Cornpany registration number.. 05769390
Charity registration number.. 1116891
SHADWELL CHILDCARE LIMITED
TRUSTEES. REPORT AND
UNAUDITED FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 AUGUST 2025
Flrsr Floor, Ernbsay Mlll
Embsay
Skipton
North Yorkshlre
BD23 6Q

Shadwell Chlldcare Limited
Contents
Pag¢
Tru5tees' Report
1-4
Independent Examinees Report
Statement of Financlal Activitie5 lincludlng Incorne and Expenditure Accounti
Balance Sheet
Ststement of Cash Flow5
Notes to the Ststement of Cash Flows
Notes to the Financlal Ststsments
10-13
The following pèges do not forni part of the statutory occounts..
Detailed Statement of Financial Actlvitie5 (including Income and Expendlture Account)
14-15

Shadwell Chlldcare Llmlted
Company No. 05769390
Trustees. Report For The Year Ended 31 August 2025
The trustees present thelr report and the financlal statements for the year ended 31 August 2025.
ObJ•ctlv•B and ActI￿tI*•
Alms and ObJ¢rtlv••
To enhance the development and educatlon of chlldren up to the age of 11 by provlding appropr4aie play,educatlon and care
facilltles en$urlng that opportunltles ore offere¢ to all chlldren whatever thelr race, culture, rellglon, means or ablllty.
Publlc Ben•flt
Our actlvitles to further publlc benefit include looklng after the educatlon and well.being of chlldren up to the age of 11
re9ardless of gender, race, rellglon or flnanclal mean5.
The trustees confirm that they have complled wlth the requirements of Sectlon 17 of the Charltle$ Act 2011 to have due
regard to the Charlty C¢mmls$lon's guidance on publlc ben•fit.
A¢hl•v•rn•nt• •nd P•rform•n
M•ln A¢hl•v•m•nts
Buslness mètters..
Numbers In our Bluebell preschool room have been lower than in prevlous years, wlth 2-3 pljces avallable each day. Thls Is
due In part to a lower blrth rate locally and natlonally but we hove also been affecteé by the Governrn•nt drlve to
encourage prlmary schools to open thelr own provlslon. A number of new settlng5 have opened locally In the last two
years.
The Government pollcy to encournge bll govemlnq bod*$ of prlmary schools to prgvlde breakfast clutss has also had an
Impact on our business. Followlng dlscusslons wlth Shadwell Prlmary School, our breakfast club and aftér-school care are
now only avallable to children In nursery and receptlon. Children Irom Year I to Year 6 attend the school'5 provlslon. Thls
has had some lrnpoct on our numbers but has been succe55ful In the sense that our EYFS l Foundatlon chlldren are
reeeivlng tallored care whlch Is approprlate to thelr age range. Sesslons are full except on Frldays, whlch are low acr05S th•
sector and Ilkely t? be Ilnked to parent work potterns / flexl-worklng I worklng from horne whl¢h Is Increaslngly comrnon
natlonally.
Thls has been offset wlth staff tèklng matemlty leave Jnd nol belng replaced.
The parents, forum and parent evenlngs were well attended199% of famllles at parents evenlng) and feedback Irom
parents and carers Is that the events were beneflclal and a success.
Susan Morgan retlred In March 2025, havlng served as a trustee lor twelve yejrs. We are enorrnously grateful to Sue for
her commltment. expertlse and sa9e advlce over those years and we wlsh her J very happy retlrement. CornrnunScatlon
requestin9 ai lea$t one new trustee, Ideally J setvlce user wlth buslness and f1nttn￿ or HR e¥perlence, was shared with
parents.
Addltlonal Not•
SENO..
We have several chlldren now 5UPPOrted wlth pdvate S&LT sesslons, commlssloned ènd funded by Shadwell Chlldcare. Thls
has been revlewed by the Trustees and is a welcome additlon to our provlslon. Famllles and chlldren have benefited
immensely and staff have been $upwrted In provldln9 one to one and smoll group 5essbns. Child￿n a¢¢¢ssing the sesslons
make good progres5.
staff..
A nurnber of staff have been away or returned from maternlty leave thi5 year. A staffing restructure took place io ensure
5enlor leèder (Dver wa$ In place for all sesslons. The £hange5 have provlée¢* Internal pr¢gres$lon and CPO opportunltles fcr
current staff whlch Is well supported by employees and the manager,
TraSning'.
TraSnlng has been taklng place 5peclflcally orouad change5 to the Welfa￿ stani1ards In the statutory EYFS framework and
new Ofsted Inspectlon framework.
..Co￿￿NuED
Page I

