25J93
5234
25,089
14402
Totsl Income
339J74
339J74
2(V3,676
F4*Datllre
Charitable activities
4)eaditutv on raising fynds
341J67
651
161,8(15
503373
4651
457.519
9,4Z7
Total r¢soureeJ e4xD(kd
350218
161,8C6
5111724
Net moitment In fan
-10.644
-161,806
-1714YJ
-257270
Totsl fun(b Ixought forHurdat l A￿ll 2023
Tr4￿f￿r￿dtOr¢Strlct￿drUll
72Q747
2Ji,083
971￿0
1229,1
Tot81 funib earrl0dforw￿d9t3l M￿Ch 2024
710,103
89277
799J80
g71,830
The nok¥ ottpages 10 to 15 fotULpart OEthe￿ accounts

CAT ACTIOIY TRUST 1977
BAI.ANC.F. SHF.Tr:T
AS AT 31 MARC.H 2024
Note
2024
2023
Unr¢gtricl¢d R¢stricted
Funds
Total
Flxed &8Jtts
Tangible as%¢ts
Inl8ngible ass¢ts
14.995
1,572
16,567
14.995
.572
16,567
17,341
2.948
20.289
Current a88ets
Debtor3
C&8h ai bank and in hand
33,143
667.1
701,043
33,143
757,177
7￿.320
52.511
918.533
971.044
89,277
89,277
Curren¢ Ilalllltles
CreditoTr falling du¢ within one year
-7,507
-7.507
-19.503
Net current a•*ets
693,536
89.277
782.813
951,541
Totsl •8Jtts It*• current IIAllllde•
710.103
89277
799,380
971.830
of the charlty
R¥8tri¢t¢d funds
Unrcstricied fvnds
89.277
89.277
710,103
7W,380
251,083
720,747
971.830
710.103
710.103
892TI
Approved by the truslee8 on 10 October 2024 and si￿4 on iheir behalf by:
Kim Kelly- Chair
Malcolm CJodden- TnL%tee
The notes on pages 10 10 15 forni part of theqe ￿WUrtts

CAT ACIION TRUST 1977
io
NOTES TO TllE ACCOIJNTS
FOR THE YEARENDED 31 MARCll 2024
Basis olpreparation
The accounts have been prepared under the historical c05t convention with items re¢o8niwl al ¢ost or
transa¢tion valuc unless othenvige ststed in the relev8nl notesto the accounts.
The a¢¢ouats hav¢ been prepared ID acconlance with:
th¢ Statemeot of ReLomtneth Practi¢¢: Accouuling and Reporting by Cbaritie5 preparing
their accounts in gccordance Ivith the FinAncial Reportitig Stsnd8rd applic8blc in the UK and
Republic of Ireland (FRS 102) issued on 16 July 2014
and withthe Finallcial R¢porting Slyndard app]iL*ble in the United Kingdom and Republic of
I[el￿d (FRS 102)
and with the Chatitieg Act 2011
The thwity coTh8titut¢8 a public be0e￿ ¢ntity ￿ defined by FRS 102.
The presenthtioncurrew of th¢ a¢cowtts is the p0￿d sterlins(£). The accounts I￿ve becnrounded to
th¢ nearest pound.
Aecoulltlng polici¢
Incomlngresource3
tncolljing resources are reco8uiscd once the receipt of is probable And the an￿Unt CaL be
Meas￿ed with reasonable accurncy.
Grants and dotititiolls are re¢ogaised whellthe ¢bfftty has ￿￿Onditional ¢DtitleowQ to the resowces.
Le8&cy income is reco8nised in the ye4r in which the chority becomes ¢ntitled to the Income where the
atnount r￿e1vable ¢on be established with reasonable accuracy.
Gift Aid receivable is included in itKom¢ wh¢n there is a valid declaratioo fromthe donor. Any Gift Aid
amount recovered on a donation 18 eotL8ideTd lo be part of that Bift and is treated as an addition to the
Sall￿ fimd as th¢ intiial doDatiooulllcMs the donor or tlke temLS o£lhe appeal bave specified otherwi￿.
Investm￿￿ incom¢ ¢oL8iSts of interest incom¢ and 1$ included in tb¢ ac￿Ull￿ when receivable. The
trustees rcsularly teview deposits to etrn that income i%mL¥in￿eJ.
Life 8kniptioDs ate accounted for in the y¢ar of receipt.
Voluntary help i8 ittvalujble to tbe charity but is Dot inclu&d in tkn accoullts, Since the monctsry val
is impossible to quuntify. The value of assets and facftliticy dottatd. where impogsAbl¢ to qiiantify, 1$ not
included in the accounts.
Offselling
There been no offsctiyDg of ￿et5 ]inbilitie4 or Incoll￿ #nd expenscs. uDI¢ss tquired or
petmitted by the FRS 102 SORP or FRS 101

