ChaTity registration nunjbcr: 1037833
Youth Centre Playgroup (Lymington)
kM)wn as
Pennington Village Pre-school
Annual Report and Finsnciai Statemems
for the Yvdr Ended 31 May 2021
Westlake Clark Chartered Accountar
7 Lynwoixi CoLLrt
Priesilands Place
Lyn]in￿On
Hampshtre
S0419GA

Yoyth Centre Pjavgroup (LymiDg¢on)
known as P¢nniDgton Village Pre-school
Contents
Reference and Admityisirdtiye Deiails
Tnjstees. Report
2to3
SIAiemeni of Tn]sk¢s' Responsibilities
Independent EX￿￿lne￿S RerM)rt
Statement of Financial Aciivilies
Bal￿¢¢ Sh¢¢t
Not¢s to th¢ Fijwicial SrotenKnts
8t013

Youth Centre Playgroup (Lymington)
known 8$ Pennington Village Pre-school
Reference Administralive Defxils
Trnstee$
M5 K Horne
Ms J Black
s R Mcnzies
-ms M Stride
Principal Office
Priesilattds Road
Lymington
H3nip5hir¢
S0418HX
Charity Registration Number
IOJ78J3
Independent Examlntr
Ivesilikc Clark Chartered Account2ms
7 LynW￿d Court
Prte5tlands Place
Lymingion
Hattlpshire
S0419GA
Page I

Youth Ceotre Plaigroup (Lymington)
known Las Pennington Village Pre-S¢hool
Trustees, Report
The tnjstees p￿$¢￿1 th¢ &￿nUal rwrt tO8ether wtth the financial sial¢m¢nts of the chaTity foT th¢ y¢ar ¢nd¢d 31
May 2021.
Objectives and activities
ObJe£'ts ffnd
The chariÈable object of the chartty is to enhartee the development and education of Childreii under statutory
school age by encouraging parents to undersrand and provide for the netd5 of their children through ¢()Tntnunity
groups.
The tnLStees confirni ihai they have complied with the requirernents of Section 17 of the Charities Aa 201110
hav¢ du¢ r¢gJrd to th¢ publi¢ b¢nefii guidance published by ihe Charity Commissioll for England and W￿eS.
Siruriur¢. governanee and management
Nolure ofEoverning doeHMfteni
The charity is (kov¢rned by its wnstityiion adopted on 16 Mar¢h 1994 and is a ￿giSter¢d charity. numb¢r
10378i3.
Finalleial instrumenis
Objecllves Nndpollcles
The charity's actiTrities expTrse it to a number of financial risks including Credit risk. cash flow risk and liqusdiry
risk. The uge of financial deri*atLves is governed by the chariry's tK)licies 8pproved bv the board of tNsiees,
whiih provide written prin¢iples on the use of financial derivatives ¢0 manage these risks. Th¢ clthrity do¢s not
use derivative fitjancial instruments for 5pttulativc purposes.
Cushflow nsk
The chariry's activities expose it primarÈly to the financial risk5 of Changes in foreign c￿￿enCY exchange rates
and interest rates. The clwity uses foreign exchange for¥￿2rd contracts and interest rate Swap contracts to hedge
thr* ¢xposur¢s.
Interc5t bearing assets and liabilities are held ai fixed rate lo cn5ll￿ certainty of cash flows.
Credii rislt
The Charl￿ s principa] financial assets are bank balances and cash. tnde and other rt¢eivables. aiid investmcnts.
The chariry's credit risk is pr2marily attributable lo its Irade receEvables. Tjie amounts presentcd in the bal8nee
sheet are net of allO￿anL¢S for doiibrful re¢eivables. allowdnce ftkr impair7nent 15 made where there is an
idenlified loss evpnt which. b￿d on previous experience, is evidence of a reduaion in the r¢wv¢rability of the
tasl) tlows.
The credti risk on liquid funds and dcrivativ¢ financial in5trntntEJts i5 limited because the cOunte￿artIeS ar¢
banks wilh high credit-ratings &s5iglltd by international credit-raiing agencies.
The cliarity has no signifiLant conc¢ntra¢ion of ¢r¢dit risk, %vith exposure spread over a large nuniber of
count¢rp¥rties and cusiomtrs.
Page 2

Youth C¢ntre Pla)'group ILymington)
knowl) as Pennington Village Pre-school
Tru5t¢es' Report
The annual report W&8 approved by the iwstees of the chaTity on 29 March 2022 and signed on its bchalf by..
Ms R.￿en￿e5
Trustee
P4oe 3

