OpenCharities

This text was generated using OCR and may contain errors. Check the original PDF to see the document submitted to the regulator.

2024-08-31-accounts

KIRKBY MALLORY PRE-SCHOOL PLAYGROUP

Income & Expenditure account for the year ended 31st August 2018

INCOME
Fees & Lunch club
Government grants
Fundraising inc Books & Photos
Interest received
TOTAL INCOME
Balance Sheet as at 31st August 2018
Liabilities
Balance bought forward at 1st September 2017
Add excess Income over expenditure
£.p
53,413.10
Totals
Totals
£.p
9,671.00
43,394.15
341.15
6.80
53,413.10
63,812.77
1,009.65
64,822.42
EXPENDITURE
Wages
Rent
Electricity
Refreshments
Equipment
Insurance/Membership Pla
Inspection Fees
Telephones
Materials
Lotteries & Amusements
Training
Computer supplies
CRB checks
Sundries
Add excess Income
Assets
Cash at Bank
Deposit account
Current account
Cash in hand
£.p
52,403.45
Totals
Totals
£.p
43,472.59
3,567.00
852.00
186.36
1,133.75
519.59
50.00
295.33
1,221.06
40.00
150.00
535.87
13.00
366.90
1,009.65
53,413.10
15,919.63
48,810.86
91.93
64,822.42
-

Accountants Report

I have prepared the above accounts & Balance sheet on a receipts & payment basis, after examining the records kept and explanations given to me, and hereby confirm them to be in accordance herewith. In my opinion the Balance Sheet gives a true & fair view of the Playgroups accounts.

M. Gough

19th September 2018

KIRKBY MALLORY PRE-SCHOOL PLAYGROUP

Income & Expenditure account for the year ended 31st August 2019

INCOME
Fees & Lunch club
Government grants
Fundraising inc Books, Photos & Clothes
Interest received
TOTAL INCOME
Add excess Expenditure over Income
Balance Sheet as at 31st August 2019
Liabilities
Balance bought forward at 1st September 2018
Deduct excess Expenditure over Income
£.p
47,283.88
Totals
Totals
£.p
8,597.00
38,440.13
217.00
29.75
4,011.11
51,294.99
64,822.42
-4,011.11
60,811.31
EXPENDITURE
Wages
Rent
Electricity
Refreshments
Equipment
Insurance/Membership Pla
Inspection Fees
Telephones
Materials
Lotteries & Amusements
Training
Computer supplies
CRB checks
Sundries
Assets
Cash at Bank
Deposit account
Current account
Cash in hand
£.p
51,294.99
Totals
Totals
£.p
42,639.69
3,474.00
920.00
420.51
1,042.74
522.06
90.00
320.18
909.74
20.00
90.00
540.28
13.00
292.79
51,294.99
15,949.38
44,787.35
74.58
60,811.31
-

Accountants Report

I have prepared the above accounts & Balance sheet on a receipts & payment basis, after examining the records kept and explanations given to me, and hereby confirm them to be in accordance herewith. In my opinion the Balance Sheet gives a true & fair view of the Playgroups accounts.

M. Gough

18th November 2019

KIRKBY MALLORY PRE-SCHOOL PLAYGROUP

Income & Expenditure account for the year ended 31st August 2020

INCOME
Fees & Lunch club
Government grants
Fundraising inc Books, Photos & Clothes
Interest received
TOTAL INCOME
Add excess Expenditure over Income
Balance Sheet as at 31st August 2020
Liabilities
Balance bought forward at 1st September 2019
Deduct excess Expenditure over Income
£.p
50,015.22
Totals
Totals
£.p
10,498.00
39,399.93
93.00
24.29
1,039.86
51,055.08
60,811.31
-1,039.86
59,771.45
EXPENDITURE
Wages
Rent
Electricity
Refreshments
Equipment
Insurance/Membership Pla
Inspection Fees
Telephones
Materials
Lotteries & Amusements
Training
Computer supplies
CRB checks
Sundries
Assets
Cash at Bank
Deposit account
Current account
Cash in hand
£.p
51,055.08
Totals
Totals
£.p
42,960.91
3,552.25
940.99
317.48
709.23
527.82
50.00
356.99
702.43
20.00
20.00
278.50
246.00
372.48
51,055.08
15,973.67
43,714.61
83.17
59,771.45
-

Accountants Report

I have prepared the above accounts & Balance sheet on a receipts & payment basis, after examining the records kept and explanations given to me, and hereby confirm them to be in accordance herewith. In my opinion the Balance Sheet gives a true & fair view of the Playgroups accounts.