Shadwell Childcare Limited
Trustees, Report {continued)
For The Year Ended 31 August 2025
Addlt5onal Note- cont5nued
Trustee Sarah Coltman came to s￿e to rev1ew lunchtime prartice5 and safeguarding around the new safer eating
requirements. The polles and procedures In place meet the new criterfa and the trustees are confident that good prath￿ 55
in place.
Trustee Valerle Wilson vislted the Setting to revlew the SEND and S&LT sessions and review pollces. She observed a S&LT
session ond a small group 5es5ion then Spent time with the SENCO to review processes and interventlon5. All process are
well ernbedded and 5UPPOrtive of staff and children.
Trustee Carolyn Eyre came to review the safeguarding changes with all staff and held 8 trèinlng session for the te6m In
March.
Staff have renewed their PaediaMc First Aid, H&S and food hygiene certiflcate5 os needed.
Two staff We￿ registered for the Maths Champion trainlng programme.
Our SENCO has signed up for a Level 3 quallflcation.
Flnandal Revlew
Fln•ncial Posltltsn
Update..
The leases on both Bluebell and Sunflower rooms are ntsw out of contract. Unfortunatelyi It has continued to be very difficult
to contact the relevant Feople within Leeds Clty Councll ILCCI and, despite a case worker belng all￿ated and the
involvement of the Local Authority Earfy Years service, there has been no progress. Sh6dwell P￿rnary School governors
have confimied to LCC that they wish to renew the lease with Shadwell Childcare Ltd. We will continue to pre55 LCC estste5
team for a response.
with no lease In place, LCC hès not been charging Shadwell Chlldcare Ltd any rent. We are placing the accrued rent in the
contingency account each quarter to ensure that the monles are avallable when a new lease is agreerj and LCC systems are
re501ved. We are conscious that the rent has not been revlewed or increased for a number of years and we anticlpate that
there will be a significant rise when a new lease is offered. The Trustee5 have increased the balance of the contingency fund
In preporation for thls.
Since April 2024 all eligSble 2 year olds have been entFtted to ￿ceIve up to the equivalent of 15 funded hours per week in
term time. M05t chlldren 185%) In the setting are eligible to re￿1ve thls funding. There have been concern5 reported atr055
the sector and in the national media regarding the gap between funding and actual cost., In effect, nurseries and chlldcare
providers lose money for each funded plate and there are restrictions on the extra services rhat can b& recharged. As a
charity, the Tru5tee5 of Shadwell Childcare continue to believe that the shortfall is manageable although we recognise that
private bu9ines5es are struggling and, locally. a number of Settings have closed. Despiie this, Shadwell Childcare has
facllitated the Government offer of 30 hours to all age groups in Septetnber 2025.
Staff received a wage increase of apprgxirnately 5% In April 2026. In addition. National Insurano and other business costs
rose significantly thls year. This Is an estlmated Increase of 16k and wlll be covered by an Increase in se5slon p￿te5 from
May 2026.
A5 3 result of the Govemment fvnding gapi the ￿se in ernployer costs and uncertainty about a rent rfse, we have taken a
coutIOU5 approach to budgeting thi5 year whlle endeavouThng to mainialn our comrllitmenl to stsff developrnent and the
children's enjoyment.
Additional Not•
BuIld￿n9$..
A health and safety check was condurted on outside play equipment and wo5 approved.
81uebell room ha5 been decorated and the new furniture and layout 15 working well
The staff POD which was installed In Sept 24 ho5 been a success, providlng a place for staff to have bwks, have PPA time
and for prlvate meetings with parents.
Page 2

