
|Trustees' Annual Report for the period|Trustees' Annual Report for the period|Trustees' Annual Report for the period|Trustees' Annual Report for the period|Trustees' Annual Report for the period|Trustees' Annual Report for the period|Trustees' Annual Report for the period|Trustees' Annual Report for the period|
|---|---|---|---|---|---|---|---|
|From|Period start date|||T<br>o|Period end date|||
||02|09|2022||01|09|2023|



## Section A                        Reference and administration details 

Charity name Other names charity is known by n/a 

Wildlings 

Registered charity number (if any) 1036793 

|ity's principal address|ity's principal address|Ambergate Methodist Church|Ambergate Methodist Church||
|---|---|---|---|---|
|||Devonshire Street|||
|Trustee name|Office (if any)||Dates acted if not for whole year|Name of person (or body) entitled to|
|||Am|bergate<br>|<br>appoint trustee (if any)|
|<br>Neil Hunt|<br>Chair|Pos|tcode<br>~~23/5/21 – present~~|DE56 2GJ<br>Management Commitee|
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|~~Names of the ch~~<br>Stacey Murray|~~arity trustees who manage~~<br>Treasurer||~~the charity~~<br>23/5/21 – present|Management Committee|
|Kathryn Wilderspin|Secretary||23/5/22 – present|Management Committee|
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Names of the trustees for the charity, if any, (for example, any custodian trustees) Name Dates acted if not for whole year N/A 

Names and addresses of advisers (Optional information) 

|Type of adviser|Name<br>Address|Name<br>Address|
|---|---|---|
|N/A|||
||||
||||
||||



Name of chief executive or names of senior staff members (Optional information) 

## Section B              Structure, governance and management 

## Description of the charity’s trusts 

Type of governing document Constitution (eg. trust deed, constitution) 

How the charity is constituted Registered charity (eg. trust, association, company) 

Trustee selection methods Committee members are made up of volunteers, both parents and those with (eg. appointed by, elected by) relevant skills from the wider community, who self select and then undergo a discussion with the committee Chair to consider suitability. All decisions on the appointment of new committee members are agreed by the full committee. 

Additional governance issues (Optional information) 

You may choose to include additional information, where relevant, about: 

- policies and procedures adopted the induction and training of trustees; 

for 

- the charity’s organisational structure and any wider network with which the charity works; 

- relationship with any related parties; 

- trustees’ consideration of major risks and the system and procedures to manage them. 

2 

TAR 

March 2012 



## Section C                    Objectives and activities 

Summary of the objects of the charity set out in its governing document 

To enhance the development and education of children primarily under statutory school age by offering appropriate play, education and care facilities. 

- a) Offering appropriate play, education and care facilities, family learning, together with the right of parents to take responsibility for and to become involved in the activities of such group, ensuring that such groups offer opportunities for all children whatever their race, culture, religion, means or ability. 

Summary of the main activities undertaken for the public benefit in relation to these objects (include within this section the statutory declaration that trustees have had regard to the guidance issued by the Charity Commission on public benefit) 

- b) Encouraging the study of the needs of such children and their families and promoting public interest in and recognition of such needs in the local areas. 

- c) To promote such other charitable purposes as may from time to time be determined. 

Guidance on public benefit is included in the induction process for new committee members and covered within the agenda of the committee meetings 

Additional details of objectives and activities (Optional information) You may choose to include further statements, where relevant, about: 

- policy on grantmaking; 

- policy programme related investment; 

- contribution made by volunteers. 

3 

TAR 

March 2012 



Section D                      Achievements and performance 

4 

TAR 

March 2012 



Section D                      Achievements and performance 

- 

- Summary of the main achievements The committee have continued to support the Manager and Deputy of the charity during the year Manager  supporting  them  in  achieving  efficient  management  and direction for the setting over the year. 

- - The charity remains financially secure, with more children on roll this year than previous. 

- - The committee have employed a professional HR company to ensure that any issues are dealt with appropriately. 

- - Providing high quality early years play and education for children of families in the local area with more children on roll this year than in previous years. 

- - Wildings has earned strong reputation with widespread interest in and support for its child-led ethos and outdoor approach. 

- - The  outdoor  provision  continues  to  go  from  strength  to  strength. Wildlings has started to build up our profile in the world of early years professional development. The Manager has completed her Level 3 in Forest School Leadership. 

- - The manager is studying her NPQ in EYFS management. 

- - The Deputy Manager has completed a course in early language and literacy to support the growing number of children on roll with Speech and Language difficulties. 

