Annual Information Statement 2018

Legal Name
Remount Ltd
ABN
56613108446

About the charity

Charity size
Small
Fundraising online
No
Is the charity an incorporated association?
No
Does the charity intend to fundraise in the next reporting period?
No
Basic Religious Charity
No

Activities and Beneficiaries

Did the charity operate in the 2018 reporting period?
Yes
Main activity
Other health service delivery
Main activities
Social services
Description of charity's activities and outcomes
Remount provides horsemanship programs to returned servicemen and women of primarily the Australian Defence Force (“ADF”) (including veterans and current servicemen and women taking a break from the ADF), but also emergency personnel, and their families to manage the impact of stress, injury, loss and/or mental health challenges and illnesses such as post-traumatic stress disorder (“PTSD”) as a result of their service.
Where the charity conducted activities during the 2018 reporting period
New South Wales
Will the charity change or introduce any activities in the 2019 period?
No
Main beneficiary
Veterans and/or their families
Other beneficiaries
Other
  • First Responders (and their families) such as Paramedics, Rural Fire Brigade and Police.

Annual report

Note: If you want to see the financial report or annual report that this charity has submitted, go back to Financials & Documents.

Human Resources

Human resources
  • Full time employees: 0
  • Part time employees: 0
  • Casual employees: 0
  • Full-time equivalent staff (FTE): 0
  • Estimated number of volunteers: 20

Financial Reporting

Charity's 2018 reporting period
1 July 2017 to 30 June 2018
Accounting method used in the 2018 reporting period
Cash

Income and Expenses

Income Statement summary

Revenue/receipts
Donations and bequests
$84,000.00
Revenue from providing goods or services
$0.00
Revenue from government including grants
$0.00
Revenue from investments
$0.00
Other revenue/receipts
$210.00
Total revenue/receipts
$84,210.00
Other income (for example, gains)
$0.00
Total income/receipts
$84,210.00
Expenses/Payments
Employee expenses/payments
$0.00
Grants and donations made for use in Australia
$0.00
Grants and donations made for use outside Australia
$0.00
Other expenses/payments
$36,574.00
Total expenses/payments
$36,574.00
Net surplus/(deficit)
$47,636.00

Balance Sheet Extract

Total assets
$71,431.00
Total liabilities
$0.00
Net assets/liabilites
$71,431.00