Shadwell Childcare Llmlted
Trustees. Report (contlnued)
For The Year Ended 31 August 2025
R•f•rnnce and Admlnlstr•ti¥e D•talls
Trustees
Mr5 Sarah Coltman
Mrs Carolyn Eyre
Mrs Valerie Wilson
Mr Yogesh Dhir (appoint￿ 16103120261
Mrs Susan Morgan (resigned 2210412025)
Charlty Number
1116891
Company Number
05769390
R4gl*t•red Office
Shadwell Pdmary School, Moln street
Shadwell
Leeds
West Yorkshire
LS17 8JF
Independent Examln•r
Graham Anthony Elllott Chartered Certifled Accountant
Crag & Co
Chartered Accountsnts & Chartered Tax Advlsers
First Floor, Embsay Mlll
Emb5ay
Sklpton
North Yorkshire
BD23 6QR
Page 3

Shadwell Childcare Limited
Trustees, Report (continued)
For The Year Ended 31 August 2025
Srn•ll Company Rul••
This report has been prepared In accor#ance with the speclal provisions relatlng to companles subject to the small companles
reglme wlthln Part 15 of the Companles Act 2006.
The trustees, report Wa5 approved by the board of trustees and 51gned on Its behalf bv..
2028, 11..45pmi
Trustee
1410512026
Page 4

Shadwell Childcare Llmited
Independent Examlner's Report to the Trustees of Shadwell Childcare Llmited
For The Year Ended 31 August 2025
I report to the cha￿ty trustee5 on my examlnation of the accounts or the Company lor the year ended 31 August 2025.
R￿Pon11b11ltlety and B••l• ol Report
As thÈ charity trustees of the Company land also Its dlrectors for the purposes of company lawl* you are responsible for the
preparatlon of the atcounts in accordance wlth the requlrements of the Companles Act 2006 rthe 2006 Actl.
Havlng satisfied myself that the accounts of the Company are not required to be audlted under Part 16 of the 2006 Act and
are eligible for independent e%amlnatlon, I report In respect of my exarninatlon of your charity's accounts 8$ carned out under
Section 145 of the Charltle5 Att 2011 1.the 2011 Act'l. In carrylng out my examlnatlon I have followed the Dlrections givett by
the Charity Commlsslon under section 145151 Ibl of the 2011 Ad.
Ind¢p•nd•nt Ex*mIn•￿9 Stst¢m•nt
Since the Company's gross Income exceeded £250,000 ytsur examlner must be a member ot ) body Ilsted In sectlon 145 of
the 2011 Act. I conflrm that I am qualified to undertake the examinatlon because I am a member ol The Institute of
Chartered Accountants in England and Wales, whlch 15 one of the Ilsted bodles.
I hove Completed my examlnjtlon. I conflrm that no mott•rs h)ve corne to my attentlon In connertlon wlth the examlnatlon
glvlng me couse to bélleve..
1, accountlng records were not kept In re$pect of the Company a5 requlred tsy sectlon 386 01 the 2006 Act,. or
2. the èccounts do not accord wlth those records.. or
3. the accounts do not comply wlth the accountlng requlrements of sectlon 396 of the 2006 Act other than any
requirernent that the accounts glve a 'true and lalr vlew, whlch Is not a matter consldered as yrt of an Independtnt
examlnatlon., or
4. the account$ have not been p￿pared In accordance with the methods and p￿nCIPleS of the Statement of
Recommended Practlce lor accountlng and reportlng by charities applicable to charltle5 preparlng thelr actounts In
Jccordanco wlth the Flnanclèl R•portlng Stjndard applicable In the UK and Republlc of Ireland IFRS 1021.
I have no concem5 and have come acr055 no other matters In connectlon wlth the examlnatlon to whlch attentlon should be
drawn In thls report In order to enable a proper understandlno of the accounts to be reached.
lItto￿.15*mIered Certlfied Accountsnt
1410512026
Flrst Floor, Embsay Mlll
Ernbsay
Skipton
North Yorkshlre
BD23 6QR
Pa9e 5