- - Wildings has continued to focus on staff training, holding regular staff meeting to upskill staff and share good practice among staff, 

- - The manager has introduced a performance management cycle for all staff across the year, providing staff with clear goals to improve their teaching. The committee has held a performance management meeting for the manager to ensure she also has goals to work towards. 

- - Fundraising has continued to go well with the setting raising money via a Christmas fayre and hamper raffle, an easter egg roll, cake sale and a stall at a local carnival. Funds are being built up to invest in large scale projects such as the refurbishment of the outdoor area at our hall and the development of a community garden. 

5 

TAR 

March 2012 



TAR
Match 2012

Section E                    Financial review 

Brief statement of the charity’s policy on reserves 

Details of any funds materially in deficit 

The committee has established a reserve bank account with the aim to maintain sufficient funds in reserve to cover 3 months running costs and redundancies for staff in the event of closure. 

N/A 

Further financial review details (Optional information) 

You may choose to include additional information, where relevant about: 

- the charity’s principal sources of funds (including any fundraising); 

- how expenditure has supported key objectives of the charity; 

the 

- investment policy and objectives including any ethical investment policy adopted. 

## Section F 

## Other optional information 

## Section G                    Declaration 

The trustees declare that they have approved the trustees’ report above. 

Signed on behalf of the charity’s trustees 


**----- Start of picture text -----**<br>
 Kathryn Wilderspin<br>Position (eg Secretary, Chair,<br>Chair  Current Secretary<br>etc)<br>Date<br>**----- End of picture text -----**<br>


Signature(s) 

Full name(s) 

7 

TAR 

March 2012 



Unaudited Accounts
for the year ended I September 2023
Wlldllngs
Charlty Number: 1036793
Jane Hancox
Earfy Years Bookkeeplng
3 Grange Drive
Castle Donington
Derby
DE74 2QU

Contents of the F5nan¢ial Statements
for the year ended I September 2023
Page
Genertal Infomiatlon
Report of the Independent Examlners
Income and Expendtture
Balance Sheet

Wlldlings
General Informatlon
for the year ended I September 2023
AODRESS:
Wlldings
Methodist School Rooms
Devonsh5re Street
Ambergate
Derbyshire
DE562GJ
INDEPENDENTEXAMINERS:
Easy Accounts Ltd
Unit6
Herllage Buslness Centre
Derby road
Belper
Derbyshlre
DE56 ISW
Page I

Report of the Independent Examiners to
Wildlings
Independent ExamIne￿$ ReporttotheTrustees ofwildin
We report to the charity trustees on our examination olthe accounts of the dHrity fw the year ended
I September 2023 whith are Set out on pa8es three to four
Responslb115tles and basts of report
As the tharitvs trvstees you are re5pon5ible for the preporation of the actounts in ¥ctrdantè thè
requirements ofthe Tharlties Art 20111'theAct'l.
We report in respettofour examination of the thariws xcounts carried out undersection 145 of the
Attand in Carry1￿ c￿t our examination we have followed all the applicabje Directiorts gNen by the
Challty commlss1L￿ Urtder section 14515Mbl ofthèArt.
Independent Examlnerfs statemo
We ￿￿fim1 that no m*erial matters have c￿e to ourattention in c￿nectIon wih the examination
6ivin8 U5 cause to bdieve that in any material re¥*cL'
•¢c￿n￿n8 record5were not kept in resF*rt of the thwlty as required bysecbcffi 130 ofthe Act:
or
the accounts do not actord with those records
We have no concems and have comè a(r055 no other rnattets in t¢nnertion the examination to
which attention should be dra¥m in this report in order to enable a proper understanding of the xcounts
to be reathed.
Easy Accounts Ltd
Unit 6
Heritsge Bvsiness Certtre
Derby Road
Belper
Derbyshire
OE56 ISW
23rd June 2024
Page 2

01.09.23
01.09.22
Incofflè
L A Grant fund￿ chlklren
Chlldcar¢ F••s
COVID support
Donatlons and l¥ades
Groups and Outln85 wntrlbutlons
Fund Ralsln8
Unl¥erslty Gr*nt Inwme
Re8lstratlon fee
Stsff Wellbelnl Fthd
Bank Inler•st
Totsl Ineom•
84.092
99,992
66.385
96,238
3,OS2
2.970
7,045
245
114
176,420
Exp•ndltw•
P•nslon Contrlbullo
Wales
Rent
Suppll•slStstlon•rylR•souY¢
Fundralslni Costs
Admlnlstratlon
Group$ and Outlngs
Sn•¢ks •nd Mmk
Comput•f Costs
InsurafK•S
L•gal and prof•HloMI I••s
Staff Tralnln8
Stsff Wellb•ln8
Costs
¢hr8•s
Tiknl Exp•ndltur•
3,870
123,258
11,595
2.534
116.716
12.409
2.536
I￿54
701
1.530
2.078
837
1,865
1.150
1.986
2.303
763
3,906
187
281
418
302
341
148,337
153,943
Net Surplusl{Delkltl
22,477
Page 3

