This report (2021)  is based on the Children’s Centre  Information Booklet,  compiled  by  Jonathan  Davey,  the  Centre  Manager,  and other records and information as appropriate. 

## The objectives of the Centre are- 

_To  advance  the  education  and  development  of  children  under statutory school age within Cleethorpes, North East Lincolnshire, by providing and assisting in the provision of educational opportunities for such children._ 

## Board Members 


**----- Start of picture text -----**<br>
Name Position<br>Mrs C Lamming Chairman & Treasurer<br>Mr R Grayson Director<br>Mrs A Boyers Secretary<br>Mr Keiron Lamming Director<br>Miss A Darnell Director<br>**----- End of picture text -----**<br>


## Background 

St  Peter’s  Children’s  Centre  is  a  65  place  facility,  which  was conceived  as  an integral  part of  St  Peter’s  Community  Learning Centre.  It is on the site of St Peter’s CE Primary School and the neighbouring St Peter’s Church Hall, and was opened to its first children in September 2002.  There are approximately 91 children registered at the Centre at the time of writing (December 2021). 

## Planning 

The Centre’s planning is linked to the updated Early Years Foundation Stage and Ofsted Framework.  These incorporate age and stage specific activities, thereby meeting each child’s individual needs.   The  activities  are  play-based,  to  allow  high  levels  of individual  learning  and  spontaneity.  We  implement  a  system  of compiling individual learning journeys which will follow each child into their chosen Reception class. 

## The Centre 

Our Centre comprises of Sam’s room offering care from birth to two years,  with  a  separate  snooze  room.  It  is  fully  equipped  to accommodate up to nine babies. 

Annual report/main folder 



When a child reaches two years of age, they join Jame’s Room, which is designed and equipped specifically with the younger  two year olds in mind. We also have the Ladybird room which is for our rising  2  year  olds,  with  adjoining  doors  to  allow  free  flow  and transition into our Peacock room where the three and four year old children are accommodated.  Here, children have the opportunity to learn through play, and participate in the activities provided, using the free flow outside doorway, allowing the children to access lots of fun outdoor activities. 

## Outside 

Our Centre also includes the use of three fully enclosed outdoor play areas, our own specific area being totally redesigned and developed, providing an excellent learning environment, complementing  our  daily  planned  play  sessions  in  a  safe  and stimulating atmosphere.  We have a community buggy-park, which enables parents and staff to store  buggies where they are safe, secure and protected from the elements. 

## Policies 

The Centre’s policy statements are structured to offer children and their  families  the  best  possible  care  and  learning  opportunities. They  are  subject  to  review,  and  the  manager  and  the  Board welcome comments or  suggestions  from users.   There is  a parent/carer suggestion box in the Centre’s reception area.  Copies of all policies are available for inspection. 

## Children with special educational needs 

The aim of the Centre is for each child to reach his or her potential in all areas of development at his or her own rate, including children who  need  additional  support  or  who  have  particular  needs  or disabilities.  Key people work with outside agencies and take specific action to help children make the best possible progress.  The Special Needs policy relates to the DfES/SEND Code of Practice. 

## Key Persons 

In  the  Centre,  we  operate  a  key  person  system,  to  enable relationships to develop between staff, parents/carers and children. Key persons are responsible for an allocated group of children, and provide detailed assessments of children’s achievements, activities and daily routines. 

Annual report/main folder 



## Staff: 

## **Centre Manager** 

Jonathan Davey (Behaviour Lead) 

## **Deputy & Ofce Manager** 

Fleur Cook 

## **Senior Supervisors** 

Gemma Clifford (Safeguarding Officer) 

## **Supervisors** 

Jenny Wright (SENCO) Vici Cox (Curriculum lead) Lyndsey Davey (Curriculum lead) Eloise Forman 

## **Early Years Practitioners** 

Naomi Stanley Rachel Portas Amy Hughes (Deputy Behaviour Officer) Beth Swinton (Deputy SENCO) Kerri Burchell Gemma Hammond Kirsty Robinson Leanne Chidwick Samantha Atkinson (Deputy Safeguarding) Molly Marsden Megan Clark Kaleigh Robinson 

## **Cook** 

Josephine Greenacre 

**Cleaner** Lynne Raithby 

## Staff – professional training 

Annual report/main folder 



It is the policy of the Centre that it is important for staff to continue to update and extend their training, to be aware of issues both locally and nationally, and to pass knowledge onto colleagues. 

