awityrw81TrtiOD nWDb¢r, 1037833
Youth Centre Playgroup (Lymington)
forthe Ye4rBnded 31 May 2022
W¢8tlake Clark ChartU￿A￿0￿lltants
7 LYllW￿ Covrt
Priesilauds FI￿Ce
Hampshir¢
S0419GA

Yonth Centre Playgroup (Lymington)
known as Pen]thi￿on Vluage Pre-school
Contents
Tru8t¢ts' Rep(kt
2to3
ladeptLdentEx8t)]iti¢rfs B40rt
Ststement ofFitsw￿l￿ A¢tiTrities
B8kn¢6 8ht¥t
Nottsto thé Fln•ncial Ststethents
8t013

Youth Centre Plg>youp (Lymlngtou)
known ￿ PenDlngton Vlll2g¢ Pre4chool
Referenc¢ aDd Admini8trAdve DetaSJs
Tntstses
,lts M Strid¢
.Ms S Wi]wn
Ms K DEII
Halljpshirv
S0418KX
Ch4rlty R¢￿tratIO0
1037833
7 Lynwo(MJ Court
PriesthdsPl*e
S041 gGA

Youth Centre Playgronp (Lymillgton)
known 48 Peonfngton Vlllage Pre-sebool
Trn8tees' Report
The t￿tee$ proltst the report to8thrwith the fjnanciAI *at¢meDts of the charity for the y¢ar wded 31 M&y
2022.
Obl¢¢dv4s afjd ktlvSti
Obi¢ds ¢YndaiMs
Th¢ clMTLtAble obj¢¢t of the charitv ts to ffjbance the d¢velopDW 2tEd th¢atian of stthtory xbool
Publlc ben¢fd
The twtee8 confimi that they hLYe Complied the TffjUtrern¢nts of sectton 17 of th¢ Charities Act 2011 to kaye
due re88rd to th£ pub]ic F*nefit 8uiéan¢e pDbli8bCdb￿ the th&ity"CorAMissir￿L forF• alld WalD
Strlleéurey ¥OYtrnNnu ￿￿}
.V4tswe 0fgovertt￿gd0t¥rn￿
Th¢ cb4rity is 8ovemed by its ¢onstE￿Oll edopteA on 16 March I￿￿d is ar¢gis(ernJ charity. tumber 1037833.
FlnaR¢Wknstruments
ThE chw's activities ¢Apos¢ itty a numlKrof fmancial Ii8Ls Ill¢1￿1￿8 erojit iisi caÈb Ilow DBk and liquidity Ii8k
The ulc of fingLcial derivatives is 8ovaDed by th¢ charity's ￿lie1¢S approved by the boaTd of ttuste¢s, which
provlde written principlu ott tho vse" of fina￿18] d¢rivaiives to nJatU8C tbese Ti8k8. The eknity d¢)cs noi use
derivative fmancial iostruments for sp¢¢uI&tiY¢ pwP>￿.
Cathjlow p
- The ehATyty's activities expose it prI￿Or11Y to the fllMIci81 risks of cbaugw Ir£ for¢ign ctrn¢y ex¢bange tats5 OJ
iat¢re81 Tates. The ¢harity uses fO￿l8n exeh8oge forwatd Contra￿ and inteEest rxle sw4p contsts to hedge these
expo8iite8.
ttttsre$tbe4rin8 88s¢ts and liabi]itie4 are held 41 fixqd rn*toeDgUTcc4rf8illtyof ￿1b flows.
Th¢ th&7ry'8 PTincipo1 fmaA-iA] &%%ets areballkb￿attet8 2ndeÈ8b, tr8d¢ 4lldotsi￿¢Ivablt&. and inve8tmetits.
The ch8rity's LTEdit risk SB prillwily ottnbut8ble to its trad¢ TKeivables. Tb¢ atllounts presented in tbe baknce sh¢et
or¢ u¢t of ullowanc¢5 for doubt￿1 t¢¢eivable& .4n alloN*ace for itupainllellt is thtEe ts an Identified
¢v¢ntwhi¢h, on preYiov$ ¢xpen•)cc. i5 esryder&¢E of ft reduEtTOn th¢ttGov¢rnbility of th¢ Lth fLowB.
The credit risk i)n liquid futtdq olld deli￿ti}e fi0￿cial itistnllnrots 18 limÉr•J because the couJterporti&% are baDk8
wlth high &Ydit.rAlitigs 8S8Tgned by illternaiional GTedit.rating ag¢naes.
The ch¥ity has no Si8Dificartt co)w￿tiOtt of Credit TISL with expo￿ spread over a 18fEQ numkr or
Page 2

yO￿th Centre Playgrollp (Ly]llington)
knoyrn as Pennkngton VJllAV PrhS¢hool
Trnst￿, Report
Th¢ onuual I
23J.3]25.
approvedbyth¢tswts< ofthe charity on.- .
attdsiglledorkits beh8Jfby:
Truite¢

