Trustees. Annual Report
Wyndham Park Nursery School Fund
HSIIAvenue, Grantham NG319BB
For the Year Ended 202312024
Charlty Number: 1076997
Structure. Govemance. and Management
Constltution
Vlyndham Park Nursery School Fund is a registered charity governed by its Constitution. The
fund operates in accordance with the Charities Act 2011 and is managed bythe Trustees, who
oversee the activities and financial administration of the fund to supportthe objectives of
Wyndham Park Nursery School IWPNS).
The trustees are the Governors of Wndham Park Nursery School
Trustees
The Trustees during the period under reviewwere:
Laura Cook
Rachael Sharpe
Jason Leeks
Lucy Bradley
Vicky Chapman
Lorraine Lynch
The Trustees are appointed in accordance with the Constitution and bring a range of skllls and
expertise to ensure effective governance and decision-making.
Objectives and Activities
The charity's primary objective is to support the education and development of children
attendingwyndham Park Nursery School. The Trustees ensure that funds are used to enhance
the leamlng envlronment, provide resources and support activities that promote the school's
currlculum and values.
Public Benefit Statement
The Trustees confirm that they have complied with their duty under section 17 of the Charities
Act 2011 to consider the public benefit guidance issued by the Charity Commission. The
activities undertaken during the year have directly supported the education and well-being of
children. particularly those with addltional needs orfrom disadvantaged backgrounds.

Financial Performance
The charity's income for the year was £33,281.90 primarily generated through donations,
voluntary contributions and fundraising events.
Expenditure totalled £30,606.86 with the majority allocated to covering additional sessions for
children, theatre visits and curriculum enhancements.
Declaration
The Trustees declare that they have approved the Trustees, Annual Report and have authorised
the Headteacher to
ign it on their behalf.
Signed:
Laura Cook
Headteacher, Chair of Trustees
6" January 2025

RECONCILIATION REPORT
0510112025
Card Account
Amount
Nursery Fees
Photographs
Theatre visits
Donations to Sch for Res
Spare
Spare
Spare
Spare
Spare
Opening Balance
£4,575.12
£162.C()
-£900.00
-£1,162.08
£0.00
£0.00
£0.00
£0.00
£o.thJ
£8,910.99
TOTAL - ACCOUNT BALANCES
£11.586.03
REPRESENTED BY:
BANK- Current Account
BANK- Deposit Account
BANK - Other Account
CASH in Hand
£11,586.03
£0.
£0.00
£o.c
TOTAL - CASH AND BANK BALANCES
£11,586 03
Reconciliation
SCHFUND4.XLS
05J0112025

Income vs. Ex
ndlture for the Period 01104123 to 31103124
INCOME
EXPENDITURE
Nursery Fees
Photographs
Theatre visits
Donations to Sch for Res
Spare
Spare
Spare
Spare
Spare
Opening Balance
Nursery Fees
Photographs
Theatre visits
Donations to Sch for Res
Spare
Spare
are
Spare
Spare
enin
Balance
TOTAL INCOME
£33,281.90
TOTAL EXPENDITURE
£30,606.86
SURPLUS (+> OR DEFICIT (-)
£2,675.04
Balance Carried Forward as at 0110412023
CASH
BANK
TOTAL
Balance brought forward
as at . 0110412023
£0.00
£8.910.99
£8,910.99
Add Total Income
durlng period
£0.00
£33,281.90
£33.281.90
Less Total Expenditure
during perfod
£0.00
£30,606.86
£30,606.86
Balance cathed forward
as at . 3110312024
£0.00
£11,586.03
£11.586.03
Summary
SCHFUND4.XLS
0510112025

LINCOLNSHIRE COUNTY COUNCIL- EDUCATION & CULTURAL SERVICES
DIRECTOFIATE
ANNUAL DECLARATION OF SCHOOL FUNDS
COST CODE . S12000
SCHOOL NAME . Wyndham Park Nursery School
This side of the form must be Gompleted by ev8ry school whether a school fund exists
or not.
DECLARATION BY THE HEADTEACHER
1. 1 confirm that I havellww8t" got a school fund. (If you have a ￿h0o1 fund please
complete section 2).
2. 1 confirm that it is a single comprehensive school fund. The title of the bank account
' WYhJOiifftn fyLy)L-tufrJO
The TYPE is .
CALENDARIFINANCIAUACADEMIC.
It is for the YEAR '.
202312024
I have re￿iVed and will adhere to the notes of guidance on the administration and audit
of school funds issued by the Director of Children's Services (section E of
the Finance Handbook).
SIGNED .
DATE. 6.1111
DECLARATION BY THE CHAIR OF GOVERNORS
I have noted the information above. I will ensure that the Governing Body appoints a
suitable audltor and I have noted that (s)he should recetve your notes of guidance for
school fund auditors.
SIGNED .
DATE..
2cg-1.25
Delete as appropriate

r(PE'.
FINANCIAL.
YEAR:
01104123 to 31103124
l ￿rtify that the school fund has been mairrtained in accordance with the advi￿/
instructions given by the Director of Children's Services.
A copy of the audited statement of the fund has been passed to the Chairman of the
Govemors. A copy willlwill not" be displayed on the school noticeboard.
The following information is a correct summary of the transactions during the accounting
period'.-
Balance brought forward as 8t 0110412023
(date)
£8,910.99
Add Receipts during the accounting pèriod
Less Payments during the accounting period
£33,281.90
,606.86
Balance
rri8d forward as at 3110312024
(date)
£11,586.03
SIGNED
DATE..
I c8rtify that the statement of account for the school fund for the period ending 3110312024
has been audited by me in accordan￿ with the advi￿ given by the Director of
Children's S8rvice
nd that the information s￿￿Wn above is correct.
SIGNED.
DATE..
05101r2025
PROFESSION:
Chartered
' ed Accountant
I certify that the statement of account referred to above, with the ￿rtIfIcate of the school
fund auditor attached to it, has been re￿iVed by the School Govemors at their meeting
held ¢￿ 20 Son 25
(date)
SIGNED..
DATE..
20.1.25-
When completed please retum to.. Schools Finance Team. Education & Cultural
ser￿￿s Directorate. Lincolnshire County CounL?l. Newland, ￿nColn, LNI I YG.
Delete as appropriate

CERTIFICATION SHEET
CERTIFICATION OF HEADTEACHER
BALANCES STATEMENT
I certrfy that the above is a complete
swnmary of the transactions of the
School F nd
or Ihe year ending..
Bank Account{s)
£11.586 01
Cash in Hand
£0,
Headteachar
Total
£11 586
Date
CERTIFICATION OF CHAIR OF GOVERNORS
BALANCES STATEMENT
I certty that the above is 8 cornplete
sumrnary of Ihe transadions of the
School Fu d f the year ending:
Bank Account{sl
£11,586 03
Cash in Hand
£000
Chair of Govemors
Total
£11.WO=,
Date
AUDIT CERTIFICATE
I have examlned the above Income and expenolture statement wlth all the books, vouchers and
other accounting records relating thereto and have obtsined all the infonnation and explanations
I have required. I certty th8t in my belief the income and expenditure statement gives 3 tnje and
fair view of the income and expendilure for the period ending..
according to the best of my inf0m￿li0n and to the explanaticffls given to me and shown by the
books of the School Fund.
101
School Fund Audiior
Dale
Certffication
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