REGISTEIIED COMPANY NUMBEII: N1611869 (Northei'n lj'¢laiidJ
REGISTERED CHARITY NUMBER: 104929
REPORT OF THE TRUSTEES AND
UNAUDITED FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2021
FOR
NORTHERN IRELAND BATTERY HEN RESCUE
M.B.McGTady & Co
Cliartered Accountants
Suite 2B
Cadogan I4ouse
322 Lisbiirn Road
Belfast
Co. Antrii
BT9 6GH

NORTHERN IRII LAND BATTERY HCN RESCUE
CONTENTS OF THE FINAP4CIAL STATEMENTS
IOR TFIC YEI AR ENDF.D 31 MARCH 2021
Page
Report of the Trustees
Independeiit Examinei s Report
Statement of Financi21 Activities
Balance Sheet
Notes to the Financlal Statenients
7 to 11

P40RT14 CRN IIIELAND BATTERY HF.N RESCUE
REI poII'r OF THE I'IIUSTEES
FOR THf Yli AR ENDCD 31 MARCH 2021
The triistees who are also directors of the charity for the piirp05es of the Coinpanies Act 2006, pi'eseiit their i'eport witli
the financia] slateinents of the charity for the year ended 31 March 2021. The trustees have adopted the provisions of
AccoiintÈng and Ileportiiig by Charilies- Stateinent of Recoinmended Practice applicabl¢ to charities prepai'ins theii.
accoiinls in accoi'daiice with the Financial Reporting Standard applicable in the UK and Republic of liEland {FRS 102)
(effective l Januai'y 2019).
OBJl<CTIVES AND ACTIVITIIS
Objectives and aims
Our Jnain aiins and objectives, as set out in our governing docuinents. the Meinoranduin ￿}d Articles of Association
are..
o To I'escue battery and other hens from egg producing fanlls when the farjns are depopulating and to find them hoines
whei'e they cali live a natural free range life
o To arrange veterinary treatment for any hens= and
o To look after and care for heiis who are not rehoined in accordance with the point above on a temporary or pei'inanent
basis
Oui. aim is to educate the public on where their food comes from, allowing them to see the reslllts of factory fanning oli
the hens so that they ¢an make an infonned choice about what they choose to eat. To educate the Pliblic oil how the
welfare of animals is badly afftcted in an intensive farining situatioii and to show them the benefits to health. both
Incnlal and physical, that keeping a few hens as pet5 can provide.
Signifieant aetiVRties
Dui-ing the 202012021 year we continued to finish renovatlOll5 to th¢ rescue centre areas and to the periineter fence. Our
facility to have a specific area, albeit small. to take iJ] hens and ixiosters to on area that Ihey can be isolated for 28 day5
froTlI the reinainder. of the hens has been invaluable, and has been an LTnportant iinprovement for us in lIg￿t of tlie
ongoing outbreaks of Avian Flu and the nuinber of roosters being dulnped is increasÈn(F
We have had some negative feedback on the insistence of a flock licence before rehoining froiii us, biit we have stuck to
oiir giiiis ai)d gradually peoplc are accepting and understanding the importance of it in helping to prevent Avian Flu fi'oin
spreadiiig due to unlicensed lien owners.
With the completion of the first stage of our drainage last year, we are still raising ￿ndS to coinplete phase 2. With
phase I completed we have seen a remai'kable impi'ovement in the grazing areas and eveii though we had a terrible
wintei., we have inanaged to maintain the grass area at the back for the hens. The area reiiiains closed to the waterfowl
duriiig winter as they churn up the mud wilh their wet feel. But on diy days we allow them shojt pei'iods to graze.
We now have a portacabin as a de5iEnated office and A&E. Ivs also being used a5 a quarantine area for soine of the
incoining roostei's.
We continued to inove forward and secure Inore iegular donations froin oui. followers. We have found that ainazoii,
Ebay and Facebook have allowed us to raise fi]nds Inore easily for specific projects.
FUTURf PLANS
Plans foi. 2021122
o To raise fiiThds to complete the perimeter fence, raising it to 8ft all round
o Coinplete second part of drainage
o We antiGTpate 2021122 to be the final part of OUT larger expenses alid once completed we hope to fire up liine for inore
educational piirposes
STRucfuRE, GOVERNANCE AND MANAGEMENT
Governiiig dociiment
Northern Ii'eland Battery Hen Rescue (a ¢oinpany limited by guaraiitee) is a cliarilable coinpany govei'iied by its
Mcinoiiiiduii) ai)d Articles of Associatio

