dy of the wy
, Pre-school '0
Member of the Pre-school Learnin9 Alliance
Annual Report and Financial Statements
2020 - 2021
Registered Charity ￿ffi￿r: 1033527

Our Lady of the Wayside Pre-school
Annual Report and Financial 5tstements
202012021
Trust particulars
Trustee's Annual Report
(including Financial Review & Review of Major Risks)
Statement of Financial Activities
Bank Reconciliation
Balance Sheet
Independent Examinerfs Report
Registered Charity No: 1033527

Our Lady of the Wayside Pre-school
Year ended 31st August 2021
Trustees and Officers
Hayley Jennings
Chaitperson l Trustee
TreaSurer￿rUStee
(overseeing the work of the Finance
offi￿r)
Hayley Jennings
Helen Jordan
Vic&Chairpersonttrustee
Danielle McSkeane-Stur(*
Secretarytfrustee
Committee Members:
Audrey Montgomery. Claire Pickering, Laura Fitzpatrick, Lorraine Connor
Independent Examiner
Hannah O'Brien
Bank
HSBC PIC
275 Stratford Road
Shirley, Solihull
B90 3AP
Headquarters
Our Lady of the Wayside Parish Hall
566 Stratford Road
Shirley, Solihull
Bgo 4AY
Telephone Number.
Email Address:
Website:
Twitter
Fa￿00k
07474 743744
ourladyofthewaysidepreschool@gmail.com
OLOWPreschool.com
#OLOWPre
OLOWPreschool
Otsted Registration Number.
250105
Member of the Early Years Allian
(previously known as the Pr&School Leaming Alliance)
Employers, Liability Insurers:
Royal & Sun Allian￿ Insuran￿ plc
Pa9e I
R¢gist¢red Charity No: 1033527

Our Lady of the Wayside Pre-school
Trustee's Annual Report
Year End 31si August 2021
Structure. Governance & Paanagement
Pre-school Leaming Allian￿ Constihrtion adopted 24th June 1993 and amended
1PJuly2011.
Conslituted by a commtttee of at least 6 officers.
All comTnitiee members are elected during the Annual General Meeting by parents
and guardians of chiEdren attending the Pre-school. (Last AGM Wednesday 21°
October 2020 7.30pm via Zoom to comply with Covid-19 restrtctions and Charity
Commission guidelines).
An enhan￿d DBS check (fomally known as CRB) is undertaken for all new
trustees, Offi￿￿, staff, students and volunteers. Stsff are now registering for the
update serrfice, when their DBS is due tor renewal.
In addition to this all Committee members must register for the update Servi￿ and
complete an EY2 online with Otsted.
In line with changes to OFsted polictes and wocedures our elected Pre-school
Manager, Ann Marie Brady is now the Nominated Person for our setting and this is
registered with Ofsted. They are notrfied of any changes in circumstsn￿s
immediately.
Objectives and Activities of our Group (Public Benefit):
Our objective is to enhan￿ the development and education of children under
statutory school age by encouraging parentslcarers to understand and provide for the
needs of their children through communty groups.
Our aim is to provide a happy environment in which the children feel safe and secure.
Children should be able to leam, discover and experiment through play and
stwctured leaming. At all times the children will be encouraged to develop their sknlls
to their full potential in all areas of the Early Years Foundation Stage curriculum
(including re￿nt changes vthich came into for￿ from 1sL September 2021).
All families are welcomed army respected for their ethnicity, culture or religion, home
language. family background. special edu&ational needs. disabilty. gender or ability.
Achievements and Performance:
The b￿gest event to affect Pre-Sd)ool during the last and this financial year
has been the Coronwiirus Pandemic. Pre-school was dosed from Monday
23rd March and re-opened on Thursday 3rd Septern￿r 2020.
Although, Pre-school re-opened on 3 September 2020 and remained open
during 2020121 we expertenced reduced Admission numbers and a reduction
in the number of sessions each thildren attended each week. This had a
negative impact uwn our income.
Funding for funded 2.3 and 4 year olds inueased from 1° April 2021 by 1.5%,
8p per hour for 2 year olds and 8p for 3 and 4 year olds. This was not inline
with infi*ion 2.1 OA or Minimum Wage increases which stood at 6.2%.
Page 2
Registered Charity No: 1033527

