Charity regis¢raiion number.. IU47¥98
Blundellsands Kindergarten Playgroup
Amu&l Rew>rt and FinarKial Sthiements
ror Ihe Year Ended 31 Au8ug 2021

Blund¢lls2nds Kindergirten Pl*!'£roup
Contents
Reference and Admini￿rat1￿.¢ Dfflails
Trus￿e, Report
2103
Statemeni of Trus￿¢. R¢srM)n5ibilitie5
IndcrKndeni Examin¢rfs Report
Sthiernenl of Finan¢ig1 A¢iivitie5
Elalance Sheei
Notes lo the Financial Siaiements
810 15

Blundells8Dds Kindergarten Pl*ygroup
Reference and Administrgtivt Details
Trustee
Blunde115ands Kindergarten L
Charity Registration P*umber
l(M7898
Prlncipal Offirt
Blundellsand5 Road Wesi
Ejlundellw
l.11¢r￿M)I
L23 6TF
Independeni Eximltt¢r
Siuhhs Parkin l_imiied
Chartered A¢¢ounianis
55 Hoghion Sire
Souiht
PR9 OPG
Page I

Blunde115aDds Kindergarten Playgroup
Truslee's Rep)rl
The memtrw pr¢s¢ni$ ihe ann￿] report iogeiher wilh the fjnancial ststements of the charii>' for ihe year ended 31
August 2021.
ObJtttlve5 and aetlvltlts
ObJe¢is
To enhan¢¢ ih¢ developm¢ni and educ￿10￿ of childmi ujwkr SWuiOry ￿h0o1 age by encourdgin8 parents io
undeT51arwJ and provide for the needs of Iheir children Ihrou8h c4)rnmunity 8roup
Pwbllc beneJ71
'rh¢ iNsi¢e Lonfirni thai Ih¢y hav¢ compli¢d iiith the requiremenis ofs¢¢iiot) 17 of lh¢ Charili¢s ALI 2011 io have
due regard lo the public benefit guidarKe published b). the C-harii) Commission for England and Wal¢s.
Fln4ntlal rtvltw
Poll¢J' res¢rv¢s
'rh¢ I rU￿teS hav¢ no( 8 fonnal r¢s¢rv¢5 fA)lic)' bui gr¢ mindful of th¢ ￿.￿ io mwniain Tes¢rv¢s ￿ In
ade4uaic level io 5afLguard Ihe %'iabilii) of Ihe charity in Ihe eveni ora dO￿TrIUM in income.
Prlnclpoll*ndln8 soMrce5
'I'he ihLrilJ's iniome is derived from Th¥0 main sources - fets from parents arwl 8uardians Jnd granis Irom Sefton
MBC.
Strn¢tyr¢i %ow¢rn•n¢¢ •nd mAn•g¢m¢DI
ofKoverNlnK docwmenl
The C haritv's Bowcming documcnt l5 the PPAS Pla%. (iroup Constiiulion 2011.
The ('hariti is also regulaied bv Of5tcd.
The Charli> Is TeKiSILred 14iih t￿. Chariiy Commission Ii'iih Ihe T¢8iY¢Ted chariiy num￿¥ 1047R98.
0ry4nl$4ilon¢l sir4th*re
ThL Cllry)i)raiL IrusieL Blundellsands Kinder8aNen Lirniied apwTrinted on 25 Marth 2021 ond ¢onsists of..
An elecied ChAirpctson. Se¢Te¢ary and Kindergarten Manager.
TheT¢ Is the fornalion of a pareni'5 hub where pfjr¢nls can b¢comc involv¢d in the d&y to day running ol Ihe
kinder8art¢n.
FlnxntlAI Instrumtnts
Cllshflow ns
During Ihc >C&T ihe Tru51ees analysed and reviem'ed ihe main risks faced b>. ￿ chariTh and ensured that procedures
were in pla¢¢ LO address th¢%. The chief concem financiaj 5tsbilits' ii.hich is being monitored and addressed.
Page 2