NORTHEI RN IRELAND BATTERY HEN SCUF.
IIIPORT OF THI TIIUSTEI C4 S
FOR THE YEAR ENDII D 31 MARCH 2021
REI Fli RINCE AND ADMINISTRATIVE DETAILS
Regi5tercd Coinpany numbcr
N1611869 (Noiihern Ireland)
Registered Charity nuniber
104929
Rcgisteyed office
The Nut House
16 Nut Hill Road
Moira
Co. Armagh
BT67 OPH
Trustees
The trustees who served the charity during the period were as follows:
Ms Bai'bara Mladek
Ms Pati'icÈa Hai'binson
Independeiit Exaniiller
M.B.McGrady & Co
Cliaitered Accountants
Suite 2B
Cadogan House
322 Lisburn Road
Belfast
Co. Antyii
BT9 6GH
Appi'oved by order of the board of trustees on 22 December 2021 and signed on its behalf by..
Barbai'a Mladek - TI￿stee

INDEI I'F.NDENT EI XAMINF.R'S RII PORT TO THF TRUSTEES OF
NORTHF.RN iiif< LAND BATTERY HF,N REI SCUE
l i'epoi't on the accounts of the company for the year eilded 31 m￿￿h 2021, which are set out on pages 4 to I l.
Re5peetive responsibilities of chai'ity trustee5 a￿d examiner
As tlie chai'ity's trustee5 you are i'espoiisible for tlie piEpai'ation of the accounts tn accordance witli the requij'eiiienls of
tlie Coini)anies Act 2006.
l-lavinLy satisfied Inyself that tlie charity is not subject lo audit under coinpany law and is eligible for independent
examination, it is iny responsibility to:
exainine the accounts undei. section 65 of the Charities Act (Northem IrelaT]d) 2008;
follow Ihe procedures laid down in the general Directions given by the Charity Comini55i01) for Northern Jj'eland Lmder
se¢tioÈi 65(9)(b) of the Charities Act. aT]d
state whetlier p￿ti¢ll18r matters have come to my attention.
Basi.$ of the iiidependent exarniiier's report
I have exainined your cliarity accounts as required under section 65 of the Charities Act and Iny examination wa5 caii'ied
out in accoi'dance with the general Directions given by the Charity Cointnission for Northein Ireland under section
65(9)(b) of the Charities Act.The examination included a review of the accounting records kept by the charity and a
compai'ison of the accounts presented with those records. It also included consideration of any uni￿Lia1 itein oi.
disclosuE'es in the accounts, and Seeking explanalions froin you as charity trustees concerning any such matter5.
Indepelldent examiner's statement
I have coinpleted iny exainination aiid confwm that no matter has come to my attention, which gives me cause to believe..
that accounting i'ccoi'ds were not kept as required by section 386 of the Companies Act 2006-
tliat the accounts do not accord with those accounting records-
that the accounts do not ¢oinply with the accounting requireiments of section 396 of the Companies Act 2006 and with
tl)e methods aThd principles of the Charilkes Statement of Reconimended Practice applicable to charities preparing their
accounts in accordance with the Financial Reporting Standard applicable in the UK and Republic of Ireland (FRS 102).
that Iliere is fui'thei. infoiination needed for a proper understandtng of tlie accounts to be reached.
I have no concerns and have come across no other inatters in Connection with the examination to which attention should
be drawn in this report in order to enable a proper understanding of the accounts to be reached.
Jkn M,C£N
Seainus McL¢t'non FCA
M.B.McGrady & Co
Chaitei'ed Accouiitants
Suit¢ 2B
Cadogaii House
322 Lisbui'n Road
Belfast
Co. Anti'iin
BT9 6GH
22 December 2021

NORTHERN IRELAND BArrF,RY HEN RESCUE
STATIMF.NT OF FINANCIAL ACTIVITIES
FOR THI YEAR ENDED 31 MARCH 2021
311312]
Total
3113120
Totgl
fuilds
Unrestricted
fund
Rcstrieted
fund
Notes
INCOME AND li f4DOWMENTS FROM
Donation5 and legacies
23.151
23,151
35,620
Investment ineoine
Total
23,151
23,151
35,621
FXPENDITURE ON
Raising funds
25,272
25,272
30,962
NET INCOMEI l(EXPEP4DITURE)
{2,121)
(2,121)
4,659
RECONCILIATION OF FUNDS
Total funds brought forward
5,24S
5,245
586
TOTAL FUNDS CARRIED FORWARD
3,124
3,124
5,245
Tli¢ notes fonn part of the5c financial statemellts

