## **2023 Accounts** 

- Profit for the year is **£1** .5K  This is a lot lower than last year’s profit ( **£15k)** , as we had high numbers of funded children in attendance therefore the hourly costs are lower and generally numbers of children were lower. 

- Total income amounts to **101k** and expenditure **£100k** .  Income is largely generated through fees from parents (£24k) and NCC funding (£74k). 85% of total expenditure relates to staff costs (£75k) and 9% relates to the building rent paid to St Peter’s Church £12.5k). 

- **Fees** - Were almost identical to last years. 

- **Staf costs** of **£75,977** Are **higher** than last the increase is mainly due the living wage increase and staff doing additional hours and the hourly rate for staff increase from April. 

- **Rent and Refuse** was **£1.2k** is slightly higher.  Rent was increased in September and again in January. 

- **Insurance costs** increased very slightly from £766 to **£796** . 

- **Accountancy and payroll costs** of **£1096** are much higher than 2022 £1034. 

- **Licence costs** of **£470** are only slightly higher than 2022 mainly due to an increase to annual costs. 

- **Website & IT costs** of £ 670 are a lot higher than 2022 £309 this is due to needing some ict equipment. 

- Investment in **play equipment** has been high this year, as we have needed to replace a lot of equipment due to a leak in our storage shed. £3270 last year was **£1317.** 

- **Fundraising activities** fundraising higher this year and we have generated £1446 which is positive amount as we have been limited what we could do the last 3 years. 



## **2023 Accounts** 

- Profit for the year is **£1** .5K  This is a lot lower than last year’s profit ( **£15k)** , as we had high numbers of funded children in attendance therefore the hourly costs are lower and generally numbers of children were lower. 

- Total income amounts to **101k** and expenditure **£100k** .  Income is largely generated through fees from parents (£24k) and NCC funding (£74k). 85% of total expenditure relates to staff costs (£75k) and 9% relates to the building rent paid to St Peter’s Church £12.5k). 

- **Fees** - Were almost identical to last years. 

- **Staf costs** of **£75,977** Are **higher** than last the increase is mainly due the living wage increase and staff doing additional hours and the hourly rate for staff increase from April. 

- **Rent and Refuse** was **£1.2k** is slightly higher.  Rent was increased in September and again in January. 

- **Insurance costs** increased very slightly from £766 to **£796** . 

- **Accountancy and payroll costs** of **£1096** are much higher than 2022 £1034. 

- **Licence costs** of **£470** are only slightly higher than 2022 mainly due to an increase to annual costs. 

- **Website & IT costs** of £ 670 are a lot higher than 2022 £309 this is due to needing some ict equipment. 

- Investment in **play equipment** has been high this year, as we have needed to replace a lot of equipment due to a leak in our storage shed. £3270 last year was **£1317.** 

- **Fundraising activities** fundraising higher this year and we have generated £1446 which is positive amount as we have been limited what we could do the last 3 years. 



CHARITY COMMISSION
, FOR ENGIAND AND WALES
Independent examiner's report on the
accounts
Se¢lion A
Independent Examiner's Report
Report to the trustsesl
member5 01
The Hemitage Pre School
On accounts for the year
ended
3111212023
Charlty no
(If any)
1034672
S•t out on pages
I report to the trustees on my examination of the accounts of the above
chanty {'Ihe Trust") lor the year ended 3111212023.
Responslbllltles and
basls of report
As the charitys trustees. you are responsible for the preparation of the
accounts in accordance wrth the requirements of the Charities Act 2011
(Ihe Ad").
I report in resped of my examination of the Trust's accounts carried OLrt
under section 145 of the 2011 Act and in carrying out my examination. I
have followed all the applicable Direth'ons given by the Chality Commission
under secb'on 145(5)(b) of the Act.
Independent l am qualified to undertake the examination by b*'ng a qualified member of
examinerfs statement the ACCA..
I have completed my examirsation. I confim that no material matters have
come to my attention in connection with the examination which gives me
cause to believe that in. any material respect..
the accounting records were not kept in accordance with section 130
of the Charities Act.. or
the accounts did not accord with the accounting records., or
the accounts did not comply with the applicable requirements
concerning the form and content of accounts set out in the Charities
(Accounts and Reports) Regulations 2008 other than any requirement
that the accounts give a Irue and faif view which is not a matter
considered as part of an independent examination.
I have no concems 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.
Signed:
Date:
11-3-202
Name:
Adam Girling
Relevant professional
qualrfication{s) or body
(if any):
ACCA
IER
Oct 2018

Addr•s8:
Girlings & Co Chartered Certified Accountants
11 High Street, Ruddington. Nottinghamshire, NG11 6DT
Section B
Disclosure
Only complete if the examiner needs to highlighl material matters of conom
{see CC32. Independent examination of charty accounts.. directions arKI
guidance for examiners).
Give here brief detalls of
any items that the
examiner wishes to
disclose.
IER
Oct 2018

r,
CHARITY COMMISSION
FOR ENGLAND ANO WAIES
Receipts and payments accounts
CC16a
For th• period
To
Section A Receipts and payments
Unr•stricwd
fund•
RestTlcted
lund•
Endowm•nt
fund•
Totsl fund¥
Lnt y••r
Z4.U1
74,711
24521
74,714
75,7•9
sia1
JRS
512
101J4J
101.507
Sub totalfGmss hcome forAR)
101343
A2 A￿•1 and InTrt•tm•nt sal••.
I￿• t•bl•l.
ub tolal
Total rnceipts
101,243
101,243
101.507
AJ Payments
7&977
76
75.971
78
.5
142
142
omer Suflc
Réth aTr1 Reluye
FuThJraigty Ewen9es
c￿1 •Thl Leamir*J Reswrces
11775
11.096
200
1039
796
2,039
429
760
1,034
942
Cttik1iEn's Sna&s
Unrfom C￿ts
Lttrtes. Fees
W2bSrte ard IT Costs
1.170
275
1,170
275
109
470
470
670
670
190
19Q
749
PW Eqw
3370
3.270
1,317
15
Sub total
100,221
100,221
A4 As••t •nd Inw••tsh•nt
purcha•M. Iv• tsbl¢l
Sub total
11KI.221
10D.221
88,484
Tot•1 paym•nlS

P4•e of rnc•lpts/(p•ynw¥ts)
AJ TF¥n•l•rn b•tw••n fvnd•
A6 Ca•h lund• F*8t y••r •nd
C•sh funds this year énd
1.022
15,0
17,117
81,209
•7.167
BI,209
71164
17,1
Seclion B Statement of assets and liabilities at the end of the period
Unrgstrfjct•d
fund¥
R•strfct•d Endovrfn•nt
fvnds
lund•
C•thgori
D•t*l
B1 Cash lurlds
27
250
rolal ¢•sh fvnds
Unmtrlci•d R•8trlct•d Endty*rn•nt
fundg
lund•
fvnd•
Detsiis
83 Investment •ss•ts
Details
B4 A8S•t• rnt4ln•d for lh•
ch•¥lty's own u
D•tsils
B5 Llablllll•s
Da￿ of
S¥Jnatt
F'.,°
%ToO
rLT