Blundellsands Kindergarten PlaTrgroup
Tryslee's Rep)rt
Fund5 held A5 eustodian trnstet on behalf of others
'I'he tille 10 leasehold property acquir￿ by Kindergarten 15 veAed irb IK)Iding trustees. Lesle). Uiley acis as
hvlding ¢rusiee for Ihe iharity.
The annual repon approv¢d by ihe memttr of the ¢hariiy on.................... and sign¢d on lis behajf by..
Blunde115ands Kind¢r8arten Lid
'rruNiee
Page 3

BlundelI￿ndS Kindergarten PIA)'group
Statement of Trusttt, Responsibilities
The Iruslee is responsible for preparing ihe iruste¢' re￿)rn th¢ financial wiements In accordance wilh ihe Unil
Kingdom Ae¢owiiing Siartdards IUni*d Kingdom Generall) ACcep￿d Accouniiftg Praciicel and applicable and
re8ulaiions.
The law. applicable io charitie5 requires th¢ irusi¥Y 10 prepw¢ financial sthiemenLE fur ea¢h financiol year which give
a iw¢ and tair viem. ofihe stsie of alTair5 ofihe charii). and of Ihe incomin8 resources and appli¢aiion of resourc¢s or
Ihe charii). li)r ihat wriod. In preparing ihese financial 5th1emeni& the memkr is required io..
s¢le¢i suithbl¢ accounting policies arwj then arvly ihm ¢onsisienil>':
observe the meihod5 4LrwJ principles in the Charities SORP:
make jud8emeni$ and emimaies th￿ are reasonable and pNdeni:
stsi¢ iiheiher appli¢8ble oL¢ouniio¥ sian¢Jards have been followed. Subject ￿ any material depaflures dixlos¢d
and expluinLd in ihe financial siaiemeni& and
prtpare the financial 5th1rmenls on the going concem b&sis unless Ll LS inappmpri*e io presumc thai ihe charity
will continue in business.
'I'hL membL'f 15 Tesponsible for keeping Proper ￿CountIng r¢cords th* disclose ii'ith reasonable 8¢¢urac>' ai <in)' lime
Ihi linan¢ial position ofihe Lhiwili. and enable ihem 10 ensure ihai th¢ flnancial sthi¢menis ¢ompl)' i%'iih the Lhariii¢s
All 2011. Ih¥' dppliLJbl¢ ChariliLs IALLounl% and Re￿n5) Regul&ion& and Ihe provisions ofihL Lonslituiion. 'fhi
rnember is a150 fL'sponsible for 5ate8uardin8 the Jsseis of lh¢ Charii) and hence for iakirtg Teasonubll slLp% r(Ir the
prevention and dLleclion vf frdud and other iTre8ulariiie&
Approvcd by the mern￿r of Ihe charity on..-.............-... and SiB￿d on its behalf by:
115undellsAnds Kindergarten Ltd
'rrusi¢¢
Paee 4

