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2020-08-31-accounts

Raysfield Preschool Playgroup AGM Date: Oct 2020 Time: 7pm Venue: Dodington Parish Hall

Attendees:

Hannah Rea– Chair/Treasurer Kirsty Hutchinson – Secretary Kayley Burden – Parent Liaison Nicola Blaken Howard Nixon Rob Hazelby Leeanne Threader – Manager

Staff:

Charlotte Cann Rachel Earl Helen Fraser

Apologies:

Sarah Martin Lian Cleeve Ovens

Chair welcome – Hannah welcomed everyone and thanked for giving up their time. Thanked all staff for their hard work over the year and thanked the old committee for their time over the last year too.

Advised we will need to go through treasurer report and update due to covid complications in the last year. Also ask all new committee to complete some paperwork as well as standing down old committee and nominating new members.

Manager welcome – Leeanne mirrored this and thanked all staff and old committee for their time and events over the year. Thanked and welcome new committee.

Treasurer report – Hannah gave me brief overview of finances and explained difficulties resulting from covid over the previous year.

Old committee are stood down by Hannah. Kirsty and Hannah are stepping down. Howard and Nicola are taking up new roles as head and treasurer respectively.

Raysfield Pre-School Playgroup

Financial Report

1st September 2019 - 31st August 2020

Prepared By Preschool Committee Treasurer

Raysfield Pre-School Playgroup Annual Financial Report 2018/2019

Total Income Total Expenditure

Loss

Financial Obligations

Total funds as at 31st August 2019

Redundancy Provision for 2018/2019 Contingency Provision for 2018/2019 Petty Cash Money owed to us Remaining Balance in Current Account for Working Capital

£143,579.63 £86,842.02

£56,737.61

£55,786.72

£5,275.09 £2,341.74 £0.00 £0.00

£48,169.89

Raysfield Pre-School Playgroup Statement of Affairs as of 1st September 2018

£ £ Assets Income Owed £0.00 Cash in Bank £56,737.61 Cash in Hand £0.00 £56,737.61 Less Liabilities accruals £950.89 £950.89 Accumulated Fund £55,786.72

Raysfield Pre-School Playgroup Statement of Affairs as at 31st August 2019

£ £ Assets Income Owed £0.00 Cash in Bank £13,071.88 Cash in Hand £0.00 £13,071.88 Less Liabilities Accrual £0.00 £0.00

Accumulated Fund

£13,071.88

Raysfield Pre-School Playgroup Income & Expenditure Account for the Year Ended 31st August 2019

Income:
South Gloucester Council voucher fees
Parent Fees
Proft on Fundraising
Rental income
Grants
Milk grant received
Proft on Uniform Sales
Expenditure:
Payroll - Wages
Rent
Equipment and toys
Training
Consumables
Insurance
Accountants Fees
Staf Uniforms
Photocopying and Stationery
Telephone
Trips/parties
Refreshments
Sundry
Subscriptions/memberships
Total expenditure
Surplus of expenditure over income
£
2020
£102,000.00
£37,000.00
£166.43
£100.00
£4,260.00
£53.21
£0.00
£143,579.64
£45,501.57
£13,735.97
£11,368.52
£979.29
£6,508.66
£3,337.63
£0.00
£467.52
-£266.07
£78.46
£0.00
£0.00
£5,120.37
£10.10
£86,842.02
£56,737.62
£
2019
£102,929.71
£35,532.17
£3,018.52
£100.00
£4,187.70
£53.21
£37.32
###
£103,453.66
£10,979.49
£4,074.21
£836.20
£1,933.24
£166.00
£0.00
£264.00
£0.00
£178.05
£672.93
£0.00
£1,018.61
£40.00
###
£22,242.24
£
2018
£102,453.02
£32,613.05
£2,088.63
£100.00
£4,705.36
£53.21
£18.95
###
£113,586.32
£10,852.28
£21,699.69
£3,737.15
£1,579.83
£461.55
£535.40
£747.32
£0.00
£90.00
£502.22
£0.00
£1,425.73
£20.00
###
###

Raysfield Pre-School Playgroup Balance sheet as at 31st August 2019

£ £ £ Fixed Assets: None £0.00 Current Assets: Income Owed £0.00 Cash at Bank £56,737.61 Cash in Hand £0.00 £56,737.61 Less Current Liabilities: Accrual £0.00 £0.00 Working Capital £56,737.61 NET ASSETS £56,737.61 Represented By: Opening Accumulated Fund £0.00 Loss for the year £86,842.02 Total Assets at year-end £86,842.02

Current A/C Balance £56,737.61 Reserve A/C Balance £2,341.74 Redundancy A/C Balance £5,275.09 Petty Cash Balance £0.00 Liabilities £950.89 Money Owed £0.00 £65,305.33

Raysfield Pre-School Fundraising profits 2018/2019

Summary of Fund Raising activities

----- Start of picture text -----
Event Profit £
Halloween Disco £0.00
Valentines Disco £0.00
Summer Ball £0.00
Total Profit £0.00
----- End of picture text -----

Raysfield Preschool

Financial Activities

September 2019 - August 2020

TOTAL
Income
Billable Expenditure Income -11,478.44
Charitable activites -176.33
Donations and legacies -1,580.48
Sales 155,867.57
Uncategorised Income 947.31
Total Income £143,579.63
TOTAL £143,579.63
Expenditures
Advertising/Promotional 5,120.37
Computer Costs 467.52
Insurances 3,326.63
Interest Payable 10.10
Office/General Administrative Expenses 11,368.52
Other Professional Services 2,909.90
Payroll 10.00
Phone Costs 78.46
Printing, Postage and Stationery -266.07
Raising funds 969.19
Travel and Accommodation 3,609.86
Uncategorised Expense 13,735.97
Wages 45,501.57
Total Expenditures £86,842.02
NET OPERATING INCOME £56,737.61
Other Expenditures
Resources 950.89
Total Other Expenditures £950.89
NET OTHER INCOME £ -950.89
NET INCOME/(EXPENDITURE) £55,786.72

Accrual Basis Wednesday, 14 July 2021 11:40 am GMT+01:00

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