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2021-08-31-accounts

Chairman’s Report AGM 8 January 2022

It has been a difficult time for everyone and as you know our AGM was delayed due to the pandemic. The transfer to an Incorporated Charity has also been on hold.

We have not been able to hold any fundraising events for some time now and look forward to the easing of restrictions.

Our thanks go to the staff who have managed to keep the preschool open for the majority of lockdown. We are fortunate to have such dedicated staff.

Now we have our new Committee we can look forward to restarting fundraising events.

Thank you to the retiring committee for all your support.

Madginford Pre School Accounts Year End August 2021

Income
Fee from Parents
Early Years Funding
Free for 2 Year Funding
KCC Senif
Grant
Donations & Registration Fees
Bank Interest
Amazon Commission
Sponsored Events
Expenditure
Wages
Rent
Equipment & Activities
Housekeeping
Insurance
Administration
Miscellaneous
Maintenance
Professional Charges
Subscriptions
Funded By
Balance Start of Year
Income Current Year
Less Expenses Current Year
Income in Excess of Expenditure
Deposit Account
Current Account
Tesco Card
Petty Cash
31-Aug-21
11862.60
110656.96
2803.80
1044.28
706.44
5.00
9.64
9.63
127098.35
116611.51
7592.44
2273.14
54.23
1049.86
1091.46
5059.85
642.20
134374.69
110256.47
127098.35
-134374.69
102980.13
96323.78
6656.35
102980.13
HMRC PAYE
Debtors - Unpaid fe
31-Aug-20
12491.60
96910.80
16890.62
4862.92
0.40
414.73
576.50
132147.57
107504.42
4390.68
3269.62
42.29
903.57
416.69
5708.23
671.24
122906.74
101015.64
132147.57
-122906.74
110256.47
96257.43
13890.93
74.00
110222.36
110256.47
-110222.36
34.11
-254.29
e
288.40
34.11