Due to Covid-19 resln"ctions our team have continued to complete online
training packages via Educare to keep their knowledge current. In addition to
this Sarah, our Deputy Manager completed her Makaton level 1 & 2 training.
This year we were fortunate to receive £1887.12 from the Millennium Trust
Fund, specifically to buy STEM resources. Our new Scien￿, Technology,
Engineering and Maths equipment has been a big su￿sS with our Pre-
School children. This induded cameras, walki&talkies. remote controlled
vehicles and illuminated mark making boards
In De￿Mber, Jack's SupFQrt awarded us £400 to buy forest school resources
which included weatherproof trousers, jackets and a welly rack.
Persimmons awarded us £968 in March for a new mud ktichen and wooden
discovery table.
Tesco Bags of Help granted us a further £1,000 which enab]e us to buy a
large wooden sandpit atNJ wocrfjen bg seats.
Elec Service Lld donated £415 to buy a wooden climbing wall which has
proved to be a fantastic addition to our ouiside a￿a.
£301 from Boden Group enabled us to buy outdoor resour￿.
Step Ahead Dance Co wntinue to support us regular and donations for
2020121 totalled £319 allowing us to buy a wooden café set and many other
new reSoUr￿s.
Our home library book scheme was laUnC￿Ed in Spring 2021 and we have
purchased a library style btsjk shelving to enhance the children's experience
of choosing the perfect book to take home to read..
Our occupancy rate for 2020121 averaged 750h. This is inline with other
similar settings as published by the Early Years Allian￿. It is hoped that with
restrictyons lifting, confidence will increase. fear decrease arKI this wtll have a
positive impact on our Pre-sch¢￿1 admissions.
From September 2019 we now longer operate our Nursery Wraparound
service. Ht)wever, we do have a mix of Nursery age and Pre-school age
children. During 202012143% of our children were of Nursery age.
We continue to work dosely with the local Family Infomiation se￿l¢e to
support families who meet the govemmenfs crtteria for 2 year old funding.
We also Continue to support families who are not eligible for SMBC ftjnding.
but are experiencbng financial difficulties, which would mean without our
support their children would be unable to attend our Pre-school.
Our electronic joumals vthich were launched in January 2019, have proved
successful and promote our partnership with parents. who have immediate
aC￿sS to their thild's leaming. In addition they are able to contribute, by
leaving comments and also upload their own obser¥ations from home.
Our website which was launched in Spring 2012, was no longer supported by
our website provider. From 30th June 2020 and during lockdown our new
website was launched. During 2020121 our website r￿1Ved 2,778 views
from 986 visttors. This equates to 2.8 view per visitor.
Our Fa￿book and Twitter pages allow us to tffomote our services to our
ommuntties parents and carers. Vve have 203 fn'ends on Fa￿boOk and 131
followers on Twitter. We aim to post at least twice a week.
In April 2016 we offered our staff the opportunty to join our new workplace
pension stheme which is operated through NEST (Natsonal Employment
Savings Trust). The scheme is open to all staff at any time.
Page 3
Registered Charity No: 1033527

Financial Review (including reserves policy):
At the end of each financial year, annual accounts are produced in the form of
receipts and payments. including a statement of assets and liabilities.
Projections for the coming year are based upon the previous accounts which provide
the basis for the annual budget. which is reviewed and updated regularly throughout
the year.
A separate reserve account is maintained for conttngency purposes, to cover
unforeseen events andlor fluctuat'ons in income & expendtture. Following bank
interest being applied totalling £27.52 during the year, these reserves currently stand
at £17,339.78 It is our intention to work towards gradually increasing these reserves
further during the coming years to ensure that our group ¢onttnues and has financial
stabilty.
Our aim remains to increase our reserves to £19.500, which equates to
approximately 3 month's running costsiexpenses. This will ensure that there is
always sufficient working capital for the efficient running of our setting. Our reserves
policy will ensure the group's continued finanGial viabilty,. covering periods when the
setting's incorne may drop below average for exarnp￿, due to a late grant. temporary
drop in child numbers, temporary dosure due to a pandemic or cover unexpected
expenditure. Due to reduced income during 2020121 we have ￿en unable to add to
our reserves.
This year we were faced with the continuirYJ challenge of Covid-19. Our Pre-school
remained open with Covid-19 restrictions arKI followed advi￿ from both
govemment and Solihull Council.
We have submitted and will continue to submrt a number of applications to Charitable
TrustslFoundations to support the purchase of new resources and equipment. This
year we have submitled 10 applications. One application was Unsu¢￿ssful and a
number are still ongoing. However. 5 applications were successful. There are a
number of Schemes available and the group will continue to maximise our efforts to
apply for funding. In particular our applications for funding wtll be ￿ntred around our
OLrtdoor Classroom Garden proieGL.
All of our fees have teen reviewed.
We have filled 60% of our sessions for 2021r22 arKI the filling of our vacancies
continues to be our priority. We have received a number of enquiries due to the
closure of St Augustine's P￿SChool in Solihull to￿) ￿ntre.
Review of Ma
or Risks
A signfficarrt risk to our thartty is and will continue to be the rates of funding offered
by the govemment. Currently we recetve £4.04 per hour per 314 year old child. which
does not cover our outgoings and this only increased from £3.98 from Spnng 2021.
In light of this we have increased our daily Gonsumables to £2.20 per child, per day to
assist the offset of this loss. We will continue to revrew this.
A full risk assessment was carried out during the Summer break in mnjunction with
recommendations from SMBC, our insurers and the Early Years Allian￿.
An addtbonal Covid-19 risk assessment was carrTed out wrth the Parish Committee.
Page 4
Registered CR￿lty No: 1033527