M. Gough

13th October 2020

KIRKBY MALLORY PRE-SCHOOL PLAYGROUP

Income & Expenditure account for the year ended 31st August 2021

INCOME
Fees & Lunch club
Government grants
Interest received
TOTAL INCOME
Add excess Expenditure over Income
Balance Sheet as at 31st August 2021
Liabilities
Balance bought forward at 1st September 2020
Deduct excess Expenditure over Income
£.p
45,006.68
Totals
Totals
£.p
7,087.00
37,918.08
1.60
4,936.55
49,943.23
59,771.45
-4,936.55
54,834.90
EXPENDITURE
Wages
Rent
Electricity
Refreshments
Equipment
Insurance/Membership Pla
Inspection Fees
Telephones
Materials
Clothing
Computer supplies
CRB checks
Interest
Sundries
Assets
Cash at Bank
Deposit account
Current account
Cash in hand
£.p
49,943.23
Totals
Totals
£.p
42,034.36
3,107.00
1,142.00
584.88
735.85
535.38
50.00
386.33
404.44
233.13
487.73
68.00
14.13
160.00
49,943.23
15,975.27
38,748.36
111.27
54,834.90
-

Accountants Report

I have prepared the above accounts & Balance sheet on a receipts & payment basis, after examining the records kept and explanations given to me, and hereby confirm them to be in accordance herewith. In my opinion the Balance Sheet gives a true & fair view of the Playgroups accounts.

M. Gough

26th October 2021

KIRKBY MALLORY PRE-SCHOOL PLAYGROUP

Income & Expenditure account for the year ended 31st August 2022

INCOME
Fees & Lunch club
Government grants
Interest received
TOTAL INCOME
Add excess Expenditure over Income
Balance Sheet as at 31st August 2022
Liabilities
Balance bought forward at 1st September 2021
Deduct excess Expenditure over Income
£.p
29,063.40
Totals
Totals
£.p
4,194.00
24,861.93
7.47
20,498.33
49,561.73
54,834.90
-20,498.33
34,336.57
EXPENDITURE
Wages
Rent
Electricity
Refreshments
Equipment
Insurance/Membership Pla
Inspection Fees
Telephones
Materials
Clothing & Books
Computer supplies
CRB checks
Building Work
Advertising
Sundries
Assets
Cash at Bank
Deposit account
Current account
Cash in hand
£.p
49,561.73
Totals
Totals
£.p
40,157.89
3,779.80
996.00
392.03
320.31
539.81
50.00
239.54
422.11
24.65
807.77
53.00
596.41
802.80
379.61
49,561.73
15,982.74
18,343.47
10.36
34,336.57
-

Accountants Report

I have prepared the above accounts & Balance sheet on a receipts & payment basis, after examining the records kept and explanations given to me, and hereby confirm them to be in accordance herewith. In my opinion the Balance Sheet gives a true & fair view of the Playgroups accounts.

M. Gough

10th November 2022

KIRKBY MALLORY PRE-SCHOOL PLAYGROUP

Income & Expenditure account for the year ended 31st August 2024

INCOME
Fees & Lunch club
Government grants
Interest received
Fundraisers
£.p
£.p
6,862.55
40,408.93
308.26
450.70
TOTAL INCOME
###
EXPENDITURE
Wages
Rent
Electricity
Refreshments
Equipment
Insurance/Membership Pla
Inspection Fees
Telephones
Materials
Computer supplies
CRB checks
Sundries
Add excess Income over Expenditure
£.p
£.p
30,801.96
3,088.00
710.00
148.86
108.76
-
50.00
339.28
316.30
301.64
13.00
684.80
###
###

Balance Sheet as at 31st August 2024

Liabilities

Balance bought forward at 1st September 2023 Add excess Income over Expenditure

Totals ### 36,164.22 11,467.84 Totals ###

Totals

###

Assets

Cash at Bank

Deposit account 21,417.12 Current account 25,982.39 Cash in hand 232.55 Totals ### -

Accountants Report

I have prepared the above accounts & Balance sheet on a receipts & payment basis, after examining the records kept and explanations given to me, and hereby confirm them to be in accordance herewith. In my opinion the Balance Sheet gives a true & fair view of the Playgroups accounts.

M. Gough

4th October 2024