Charity number 1023793
North Wraxall Playgroup
Report and Unaudited Accounts
31 August 2020
North Wraxall Playgroup Report and accounts Contents
| Page | |
|---|---|
| Company information | 1 |
| Trustees' report | 2 |
| Independent Examiners' Assurance report | 4 |
| Income and Expenditure account | 5 |
| Balance sheet | 6 |
| Notes to the accounts | 7 |
North Wraxall Playgroup Company Information
Charity Trustees
Tina Lang Lindsay Egan Venetia Anstee Chris Sampson Anne-Sophie Rutherford Rhiannon MacDivvit Lowena Rich Lauren Showering Francesca Watson
Accountants
Karen Sayers Limited 29 Silver Street Colerne Wilts SN14 8DY
Registered number 1023793
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North Wraxall Playgroup Registered number: 1023793 Trustees' Report
The Trustees have pleasure in presenting their report for the year ended 31 August 2020 together with the financial statements.
Structure, govenance and management
The playgroup is a recognised charity operating under the rules of the trust deed. The management is the responsibility on the trustees who are elected under the terms of the trust deed.
The Trustees meet on a frequent basis throughout the year and minutes are maintained for their meetings. The trustees who held office on the date of approval of this report are shown on the information page.
Volunteers
Many volunteers give up their time to help at the school and with fund raising. We again would like to express our appreciation to these volunteers for their invaluable commitment and support.
Objectives and activities
To enhance the development and education of children primarily under the statutory school age by encouraging parents to understand and provide for the needs of their children through community groups.
Offering appropriate play, education and care facilities, family learning and extended hour groups together with the right of parents to take responsibility for and become involved in the activities of each group.
The principal risks facing the charity are, (a) Child protection - ensuring the environment is safe and promotes the welfare of all children attending the setting; and (b) Financial - Ensuring the charity remains a going concern. Ensuring that the setting is accessible to all demographics, whilst ensuring employees receive fair remuneration and committments to creditors are met.
Achievements and performance
This year the playgroup continued to provide care during the Covid-19 pandemic after initially closing.
Financial review
The accounts have been prepared on a receipts and payments basis and comparative figures are shown for the preceeding twelve months. In the financial year ended 31 August 2020, the charity recorded total receipts of £78,278 and total payments of £71,903 leading to a net surplus of £6,375.
Covid-19 has reduced the ability to hold fund raising events in the year.
The Covid-19 pandemic rule of 'One setting only' saw the loss of some shared children, reducing the number of children at the setting and therefore reducing income.
The Charity's principal sources of funds are funding provided by Wiltshire council in support of preschool aged children's education, payments by parents and fund raising undertaken by trustees and volunteers.
Reserves Policy
Reserves are held for the benefit of the employees. If the charity is unable to continue as a going concern, the employees will still receive redundancy payment in line with legal requirements.
