Tower Pre-School Chair’s Report 2023
April 2023
Tower Pre-School had an Ofsted inspection in January 2023. We are pleased to say we received an overall grade of Good. Putting aside their nervousness the staff professionally demonstrated their knowledge of the children and many other important aspects of their work for TPS.
The inspector said of TPS:
‘Children enjoy their time at this welcoming and friendly pre-school. They confidently separate from their parents on arrival and quickly settle into activities. Staff build secure, trusting relationships with parents and children’
And:
‘Staff create safe spaces and activities, which help children feel more secure. This results in
children feeling safe and happy. Staff have high expectations for all children.’
Tower Pre-School has inducted a new staff member, Tai. She has settled in well with the staff, children and routine and enjoys leading craft activities and has a keen interest in furthering her knowledge, especially in special educational needs.
The staff and children have begun to venture out for local visits to the library, train station and local park. They have enjoyed a visit from a mum talking about their culture, customs and celebrations around Dussehra; they are also looking forward to a visit from Tai’s therapy dog, Teddy. The children also enjoy the weekly visits from our volunteers who play and support activities with them, which makes a difference to their day. We would always appreciate additional volunteers.
We are always grateful to Orpington Baptist Church for their support of TPS and are pleased to say this has been another positive and encouraging year for our pre-school.
Monica King.
Tower Pre School Accounts Summary for the year ending 31st December 2022 Charity No. 1074627
| Revenue LB Bromley Grants EYPP Parent Fees Lunch Club Total Income excluding parents deposits Parents Deposits Received Total Income including parents deposits EXPENDITURE Staff Remuneration Agency Temp Pension Total Staff expenditure Other expenses: General Expenses (Inc mats & Crafts) Computer software and website Light & Heating Refreshments and food Transfers to petty cash Banner & office sundries Gifts and presents Insurance Training & course fees Phone Bill EYPP Deposits paid back to parents Uncleared pension payment Total Other Expenses Total Payments Petty Cash bal YTD Surplus / deficit excluding parents deposits YTD Surplus / deficit including parents deposits Balance brought forward on 1 January Balance carried forward on 31 December Balances held as at 31 December 2021 National Westminister Bank Petty Cash Balance Total Balance |
2022 | 2021 | 2020 | 2019 |
|---|---|---|---|---|
| £s 39,696.30 1,317.51 21,524.00 |
£s 41,175.45 1,902.00 15,922.00 |
£s 51,217.41 1,867.33 14,709.25 |
£s 59,789.13 3,707.98 22,941.66 |
|
| 62,537.81 | 58,999.45 | 67,793.99 | 86,438.77 | |
| 1,600.00 | 1,300.00 | 1,450.00 | 2,150.00 | |
| 64,137.81 | 60,299.45 | 69,243.99 | 88,588.77 | |
| 48,939.43 503.14 2,391.11 |
53,054.50 1,849.75 |
56,618.28 696.00 1,921.76 |
65,471.52 1,984.14 |
|
| 51,833.68 | 54,904.25 | 59,236.04 | 67,455.66 | |
| 303.78 120.39 2,458.30 717.82 200.00 77.10 738.31 50.00 396.08 379.15 1,400.00 -237.96 |
192.58 290.34 3,389.76 569.62 200.00 1,671.00 725.61 370.23 156.13 1,100.00 |
14.00 4,321.92 308.45 400.00 770.82 725.61 107.97 337.51 3,607.24 950.00 1,346.10 |
64.22 269.46 4,322.84 304.29 400.00 1,043.85 716.40 110.00 329.72 488.32 1,050.00 84.57 |
|
| 6,602.97 | 8,665.27 | 12,889.62 | 9,183.67 | |
| 58,436.65 | 63,569.52 | 72,125.66 | 76,639.33 | |
| 5,501.16 5,701.16 105,746.73 111,447.89 111,447.89 8.84 |
-3,470.07 -3,270.07 109,016.80 105,746.73 105,746.73 100.11 |
65.53 -3,316.14 -2,816.14 111,832.94 109,016.80 109,016.80 65.53 |
204.86 11,054.30 12,154.30 98,581.16 110,735.46 111,832.94 204.86 |
|
| 111,456.73 | 105,846.84 | 109,082.33 | 112,037.80 |
CHARITY COMMISSION FOR ENGLAND AND WALES Independent examinerfs report on the accounts Section A Independent Examiner's Report Report to the trusteesl membgrs of fcKAJ ffC".£c++i On accounts for the year •ndod Charity no (if any) Set out on pages I rekx)rt to ts Iruslees on my examination of the accounts of the above charity ("the Trusf) for the year enderfbl I tz l*>Z R8sponsibilitios and As the charity trustees of the Trust. you are responSie for the preparation basis of report of the accounts in accordance with the requirements of the Chanlies Act 2011 {"the Act"}. I report in respect of my examination of the Trust's acC(nIS carried out under section 145 of the 2011 and in carryiro out my examinatth, I have fdlowed the appiicabb Directions given by the Charity Commission under section 14515llb} of the Act I have comkleled my examination. I conf irm Ihal no material matters have come lo my attention lother than that disclosed bdow ') in connection with the examlnatlon which gives me cause lo believe that in, any material respect.. accounting records were not kept in accordance with section 130 of the Act or the accounts do not accord with the accounting records Independent examiner's statement I have rn concems and have come across no other matters in connection with the examination lo which attention should be drawn in order lo enatAe a proper understanding of the accojnts to be reached. . Pleasg delete th9 words in the brackets if they do nol appty. Signed: Name: M4>SS Rolevant prof•ssional qualificationls) or body (If any): Address: C)Rf Krd IER October 2018