## St Anne’s Stay and Play Limited 

(Private company limited by guarantee number without share capital, company number 3779030) 

## Charity Number 1076174 

Report of the Trustees for year ending August 2020 

The trustees present their annual report for the company.  Our principle activity is to provide before and after school care within the property on Wyre Hill Bewdley to help parents with children at local schools take up employment. 

The financial year started well with the summer and October half term holiday club being virtually fully booked, along with some almost capacity term time days up until Christmas.  However, when the pandemic started and lockdown began numbers reduced, PPE, handwash and essentials were purchased incase of further restrictions.  As the year went on those further restrictions started and the schools closed unfortunately it was not viable to keep funhouse open for the 3 “key workers” that attended. 

To enable funhouse to operate the fees had to be reduced to 50% but parents were more than happy to pay this.  The staff that could be furloughed were so and financially we were able to stay functioning. 

When funhouse was allowed to reopen it did and holiday clubs also operated but under the bubble restrictions.  All government guidelines were also followed, including enhanced handwashing and temperature checks on entry. 

All trustees remained the same and were all a great support throughout this very difficult year.  Lindsay and her team have worked exceptionally hard to not only keep the business going but to support all the children and families that attend. 

The registered office is Stans Place, St Annes School 

Signed on behalf of the committee 


25/5/21 

Paul Dodd – Chair of the Trustees 



## **St Annes Stay & Play Ltd- 19/20 Profit & Loss** 


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Company Number 3779030<br>Year End Aug 2020<br>Sep-19 Oct-19 Nov-19 Dec-19 Jan-20 Feb-20 Mar-20 Apr-20 May-20 Jun-20 Jul-20 Aug-20 Total<br>Fees Income £  6,124.02 £    7,949.84 £   5,499.71 £   6,015.06 £  6,618.86 £   5,709.24 £  6,888.19 £    3,528.45 £       805.90 £      720.00 £   2,966.15 £        79.70 £ 52,905.12<br>Other Income £          1.23 £            1.19 £           1.23 £           1.17 £          1.05 £           0.48 £  1,000.56 £  16,560.86 £   4,012.14 £  3,931.38 £           0.04 £  5,949.59 £ 31,460.92<br>Trading Income £  6,125.25 £    7,951.03 £   5,500.94 £   6,016.23 £  6,619.91 £   5,709.72 £  7,888.75 £ 20,089.31 £   4,818.04 £  4,651.38 £   2,966.19 £  6,029.29 £ 84,366.04<br>EXPENDITURE<br>Wages £  4,832.15 £    4,690.15 £   4,741.97 £   4,838.71 £  4,999.91 £   4,673.83 £  5,272.03 £    5,095.11 £   4,805.34 £  4,389.93 £   4,711.20 £  5,893.97 £ 58,944.30<br>HMRC Payments £      100.14 £      245.08 £      188.94 £      160.14 £      404.29 £        70.62 £    1,169.21<br>Training £      270.00 £       153.60 £        72.00 £      121.20 £        76.80 £      230.00 £       923.60<br>Utility Warehouse £      131.98 £       108.28 £      196.64 £        94.41 £      241.24 £      247.39 £      384.81 £       213.00 £       170.38 £      121.50 £    1,909.63<br>Worc cc £      445.83 £       445.83 £      445.83 £      445.83 £      445.83 £      445.83 £      445.83 £       445.83 £       445.83 £      445.83 £      445.83 £      445.83 £    5,349.96<br>Rates £        52.00 £        52.00 £        52.00 £       156.00<br>Waste £      200.00 £       200.00<br>Bank Charges £          5.50 £            6.50 £           6.50 £           6.50 £        10.40 £        24.70 £            6.50 £           6.50 £          6.50 £           6.50 £          6.50 £          92.60<br>Water Rates £          85.32 £          85.32<br>Insurance £       373.67 £        35.00 £       408.67<br>Food - Card £      263.60 £       381.44 £      215.60 £      135.35 £      226.60 £      302.98 £      216.21 £        16.60 £        26.24 £    1,784.62<br>Food - Petty Cash £          2.40 £          18.02 £        12.98 £        36.31 £           8.74 £        17.00 £          95.45<br>Play Equip/Materials £      222.57 £       148.68 £        29.17 £        28.48 £        32.57 £        59.54 £        50.23 £           6.29 £      299.76 £       877.29<br>Office Supplies £      315.16 £       556.84 £      468.99 £        25.97 £        57.94 £      112.15 £      197.32 £          36.00 £        19.98 £      710.65 £          1.64 £    2,502.64<br>Payroll £        36.00 £          36.00<br>Sundry £        40.00 £       190.00 £        67.75 £        57.99 £       872.69 £        15.98 £    1,244.41<br>Mileage £          37.00 £      108.31 £        30.01 £        53.55 £       228.87<br>1st Aid Equip £              -<br>Trip Costs £       146.50 £       146.50<br>Bookkeeping £          63.00 £        21.00 £          84.00<br>Ofsted £        50.00 £          50.00<br>Maintenance £        34.00 £          34.00 £        30.98 £      773.67 £      110.70 £        93.22 £    1,076.57<br>Pension £        75.74 £      302.95 £        75.74 £      151.48 £          75.74 £         75.74 £        75.74 £        75.74 £        75.74 £       984.61<br>transfer £              -<br>Christmas Party £      289.50 £       289.50<br>Total Expenditure £  6,827.07 £    7,353.51 £   6,863.55 £   6,914.82 £  6,642.69 £   6,760.49 £  6,854.15 £    5,957.50 £   6,382.77 £  5,119.30 £   6,359.50 £  6,604.40 £ 78,639.75<br>Total Profit/loss £    (701.82) £       597.52 £ (1,362.61) £     (898.59) £       (22.78) £ (1,050.77) £  1,034.60 £  14,131.81 £  (1,564.73) £    (467.92) £ (3,393.31) £    (575.11) £    5,726.29<br>**----- End of picture text -----**<br>