Our Lady of the Wayside Pre-school
Statement of Financial Activities
Year ended 31st August 2021
INCOME
2020r21
2019t20
2018119
Nursery Wraparowid Fees
Pre-sehool Fees
SMBC Funding
Deposits
Admin & Registration Fees
Donations & Fund Raising
Bank Interest Received
Pre-school Annual Trip
Uniforni Sales
Miscellaneous
£2843.85
£15531.30
£27.808.60
£1280.00
£1,950.00
£3,101.06
£32.72
£388.00
£768.90
£323.99
£18,628.95
£43,840.26
£480.00
£850.(
£6ffj50.84
£1.74
£16,669.75
£53,616.S4
£720.00
£1,050.00
4781.89
£27.64
£432.00
£596.25
£333.43
£55129
TOTAL INCOME
£71435.08
£75 795.50
£74,028.42
EXPENDITURE
Wages Total .
Training
Rent
Resources & EquipmeDt
Insurance, Membershipg
DBS & Phones
Catering & CleaDing
FuDdraising Costs
Day Trip
Staff & Childrens Unifom
Garden Re￿rbishmellt
Miscellaneous
£60,002.61
£348.61
£2530.IKI
£10,020.86
£1097.62
£60560SS
£1,15031
£1,680.00
£5,159.17
£2,167.17
£59,586.74
£1,804.74
£2,500.00
£4,795.18
£1,709.93
£725.￿2
£16.99
£75134
£44.02
£0.00
£502.50
£537.04
£32231
£99J.18
£21.95
£130.40
£lJ21.10
£4,146.77
£633.73
£165.
£0.00
£575JO
TOTAL EXPEIYDrruRE
£76282Jl
£72
74.41
£77.641.72
Surplus/(Defieit)
-£4,847.73
£2,921.09
£3,613.30
Page 5
Registered Charity No: 1033527

Our Lady of the Wayside Pre-school
Bank Reconciliation
Year Ended 31st August 2021
Business Money Manager Account
Opening Balan￿ 01109r20
£17,339.78
Interest Received
Funds Transfefs In
Funds Transfers Out
£1.74
£0.00
£0.00
Closing Balan￿ 31108121
£17,341.52
Treasurer Account
Opening Balan￿ 01109r20
£18,090.86
Add Receipts
Less Payments
£71,433.34
£76,323.75
Cheques V￿Itten but not presented
Cheques 2019120 processed 2020r21
£0.00
£0.00
Funds Transfers In
Funds Transfers Out
£0.00
£0.00
Closing Balance 31108r21
£13,200.45
Summary:
Business Money Manager Account
£17,341.52
Treasurer Account
£13,200.45
Bank Total
£30,541.97
Page 6
Registered c}￿￿ty No: 1033527

Our Lady of the Wayside Pre-school
Balance Sheet
Year Ended 31st August 2021
2020121
Current Assets:
£30,541.97
£0.00
Cash at Bank & In Hand
Debtors
£30,541.97
Current Liabilities
Creditors
£0.00
£0.00
Net Assets
Represented by:
General Funds
£13,200.45
Restricted Funds
£17,341.52
£30,541.97
Approved on behalf of the Trustees:
IFlo&lao
Date
Annette M¢Hale (Finan￿ Offiw)
Hayle
Jennings
ChairFErsonj
Dats
Page 7
Registered Charity No: 1033527

Our Lady of the Wayside Pre-school
Independent Examinerfs Report
I report to the trustees on my examination of the accounts of Our Lady of the
Wayside Pre-school (the Trust) for the year ended 3151 August 2021.
Respective responsibilities of trustees & examiner
As the charity trustees of the Trust you are responsible for the preparation of
the accounts in accordan￿ with the requirements of the Chartties Act 2011.
('the Act.)
Independent examinerfs statement
In the cout5e of my examination. I confim that no material matters have come
to my attention in connection the examination giving me cause to believe
that in any material respect..
1. Accounting records were not kept in respect of the Trust as required by
section 130 of the Act" or
2. The accounts do not accord with those records.
I have no COn￿mS and have come across no other matters in connection wtth
the examination to which attention should be drawn in thts report in order to
enable a proper understsnding of the accounts to be reached.
Narne.. Hannah O'Brien
Relevant Professional Qualifi12tion: Association of Accounting Technicians
Address: 232 Bills Lane, Shirley B90 2PP
Date:
3 Nloy@Inknf 2021
Page 8
Registered Charity No: 1033527

dy of the wy
, Pre-school '0
Member of the Pre-school Learnin9 Alliance
Annual Report and Financial Statements
2020 - 2021
Registered Charity ￿ffi￿r: 1033527

Our Lady of the Wayside Pre-school
Annual Report and Financial 5tstements
202012021
Trust particulars
Trustee's Annual Report
(including Financial Review & Review of Major Risks)
Statement of Financial Activities
Bank Reconciliation
Balance Sheet
Independent Examinerfs Report
Registered Charity No: 1033527