Youth Centre Playgroup (Lymkngton)
known as PenlllDgtoJJ Vlllage Pr&S¢hool
Statejnent olTrnstees' Responsiblllrf
fht tru8tCe3 ur¢ &rspouJibl¢ for prepBrlD8 the re[￿ aThl the fittall¢iaJ 5tatemcuts ID ￿¢01th¥¢ tht
Uoited KFDgdom A￿unti￿tr S(alld￿ (i}0￿ Kiogdom (la￿[allY Arlepted A¢eouJting Pra¢ticel attd applic4bt¢
law 8nd r¢sulatiok?&.
The applicable to ehtyitieg rnwites the In￿leas to prep*r fllwicial 6tst¢owth for fuM#ciai yeaT wbi¢
give & tsue alld f&it vicw of the stRt¢ of affaiJ¥ of Elwity aDd of the inco]lliOS re50urce6 alld appliration of
resourtt6 of tbe choyty for tb•t perio(L tn pre￿Ill¥ th¢se fJnEnGial 8tat¢wEnt4 th¢ Tntstets arer4uirg1 to..
select witable acco]mtillgpolici¥ aDd the￿ applyth¢mcoDWteDdyJ
' obsmr themeth(th alldpriktipies inthe Ch8rAti¢8 SORP.
m8ke jl￿8e￿1b￿ts #nd tttiwte4 thatar¢ re4SOllBbl¢ and prudent
$tate whether apph"¢ablc accountin8 ¥tarAdards h&v¢ b¢eD folltrw&£ to trly Thateritil dép•tum dthckns
d wlaitked in th* financial stst6]nents" and
will wntinut In busillem.
1&e tsustres ar¢ rwtble for keepiDg accounkng ￿c0[& th&t disclose rtasollable 8CCThBy at any
time thr fiDan¢ial position of tbe clwity 2nd enabio thern to ensure tbat the finaoctal statern¢nts ￿mplY wltb tbe
.Charities Aet 2011. the ￿p11¢￿Ie Charitivs (AccouJJts Rlld Reports) Re8ylatioo4 ard the provisioThi of th¢
Istitittion. Th¢ trts5tees are a]so respo￿￿le fi)r safeguarditig the wets of the ￿lty and hwe fw
reasonable sty fr*r thepTevelltiorL atsd d¢te¢tioa offraud othtt irytlatiti&g.
2_316J2_5
. Approved b thethgiee8 ofthe charity OD.. .. ..
Aud5igd onits Ixhalfby.
TrLk8tee
PLge 4

Youth CextrtPknygrn¥p (Lywl4ton)
Indep¢JdoHtExamWs Rq￿tty the lruteu èf Youth C¢ntse Pknygroup (Lymlu8luD)
whitlt afQ5rtOBtrth r•sts 13.
tiw 145 oFthe2011 Arf jod Jjut w ex8)JrthD I dl tht 8irn
bythe LJ¥lt¥C4)DTri￿￿i(& * ¥¢￿ 145Q5Kb)oftbch(*
L30rftsAe¢ OT
(Act4ullts aDd R4>0tt5) R¢8uldti￿ 2(th othr Illy that & r*Lwnl•
7LyThoc4Courf
PriestlDn&sPJ
LyznlnBIo
419GA
Pa¥E5

Youth CentrePlaygroup (Lymbkgton)
known ag PeDnkngton Vlllage Pr&School
Statement of Financial Activilles for the Y￿r Ended 31 May 2022
b'nrtstrlcw 2022
r¥•te
2021
come *ndRndrnents from:
Cb8ritablt a¢tiviti¢g
tttvegtment income
Other ineojne
164.818
164,818
156,462
164.819
164.819
EXp¢*dI￿re on..
Clwitablc actiiryties
Oth¢T ¢xp¢uditure
Totsl expeoditurt
Net￿0Ve￿ellt Infi￿a$
Re¢on¢llSAtion offunds
Totsl funds brouglLt forward
Totsl fimds wricd forTr7rd
156,553
(151,607)
{1,032)
(151639)
11180
(151.607)
1,4)32
(140,113)
96Q)
(141.073)
152,639
12,180
15.480
58.COI
58.001
42,521
AU of the ch&itV'8 a¢ttvits¢s derive from ￿lit￿l￿gOpernI1oI1S dwi08 the a￿ve tvffjwiod&
The bre*kdm for 2￿1 is shoFn inrojte I l.

