CHARITY COMMISSION
FOR ENGLAND ANO WALES
Independent examinerfs report
on the accounts
Sectlon A
Independent Examiner's Report
Report to the
truSt••￿dIreCtorsl
members of
KIMCiS fLÉ SC4-thL LChRNJikJG CIZOUP
On accounts for the year
•ndod
08 I202f
Charlty no.:
IG38qI 8
Company no.:
I report lo the ch*ity trustees ¢)n my examinalion of the ac£ounts of the
Company for the year ended Sl1081202
R•sponslbllltl•s and
basls of report
As the tharivs In￿ee$ of the Company (th are also the directors of the
company for the purF#Jses of company law), you are respO￿ble for the
eparat￿ of the accounts in a¢cordarKe Imih the requirements of the
Crynpanies Act 2006 {Ihe 2006 ￿.).
Having Satssf￿ myself that the a(Lounts of the Company are not required
to be audit8d for this year under Part 16 of the 2(K16 Act and are eloible for
indeperKlenl examination, I report in respe￿ of my examination of your
(knnWs a￿)Unts as caffied out undèr sedion 145 of the Chariiies Act 2011
(Ihe 2011 Acf). In carying out my examinatbon, I have follo￿Ed the
Directims given by the Charity Commissbon (undar se(lion 1445Xb) of the
2011 Ad.
Independent
examlnerfs statemont
I have CA)mpleted my examlnatbm. I confimi thal no material matters have
come to my atteni
) %4thich gives me
cause to believe that..
. accountThJ rec4)rds vme not keo in acc(xdance ￿ryth Sec1K￿ 386 of the
Companies Act 20￿.
. the acc4JJnts do not accord with such rec£Yds; or
. the accounts do not CA)mply ￿th relevant accounting requirements under
section 396 01 the Companies Acl 20[￿ other than any requirement that the
aCc￿nts give a 'true and fairf view is ￿1 a matter considered as part
of an indeFendent examIna￿n. or
.the accounts have not been prepared In aLtordance with th8 Charities
SORP {FRS102).
IER
0¢to￿r 2018

I have no concems arml have come across no other matters In connection
ith the examination to vh)ich attention should b8 dravm in this report in
order to enable a proper understanding of the accounts to bo reached.
. F¥ease delete the words in the br8ckets rfthey do not 8ppIy.
Slgned:
Dat•..
202L
Name:
Relevant professlonal
qualificatlon(s) or body
(If any):
Address:
Lk¥ PLAC E
IP(L
Section B
Disc105ure
Onty cx)mplete rf the examiner needs to highlight material mattèrs of concem
(see CC32, Independent examination of charity accounts: directions and
guidance for examiners).
Glve here brtef detalls of
any items that the
examlner wlshe8 to
dl$¢lose.
IER
October 2018

Tru¥tee'.J Report
The Preschool continues to operate with a strong commitment to provlding high quality earty
years education care. However, the financial p05itlon this year h89 been challenging. Rising
living costs have placed significant pressure on both operational expenses and the abitity of
tsmilies to contribute through fundraising activities.
Operation81 Costs- including utilities. food supplies. essential resources. and staffing. have
increased $ubst8nti8lly over the past year. These increases have not been matched by
equivalent rises in income. resulting in a tighter financial margin than in previous years.
Fundraising. which hay historically supported the preschool's enrichment activities and
resource upgrades, has been more difficult to Sustain. Many families are experiencing financial
strain. leading to l¢)wer participation and reduced fundraising revenue
Chauengg
Increased opèration costs due to inftation and higher supplier prices.
Reduced fundr8ising income as famiLie$ face higher household expenses
Actions Taken
The preschool has implemented careful bud8eting me88ures. priorltlsed essential spending.
and explored low cost fundraising alternatives. Staff and Trustees continue to monitor finances
closely and seek additional funding opportunities where p088ible
While the pre$choolremaln8 commltted to dellvering a safe and nurturingenvironment. The
current financial climate continues to pose challeng98. Finances will be monitored on a regular
basi8 to 8UPPOrt long Stability.

Klrys Pre Sd￿￿1 Leamlnt Group 1038978
Income and Expenditure Accountfor the year ended 31st August 2025
Fees fttelyed from parents
Fees recefved from Vouchers
Fundra1￿
Uniforni Income
Other5 (Trip, C&Jbs. Photos. Holding Feel
£23.138.19
£198,651.15
£453.10
£1,123.45
£3.768.65
Total
£227.134.54
Wages
Adrnln/M•wyment
Rdreshments
Consum•bles
Equipment
Premlses Expenses
Unrfomu costs
Bank th•ryes
others Ifrlp, Tralnln& photos)
£204,989.27
£3,856.64
£1,483.95
É2.501.80
£1.452.73
£11.704.86
£2,898.05
£117.85
£1,898.06
Total
£230,903.21
Profft for the ye•r
43,768.67
Opening balance as at 01.09.2024
Profrtnoss for year endlng 31.08.2025
aoslni balance as •t 31.08.2025
£8.738.77
-£3,768.67
£4,970.10