Blundelisands Kindergarten Playgroup
Independent Examiner's Report ¢0 the trnstet of Blundellsands Kinderéarlen Playgroup
l Teport lo the InJsi¢e on my examination of the account5 of BlundellsatKls Kindergarten Playgroup for the year
endLd 31 August 2021.
Respon5ibilitle5 *nd basi5 of ￿Port
As Ihe chariiy Irustee of Blundellsands KindeT8anen Pla! group i'ou are Te5w)nsible for ihe pr￿aratIOn of lh¢
accounis in aceordanc¢ with th¢ requiTeml￿Is vf ik C'harities Aci 2011 I'ihe Aci'i.
I repon in respe¢1 of m) e¥aminaiion of the Blut¥l¢llsands Kindergarten Pla)'group's accounis corried out under
5eclion 145 ot. IhL 2011 A¢1 and in iarr) ing oui m! examination I hak¢ follomeil all Ihe applicable Dire¢¢ii)ns given
b). Ihe Charii). C'ommission under seciion 14515Kbi Aa.
Indeptndtnt ex*mlntr's $t*lement
I ho¥e Lompleied m). Lxaminaiion. l ¢onfimi t1￿ M material hav¢ 10 my atteniion in coThnec¢ion wilh
lh¢ i.x#minaiitsn ¥ii'ing me Ca￿Se io belieTre Ihai in m4i¢rial T¢speci.'
¢ountin8 r¢Lords Yierc Th)1 kepl in resi*d of Blundellsands Kindergarten Pla)'group &$ required by s¢¢tion
130 ofihe Aci., or
2. IhL accounts do uecord wilh ihose r¢¢ords', or
3. Ihe A¢¢oun15 do not rompl) w'iih IhL accouniing requircmcnis con¢eminÈ Ihc forn and coni¢ni i)f accounis %LI
oui in ih¢ Chariiies IALLounls and Reports) Re8ulaiion$ 20(18 o¢h¢r ihan an> TryUiTLmeni ih81 the acciiunis
give a 'true and fair view w'hich is noi & m￿er ￿nSidered part of an inder￿denl examination.
I huwl no ion¢ems and have come acros5 no oih¢r mg11¢ts in ¢onnLrtion with the examinaiion io which aiieniion
should be drdwm in ihis rerffi in order ￿ enabl¢ 8 prow understhndin8 orth¢ ￿oUnts io be reached.
Kuiharin¢ Thnmp5(m F'CA
C hurtcred Accwntan15
Siubbs Purkin Limiied
SS Floghiort StTcet
Souihp()n
PR9 OPG
27 July 2022
Page 5

Blundells¥nds KindergArten Plgvgroup
Slglement of FiDgncig1 Activities for the Year Ended 31 August 2021
Ilnttstricted
funds
Tot81
2021
Ineome Endowments from:
Donations and legacies
Other income
13.957
185.128
13.957
185.128
T()liil income
199.085
199.085
Exptndl¢urt ou..
C.hOTiI(Ihl¢ aLiikiiie5
(hher ¢¥￿ndlI￿re
'rolal expenditur¢
1196.5851
111.8961
1196,585
111.8961
1208.4811
12U8.481
Nei expendiiuTe
19.3961
19.3961
N¢( moiimeni in funds
(9.3961
19.3961
Recontlltstlon of futsds
'I'oial lund$ twoughi lorward
250.726
?50.726
'I'otal lunds carried for*•rd
16
?41.330
IIDft51ricttd
funds
?41.330
Totxl
2020
Noie
Inttsme And Endowmtn¢$ from:
l)onaiions and legaci¢s
O(her income
18.5BI
179.676
18.581
179.676
'rotal incomi
198.257
198.257
Expendlturt 011:
C'hdriiahl¢ (Klii'ilies
Other expendiiure
1162.665
10.8631
1162.6651
110.8631
Total cxpcndiiure
1173.5281
1173.528
Net in¢ome
24.729
24.729
Nei mov¢ment in fund5
24.729
24.729
Recorjciliatlon orrund$
I'otal tur￿$ broughi torwHrd
I'otal lund5 carried fonwd
225.996
225.996
16
250.725
250.725
All of tht charity's a¢iivilie5 derive from ¢(miinuing operations during the aix)ve two perii*ts.
The tiinds breakdown for 2020 is shown in Thxe 16.
The noies on pag¢5 8 to 15 foTh an integral part of Ihese finwKial thiemeTr
Pa8e 6

BIuDdellsands Kindergarten Pllygroup
(Registration number: 1047898)
Balan¢t Sheet as al 31 Augusl 2021
2021
2020
Nrf¢
Flxtd a55ets
Tangible &s%eis
IrfA).849
181,305
Currtnt ass¢l$
l)¢btUT5
Cash ai bank and in hand
1,693
79.655
1.68.1
97.281
14
81.348
98.1164
Credltors: Amounts falll#g dut wlih5n one ye*r
Ne¢ turrtnf *55ets
130.8671
129.5441
69.420
N¢t *s$¢ts
241.3.10
230.725
Funds ofthe tharlty:
Un￿StriCted In¢om¢ fvnds
LlnrL'.%irici¢d funds
241,330
250.725
To¢41 futsds
16
?41.330
251).725
'lTh¢ fingncial S¢￿ementS on pages 6 to 15 approv¢d b). Ihe. and &uthoris¢d for issue on.................... *nd 5ignc4J
on behaifby..
Blund¢llsund5 Kindergan¢n Lid
I'rusii'e
The noies on pagcs 8 to 15 fonn an iniegrdl part ofthese financial staiemeThts.
Page 7