Youth Celltre Playgroup (Lymlngtoll)
kTroJvn as PennlD8ton Vlllage Pr¢-S¢hool
(R¢gtstration Dumber: 1037833)
Balance Sheet J8 It 31 May 2022
2022
2021
N•ts
Cllrrent aO8ers
Cash atbattk and in hand
71213
58961
Cr¢dltor8: Amounts f811SnK dts¢ wlthlN yur
io
(1,032
{96D}
r¥et agsets
ULdJ tsl the ¢hirhr.
UDres¢rl¢tsdlDcome fllads
Uure¥trkctsd fllads
70.181
58,(K)I
T•tsl lun¢ts
Thr st&t¢ments on pases 6 to 13 were approved by th¢ and autbori3¥ryJ for on ..
and al￿d on their behHlf by..
Tr￿stre

Youth Centre Pknvgroup (Lymkngton)
known ￿ Pennington V1114ge Prtssehool
Not￿ to th¢ Fin2n¢ial State]llents for the Ye4r Ended 31 May 2022
l Aeeoulltin8 po]Id
Ststemellt ofcompllallce
The fLancial statemellu h&ve be¢n prepted in aC&)rd￿¢t with AccouDtiDg itsd Rwting by Charkies.. Ststemettt
of Re¢omn¢nd¢d Practice app]i￿le to ch￿1￿￿ PTPWDD8 their accoullts io aecordance with tbe FinoDciaI
Reporting Standard applielblr ill thc LTK and RepLEblie of Ireland (FRS 102) (effe£tiY¢ l J3ougry 2019) - (Charities
SORP IFRS 1021), the Financial R¢pottiti¥ Stalldtrd wiicabl¢ thc Ll, Q Republic of Irelalld (FRS 102) alld
tho Charitigs Act 2011.
Ba818 of prepiratton
Youtb Centr¢ Pkywup (LyiDiD8ton) ￿eets the definiti(v of a p￿11¢ brllrfft entity under FRS I02. Assets and
liqbihtl&s are initially recO￿ls￿d at histyric￿ CQBt or trAnWlion V￿lle uttiels otherwise 8tat*L iJ2 the r¢lev4nt
Ac¢ouniin£ policy not¢&
E¥¢mptlon from pyeparlng # cash flow •t*twnent
Th¢ cbttity (Fttd to ¢Atly adopt Buuetin I publisb¢d on 2 Febtwy 2016 aml have t1￿C£or¢ A￿t yn¢lutsl a c49b
flow statejnent xti the8e fiD8ncial &t*JJcll
Goin¥ eonce
The t￿￿ con8ideT that theEe ate.no n)atutat Uncert￿¢5 th¢ dwTity¥ abijity to ¢otttinue 8 going
EXpendIt￿e
All expenditure b recogtii5Ed oa¢¢ there is & l¢gal or constn￿liVe obligtitioD to that expenditsre, it 19 PtobBble
.' AettI¢meDt is rewired and the amoutst be measuTed RIi8bly. All costs are ajlooied tt> the applic&ble cxpcoJltstyo
heading that aggr¢E2te 8imÉlar wsts to that cate80ry. Where costs CaDnOt be ditwdy attributyl to panioJlarhuO
they have iKen allocated OL a basis CO]kSi5tent the of r¢50Utw ¢enlrnl Stsff c(>8ts allo¢ated an tbe
ba818 of tirne spenl d￿￿Ciation ¢hargeg all1￿￿trd on porti¢Jn of thc as8¢t's us& Oth¢r SUPPLm Costs ue
All￿atrd based OD the spread of stsff ¢0sfs.
ChaThable adrfltA
Charitsble expendtthre comprises thoge wxts in¢urTrd by (h¢ Charity IB the detlvery of Its ACtiviti¢5 alld servi￿ for
its b¢nefici4rte8. It ifjcludes both qOSL8 th8t C4D be glKoL*4 diyctty b) 8uch activiti¢s th¢)se eo&ts of an iudirect
Support eojts
Support costs inclilde c¢lltrai fijnrfions and have irtn AiioL*kd to activity co8tcat¢gorteA on abasiS C4TrllSiStentwith
thts use of r¢wUr￿. forexample, a]loc&tiDgpryerty ￿)Sts by flcM)rareL8. or perCapI￿ staff cost8 by rb¢ sp¢llt
alld other costs by their usag