CAT AcfIoN TRUST 1977
li
N(YfES TO Accouiyrs (¢on¢d)
AeeountiDgpollelcs (¢ontd)
Resourcu expended
Liabilities are recogni%ed os resources expendcd a5 soon as thcro is a legal or constructive obligatio
mmitting the clwity to the expenditure and the amount of the obligation ￿ be me&8ured with
teasonable certainty. All expenditur¢ is accounted for on an acC￿￿lS basis and has been classifid under
headin￿ Ibat aggregate ajlcosts related to the calegory.
GoverntvKe tmdsupport costs
Govern￿ costs conlprisc all cost% involving public aCcom￿ll1ty of th¢ ¢barity and its coa￿lIanCe
with regulation good practice. Support costs indudc ¢entr81 fun¢tions and have been allocated to
activity ¢osi categories oa a basi5 CO￿￿￿￿tellI WAIILthe use o£resource8.
Grant maklng
Grants are made to Ioc81 charitics ott condition thal they are used to cover expeose8 swh ￿ food and
veterinary bills. Payment is n￿de on production of full supporting documentslion such as illdividual
invoices related to th¢ expenditure incurred and after the provAsion by the local clwity of statistic8 for
th¢ work carried OUL Support is r¢sttict¢d whereveteriw cb8rg¢s ar¢ higherthm equivalent clwAtable
Boficfinancial inslnimeiits
The charity accounts forbasic financial instrumcnts on initial recognition as per pnrngraph 10.7 FRS 102
SORP. Subsequent ￿¢￿SU[all¢llt 15 ￿ per paragrapbs 11.17 to 11.19, FRS 102 SORP.
TanglbleJitedfLfselJ andd¢pre¢lallon
Tangiblc a3s¢ts ¢osling MO￿ th80 £250 are IY4PitfjliseAI valued at historic cost. Pureb￿Al ￿8£ts are
recorded at pwehase price and donated assets, wher¢ the value can be determined. are valued at nwket
Value onre￿1pt.
Depreciation 1$ chur8¢d on a tdu¢inB bHJance ba8is at a Tal¢ of 2Y% per annum on molor vehicles.
shelters and computer wripment. Impa1rn￿rt rcviews are c8rried out lom￿lly.
Ininglblejlredasjels andamortization
All ititangible ￿set9 are ttcorded at cosL
Amorti8olion is provided at the following Annual rntes in order to write oifeach a8set over its eStin￿lea
Useful life:
Websits - 33.33% on cost
De￿orts
Debtors (includins trdd¢ d¢btors and10gns rKeivabl¢) are measured on ioitsal rrwgDition at settlement
amount after any trade digcounts or amount advanced by the clwity. Subsequently? th¢y at¢ measured at
the c&gh or other coL8ideration expected to be receiv

CAT AcfioN TRISST 1977
12
NOTES TO TEEACCoU￿s (colltd)
FOR THE YEARENDED 31 MARCH 2024
A¢tOUllting polltles {contd)
Creditors
The charityha8 credttors which are lln8ured atsett1alle￿ amounts less any trade digcounts.
Ftnxts struclure
Restricted are fimd5 whi¢hare to bowed iti accord8nce with spectfi¢ restrictious imposedby th¢
donor.
Unrcstrict¢d funds comprisethose whichthetrustees arc free tovs¢ forony pwposc infurthrnce
of tho ¢lwitable objects. Unrestri¢ted fund5 include desi8naled fimds where the ln￿tee8. at their
dis￿10￿ havc Cre￿¢d a fiwd for a specific purpose.
Donations made lo headqU￿eTS in favour ofindividual branches are paid out to the br8oches concerne
together WAth any gift aid Clai￿ ag SOOiI 118 19 r¢&8onAbly practicable. Since the funds paid out to
individual brxnchcs each year the amount of thc spccified donation4 the trustees have not
acoounted for these separately 8$ restrictcd fundg. Th¢ biL8tees review this policy• ond the accounting
disclosure, annuallyg to ensure that thc treolm¢llt remains appropriat
DonatloD• nndlegAeleJ
2024
2023
Xjjnations
137,690
1SS.414
293.104
129
84349
176.478

