## Trustees Report 

We are volunteers running a playgroup for children aged two to three years of age . 

Three members of staff provide day care for the children with child lead learning in conjunction with the EYS guide lines . 

Offering  ,day care from Monday to Friday, breakfast and afterschool care Tuesdays Wednesday and Fridays . 

We rely upon government funding and fund raising events to run the group successfully keeping all equipment up-to date and safe for all .also taking the children to local places to further the outdoor activities . 

Wages are also obtained though fundraising and some government funds for the three members of staff . 

Moneys also enable the staff to do mandatory training and corses to keep up to date with the latest developments in EYS . 



scs
accounting
solutions
Dereham.. Unit 5 Broadway Barns, The Broadway,
Scarning, Dereham NR19 2LQ T: 01362 691275
Fakenham: 2A Nomich Street, Fakenham,
Norfolk NR219AE T.. 01328 851440
accounts
scsaccountingsolutions.co.uk
www.scsaccountingsolutions.co.uk
The Trustees of Foulsham & Bintree
BabyToddler and Playgroup
New Frost Hall
Cl8ypIt Road
Foulsham
Dereh8m. Norfolk
NR20 5RW
10th December2025
I report on the account8 of the Foul8ham 8nd Bintree Baby Toddler and Playgroup
(charity no 1044566) for the ￿ar end6d 10 February 2025.
R••p•ctlvo rn8ponslblUtle8 of trust869 and examln•r
The tru8tees are responsible forthe prepar8tlon ol the account8. The trustees consider
that an audit18 not requlred for th18 year under section 14412) of the Charltle8 Act 2011
(the Charities Act) and that 8n Independent examinatlon is needed.
It is my responslbSlltyto:
ex8mine the account3 under section 145 of the 2011 Act;
to follow the procedures lald down In the gener81 Direction8 gfven by tho Charity
Commission under sectlon 145(5)(b) of the 2011 Act; and
to state whether p8rtlcular m8tters have come to my attention
Ba51s of independent examlner'3 statement
My ex8mlnation w8S C8rri8d out In accordance wlth the gener8l Directions yiven by tha
Charity Commission. An examination includes a weview of the accounting records kept
by the charity 8nd a comparison of the accounts presented with those records. It also
includes consideration of 8ny unusual item8 or di8closure8 in the accounts and seeking
explanations from the trustees concerning any such matters. The procedures
undertaken do not provlde all the evidence that would be required in an audlt, and
consequently no opinion Isgiven 8Sto whetherthe8ccounts pre88nt8'true andfairview,
and the report 18 limited to those rnatters set out in the statement below.
Compaiiy No: 06780242

Independent examlner's statement
In connectlon with my examlnation. no rnatter has cometo my attention:
11) which gives me reasonable cause to believe that, in any material respect, the
requlrements
to keep accounting records In 8ccord8nce with section 130 of the Charities Act; and
to prepare accounts which ac¢ord with the 8ccounting records and comply with th8
accountlng requlrements of the Charities Act have not been met: or
<2) to which, in my opinion, attention should be drawn in order to enable a proper
understanding of the accounts to be reached.
Name: Mrs Carolyn Barrett MAAT, ACCA
Relevant prof858ional qu81ification or body: A8SOCiation of AccountingTechni¢i8ns &
A88oclation of Chartered Certlfied Accountants
Oate: 101h December2025

FOULSHAM AND BINTREE PLAYGROUP
INCOME AND EXPENDITURE ACCOUNTS
FOR THE YEAR ENDED 10 FEBRUARY 2025

FOULSHAM AND BINTREE PLAYGROUP
INCOME AND EXPENDITURE AccouKr
FOR THE YEAR ENDED 10 FEBRUARY 2025
202S
2024
INCOME
Fees:_
NCC ￿ year Funding
Playgroup
58.910
7,788
47,021
8,879
88,898
Other income:_
Fundraising includlng $￿eatShirt sales
Milk refunds
Dcfflations including collection tln
Bank Interest
1,054
343
1,195
141
51e
49
TOTAL INCOME
88,966
57,792
EXPENSES
Salaries and pensions
New equipment
Premises c081s:_
Frost Hall rent
Insurance
Other premises costs ind cleani
Milk and refreshments
Playgroup consumable8
Fundrai8lng costs
Courses, fees and training
Miscellaneous including phone
57,202
1,857
48,142
1,799
442
31
828
511
315
222
1,007
254
830
787
250
540
2.449
TOTAL EXPENDITURE
68,281
56,643
GAIN OF INCOME LESS EXPENDITURE
£685

FOULSHAM AND BINTREE PLAYGROUP
INCOME AND EXPENDITURE RECONCILIATION
FOR THE YEAR ENDED 10 FEBRUARY 2025
Openlng balances at 10 Fèbruary 2024
Current Account
Savings account
Cash in hand - esfjmated
15,423
3,329
53
18,805
Add Income for the year
BALANCE
£87 771
Closlng balan¢e8 at 10 February 2025
Current Account
Savings account
Cash In hand
15,814
3.378
297
19.490
Less Expenditure for the year
68.281
BALANCE
£87 771

