Magic Box Playgroup
ACCOUNTS
for the year ended 31 August 2025 Registered Charity no: 1027511
Magic Box Playgroup
Income and Expenditure Account
for the period 1 September 2024 to 31 August 2025
| Income Fees B&NES voucher funding Donation Building society interest Expenditure Wages Rent and insurance Toys and books Food and snacks Advertising and website Telephone Premises expenses Accountancy fees Sundry expenses Surplus of income over expenditure Deficit of expenditure over income Accumulated funds brought forward Accumulated funds carried forward Net Assets Bank current account Co-op savings account Cash in hand |
2025 Unrestricted Funds £ £ 28,048 53,039 32 621 81,741 60,488 4,373 1,777 10,584 206 264 560 801 12,928 91,980 - - 10,239 52,779 42,539 12,044 29,870 625 42,539 |
2025 Unrestricted Funds £ £ 28,048 53,039 32 621 81,741 60,488 4,373 1,777 10,584 206 264 560 801 12,928 91,980 - - 10,239 52,779 42,539 12,044 29,870 625 42,539 |
2024 Unrestricted Funds £ £ 29,857 50,083 5,000 542 85,482 64,505 3,853 2,158 1,985 160 270 2,938 936 4,000 80,805 4,677 48,102 52,779 6,105 46,249 425 52,779 |
2024 Unrestricted Funds £ £ 29,857 50,083 5,000 542 85,482 64,505 3,853 2,158 1,985 160 270 2,938 936 4,000 80,805 4,677 48,102 52,779 6,105 46,249 425 52,779 |
|---|---|---|---|---|
| 81,741 91,980 |
85,482 80,805 |
|||
| - - 10,239 52,779 |
4,677 48,102 |
|||
| 42,539 | 52,779 | |||
| 12,044 29,870 625 |
6,105 46,249 425 |
|||
| 42,539 | 52,779 |
Prepared by:
~~S.A~~
Sally Lewis (May 29, 2026 08:35:38 GMT+1)[S.A]
Mrs S Lewis, Treasurer
05/29/2026
Magic Box Pre School
14-05-2026
Dear Sally,
We confirm that the following representations are made on the basis of enquiries of management or staff with relevant knowledge or experience, and where appropriate inspection of relevant documentation, sufficient to satisfy ourselves that we can properly make each of the following representations to you.
In connection with your assignment for the period ending 31/08/2025 I make the following representations to you.
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I acknowledge as director my responsibility for the accounts, which you have prepared.
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I confirm that all the accounting records have been made available to you for the purpose of your review and all the transactions undertaken by the business have been properly reflected and recorded in the accounting records.
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I confirm that there have been no changes in the accounting policies other than those disclosed in the accounts. In my opinion, the accounting policies are appropriate to the business and conform with generally accepted accounting principles. I confirm that all transactions and balances have been accounted for in accordance with these accounting policies.
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I confirm that the company own all the assets included in the balance sheet, unless otherwise stated in the accounts.
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I confirm that depreciation has been provided on all fixed assets with a limited economic life in accordance with the stated accounting policy. In my opinion, the rates of depreciation are reasonable.
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I confirm that all liabilities recorded in the balance sheet are properly those of the business.
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I confirm that there are no contingent liabilities other than those disclosed in the accounts.
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I confirm that there has been no event since the balance sheet date which requires disclosing or which would materially affect the amounts in the accounts, other than those already disclosed or included in the accounts.
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I confirm that the business has not contracted for, nor authorised any capital expenditure other than as disclosed in the accounts.
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I confirm that all director and related party disclosures in the accounts are correct and I have disclosed these transactions to you.
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11.I confirm that in my opinion the business is a going concern.
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I confirm that there are no laws or regulations (other than those discussed) that are central to the business’s ability to conduct its business.
Yours sincerely
Sally Lewis
On behalf of Magic Box Pre School
Director
Dated: 14-05-2026
Sally Lewis (May 29, 2026 08:35:38 GMT+1)
S.A S.A