OpenCharities

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2022-07-31-accounts

ST CHARLES R.C. PRESCHOOL REGisfERED CHARrrY 1024547 RECEIPTSAND PAYMEpifsACCOUNT AND 5TATEMENf OF A55Efs AND LIABiufiE5. YEAR ENDEO JI JULY2012

ST CHARLES R.C. PRESCHOOL

RECEIPTS AND PAYMENTS ACCOUNT YEAR ENDED 31 JULY 2022

GENERAL FUND
Income receipts
Fundraising events and appeals, including Christmas party
Fees receivable:
Early years funding, parental fees, LEA grant & bonds
Other income
Grant income
HMRC JRS
Interest
Total Incoming Resources
Payments
Direct expenditure for charitable activity
Staff wages, PAYE/NIC, training, CRB & recruitment costs
Materials and equipment, including cleaning
Refreshments
Excursions, activities & presents for children
Other expenditure
Rent, water, heating & lighting
Insurance
Repairs & renewals (incl items for new building & area)
Postage, printing & stationery
Telephone, broadband and internet costs
Professional fees
Sundry expenses
NET RECEIPTS/(PAYMENTS) FOR THE YEAR
2022
£
4,303
118,590
0
0
1
122,893.60
93,367
6,917
1,117
855
102,256
450
680
12,792
243
1,518
858
374
119,171
3,722
2021
£
3,020
85,841
2,500
446
0
91,807
86,118
6,002
804
167
93,091
725
1,242
9,633
137
1,290
1,716
319
108,153
(16,346)

ST CHARLES R.C. PRESCHOOL

STATEMENT OF ASSETS AND LIABILITIES. YEAR ENDED 31 JULY 2022

MONETARY ASSETS
Bank Current Account
Bank Deposit Account
Bank Bond Account
Cash in Hand
2022
£
25,601
1,758
1,248
39
28,645
2021
£
21,554
1,758
1,597
14
24,923

In accordance with your instructions, I have compiled the unaudited accounts from the records, information & explanations supplied to me.