Youth Centre Playgroup (Lymlngton)
known as Ptnnington VlllAg¢ Prhschool
Notes to the Trlllandal Statements for theytar Ended 31 May 20Z2
The chNtity li constdernd to pass th¢ tests srt iti P￿T￿Ph l ￿11￿￿1¢ 6 of th¢ Finance A¢t 2010 pnd th¢r¢fvre it
meets the defJ]Jltton of a cb8Zitqble for UKcorpoNioJ tax pwpow. A¢£ordingly. the ¢th4rity t8 POteDti8llv
exentyt from tjtsion in resP*t of inGoztt= or capitsi gaitis recerved 74ithin r4tegori&% wveted by Chaptrr 3 Part 11
f the Co4Jor8tiort Tax ALX 2010 or Section 256 of the T&xwioL of Chargeabk GoÉ]LS Act 1992, to tb¢ ¢xkni tL8t
Bu¢h In￿rne OT 88XllG are app]i¢d &x¢bJsiYely to ¢bBritsbk Fxupose&
C8th and eMh equlvglents
C*sh 8T￿ ca8& eqLTivalertts comprise cash on lJ¥lld alld cau dep)sity and other 8hort.tsrnJ biBhly ]iquld inv¢¥tin
tbat gr¢Eeadlly wnverthit tts akurn amou￿ ofrath atsd 8te Nbject to attm8i8rrificaot risk of ¢bgUBe iDY￿U¢.
FuLd
UrLr¢stricted illcom¢ fimds 8¢￿[al thit4Tr availabb foruseat the trusth's disctedou ill fjllthet?r￿¢ of th¢
objtcltves of the ¢bty.
2 from charltxblt aedvltk
TotAI
2022
Totsl
2021
Fees friTrm parent￿￿¢r6
(hats
.Fulldin8
Vouchers fronLparellts
19.793
19,793
971
143,754
300
9.794
3.128
140,929
22rJ
338
143,754
J lllvesttDeot IDrom¢
Unrutrf¢ted
(und8
Totsj
2022
TotAI
2011
Interestr￿%1Vth1C and similarincomv.
Intett8t tec¢ivable OXL bonk dwi¢5
Px8¢ 9

Youth Centr¢ Play8roup (Lymlng¢on)
known as Pennlngton Vlll28¢ PTrSchool
Notu to the Finallci41 Ststements for theyear Ended 31 May 2022
4 Other Ineom¢
Totsl
2022
Total
2021
Oth¢r
Pa80 10

Youth CeDtro PlayEroup (Lymlngton)
IEnown M Penlllngton Vjllage PrtrS¢hool
to the Flnandal Ststements for the Year Ended 31 May 2022
5 Expendilure on ch*rtt*ble Adivith*
IDtsI
2021
Ttstal
2021
GeM¢r•l
100.285
16,364
3,729
100285
16J64
3.729
646
2.619
4,134
23.831
103.345
17,415
6,831
190
2,235
6.123
3,974
PreYtti8e8 tosts
Equ2pmeni
o£ricE G05ts
Otherpoyroents
2.619
4,134
23,830
6 Othtrt4pe4dlturt
UBrestrlc*ed
T•t*l
2022
TotAI
21121
AIiwat¢d Support
1,032
1.032
960
7 Tntateel remaller*lton Ind ew
No Érn<rees, noratty peMns eollrLectedwith t[￿￿, have received any rnUDer&tion ftomthe ¢1￿￿tV dulyngtheyear.
No tru6te48have rK¢iveAI anyK¢&mb4wsed Orany beL¢fits frorn charity"thJriD8 th¢ y¢Dr,
8 staff ¢oJts
The a88regat¢ p&ymll costs were ￿ follow8:
21122
2021
St*ff colts durtn% th¢ y¢Ar wer•:
W&ges and salaries
No ¢mploy•è Y¢¢eived emohlllletsts o£uwftth4u £60,oc￿ dwitig th¢ year
Pa8eii

Youth CeDtre Playgrollp (LymlDgton}
knojvn gs Pennlngtoj) Vfillage Prtrschool
Not&8 to the Financial Statements for the Year Ended 31 May 2022
Tho tharity 18 Ir¢8tst￿ cl)ATity is theretore exempt fm tax4ti0
10 Creditors: ￿￿O￿lts fallthg dve •D•year
2022
2021
11 Fund•
BAknn¢t It I
•t 31
M•y 2022
res0￿r
Expended
Upr¢strkl¢d
Balanee It I
Jutte 21120
Ineomthg
ourtos
Balance At31
May2021
ewnded
Unre5trlcted funth
O¢oer
12 of net assets belwt¢n fuads
nd8
CenerA]
Totsl fvDd¥
2022
71213
(1.032)
71213
(1,032)
Current liabilities
Totslll¢t assots
Page 12

Youth Celltre Playgroup (Lymlugton)
known as Pennkngton Vlllw Pre4chool
Notss to tbe Flnaodal StstemeDts for the Year Ended 31 May 2022
Ullrtrtrtcted
fllnd$
Totglfonds
2021
Current&8sEts
CurseDt liabllities
58,961
58.961
96Q
Totsi tset ass¢ts
13 An*tysts of net fun
Al l Jwie
2021
FIDgndDK
h flows At 31 May 2022
CUEL 4tb&ok alld ID har
58,961
12,252
71213
etd¢b¢
Pa8e 13