CAT ACTION TRUST 1977
13
NOTES TO THE ACCOiSLYTS (tontd)
FOR THE YEAR ENDED 31 MAIiCH 2024
An41￿lS of reyour¢eB expnthd
2024
2023
C&aritabk a¢tivittes
Vcterinary frey
V¢terinary fr¢s - Fund¢dNeuteriiiB
Sheltcr. food and trnttsport
Equipu%nt e¥¢n5cd
Donation8
R￿airS aod renewal8
Lkpr¢¢iation
AnK)rtizatio
(knv¢rnanc¢ ¢o$ts (below)
Support Costs Trelow)
200.509
161.806
S9￿68
4.613
161,869
129.417
80,021
3?31
1350
1,950
1?76
24￿39
13213
503,373
1.180
42.6
11284
457.519
F¥enditur¢ on ratskn8 fund8
Mcrchandi8e. Stolls etc
New8l¢tter. printlng and POBOX
Advcrtising
1,632
5,699
1320
8,651
2.193
5,609
1,625
9.427
G)vernan¢¢ costs
Independent vAmitiation
L¢8aland profe881onal fees
Trnv¢l
5.000
18J65
1.474
24.839
5,000
32293
5,394
41687
Otherr¢$ou￿eS e3¥)ended
Tekphonc
InsuranGe
Storag¢ costs
Con4Juter sollvMr¢
BHnk¢harg¢s 8nd Inteffst
778
1724
1006
2371
1.441
1.490
1,871
652
3370
11284
4.612
13213

CAT ACfION.TRUST 1977
14
NOTES TO ThE ACCOi]NTS (eontd)
FOR THE YEAR ENDED 31 MARCll 2024
TAnglblo rA￿d AsBets
Co￿￿ter
F4vltment
blele
Sbelten
Total
C(rft
At l ApTi12023
Additions
Di¥posals
At 31 March 2(J24
30290
26,731
1653
61,900
1653
30290
29J84
4.879
64553
D¢weeladon
At l Apri12023
or8¢ forth¢ yeftr
Dtsposals
At 31 Mareh 2024
23,787
10,857
3.132
3.915
242
44.559
25,412
19.989
4,157
49558
Net lJ)ok wlu¢
At 31 March 2024
4,878
503
9,395
9.874
14,995
17?41
At 31 MATch 2023
JDtsDglbl• flxodllJ8ets
WelBlte
Totlll
Cost
At l ApriL2023
Additions
Disposals
At 31 M￿h 2024
4.128
4.128
4.128
4.128
At l Apri12023
Cbar8e for thc year
Dispo&&b
At 31 Mèrch 2024
1.180
lJ76
1.180
lJ76
1556
1556
Net iKh)k wlue
At 31 Mawh 2024
At 31 March 2023
1,ST2
1,572
1948

CAT ACTION TIiUST 1977
15
1¥4OTES TO TllE ACCOiJNTS (tontd)
FOR THE YEAR ENDED 31 MARCH 2024
Dtlknrs and￿C￿ll￿nts
2024
2023
Oth¢r debtors (8ift aid t8xrec]ann)
Prcpaynrnt8
Accrn¢d inco
6.337
2,035
24.771
33.143
857
319
51335
51511
Crethtor•: ￿n0￿￿ts fa]IIDg Thltlthi one yeHr
2024
2023
V¢ts fees
SILelter. food ond transport
Independent e>aTDin￿.S feej
Other crcditora
1128
359
8.388
1.462
5,0
4.653
19.503
5.000
7,507
Related party traD5aclloMx And truJtee8' remuneratlo
No men)ber o£the executive committr.nor any person L¥Jnneeted WAththe￿ has re¢eive4 or 18 due to
receive any remunerntion for the year, or the previous y￿, nor obtsined financial benefit in either
year. directly or indirectly, fro￿th¢ ¢h2rity's funth.
There have been no related party tra0wtlo￿$ in Ibe accoullthig period.
Three InLStees were reimbursed expenses or had expe￿¢8 pBid by thc charlty for 1rnvelli￿ newsletter
¢xpeLqes. al￿ computct ond equipment expenses.
io
Conllng¢D¢ asxt
lo2020 the clwity beCall￿ entitled to a legacy receivabl¢ fro￿ the e4lale of the late Mr David Patrick
Geor8e MCK¢0￿ who died on2 April 2019. The le8acy ¢onsisted ofthe net proceeds of sale ofpropety
the valu¢ of which was estimated to be in excess of £960,000. Probate wa5 ￿ed on 18th Jun¢ 2020
and the property has since beeo sold but th¢ di$burSell￿ has not y¢t been made owing to a poienti
hall¢n8e to the will. Th¢ tr￿￿tee8 do not believe that the ultinMte value of the legacy to the charity can
be determined with sU￿1¢1¢￿t a(xura¢y to accrue this amount inthe aCCOUDts forthe year.