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2020-08-31-accounts

Aveton Gifford Pre-School

Registered Charity no. 1035567

Accounts

31 August 2020

Aveton Gifford Pre-School Contents

Page
Trustees report 1
Independent examiner's report 2
Receipts and payments account 3
Statement of assets 4
Notes to the accounts 5

Aveton Gifford Pre-School

Trustees report

The trustees present their report and accounts for the year ended 31 August 2020.

Structure, governance and management

The Aveton Gifford pre-school, out of school club + toddler group (The pre-school) is a body in membership of the Early Years Alliance (membership number 12190) and was constituted on 19 October 2009.

The overall management and control of the pre-school rests with the individual members of the pre-school's management committee. As well as being responsible for the management of the pre-school the committee members are also the charity trustees of the pre-school. Aims

The aims of the pre-school are to enhance the development and education of children primarily under statutory school age by encouraging parents to understand and provide for the needs of their children through community groups and by:

Committee members and trustees

The following persons served as committee members and trustees during the year.

Committee members

B. Gerrard (Chair)

A. Clayton (Secretary)

A. Henshaw-Depledge(Treasurer)

C Richardson (Representative for Child Protection) - (C King resigned)

N. Newman (Representative for Equal Opportunities)

A.Kirby K.Musgrave S.Lodge L.Harris

The following trustees have a specific responsibility for looking after the interests of the pre-school building.

T Abrahall

J Neal

P Powell

This report was approved by the committee members and signed on their behalf.

B. Gerrard Chair 22 February 2021

1.

Aveton Gifford Pre-School

Independent examiner's report to the Trustees of Aveton Gifford Pre-School

I report on the accounts of the pre-school for the year ended 31 August 2020, which are set out on pages 3 to 6.

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 the year under section 144(2) of the Charities Act 2011 (the 2011 Act) and that an independent examination is needed. It is my responsibility to examine the accounts under section 145 of the 2011 Act, to follow the procedures laid down in the General Directions given by the Charity Commissioners under section 145(5)(b) of the 2011 Act and to 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 accounts, and the seeking of explanations from you as trustees concerning any such matters. The procedures undertaken do not provide all the evidence that would be required for 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 matter has come to my attention:

C.P.Thomson 22 February 2021

2

Aveton Gifford Pre-School Receipts and payments account for the year ended 31 August 2020

Notes 2020 2019
£ £
Income 3 54,987 69,789
Other income 3 6,126 2,283
61,113 72,072
Expenses
Expenditure related to pre-school and
fundraising activities 3 64,931 61,629
(Loss) Surplus before depreciation (3,818) 10,443
Depreciation charge 2,061 1,885
3 (Deficit) /Excess of income over expenditure (5,879) 8,558

3

Aveton Gifford Pre-School Statement of Assets as at 31 August 2020

Notes 2020 2019
£ £
Fixed assets
Buildings and equipment 4 263,862 269,054
Current assets
Current account 13,078 20,989
Deposit account 21,965 19.535
Children’s centre current account 882 882
Petty cash - -
Debtors - fees - -
35,925 41,406
Current liabilities
Tax and social security - -
Pension liability -
- -
Net current assets 41,406
Net assets 299,787 310,460
Funds account 5
Unrestricted income fund 76,695 82,574
Restricted capital fund 223,092 227,886
299,787 310,460

We approve the accounts and acknowledge our responsibility for them, including the appropriateness of the accounting basis and for providing all the information and explanations necessary for their compilation.

B.Gerr ard

Chair

22 February 2021

Aveton Gifford Pre-School Notes to the receipts and payments account for the year ended 31 August 2020

1 Accounting basis

The accounts have been compiled on a receipts and payments basis.

2 Depreciation

Depreciation has been provided on the assets to write them off over their estimated useful lives

New Building - 50 years ( Charged to Restricted fund)
Fixtures and fittings 10 years
Summer house 5 years
Digital camera 5 years

3 Receipts and payments account analysis

Receipts and payments account analysis
Income
Fees from parents & toddlers
Fundraising
Early years grants
Other Income
Sweatshirts, photos
EDF Energy
Furlough payments
Bank Interest
Expenditure
Salaries and pension
Milk and apples
Premises
Insurance
Consumables and equipment replacements
Fundraising expenses
Telephone and internet
Subscriptions
Sweatshirts
Training
Postage and stationery
Sundries
Expenses before depreciation
Depreciation
2020
£
12,942

2,634
39,411
54,987
137
2,431
3,529
29
6,126
56,737
378
2,212
1,153
-
97
2,264
333
-
350
787
620
64,931
2,061
2019
£
14,382
3,750
51,657
69,789
42
2,213
-
28
2,283
52,449
345
2,951
1,134
2,173
130
1,042
260
208
224
510
203
61,629
42
2,213
-
28
2,283
1,885

5

Aveton Gifford Pre-School Notes to the statement of assets for the year ended 31 August 2020

4 Fixed Assets

Land
New
Building
Fixtures &
fittings
Summer
House
Digital
camera
Total
Cost B Fwd
24,715
239,709
5,594
6,427
250
276,695
Cost in year
1,664
1,664
Cost carried fwd
24,715
239,709
7,258
6,427
250
278,359
Depreciation
B fwd
-
4,794
550
2,247
50
7,641
Charge in year
-
4,794
726
1,285
50
6,855
Depreciation
Carried fwd
-
9,588
1,276
3,532
100
14,496
Net Book Value
B Fwd
24,715
234,915
5,044
4,180
200
269,054
Net Book Value
Carried Fwd
24,715
230,120
5,982
2,895
150
263,862
Cost B Fwd
Cost in year
Cost carried fwd
Depreciation
B fwd
Charge in year
Depreciation
Carried fwd
Net Book Value
B Fwd
Net Book Value
Carried Fwd
Land
24,715
24,715
-
-
-
24,715
24,715
New
Building
Fixtures &
fittings
Summer
House
Digital
camera
239,709
5,594
6,427
250

1,664
239,709
7,258
6,427
250
4,794
550
2,247
50
4,794
726
1,285
50
9,588
1,276
3,532
100
234,915
5,044
4,180
200
230,120
5,982
2,895
150
Total
276,695
1,664
278,359
Total
276,695
1,664
278,359
7,641
6,855
14,496
269,054
7,641
6,855
14,496
263,862
5. Movement of funds 2020 2019 2020 2019
£ £ £ £
Restricted Unrestricted Total Total
building fund funds funds funds
At 1 September 2018 227,886 82,574 310,460 306,696
(Deficit)/Surplus for the
year - (3,818) (3,818) 10,443
Depreciation charge (4,794) (2,061) (6,855) (6,679)
At 31 August 2019 223,092 76,695 299,787 310,460

6