Youth Centre Playgroup (LymingioD)
as Pennington Village Pre-school
Stalement of Tru51ee5' RespoDsibilities
The tru5tee5 aTC re5pon5ible for prepariTrg the trustees, report and the financial statements in accordance with the
United Kingdom Aecouniin8 Standards IUnii¢d Kingdom Generdlly 4ccepied Accountin8 Prdciicel and
applicable law and ff8ula(ions.
The law appli¢able to ¢harill¢S reqiiires the trustees io prepa￿ financi￿ Sthl¢ments for each fit)an¢ial year which
give a Irue and fair view of the stale of affairs of the charity arbd of ihe incomin8 resources and appli¢aiion of
resources of the Lhariiy for thai period. In preparing these fit)ancial sthiements. the tNste¢s are required to..
5¢1ect 511itable Hcrounting policiE5 and then apply them consislently-
observe the meihods and principles in the Charitte$ SORP.
make judgements and estimaies that ar¢ reasonable and Prudent.,
state whether applic8ble accounting standards have been followed. subject to any n￿terial departures
disclosed and explained in the financial stalenients. and
prep4ire ihe financtal Maiements on the going concern basis unless it is inappYopri*e to presume that the
charzty will ¢otJtioue in business.
The trustees are rcsponsible f￿ keeping propu a¢¢ounting r¢cord$ that disclos¢ with r¢8sonabl¢ ar¢uwy at an)
time the finan¢ial wsilion of ihe ¢hariry and enable ihein 10 ensure ihai Ilie financial staiemeiits wmply M'ith the
Chariiies A¢t 2011, the appli¢able Chatiiies IA¢¢ounts and Reports) Reuulations, and ihe provisions of the
constiturion. The trnstees are also Tesp)nsibl¢ for safeguardin
the a5s¢ts of the charity and hence for taking
reasonable sieps for the preveniion and det¥Ytion of fraud and other irregularities.
Approved by thc Irust¢C5 of th¢ charity on 29 MarEh 2022 and signed on its behalf by..
Ms R ￿t￿LeS
Tiustee

Youth Centre Plavgroup (Lymington)
known as PenDington Village Pre-school
Independent Examiner's Report to the trustees of Youth Centre Playgroup (Lymington)
I report to the charlry tnL5te¢5 on my examTnation of the acrouTts of the charity for the year ended 31 May ?021
whsch set out on pages 6 10 13.
Re$peeti¥e responsibilities of trnsteos *nd examlner
As the charity's trusiett of Youth cent￿ Playgioup ILymingtonl you are responsible for th¢ preparation of ihe
acwunts in ￿CordanCe with the requirements of th¢ Charilies Act 2011 I'the Act,).
l I￿￿rt 51) TespecÈ of rny exatnination of the Youth Centre Playgroup ILyrnington)'s accounts carried out under
scction 145 of the 2011 Act and in wrying out my examin￿lts￿ I have followa all thc applicablc DireGtLOnS
given by the Ch3riry Comiiiigsion under se¢iion 14515Mbl of Ihe Acr.
Independent examiner's stattmellt
I have completed my" examination. I wnfimi that no material matteFS have come to my ortention in connertion
with the examination giving me cause ￿ believe tbai irt ally material rcspcct:
l. accoiiniing records were not kept in rewt of Youth CenThr Play￿Oup ILymingtonl as wuired bv 5CCtio
130 of the Aci,. Or
2. the 8ceount5 do not ac£ord with tknse records" or
3. The a¢¢ouDiS do not comply with Ihe accounting requirements concerning the foFm atEd content of accounts
set oul in rh¢ Charities IAc¢ounts and Rcportsl R¢gulations ?008 other thali any requirernent that th¢
accounts give a 'true and fair view, which is not a matter constdered as part of an independeni
examination.
I have no concErnS ttnd have cotne acr055 no other matters in coftneclion with the examination to which gtt¢niion
Should be dra%￿ in this report in order ￿ enable a proper understanding of the aetounts io be reached.
Rosemary P¢nn N¢wman MBA FCA CF
7 Lviiwood Court
Pr*¢silands Plac¢
Lyniington
Hampshsre
S0419GA
29 March ?022
Pag¢ 5

