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2020-08-31-accounts
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Page |
| Trustees' |
annual report (incorporating |
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the |
director's report) |
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Independent examiner's report |
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to the |
trustees |
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10 |
| Statement |
offinancial activities |
(including |
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income and expenditure |
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| account) |
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12 |
| Statement |
offinancial position |
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13 |
| Notes to the financial statements |
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15 |
| Reference |
and administrative |
and administrative |
and administrative |
and administrative |
details |
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| Registered |
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charity |
name |
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Haverigg |
Nursery |
&The Clubbers |
| Charity registration |
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number |
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1102834 |
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| Company |
registration |
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number |
4860522 |
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| Principal office and |
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registered |
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Lighthouse |
Centre |
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| office |
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Atkinson Street |
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Haverigg |
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Millom |
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Cumbria |
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LA18 4HA |
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| The trustees |
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T Procter |
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A Craghill |
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P Chesher |
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D Lampitt |
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| Independent |
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examiner |
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lan Scott BA(hons), FCA,DChA Saint &Co. |
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12/13 Church Street |
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Whitehaven |
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Cumbria |
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CA28 7AY |
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2020 |
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2019 |
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Unrestricted |
Restricted |
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funds |
funds |
Total funds |
Totalfunds |
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Note |
E |
E |
f |
E |
| Income and endowments |
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| Donations |
and legacies |
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|
5 |
22,521 |
|
22,521 |
1,915 |
| Charitable |
activities |
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|
6 |
164,535 |
|
164,535 |
175,918 |
| Investment |
income |
|
|
7 |
327 |
|
327 |
487 |
| Total income |
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187,383 |
|
187,383 |
178,320 |
| Expenditure |
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| Expenditure |
on charitable |
|
activities |
8,9 |
204,042 |
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204,042 |
175,027 |
| Total expenditure |
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204,042 |
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204,042 |
175,027 |
| Net (expenditure)/income |
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and net |
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| movement |
in funds |
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(16,659) |
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(16,659) |
3,293 |
Reconciliation offunds |
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| Total funds |
brought |
forward |
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163,390 |
3,746 |
167,136 |
163,843 |
| Total funds |
carried |
forward |
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|
146,731 |
3,746 |
150,477 |
167,136 |
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Unrestricted |
Total |
Funds |
Unrestricted |
Total |
Funds |
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|
Funds |
|
2020 |
Funds |
|
2019 |
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E |
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E |
E |
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E |
| Donations |
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| Donations |
and |
grants |
1,500 |
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1,500 |
1,915 |
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1,915 |
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Unrestricted |
Total |
Funds |
Unrestricted |
Total |
Funds |
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Funds |
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2020 |
Funds |
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2019 |
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E |
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E |
E |
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E |
| Grants |
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| Council |
Discretionary |
Grants |
& |
JRS |
21,021 |
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21,021 |
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22,521 |
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22,521 |
1,915 |
|
1,915 |
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Unrestricted |
Total Funds |
Unrestricted |
Total Funds |
|
Funds |
2020 |
Funds |
2019 |
|
E |
E |
E |
E |
| Pre-school fees |
163,480 |
163,480 |
175,229 |
175,229 |
| Refreshments |
1,055 |
1,055 |
209 |
209 |
| Bus |
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|
480 |
480 |
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164,535 |
164,535 |
175,918 |
175,918 |
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Unrestricted |
Total |
Funds |
Unrestricted |
Total |
Funds |
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|
Funds |
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2020 |
Funds |
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2019 |
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E |
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E |
E |
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E |
| Bank |
interest |
receivable |
327 |
|
327 |
487 |
|
487 |
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Unrestricted |
Total Funds |
Unrestricted |
Total Funds |
|
Funds |
2020 |
Funds |
2019 |
|
E |
E |
E |
E |
| Pre-school |
202,793 |
202,793 |
173,851 |
173,851 |
| Support costs |
1,249 |
1,249 |
1,176 |
1,176 |
