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2025-03-31-accounts

Annual Trustee Report for charity commission, fnancial year 2024/2025

Finances for the financial year 2024/2025 were more positive with high numbers of children and cutbacks made in the lead up to and during this financial year.

After consultation, all staff agreed to a reduction in contracted hours, at the beginning of the financial year, which has helped to support our financial sustainability, we also had a member of staff leave the team.

Rent costing has remained stable but other overheads have increased. Fees increased by 50p per hour.

The committee is in a strong position with new members signing up, they are being supportive to management in decisions and volunteering when needed to support staff.

With a very busy academic year ahead we continue to invest in ways to adapt our setting and train our staff to support our younger children and those with SEN further. With a high level of SEN children, staffing levels are being kept at a higher level which often has a negative impact on our finances. With the first profitable year in a long while, we have been able to add money to our reserves account to support us in future hard times.

Rosehill Playgroup

Accounts for the year ended 31 March 2025

Receipts
Fees, funding and grants
Fundraising
Interest income
Total income
Fundraising Bank balance b/fwd 1 April 2024
Bank balance b/fwd 1 April 2024
Second Account balance b/fwd 1 April 2024
Cash float b/fwd 1 April 2024
Debtors b/fwd 1 April 2024
Total
£
Payments
166,624.50
Wages
1,117.59
Courses
225.49
Rent
Toys, equipment and stationery
Food, parties, travel, gifts and miscellaneous
Telephone and internet
Registrations and insurance
Accountancy and payroll services
Bank charges
Repairs and maintenance
167,967.58
Total expenditure
-
Fundraising Bank balance c/fwd 31 March 2025
9,529.32
Bank balance c/fwd 31 March 2025
20,212.59
Second Account balance c/fwd 31 March 2025
25.00
Cash float c/fwd 31 March 2025
1,086.30
Debtors c/fwd 31 March 2025
198,820.79
£
112,716.72
1,116.54
21,970.00
1,068.50
3,284.95
962.22
3,039.51
1,662.00
104.57
511.81
146,436.82
-
30,630.85
20,438.08
25.00
1,290.04
198,820.79
-

We have examined the invoices and bank statements made available by the Playgroup for the year ended 31 March 2025 and can confirm the accounts are correct to the best of our knowledge and belief. We have not conducted an audit.

............................................ Date: ................................... Staines & Co. Accountants 235 Foxhall Road Ipswich Suffolk IP3 8LF

Rosehill Playgroup

Accounts for the year ended 31 March 2025

Receipts
Fees, funding and grants
Fundraising
Interest income
Total income
Fundraising Bank balance b/fwd 1 April 2024
Bank balance b/fwd 1 April 2024
Second Account balance b/fwd 1 April 2024
Cash float b/fwd 1 April 2024
Debtors b/fwd 1 April 2024
Total
£
Payments
166,624.50
Wages
1,117.59
Courses
225.49
Rent
Toys, equipment and stationery
Food, parties, travel, gifts and miscellaneous
Telephone and internet
Registrations and insurance
Accountancy and payroll services
Bank charges
Repairs and maintenance
167,967.58
Total expenditure
-
Fundraising Bank balance c/fwd 31 March 2025
9,529.32
Bank balance c/fwd 31 March 2025
20,212.59
Second Account balance c/fwd 31 March 2025
25.00
Cash float c/fwd 31 March 2025
1,086.30
Debtors c/fwd 31 March 2025
198,820.79
£
112,716.72
1,116.54
21,970.00
1,068.50
3,284.95
962.22
3,039.51
1,662.00
104.57
511.81
146,436.82
-
30,630.85
20,438.08
25.00
1,290.04
198,820.79
-

We have examined the invoices and bank statements made available by the Playgroup for the year ended 31 March 2025 and can confirm the accounts are correct to the best of our knowledge and belief. We have not conducted an audit.

............................................ Date: ................................... Staines & Co. Accountants 235 Foxhall Road Ipswich Suffolk IP3 8LF