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2021-08-31-accounts

Wheatcroft Playgroup

Unaudited Accounts for the year ended 31 August 2021

Registered charity number 1031308

Fortus North Limited Business Advisors and Accountants 5 & 6 Manor Court

Manor Garth Scarborough North Yorkshire YO11 3TU

Wheatcroft Playgroup

Information

Accountants Fortus North Limited
Business Advisors and Accountants
5 & 6 Manor Court
Manor Garth
Scarborough
North Yorkshire
YO11 3TU
Business address St Michael's Youth Hall
Filey Road
Scarborough
North Yorkshire
YO11 3AA
Bankers HSBC plc
33 St Nicholas Street
Scarborough
North Yorkshire
YO11 2HN

Wheatcroft Playgroup

Contents

Page
Independent examiner's report 1
Trustees' annual report 2 - 4
Income and expenditure statement 5 - 6
Balance sheet 7

Wheatcroft Playgroup

Independent examiner's report to the trustees of Wheatcroft Playgroup on the accounts for the year ended 31 August 2021

I report on the accounts of Wheatcroft Playgroup for the year ended 31 August 2021 which are set out on pages 5 to 7.

Respective responsibilities of trustees and examiner

The charity's trustees are responsible for the preparation of the accounts. The charity's trustees consider that an audit is not required for this year under section 144 of the Charities Act 2011 (the Charities Act) and that an independent examination is needed.

It is my responsibility to:

Basis of independent examiner's report

My examination was carried out in accordance with the General Directions given by the Charity Commission. An examination includes a review of the accounting records kept by the charity and a comparison of the accounts presented with those records. It also includes consideration of any unusual items or disclosures in the accounts, and seeking explanations from the trustees concerning any such matters. The procedures undertaken do not provide all the evidence that would be required in an audit, and consequently no opinion is given as to whether the accounts present a 'true and fair' view and the report is limited to those matters set out in the statement below.

Independent examiner's statement

In connection with my examination, no material matters have come to my attention which gives me cause to believe that in, any material respect,:

I have no concerns and have come across no other matters in connection with the examination to which attention should be drawn in this report in order to enable a proper understanding of the accounts to be reached.

Robert D Thorpe Fortus North Limited Business Advisors and Accountants 5 & 6 Manor Court Manor Garth Scarborough North Yorkshire YO11 3TU

22 November 2021

Page 1

Wheatcroft Playgroup

Trustees report for the year ended 31 August 2021

Registered charity number 1031308

The Trustees present their report and financial statements for the year ended 31 August 2021.

Charity Trustees who served during the year

Elected by parents/carers

Karl Ward Chairperson and Safeguarding Officer Lauren Temple Secretary Sarah Dennis Treasurer Stacey Silby Committee member Amanda Campbell Manager and Committee member Rhona Marshall Staff member Stacey Newbold Committee member (stood down September 2021) Meriem Ouchtati Committee member (stood down September 2021) Kris and Samantha Parker Committee members (appointed 25th November 2020)

Type of structure

Wheatcroft Playgroup is a charity constituted as a trust. The transfer of information relative to the trust from outgoing to new trustees is done so under the guidance of the preschool manager. Where necessary, additional training is provided to enable the trustees to fulfil their duties.

Objectives and activities

Wheatcroft Playgroup aims to enhance and develop the education of children from 2 years to statutory school age. The setting uses the Early Years Foundation Stage as the curriculum basis for which to do so and has regard to other documents such as Birth yo 5 Matters, Development Matters and OPAL to support children in their learning and development.

The trustees meet regularly to discuss and plan the operational activities of the charity. They also have a closed Facebook Messenger group to discuss plans for preschool more informally in-between meetings. In planning our activities for the year, we have had regard to the guidance issued by the Charity Commission on public benefit. We work closely with parents/carers and the local community to maximise the educational benefit for the children in our care.