NORTHE4 IIN IRELAND BATTIRY HIN RESCUE
BALANCE SHEI E<T
31 MARCH 2021
3113121
Totxl
funds
31/3120
Total
fui)ds
Unrestricted
fund
Restritted
fund
Notes
FIXFD ASSEI'S
Tangible assets
6,918
6,918
7.320
CURRENT ASSETS
Debtors
Cash at bank and in hand
43
4,702
1,754
1,754
1,754
1,754
4,745
CREDITORS
Amount5 falling due wfftdiin one year
(5,548)
(5,548)
(6,820)
NET CURRENT ASSETS
(3,794)
(3,794)
(2,075)
TOT AL ASSETS LESS CURRENT
LIABILITIEIS
3,124
3,124
5,245
NET ASSETS
3,124
3,124
5,245
FUNDS
U11restricted ￿1]d$
3,124
5,245
TOTAL FUND
3,124
5.245
The charitable cojnpany is entitled to exemption from audit under Section 477 of the Compaiiies Act 2006 foi. the year
ended J l March 2021.
The meinbers have not required tlie company to obtain an audit of its financial statements for the ycar ended
31 March 2021 iii accordance with Section 476 of the Companies Act 2006.
Tlie trustees acknowledge their responsibilities for
(a)
ensiiring that the charitable coinpany keeps accounting records that cornply with Sections 386 and 387 of tlie
Coii)paiiies Act 2006 and
prepai-ing financial Statel￿entS wliich give a true and fair view of the state of affairs of the charitable coinpany as
at tlie end of each financial year and of it5 siirplus or deficit foi. each finaiicial year in accordaiice with the
reqliirements of Sectioiis 394 and 395 and which otherwise comply witli the requirejnenls of the Companies Act
2006 relating to financial statements, so fai- as applicable to the charitable company.
(b)
Tlie notes fortn part of these financial statetnents
contiiiued...

NORTHIRN IRELAND BArrcRY HF.N RESCUE
BALANCE SHEET- continued
31 MARCH 2021
These fin<incial .%laten)enls havc been prepared in accordance with the provisions applicable to chai-illlble coillpanie5
5ubj¢ct to the sinall coinpanies regiine.
"I'he financial stateiT]ents were approved by the Board of Tnistees and authorised for issue on 22 Decembei. 2021 and
wei'e signed on its behalf by-
Bai'bai'a Mladek - Ti'ustee
The notes form part ofthese financial statemeiits

NORTHIRN IRII LAND BATTIRY HEN RESCUE
NOTES TO THE filNANCIAL S'TATEMEI NTS
FOII THE YEAR ENDED 31 MARCH 2021
ACCOUNTING POLICIES
Basis of pi'eparing the finaiicial stalements
The fEnancial statemenls of the charitable company, which is a public benefit entity undei. FRS 102, have been
prepared in accordance witli the Charities SORP (FRS 102) 'Accounting and Reporting by Charities,. Stateinent
of Recoinineiided Practice applicable to charities preparing their accounts in accordance with the Financial
Reporting Standard applicable in the UK and Republic of Ireland (FRS 102) (effective l January 2019),,
Financial Reporting Standard 102 'The Financial Reporting Standard applicable in the UK and Ilepublic of
Ireland, aiid the Coinpanies Act 2006. The financial statements have been prepai'ed under the historical cost
convention.
Income
All incoine is recognised in the Stateinent of Financial Activities once the charity has entitlement to tlie funds, it
is probable that the incoine will be received and the amount can be measuiEd reliably.
xpenditure
Liabilktie5 are recognised as expenditure as soon as there is a legal or constructive obligation comLT)itting the
charity to that expenditure. it is probable that a transfer of economÉc benefits will be I'equii'ed in settlement and
the ainount of the obligation can be ineasured reliably. Expenditt]re is accounted for on an accruals basis and has
been classified under headings that aggregate all cost i'elated to the category. Where costs cannot be dii-ectly
attributed to particular headings they have been allocated to activities on a basis consistent with the use of
resources.
Tangible fixed assets
Depi'eciation is pj'ovided at the following annual rates in order to write off each asset over ils e5tiinaled useful
life.
Plant and inachineiy
Vail
150/0 on cost
20010 on cost
Taxation
The charity is exempt from corporation tax 01] its charitable actÈvities.
Fund accouiitiiig
Unrestricted funds can be used in accordance with the charitable objectives at the discretion of the ￿￿ste¢S.
Restricted ￿ndS can only be used for particular restricted purposes within the objects of the cliarity. Restrictions
arise when specified by the donor or when funds are raised for particular restricted purpose5.
Further explanation of the nature and pull￿Se of each fund is included in the notes to the financial stateinents.
INVISTMENT INCOME
J113121
3113120
Ii)tei'est receivable trading
coiitinued..-

