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2021-08-31-accounts

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Charity Number: 1019852
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Charity Number: 1019852 Horrington House Pre-School School House, Bath Road, West Horrington, Wells, BA5 3EB Direct Mobile: 07531497727

9[th] February 2022.

Managers report.

Well, yet another unusual year, I am so pleased that we can meet face to face at last for this meeting, it is so nice to see everyone.

Our role numbers always cause us great debate and concern each year, but I feel we can be confident that the autumn term figures were fair, and now as we move into Spring we are 102 sessions booked out of a possible 120. As a team and with the support of the management committee at our meetings we consider the best and most focused way to promote the setting, and once again we come up with the answer of ‘word of mouth ‘ and keeping a good community voice. We have been told recently by a possible new parent that Horrington House retains this status.

Our team has remained the same, with Emily Sheppard now on the rota for the setting, and I would like to take this opportunity to offer her a big welcome back from us all. I firmly believe this consistent care aids the children’s settled approach and their confidence to attend preschool. This year, with the strict Covid 19 guidelines, has proven to be very important, and I am so proud of all our children for the manner they greet us at the gate in the morning and their impeccable behaviour. The drop off times could have been extremely difficult for them, however the children are absolutely brilliant, showing their trust in our team. During the rest of the summer term we will continue with educational curriculum and our outside time, which is so important to the well being of the children. The preschool is a member of the Early Years Alliance, which offers us legal support and is a good source of information for our training, which has continued on line, so CPD remains in place.

During the Summer break the preschool garden was updated, sadly the wooden gazebo had to be removed but the playhouse looks wonderful with the new wood treatment, and I would like to thank the family that supported us with time and effort, the garden is a great asset to us and the children.

We have now opened our link to parents via Tapestry for individual observations and group activities, and I am sure you will all agree this is a positive and informative link with our families. We manage to speak to most parents upon collection, keeping our much valued open communication pathway in place, and we will continue with this practice, hopefully every soon we will be able to return to parent consultations. I feel I must say that our families have been very understanding and supportive of our community setting during the last difficult few months.

I would like to take to this opportunity to thank Carol, Emily and Emily for their support, and loyalty through a very stressful time, with so many changes, some within a day’s or even hours notice.

Finally I express my deep felt thanks to Holly, Eve and Ashleigh, who have supported, guided and encouraged our professionalism throughout the year. Also a big thankyou to Holly, our Chairperson, she has remained professional, calm and caring, always just a phone call away, I wish her the best of luck with her new ventures and hope she keeps in touch.

I hope we will return to the normal operational procedures very soon and look forward to a great Summer term.

HORRINGTON HOUSE PRESCHOOL

HORRINGTON HOUSE PRESCHOOL HORRINGTON HOUSE PRESCHOOL HORRINGTON HOUSE PRESCHOOL
TRIAL BALANCE- YEAR ENDED 31 AUGUST 2021
Balances b/f BANK CASH Adjustments CreditorsDebtors PROFIT BALANCE
DR CR DR CR DR CR DR CR DR CR
INCOME 0.00
Grants 40478.76 ###
Fees 11349.57 ###
Funding 0.00
HMRC Grants 9058.48 -9058.48
SCC-First aid claim 0.00
Fundraising-net 385.00 -385.00
Apprenticeship 0.00
Interest received 2.82 -2.82
Wages 46067.28 ###
Rent 1500.00 4500.00 1500.00 1500.00
Resources & Materials 241.42 241.42
Equipment 2213.35 38.93 2174.42
Postage & Stationary 1176.70 1176.70
Printing & Photocopying 168.65 168.65
Repairs & Renewals 210.56 210.56
Insurance 517.39 517.39
Training 573.70 75.00 498.70
Uniforms 120.00 120.00
Subscriptions & Membership Fee 412.16 412.16
Cleaning 385.24 385.24
Bursary 0.00
Refreshments/Snacks 412.77 412.77
Bank Charges 0.00
Professional Fees 145.00 145.00
Fundraising expenses 0.00
Sundry 430.26 430.26
BALANCE SHEET
Capital account ### ###
Capital Introduced 0.00
Drawings 0.00
Treasurer account ### 62885.74 57587.69 ###
Fund account ### 1502.82 1500.00 ###
Cash in hand 25.06 100.00 86.79 38.27
Sales Control 0.00
SUSPENSE 0.00
CREDITORS 0.00
DEBTORS 0.00
### ### ### ### 0.00 0.00 0.00 0.00
0.00
0.00 **### ** 6814.08
0.00 0.00