Shadwell Childcare Llmlted
Statement of Flnanclal Activities (Including Income and Expenditure Account)
For The Year Ended 31 August 2025
2025
2024
Unr•strSct•d Unrestrl¢tod
funds
fund5
Not••
INCOME AND ENDOWMENTS FROM:
Charltable activitle5'.
Pre-primary educauon
Investments
Other
743,935
2,508
121
635,560
2,350
136
746,566
638,046
EXPENDITURE ON:
Charltable 8ctlvltle5'.
Pre-primary edUca￿on
NEf INCOME
1588,0171
1607,1391
30,907
158,549
Nrf hlOVEMeNT 114 FUNI>S
RECONCIUATION OF FUNDS:
Total funds brought forward
158.549
30,907
263,153
232,246
TOTAL FUNDS CARRZED FORWARD
14
421,702
263,153
The notes on pbges 9 to 13 fom part of thege flnanclal gtetements.
P8ge 6

Shadwell Chlldcare Llmlted
Balance Sheet
As At 31 August 2025
2025
2024
Unrestrieted
funds
Totsl
funds
Notes
FIXED ASSETS
Tangible Assets
io
12.453
13.484
12,453
13.484
CURRENT ASSETS
Debtors
Cash at bank and In hand
3.053
439,383
955
283.486
442.436
284.441
cr￿ltOrs. Amounts Falllng Due Wlthln One Year
12
133.1871 134.7721
NET CURRENT ASSETS (UABILMES)
409,249
249,669
TOTAL ASSEfs LESS CURRENT LIABILITIES
421,702
263,153
421,702
263.153
FUNDS OF THE CHARITY
Llnrestricted Funds
421,702
263,153
TOTAL FUNDS
14
421.702
263,153
For the year endlng 31 August 2025 the charitable company was ell￿tled to exemptlon from audit under sertlon 477 of the
Companies Act 2006 relatlng to small companies.
The members have not requI￿d the company to obtain an audlt in accordance wlth sectlon 476 of the Companie5 Act 2006.
The trustees acknowledge their reswnsibilitie5 for cotnplying wlth the requirements of the Ad wlth respect to accounting
records and the preparation of accounts.
These account5 have been prÈpared In accordance wlth the provisK)ns èppllcable to companles subject to the 5rnall companles
regime.
On behalf of the board
pA¥%, w26 11 43wnl
Trustee
1410512026
The note5 on pages 9 to 13 forni part of these financiol statements.
Page 7

Shadwell Chlldcare Llmlted
statement of Cash Flows
For The Year Ended 31 August 2025
2025
2024
Nots
C•¥h Ilow• from op•r*Ung •ctlvltl
Net cash generated frorH operatlons
Interest pald
160,416
11141
79,297
11151
Net cash generated from operating a¢tlvStItt5
C•Ah flows from Inve•tlng •Ctlvltl
Purchase of tsnglble assets
Interest recelved
160,302
79,182
16,9131
2,508
{19,942}
2,350
Net cash used In Investlng actlvltles
14.4051
117,5921
Increase In cash and c8sh equlvalents
Cash and cash equlvalent5 at beglnnlng of yejr
Cash and cash équlvalents at end of year
155.897
283.486
61,590
221,896
439,383
283,486

Shadwell Childcore Limlted
Notes to the Statement of Cash Flows
For The Year Ended 31 August 2025
RetonciliatioN ot Income to ca¥h generat￿ from oper•tlons
2025
2024
Net Sncome
158,549
30,907
Adjustments for..
Interest expense
Interest Incorne
Depreciation of tsngible assets
Movements An worklng capitol..
Increase in trade and other debtors
IDecrease)lincrease in trade and other creditors
Net cash 9enerated from operotions
114
115
{2.3501
30,615
{2,5081
7,944
12,0981
11,5851
160,416
12401
20,250
79.297
2. Cash and cash equt¥alents
Cash and cash equivalents, as ststed In the Statement of Cash Hows, relates to the following items Sn the 8alance Sheet..
2025
2024
Cash at bank and In hand
439,383
283,486
3. Analysis of changes In net fund8
Asatl
S¢ptrmbèr
2024
Cash flows
Asat31
August 2025
Cash at bank and in hand
283.486
155,897
439.383
Page 9