Our Lady of the Wayside Pre-school
Year ended 31st August 2021
Trustees and Officers
Hayley Jennings
Chaitperson l Trustee
TreaSurer￿rUStee
(overseeing the work of the Finance
offi￿r)
Hayley Jennings
Helen Jordan
Vic&Chairpersonttrustee
Danielle McSkeane-Stur(*
Secretarytfrustee
Committee Members:
Audrey Montgomery. Claire Pickering, Laura Fitzpatrick, Lorraine Connor
Independent Examiner
Hannah O'Brien
Bank
HSBC PIC
275 Stratford Road
Shirley, Solihull
B90 3AP
Headquarters
Our Lady of the Wayside Parish Hall
566 Stratford Road
Shirley, Solihull
Bgo 4AY
Telephone Number.
Email Address:
Website:
Twitter
Fa￿00k
07474 743744
ourladyofthewaysidepreschool@gmail.com
OLOWPreschool.com
#OLOWPre
OLOWPreschool
Otsted Registration Number.
250105
Member of the Early Years Allian
(previously known as the Pr&School Leaming Alliance)
Employers, Liability Insurers:
Royal & Sun Allian￿ Insuran￿ plc
Pa9e I
R¢gist¢red Charity No: 1033527

Our Lady of the Wayside Pre-school
Trustee's Annual Report
Year End 31si August 2021
Structure. Governance & Paanagement
Pre-school Leaming Allian￿ Constihrtion adopted 24th June 1993 and amended
1PJuly2011.
Conslituted by a commtttee of at least 6 officers.
All comTnitiee members are elected during the Annual General Meeting by parents
and guardians of chiEdren attending the Pre-school. (Last AGM Wednesday 21°
October 2020 7.30pm via Zoom to comply with Covid-19 restrtctions and Charity
Commission guidelines).
An enhan￿d DBS check (fomally known as CRB) is undertaken for all new
trustees, Offi￿￿, staff, students and volunteers. Stsff are now registering for the
update serrfice, when their DBS is due tor renewal.
In addition to this all Committee members must register for the update Servi￿ and
complete an EY2 online with Otsted.
In line with changes to OFsted polictes and wocedures our elected Pre-school
Manager, Ann Marie Brady is now the Nominated Person for our setting and this is
registered with Ofsted. They are notrfied of any changes in circumstsn￿s
immediately.
Objectives and Activities of our Group (Public Benefit):
Our objective is to enhan￿ the development and education of children under
statutory school age by encouraging parentslcarers to understand and provide for the
needs of their children through communty groups.
Our aim is to provide a happy environment in which the children feel safe and secure.
Children should be able to leam, discover and experiment through play and
stwctured leaming. At all times the children will be encouraged to develop their sknlls
to their full potential in all areas of the Early Years Foundation Stage curriculum
(including re￿nt changes vthich came into for￿ from 1sL September 2021).
All families are welcomed army respected for their ethnicity, culture or religion, home
language. family background. special edu&ational needs. disabilty. gender or ability.
Achievements and Performance:
The b￿gest event to affect Pre-Sd)ool during the last and this financial year
has been the Coronwiirus Pandemic. Pre-school was dosed from Monday
23rd March and re-opened on Thursday 3rd Septern￿r 2020.
Although, Pre-school re-opened on 3 September 2020 and remained open
during 2020121 we expertenced reduced Admission numbers and a reduction
in the number of sessions each thildren attended each week. This had a
negative impact uwn our income.
Funding for funded 2.3 and 4 year olds inueased from 1° April 2021 by 1.5%,
8p per hour for 2 year olds and 8p for 3 and 4 year olds. This was not inline
with infi*ion 2.1 OA or Minimum Wage increases which stood at 6.2%.
Page 2
Registered Charity No: 1033527

