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2023-07-31-accounts

Fountains Playgroup and Pre School Trustee Annual Report 2022 - 2023

Our Aims

The aims of the Pre-school are to enhance the development and education of children primarily under statutory school age in a safe, secure and stimulating environment.

We aim to

Economic Climate and Fundraising

This year the setting has been faced with the challenges of running costs continuing to rise and lower than average numbers of children attending. As trustees we have continued to be mindful of the budget and looked at ways to raise money for the setting using different methods. We have introduced extended opening hours with an early start and late finish 3 days per week to encourage more pupils to attend and have focussed on raising the profile of the preschool locally through advertising. We continue to use Bags2School and Easy Fundraising and have included more public involved activities as part of our fundraising. Both fundraising and increasing the numbers of children attending the setting will continue to be a priority and the trustees will continue to monitor the budget and as a result the viability of the setting going forward.

We continue to hold reserve in a savings account to protect trustees, committee members and the Charity.

Policies

These are regularly reviewed and updated in line with the Pre-School Learning Alliance. As policies have become more complex documents we have continued to use the PLA policy model. We maintain our commitment to and ongoing review of safeguarding policy and procedures and ask that these are observed at all times. Regular training for all staff takes place to ensure knowledge is abreast of changes. The policies are held in the setting are available to read on request.

Community Links

Our group is committed to working with the community. Strong links with Fountains School are being made as are links with the village through the Village Hall and our use of the playing field for outdoor learning and forest school sessions.

Fountalns Playgroup & Pre.S¢hool Income and Expendlture Account Year Ended 31 July 2023 Yorkshire Accoulltallls Riuoll I

Fountains Playgroup & Pre-school Contents Page Income and Expenditure Account Balance Sheet Client Approval Certilicate/Accountants Report

Founlalns Moygroup & P￿-s¢hI)01 Incorne and Expendlture Account Year Efided 31 July 2023 INCOME 2021 2012 INCOME Fee5 Re￿ived Resourcp Fee Playgroup 3 Year Old Funding Mpa15 Unrform After School 719.58 21,069.29 31,204.OD 0.00 94.47 154.00 0.00 26,546.07 38,312.00 0.00 100.50 0.00 Fund Raising Xm35 Fundraiser Wheelaihon Bè85 2 School Sm3rhes tube5 Uniform Hook A Duck Trips Cake Sèle Calendar Arna20n Europe Core Coronation Tea Ice-cream 581.90 0.00 438.00 774.00 407.30 414.60 99.20 363. Iii.OD 161.15 155.50 13.26 43.D2 309.01 56.(NJ Donations Bank CeMpensa￿0Tr 200. Stock Change 47.50 Gross Bank Interest 35.29 35.26 TOTAL INCOME 54.657.06 67,696.84 TOTAL EXPENDITURE -69.682.73 -68.151.90 DEFICIT FOR YEAR 15 Q25.67 Page I

Fovntalns Play8rgup & Pre-school Income and Expenditure Account Year Ended 31July 2023 202Y 2022 EXPEIIDITURE Salaries. Nl and Pension5 In5uraDce and Sub5 Premi5es- Rent and Rates Eledric Water, Sewerage & CleanSng Repairs and Renew815 Mea15 Consumables Uniforrns St3ff Children 46,886.09 50,518.13 417.65 352.20 733.33 1,313.71 6,837.06 1.072.¢X) 7,526.49 4,090.76 448.17 817.49 2.370.50 3.824.35 336.98 800.50 20.94 0.00 838.84 546.22 50.00 0.00 937.72 303.80 1.084.40 225. 274.65 1,020.24 655.73 111.29 94.50 955.52 542.84 972.00 174.30 0.00 561.69 0.00 Training Equipment Purchased or5ted Trips Telephone Stationary and Copwng Accounrancv Miscellaneous Cleaning for Covid Calendars Fundraising 119.54 TOTAL EXPENDITURE 6415_1.9.Q Page 2

Fountain5 Play8roup & Pre-school Balance Sheet As At 31 July 2023 2023 2022 ASSETS New Building 93.977.96 93.977.96 Outdoor Plèy Equipment 10,015.22 10,015.22 Equipment 5.389.79 5.389.79 Computer Equipment 4,377.94 4.377.94 Cash at Bank Current Account Savings Account 14,492.33 35,321.96 26.887.28 35,286.67 Cash in Hand- Petty Cash 0.00 Stock 148.50 196.00 Debtors 4,311.97 3,663.01 Creditors -6.406.02 -3.138.55 TOTAL ASSErs 161629.65 176 655.32 Accumulated at start of year 176,655.32 177,110.38 Surplus for year -15,025.67 -455.06 ACCUMULATED SURPWSATEND OF YEAR Page 3

Fountsins Playgroup & PrÈ-School Accounts Report to Ftsunts4ns Play8roup & Pre-school We have approved the Income and Expenditure Account for the year ended 31 July 2023. In èccordan with your instructrons, we have prepared this unaudited Income and Expenditure Account from ihe ccounting ￿CordS and explanations supplied to U5. Brlan Elsworth ACCA Date.. Cllent Approval Certificate We approve the lTrciNne aFHI Expenditure Account for the year ended 31 July 2023 and coifirm that we have made available relevant records and information for its preparation. Date.. Page 4