## Parents/carers 

Parents/carers are a child’s first educators, and the Centre aims to work  together  to  work  in  an  atmosphere  of  mutual  respect. Parents/carers  are  welcome  to  help  on  any  outings  and  special events. 

## Other Agencies 

The Centre also work closely with many outside agencies including the  councils  Early  Years  Development  and  Childcare  Partnership, OFSTED, the Family Information Service, the National Day Nurseries Association, Children’s Centre’s, St Peter’s CE Primary School and Church. 

## The fees 


**----- Start of picture text -----**<br>
Rate Children Children<br> 0-2 years  2+ years<br>Hourly £    5.20 £    5.00<br>Per session £  20.40 £  19.60<br>(4 hours)<br>Full day £  40.35 £  38.65<br>(8 hours)<br>Full time  £192.50 £182.50<br>(40 hours)<br>Breakfast = £1.20       Lunch = £2.50      Tea =<br>£2.20<br>**----- End of picture text -----**<br>


## Health & Safety 

The health & safety of the children, parents and staff is paramount, especially  in  the  current  climate  where  covid  has  placed  extra pressurs  on  all.   Therefore,  parents/carers  are  asked  to  fill  in  a detailed  registration  form  telling  Centre  staff  any  important  and relevant information about a child and also any medical or health concerns.   No  unauthorised  person  is  allowed  to  collect  a  child unless previously arranged by the parent/carer. If prior arrangements are made, the Centre requires the name, telephone 

Annual report/main folder 



number  and  a  description  of  the  person.   A  password  is  also required. 

The Centre meets all relevant fire service and environmental health checks, and is also registered with OFSTED. 

The Centre was last inspected by OFSTED on 29[th] October 2018. The report concluded that all areas were ‘good’. 

Annual report/main folder 



**Draft Financial Statements at 17 November 2021 at 16:08:21** 

**Company Registration Number 4332441 (England and Wales)** 

## **ST PETER'S CHILDRENS CENTRE LIMITED UNAUDITED FINANCIAL STATEMENTS FOR THE YEAR ENDED 31 MARCH 2021** 




**Draft Financial Statements at 17 November 2021 at 16:08:21 ST PETER'S CHILDRENS CENTRE LIMITED** 

## **COMPANY INFORMATION** 

## **Directors** 

Ms A Darnell Mr R Grayson Mr K P Lamming A Boyers C Lamming 

**Secretary** A Boyers **Company number** 4332441 **Registered office** St Peters C Of E Primary School St Peters Avenue Cleethorpes Lincolnshire United Kingdom DN35 8LW **Accountants** Affinity Solutions 66 St Peters Avenue Cleethorpes Lincolnshire United Kingdom DN35 8HP 



**Draft Financial Statements at 17 November 2021 at 16:08:21 ST PETER'S CHILDRENS CENTRE LIMITED** 

## **CONTENTS** 

||**Page**|
|---|---|
|Accountants' report|1|
|Profit and loss account|2|
|Balance sheet and notes to the financial statements|3 - 4|





**Draft Financial Statements at 17 November 2021 at 16:08:21 ST PETER'S CHILDRENS CENTRE LIMITED** 

## **REPORT TO THE DIRECTORS ON THE PREPARATION OF THE UNAUDITED STATUTORY ACCOUNTS OF ST PETER'S CHILDRENS CENTRE LIMITED** 

**Affinity Solutions Accountancy & Business Development** 

......................... 