HORRINGTON HOUSE PRESCHOOL NOTES FOR REVIEW

HORRINGTON HOUSE PRESCHOOL

Charity No:1019854

INCOME AND EXPENDITURE ACCOUNT

FOR THE YEAR ENDED 31st AUGUST 2021

Income
Grants
Fees
Funding
HMRC Grants
SCC-First Aid Claim
Fundraising-net
Apprenticeship
Interest
Expenses
Wages
Rent
Resources & Materials
Equipment
Postage & Stationery
Printing & Photocopying
Repairs & Renewals
Insurance
Training
Uniforms
Subscriptions & Membership Fee
Cleaning
Refreshments/Snacks
Bank Charges
Professional Fees
Bursary
Fundraising expenses
Sundry
2021
£
###
###
0.00
9058.48
0.00
385.00
0.00
2.82
###
###
1500.00
241.42
2174.42
1176.70
168.65
210.56
517.39
498.70
120.00
412.16
385.24
412.77
0.00
145.00
0.00
0.00
430.26
###
2020
£
37656.94
14666.31
0.00
6401.01
0.00
42.00
0.00
30.81
58797.07
42411.17
1500.00
1245.51
488.59
809.53
10.54
15.00
455.36
311.04
152.54
396.31
119.40
279.46
0.00
85.00
0.00
0.00
101.18
48380.63

NET PROFIT/LOSS FOR THE YEAR

6814.08

10416.44

HORRINGTON HOUSE PRE-SCHOOL

NET WORTH

Balance at 1st September 2020
HSBC Treasurer Account
HSBC Fund Account
Petty Cash
Creditors
Proft in the year
Closing balance @ 31st August 2021
Represented by:
Balance at 31st August 2021
HSBC Treasurer Account
HSBC Fund Account
Petty Cash
###
###
25.06
-1500.00
###
###
38.27
42751.64
6814.08
49565.72
49565.72

In my opinion these accounts show a materially correct view of the state of the Pre affairs at the 31st August 2021.

-School's

HORRINGTON HOUSE PRESCHOOL

Charity No:1019854

INCOME AND EXPENDITURE ACCOUNT

COMPARISON FOR EACH TERM

Income
Grants
Fees
Funding
HMRC Grants
SCC-First Aid Claim
Fundraising-net
Apprenticeship
Interest
Expenses
Wages
Rent
Resources & Materials
Equipment
Postage & Stationery
Printing & Photocopying
Repairs & Renewals
Insurance
Training
Uniforms
Subscriptions & Membership Fee
Cleaning
Refreshments/Snacks
Bank Charges
Professional Fees
2020/2021
2021
Autumn/
Spring
Winter
£
£
11376.28
###
4360.00
2311.00
0.00
0.00
1111.95
6348.53
0.00
0.00
0.00
385.00
0.00
0.00
0.94
0.48
16849.17
###
15731.17
###
0.00
2500.00
235.58
0.00
300.20
395.60
592.69
328.71
0.00
0.00
14.30
108.54
0.00
0.00
573.70
-75.00
0.00
0.00
99.95
659.77
0.00
0.00
189.40
24.51
0.00
0.00
0.00
130.00
Bursary
Fundraising expenses
Sundry
NET PROFIT/LOSS FOR THE YEAR
0.00
0.00
265.38
18002.37
-1153.20
0.00
0.00
0.00
###
6116.67

HORRINGTON HOUSE PRE-SCHOOL

NET WORTH

Balance at 1st September 2020
HSBC Treasurer Account 16161.35
HSBC Fund Account 28065.23
Petty Cash 25.06
Creditors -1500.00

Profit in the year

Closing balance @ 31st August 2021

Represented by:

Balance at 14th June 2021

Balance at 14th June 2021
HSBC Treasurer Account 21459.40
HSBC Fund Account 28068.05
Petty Cash 38.27

2021

Summer

£

16780.03 4678.57 0.00 1598.00 0.00 0.00 0.00 1.40 23058.00

19157.45 500.00 5.84 1478.62 255.30 168.65 87.72 0.00 0.00 120.00 169.83 385.24 198.86 0.00 15.00

0.00 0.00 164.88 22707.39

350.61

6814.08

HORRINGTON HOUSE PRESCHOOL

HORRINGTON HOUSE PRESCHOOL HORRINGTON HOUSE PRESCHOOL HORRINGTON HOUSE PRESCHOOL
TRIAL BALANCE- YEAR ENDED 31 AUGUST 2021
Balances b/f BANK CASH Adjustments CreditorsDebtors PROFIT BALANCE
DR CR DR CR DR CR DR CR DR CR
INCOME 0.00
Grants 40478.76 ###
Fees 11349.57 ###
Funding 0.00
HMRC Grants 9058.48 -9058.48
SCC-First aid claim 0.00
Fundraising-net 385.00 -385.00
Apprenticeship 0.00
Interest received 2.82 -2.82
Wages 46067.28 ###
Rent 1500.00 4500.00 1500.00 1500.00
Resources & Materials 241.42 241.42
Equipment 2213.35 38.93 2174.42
Postage & Stationary 1176.70 1176.70
Printing & Photocopying 168.65 168.65
Repairs & Renewals 210.56 210.56
Insurance 517.39 517.39
Training 573.70 75.00 498.70
Uniforms 120.00 120.00
Subscriptions & Membership Fee 412.16 412.16
Cleaning 385.24 385.24
Bursary 0.00
Refreshments/Snacks 412.77 412.77
Bank Charges 0.00
Professional Fees 145.00 145.00
Fundraising expenses 0.00
Sundry 430.26 430.26
BALANCE SHEET
Capital account ### ###
Capital Introduced 0.00
Drawings 0.00
Treasurer account ### 62885.74 57587.69 ###
Fund account ### 1502.82 1500.00 ###
Cash in hand 25.06 100.00 86.79 38.27
Sales Control 0.00
SUSPENSE 0.00
CREDITORS 0.00
DEBTORS 0.00
### ### ### ### 0.00 0.00 0.00 0.00
0.00
0.00 **### ** 6814.08
0.00 0.00