Due to Covid-19 resln"ctions our team have continued to complete online
training packages via Educare to keep their knowledge current. In addition to
this Sarah, our Deputy Manager completed her Makaton level 1 & 2 training.
This year we were fortunate to receive £1887.12 from the Millennium Trust
Fund, specifically to buy STEM resources. Our new Scien￿, Technology,
Engineering and Maths equipment has been a big su￿sS with our Pre-
School children. This induded cameras, walki&talkies. remote controlled
vehicles and illuminated mark making boards
In De￿Mber, Jack's SupFQrt awarded us £400 to buy forest school resources
which included weatherproof trousers, jackets and a welly rack.
Persimmons awarded us £968 in March for a new mud ktichen and wooden
discovery table.
Tesco Bags of Help granted us a further £1,000 which enab]e us to buy a
large wooden sandpit atNJ wocrfjen bg seats.
Elec Service Lld donated £415 to buy a wooden climbing wall which has
proved to be a fantastic addition to our ouiside a￿a.
£301 from Boden Group enabled us to buy outdoor resour￿.
Step Ahead Dance Co wntinue to support us regular and donations for
2020121 totalled £319 allowing us to buy a wooden café set and many other
new reSoUr￿s.
Our home library book scheme was laUnC￿Ed in Spring 2021 and we have
purchased a library style btsjk shelving to enhance the children's experience
of choosing the perfect book to take home to read..
Our occupancy rate for 2020121 averaged 750h. This is inline with other
similar settings as published by the Early Years Allian￿. It is hoped that with
restrictyons lifting, confidence will increase. fear decrease arKI this wtll have a
positive impact on our Pre-sch¢￿1 admissions.
From September 2019 we now longer operate our Nursery Wraparound
service. Ht)wever, we do have a mix of Nursery age and Pre-school age
children. During 202012143% of our children were of Nursery age.
We continue to work dosely with the local Family Infomiation se￿l¢e to
support families who meet the govemmenfs crtteria for 2 year old funding.
We also Continue to support families who are not eligible for SMBC ftjnding.
but are experiencbng financial difficulties, which would mean without our
support their children would be unable to attend our Pre-school.
Our electronic joumals vthich were launched in January 2019, have proved
successful and promote our partnership with parents. who have immediate
aC￿sS to their thild's leaming. In addition they are able to contribute, by
leaving comments and also upload their own obser¥ations from home.
Our website which was launched in Spring 2012, was no longer supported by
our website provider. From 30th June 2020 and during lockdown our new
website was launched. During 2020121 our website r￿1Ved 2,778 views
from 986 visttors. This equates to 2.8 view per visitor.
Our Fa￿book and Twitter pages allow us to tffomote our services to our
ommuntties parents and carers. Vve have 203 fn'ends on Fa￿boOk and 131
followers on Twitter. We aim to post at least twice a week.
In April 2016 we offered our staff the opportunty to join our new workplace
pension stheme which is operated through NEST (Natsonal Employment
Savings Trust). The scheme is open to all staff at any time.
Page 3
Registered Charity No: 1033527

Financial Review (including reserves policy):
At the end of each financial year, annual accounts are produced in the form of
receipts and payments. including a statement of assets and liabilities.
Projections for the coming year are based upon the previous accounts which provide
the basis for the annual budget. which is reviewed and updated regularly throughout
the year.
A separate reserve account is maintained for conttngency purposes, to cover
unforeseen events andlor fluctuat'ons in income & expendtture. Following bank
interest being applied totalling £27.52 during the year, these reserves currently stand
at £17,339.78 It is our intention to work towards gradually increasing these reserves
further during the coming years to ensure that our group ¢onttnues and has financial
stabilty.
Our aim remains to increase our reserves to £19.500, which equates to
approximately 3 month's running costsiexpenses. This will ensure that there is
always sufficient working capital for the efficient running of our setting. Our reserves
policy will ensure the group's continued finanGial viabilty,. covering periods when the
setting's incorne may drop below average for exarnp￿, due to a late grant. temporary
drop in child numbers, temporary dosure due to a pandemic or cover unexpected
expenditure. Due to reduced income during 2020121 we have ￿en unable to add to
our reserves.
This year we were faced with the continuirYJ challenge of Covid-19. Our Pre-school
remained open with Covid-19 restrictions arKI followed advi￿ from both
govemment and Solihull Council.
We have submitted and will continue to submrt a number of applications to Charitable
TrustslFoundations to support the purchase of new resources and equipment. This
year we have submitled 10 applications. One application was Unsu¢￿ssful and a
number are still ongoing. However. 5 applications were successful. There are a
number of Schemes available and the group will continue to maximise our efforts to
apply for funding. In particular our applications for funding wtll be ￿ntred around our
OLrtdoor Classroom Garden proieGL.
All of our fees have teen reviewed.
We have filled 60% of our sessions for 2021r22 arKI the filling of our vacancies
continues to be our priority. We have received a number of enquiries due to the
closure of St Augustine's P￿SChool in Solihull to￿) ￿ntre.
Review of Ma
or Risks
A signfficarrt risk to our thartty is and will continue to be the rates of funding offered
by the govemment. Currently we recetve £4.04 per hour per 314 year old child. which
does not cover our outgoings and this only increased from £3.98 from Spnng 2021.
In light of this we have increased our daily Gonsumables to £2.20 per child, per day to
assist the offset of this loss. We will continue to revrew this.
A full risk assessment was carried out during the Summer break in mnjunction with
recommendations from SMBC, our insurers and the Early Years Allian￿.
An addtbonal Covid-19 risk assessment was carrTed out wrth the Parish Committee.
Page 4
Registered CR￿lty No: 1033527