66 St Peters Avenue Cleethorpes Lincolnshire United Kingdom DN35 8HP 

- 1 - 



**Draft Financial Statements at 17 November 2021 at 16:08:21 ST PETER'S CHILDRENS CENTRE LIMITED** 

## **PROFIT AND LOSS ACCOUNT** 

## _**FOR THE YEAR ENDED 31 MARCH 2021**_ 

||**2021**|**2020**|
|---|---|---|
||**£**|**£**|
|**Turnover**|285,736|370,575|
|Other income|68,594|8,028|
|Cost of raw materials and consumables|(2,189)|(8,076)|
|Staff costs|(249,394)|(282,811)|
|Depreciation and other amounts written off assets|(396)|(2,706)|
|Other charges|(34,170)|(24,423)|
|**Profit**|68,181|60,587|



- 2 - 



**Draft Financial Statements at 17 November 2021 at 16:08:21 ST PETER'S CHILDRENS CENTRE LIMITED** 

## **DETAILED TRADING AND PROFIT AND LOSS ACCOUNT** _**FOR THE YEAR ENDED 31 MARCH 2021**_ 

|**Turnover**<br>Fees<br>Funding<br>Fundraising<br>**Other income**<br>Coronavirus job retention scheme grant<br>Bank interest received<br>**Cost of raw materials and consumables**<br>Nursey Food<br>**Staff costs**<br>Wages and salaries<br>**Depreciation and other amounts written off assets**<br>Depreciation<br>**Other charges**<br>Consumables<br>Subcontract labour<br>Staff trainiing & welfare<br>Rent<br>Power, light and heat<br>Repairs and Renewals<br>Professional subscriptions<br>Legal and professional fees<br>Accountancy<br>Bank charges<br>Insurances<br>Postage and stationery<br>Advertising<br>Sundry expenses<br>**Profit for the year**|**2021**<br>**£**<br>**£**<br>92,013<br>193,723<br>-<br>285,736<br>67,752<br>842<br>68,594<br>2,189<br>(2,189)<br>249,394<br>(249,394)<br>396<br>(396)<br>1,296<br>1,587<br>3,250<br>10,310<br>7,185<br>5,612<br>255<br>3,107<br>300<br>(34)<br>492<br>299<br>431<br>80<br>(34,170)<br>68,181|**2020**<br>**£**<br>**£**<br>233,631<br>136,337<br>607<br>370,575<br>-<br>8,028<br>8,028<br>8,076<br>(8,076)<br>282,811<br>(282,811)<br>2,706<br>(2,706)<br>1,332<br>1,587<br>705<br>4,903<br>4,871<br>3,292<br>255<br>2,363<br>300<br>32<br>492<br>279<br>3,472<br>540<br>(24,423)<br>60,587|
|---|---|---|





**Draft Financial Statements at 17 November 2021 at 16:08:21 ST PETER'S CHILDRENS CENTRE LIMITED** 

## **BALANCE SHEET** 

## _**AS AT 31 MARCH 2021**_ 

|**2021**<br>**£**<br>Fixed assets<br>Current assets<br>625,460<br>Creditors: amounts falling due within one year<br>-<br>Net current assets<br>Total assets less current liabilities<br>Net assets<br>Capital and reserves<br>**Notes to the financial statements**<br>**1**<br>**Employees**<br>The average number of persons ,  including directors , employed by<br>follows:<br>Employees|**2020**<br>**£**<br>**£**<br>**£**<br>7,033<br>7,429<br>557,132<br>(249)<br>625,460<br>556,883<br>632,493<br>564,312<br>632,493<br>564,312<br>632,493<br>564,312<br>the company during the year wa s as<br>**2021**<br>**2020**<br>**Number**<br>**Number**<br>-<br>21|
|---|---|



St Peter's Childrens Centre Limited is a private company limited by shares incorporated in England and Wales. The registered office is St Peters C Of E Primary School, St Peters Avenue, Cleethorpes, Lincolnshire, United Kingdom, DN35 8LW. 

For the year ended 31 March 2021 the company was entitled to exemption from audit under section 477 of the Companies Act 2006 relating to small companies. 

The directors acknowledge their responsibilities for complying with the requirements of the Companies Act 2006 with respect to accounting records and the preparation of financial statements. 

The members have not required the company to obtain an audit of its financial statements for the year in question in accordance with section 476. 

