Conslanline Pre-school l Yeai ended 31 Augu512025 1 Registered Charity No. 1033714
CONSTANTINE PRE-SCHOOL
Charity Registration Number: 1033714
Accounts for the year ended 31 August 2025
Prpp8rAd ijndpr the. ChHritlA.* .8nRP (FR.8 in?)
Charlty name:
Reglstratlon number:
Year ended:
Constanlinef Pre-SGhool
1033714
31 ALtgust 2025
Principal address:
I rebarvah Koad. Lonslantine, Falmouth, Lornwall TRI I SAG
Accountlng basls:
Accruals accounts (Charities SORP FRS 102)
Page1019

consianvne pre-5cnooI i Year enoea 31 August 2025 l Reg151ereo ¢nanty No. 1033714
Independent Examiner's Report to the Trustees
I report to the Injslees on my examination of the accounts of Constantine Prfrschool (Yhe charity.)
for the yèar ended 31 Au9USt 2025, which are set out on tho following pag89.
Responsibilities and basis of report
As the charity's trusiees you are responsible for the preparation of the accounts in accordance Wilh
the requiremonts of the Charities Ad 20111"the Act").
I report in respect of my examinatlon of the Ghafity's aGGounts Garried out undei seGtion 145 of the
Act and in carying out my examination I have followed all the applicable Directions given by the
Charity Commission under 5edion 14o{ollb} of the AGt.
Independent examiner's statement
I have completed my examination. I confirn that no matters have come to my attentlon in connection
with the examination giving me cause lo believe that in any material respect..
accounting records were not kept in respect of the charity as required by section 130 of the
Act., or
2. the accounts do not acGord with those records," or
3. the accounts do not comply with the applicable requiremenls concerning the forni and
ntp.nt nf arJxJLinls sol out in the Charities {Accountg and Reports) Regulations 2008 othèr
than any requirement that the accounts give a 'true and fair view., which is not a rnatter
Considered as part of an independent examination.
I have no concems and have come a¢r05s 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 th8
accounts to be reach8d.
Do¢uSwned by..
819n￿.
fjBC6C4-,88094F5
Nama:
Daniel Riches
Date:
29th June 2026
Relevant quallflcatlon:
ACA
Address:
Office 1. The Warehouse, Anchor Quay, Penryn, Comwall, TR10
8GZ
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Conslanline Pre•School l Year ended 31 August 2025 1 Regislered Ch8rily No. 1033714
Statement of Financial Activities
(including Income and Expenditure Account)
For the year ended 31 Aljgust 2025
2025 £
2024 £
INCOME AND ENDOWMENTS FROM:
Donations and legacies (note 51
Charitable aGtivitie8- funded places Inoto 61
Chantable activities- non-funded places and
fees
1.863
548
125,715
20,612
30,581
Olher trading activities- fundraising
Investments - bank interest
2,480
3,774
Oiher Income
2,163
TOTAL INCOME
152,833
130,809
EXPENDITURE ON:
Raising funds
Charitable activities (note 71
Other expenditure
TOTAL EXPENDITURE
181
169
157,986
130,257
158,167
130,426
NET INCOME I (EXPENDITURE)
RECONCILIATION OF FUNDS:
(5.334)
383
Total funds brought forward
TOTAL FUNDS CARRIED FORWARD
60.014
59,631
S4,680
60,014
The nol&s on the following pages fonn part of the$8 8¢¢0unt$.
P8ge3of9

Conslanline Pre-schod l Year ended 31 Augus12025 l Registered Charity No. 1033714
Balance Sheet
As at 31 August 2025
2025 £
2024 £
FIXED ASSETS
Tangible fixed assets (note 10)
CURRENT ASSETS
5,259
5,690
Debtors and prcpaymcnts
Cash at bank and in hand (note 13)
761
606
49,963
70,260
TOTAL CURRENT ASSETS
50.724
70,866
CREDITORS: Amounts falllng due wlthln
one yoar {noto 121
Creditors and accruals
1,303
552
Income received in advance
15.990
NET CURRENT ASSETS
49.421
54,324
TOTAL NET ASSETS
54,680
60.014
FUNDS OF THE CHARITY
Unrestricted income funds
53,879
59,213
Restricted ineome fund3 {note 141
801
801
TOTAL FUNDS
54.680
60,D14
Approved by the trustees and signed on their behatf..
Sieven Smith
ILxi&coioifrYQ14*QlW
Chaiman
Secretary
Treasurer
Date".
Tho not99 0
tho following pages fonn part of thoso accounts.
Page4¢f9

