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2024-12-31-accounts

BURFORD PRESCHOOL TRUSTEES ANNUAL REPORT

  1. Name :Burford Preschool.

2. Charity number : 1013024

  1. Address : Tanners Lane, Burford, Oxfordshire. OX18 4NA.

  2. Name of all Trustees : Amanda Selita, Joanne Williams, Dale Peedell, Kerri Rees, Donna McCracken, Jade Shepherd

5. Organisational structure :

Custodial Trustees : Joanne Williams, Amanda Selita. Chair : Joanne Williams Treasurer : Donna McCracken Secretary : Kerri Rees Fundraising Co-ordinator: Jade Shepherd Committee Members : Olga Caless, Supervisor : Katie Wilton Assistant Supervisor : Karen Peedell Staff members : Stacey Whalley, Kate Leach, Amy Dadge

Trustees are elected annually through a process of nomination at each AGM.

  1. How the charity is constituted : please see the Preschool Learning Alliance Model Preschool Constitution 2010.

  2. Decision Making : The committee meets on average once a term, all meetings are minuted. All issues are discussed and decisions are made by a majority vote.

  3. Objectives and activities : To offer the highest standard provision for children aged two to five.

9. Achievements and performance :

To ensure the future of the preschool in it's current building, to attract new children to the preschool. We achieved a Good from OFSTED in 2019 and want to continue to work at this level. Our focus this year has been on fundraising and planning to improve the IT provision at the Pre-School this will provide a more efficient system for the Pre-Schools administration tasks, but more importantly allow us to offer a more relevant learning experience. Our reputation as a Pre-School remains high within the community and has resulted in waiting lists for most of our sessions Actions taken include :

The preschool continues to be in a stable financial position, which we must maintain to ensure the preschool remains financially viable.

ii. Continue to run the three afternoon sessions as these are proving very popular.

Outlook for upcoming year :

The upcoming year is looking positive, our OFSTED performance was Good, will still attract children to the preschool and now have a waiting lists for some of our sessions. Our plan for the coming year is to implement knowledge and understanding of the world through play to build confidence and encourage more open ended questions.

Report by Joanne Williams, Chairperson, Burford Preschool

Burford Pre-School 1013024

Accounts for the year ending 31 December 2024

Burford Pre-School

Accounts for the year ended 31st December 2024

Contents

Burford Pre-School Summary of Receipts and Payments Accounts for the year ending 31st December 2024

£
9,024.50
70,117.38
13,800.35
1,130.25
304.75
-
137.35
18,453.19
94,514.58
85,962.18
2023
£
94,514.58
47,351.58
1,643.97
907.09
6,807.98
15,450.79
1,618.68
2,659.15
1,187.50
115.28
719.28
15.00
-
1,373.08
60.00
898.62
44.81
-
118.32
587.05
-
313.98
713.50
89.91
857.87
1,185.60
902.48
340.66
85,962.18
8,552.40
27,005.59
16,783.41
10,210.51
11.67
27,005.59
Receipts
£
£
Fees
11,111.32
Early years grant
82,608.57
Donations
9,145.86
Fund raising
2,060.56
Bank interest
330.81
Milk refunds
-
Misc
-
Total receipts
105,257.12
Payments
Wages
56,634.24
Tax & NI
907.62
Conucil Tax & Rates
1,200.60
Utilities
19,497.40
Building maintenance
13,872.58
Early years equipment
888.85
Food
1,894.65
Cleaning
652.48
Advertising
-
Postage & stationery
1,122.59
Travel
300.00
Web Costs
216.00
Insurance
2,403.07
Bank charges
60.00
Staff welfare
246.88
Health and Safety
66.89
Waste Disposal
772.53
Subscriptions
50.00
Professional
1,668.09
School Fees
-
Tech Equipment
17.71
Repairs and Renewals
471.34
Clothing
131.00
Training
362.83
Accounts
573.60
Pension
952.41
Miscellaneous
706.83
Total payments
105,670.19
Annual surplus/deficit
413.07
-
Receipts & Payments Summary
Balance b/fwd @ 1st January
27,005.59
Add total receipts
105,257.12
Deduct total payments
105,670.19
Balance as at 31st December
26,592.52
Represented by
Current account
16,084.73
Deposit account
10,464.50
Maintenance account
43.29
Total
26,592.52
2024
Receipts
£
£
Fees
11,111.32
Early years grant
82,608.57
Donations
9,145.86
Fund raising
2,060.56
Bank interest
330.81
Milk refunds
-
Misc
-
Total receipts
105,257.12
Payments
Wages
56,634.24
Tax & NI
907.62
Conucil Tax & Rates
1,200.60
Utilities
19,497.40
Building maintenance
13,872.58
Early years equipment
888.85
Food
1,894.65
Cleaning
652.48
Advertising
-
Postage & stationery
1,122.59
Travel
300.00
Web Costs
216.00
Insurance
2,403.07
Bank charges
60.00
Staff welfare
246.88
Health and Safety
66.89
Waste Disposal
772.53
Subscriptions
50.00
Professional
1,668.09
School Fees
-
Tech Equipment
17.71
Repairs and Renewals
471.34
Clothing
131.00
Training
362.83
Accounts
573.60
Pension
952.41
Miscellaneous
706.83
Total payments
105,670.19
Annual surplus/deficit
413.07
-
Receipts & Payments Summary
Balance b/fwd @ 1st January
27,005.59
Add total receipts
105,257.12
Deduct total payments
105,670.19
Balance as at 31st December
26,592.52
Represented by
Current account
16,084.73
Deposit account
10,464.50
Maintenance account
43.29
Total
26,592.52
2024
105,257.12
56,634.24
907.62
1,200.60
19,497.40
13,872.58
888.85
1,894.65
652.48
-
1,122.59
300.00
216.00
2,403.07
60.00
246.88
66.89
772.53
50.00
1,668.09
-
17.71
471.34
131.00
362.83
573.60
952.41
706.83
105,670.19
413.07
-
26,592.52
16,084.73
10,464.50
43.29
26,592.52