Blundellsands Kindergarten Pla>'group
Noles to the Fiu*ncial Statements for the Year Ended 31 August 2021
l Attounting policies
Statement of compliance
'lthe financial siai¢mLnis have been prepared in xeordanc¢ ii'iih ihc se¢ond edi¢ion of ihe Charities Stai¢men¢ or
R¢¢()mm¢ndvd I'rnciice issued in Ociokr 2019. Ihe l.'inancial Reponin8 Siandard appli¢oble in ihe Llnited Kingdom
and Republic ot'lr¥land lTr'RS 1021 Jt)d th¢ Ch¥iii¢s ALI 2011.
Basls of prtpargtlon
lundellsands Kind¢rggrt¢n Playgroup m¢¢ts Ihe definilioo of a public benefil eniily under FRS 102. Th¢ ￿CoUnt%
Itinun£ial stsLiemenls1 have been prepared under lh¢ hI￿on¢al ¢osi ¢oni'¢niion M'iih iiems rccÉ)gnised ai ¢i)$1 or
Iransaciion value unless ￿h¢￿Il$¢ sknied in the relevant noie(sl io ilxse ￿0unL￿.
Ex¢mptlon from pttp*rlD8 • ¢•sh IIov4 Sti¢ement
'rhe LhJril)' c¥pi¢¢J i(1 Lar1> ad()pi IlullLiin I published on 2 Febnwy 2016 and have iher¢fore t)01 included a cash
Ilow stsi¢m¢ni in Ih¢se lin￿181 st8*men
Coln% toncern
The Iru51e¢ ¢O￿lder ihai ihere aff no maierial urttnainti¢s ab)ui the dwiiYs abilit). to Conlinue 80ing concern.
Income #nd endowments
VoluniaTr inLomL inLludinbi do￿li￿n& 8ift& l¢wies and 8r8nts Ih•i pro%id¢ Core funding or are ol'a 8Ln¢ral naiu
l5 rLcognif¢d Mhcn ihe charili ha5 eniiilemcni io lh¢ I￿OMe. li 15 rmbable ihai ihe irKome will be reccived and Ihe
amount ¢an b¢ me#sur¢d ￿1th sulTiri¢ni r¢liabilit>'.
Grants reeelvtsble
(irdnis are r¢rogni3ed w￿n ih¢ charity has an cntiilcmenl lo the [￿d5 a￿j an) condiiions linked to ihe granis hai'L
bL'cn mel. Where perforniance coThJiiions are aiiach¢d io grani and ar¢ l'ei to be meL the income is rL'co8nis¢d as
liability and included on ihe balance 5heei as deferred income 10 bt rele&8ed.
Deferred Income
tk.fLrrcd incomc repre5cnis amounts received for future r￿riOdS arKI is r¢le&s¢d io in¢4)mit)B resources in ihe ￿n{￿j
ror which. li has been rt¢eived. Such income is only deferred when..
. The donor sp¢cifie5 Ihat the grant or donalion must onl) be used ITh tiiiure ￿0Un11ng peri(Ml* or
- The donor h&s impos¢d ¢onditIo￿ which be before the ¢hari¢)' has uncondilional entitlement.
Page 8