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204,042 |
204,042 |
175,027 |
175,027 |
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Activities |
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undertaken |
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Total funds |
Total fund |
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directly |
Support |
costs |
2020 |
2019 |
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|
f |
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f |
f |
f |
| Pre-school |
|
202,793 |
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202,793 |
173,851 |
| Governance |
costs |
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1,249 |
1,249 |
1,176 |
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202,793 |
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1,249 |
204,042 |
175,027 |
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Net (expenditure)/income |
Net (expenditure)/income |
is stated after charging/(crediting): |
is stated after charging/(crediting): |
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2020 |
2019 |
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f |
f |
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Depreciation |
oftangible |
fixed assets |
|
2,013 |
2,368 |
| 11. |
Independent |
examination |
fees |
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2020 |
2019 |
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f |
f |
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Fees payable |
to the independent |
|
examiner for: |
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Independent |
examination |
ofthe financial statements |
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1,029 |
959 |
| 12. |
Staff costs |
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The total staff costs and employee |
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benefits for the reporting |
period are analysed |
as follows: |
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2020 |
2019 |
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f |
f |
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171,901 |
144,658 |
| The average |
head count of employees during the year was |
17(2019:14).The average |
number |
| offull-time |
equivalent employees during the year is analysed |
as follows: |
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| offull-ti |
me |
equivalent e |
mplo |
yees during th |
e year is analysed |
as follows: |
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2020 |
2019 |
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No. |
No. |
| Number |
of |
direct charitable |
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staff |
|
13 |
11 |
| Number |
of |
management |
and |
administration |
staff |
4 |
3 |
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17 |
14 |
| 14. |
Tangible fixe |
d asse |
ts |
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Fixtures and |
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fittings |
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f |
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Cost |
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At 1September 2019 |
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and 31August 2020 |
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38,489 |
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Depreciation |
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At 1September 2019 |
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25,083 |
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Charge for the year |
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2,013 |
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At 31August |
2020 |
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27,096 |
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Carrying amount |
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At 31August |
2020 |
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11,393 |
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At 31August |
2019 |
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13,406 |
| 15. |
Debtors |
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2020 |
2019 |
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f |
f |
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Trade debtors |
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4,003 |
4,659 |
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Prepayments |
and accrued income |
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7,186 |
1,834 |
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11,189 |
6,493 |
| 16. |
Creditors: amounts |
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falling due within one year |
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2020 |
2019 |
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f |
f |
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Trade creditors |
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2,745 |
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Accruals and |
deferred |
|
income |
1,680 |
830 |
|
Social security |
and |
other taxes |
|
6,031 |
893 |
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7,711 |
4,468 |
| Analysis ofc |
Analysis ofc |
Analysis ofc |
haritable funds |
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| Unrestricted |
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|
funds |
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At |
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At |
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1September |
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31August |
20 |
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2019 |
Income |
Expenditure |
|
20 |
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|
E |
f |
E |
f |
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| General |
Income Funds |
|
|
147,434 |
187,383 |
(204,042) |
130,775 |
|
| Capital |
Fund |
|
|
15,956 |
|
|
15,956 |
|
|
|
|
|
163,390 |
187,383 |
(204,042) |
146,731 |
|
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At |
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At |
|
|
|
|
1September |
|
|
31August |
20 |
|
|
|
|
2018 |
Income |
Expenditure |
|
19 |
|
|
|
|
f |
E |
E |
E |
|
| General |
Income Funds |
|
|
144,141 |
178,320 |
(175,027) |
147,434 |
|
| Capital |
Fund |
|
|
15,956 |
|
|
15,956 |
|
|
|
|
|
160,097 |
178,320 |
(175,027) |
163,390 |
|
| Restricted |
|
funds |
|
|
|
|
|
|
|
|
|
|
At |
|
|
|
At |
|
|
|
|
1September |
|
|
31August |
20 |
|
|
|
|
2019 |
Income |
Expenditure |
|
20 |
|
|
|
|
f |
f |
E |
f |
|
| Restricted |
|
Fund |
|
3,746 |
|
|
3,746 |
|
|
|
|
|
At |
|
|
|
At |
|
|
|
|
1September |
|
|
31August |
20 |
|
|
|
|
2018 |
Income |
Expenditure |
|
19 |
|
|
|
|
f |
f |
f |
E |
|
| Restricted |
|
Fund |
|
3,746 |
|
|
3,746 |
|
|
|
Unrestricted |
Restricted |
Total Funds |
|
|
Funds |
Funds |
2020 |
|
|
F. |
6 |
6 |
| Tangible |
fixed assets |
11,393 |
|
11,393 |
| Current |
assets |
143,049 |
3,746 |
146,795 |
| Creditors |
less than 1year |
(7,711) |
|
(7,711) |
| Net assets |
|
146,731 |
3,746 |
150,477 |
|
|
Unrestricted |
Restricted |
Total Funds |
|
|
Funds |
Funds |
2019 |
|
|
f |
6 |
f |
| Tangible |
fixed assets |
13,406 |
|
13,406 |
| Current |
assets |
154,452 |
3,746 |
158,198 |
| Creditors |
less than 1year |
(4,468) |
|
(4,468) |
| Net assets |
|
163,390 |
3,746 |
167,136 |