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2026-03-31-accounts

Trustees Annual Report For Whitngton Under Fives

For The Year To 31st March 2026

Charity Name : Whittington Under Fives

Registered Charity Number : 1017265

Charity Address : The Community Centre, Station Road, Whittington, Oswestry, Shropshire SY11 4DA

Whitngton Under Fives Current Ofcers :

Name: Post Held: Anita Wear Chair Rachel Talbot Treasurer Alex Clarke Secretary

Senior Staff Members :

Dawn Blackburn & Mandy Hughes

Structure, Governance & Management

Type of governing document: Constitution, adopted 11 September 2012.

The overall management and control of Whittington Under Fives rests with the individual member of the management committee. Those persons making up the committee are also the Charity Trustees of Whittington Under Fives.

Trustee Selection Methods: Trustees are appointed or re-appointed annually at the Annual General Meeting.

Additonal Governance Issues

There is a child protection policy in place. Criminal Records Bureau checks are carried out once new Trustees have been elected.

Whittington Under Fives is a member of the Pre-School Learning Alliance.

All Trustees give their time voluntarily and receive no remuneration or other benefits.

Objectves & Actvites

Whittington Under Fives aims to:

There is great value to the children as each child is:

Achievements & Performance

We had an Easter craft week, where the children made various Easter craft items to take home.

The local police officer visited in May, to talk to the children about road safety.

In June we had a stay and play session for prospective new families who may start in September, this was held over 2 afternoons.

Our leavers enjoyed a lunch at school as well as stay and play sessions. The reception teacher also visited us to meet the children and read them a story.

We held a coffee afternoon in July, where the children leaving and moving on to school preform a play Infront of parents/ families. This year the performance was Snow White and the colourful dwarfs.

During the Winter term the children took part in a number of Christmas activities including, a craft week, where the children could make various Christmas crafts to take home with them. For our annual Nativity Play we invited the local senior citizens from the village to attend the dress rehearsals of the nativity and treated them to tea/ coffee and mince pies. From feedback of this the senior citizens thanked us and said they had thoroughly enjoyed it. Parents and families attended the next day to see the children in the nativity.

Early in December the staff and children were invited to have a school Christmas lunch, which was thoroughly enjoyed by all.

A Christmas party was held for the children, with a party food lunch and entertainment by Diddi Dance.

Throughout the year we have had Shropshire music and Border Gymnastics come in to the setting to give a varied experience for the children

Financial Review

Living wage increase. Impact on pension & NI

The closing bank balance in the Everyday Account as at the end of the Financial Year (05/04/2026) was £51,214.00. The Savings Account balance stood at £125,212.00 (not showing the interest added).

These funds are held to maintain the day to day running of the setting and to meet any unforeseen expenses that may occur. A reserve for redundancies is held along with a reserve for one term’s costs. These monies are held in case of change to attendance which would have significant impact on income.

Working on approximately £160,000.00 expenditure for the year, we have calculated a figure of up to £53,000.00 that we will keep in reserve representing approximately one term’s costs.

The main income stream continues to come from the fees received. This is either from parents and/or carers and the majority from local council for funded hours and working family entitlement. Other smaller income includes fundraising events such as lucky bauble and coffee mornings.

A Christmas fair was held, with outside people booking a table to sell items. A variety of stalls were held including, Tattoos, tombola, surprise tombola, write a letter to Father Christmas and lucky dip. Father Christmas also visited, enabling the children to give him their letter.

Parents also contribute towards trips and purchase of pre-school uniform which makes up some more income for the setting.

The largest expense for the setting is staff costs which include wages, HMRC and pensions. Other expenditure includes rent, photocopier hire, insurance and telephone/internet charges. Annual professional fees for OFSTED and PLA registration fees, as well as staff training costs have been paid.

Funds have been spent on new equipment and resources for the children, these include e.g books, craft materials, paint, paper etc.

The level of children has been good this year, with a steady increase throughout the year.

Declaraton

The Trustees declare that they have approved the Trustees report above.

