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2021-07-31-accounts

Trustees’ Annual Report for the period

From 01/08/2020 Period start date To 31/07/2021 Period end date

Charity name: Kerry Playgroup

Charity registration number: 1037882

Objectives and Activities

Summary of the main
activities in relation to those
purposes for the public
benefit, in particular, the
activities, projects or
services identified in the
accounts.
Para 1.17 and
1.19
_Kerry Playgroup_aims to:

Provide high quality day care that
enhances the development, care and
education of pre-school children in a
safe and stimulating environment,
where they learn through play in
partnership with parents/carers.

Welcome parents/carers who want to
become directly involved in the
activities of the provision and provide
opportunities to do so.

Encourage parents/carers to
understand and provide for the needs
of their children.

Embrace the ethos and principles Early
Years of Wales .
Statement confirming
whether the trustees have
had regard to the guidance
issued by the Charity
Commission on public
benefit
Para 1.18 The trustees consider the operations
and work of the Playgroup to be for the
public benefit, specifically for the benefit
of young children and their families in
the local community.

Achievements and Performance

Summary of the main
achievements of the charity,
identifying the difference the
charity’s work has made to
the circumstances of its
beneficiaries and any wider
benefits to society as a
whole.
Para 1.20 Kerry Playgroup has continued to
provide quality care for children during
covid-19 and beyond. The committee
have worked with the neighbouring
primary school to secure funding for
and support from the local council to
move the preschool out of a shared
village hall and into the primary school
itself allowing the playgroup to have a
permanent ‘home’.

Financial Review

Financial Review
Review of the charity’s
financial position at the end
of the period
Para 1.21 We managed to break even in a difficult
year with rising grocery/supply costs
and lower numbers of children than
normal.
Statement explaining the
policy for holding reserves
stating why they are held
Para 1.22 We carry any cash reserves in order to
ensure cashflow, and to enable us to
pay our staff, our building rent and other
overheads ina timely manner.
Amount of reserves held Para 1.22 See accounts

Structure, Governance and Management

Description of charity’s
trusts:
Type of governing document
(trust deed, royal charter)

Para 1.25
Constitution
How is the charity
constituted?
(e.g unincorporated
association, CIO)
Para 1.25 Unincorporated Constitution
Trustee selection methods
including details of any
constitutional provisions e.g.
election to post or name of
any person or body entitled
to appoint one or more
trustees
Para 1.25 Election by nomination via committee.

Reference and Administrative details

Charity name

Kerry Playgroup Preschool

Other name the charity uses nil
Registered charitynumber 1037882
Charity’s principal address Village Hall,
Common Road,
Kerry,
Newtown,
Powys
SY164NX

Names of the charity trustees who manage the charity

1
2
3
4
5
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7
8
9
10
11
12
13
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20
Trustee name Office (if any) Dates acted if not for whole
**year **
Name of person (or body) entitled
to appoint trustee (ifany)

– Corporate trustees names of the directors at the date the report was approved

Director name

Name of trustees holding title to property belonging to the charity

Trustee name Dates acted if not for whole year

Funds held as custodian trustees on behalf of others

Description of the assets held in this capacity

Name and objects of the charity on whose behalf the assets are held and how this falls within the custodian charity’s objects Details of arrangements for safe custody and segregation of such assets from the charity’s own assets

Additional information (optional)

Names and addresses of advisers (Optional information)

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

Exemptions from disclosure

Reason for non-disclosure of key personnel details

Other optional information

Declarations

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

Signed on behalf of the charity’s trustees

Signature(s) Full name(s) Position (eg Secretary, Chair, etc) Date

Journals Kerry Playgroup 31/7/2021 Debit Credit Opening HSBC savings account Interest received Deposlts Transfers to current account Closing HSBC savings account £ 5,505.12 0.59 £ 5,000.00 £ 10,505.71 £ 10,505.71 £ 10,505.71 Opening current account balance Funding from Ceredigion CC Subscriptions received Fundraising Donations Snack Uniform sales Reg fees Wages HMRC Village hall WPPA & INS PAVO Toys and craft Groceries Stationery Training Donations transferred to savings account Sundries I Sundries 2 Closing balance at HSBC £ 8,961.46 £ 12,641.00 £ 9,054.20 526.75 £ 5,000.00 77.20 5.00 20.00 £ 22,097.17 £ 1,283.54 696.00 659.66 365.00 97.62 356.58 35.18 341.60 £ 5,000.00 222.38 276.00 £ 4,854.88 £ 36,285.61 £ 36,285.61 To show transactions through HSBC current account for year Sundries I breakdown 2x Infrared thermometers Staff uniforms Gift voucher for accounts reviewing 47.98 134.40 40.00 Sundries 2 breakdown Fee refunds- overpayment Mobile phone contract 179.00 97.00 Clear sundry amount 498.38

INCOME AND EXPENDITURE ACCOUNT FOR THE YEAR ENDED 31ST JULY 2021 REG CHARITY NO. 1037882 INCOME 3110712021 3110712020 Funding from Ceredigion CC Subscrlptlons received Donations Snack Uniforrn Reg fees Fundraising Less Fundraising exp 12,641,00 9,054.20 5,000.00 77.20 5.00 20.00 £ 23,526.00 £ 5,440.50 100.00 329.00 71.00 15.00 526.75 £ 1,772.30 355.48 £ 1,416,82 526.75 Bank Interest 0.59 TOTAL INCOME 27,324.74 £ 30,898.32 EXPENSES Wages National Insurance & Income Tax Training Equipment, Toys & Crafts Rent Village Hall Postage, Statlonery Staff Uniform PAVO 22,097.17 1,283.54 341.60 £ 20,284.07 841.29 14.40 200.47 £ 1,832.00 140.35 88.49 140.00 596.32 375.38 306.00 97.62 696.00 35.18 134.40 365.00 659.66 356.58 363.98 WPPA Membershlp & Insurance Groceries Sundry Expenses & Consumables stsff Presents TOTAL EXPENDITURE 26,430.73 £ 24,818.77 SURPLUS I DEFICIT FOR YEAR 894.01 £ 6,079.55 REPRESENTED BY: Opening Bank Balance (Savings) Opening Bank Balance (Current) Profit/ Def icit for year Accruals end of year 5,505.12 8,961.46 894,01 £ 5,335.07 £ 2,881.91 £ 6,079.55 £ 15,360.59 £ 14,296.53 . Accruals b/fwd kj Closlng Bank Balance (Deposlt) Closing Bank Balance (Savings) 4,854.88 £ 10,505.71 £ 15,360.59 £ 8,961.46 £ 5,505.12 £ 14,466.58 -£ 0.00 I report that I have reviewed the Financial statements of the Playgroup as presented to me for the year ending 31st July 2021, and find them to be in order. ,Elwyn Jones (A.C.M.A) 2 The Village (IC(*A. SY16 4NT