## Ridings Pre-School 

Income and Expenditure Account for the year ending 31.08.2025 


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|||||||
|---|---|---|---|---|---|
|Income|2024-25|Income|2023-24|
|Grants|Grants|
|unrestricted|unrestricted|
|Tradings Activities|Trading Activities|
|Fees|6,451.86|Fees|£16,560.23|
|snack|2,615.55|Snack|£2,319.00|
|Funding|88,114.05|Funding|£73,576.88|
|Fundraising|2,132.08|Fundraising|£3,111.66|
|Donations|11.00|Donations|£304.40|
|EYPP|765.84|E¥PP|£1,646.44|
|Grants|0|Grants|
|Virtual Schools|200|Virtual|Schools|
|100,290.38|£97,518.61|
|Investment|Income|Investment Income|
|Reserve a/c|interest|1617.5|Reserve a/e|interest|£793.20|
|Deposit a/c|interest|91.78|Deposit a/c|interest|£113.31|
|Total|101,999.66|Total|£98,425.12|
|Expenditure|Expenditure|
|Direct Charitable|Expenditure|Direct Charitable|Expenditure|
|Wages|80,608.44|Wages|£83,109.33|
|Inland|Revenue|3,306.65|Inland|Revenue|£4,345.77|
|Pensions|2,241.50|Pensions|£2,318.60|
|Rent|3,346.08|Rent|£2,904.38|
|Repairs & Maintenanc|922.83|Repairs &|Maintenanc|£2,161.85|
|Insurance|875.62|Insurance|£1,980.17|
|Business Rates|84.66|Business|Rates|£82.13|
|0.00|
|91,385.78|total|96,902.23|
|National Lottery|
|travel|420.00|£420.00|
|resources|£409.05|
|Other expenditure|Other expenditure|
|snack|1,020.17|snack|£897.90|
|equipment|487.83|equipment|£410.23|
|utilities|3,864.73|utilities|£4,027.07|
|staff training|480.00|staff training|£426.00|
|DBS|177.84|DBS|£134.62|
|payroll|762.00|payroll|£694.44|
|office supplies|238.76|office|supplies|£257.39|

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J consumables 974.10 consumables £974.32<br>trips, parties, gifts 110.00 trips, parties, gifts £158.28<br>fundraising 221.19 fundraising £11.76<br>subcriptions 344.31 subcriptions £318.90<br>petty cash 0.00 petty cash £0.00<br>EYPP 221.15 telephone £10.00<br>Virtual schools 200.00<br>Total 100,907.86 total 106,052.19<br>Ridings Pre-School<br>Balance Sheet for Year Ending 31st August 2025<br>2024-25 2023-24<br>Monetary Assets Monetary Assets<br>Santandar deposit Account 7814.52 Santandar Reserve Account 7722.74<br>Santandar Current Account 1066.17 Santandar Current Account 1672.5<br>Virgin Reserve Account 44221.65 Virgin Deposit Account 42604.15<br>Petty Cash 2.44 Petty Cash 13.59<br>Closing Balance @ 31.8.25 53104.78 Closing Balance @ 31.8.24 5§2012.98<br>Surplus on Accounts Surplus on Accounts<br>closing surplus balance 31.8.24 52012.98 closing surplus balance 31.8.23 59639.99<br>excess income 2024/25 -617.48 excess income 2023/24 -8533.52<br>interest received Virgin 1,617.50 interest received Virgin 793.2<br>interest received Santandar 91.78 interest received Santandar 113.31<br>Total 53104.78 Total 52012.98<br>Liabilities none<br>Non-monetary assets<br>Total equipment approximately £5,000<br>forChairperson and on behalfaofffie Committee  rg Cee<br>**----- End of picture text -----**<br>


## Examiner's Certificate 

| have examined the accounts of Ridings Pre-School for the year ending 31st August 2025 and that the fore-going Statement of Accounts is in accordance with the books and vouchers produced to me. Examiner's ayes f2 Sate ses Date were /2¢ 

