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2023-03-31-accounts

ST JOSEPH’S PLAYGROUP, HERTFORD

TRUSTEES REPORT

CHARITY NO: 1089180

St Joseph’s Playgroup is an Ofsted registered playgroup located on the grounds of St Joseph’s RC School in Hertford. It provides pre-school education to children aged between 2 and 4 years old. Morning sessions run from 9am to 12pm Monday to Friday. It also provides a lunch club between 12pm and 1pm for children over the age of 3 years. Afternoon sessions run from 12pm to 3pm, these are available to the Nursery children at St Joseph’s School. Playgroup children can also access afternoon sessions the term after they turn 3.

The Playgroup has an Admissions Policy in place which welcomes all children from the local area, prioritising those of Catholic faith and with siblings at St Joseph’s School. Our fees are kept in line with other similar settings within the area at £19.50 for a 3-hour session. We accept 2 and 3 year old funding, tax free childcare accounts, childcare vouchers and 30 hour funding.

From April 2022 our fees will increase to £19.50 per 3 hour session. This increase is necessary due to the rise in rent and salary costs.

This years fundraising activities have included firework canvases, Mother’s day sale, a sponsored bounce, sponsored Jelly Dash and Picnics and personalised Christmas baubles. Our lottery license has also allowed us to be able to hold raffles and sell tickets to families and friends.

Funds have been used this year to build a new sensory room for the children, our garden area has been improved and a new wooden garage was built for the children. We have also purchased important learning resources and fun activities for the children throughout the year.

Diane Kerins

TRUSTEE

St Joseph's Playgroup

INCOME AND EXPENDITURE ACCOUNT YEAR ENDED 31ST MARCH 2023

Previous Year
Fees received
Funding
Fundraising (gross)
Lunch Club and afternoons
Snack contributions
Miscellenious
Total Income
Previous Year
Everyday expenditure
Salaries
Training and DBS checks
Rent and cleaning
Fruit and milk
Subscriptions
Fundraising costs and spending
Insurance
IT expenses
Miscellaneous
Depreciation
Total Expenditure
Surplus
2021-2022
23,460.00
55,139.40
3,084.52
8,485.00
225.00
1,190.00
£91,583.92
2021-2022
2,867.38
80,751.60
541.69
5,891.90
1,801.07
654.05
2,352.78
593.90
813.72
86.00
894.89
£97,248.98
(£5,665.06)
Current Year
Fees received
Funding
Fundraising (gross)
Lunch Club and afternoons
Snack contributions
Total Income
Current Year
Everyday expenditure
Salaries
Training and DBS checks
Rent and cleaning
Fruit and milk
Subscriptions
Fundraising costs and spending
IT expenses
Miscellaneous
Total Expenditure
Deficit
INCOME
EXPENDITURE
2022-2023
25,759.00
64,527.13
2,304.60
7,689.50
225.00
£100,505.23
2022-2023
2,935.84
81,227.40
794.16
10,266.72
1,305.40
691.15
3,916.87
1,092.58
240.00
£102,470.12
(£1,964.89)

BALANCE SHEET

INDEPENDENT EXAMINER'S REPORT

As at 31st March 2023

I have examined the account of:

ASSETS

ST Joseph's Playgroup

With the books and vouchers supplied to me.

Equipment at the beginning of the year
(as written down value)
Equipment purchased during year
Total
Depreciation this year
Written down value of equipment
Cash at Bank (Barclays, Hertford)
Total Assets
Accumulated Surplus at the start of this year
Less current deficit
Surplus at Year End
0.00
To the best of my k
NIL
provided, the said
0.00
deficit for the year
0.00
Signed
0.00
18,767.15
Date
18,767.15
Name of Examiner
20,732.04
(1,964.89)
David Kemp ACIB
62 Valeside
£18,767.15
Hertford
Herts
SG14 2AS

To the best of my knowledge and belief with the information provided, the said accounts give a true and fair view of the deficit for the year and state of affairs as at 31st March 2023.

Tel: 01992 587 511

St Joseph's Playgroup

INCOME AND EXPENDITURE ACCOUNT YEAR ENDED 31ST MARCH 2023

Previous Year
Fees received
Funding
Fundraising (gross)
Lunch Club and afternoons
Snack contributions
Miscellenious
Total Income
Previous Year
Everyday expenditure
Salaries
Training and DBS checks
Rent and cleaning
Fruit and milk
Subscriptions
Fundraising costs and spending
Insurance
IT expenses
Miscellaneous
Depreciation
Total Expenditure
Surplus
2021-2022
23,460.00
55,139.40
3,084.52
8,485.00
225.00
1,190.00
£91,583.92
2021-2022
2,867.38
80,751.60
541.69
5,891.90
1,801.07
654.05
2,352.78
593.90
813.72
86.00
894.89
£97,248.98
(£5,665.06)
Current Year
Fees received
Funding
Fundraising (gross)
Lunch Club and afternoons
Snack contributions
Total Income
Current Year
Everyday expenditure
Salaries
Training and DBS checks
Rent and cleaning
Fruit and milk
Subscriptions
Fundraising costs and spending
IT expenses
Miscellaneous
Total Expenditure
Deficit
INCOME
EXPENDITURE
2022-2023
25,759.00
64,527.13
2,304.60
7,689.50
225.00
£100,505.23
2022-2023
2,935.84
81,227.40
794.16
10,266.72
1,305.40
691.15
3,916.87
1,092.58
240.00
£102,470.12
(£1,964.89)

BALANCE SHEET

INDEPENDENT EXAMINER'S REPORT

As at 31st March 2023

I have examined the account of:

ASSETS

ST Joseph's Playgroup

With the books and vouchers supplied to me.

Equipment at the beginning of the year
(as written down value)
Equipment purchased during year
Total
Depreciation this year
Written down value of equipment
Cash at Bank (Barclays, Hertford)
Total Assets
Accumulated Surplus at the start of this year
Less current deficit
Surplus at Year End
0.00
To the best of my k
NIL
provided, the said
0.00
deficit for the year
0.00
Signed
0.00
18,767.15
Date
18,767.15
Name of Examiner
20,732.04
(1,964.89)
David Kemp ACIB
62 Valeside
£18,767.15
Hertford
Herts
SG14 2AS

To the best of my knowledge and belief with the information provided, the said accounts give a true and fair view of the deficit for the year and state of affairs as at 31st March 2023.

Tel: 01992 587 511