NORTHERN IRELAND BATTERY HEN RESCUE
NOTEI S TO I'HF. FINANCIAL STATEI.VIEI NTS_ continued
FOR THf YEI AR ENDED 31 MARCH 2021
NET INCOMEI(EXPENDITURE)
Net iiicoiiicl(expenditui'e) 15 Stated after chargingl(crediting)-
3113121
3113120
Depi'eciation - owned assets
2,082
1,857
TRUSTEES, REMUNII RATION AND BEf4EFITS
There were iio trustees, reiniineration or other benefits for the year ended 31 Mai'ch 2021 nor for the year ended
31 Maich 2020.
Ti'ustees, expenses
There were no I￿stee5, expenses paid for the year ended 31 March 2021 nor for tlie year ended 31 March 2020.
COMPARATIVl¢S FOR THE STATEMENT OF FINANCIAL ACTIVITIES
Unrestrieted
fund
Restricted
fund
Total
funds
INCOME AND ETYDOWMENTS FROM
Doi)alions and legacies
35.620
35,620
Investment income
Total
35,621
35,621
EXPENDITURE OP4
RaÉsing fijnds
30,962
30,962
NET INCOME
4,659
4,659
RECONCILIATION or FUIYDS
Total funds brought forivard
586
586
TOTAL FUP4DS CARRIED FORWARD
5245
5.245
conlinued...

NORTHERN IRELAND BArfERY HF.N RFSCUE
NOTES TO THE FINANCIAL STATEMIYTS- continued
IOII THE Yfi AR ENDED 31 MARCH 2021
TANCIBLE FIXED ASSF.TS
Plant and
machinery
Van
Totals
COST
At l April 2020
Additions
274
1,680
9,150
9,424
1,680
At 31 Mai'ch 2021
1,954
9,150
11,104
DEPREI CIATIO]Y
At l April 2020
Charge for year
274
252
1,830
1,830
2,104
2,082
At 31 Mai'ch 2021
526
3,660
4,186
NET BOOK VALUE
At 31 March 2021
1,428
5,490
6,918
At 31 March 2020
7,320
7.320
DEBTORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
3113121
3113120
Other debtors
43
CREDITORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
3113121
3113120
Othei. cre(litors
Acci'uals and deferred income
4,203
1,345
5,500
1,320
5,548
6.820
MOVEME( NT IN FUNDS
Net
Inovement
in funds
At
3113121
At 114120
Unrestricted funds
General ft]nd
5,245
(2,121)
3,124
TOTAL FUNDS
5,245
(2,121)
3,124
continued...

NORTHERN IRELAND BATTERY HEN RESCUE
NOTfi.S TO TEIE FINANCIAL STATEMEI liTS- contiiiucd
riOR TJ.IE YE4 AR If4DED 31 MARCFI 2021
MOVE4 MINT IN FUNDS- continued
Net inovement in funds, included in the above ar¢ as follows:
lllcoiniiig
resourtes
Resoui'ces
expended
Movement
rn fuiids
Uni'estricted funds
General fund
23,151
(25,272)
(2,121)
TOTAL FUNDS
23,151
(25272)
(2,121)
Compar9tives for movement in funds
Net
movement
in fuvLd5
At
31T3120
At 114119
Unrestricted funds
General ￿nd
586
4,659
5,245
TOTAL FUNDS
586
4.659
5.245
Compai"ative net moveinent in funds, included in the above are as follows".
Incoming
resources
Resoiirces
expeiided
Movenieiit
in funds
Uilrestricted funds
General fiLnd
35,621
(30,962)
4,659
TOTAL FUNDS
35.621
(30,962)
4,659
A ciii'rent year 12 months and prior year 12 months combined position is as follows:
Ne¢
movement
iii funds
At
3113121
At 114119
Uiirestricted flind5
General fLLnd
586
2.538
3,124
TOTAL FUNDS
586
2,538
3,124
10
continued...

NORT14ERN IRELAND BATTERY HEN RESCUE
NOTES I'O THI fi INANCIAL STATIMENTS- coiitinued
40R THF. YEI AR NDED 31 MAIICH 2021
Movf.MEI NT IN FUNDS- eonliiiued
A CLirreIit yeai. 12 inonths and pj'ior year 12 months coinbined net n]oveJneiit in funds, included in the above are
as follows:
Incoming
resources
Resoui'ee5
expended
Movement
in funds
Unrestricted funds
Genei'al fund
58.772
(56,234)
2.538
TOTAL FUNDS
58,772
(56,234)
2,538
io.
RELATED PARTY DISCLOSURES
The Other Creditors figu￿ of £4,203 (2020:£5.500) represents a loan from Bai'ba1'a Mladek, a dllECtoi'ltrustee of
the company.