Our Lady of the Wayside Pre-school
Statement of Financial Activities
Year ended 31st August 2021
INCOME
2020r21
2019t20
2018119
Nursery Wraparowid Fees
Pre-sehool Fees
SMBC Funding
Deposits
Admin & Registration Fees
Donations & Fund Raising
Bank Interest Received
Pre-school Annual Trip
Uniforni Sales
Miscellaneous
£2843.85
£15531.30
£27.808.60
£1280.00
£1,950.00
£3,101.06
£32.72
£388.00
£768.90
£323.99
£18,628.95
£43,840.26
£480.00
£850.(
£6ffj50.84
£1.74
£16,669.75
£53,616.S4
£720.00
£1,050.00
4781.89
£27.64
£432.00
£596.25
£333.43
£55129
TOTAL INCOME
£71435.08
£75 795.50
£74,028.42
EXPENDITURE
Wages Total .
Training
Rent
Resources & EquipmeDt
Insurance, Membershipg
DBS & Phones
Catering & CleaDing
FuDdraising Costs
Day Trip
Staff & Childrens Unifom
Garden Re￿rbishmellt
Miscellaneous
£60,002.61
£348.61
£2530.IKI
£10,020.86
£1097.62
£60560SS
£1,15031
£1,680.00
£5,159.17
£2,167.17
£59,586.74
£1,804.74
£2,500.00
£4,795.18
£1,709.93
£725.￿2
£16.99
£75134
£44.02
£0.00
£502.50
£537.04
£32231
£99J.18
£21.95
£130.40
£lJ21.10
£4,146.77
£633.73
£165.
£0.00
£575JO
TOTAL EXPEIYDrruRE
£76282Jl
£72
74.41
£77.641.72
Surplus/(Defieit)
-£4,847.73
£2,921.09
£3,613.30
Page 5
Registered Charity No: 1033527

Our Lady of the Wayside Pre-school
Bank Reconciliation
Year Ended 31st August 2021
Business Money Manager Account
Opening Balan￿ 01109r20
£17,339.78
Interest Received
Funds Transfefs In
Funds Transfers Out
£1.74
£0.00
£0.00
Closing Balan￿ 31108121
£17,341.52
Treasurer Account
Opening Balan￿ 01109r20
£18,090.86
Add Receipts
Less Payments
£71,433.34
£76,323.75
Cheques V￿Itten but not presented
Cheques 2019120 processed 2020r21
£0.00
£0.00
Funds Transfers In
Funds Transfers Out
£0.00
£0.00
Closing Balance 31108r21
£13,200.45
Summary:
Business Money Manager Account
£17,341.52
Treasurer Account
£13,200.45
Bank Total
£30,541.97
Page 6
Registered c}￿￿ty No: 1033527

Our Lady of the Wayside Pre-school
Balance Sheet
Year Ended 31st August 2021
2020121
Current Assets:
£30,541.97
£0.00
Cash at Bank & In Hand
Debtors
£30,541.97
Current Liabilities
Creditors
£0.00
£0.00
Net Assets
Represented by:
General Funds
£13,200.45
Restricted Funds
£17,341.52
£30,541.97
Approved on behalf of the Trustees:
IFlo&lao
Date
Annette M¢Hale (Finan￿ Offiw)
Hayle
Jennings
ChairFErsonj
Dats
Page 7
Registered Charity No: 1033527

Our Lady of the Wayside Pre-school
Independent Examinerfs Report
I report to the trustees on my examination of the accounts of Our Lady of the
Wayside Pre-school (the Trust) for the year ended 3151 August 2021.
Respective responsibilities of trustees & examiner
As the charity trustees of the Trust you are responsible for the preparation of
the accounts in accordan￿ with the requirements of the Chartties Act 2011.
('the Act.)
Independent examinerfs statement
In the cout5e of my examination. I confim that no material matters have come
to my attention in connection the examination giving me cause to believe
that in any material respect..
1. Accounting records were not kept in respect of the Trust as required by
section 130 of the Act" or
2. The accounts do not accord with those records.
I have no COn￿mS and have come across no other matters in connection wtth
the examination to which attention should be drawn in thts report in order to
enable a proper understsnding of the accounts to be reached.
Narne.. Hannah O'Brien
Relevant Professional Qualifi12tion: Association of Accounting Technicians
Address: 232 Bills Lane, Shirley B90 2PP
Date:
3 Nloy@Inknf 2021
Page 8
Registered Charity No: 1033527


Registered Charity Number 1033527 

Financial Year End 31[st] August 2021 

The accounts are prepared on a receipts and payments basis. 

Independent Examination Completed by Hannah O’Brien (AAT) 