These financial statements have been prepared in accordance with the micro-entity provisions and in accordance with FRS 105 'The Financial Reporting Standard applicable to the Micro-entities Regime' and the provisions applicable to companies subject to the small companies regime. 

- 3 - 



**Draft Financial Statements at 17 November 2021 at 16:08:21 ST PETER'S CHILDRENS CENTRE LIMITED** 

## **BALANCE SHEET (CONTINUED)** 

## _**AS AT 31 MARCH 2021**_ 

The financial statements were approved by the board of directors and authorised for issue on ......................... and are signed on its behalf by: 

.............................. 

C Lamming **Director** 

## **Company Registration Number 4332441** 

- 4 - 



## **Document Activity Report** 

## **Document Sent** 

Wed, 17 Nov 2021 16:10:02 GMT 

## **Document Activity History** 

Document history shows most recent activity first 

## **Date** 

## **Activity** 

You can verify that this is a genuine Portal document by uploading it to the following secure web page: 

**https://affinity-solutions.accountantspace.co.uk/messages/VerifyDocument** 



**Draft Financial Statements at 17 November 2021 at 16:08:21** 

**Company Registration Number 4332441 (England and Wales)** 

## **ST PETER'S CHILDRENS CENTRE LIMITED UNAUDITED FINANCIAL STATEMENTS FOR THE YEAR ENDED 31 MARCH 2021** 




**Draft Financial Statements at 17 November 2021 at 16:08:21 ST PETER'S CHILDRENS CENTRE LIMITED** 

## **COMPANY INFORMATION** 

## **Directors** 

Ms A Darnell Mr R Grayson Mr K P Lamming A Boyers C Lamming 

**Secretary** A Boyers **Company number** 4332441 **Registered office** St Peters C Of E Primary School St Peters Avenue Cleethorpes Lincolnshire United Kingdom DN35 8LW **Accountants** Affinity Solutions 66 St Peters Avenue Cleethorpes Lincolnshire United Kingdom DN35 8HP 



**Draft Financial Statements at 17 November 2021 at 16:08:21 ST PETER'S CHILDRENS CENTRE LIMITED** 

## **CONTENTS** 

||**Page**|
|---|---|
|Accountants' report|1|
|Profit and loss account|2|
|Balance sheet and notes to the financial statements|3 - 4|





**Draft Financial Statements at 17 November 2021 at 16:08:21 ST PETER'S CHILDRENS CENTRE LIMITED** 

## **REPORT TO THE DIRECTORS ON THE PREPARATION OF THE UNAUDITED STATUTORY ACCOUNTS OF ST PETER'S CHILDRENS CENTRE LIMITED** 

**Affinity Solutions Accountancy & Business Development** 

......................... 

66 St Peters Avenue Cleethorpes Lincolnshire United Kingdom DN35 8HP 

- 1 - 



**Draft Financial Statements at 17 November 2021 at 16:08:21 ST PETER'S CHILDRENS CENTRE LIMITED** 

## **PROFIT AND LOSS ACCOUNT** 

## _**FOR THE YEAR ENDED 31 MARCH 2021**_ 

||**2021**|**2020**|
|---|---|---|
||**£**|**£**|
|**Turnover**|285,736|370,575|
|Other income|68,594|8,028|
|Cost of raw materials and consumables|(2,189)|(8,076)|
|Staff costs|(249,394)|(282,811)|
|Depreciation and other amounts written off assets|(396)|(2,706)|
|Other charges|(34,170)|(24,423)|
|**Profit**|68,181|60,587|