Blundellsands Kindergarten Pla)'group
Notes to the Finlneial Statements for the Year Ended 31 August 2021
Exptndlture
All L'xpendtiure Is recognised once there is a legal or conMnJai%'e obligation 10 thai expenditure. it i% probable
seltlemeni is rquired and the amount can be mcasuTed reliabl%'. All costs aTe all￿ared io the applicable exrK'ndilurL'
h¢ading lha¢ aggregaie similar co$is io ihai ¢a*gory'. Wher¢ cosis be direcil¥ a¢iribuied io pyrticular h¢adin8S
Ihe% hai'e been alIL￿ated on a b&sis consisieni iviih Ihe use of rtsources. ￿1th ceniral costs allo¢aied on the
basis ol. lime speni. and depreciaiiorb chaT8e5 alloca*d on the ￿)rtion of the a55et's use. thher suppon ¢081$ are
11(Kiil¢d b&4¢d (In ihe spr¢ad ofsts1T￿5I5.
chor11￿￿le oeilvliles
Churiliibl¢ ¢Np¢ndilure ¢omprise$ those ¢o*¢$ incurred b). the ¢harilV in the deliwery of its activilies and services for
lis IK'n¢li¢iaries. It includes both ¢osis thai can k allocaied diTecil)' io such aciii'iii¢5 and those ¢()$1s of thn indirect
nature neCe￿r>. to supwjrt thcm.
Governance tosts
'I'hL'SL inLlude ihL co%ts aiiribuiablc iv ihe chwii)'S CLMnpliance i4.iih corb51iiuiional and 5tatUiOry TequirL'menis.
inLluding audii. sira¢egi¢ managemeni and tyusiee's merfings and reimbursed cipenses.
Govtrnmeni gr*nt$
(Jo￿¢mM￿l granis are rccognised based on ihe accwal model and are measuwd ai ihe fair Nalue of ihc &ss¢1
r¢i¢ii'ed OT TL'ceivable. tirdnLS are classified as rclaiin8 eiihLY 10 r¢NLmue or ￿ oskms. Granis Telaiing IÉ) rLvenuv are
rccogni%cd in incvml ovcr Ihc pcriod in ￿th1¢h ihL ￿l￿ed ¢OSls are r¢rognis¢d. (iraJ)ts rL'lalin8 lo as4¥'15 Jrn.
r¢i()gnis¢d over Ih¢ ex[￿l¢d us¢lul life of ihe ￿1her¢ pan of 4 grani r¢lJiin8 10 an assd i¥ detiTfL.d, li is
reco¥nivd as deferrL.d income.
Taxatlo
'IknL' ihariil is considered io p&ss ihe le%15 sel out in Para8Taph I Schedule 6 of ihe Finance Aci 2010 anJ iherefore il
me¢ls th¢ d¢finilion of a chaTilabl¢ ii)mpan>' for IIK ¢onx>raii(M) purwbes. A¢¢ordingl!'. Ihe charily i5 poi¢niially
¢x¢mpi from I￿allOn in Y¢sp¢ci of in¢(Im¢ or ¢4piial gains r¢¢eiityl Miihtn cai¢8ori¢s CO￿e[¢d b!. ('hilPi¢r 3 Part I I
ot. Ihc c-o￿Or￿li0n Tax Acl 2010 or %cclion 256 of I"&xaiion of Char8e8ble Gains Aa 1992. to ihe ex¢eni thai
such income or g￿n5 arc applied exclu5ii'¢l)' to rharitablg purposes.
T4nglble fiAed a55et5
IndI￿ld￿al fixed assets costing £l.(Kl or more are inilially re¢orded ￿ COSL
D¢prttlgtlon And gmortlsatlon
D¢pre¢iaiion is provided on iangibl¢ fixed so as k) off th¢ ¢oy or v4luaiion. less an). ¢stimated residual
value, o%'er ihcir L¥PCC(ed useful economic life follthi's..
Page 9