Wlk41n85
Balance Sheet
01-Sep23
0110912023
0110912022
Current Assets
Debtors
Current accounts
Cash in hand
91,274
50,290
91,274
50,290
CuThent Uablltles
Net assets
91,274
50,290
Funds
8rouEht forward
Add net surplus
50.290
40.984
27.813
22,477
91,274
50,290
Page 4

Unaudited Accounts
for the year ended I September 2023
Wlldllngs
Charlty Number: 1036793
Jane Hancox
Earfy Years Bookkeeplng
3 Grange Drive
Castle Donington
Derby
DE74 2QU

Contents of the F5nan¢ial Statements
for the year ended I September 2023
Page
Genertal Infomiatlon
Report of the Independent Examlners
Income and Expendtture
Balance Sheet

Wlldlings
General Informatlon
for the year ended I September 2023
AODRESS:
Wlldings
Methodist School Rooms
Devonsh5re Street
Ambergate
Derbyshire
DE562GJ
INDEPENDENTEXAMINERS:
Easy Accounts Ltd
Unit6
Herllage Buslness Centre
Derby road
Belper
Derbyshlre
DE56 ISW
Page I

Report of the Independent Examiners to
Wildlings
Independent ExamIne￿$ ReporttotheTrustees ofwildin
We report to the charity trustees on our examination olthe accounts of the dHrity fw the year ended
I September 2023 whith are Set out on pa8es three to four
Responslb115tles and basts of report
As the tharitvs trvstees you are re5pon5ible for the preporation of the actounts in ¥ctrdantè thè
requirements ofthe Tharlties Art 20111'theAct'l.
We report in respettofour examination of the thariws xcounts carried out undersection 145 of the
Attand in Carry1￿ c￿t our examination we have followed all the applicabje Directiorts gNen by the
Challty commlss1L￿ Urtder section 14515Mbl ofthèArt.
Independent Examlnerfs statemo
We ￿￿fim1 that no m*erial matters have c￿e to ourattention in c￿nectIon wih the examination
6ivin8 U5 cause to bdieve that in any material re¥*cL'
•¢c￿n￿n8 record5were not kept in resF*rt of the thwlty as required bysecbcffi 130 ofthe Act:
or
the accounts do not actord with those records
We have no concems and have comè a(r055 no other rnattets in t¢nnertion the examination to
which attention should be dra¥m in this report in order to enable a proper understanding of the xcounts
to be reathed.
Easy Accounts Ltd
Unit 6
Heritsge Bvsiness Certtre
Derby Road
Belper
Derbyshire
OE56 ISW
23rd June 2024
Page 2

01.09.23
01.09.22
Incofflè
L A Grant fund￿ chlklren
Chlldcar¢ F••s
COVID support
Donatlons and l¥ades
Groups and Outln85 wntrlbutlons
Fund Ralsln8
Unl¥erslty Gr*nt Inwme
Re8lstratlon fee
Stsff Wellbelnl Fthd
Bank Inler•st
Totsl Ineom•
84.092
99,992
66.385
96,238
3,OS2
2.970
7,045
245
114
176,420
Exp•ndltw•
P•nslon Contrlbullo
Wales
Rent
Suppll•slStstlon•rylR•souY¢
Fundralslni Costs
Admlnlstratlon
Group$ and Outlngs
Sn•¢ks •nd Mmk
Comput•f Costs
InsurafK•S
L•gal and prof•HloMI I••s
Staff Tralnln8
Stsff Wellb•ln8
Costs
¢hr8•s
Tiknl Exp•ndltur•
3,870
123,258
11,595
2.534
116.716
12.409
2.536
I￿54
701
1.530
2.078
837
1,865
1.150
1.986
2.303
763
3,906
187
281
418
302
341
148,337
153,943
Net Surplusl{Delkltl
22,477
Page 3

Wlk41n85
Balance Sheet
01-Sep23
0110912023
0110912022
Current Assets
Debtors
Current accounts
Cash in hand
91,274
50,290
91,274
50,290
CuThent Uablltles
Net assets
91,274
50,290
Funds
8rouEht forward
Add net surplus
50.290
40.984
27.813
22,477
91,274
50,290
Page 4