NOTES TO THE ACCOUNTS
M18c8llaneous c￿ts
Easter eggs
Amazon 413124 - no invoice
Lidl 1113124 - no invoice (min￿)
Envelopes
Graduation gifts
Lunchcover
Graduation bottles
Stamps
Bookkeeping
Wages admin and accounts year end
Memory sticks
Playgroup clothes + slaff clothlng
Socks
Christmas glfts
Phone costs (Vodafone)
15.00
74.73
13.98
12.99
74.91
328.90
30.00
17.55
641.25
470.00
9.59
383.40
4.00
20.00
352.80
£2,449.10
New Equipment
1413124 Heart rate monitor
2613r24 Toys paid from PP money
1315124 Trampoline
2015124 Bouncing sevstroller
14110124 Mud kitchen
1611125 Glow cylinders & small world
51.98
376.78
111.50
242.40
714.00
360.47
£1,857.13

scs
accounting
solutions
Dereham.. Unit 5 Broadway Barns, The Broadway,
Scarning, Dereham NR19 2LQ T: 01362 691275
Fakenham: 2A Nomich Street, Fakenham,
Norfolk NR219AE T.. 01328 851440
accounts
scsaccountingsolutions.co.uk
www.scsaccountingsolutions.co.uk
The Trustees of Foulsham & Bintree
BabyToddler and Playgroup
New Frost Hall
Cl8ypIt Road
Foulsham
Dereh8m. Norfolk
NR20 5RW
10th December2025
I report on the account8 of the Foul8ham 8nd Bintree Baby Toddler and Playgroup
(charity no 1044566) for the ￿ar end6d 10 February 2025.
R••p•ctlvo rn8ponslblUtle8 of trust869 and examln•r
The tru8tees are responsible forthe prepar8tlon ol the account8. The trustees consider
that an audit18 not requlred for th18 year under section 14412) of the Charltle8 Act 2011
(the Charities Act) and that 8n Independent examinatlon is needed.
It is my responslbSlltyto:
ex8mine the account3 under section 145 of the 2011 Act;
to follow the procedures lald down In the gener81 Direction8 gfven by tho Charity
Commission under sectlon 145(5)(b) of the 2011 Act; and
to state whether p8rtlcular m8tters have come to my attention
Ba51s of independent examlner'3 statement
My ex8mlnation w8S C8rri8d out In accordance wlth the gener8l Directions yiven by tha
Charity Commission. An examination includes a weview of the accounting records kept
by the charity 8nd a comparison of the accounts presented with those records. It also
includes consideration of 8ny unusual item8 or di8closure8 in the accounts and seeking
explanations from the trustees concerning any such matters. The procedures
undertaken do not provlde all the evidence that would be required in an audlt, and
consequently no opinion Isgiven 8Sto whetherthe8ccounts pre88nt8'true andfairview,
and the report 18 limited to those rnatters set out in the statement below.
Compaiiy No: 06780242

Independent examlner's statement
In connectlon with my examlnation. no rnatter has cometo my attention:
11) which gives me reasonable cause to believe that, in any material respect, the
requlrements
to keep accounting records In 8ccord8nce with section 130 of the Charities Act; and
to prepare accounts which ac¢ord with the 8ccounting records and comply with th8
accountlng requlrements of the Charities Act have not been met: or
<2) to which, in my opinion, attention should be drawn in order to enable a proper
understanding of the accounts to be reached.
Name: Mrs Carolyn Barrett MAAT, ACCA
Relevant prof858ional qu81ification or body: A8SOCiation of AccountingTechni¢i8ns &
A88oclation of Chartered Certlfied Accountants
Oate: 101h December2025

FOULSHAM AND BINTREE PLAYGROUP
INCOME AND EXPENDITURE ACCOUNTS
FOR THE YEAR ENDED 10 FEBRUARY 2025

FOULSHAM AND BINTREE PLAYGROUP
INCOME AND EXPENDITURE AccouKr
FOR THE YEAR ENDED 10 FEBRUARY 2025
202S
2024
INCOME
Fees:_
NCC ￿ year Funding
Playgroup
58.910
7,788
47,021
8,879
88,898
Other income:_
Fundraising includlng $￿eatShirt sales
Milk refunds
Dcfflations including collection tln
Bank Interest
1,054
343
1,195
141
51e
49
TOTAL INCOME
88,966
57,792
EXPENSES
Salaries and pensions
New equipment
Premises c081s:_
Frost Hall rent
Insurance
Other premises costs ind cleani
Milk and refreshments
Playgroup consumable8
Fundrai8lng costs
Courses, fees and training
Miscellaneous including phone
57,202
1,857
48,142
1,799
442
31
828
511
315
222
1,007
254
830
787
250
540
2.449
TOTAL EXPENDITURE
68,281
56,643
GAIN OF INCOME LESS EXPENDITURE
£685

FOULSHAM AND BINTREE PLAYGROUP
INCOME AND EXPENDITURE RECONCILIATION
FOR THE YEAR ENDED 10 FEBRUARY 2025
Openlng balances at 10 Fèbruary 2024
Current Account
Savings account
Cash in hand - esfjmated
15,423
3,329
53
18,805
Add Income for the year
BALANCE
£87 771
Closlng balan¢e8 at 10 February 2025
Current Account
Savings account
Cash In hand
15,814
3.378
297
19.490
Less Expenditure for the year
68.281
BALANCE
£87 771

NOTES TO THE ACCOUNTS
M18c8llaneous c￿ts
Easter eggs
Amazon 413124 - no invoice
Lidl 1113124 - no invoice (min￿)
Envelopes
Graduation gifts
Lunchcover
Graduation bottles
Stamps
Bookkeeping
Wages admin and accounts year end
Memory sticks
Playgroup clothes + slaff clothlng
Socks
Christmas glfts
Phone costs (Vodafone)
15.00
74.73
13.98
12.99
74.91
328.90
30.00
17.55
641.25
470.00
9.59
383.40
4.00
20.00
352.80
£2,449.10
New Equipment
1413124 Heart rate monitor
2613r24 Toys paid from PP money
1315124 Trampoline
2015124 Bouncing sevstroller
14110124 Mud kitchen
1611125 Glow cylinders & small world
51.98
376.78
111.50
242.40
714.00
360.47
£1,857.13