Blundellsands Kindergarten Playgroup
Notes ¢0 the Financial Stalements for the Yegr Ended 31 August 2021
Trldt dtbtors
'rrade debiors are amounts due from cUs1￿e[S for mer¢hJndis¢ sold or services ￿ro￿ned irb the ordinary course of
business.
Trade deb¢ors ort T￿OgnIsed iniiially ￿ ihc irdnsaciion pri¢e. They are Subsequenil). measured ai amDrti5ed cv51
using th¢ ¢lTe¢iive Inte￿%1 mthhod Iv55 PTOI'is>on for impainneni. A pro%'ision for th¢ impaimienl of irudc 1%
established when Ihir¥' is obj¢¢iive evidence ihttt the ch￿1). will be able ￿ ￿lIe¢l g118mtsunts due according 10
Ihe original i¢mis of the Trc¢ivablcs.
C#$h Ind ¢45h equivalents
C&%h and L(L%h LquiialLni4 iompri5e c&sh on hand and ¢all dew)sits. and other short-*mi highl) liquid invL51menls
Ihai are r¢adily convertible 10 a knoiim wThounl ofcash aThJ are subje¢1 to an insigDift¢ani risk of change in i'alur.
BorTowlngs
lnierL'si-￿,￿rlThg borrowings ar¢ inilially r¢¢ordcd at fair val￿. net ofiransaaion CO￿$. Ini¢re5t.bearing borrowings
are %ubsequenil) carried ai amortised cosi. with Ihe dilY¢rcnce kimrtn Iht proceeds. nei of Irdnsaiiion ¥()sls. 4Lnd The
amouni due on redemption king r¢co8niscd &s a ehar8¢ 10 ihL' Siai¢ment of l.-inan¢iul AclivillL￿ ov¥r (he PLriod of
the r¢l¢vanl borrowing.
Ini¢re$i expense is recognised on ihe bssi5 of the etTL￿1¥¢ inieresi mrfl￿d and is included in inieresi puyablr An4J
similar char8es.
13om)win8s UN. ¢l&ssilied as ¢urr¢ni liabilitie5 unle55 the chariiy has Jn ￿n￿nditIonaL ri8hi 10 drfer seltlemeni vfthc
liobiliij for le&81 iiillve monihs afl¢r ihe d&le.
Fund 5tru¢tu
UnrLsifiLILd i￿0￿C funds are 8eDeral funds Ihai are thvailable for usc ￿ the trustee's discrnion in furtherance ofihe
objLrlive5 ofihc charity.
2 llltome from donatlons ••d l¢y¢ks
Unrestri¢t¢d
fyrtd5
Ceneral
Tot81
runds
Grdnis. in¢luding capiiaj grants-
Governmeni grants
13.957
13.957
Tot81 for 2021
13.957
13.957
Toi#l for 2020
18.581
18.581
Page 10

Blundellsands Kinderg8rt¢D Plajgroyp
Noles lo the Financial Statements for Ihe Year Ended 31 August 2021
3 (hher intome
UDrestrk¢ed
funds
G¢fft¢r*l
I'otal
nds
Fe¢5 and supplie5
185.12¥
185.128
Tot*1 for 2021
185,128
185.128
Tolll for 2020
179.676
179,676
4 Other txptndlture
Llnrtsfrl¢ted
fund5
Gtntrnl
Tolal
fvnd$
Note
Le8uI and pmf¢ssionul ftt5
DeprL'ciaiion. amortisaiion ond ￿her similw ¢05ts
2.487
9.409
2.4117
9.409
TotAI for 2021
11.896
11.89fy
Total for 2020
10,863
10.863
5 Analy515 of govern*nre #nd support tosts
Cowtrn#ntt ¢OSI$
Unrt51rltted
funda
GentrAI
TotAI
funds
Tnderkndeni examiner fees
Other f¢cs paid to cxaminets
1,710
Tot41 for 2021
Totsl for 2020
1.038
1.638
6 CovtrnmeDt grants
Th¢ 8ow¢mmeni grants re¢eiN'ed are a]1 r¢lai¢d io Coi"id-19.
The amouni of grants recognised in Ihe fina￿la1 sthiements 1185 £13.95712020- £I8.5811.
Pagell

