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2023-08-31-accounts

Trustees’ Annual Report for the period

From 1 September 2022 To 31 August 2023 date 26/11/24

Charity name: Little Birch Pre-School Address: Birch Avenue, Blandford St Mary, Dorset, DT11 9QD

Charity registration number: 1083986

Aims and objectives: To Provide term time only sessional early years education for children aged 2-4 years, complying with the early years foundation stage framework and meeting Ofsted regulatory requirements.

Public benefit: Advancing the education of children who attend in line with the EYFS framework and Ofsted requirements. The Trustees confirm the have complied with the guidance issued by the Charity commission on public benefit.

Financial Review: Closing balance 39,336.20. However, this figure includes

funding payments intending to cover next term .

The charity’s principal sources of funds (including any fundraising)

Parent Fees £23,561.50

DCC Funding £ 127,933.25 *

Fundraising £ 1204.79

*includes payments intended for next academic year

Reserves policy : Hold equivalent to 3 months salary with all other income reinvested into the pre-schools resources.

No funds held as a custodian trustee.

Recruitment for trustees: based on a quorum of committee members and service users ie parents and carers

Names of the charity trustees who manage the charity:

Anna Valentine: Chair

Alex Fulton

Rhea Miller: Secretary, Treasurer

Susan Flavell

Declarations

The trustees declare that they have approved the trustees’ report above.

Signed on behalf of the charity’s trustees

Signature(s)
Full name(s)
Position (eg Secretary,
Chair, etc)
Date
Rhea Miller
Rhea Lilla Joel Miller

Secretary
26/11/2024
26/11/2024

Little Birch Pre-School

Statement of receipts and payments for period

01 September 2022 to 31 August 2023

Receipts Payments
Amazon 88.64 Accounting costs 164.40
DCC 127,933.25 Clothing 2,078.58
Deposit 13.50 Consumables 834.60
Donations 270.15 Equipment 2,014.42
Fees 14,159.00 Food 1,484.77
National Savings 9,402.50 Gifts 195.78
Uniform purchases 125.50 Insurance 838.89
Unknown 707.00 Pension 5,248.23
Premises Costs (inc rent) 6,355.18
Resources 3,564.49
Stationary/Postage/Photocopy 339.86
Telephone/Website 194.85
Training 1,608.39
Unknown transactions 1,690.39
Wages & HMRC 111,824.89
Total 152,699.54 Total 138,437.72

Balance Sheet

Opening Bank Balance 25,074.38 Payments 138,437.72

Receipts 152,699.54 Closing Bank Balance 39,336.20
177,773.92 177,773.92

I have examined the receipts and payments provided with the bank statements and I certify that, in my belief, the receipts and payments statements give a true and fair view of the receipts and payments for the year ending 31 August 2023.

Signed Name Date