- 2 - 



**Draft Financial Statements at 17 November 2021 at 16:08:21 ST PETER'S CHILDRENS CENTRE LIMITED** 

## **DETAILED TRADING AND PROFIT AND LOSS ACCOUNT** _**FOR THE YEAR ENDED 31 MARCH 2021**_ 

|**Turnover**<br>Fees<br>Funding<br>Fundraising<br>**Other income**<br>Coronavirus job retention scheme grant<br>Bank interest received<br>**Cost of raw materials and consumables**<br>Nursey Food<br>**Staff costs**<br>Wages and salaries<br>**Depreciation and other amounts written off assets**<br>Depreciation<br>**Other charges**<br>Consumables<br>Subcontract labour<br>Staff trainiing & welfare<br>Rent<br>Power, light and heat<br>Repairs and Renewals<br>Professional subscriptions<br>Legal and professional fees<br>Accountancy<br>Bank charges<br>Insurances<br>Postage and stationery<br>Advertising<br>Sundry expenses<br>**Profit for the year**|**2021**<br>**£**<br>**£**<br>92,013<br>193,723<br>-<br>285,736<br>67,752<br>842<br>68,594<br>2,189<br>(2,189)<br>249,394<br>(249,394)<br>396<br>(396)<br>1,296<br>1,587<br>3,250<br>10,310<br>7,185<br>5,612<br>255<br>3,107<br>300<br>(34)<br>492<br>299<br>431<br>80<br>(34,170)<br>68,181|**2020**<br>**£**<br>**£**<br>233,631<br>136,337<br>607<br>370,575<br>-<br>8,028<br>8,028<br>8,076<br>(8,076)<br>282,811<br>(282,811)<br>2,706<br>(2,706)<br>1,332<br>1,587<br>705<br>4,903<br>4,871<br>3,292<br>255<br>2,363<br>300<br>32<br>492<br>279<br>3,472<br>540<br>(24,423)<br>60,587|
|---|---|---|





**Draft Financial Statements at 17 November 2021 at 16:08:21 ST PETER'S CHILDRENS CENTRE LIMITED** 

## **BALANCE SHEET** 

## _**AS AT 31 MARCH 2021**_ 

|**2021**<br>**£**<br>Fixed assets<br>Current assets<br>625,460<br>Creditors: amounts falling due within one year<br>-<br>Net current assets<br>Total assets less current liabilities<br>Net assets<br>Capital and reserves<br>**Notes to the financial statements**<br>**1**<br>**Employees**<br>The average number of persons ,  including directors , employed by<br>follows:<br>Employees|**2020**<br>**£**<br>**£**<br>**£**<br>7,033<br>7,429<br>557,132<br>(249)<br>625,460<br>556,883<br>632,493<br>564,312<br>632,493<br>564,312<br>632,493<br>564,312<br>the company during the year wa s as<br>**2021**<br>**2020**<br>**Number**<br>**Number**<br>-<br>21|
|---|---|



St Peter's Childrens Centre Limited is a private company limited by shares incorporated in England and Wales. The registered office is St Peters C Of E Primary School, St Peters Avenue, Cleethorpes, Lincolnshire, United Kingdom, DN35 8LW. 

For the year ended 31 March 2021 the company was entitled to exemption from audit under section 477 of the Companies Act 2006 relating to small companies. 

The directors acknowledge their responsibilities for complying with the requirements of the Companies Act 2006 with respect to accounting records and the preparation of financial statements. 

The members have not required the company to obtain an audit of its financial statements for the year in question in accordance with section 476. 

These financial statements have been prepared in accordance with the micro-entity provisions and in accordance with FRS 105 'The Financial Reporting Standard applicable to the Micro-entities Regime' and the provisions applicable to companies subject to the small companies regime. 

- 3 - 



**Draft Financial Statements at 17 November 2021 at 16:08:21 ST PETER'S CHILDRENS CENTRE LIMITED** 

## **BALANCE SHEET (CONTINUED)** 

## _**AS AT 31 MARCH 2021**_ 

The financial statements were approved by the board of directors and authorised for issue on ......................... and are signed on its behalf by: 

.............................. 

C Lamming **Director** 

## **Company Registration Number 4332441** 

- 4 - 



## **Document Activity Report** 

## **Document Sent** 

Wed, 17 Nov 2021 16:10:02 GMT 

## **Document Activity History** 

Document history shows most recent activity first 

## **Date** 

## **Activity** 

You can verify that this is a genuine Portal document by uploading it to the following secure web page: 

**https://affinity-solutions.accountantspace.co.uk/messages/VerifyDocument** 

