## _**OUR LADY OF RANSOM PRE SCHOOL**_ 

_**ANNUAL REPORT and ACCOUNTS For the Year Ending 31[st] AUGUST 2022**_ 

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## _**Charity Number 1033558**_ 

## _OUR LADY OF RANSOM PRE SCHOOL_ 

_Annual Report and Accounts For the Year Ending 31[st] August 2022_ 

## 

|_Trustees’ Report_|_3_||
|---|---|---|
|_Independent Examiner’s Report_||_4_|
|_Income and Expenditure Account_||_6_|
|_Statement of Assets and Liabilities_||_7_|



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## _**OUR LADY OF RANSOM PRE SCHOOL TRUSTEES REPORT**_ 

_The Managing Committee present their report for the year ending 31[st] August 2022_ 

## _**TRUSTEES**_ 

_The members of the Managing Committee, who acted as Trustees for the Association, in the period are as follows:_ 

_Paul Chaplin Chairperson Jenny Currie Secretary Simon Hawkins Treasurer Teresa Cahill Pre School Manager Natalia Parmenter Office Administrator_ 

_The Association is registered with the Charity Commission, No. 1033558._ 

_The Charity Address is:Pope John Paul II Hall London Road, Rayleigh. Essex SS6 9DT_ 

## _**OBJECTIVES, ORGANISATION AND ACTIVITIES OF THE CHARITY**_ 

_The objectives of the Charity are to advance the education of children below compulsory school age by:_ 

_1) Providing safe and satisfying group play, in which the parents have the right to take part._ 

_2) Encourage other charitable activities through which the parents may help children._ 

_The membership of the Charity is organised by an association of parents or guardians of children who attend any group run by the Charity (family members),and other persons who may be invited by the Committee on a year-to-year basis, on payment of an agreed subscription (associate members)._ 

_The committee members are elected or appointed at the Annual General Meeting by members, for a period of one year._ 

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_The Association currently offers pre school facilities which are provided from the Parish Hall of Our Lady of Ransom Roman Catholic Church._ 

_The attached financial statements for the year ending 31[st] August 2022 show a deficit of £2,062 and retained funds carried forward of £45,886._ 

_For and on behalf of the Management Committee,_ 

_…………………………………. Chairperson_ 

## _**Independent Examiner’s Report to the Trustees of Our Lady of Ransom Pre School**_ 

_I report on the Accounts of the Trust for the year ending 31[st] August 2022 which are set out on pages 6 and 7._ 

## _**Respective responsibilities of the Trustees and the Examiner.**_ 

_As explained more fully in the Trustees Responsibilities Statement on page 3 the trustees are responsible for the preparation of financial statements which give a true and fair view. The financial reporting framework that has been applied in their preparation is applicable law and the Financial Reporting Standard for Smaller Entities (effective April 2008) (United Kingdom Generally Accepted Accounting Practice applicable to Smaller Entities).  The Trustees consider that an Audit is not required under section 145 of the Charities Act 2011 but an Independent Examination is needed._ 

_It is my responsibility to:_ 

- _1) Examine the accounts (under section 154 of the Charities Act 2011)_ 

- _2) Follow the procedures laid down in the General Directions given by the Charity Commissioners._ 

- _3) State whether particular matters have come to my attention._ 

## _**Basis of independent examiner’s report**_ 

_My examination was carried out in accordance with the General Directions given by the Charity Commissioners. 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_ 

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_accounts, and seeking explanations from you as Trustees concerning any such matters. The procedures undertaken do not provide all the evidence that would be required in an audit, and consequently I do not express an audit opinion on the views given by the accounts._ 

## _**Opinion on financial statements**_ 

_In my opinion the financial statements:_ 

- _1) Give a true and fair view of the Charity’s affairs as at 31[st] August 2022 and of its_ 

_incoming resources and application of resources for the year then ended._ 

- _2) Have been properly prepared in accordance with United Kingdom Generally_ 

_Accepted Accounting Practice (applicable to smaller Entities). 3) Have been prepared in accordance with the requirements of the Charities Act_ 

_2011_ 

## _**Matters on which I am required to report by exception**_ 

_I have nothing to report in respect of the following matters where the Charities Act 2011 requires us to report to you if, in my opinion:_ 

_1) the information given in the Trustees’ Annual Report is inconsistent in any material respect with the financial statements: or_ 

- _2) sufficient accounting records have not been kept; or_ 

- _3) the financial statements are not in agreement with the accounting records and_ 

_returns; or_ 

_4) I have not received all the information and explanations I require for my examination._ 

_KEVIN WILLIAMS 42 LANGDON ROAD, RAYLEIGH. ESSEX SS6 9HZ_ 

_Date:_ 

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## _**OUR LADY OF RANSON PRE SCHOOL**_ 

_**INCOME and EXPENDITURE ACCOUNT YEAR ENDING 31[st] August 2022**_ 

||_2022_<br>|_2021_|
|---|---|---|
|_Income_|||
|_Fees Received_|_32,397_||
|_17,898_|||
|_Grants and Nursery vouchers_|_104,911_||
|_130,544_|||
|_Fundraising_|_6,802_||
|_1,591_|||
|_Other_|_1,544_||
|_112_|_________||
|__________|||



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## _**Total Receipts**_ 

## _145,654_ 

_150,145_ 


**----- Start of picture text -----**<br>
Expenditure<br>Salaries      126,043                    115,294<br>Fundraising expenses                    875<br>199<br>Rent         1,896           1,896<br>Stationery        1,187             909<br>New Equipment        3,357          3,085<br>Insurance           786             773<br>General Supplies        4,622<br>2,588<br>Software                    2,537          3,060<br>Staff Costs       1,833             3,467<br>Miscellaneous Exps.       4,580<br>1,921<br>Special Project<br>  ________                      ________<br>Total Payments    147,716      133,192<br>Net Surplus/(deficit)for year    -2,062<br>16,953<br>Deferred Income       0.00           0.00<br>Bank Balances B/Fwd   47,948<br>30,995<br>           ________     _______<br>Closing Balances c/fwd.                                  45,886<br>47,948<br>**----- End of picture text -----**<br>


## _**OUR LADY OF RANSOM PRE SCHOOL**_ 

_**STATEMENT OF ASSETS AND LIABILITIES AS AT 31[st] August 2022**_ 

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_**Year to Year to 31[st] August 2022          31[st] August 2021 £ £ Bank and Cash Balances** Bank Current Account s 45,886 47,948 Cash Float 0.00 0.00 _________ __________ _**Total 45,886 47,948 Provision Accounts** Held for Functional use by the Charity    -29,919 - 27,156 ____________ ___________ Net available funds 15,967 20,792_ 

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