Examined 03 November 2021 



## **Independent Examiners Checklist** 


**----- Start of picture text -----**<br>
The Directions and documentation Step Comments<br>done?<br>Direction 1: Check whether the charity is eligible to have<br>an independent examination<br>Checked the charity audit threshold applying to the accounts to   Yes   The turnover and<br>be reviewed assets are<br>currently below<br>the audit<br>threshold<br>Checked an audit is not required for any other reason  Yes<br>Confirmed the charity is eligible for independent examination  Yes  In accordance<br>with the CC32<br>manual.<br>Confirmed the amount of the charity’s income to figure shown Yes<br>the accounts (including any branches) and confirmed that<br>income and assets are below the audit threshold or, if<br>applicable, obtained a copy of the letter from the Commission<br>approving an audit dispensation<br>If the charity has one or more subsidiaries confirmed that group  N/A<br>accounts are not required by law<br>If a charitable company checked that the audit exemption N/A  The Charity is<br>statement has been made not a company<br>If applicable, rechecked the threshold calculation during the  N/A<br>examination<br>If the charity’s income is more than £250,000 confirmed that N/A   Turnover is less<br>the examiner is a member of one of the listed bodies than £250,000<br>If applicable, informed the trustees that the charity is not N/A<br>eligible for an independent examination<br>If receipts and payments accounts have been prepared,  Yes  Turnover for the<br>checked that the charity’s gross income is less than £250,000 financial year<br>was £71,435<br>and that it is not a company<br>If receipts and payments accounts have been prepared, check Yes<br>that there is no requirement to prepare accruals accounts in<br>the charity’s governing document or for any other reason<br>If applicable, informed the trustees that the charity is not N/A<br>eligible to prepare receipts and payments accounts<br>Direction 2: Check for any conflict of interest that prevents<br>the examiner from carrying out their independent<br>examination<br>Confirmed that there are no close personal relationships with   Yes   No personal<br>the trustees that compromise independence relationships<br>resulting in a<br>conflict of<br>interest<br>Confirmed as having no the day to day involvement in the  Yes  No day to day<br>involvement in the<br>administration of the charity administration of<br>the charity<br>If providing other services to the charity, then confirmed that all N/A<br>the criteria in Direction 2 necessary for independence are met<br>**----- End of picture text -----**<br>




||Identified that there are no circumstances in the examiner’s<br>judgment that would reasonably lead to the perception that the<br>examiner is not independent|Yes||
|---|---|---|---|






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The Directions and documentation Step Comments<br>done?<br>Considered whether sufficiently skilled to carry out the  Yes  AAT Reg No<br>examination and, where required, confirmed membership of a  2572019<br>listed body<br>If applicable, informed the trustees that you are not eligible to  N/A<br>carry out the independent examination<br>Direction 3: Record your independent examination<br>File of working papers prepared to document the work  Yes<br>undertaken (see the Direction for guidance on key working<br>papers)<br>Evidence of appointment on file Yes   Email<br>If issued, letter of engagement signed by the trustees on file  No   Voluntary<br>Documentation of steps required by Direction 1 are all done  Yes<br>Documentation that steps required by Direction 2 are all done  Yes<br>Analytical review documented  Yes<br>Areas of concern identified and noted whether these were Yes  No matters<br>resolved or if unresolved and significant have included them in noted<br>the examiner’s report<br>Verification and vouching procedures undertaken and any Yes<br>checks made are on file<br>Copy of approved accounts on file Yes<br>Copy of trustees’ annual report on file Yes<br>Copies of information relied upon as part of the examination Yes<br>are on file<br>If applicable, copies of written assurances given N/A<br>Recorded the conclusions drawn as an outcome of the  Yes<br>independent examination that support the examiner’s report<br>are on file<br>Recorded any matters of material significance about which a N/A  No matters of<br>report must be made direct to the Commission material<br>significance<br>have been<br>identified<br>Recorded whether to exercise discretion and report on relevant N/A<br>matters direct to the Commission<br>Direction 4: Plan your independent examination<br>Obtained an understanding of the charity’s constitution,  Yes    Whilst the pre-<br>objectives, organisational structure, the funds managed, its  school continues<br>to operate in a<br>activities and accounting records and systems<br>pandemic with<br>reduced fee<br>income it is<br>however<br>supported by<br>donations &<br>fundraiisning.<br>Planned specific examination procedures appropriate to the  Yes<br>circumstances of the charity<br>Reviewed whether any areas for improvement were advised to  N/A  No advisory<br>the trustees in the previous year’s independent examiner’s  action was<br>required in the<br>report (or audit report and management letter) and looked to<br>previous year to<br>see if any action taken be checked,<br>**----- End of picture text -----**<br>




|Considered the financial risks identified and, where accruals<br>accounts prepared, considered whether the trustees have<br>evidence that shows that the charityis agoingconcern|N/A||
|---|---|---|
|Noted any implications for the examiner’s report and for<br>separate reporting to the Commission|N/A|No matters<br>brought to my<br>attention|






**----- Start of picture text -----**<br>
The Directions and documentation Step Comments<br>done?<br>Direction 5: Check that accounting records are kept to the<br>required standard<br>Checked that accounting records have been kept are complete  Yes  Clear and<br>and considered if they have been kept to the required standard detailed records<br>are kept.<br>Asked the trustees about how they ensure the accounting  Yes<br>records are complete<br>If corrections made or records created during the examination, None<br>the trustee approval for these has been sought and obtained<br>Asked the trustees if they carried out a review of the charity’s  Yes   Internal<br>internal financial controls in the year reported Controls were<br>updated in May<br>2021 in light of<br>the pandemic<br>and provisions<br>required<br>Noted any implications for the examiner’s report and for  N/A<br>separate reporting to the Commission<br>Direction 6: Check that the accounts are consistent with<br>the accounting records<br>Compared the accounts with the underlying accounting records [ Yes ]<br>Checked some entries from the listing of transactions of  Yes  All bank<br>income and expenditure to vouchers such as invoices, bank  transactions<br>reconcile to<br>statements, and receipts.<br>invoices and<br>receipts<br>If applicable, confirmed that the trustees have taken the  Yes<br>necessary steps to ensure that restricted or endowed funds are<br>correctly reported in the accounts<br>If additional checks were necessary, the evidence was found  N/A<br>that showed the accounting record was complete, voucher<br>present, and both supported the entry in the accounts<br>Direction 7: If the accounts are prepared on an accruals N/A  The Accounts<br>basis and one or more related party transactions took  are prepared<br>under a receipts<br>place the examiner must check if these were properly<br>and payments<br>disclosed in the notes to the accounts<br>basis<br>Checked that the disclosures required by the SORP have been<br>made and are complete<br>Considered whether there are any implications for the<br>examiner’s report and reporting to the Commission<br>If receipts and payments accounts prepared and a related<br>party transaction note was provided, then checked the note for<br>any implications for the examiner’s report<br>**----- End of picture text -----**<br>