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R•glJl•Fvd numb•r. Tntst••s' R•wrt IW23793 Th• to chaiib8$ in ErvJ•nd and WalBS foqLWW the to prepaie finarwl accw fv financi81 posts cl Ihe chanty aTrJ enth than to enswe Ihat Ihe finan(ial statements Cor Thilh the Charil*S Ad 2011. the C+ty (Acents arKI Reprts) Re9al$ and the visions ofthe ITh1 deej. They are a150 safeguardw the assets of the charty aThJ TlrA Larg Twst•e dBt• iÉlob | 3021
Independent Examiners. report lo the trustees of North Wraxall Playgrovp I report on tre acttunts of the Chty for the ye¥ ended 31 August 2020. Respectlve ieS(msl"llteS of Ihe trustee5 and examiner The charrty's 1rustees are responsble the prep¥abon of the ¥¢ounts. The charity's trustees consider Ihat 8n audit Is not requ,red for this year unuer Se0 144 tsf Cnanties Aet 2011 9the chanties Acti 2nd th21 Independent examinon Is needed. It Is my responsibllty 10 lal examine the oUnts under sectson 145 of the ChtreS Act. Ibl to follow the procedures laid down in Ihe General Directions given by the Charity ComThssion lunder sethon 14515Xbl of the Charibes Art, I cl to state whether PClar matters rtavÈ come kn my ayent.on. Ba515 of an indeFendent examlner's rew>rt. My examinatior, 89 carried out In accardance wth the GeneFal Directions given by the Ch2rrty Aft rAahTiiiiduy51 kiiuJdrS a trié aLknvuilufig by 17¥1 iiy 11¢ comparison of the accounts piesenied with those records It so Includes Conderaban of ally unusual ems or disclosures In the acc¢Junts. and the seeknn9 01 explanabons from you as Trustees concerning ar.y such matters The procedures undert3Ken do t>ot provide 41 the evi¢en¢e th8t would be Tequireo in an 8udrt 8nd consquenly no opiD50n Is gwen as to whether the a¢counts present a 'true and fair. view and the report Is Iim5ted to thise rT>atteTS set outin thÈ nÈxt statement Independent examine¢s statement In connectson with my exawknabon, no matter *as corne lo rny atrenbon 111 which gives me reastsnae Cause to bèlieve that'n any male11 respect the requirernents to keep a¢¢ountsng CordS In aCcordare with secton 130 tsf the 2011 Chanties Ad to prepare accJunts which &¢¢yd the ac¢ountin J records Bnd cornply with the xcounting requirements Gf the 2011 Chanty Act. 5Ve not been tnet 01 121 tD which In my oFsnion. attenbrn should be drawn In order to en8ble a Proper understanthng of Ihe ccounts to be Teached Karen Sayers LirThted Chartefed Accountants 29 Silver Street Colerne SN14 8DY date
North Wraxall Playgroup Income and Expenditure account for the year ended 31 August 2020
| Income Administrative expenses Operating surplus/(deficit) Interest receivable Interest payable Surplus/(deficit) before adjustment Adjustments Surplus/(deficit) for the financial year |
2020 £ 78,278 (71,904) 6,374 8 (7) 6,375 - 6,375 |
2019 £ 70,039 (73,985) |
|---|---|---|
| (3,946) 10 - |
||
| (3,936) - |
||
| (3,936) |
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| North Wraxall Playgroup Registered number: Balance Sheet as at 31 August 2020 Notes Current assets Cash at bank and in hand Creditors: amounts falling due within one year 3 Net current assets Net assets Capital and reserves Income and Expenditure account Funds Available |
1023793 2020 £ 20,277 (933) 19,344 19,344 19,344 19,344 |
12,969 - |
2019 £ 12,969 |
|---|---|---|---|
| 12,969 | |||
| 12,969 | |||
| 12,969 |
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North Wraxall Playgroup Detailed profit and loss account for the year ended 31 August 2020
This schedule does not form part of the statutory accounts
| Sales Funding Fees Donations Bouncy castle Support funding Fundraising Furlough Administrative expenses Employee costs: Wages and salaries Pensions Employer's NI Training Premises costs: Rent General administrative expenses: Insurance Equipment expensed Summer party Fundraising costs Administration Consumables Educational activities Food and drink Ofsted Inclusion funding spent Sundry expenses Legal and professional costs: Accountancy fees Advertising and PR |
2020 £ 46,121 13,829 9,777 - 2,415 845 5,291 78,278 60,667 837 15 78 61,597 3,719 3,719 616 7 - 51 356 1,713 891 1,082 109 450 399 5,674 480 434 914 71,904 |
2019 £ 37,662 19,479 5,000 1,040 2,340 4,518 - |
|---|---|---|
| 70,039 | ||
| 60,190 - - 397 |
||
| 60,587 | ||
| 6,127 | ||
| 6,127 | ||
| 608 350 204 587 320 1,527 1,044 1,747 159 189 115 |
||
| 6,850 | ||
| - 421 |
||
| 421 | ||
| 73,985 |
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