Burford Pre-School

Bank reconciliation as at 31st December 2024

Current Deposit Maintenance All accounts
Opening balance at 01/01/2024 16,783.41
£
10,210.51
£
11.67
£
27,005.59
£
Receipts analysis 112,991.51
£
253.99
£
8,064.42
£
121,309.92
£
Payments analysis 113,690.19
£
-
£
8,032.80
£
121,722.99
£
Closing balance 16,084.73
£
10,464.50
£
43.29
£
26,592.52
£
Balance of statement at 31/12/2024 16,084.73
£
10,464.50
£
43.29
£
26,592.52
£
Difference -
£
-
£
-
£
-
£

Burford Pre School

INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES OF THE BURFORD PRE SCHOOL

I report on the accounts of the Charity for the year ended 31 December 2024 which are set out on pages 1, 2 & 3.

Respective responsibilities of trustees and examiner.

The charity's trustees are responsible for the preparation of accounts. The charity's trustees consider that an audit is not required for this year (under section 43(2) of the Charities Act 1993 (the 1993 Act) and that an independent examination is needed.

It is my responsibility to:

Basis of independent examiner's report.

My examination was carried out in accordance with the General Directions given by the Charity Commissioners. An examination includes a review of the accounting records kept by the charity and a comparison of the accounts presented with those records. It also includes consideration of any unusual items or disclosures in the accounts, and seeking explanations from you as trustees concerning any such matters. The procedures undertaken do not provide all the evidence which would be required in an audit and consequently I do not express an audit opinion on the accounts.

Independent examiner's statement

In connection with my examination, no matter has come to my attention:

David Cuthbertson. - Cert Acc (Open) Shilton Accounting Services 1 The Clock House Brize Norton Road Carterton OX18 3HN

Burford Pre-School 1013024

Accounts for the year ending 31 December 2024

Burford Pre-School

Accounts for the year ended 31st December 2024

Contents

Burford Pre-School Summary of Receipts and Payments Accounts for the year ending 31st December 2024

