## **Trustees Annual Report:** 

We are a member of the Early Years Alliance and follow their constitution. All parents are invited to our AGM and can be voted onto the committee as a Trustee if they so wish. A minimum of 2 meetings are held each year. 

## **Activities:** 

**Summer term, April, May, June, July 2021.** 

**Re-opened after Easter Holidays on 19[th] April with the theme, “Animals”. Our popular shed in the playground became a “vets”. St. George’s Day was celebrated. Staff continued with more training on ‘Helicopter Stories’. After the half term holidays, (June), a student from Ashton 6[th] Form college  joined us for 2 weeks. Our theme was “Pirates and Princesses”, the shed became a Pirate ship.  Children on the waiting list for a September start, came in on visits. Group/Graduation photos taken. We still had certain COVID restrictions in place. Local schools would not allow our “leavers” to visit them and Reception teachers did not have permission to come and meet their future children on our premises. July 2021.. Graduation day took place , outside, in front of restricted numbers and socially spaced out. The children performed a “Pirate Dance”.** 

**Parents have given wonderful support during the year, wearing masks, safe distancing, ensuring children washed their hands before entering the building....no-one objecting. All staff had vaccinations and tested twice a week.** 

**Autumn Term, Sept., Oct. Nov. Dec. 2021** 

**We opened with 27 children on the register. Our theme “All about me”. The new Updated curriculum in Early years Foundation stage came into place.** 

**A letter of “welcome/welcome back” went out explaining about our Facebook page and e-newsletter.  Copy of Privacy notice given. We celebrated “Harvest” in October. Parents bringing in food and toiletries for the homeless . In Nov. We had another student on placement. Usual December activities, Christmas Jumper Day in aid of Save the Children Fund. Our nativity, Christmas Party. Parents invited in to see the childrens’ files.** 

**Cleaning of the whole building and extra cleaning in Pre-school has taken place every day due to COVID.** 

**Spring term, Jan. Feb. Mar. 2022** 

**Jan. We had 3 cases of COVID amongst the children. Authorities informed and we had to close for 1 week. Our theme , “shopping”.** 

**Feb. Parents given letters asking to inform us of who would be staying in Sept. Or leaving for school.** 

**Mar. Theme, “Living things”. Government announced the new “Funding rates”. In line with this, our rates will rise from April. Parents informed.** 



SUNSHINE PRE SCHOOL
REGISTERED CHARI IY NUMBER 1037828
BALANCE SHEET AS AT 31 MARCH 2022
2022
2021
Current Assets
Cash at Bank- Unrestricted
Restricted
83,959
84,039
83,959
84,039
Debtors- PAYE
305
Prepayments
974
929
Accruals
4,779
3,236
Net Current Assets
80,154
82.037
Represented by
Excess Inwme Brought For4vard
SurplusllDeficitl This Period
81,732
1,578
80,154
77,646
4,391
82,037

SUNSHINE PRE SCHOOL
REGISTERED CHARITY NUMBER 1037828
INCOME AND EXPENDITURE ACCOUNT AS AT 31 MARCH 2022
2022
2021
Total Incorne
Less opening debtorslprepayments
-Plus closing debtorslprepaymenls
TOTAL
103,292
929
974
103,337
109,206
926
929
109.209
Total Expenditure
Less opening creditorslaccruals
Plus closing credilorslaccruals
TOTAL
103,372
3,236
4,779
104,915
102,165
583
3,236
104,818
Surplusl{Deficit}
1,578
4,391

SUNSHINE PRE SCHOOL
REGISTERED CHARIry NUMBER1037828
RECEIPTS AND PAYMENTS AS AT 31 MARCH 2022
RECEIPTS
2022
2021
Fèes Received
12.667
14.000
Commission
93
Grants Received
TMBC- FEF 15hr & 30hr
TIiq8C- Autumn 2019 shortfall
2 year old
Deprivation
70,318
62.490
13,263
18.101
1,262
615
95
D.A.F.
Pupil Premium
SEND
1.845
90,264
94,734
Milk Grant
9D,264
94.734
Fundraising for Pre-SchoollDonations
140
Other Income
staff snacks
Other
185
84
112
220
TOTAL RECEIPTS
103,292
109.206
PAYMENTS
Rent of Prèmises
8,934
6.988
staff Costs WageslHol Pay
NIC Er
NIC Emp.Mlow
Pension Schem8
80,402
3,993
3,993
1,233
880
81,580
3.520
3,520
1,190
157
SEND
80,754
82,813
Toys, Equipment, Book5
Printing and Ststionery
Admin Support
PLA M'shiplofstsd
Misc
Training
Covid 19 expensès
428
923
5,000
1,154
145
118
618
260
224
4,635
1,019
13
369
935
8,384
7,455
Kit¢henlFood
other Expenditure
Trangport Farm Trip
883
555
272
21
21
272
SEND
Sport and Dan
Pupil Premiurn
San18nder
302
3,861
232
725
3,305
30
222
TOTAL PAYMENTS
103,372
102,165

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Sunshine Pre-school
Registered Charity Number 1037828
Accounts for the year ended 31 March 2022
The attached accounts have beén checked against the
books provided and appear to be correct wilhoul a
full audlt.
Chadwick & Company
Chartered Accountants
Capital Houge
272 Mancheoter Road
Droylsde
43 6PW
Tel: 0161370 9600