Blunde115aDds Kindergarten Plai'group
Notes ¢0 the Financial Sialemenls for the Yegr EDded 31 August 2021
7 Net inromingloutgoing resourtes
Nel loutgoingvjncl￿ln8 re4ourccs for the yew include-
2021
2020
tkpr¢¢i81ion orrix¢d &55etS
9.409
7.681
8 Trustet rtmuntTAtion *od expense5
Durinb* th¢ yLar ¢h¥' ¢h)ril> m4d¢ lollowing Iron5aciion5 with Vu5￿c..
A MenSs
A MLnis rcceivcd remuncrdlion of £18.745120?0.. £38.6901 durin8 the year.
CJ Men1$
liJ MLnis r<Yeived rwnuDeraiioo 01.£14.48112020= £24.369} durin8 the year.
9 St*ff tosi$
Th¢ 088r¢sai¢ payToII cosls wrre &s follo￿5.
2021
2020
St*ff tosts duTln% tht ye*r wtrt:
Wdbkes and %alariLS
PL'nsion Losls
(hh¢r costs
123.613
7.394
4.139
14.895
7.3011
()(15
135.146
122.808
No ¢mployrt recebved emoluments ofmore than £60.C(Q during the }'¢
10 Independent ex#mintr'$ rtmuner•ii
2021
2020
Other ftes to txamlners
The L'xamining ofaecounis ofany asS￿late of the charity
1.716
1.638
Pag¢ 12

Blundellsands Ktndtrgxrten Playgroup
Notes to the FiD*llcig1 Statement5 for tbe Year Ended 31 August 2021
I l Taxxtion
The ¢h&riiy is a regisiettd charit). atml is therefore exempt from u¥aiion.
12 Tanglblt fixed assets
Land and
buildings
Furlliiurt ¥nd
tquipmtnt
Total
Cost
Ai I Sepfftbcr 2020
Additii)n5
246.925
7.521
28.464
11.4JJ
275.389
18.954
Al 31 Augu￿ 2021
?54.446
39.897
*94.343
Dtprnel*ilon
Ai I Sepiember 2020
ch￿ge for Ihe %ear
78.598
15.486
4.320
94.084
9.410
Ai 31 Augusi 2021
83.611¥
19.806
1113.494
Net book VAlue
At 31 AuBu51 2021
170.758
20.091
I IX>,849
Al 31 August 2020
1611.327
12.978
181.305
Included wiihin th¢ net book valuc ofiand and buildings alK*i'e is £Nil 12020. £Nill in respe¢1 of freehold Ignd and
iwildings and £170.759 {2020- £168.3271 in resp￿1 ofi¢w1￿1￿ts.
13 Debtor5
2lJ21
2020
PTepaymertls
1.693
1,683
14 Cash And ¢#5h equlv*lents
2021
2020
Cash on har
C￿h ai bank
79
79.576
65
97.210
79.655
97.281
Pgg¢ 13

Blundel1s#￿dS Kindergarten Plavgroup
Noles to the FiD¥ncial Stat¢menls for ibe Year Ended 31 Augu51 2021
IS C￿￿110r5. Imounts falling d￿t within one year
2021
2020
(hher taxotion and social security
Other ¢Tediiors
A¢cruJls
Def¢rr¢d income
1.995
1.679
3.504
23.689
1.649
25.077
30.867
29.544
16 Futsds
Stptembtr
2020
Inromlng
resour¢es
Rtsourres
txptnded
Balance at 31
Awgu5t 2021
Ilnrn8trl¢ltd
Gcner81
250.726
199.085
12Q8.4811
241,330
17 AnMlysl$ of nt¢ *Mets beN¢tn fwnds
Llnres¢rltted
funds
Gtntril
Total funds Jlt
31 Augu$t
2021
Tangible fixed assets
Currvnt asws
Curr¢ni liabilities
IIM.849
81.348
130.8671
19U.849
81.348
130.8671
Total net assets
241.330
241,330
IlnrtStrl¢¢¢d
funds
Gtiitrll
Total fund5 Al
31 August
2020
Tan8ible fixed aS￿S
CurTent as￿15
CurY¢ni li8biliiies
181.305
98.964
129.544
181.305
98.964
129.5441
Total net &8set5
250.725
250.725
Page 14