The trustees work on an entirely voluntary basis except for the manager and one staff member. The manager takes a role on the committee so that they can co-ordinate committee roles and changeovers each AGM and as the Nominated Person for Ofsted. The manager and other staff member do not have any input or vote in any major decision-making, such as wages, and understand the reasons why.

Achievements and performance

Preschool achievements:-

This year continues to be challenging due to the Pandemic. The results from the questionnaires in June 2020 provided evidence that families were happy with the services, activities and resources available and some commented reasons why - the Facebook page, zumba, stick insects and outdoor / messy activities were especially popular. The parents also commented on how supportive, friendly and welcoming the staff were.

Page 2

Numbers at preschool at the beginning of September 2020 were encouraging. especially considering the pandemic and by Spring 2021 had built to a good level - meaning staffing hours could be increased and Miss Campbell took on more hours. However, due to the pandemic physical numbers in Preschool through January and February were lower due to parents choosing to keep children at home with their siblings through the lockdown. The lower numbers through these months meant a staff member could work from home 1 day per week providing activities, ideas and support through the preschool Facebook page for those families staying at home. Moving forward into the next academic year, we kept staffing the same to continue our COVID friendly regimes and this has paid off with 7 new starters for September 2021 and more for January and April and already in November we can see most sessions are almost full for the remainder of this academic year.

Families continue to recommend preschool to their families and friends and our Facebook pages seem to be the most popular means of advertising. As we could not do an open day, we opened up 3 afternoon sessions for stay and play. June was for those going to school so they could chat to their key person about school related worries. July was for the children new to preschool that were starting in September and August was for all those returning to preschool. All 3 sessions were welcomed and the majority of the families invited attended.

Wednesday's Family Fun is still on hold for the moment.

Fundraising was very successful considering the pandemic and financial worries of families. We raised money through the Mini Me card company £17.96, the Christmas fundraiser £273.00, Miss Campbell made Christmas cards and sold for preschool raising £110.00. In April we cleared out the store room in the church hall and parents made donations for items no longer needed at preschool. This raised £27.00. We raised a small amount through Amazon Smile £5.00, £24.00 from Easy Fundraising and £49.80 through the clothing collection. We also has a £50.00 donation from one of the leaving children's parents. The fundraising money the previous year and this year was used to provide 2 sessions per week of Zumba in the summer term and purchase new long lasting outdoor resource from Community Playthings. Some of the funds raised were also used to purchase 2 new cameras and a new Samsung tablet.

Due to the pandemic much more learning and more training courses have been offered online. As part of the local opportunity area Scarborough Teaching Allliance also offers one free place to any session they run. Staff have been involved in numerous training opportunities over the year, Paediatric First Aid, Safeguarding courses, SENCO. In the moment planning course, Early help, Mathematic development, Launchpad for Literacy and numerous courses for the new EYFS. These courses have been mainly free, however some were paid for and funded by preschool or using the Early Years Pupil Premium money.

The Facebook page which was created during the first lockdown continued to give families support and provided the children with the opportunity to keep in touch with their friends. Staff and eventually other parents continued to share activities and ideas and as stated through January and February staff had one day per week working from home to do so.

Committee achievements:-

The committee has worked hard to ensure the smooth running of the charity and has supported the staff in the provision of childcare and education in the local community. THis has been especially so through the pandemic and the decisions we have needed to make and it was a joint deceision to close early at Christmas due to unforeseen circumstances. The committee have also got to grips with Zoom and the need for this technology for meetings through the year. The committee is especially supportive in fundraising where they met in November abd December 2019 to brainstorm ideas and allocate roles. The committee undertake basic safeguarding training and an understanding of what it means to be on a committee through Educare. On starting their role, Karl, as chair, also supports preschool by testing fire equipment and completing the PAT testing each year. Karl was also extremely valuable in helping Amanda with IT issues.