Youth Centre Playgroup (Lymington)
known as Pennington Village Pre-school
Statement of Financial A¢fivities for the Year Ended 31 May 2021
Total
2021
Totsl
2020
Unrestrleted
Noie
Income and Endowments from:
charit￿le aeiivilies
156.462
156.462
91,861
Inveslment inwme
Other income
46
Toial incom¢
156.553
156,554
91.909
V.YptTEilittsre oll:
Charitable a¢tiviiies
her exp¢fjdilure
{140,1131
19601
1140.1131
19601
(104210)
Toiai expenditure
(141.Q731
1141.0731
11042101
ei mov¢meni in fvnds
15.480
15,480
(12,3011
Reconcilixtioo of
Toial funds brought fon¥ard
42.521
42,521
54.82?
Toial tunds ca¥ried forward
58.001
58,001
42.521
All of the charity's aeiivities derÈve from continuin8 operntions during the above two periods.
The funds breakdown for 2020 is shown in note I l.
Page 6

Youth Centre Pla)'group (LY￿l￿gtoll)
known a5 Pennington Village Pre-school
(Registration number.. 1037833)
Balanee Sheet as at 31 May 2021
2021
21120
Note
Current assets
Cash aÈ bank and in hand
58.961
42.521
Creditors: Amottnts falli￿g d￿¢ wilbin otte vur
io
19601
Net assets
58.001
42,521
Funds of the ¢harlty:
Unre$tricled income fvnds
Unrestricted funds
58,001
42,521
Total funds
58.001
42.521
The fiiiancial 5taiements on pa8tt 6 to 13 ￿re approved by th¢ trustees. and authorised for issue on 29 March
2022 ￿]d sign¢d ots th¢ir bchojf by..
Ms R N.1t￿ie$
Twstee
Page 7

Youth Centre Playgroup Wymington)
as Pennington Village Pre-S¢hool
Notes to Ihe Financial Statements for the Year Ended 31 May 2021
l Accounting policies
Statement of compii*nee
-The fiiiancial staiemenrs have been prepared in accordance with Accounting aiid Reporning by C.harities'.
Stat¢rnent of Recommended Pn¢ri¢¢ appli¢abl¢ io Charities p￿ParIng their accovnts in accordalice with the
Financial Rep)rting Standard appliLxble in the UK and Repllbli¢ of Ir¢land IFRS 1021 {effectiv¢ l Jani
20191 _ (Charities SORP (FRS 10211, Ihe Financial RepLMing Srdndard applicable in the Uk 8nd Republic of
Ireland IFRS 1021 and the Charities Art 2011.
Basis of prepAr&tion
Youth Centre Playgroup (Lymington) meds Ibe deflnilion of a public benefit entii), under FRS 102. As5eis and
liabilities are initially recognised at historical cost or tt2iisaction valu¢ unless othtnvise staled in tlje relevant
ac£ounting ￿l1¢Y notes.
Eiemption from preparing a tash Ilow $¢•tsmtnt
The charjtv Opled to early adopt Bulletitt I published ? Febrnary 2016 and Iwe therefote not included a cash
flow 5tstement in these financial statements.
Going ¢onterD
The iwstees consider th* there are no rnateritl uncerfainties a￿llt the charity's abiltty w continue as a goin8
Gotlcern.
Ex￿ndi¢vre
All expenditure is recognised once ihete is a legal or COTLStructive obligation to that expenditure, it is probable
settletnent is required and the amount can be measured reliably. All costs are allocated TO the applicable
exp¢nditt]re lieading ihai aggregaie similar c0515 to that category. Whcre costs canrH>t be directl!. attributed to
particular headings they have been allocated on a basis wnsistent wilh the use of resources. Wlth centrdl staff
C051s allocated on th¢ basis of lime spenL and dep¥e¢iatioll Chavges allornied or] the portion of th¢ ass¢i's us¢.
Other support cosis are all(uted based the spread of staff costs.
Chariliible uclivilies
Charitable expendilure ¢omprises ¢hose costs incutTed by the charity" in the delivery of its activities and services
for its beneficiaries. It includes both costs can be allocated directly to such activities and ihose ctssts of a
indirect tsatur¢ nc¢e55ary ro supw)rt thern.
Support costs
Suppon cosi$ include ctniral fvnciioNs and have been allocaEed to activiry cosi categories on a ba515 C011515teiit
with the use of resou￿¢5, for ¢xampl¢. allocating property by floor are&s, or per capiiL staff cosis by the
titne speffl 8n<l oiher ￿sts by their ILWe.