Signed on behalf of the Charity Trustees

Signature
Positon
Full Name
Date
Whi$ngton under Fives Whi$ngton under Fives
Year end 31 March 2026
Income and Expenditure Account
UNRESTRICTED FUNDS UNRESTRICTED FUNDS Movement
YEAR ENDED YEAR ENDED
31-Mar-25 31-Mar-26
Income
Parent fees £
13,378.45
£
15,163.19
1,784.74
Council funding £
154,951.51
£
139,929.19
(15,022.32)
Fundraisingevents £
815.50
£
484.70
(330.80)
Shropshire Council - Stayand Play £
-
£
-
0.00
Trip £
-
£
-
0.00
Party £
-
£
-
0.00
T-shirts £
271.18
£
159.50
(111.68)
Commission £
22.00
£
-
(22.00)
PackagingtesIng £
-
£
-
0.00
Interest £
-
£
-
0.00
Food Vouchers funding £
945.00
£
1,050.00
105.00
Other(donaIons etc) £
4,865.37
£
231.63
(4,633.74)
175,249.01 157,018.21 (18,230.80)
Expenditure
Wages £
105,515.92
£
108,975.67
3,459.75
HMRC £
7,730.62
£
10,915.68
3,185.06
Pensions £
3,279.19
£
4,046.43
767.24
Rent £
5,200.00
£
5,460.00
260.00
Insurance £
1,785.76
£
1,134.08
(651.68)
Telephone and internet £
769.17
£
779.58
10.41
Photocopier £
1,735.20
£
1,735.20
0.00
AdverPsing £
25.00
£
25.00
0.00
Professional Fees £
1,358.91
£
2,235.91
877.00
Ofsted registraPon £
50.00
£
50.00
0.00
Periodicals £
294.00
£
315.00
21.00
Staf Uniform £
171.07
£
414.36
243.29
Staf training and compliance £
447.00
£
550.19
103.19
Children's sweatshirts £
176.00
£
650.00
474.00
Supplies : Food £
-
£
-
0.00
Resources Children £
1,025.69
£
735.68
(290.01)
Supplies Household £
576.54
£
605.17
28.63
Supplies Ofce £
140.85
£
252.71
111.86
Equipment Children £
204.01
£
1,331.15
1,127.14
Ofce Equipment £
189.72
£
221.12
31.40
Household Equipment £
77.59
£
38.95
(38.64)
DonaPons £
2,391.77
£
122.13
(2,269.64)
Trip £
210.00
£
-
(210.00)
Gi[s £
139.00
£
612.27
473.27
Bank charges £
142.96
£
250.27
107.31
Pe^y cash £
1,600.00
£
800.00
(800.00)
Savings transfer £
-
£
15,000.00
15,000.00
Other £
163.05
£
150.00
(13.05)
Food Vouchers £
990.00
£
1,365.00
375.00
136,389.02 158,771.55
Surplus/defecit 38,859.99 - 1,753.34
Savings transfer 0.00 15,000.00
Savings interest 4,487 4,450.59
Actual surplus/defecit 38,859.99 17,697.25
bank balance as of year end 31/03/2026 51,214.12
bank balance at start of fnancial year 01/04/2025 52,967.46
savings transfers for year ending 31/03/2026 15,000.00
savings account balance as of year end 31/03/2026 125,212.26

1

Whi$ngton under Fives Whi$ngton under Fives
Bank current account reconciliaSon
Santander
For theperiod 01/04/24 to 31/03/25
£
Openingbank balance 14,107.47
Opening peOycash balance 43.13
Surplus for theyear 38,859.99
Closingbank balance 52,967.46
Closing peOycash balance 94.06
PeOycash allowance -50.93
-
Openingsavings balance 101,319.25
Savings account interest foryear 4,442.42
Closingsavings balance 105,761.67
0
Whi$ngton under Fives
Bank current account reconciliaSon
Santander
For theperiod 01/04/25 to 31/03/26
£
Openingbank balance 52,967.46
Opening peOycash balance 94.06
Surplus for theyear -1,753.34
Closingbank balance 51,214.12
Closing peOycash balance 142.25
PeOycash allowance -48.19
-
Openingsavings balance 105,761.67
Savings transfer 15,000
Savings account interest foryear 4,450.59
Closingsavings balance 125,212.26

1

CHARITY COMMISSION FOR ENGLAND AND WALES Independent examiner's report on the accounts Section A Independent Examiner's Report Report to the trusteesl Whittington Under Fives members of On accounts for the year ended 31$1 March 2026 Charity no {if any) 1017265 Set out on pages I report to the trustees on my examination of the accounts of the above charity I'the Trust") for the year ended 3110312024 Responslbilities and As the charity trustees of the Trust, you are responsible for the preparation basis of report of the accounts in ac¢ordance with the requiremenls of the Charrties Act 2011 1 the Act"). I report in respect of my examination of the Trust'5 accounts carried out under section 145 of the 2011 Act and in carrying out my examination, I have followed the applicable Directions given by the Charity Commission under section 14515}{b) of the Act. I have completed my examination. I confimi that no material matters have come lo my attention Independent examiner's statement in connection with the examination which gives me cause to believe thal in, any material respect. accounting records were not kept in accordan￿ with section 130 of the Act or the accounts do not accord with the accounting records I have no concerns and have come across no other matters in connection with the examination to which attention should be drawn in order to enable a proper understanding of the accounts to be reached. Please delete the words in the brackets if Ihey do not apply Signed: Date: 0910612026 Name: Richard Williams Relevant professional qualificationlsl or body lif any): Address: 56 Willow Street Oswestry SY11 1AD IER October 2018