Independent examiner's report on the
accounts
jil:S..i.,I':I'il:l..)il& 4'1.;1ji)Ii'[-:],'l-.￿ h{'.J:-l.J•'.-
Report to the trusteesl
members of
St. Anne's Stay and Pliy LlmllL,d
On accounts for the year
ended
31" August 2019
Chaflty no 11076174
lif any) j
Set out on pages
2to4
Respective The charity'5 trustees are responsible for the preparalion of the accounts.
responsibilities of The charity's trustees consider that an audit is not required for this year
trustees and examiner under section 144 of the Charities Act 2011 (the Charities Act) and that an
independent examination is needed.
11 is my responsibility to..
examine Ihe accoLsnts under section 145 of the Charities Act,
to follow the procedures laid down in the general Directions given by the
Charity Commission (under section 14515}Ib) of the Charities Act, and
to stale whether particular matters have come lo my attention.
Basis of independent My examination was carried out in accordance with general Directions given
examiner's statement by the Charity Commission. An examination includes a review of the
accounting records kept by the charity and a comparison of the accounts
presented with those records. 11 also includes consideration of any unusual
items or disclosures in the accounts, and seeking explanations from the
trustees concerning any such matters. The procedures undertaken do not
provide all the evidence that would be required in an audit. and
consequently no opinion is given as lo whether the accounts present a 'true
and fair, view and the report is limited lo those matters sel out In the
statement below.
Independent In connection with my examination, no matter has come to my attention
examiner's statement lother than that disclosed below'l
1. which gives me reasonable cause to believe that in, any material respect,
the requirements:
lo keep accounting records in accordance with section 130 of the
Charities Act,. and
to prepare accounts which accord with the accounting records and
comply with the accounting requirements of the Charities A
have not been met., or
2. to which. in my opinion, attention should be drawn in order to enable a
proper understanding of the accounts to be reached.
Please de
e words in the brackets if they do not apply.
Signed:
Date:
1810512021
Name:
John Scott
Relevant professional
qualificationls) or body
(if any):
IER
March 2012