Shadwell Ch(pd_
Limited
Notes to the Fin2r,Vs?I Statements
For The Year Ended -
. 4uyust 2025
l. G•neral Enfomi•tlon
ShaL1well Childcare Umited 15 a company limited tiy guaranteo. ir.-?rpoTrL4d in England & Wales, registered number 05769390
and registered charity number 1116891. The ￿gIstered oftlc- .'* Sn2?I4ell Prirnary School, Main street, Shadwell, Leeds. West
Yorkshire, LS17 8JF.
2. Accounting PollcSe¥
2.1. Basls of Pr•paTatlgn of Flnan¢l•l Statem8nL¢
The financial statements have been prepa￿￿ in accorc.*-c- w',t:" the Charities SORP IFRS 1021 'Accounting and
Reporting by Charitles.. Ststement of Recomrnende.d P7iryce a￿￿liCable to charities pTrparing their accounts i
aCCDrdance wSth the Financlal Reporting Standard applictole
January 20191. Financial Reporting Stsndard 102 'Th.:
he UK and Republic of Ireland IFRS 1021 (effective I
of Ireland. and the Compaaies Act 2006.
a￿-12￿ Report4ing Standard applicable in the UK and Republic
The charltable cornpany is a Publlc Benef￿ Entity as de.lyr e6 by FRS 102.
2.2. Incomlny Resourc
All Incoming resovrces are Included In the Staternent C", rij
to the Income. Income consists of fees receivable .gr c411
.1 Attlvltle5 150FAI when the chority is legally entitled
ar• ￿ltI￿er by way of council funding, childcare vouchers or
private individuals and is included in full in the SOFA whA* ,.£ceived. Investment income by way of bank Interest on
cash deposits Is Included when receivable.
2.3. Resotsrr•s Expend¢d
All resources expended are recognised once there is a lÈgal or constrtsttive obligatlon to that expendlture, it is
probable settlement is ryuSred and the amoyni can be measbred rellably. All costs are allocated to the applitable
expenditure headlng that aggregate similar ccsts to that category. Where costs cannot be d1￿CtlY attributed to
partlcular headings they have been allocated on a basis corsistent with the use of resources, with central staff costs
allocated on the basis of time Spent and depreclatlon Charges 211ocated on the portion of the assets use. Other support
costs are allocated based on the spread of stsff costs.
2.4. Tanglbl* Fixed Assets and DeprÈ¢lotion
Tangible flxed assets are measured at cost less accuM￿,1a￿￿ étipreciatlon ané any accumulated impairment losses.
Depreciatlon Is provided at rates calculated to write off the Trst of the fixed assets, les$ thelr estimated residual value,
over their expected useful Ilves Dn the followlng bases..
LeaseholL1
Ixtures & ￿ttIng$
20V/o s*aight line
25% reéJclng balance
2.5. Cash and Cash Equlval•nts
Cash an¢ cash equivalents are basic financial assÈts and rr,=l.ude cash in hand and deposits held at call with banks,
other short-terrll highly liquid investments that ma%ure 4n mo.-e than three rnonths frorH the date Of acquisition and
are readily convertible io a known amount of cash with in5ignif1cant risk of change In value, and bank overdrafts.
2.6. Pension5
The cha￿tats1e CQFnpany operates a defined pension Ibvtlon scheme. Contrfbutlons are charged to the Statement
of Financial Activltles as they becorne payable in accorLlar.ce wlth the rules of the scheme.
3. Investment Incom•
2025
2024
Unrestrlcted Unrestrirted
funds
fundg
8ank Interest recelvable
2.508
2.350
Pagp 10

Shadwell Chlldcare Limited
Notes to the Clnarbcia5 Statements (contlnued)
For The 'l¢ar Ended 31 August 2025
4. Oth•r Incom•
2025
2024
Unr•BtrSct•d Unr••trlrt•d
funds
Commisslon received
121
136
S, N•t In¢omel(Exp•ndltur•)
The net Income is state¢ after charglngllcredltlng1-
2025
1024
Depredatlon ol tsnglble flxed assets . owned
7.944
30,615
6. Analy•l• of Exp•ndltur•
2025
Actlvltl••
und•rt•k•n
dlr•ctly
Support
(see note 7}
Tot•1
Pre-prtrnry edutatlon
583,007
5,OLO
588,017
2024
ActlvStle•
und•rt•k•A
dlr•¢tlv
Support
¢••t•
lsee note 7)
Tot•1
pre-P￿rn¥ry educatlon
5¢46,620
10,519
607,139
7, Support Co•ts
2025
Pr•-prlm•ry
edutatlon
Employee costs
General adrnin15tration
1,979
3,031
S,OLO
2024
Pr•-prfm•ry
educatlon
Employee costs
G&neral admlnlstratlon
2,437
8,082
10,519
Page 11

