Charity f¢8iStra¢ion number.. I
878
Husky Salvation
Annual Re￿rt and Financial Ststements
ror the Yw F.nded 8 March 2022

Husky Sllvation
Contents
Refrrence and Admit)istrativ¢ Details
TnLStee$' Report ..
A¢countants' Report
Statement of financial activiti¢s
Ba]an¢e Sheet __
Noto to the financial sratem¢ots
6t¢8
The followin8 PABe not fomi part of the statutrry financial ststrmthts:
Stst¢m¢nt of financiAt adivitics w fiuMI

Husky Salvation
Reference and Administrative Details
Ch#rlty nime
H￿SkY Sa]Tth
CharAty rry1otrat￿th number
107878
PTlnclpl office
114 Sli¢v¢bane R￿1
Irviwtffib
BT94 1 DJ
Regtstered omee
114 Sli¢vebane Rwl
Irvine5kn
BT94 1 DJ
Trnsteu
Maria Smith
Jthanne Jwlge
Jennif¢r Jud8e
Pwl

Husky Salvation
Trustees, Report
The Tr￿lee$ Rcpm SI￿uld go h¢re.
Swilch to Edit mode. cliik 'ldil" akn'L thi.s r4X)rt M'iThth)w to ckn8c lo Edit n￿.
Approved by the Tr￿Ste¢s on 12 January 2023 and signed on their by..
Johanne Judge
Trustee
Page 2

You h￿¢ approvcd the financial information for the year and have acknow'ledg¢d YOUT responsibilty for i(
for
the apPrOpria￿neSS of financial rqx>rting frnMew￿k 8dopted aod for providing all Inforn￿tii)n Ind
explan8tions necessary for its compilation.
W¢ hv¢ not vertficd the accuracy OT complekness of the accountin8 rttords or inforniation and explanatipns
you have given to w and we do no¢ therefoTe. ¢xpress 4ny opinion on th¢ financial Inforni￿lon.

Husky Sthiation
Statement of Flnanclal Adivities for the Year Ended 8 Mareb 2022
Total Fundi I
Totsl Funds 2 (ktober
Year ended
202(I to
8 M*rth
8 Marek
21122
2021
Unrestrlrted
Note
1￿comIng rejollrtts
Incoming resources from g¢nerated funds
Voluntary income
Totsl incomin8 r¢soiirc
4.2
4.290
4.241
4290
1,3(rfJ
1.3(rf)
Resourtej expended
Costs of gcnerating funds
Costs of 8¢nerniin8 voluntsry in￿rne
Total r¢8ourc¢s ex￿MIed
3.576
5.576
5.576
5.576
1,061
Net movements in fun
11286)
(1.286)
219
Reeon¢lll*tlom of fyodj
Total fimds brou8hi fornard
Tothl fi￿￿$ carri¢d forwaTd
239
11.0471
239
{1.047)
39
All incomin8 Tejources and ruourtts expend￿1 deril'e frthn continuinR adiYiti¢g.
Th¢ charity has no re¢o8Diged gains or lo&qes for the year oth¢rth#n the results Above.
The not¢s on pages 6 to 8 Jn int¢wl of these fiwncial strtcm¢nts.
Page 4

Husky Salvallott
Balance Sheet as at 8 MAr¢h 2022
8 M#rrh 2022
8 Mireh 2021
No
Current ￿se1$
Cash at bank and in hand
239
Credltorj: Amovoti fallkng
due wtthla One year
(1.047)
Net current {li*blll¢iesywts
(1.047)
139
Net (Il*bUfitk•y*Mets
{ I.IH7)
239
Tb¢ funds of the ¢harlty:
Unrtttrl¢ted hndi
Unrestricted income funds
(1.047)
{1,047)
239
TotAI charlty
239
Approved by the Bogrd on 12 January 2023 and si￿d on its bel￿f by..
Johanne Judge
TrLL$lee
The notc3 on Feges 6 to 8 forn an inte￿1 pftrt of these fiDaDciat stat¢ments.
Pw5