Yollth Centr¢ Pla)group (Lymington)
known as Pennington Village Pre-school
Not&8 to the Fillan¢ial Slg¢ement$ for the Year Ended 31 May 2021
TATltlon
The chariry is considered io pass the tests set out in Paragraph I Schedule 6 of thc Fiiiwice Act 2010 and
therefore it Tn¢ets the defmition of 2 charit&ble company for UK Co[￿ratiOn taK purposes. Accordiiigly, the
chariiy is poienlially exempt taxation in re5Pert of incorne or capital ¥ains rEceivd within careuories
covered by Chapter i Part I l of the Corp)¥ation Tax Aa 2010 or Section 256 of the T￿atIon of Chargeable
Cairb5 Act 1992. to the exteni ihat 5ueh inwm¢ or gains are appli¢d exclusively to charitabl¢ pyrpoKs.
C4sh #nd cash tqiiiv4leDts
Cash and cash equivalents cornprÉse cash on hwjd and call dep05iis. and otlitr sliort-terni highly liqllid
ifiveslnieiitS thai are readily convertible to a knoi%m amount of cash 2nd ¥e subject to an instgnific2nt risk of
change in Yaiue.
Fund Strueture
Unrestricied income funds are gefternl funds that are available for use at the trustets's discretion in furtherance
of the objefflive5 of th¢ ehariry.
2 Income from ¢barltable actlvlties
UorHtriet¢d
Toial
2021
Tot￿1
2020
GeDer*l
Fees from parentslcarers
Grants
Funding
Vouchers from parents
Fundraising
9,794
3.128
140.929
9.794
9,594
140,929
81,402
i38
865
1 £6.46?
156,462
91,861
3 Investment lTrcom¢
Vurestrittcd
funds
Gtnenl
Totsl
2021
Total
21120
Interest ￿Ctlyable and ssmilar illCOTll¢-
Int¢r¢sl re¢¢ivable on bank deposits
P4Y9

Youth Celltre Plavgroup (Lymington)
known as Pennington Village Pre-school
Notes to the Financial StAtements for the Yexr Ended 31 May 2021
4 Other in¢omt
Unre5tTiCt
Totwl
2021
Tot81
20211
Genernl
Other income
90

Youth Celltre Playgroup (Lymington)
known as PenniDgton Village Pre-S¢hool
Nol¢$ to the Finall¢ial Statements for the Year Ended 31 Ma). 2021
5 EX￿ndit￿re on ch•ritxble x¢tiTrili¢s
UMrestri¢ted
fund5
Gtfjtral
Totsi
2021
Salari¢s
Reni
Premises costs
M¢cting costs
Eqllipinent
Office costs
Other payments
103,345
17.415
6.831
190
2.235
103,345
17.415
6.831
190
2,235
6.123
3,974
140,113
140,113
6 Other tApenditure
UnT￿trIcted
funds
G¢Der41
Total
2021
Alloc*ed sllpport C05t$
960
960
960
960
7 Tru$tees remuneratioll and expenses
No trustees, thor any persoiis ¢onnecied with them. have received any remunerdtion from the charity during the
y¢ar.
No misiets hav¢ received any reimbursed expe￿%¢5 or &TLy other benefits from th¢ charity during the yvar.
8 Staff ¢o$ts
The a88r¢gate payroll c05t5 were L5 follows..
2(121
2020
Stgff t05ts during the year were:
Wa8es and salaries
103.345
78.537
No ¢mploye¢ T¢¢¢ived cmolum¢nlS ofmore than £60.(KIO during the year
P￿e 11

Youth CeDtre Playgroup (Lymington)
known as Pennington Village Pre-school
Notes to the Financial Statements for the Year Ended 31 May 2021
9 Taxat70n
The charity is a register¢d Charity #nd is ther¢fore exempt fmm tsxation.
10 Cr¢ditors: *mounts falling due wlihln ont yur
2021
Acerllal$
960
11 Funds
Bllgnce at I
June 2020
lucoming
Resources
expellded
Balance 31
May 2021
Uryrestricttd fun¢b
GeM¢r&l
General
42.521
156.551
1141,0731
58,IK)I
Balance at I
Junt 2019
Incoming
rewurtes
RtSOUrtes
expefjded
Balance at 31
May 2020
Un¥¢strlcted funds
Gertertsl
Ge￿er21
54,822
91.909
{104.210)
42.521
12 Analy5É5 ofnet 3S5ets betweett funds
v￿min¢t¢d
fund$
GMer41
Total funds
2021
Current ass¢ls
Current liabilities
58,961
{9601
58,961
19601
Total net assets
58.001
58.001
Unresiritt¢d
funds
GeDerAI
Total funds
2020
CurrenE assets
42,521
Page 12

Youlh Ceatre Playgroup (Lymington)
known as Pennington Village Pre-school
Lyotes to the Financial Statements for the Year Ended 31 May 2021
13 An*lyiis of net
At l June
21120
sh l]oM's
-4t 31 2021
Cash at bank and in hand
42,521
16.440
58.961
Net debt
42.5?1
16.440
58,961
Page 13