Constantine Pre-school l Year ended 31 August 2025 1 Registered Charity No. 1033714
Notes to the Accounts
1. Basis of accounting
rhe accounts have been prepared in accordance with the Charities SORP (FRS 102)- Accounting
and Reporting by Charities.. Statement of Recommended Practice applicable lo charities preparing
their accounLtr in accordancc with the Finoncial Reporting Standard applicablc in the UK and
Republic of Ireland IFRS 102}, the Charities Act 2011 and UK Generally Accepted Practice. The
accounts have beèn propared under the historical cott convention.
The 2024 comparative figures have been represented under the income and expenditure headings
usèd in these accounts and reflect the reclassification of two restricted funds Ilotalling £801) from
liabilities to r¢striGled fund3, con8i3tent with the Gurrent year presentation. The underlying income,
expenditure, nel surplus and total funds for 2024 are consistent with those reported in the charity's
previou31y filed accounts for that year.
Tangible fixed assets al 31 August 2025 include £1 $4 of fire safety equipment which was
inadvertèntly nmittp.d frnm thp. as4p.I rg.gi8tp.r eArrip.d fnrwxrd into Ihp. r.Iirrpnt yg.Ar'. this pquipmp.nl
continues lo be held by the charity and has been reinslaled in note 10. As the asset was always
held. this is a correction to the asset register rather than an additinn or disposal. 2nd accordingly
Ihore 13 no related entry in the Statement of Financial Activities.
2. Accounting policies
Income recognitlon
Income is recognised when the charity has entitlement to the funds, any performance conditions
attached to the item of inGome have been mel, it 13 probable that the income will be received, and
the amount can be measured reliably. Govemmenl {funded pla￿$) income is recognised in the
period to which it relate3. Non-funded se33ion income is recogni3ed a3 3eJsions are provided.
Expendlture
All expeiidilure is reGognised once there is a legal or GonstruGlive obligation to make a payment to a
third party, it Is probable that settlement will be required, and the amount can be measured reliably.
Expenditure is classified under the activity headings in the SOFA.
Charltable actlvltles expendltuye
CliariLable aclivilies expenditure includes all direct Costs of providing the pre-school service,
including staff costs, consumables, play equipment, depreciation and a proportion of support and
governance costs.
Tangible Ilxed assets and depreciatlon
Tangible fixed assets are ststed al cost less accumulated depreciation. Buildinqs improvements and
fire safety equipment are retained al cost and not depreciated. Depreciation is provided on play
oquipmenl, fumiture, computer equipment and office equipment so as lo write down Iheir cost over
thèir egtimated useful economic lives.
Fund accountlng
Unr08tricled funds are available for use al the discretion of the trustcc"
in furtherance of thc
charitable object5. Restricted funds are funds which are to be used in accordance with specific
Testrictions imposed by donors or which have been raised by the charity for particular purposes.
3. Charitable activities
Gonsianiine Pre-school is an unincorporated chafity regisiereo with Ihe Chanry Commission for
England and Wales, registered number 1033714.
Page5019