Husky Salvation
Notes to the Financlal Ststements for the Year Ended 8 March 2022
l AetOUOting politi
Blslg ofpr¢pir•tiDn
The financial stst¢mcnts hay¢ been under the historical cost eonvention and in Ae¢ordance with thc
Statement of Reco1￿mended Practicc 'Aceountin8 and R¢p)rtill8 by Clwities {SORP 2005),, issued i
March 2(M)51 applicabl¢ accounting 5tsnd￿dS and the Chariii¢s Act 2011.
Fund i¢¢oMThti*g poliey
Unrestrict¢d incom¢ fund% Are genernl fund3 that available for use ai the trusw, di8cretiim in
furtheTan¢e of the objrfiives of th¢ Charity.
urther detoils of ¢aeh fund are dis¢los¢d in note 7.
Ineomlng re￿￿TeeS
Donationg eTe rKo8ttis¢d th¢r¢ IJ ¢ntt"d¢meni ¢¢rtainry of rc¢¢lw Ind the amount Can be mwuNI
with sufficieni reliability.
ReJourte4 ¢xpendtd
Liabiliiie$ arc recognis¢d as SLxTrn there is 8 Ic8al or Constr￿1Ve obli8ation committin8 the charity io the
expenditur¢. All exp¢ndilure is ￿COun￿d for i)n an ￿Cn￿lS bosis and has t¢en clatsified under headirgs
Ihat aggre8a￿ 811 wsts rel8*d tt) the Ca￿Ory.
Costs of 8ener8ting furb& are th¢ ¢osts with attraciing voluntary incom¢.
2 Voluntary In¢ome
To¢*1 Fun
U•restricttd Year ended
Funds
Total Fundi
12 O¢tober
2020 to
8 M•rch
2021
2022
DoDAtlons Ind legA¢leb
AEveal8 and donations
4,2
4.290
1.3
Pa8e 6

Husky Salvation
Notes to the Financial Ststelnents for the Year Ended 8 Mgrch 2022
. conhmied
3 Tot*1 resourcu expeDded
#Dd legaciej
Tot*]
Direct
Other dire¢1 cosis
Repairs and maintenAnce
Motor expcnses
4.969
4.969
160
447
5,576
447
5.576
4 Trn$te¢i' r¢muner•don ind expem
No trustCCS I￿]ved any remuneNion durin8 the year.
S Credltors: Amounts f•lllTrg dthe wlthl* o•t y￿r
8 Mlnh 2022 8 M*rcb 2021
1.047
Page 7

Husky Salvation
Notes to the Financial Ststements for the Year Ended 8 March 2022
. conlimi
O Rel*ted p*rtl
Coffjtrolllng entlty
Th¢ charity is controlled by the trus*es.
7 An4lyilJ orruTrdJ
At 9 M•r¢h
2021
In¢omlth8
Re￿￿r¢¢I
expended
At 8 MArt
2021
Gefjer*l Funds
Unrestrict¢d income fimd
239
4.2
{5.576)
11.047)
8 Net *$Wts by fuod
UAr¢s¢rkted Totsl Fund$ 8 Totsl 8
Fwnd•
M•rch 2022
M*rch 2121
239
Cr¢ditors'. Amoutts f￿lin$ due within one year
Net assets
(1.047)
1.047
11,047>
(1.047)
239
P8ge 8

Husky Salvatlon
Statement of f￿anCIal activitles by fuDd Year Ended 8 Marcb 2022
Unrestricled Unre5trt¢ted
lll¢ome fund lllcome fund
2022
2021
IneomlDg r¢Jollre¢s
Incomin8 ￿oUr¢eS from 8¢nerat¢d funts
Volunlary income
Totsl incoming resources
4.290
4,2
1,300
1,300
Resourcej expellded
Cos¢s of g¢neraiing funds
Costs of generating voluntary inwme
Total Tcsour¢¢s expended
5,576
5.576
1,061
Net movements in funth
11,286>
?39
Re¢onf Illatlon of fu#ds
Toiai fi￿d5 bToughi forward
Tothl funds carried fonvard
239
(1.047)
?39
This page not form part of the stattrtory financial sta*m¢nts.
Pa8e 9