Page 3

Financial review

The charity has no specific policy on reserves. However, it is a non-profit making organisation with a financial reserve allocated to redundancy (if required) or to support the setting in keeping open when numbers are very low. A large sum is currently being kept aside as there are areas which will need some repair work carrying out over the next few years, decorating inside, the flooring and also some areas outdoors.

This year, the Early Years Pupil Premium (EYPP) money has been used to purchase ZUmba sessions for almost all children over 2 days a week in summer. Using the EYPP money we were also able to put some money to the Outlast resources - the blocks with shed and water cascading area. This prevides more differentiated provision for the differing ages and abilities. The money has also supported more SENCO training as more individualised support has been necessary for some children and these needs will continue through the next year. Assessments at the end of the year highlighted the success of all of the above and we hope they also encourage the next cohort of children to make good progress from their starting points.

The principal sources of funding are income from parental fees and NYCC for 2 year olds (in certain circumstances) as well as 3 & 4 year old universal and extended funding.

Signed on behalf of the Trustees:-

_____

Karl Ward Chairperson

13 December 2021

Page 4

Wheatcroft Playgroup

Income and expenditure statement for the year ended 31 August 2021

Unrestricted
Restricted
£
£
Income
Parental fee income
7,784
-
NYCC funding
83,105
-
Family Fun
5
-
Registration fees
50
-
Fundraising
Christmas fair
383
-
Clothing recycling
50
-
Miscellaneous fundraising
23
-
Commission
Photographs
-
-
Other income
Sale of items
97
-
Supply cover
-
-
Uniforms
522
-
Government grants
155
-
Bank interest received
2
-
Total income carried forward
92,176
-
2021
£
7,784
83,105
5
50
383
50
23
-
97
-
522
155
2
92,176
2020
£
8,173
68,046
44
250
368
68
45
42
13
346
142
-
39
77,576

Page 5

Wheatcroft Playgroup

Income and expenditure statement (continued) for the year ended 31 August 2021

Unrestricted
Restricted
£
£
Total income brought forward
92,176
-
Expenses
Wages
63,533
-
Staff pension
956
-
Rent
1,920
-
Water charges
192
-
Snacks, etc
197
-
Toys, equipment and materials
1,495
-
PLA membership and insurance
725
-
Telephone
623
-
Printing, stationery and postage
201
-
Accountancy
1,740
-
Professional fees
1,695
-
Training
314
-
Cleaning materials
554
-
Uniforms
508
-
Repairs and renewals
335
-
Zumba classes
665
-
Miscellaneous expenses
205
-
Depreciation on office equipment
2,478
-
Total expenses
78,336
-
Funds
Surplus for the year
13,840
-
Total funds brought forward
76,322
-
Total funds carried forward
90,162
-
2021
£
92,176
63,533
956
1,920
192
197
1,495
725
623
201
1,740
1,695
314
554
508
335
665
205
2,478
78,336
13,840
76,322
90,162
2020
£
77,576
55,616
763
1,374
192
187
1,184
725
590
82
1,920
1,752
240
331
442
403
-
243
434
66,478
11,098
65,224
76,322

Signed on behalf of the Trustees:-

_____ Karl Ward Chairperson 13 December 2021

_____ Sarah Dennis Treasurer

Page 6

Wheatcroft Playgroup

Balance sheet as at 31 August 2021

Fixed assets
Furniture and equipment at cost
Additions at cost
Depreciation to date
Depreciation this year
Current assets
Cash at community account
Cash at money manager account
Current liabilities
Sundry creditors and accruals
Net current assets
Net assets
Reserves
Unrestricted funds
Signed on behalf of the trustees:-
_____
Karl Ward
Chairperson
13 December 2021
2021
£
£
2,452
10,142
12,594
1,161
11,433
2,478
8,955
65,538
20,061
85,599
4,392
81,207
90,162
90,162
____
Sarah Dennis
Treasurer
2020
£
2,452
-
2,452
727
1,725
434
56,657
20,059
76,716
1,685
_
£
1,291
75,031
76,322
76,322

Page 7