onstsniine pre-5cnool l Year en¢eo 31 Augusi zoz3 l Regisierea Gnathiy NO. 1033114
Thè charity provides pre-school education and childcare for young children in Conslanline and the
surrounding area, supported by earty years funding. parental fees, donations and fundraising.
4. Trustees
The Iruslggt* wl?u ¥¥rved during Ihe yeai and up to (he date of approval of thesg accounts were=
Steven Smith Chair lappointed S September 2023)
Sarah Garter
Trustee lappolnted I Sepiember 20211
Louise Huddleston
Trustee (appointed 1 September 2021)
The accounts are to be approved and signed on behalf of the trustees by the Chaiman.
5. Income from Donations and Legacies
2025 £
2024 £
Donations
1,338
Registration fees
TOTAL
525
548
1,863
6. Government Grants
The charity received government grants in respect of funded eady years places during the year:
2025 £
2024 £
Eady years entitlemènt- funded plac8S
Additional funding
TOTAL
123,667
95.906
2,048
125,715
95,906
7. Charitable Activities Expenditure
2025 £
2024 £
Staff cosls (note 81
PrÈmisÈq r£)stq
133,259
113,368
10.443
3,$94
Childcare and educational provision
Administrats'on and govemanc8
TOTAL
4,695
3,995
9,589
9,300
157,986
130,257
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Conslanline Pre-school l Year ended 31 August 2D25 l Registered Charity No. 1033714
Premises costs compri5e-
202S £
Cleaning
Light, power and heating
1,027
91
Rates
114
Repairs 2nd maintenanc
6,898
Routine servicing
1,730
TOTAL
10,443
Chlldcare and educatlonal provlslon comprlses..
2025 £
Children's giftg
Consumables- snack
156
1,069
Educational resources
1,330
Equipment
First aid and hygiene
SEN
58
402
Trips and entertainment
Depreciation (noto 101
871
802
TQTAL
4,696
Admlnlstratlon and governanGe Gomprlses-
2025 £
Annual registrations
Audit and accountancy lees
47
2,752
Insurance
2,811
IT sofmare and consumables
1,882
Printing and stalion8ry
Staff bonus and gifts
Staff consumables
196
340
82
Stsff recruitment
736
Staff training
348
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Lon$￿nI￿ne vre-bcnool l Year enaea i1 Augu512025 1 Keg151ered Ghanty NO. 1QJ3114
Telephone and intemet
396
TOTAL
Individual items above ar8 each round8d to the ntsaresl £7,. the resurting lotals of£lO,444, £4,696 and £9,590 dlffer
from rh8 £7Q,443, £4,690 and £9,589 shown for these caiegortes above by £1 each due to this ffjunding. fhgse
differences (£3 in lotalj a￿ absorbed within th& BLlJustmgnt in note 6.
8. Staff Costs
9,590
202S £
2024 £
Wages and salaries
Employp.r'* Nxlional Insiiranee
Pension conlributions
128,116
101,431
2.803
2,340
Employer's Nl and pension (as combined in
2024 accounts)
TOTAL
133,259
113,368
In the prior year acco¢Jnts employerfs National Insurance and pension contributions wÈr8 prÉ.48nl@d
as a single combined figure and cannot be split between the two on a reliable basis.
9. Pension Costs
11,937
The charity operates an aul¢>enrolmenl pension scheme. ContTibutions of £2,340 were made during
Ihe year {2024.' included within the combined National 5nsurance and pension figure of £11,937 -
see note 81.
10. DebtOT5 and Prepayments
2025 £
Oiher debiors
Ib1
TOTAL
761
11. Creditors and Accruals
2025£ 1
202a £
Trade creditors and accTuals
1,303
552
Income received in advance (note 11
TOTAL
1,303
16,542
The 2024 income received in advance of £15,990 related lo earty years funding ￿ceIved in that
period for the period to which it relates-. this was recognised as Income in the CUTrent year Inole 6}-
15.990
Page8019

Conslanline Pre-SEhool l Year ended 31 Augu512025 1 Regislpred Charity No. 1033714
12. Cash at Bank and in Hand
2025 £
ZQ24 L
Bank current account
21,077
41,728
Savings account
Petty cash
TOTAL
28,500
28,500
386
32
49,963
70,260
13. Charity Funds
Movemeni In funds during the year..
Fund
Opening
Balance £
Incomo £
Closing
Balance £
Expèndlturo £
Unrcotrictcd -
general fund
59,213
152.833
158,167
53.879
Restricted fvnds
801
801
TOTAL
60.014
152.833
158.167
54.680
The charity holds two resimcied funds, whlch were unchanged during ihe year: rhe Ghildren In Need
Garden Balance of £322 and the New Unit Icommunityl fund of £479. There were no receipts into,
or payments from, these funds during the year.
14. Other Information
CAD Accountancy Ltd prep2r6d thes& ar.rtsuntq nn hphalf nf Ihp. Iriiqlp.p.s
Paoe9019