**Direction 8: Check the reasonableness of the significant estimates and judgments and accounting policies used in accounting for the types of fund held and in the preparation of the accounts** Checked with the trustees that the separate funds of the charity Yes have been correctly accounted for and reported correctly in the accounts Checked the reasonableness of any significant estimates or Yes judgments that have been made in preparing the accounts 




**----- Start of picture text -----**<br>
The Directions and documentation Step Comments<br>done?<br>Where accruals accounts are prepared, checked that the  N/A<br>accounting policies adopted are consistent with the SORP and<br>are appropriate to the activities of the charity<br>Where accruals accounts are prepared, checked that the  N/A<br>accounts were prepared on a going concern basis<br>Noted any implications for the examiner’s report and for  N/A<br>separate reporting to the Commission<br>Direction 9: The examiner must check whether the<br>trustees have considered the financial circumstances of<br>the charity at the end of the reporting period and, if the<br>accounts are prepared on an accruals basis, check<br>whether the trustees have made an assessment of the<br>charity’s position as a going concern when approving the<br>accounts<br>Asked the trustees whether they expect the charity to be able  Yes<br>to settle outstanding invoices, bills and commitments as and<br>when they fall due<br>Asked the trustees about the reserves policy and the adequacy  Yes  The preschool is<br>of the level of reserves held continuing to<br>increase<br>reserves with<br>the aim of<br>£19,500 which<br>would be 3<br>months running<br>costs<br>Where accruals accounts are prepared, checked that the  N/A<br>trustees’ have made an assessment of going concern and that<br>their assessment is reasonable given the information available<br>Where accruals accounts are prepared, checked that the N/A<br>SORP’s disclosures about going concern have been made<br>Noted any implications for the examiner’s report and for  N/A<br>separate reporting to the Commission<br>Direction 10: Check the form and content of the accounts<br>Where receipts and payments accounts have been prepared,   Yes   Receipts and<br>checked that the charity can lawfully prepare such accounts,  payments have<br>that all the accounting statements are present and that the  been verified to<br>records and<br>funds of the charity are correctly identified<br>bank statements<br>and vice versa<br>Where accruals accounts are prepared, checked that they N/A<br>comply with the SORP and applicable accounting standard<br>If the charity is a company, checked that the accounts also N/A  The Charity is<br>comply with the applicable company law requirements not a company<br>Noted any implications for the examiner’s report and for N/A<br>separate reporting to the Commission<br>**----- End of picture text -----**<br>





**----- Start of picture text -----**<br>
Direction 11: Identify items from the analytical review of<br>the accounts that need to be followed up for further<br>explanation or evidence<br>Carried out an analytical review Yes<br>The Directions and documentation Step Comments<br>done?<br>Following the analytical review, selected material items in the  Yes<br>accounts for further explanation or supporting evidence<br>If the accounts could be materially misstated, additional checks Yes<br>were undertaken and the examiner is satisfied that the item(s)<br>identified were satisfactorily explained and correctly included in<br>the accounts<br>Noted any implications for the examiner’s report and for N/A<br>separate reporting to the Commission<br>Direction 12: Compare the trustees’ annual report with the<br>accounts<br>Checked that any figure for reserves quoted in the trustees’  Yes<br>annual report is not materially inconsistent with the accounts<br>Compared the trustees’ annual report with the accounts for any Yes<br>material inconsistency<br>Noted any implications for the examiner’s report and for None<br>separate reporting to the Commission<br>Direction 13: Write and sign the independent examination<br>report<br>Reviewed the conclusions from the independent examination Yes<br>Considered whether the examination has identified a matter of  Yes<br>concern that should be reported in the examiner’s report<br>Checked that the examiner’s report covers all of the matters Yes<br>required<br>If relying on the work of others in undertaking the independent Yes<br>examination, the examiner is fully satisfied with their work and<br>that work has been fully documented<br>Signed and dated the examiner’s report Yes<br>Reported matters of material significance direct to the N/A<br>Commission<br>Exercised discretion and reported relevant matters direct to the N/A<br>Commission<br>**----- End of picture text -----**<br>


## Signed by: _Mrs H O’Brien_ 

Printed: Mrs Hannah O’Brien 

Examination Dated: 03 November 2021 