BIuDde115aDds Kindergarten Pla)'group
Noles to the Financial Stalements for the Yexr Ended 31 AuRUSt 2021
18 Attllysls of lltt funds
Sep¢ember
2020
Fln4htlth% ea5h At 31 August
flows
2021
Cash al bank and in hhNi
97.281
117.626)
79,655
Net debt
97.2¥1
117.6?61
79.655
September
2019
Fln4nring r4sh At 3 l August
flow$
2020
Cash ai bank and in hand
69.454
27.827
97.281
Nel debi
69.454
27.8*7
97.281
Pog¢ 15

Blundellsand5 Kindergarten PIA)'group
StAfement of Financial A¢¢ii'ili¢s by fund for the Yegr Ended 31 August 2021
Tot•1
TotAI
Unrestricted UDrestri¢ted
und5
FLtnds
2020
2021
Ineome Endowmtnis froth:
13,957
185.128
Other income
179.676
Toial in¢om¢
199,085
198.257
Exptnditurt ots:
Chiiriiablt iiLlii'ili¢s
(Mher expendiiur¢
Toial ¢xpendiiure
Nel lexp¢ndilurcyin¢vme
{196.5851
111.8961
1162.0651
110.8631
?08.4811
1173,5281
19.396
24.729
Nel movement in funds
19.3961
24.729
Rt¢onelll•tlon offunds
Total lunds broughi forward
Toi81 tunds Carried forward
250.726
223.()96
241.330
230.723
This page d￿S noi fornl pon of ihe 51alulor) financial s¢ai¢ments.
Page 16

Blundellsand5 Kindergarten Playgroup
Detailed Statement of Fillan¢i41 Activilies for the Year Ended 31 Augusi 202 1
Total
2021
Total
2020
Intomt #rtd Endowments Irom:
Ddli(In% and l¥gaLleS lanal) SL'd ￿low)
(Aher income lanalysed below
13.957
185.128
18.581
179.676
Total inLI)tn¢
199.085
198.257
Exptrtdltum on..
Ch(IriliiblL i￿11¥111¢5 lanalysed beloiv}
Oih¢r ¢xp¢ndilure (a￿lySed beltsw'l
'roial eXrKI￿lI￿rt
Icxpendilureyincome
1196.5851
111.8961
1162.6651
110.8631
1208.41111
173.5281
19,3961
24.729
Nd mov¢m¢ni in furvjs
19,3961
24.729
R¢contiliAtlon of funth
To¢01 funds brou8hi forwwd
'rotal funds Ctirried lonward
250.7?6
225.996
241.J30
250.725
This page d(Ks rLOi form part of the $￿ul0ry financial Slaiements.
Page 17

BIuDdellsands Kihdergarten Pla)'%roup
Detailed Statemenl of Financial Activilies for tbe Year Ended 31 August 2021
Tot*1
2021
Tot•1
2020
fjndleR4¢les
Grdnt% receivable
13.957
18,581
13.957
her Income
Fees and supplie5
185.128
179.676
185.128
179,676
Chorltoble ocilvliles
Cl&ssriN)rri ¢XP¥TLxes
W88¢s and salarie5
Sial'f pensions
SwlTiraining
Siall'i%'ellare
Premix's expenses
Promoiional expense
Repair5 and mainienan¢e
Printin¥. p(ISla8L and 51ationery
'I'rade bub%ripiiMs
SundT> expLn5e5
'I"rai'LI and 5ubsisi¢n¢e
A¥¢()unthncy ftt5
I33.￿8}
1123.6131
17.3941
117.5281
1114.8951
1605
14.1391
11.6541
18.4461
14621
1921
11,0221
11.5581
16701
13.4?91
1921
114(11
12.1441
11.6381
1196.585
1162.0651
her ￿PeN￿li￿re
Legal and prvf¢55ional fees
D¢pr¢eiaiion of freehold property
Depre¢iation of fixiures and fii(in8S
12.4871
15.0891
14.320
13.182
14.9391
12.7421
111.896
110.8631
This page doe5 fKbt fomb part of lh¢ siaiuiorj fjnwial S￿￿ements.
Pagc 18

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