## Sedbergh Playgroup 

Chair’s Annual Report 2019-2020 

The academic year began well in September with new children arriving and beginning their settling in period. Our staff remain unchanged. 

The session numbers remained constant up until March 2020. Following advice from the local authority, we closed on the 20 March 2020 due to COVID. We reopened on 1 June 2020 to a small number of children. These numbers remained low due to some parents preferring to keep their children at home. 

Fundraising was halted due to COVID although we were able to attend the local Christmas Fair at church and this was well supported. 

Many thanks go to Joanne and Vikki for their great work especially for their professionalism in dealing with all the extra demands as they returned to work on 1 June after a 10 week lockdown. 

I have again felt privileged to work with the staff, parents and children at Playgroup. 

Chair 



## **SEDBERGH PLAYGROUP ACCOUNTS** 

**– 1[st] September 2019 31[st] August 2020** 



**Sedbergh Playgroup** 

## **Income and Expenditure Account** 

## **For Year Ended 31[st] August 2020** 

||**Income**||<br>**2020**|**2019**|
|---|---|---|---|---|
||||||
||Fees||12453.50|17808.72|
||||||
||Donations||-|100|
||Made up of|||_(Chamber of Trade,_<br>_Grandparents of child)_|
||||||
||Interest (Reserve)||1.62|1.96|
||||||
||Cumbria County Council||23978.07|18498.78|
||(2 & 3 Year Funding)||||
||||||
||Grant||4574.30<br>(Coronavirus Furlough)|2076.00<br>(Charity Shop, CCC)|
||||||
||Fund Raising||-|350.00|
||Made up of|||_180.00  Halloween party_|
|||||_70.00 Tropic_|
|||||_100.00 Choc tombola_|
||||||
||Other – Dent Preschool||375.00|250.00|
||||||
||**Total Income**||**41382.49**|**39085.46**|





## **Sedbergh Playgroup** 

## **Income and Expenditure Account** 

## **For Year Ended 31[st] August 2020** 

## **Total Income Brought Forward £41382.49** 

|||<br>**Expenditure**||<br>**2020**||**2019**|
|---|---|---|---|---|---|---|
||||||||
|||Salaries||30683.42||29619.88|
|||Insurance||489.81||483.37|
|||Tax/NI||3782.40||3155.36|
|||Stationary||90.89||72.36|
|||Utilities||1168.00||1168.00|
|||Internet||390.05||410.28|
|||Misc/Other||438.07||258.76|
|||Subs||171.20||168.80|
|||Training||400.00||60.00|
|||Toys/Resources||827.96||1808.40|
|||Uniform||213.72||-|
|||Equipment||73.14||-|
|||**Total Expenditure**||**38728.66**||**37205.21**|
|||**Net Profit/(Loss)**||**£2653.83**||**£1880.25**|





## **Sedbergh Playgroup** 

## **Balance Sheet** 

|**As at 31s**|**tAugust 2020**|**tAugust 2020**|**tAugust 2020**|
|---|---|---|---|
|**Assets**||<br>**2020**|**2019**|
|Current Account||18517.29|15865.08|
|Reserve Account||1059.61|1057.99|





## Sedbergh Playgroup 

Chair’s Annual Report 2019-2020 

The academic year began well in September with new children arriving and beginning their settling in period. Our staff remain unchanged. 

The session numbers remained constant up until March 2020. Following advice from the local authority, we closed on the 20 March 2020 due to COVID. We reopened on 1 June 2020 to a small number of children. These numbers remained low due to some parents preferring to keep their children at home. 

Fundraising was halted due to COVID although we were able to attend the local Christmas Fair at church and this was well supported. 

Many thanks go to Joanne and Vikki for their great work especially for their professionalism in dealing with all the extra demands as they returned to work on 1 June after a 10 week lockdown. 

I have again felt privileged to work with the staff, parents and children at Playgroup. 

Chair 

