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2024-08-31-accounts

SPROWSTON NUSERY PLAYGROUP

REPORT OF THE COMMITTEE OF TRUSTEES FOR THE YEAR ENDED 31AUGUST 2024

The committee presents their annual report and the financial statements for the year ended 31August 2024 .

Status

Sprowston Nursey Playgroup is a registered charity (no. 1107494) established by a constitution document dated 09 November 2004 as amended 11 November 2014.

The accounts are compliant with current statutory requirements in accordance with the constitution document.

Principal Activities

The principal activity of the trust is that of a nursery school. This is achieved by fees paid for attendance together with fund raising, grants and donations.

Review of Development, Activities and Achievements made during the Year

The committee believes the trust's affairs to be satisfactory.

The finance of the trust remains secure with funds being held in bank accounts of £89,891.

Reserves Policy

The financial security of the nursery and playgroup is dependent on the number of children moving into the locality and upon the birth rates. We need reserves to keep services running in times of lower children numbers attending. We would like to maintain the current reserve levels which roughly equate to six months expenditure.

Julie Chettleburgh

Chair

Sprowston Nursery Playgroup

Financial Activities Comparison

September 2023 - August 2024

TOTAL
SEP 2023 - AUG 2024 SEP 2022 - AUG 2023 (PY)
Income
Charitable activites 0.00 100.00
Child Uniform 1.82 42.62
Christmas Fayre Income 2023 1,035.00 0.00
Donations and legacies 920.00 10,001.00
Fund Raising Income 641.50 479.33
Government Funding 100,957.78 76,286.01
Parent Fees (Sales) 6,253.00 10,476.70
SEND Funding 26,362.22 16,044.38
Shed Fundraising 0.00 63.60
Total Income £136,171.32 £113,493.64
Cost of Sales
Child Uniform Purchases 189.70 0.00
Consumables 418.98 422.04
Equipment and Toys 1,611.66 939.79
Refreshments (Food and Drink) 218.94 263.43
Total Cost of Sales £2,439.28 £1,625.26
TOTAL £133,732.04 £111,868.38
Expenditures
Accountancy 1,038.60 1,007.60
Advertising/Promotional 0.00 0.00
Website 225.00 345.00
Total Advertising/Promotional 225.00 345.00
Bank Charges 239.08 216.87
Child Welfare 0.00 112.00
Childrens Christmas Party Expenses 22.50 0.00
Christmas Fayre Expenses 96.57 0.00
Cleaning 333.74 291.09
Dues and Subscriptions 476.73 428.78
Fundraising Expenses 151.24 184.90
Insurances 1,309.74 1,249.18
Other Professional Services 379.95 1,610.15
Payroll Expenses 98,906.51 84,010.54
Cost of Labour 0.00 150.00
DBS checks 0.00 62.00
Employer Pension Expense 789.28 542.35
Staff Training 705.00 530.84
Staff Uniform 501.22 165.77
Staff Welfare 50.00 42.00
Total Payroll Expenses 100,952.01 85,503.50
Printing, Postage and Stationery 122.45 382.08
Rent or Lease of Buildings 11,818.00 10,000.00

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Accrual Basis Wednesday 4 June 2025 01:06 pm GMT+01:00

Sprowston Nursery Playgroup

Financial Activities Comparison

September 2023 - August 2024

TOTAL
SEP 2023 - AUG 2024 SEP 2022 - AUG 2023 (PY)
Repair and maintenance 379.40 732.42
Health & Safety 214.08 247.74
Total Repair and maintenance 593.48 980.16
Telephone / Internet 884.19 953.55
Total Expenditures £118,643.28 £103,264.86
NET OPERATING INCOME £15,088.76 £8,603.52
Other Income
Interest Income 685.64 196.17
Total Other Income £685.64 £196.17
Other Expenditures
Depreciation Expense 589.18 453.85
Total Other Expenditures £589.18 £453.85
NET OTHER INCOME £96.46 £ -257.68
NET INCOME/(EXPENDITURE) £15,185.22 £8,345.84

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Accrual Basis Wednesday 4 June 2025 01:06 pm GMT+01:00

Sprowston Nursery Playgroup

Balance Sheet Comparison

As of August 31, 2024

TOTAL
AS OF AUG 31, 2024 AS OF AUG 31, 2023 (PY)
Fixed Asset
Tangible assets
Fixtures and Fittings Cost 5,363.00 3,663.00
Fixtures and Fittings Depreciation -1,024.97 -542.97
Office Equipment Cost 428.71 428.71
Office Equipment Depreciation -214.36 -107.18
Total Tangible assets £4,552.38 £3,441.56
Total Fixed Asset £4,552.38 £3,441.56
Cash at bank and in hand
Current Account 33451151 40,409.73 26,201.31
Petty Cash (£100.00) 22.90 1.91
Savers 70412546 49,841.04 50,243.94
Total Cash at bank and in hand £90,273.67 £76,447.16
NET CURRENT ASSETS £90,273.67 £76,447.16
Creditors: amounts falling due within one year
Current Liabilities
Accruals 240.00 240.00
HMRC 2023-24 (deleted) 0.00 90.82
HMRC 2024-25 432.34 0.00
NEST 11.29 442.70
Parent payment on account (Deposits) 1,160.00 1,393.00
Wages Control Account 0.00 -75.00
Total Current Liabilities £1,843.63 £2,091.52
Total Creditors: amounts falling due within one year £1,843.63 £2,091.52
NET CURRENT ASSETS (LIABILITIES) £88,430.04 £74,355.64
TOTAL ASSETS LESS CURRENT LIABILITIES £92,982.42 £77,797.20
TOTAL NET ASSETS (LIABILITIES) £92,982.42 £77,797.20
Charity funds
Opening Balance Equity 0.00 0.00
Retained Earnings 77,797.20 69,451.36
Surplus/(Deficit) 15,185.22 8,345.84
Total Charity funds £92,982.42 £77,797.20

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Accrual Basis Wednesday 4 June 2025 01:06 pm GMT+01:00

The accounts for Sprowston Nursery Playgroup were inspected by Sarah Heffer Accountancy Ltd and found to be in order.

Sarah Heffer Accountancy Ltd 2025