£
9,024.50
70,117.38
13,800.35
1,130.25
304.75
-
137.35
18,453.19
94,514.58
85,962.18
2023
£
94,514.58
47,351.58
1,643.97
907.09
6,807.98
15,450.79
1,618.68
2,659.15
1,187.50
115.28
719.28
15.00
-
1,373.08
60.00
898.62
44.81
-
118.32
587.05
-
313.98
713.50
89.91
857.87
1,185.60
902.48
340.66
85,962.18
8,552.40
27,005.59
16,783.41
10,210.51
11.67
27,005.59
Receipts
£
£
Fees
11,111.32
Early years grant
82,608.57
Donations
9,145.86
Fund raising
2,060.56
Bank interest
330.81
Milk refunds
-
Misc
-
Total receipts
105,257.12
Payments
Wages
56,634.24
Tax & NI
907.62
Conucil Tax & Rates
1,200.60
Utilities
19,497.40
Building maintenance
13,872.58
Early years equipment
888.85
Food
1,894.65
Cleaning
652.48
Advertising
-
Postage & stationery
1,122.59
Travel
300.00
Web Costs
216.00
Insurance
2,403.07
Bank charges
60.00
Staff welfare
246.88
Health and Safety
66.89
Waste Disposal
772.53
Subscriptions
50.00
Professional
1,668.09
School Fees
-
Tech Equipment
17.71
Repairs and Renewals
471.34
Clothing
131.00
Training
362.83
Accounts
573.60
Pension
952.41
Miscellaneous
706.83
Total payments
105,670.19
Annual surplus/deficit
413.07
-
Receipts & Payments Summary
Balance b/fwd @ 1st January
27,005.59
Add total receipts
105,257.12
Deduct total payments
105,670.19
Balance as at 31st December
26,592.52
Represented by
Current account
16,084.73
Deposit account
10,464.50
Maintenance account
43.29
Total
26,592.52
2024
Receipts
£
£
Fees
11,111.32
Early years grant
82,608.57
Donations
9,145.86
Fund raising
2,060.56
Bank interest
330.81
Milk refunds
-
Misc
-
Total receipts
105,257.12
Payments
Wages
56,634.24
Tax & NI
907.62
Conucil Tax & Rates
1,200.60
Utilities
19,497.40
Building maintenance
13,872.58
Early years equipment
888.85
Food
1,894.65
Cleaning
652.48
Advertising
-
Postage & stationery
1,122.59
Travel
300.00
Web Costs
216.00
Insurance
2,403.07
Bank charges
60.00
Staff welfare
246.88
Health and Safety
66.89
Waste Disposal
772.53
Subscriptions
50.00
Professional
1,668.09
School Fees
-
Tech Equipment
17.71
Repairs and Renewals
471.34
Clothing
131.00
Training
362.83
Accounts
573.60
Pension
952.41
Miscellaneous
706.83
Total payments
105,670.19
Annual surplus/deficit
413.07
-
Receipts & Payments Summary
Balance b/fwd @ 1st January
27,005.59
Add total receipts
105,257.12
Deduct total payments
105,670.19
Balance as at 31st December
26,592.52
Represented by
Current account
16,084.73
Deposit account
10,464.50
Maintenance account
43.29
Total
26,592.52
2024
105,257.12
56,634.24
907.62
1,200.60
19,497.40
13,872.58
888.85
1,894.65
652.48
-
1,122.59
300.00
216.00
2,403.07
60.00
246.88
66.89
772.53
50.00
1,668.09
-
17.71
471.34
131.00
362.83
573.60
952.41
706.83
105,670.19
413.07
-
26,592.52
16,084.73
10,464.50
43.29
26,592.52

Burford Pre-School

Bank reconciliation as at 31st December 2024

Current Deposit Maintenance All accounts
Opening balance at 01/01/2024 16,783.41
£
10,210.51
£
11.67
£
27,005.59
£
Receipts analysis 112,991.51
£
253.99
£
8,064.42
£
121,309.92
£
Payments analysis 113,690.19
£
-
£
8,032.80
£
121,722.99
£
Closing balance 16,084.73
£
10,464.50
£
43.29
£
26,592.52
£
Balance of statement at 31/12/2024 16,084.73
£
10,464.50
£
43.29
£
26,592.52
£
Difference -
£
-
£
-
£
-
£

Burford Pre School

INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES OF THE BURFORD PRE SCHOOL

I report on the accounts of the Charity for the year ended 31 December 2024 which are set out on pages 1, 2 & 3.

Respective responsibilities of trustees and examiner.

The charity's trustees are responsible for the preparation of accounts. The charity's trustees consider that an audit is not required for this year (under section 43(2) of the Charities Act 1993 (the 1993 Act) and that an independent examination is needed.

It is my responsibility to:

Basis of independent examiner's report.

My examination was carried out in accordance with the General Directions given by the Charity Commissioners. An examination includes a review of the accounting records kept by the charity and a comparison of the accounts presented with those records. It also includes consideration of any unusual items or disclosures in the accounts, and seeking explanations from you as trustees concerning any such matters. The procedures undertaken do not provide all the evidence which would be required in an audit and consequently I do not express an audit opinion on the accounts.

Independent examiner's statement

In connection with my examination, no matter has come to my attention:

David Cuthbertson. - Cert Acc (Open) Shilton Accounting Services 1 The Clock House Brize Norton Road Carterton OX18 3HN