HORRINGTON HOUSE PRESCHOOL NOTES FOR REVIEW

HORRINGTON HOUSE PRESCHOOL

Charity No:1019854

INCOME AND EXPENDITURE ACCOUNT

FOR THE YEAR ENDED 31st AUGUST 2021

Income
Grants
Fees
Funding
HMRC Grants
SCC-First Aid Claim
Fundraising-net
Apprenticeship
Interest
Expenses
Wages
Rent
Resources & Materials
Equipment
Postage & Stationery
Printing & Photocopying
Repairs & Renewals
Insurance
Training
Uniforms
Subscriptions & Membership Fee
Cleaning
Refreshments/Snacks
Bank Charges
Professional Fees
Bursary
Fundraising expenses
Sundry
2021
£
###
###
0.00
9058.48
0.00
385.00
0.00
2.82
###
###
1500.00
241.42
2174.42
1176.70
168.65
210.56
517.39
498.70
120.00
412.16
385.24
412.77
0.00
145.00
0.00
0.00
430.26
###
2020
£
37656.94
14666.31
0.00
6401.01
0.00
42.00
0.00
30.81
58797.07
42411.17
1500.00
1245.51
488.59
809.53
10.54
15.00
455.36
311.04
152.54
396.31
119.40
279.46
0.00
85.00
0.00
0.00
101.18
48380.63

NET PROFIT/LOSS FOR THE YEAR

6814.08

10416.44

HORRINGTON HOUSE PRE-SCHOOL

NET WORTH

Balance at 1st September 2020
HSBC Treasurer Account
HSBC Fund Account
Petty Cash
Creditors
Proft in the year
Closing balance @ 31st August 2021
Represented by:
Balance at 31st August 2021
HSBC Treasurer Account
HSBC Fund Account
Petty Cash
###
###
25.06
-1500.00
###
###
38.27
42751.64
6814.08
49565.72
49565.72

In my opinion these accounts show a materially correct view of the state of the Pre affairs at the 31st August 2021.

-School's

HORRINGTON HOUSE PRESCHOOL

Charity No:1019854

INCOME AND EXPENDITURE ACCOUNT

COMPARISON FOR EACH TERM

Income
Grants
Fees
Funding
HMRC Grants
SCC-First Aid Claim
Fundraising-net
Apprenticeship
Interest
Expenses
Wages
Rent
Resources & Materials
Equipment
Postage & Stationery
Printing & Photocopying
Repairs & Renewals
Insurance
Training
Uniforms
Subscriptions & Membership Fee
Cleaning
Refreshments/Snacks
Bank Charges
Professional Fees
2020/2021
2021
Autumn/
Spring
Winter
£
£
11376.28
###
4360.00
2311.00
0.00
0.00
1111.95
6348.53
0.00
0.00
0.00
385.00
0.00
0.00
0.94
0.48
16849.17
###
15731.17
###
0.00
2500.00
235.58
0.00
300.20
395.60
592.69
328.71
0.00
0.00
14.30
108.54
0.00
0.00
573.70
-75.00
0.00
0.00
99.95
659.77
0.00
0.00
189.40
24.51
0.00
0.00
0.00
130.00
Bursary
Fundraising expenses
Sundry
NET PROFIT/LOSS FOR THE YEAR
0.00
0.00
265.38
18002.37
-1153.20
0.00
0.00
0.00
###
6116.67

HORRINGTON HOUSE PRE-SCHOOL

NET WORTH

Balance at 1st September 2020
HSBC Treasurer Account 16161.35
HSBC Fund Account 28065.23
Petty Cash 25.06
Creditors -1500.00

Profit in the year

Closing balance @ 31st August 2021

Represented by:

Balance at 14th June 2021

Balance at 14th June 2021
HSBC Treasurer Account 21459.40
HSBC Fund Account 28068.05
Petty Cash 38.27

2021

Summer

£

16780.03 4678.57 0.00 1598.00 0.00 0.00 0.00 1.40 23058.00

19157.45 500.00 5.84 1478.62 255.30 168.65 87.72 0.00 0.00 120.00 169.83 385.24 198.86 0.00 15.00

0.00 0.00 164.88 22707.39

350.61

6814.08