Shadwell ChilO-??..
Llmlted.
Notes to the Financlal i L-cmenK's (continued)
For The Year kndefj 3.k ,Ii*gu5t 2025
8. Staff Costs
Staff costs were as follows..
2025
2024
Wage5 and salarles
other pension costs
400,468
22,382
397,404
27,153
422,850
424,557
No employees ￿ceiVed employee benents (excluding eryploy:I" nrJnsioii c¢stsl fDr the reporting perlod of Fnore than £60,000.
9. Av¢rJge Numb*r of Employees
AveTrge number Df employees durlng the year was.. 20 12024.. 2ry!
LO. Tangible Ass*ts
Land &
PmpÈrty
L•a8ehold
Fixtures &
Flttings
Total
Cojt
As at I September 2024
Addltlons
154.711
3.793
30,232
3,120
184,943
6,913
èt 31 August 2025
158.504
33.352
191,856
D•preciatSon
As at I September 2024
Provided durfng the pertod
154,710
3,793
16,749
4,151
171,459
7,944
is at 31 August 2025
158,503
20.900
179,403
Net Book Value
As at 31 August 2025
12,452
12,453
t I September 2024
13,483
13,484
11. D•btors
2025
2024
Duo wlthln one year
other debtors
3,053
955
12. Cradltors: Amounts F•lllng Due Withln Ono Year
2025
1014
Other creditors
Taxation and soclal secU￿ty
Accruals and deferred Income
24,438
6,248
2,501
26,357
5,915
2,500
33,187
34,772

Shadwell Childciire Llmlted
Notes to the Financlal Statements (contlnued)
For The Year Ended 31 August 2025
13. P•nBlon Commltm•nts
The charitsble company operate5 a deflned contrlbutyon p*n5ion s¢neme. The assets of the seheme are held separately from
those of the eharltable company in an independently admlnistered fund.
Durlng the year the charge to the ststement of flnanclal actlvitles In respect of defined contribution schemes was £22,382
12024.. £27,153).
At the balance sheet date contrtbutlon$ of ENIL were due to the fund and are Included In creL1Itors.
14. Mo¥•ment In Fund•
A••ti
S•pt¥mb•r
2024
A¥at31
Exp•ndltur• Augurt 2025
Incorn•
Unr••trlct•d fund•
General..
General un￿trlrted lund
263,153
746,566
1588,017)
421,702
Total fund#
263.153
746,566
158B,0171
421,702
Aiatl
S•pt•mb¢r
2023
A••t31
Exp•ndStur• Au9U¥t 2024
Xncom•
UnM•trlrt•d fund•
General..
General unre5trlrted fund
232,246
638,046
1607,1391
263,153
Tot•1 fund•
232.246
638,046
1607,1391
263,153
15. Tr•n••rtlon• wlth Tru*t•
None ol the trustees recelved any remuner¥tlon or ony oth•r beneflts Irom on employment wlth th• charlty or a related entlty
durlng the current or prevlou5 year.
Nu trustee expenses have been Incurr•d.
16. R¢l•t•d P•rty Dl•doiur
Ther• have been no related party transactlons In the reportlng perlod that requlre dI5closure.
17. Cotnp*ny Ilmlt•d by gu•rnnt••
The company Is limlted by guarantee and has no share capltal.
Every member of the company undertakes to con¢rlbyte to the assets of the company, In the event of a wlndlng Upi such an
amount as may be requlred not exceedlng ÉL,
Page 13

Shadwell Childcarp. Limited
Detailed Statement of Financial Activities (Én£dTJ<Éing Income and Expenditure Account)
For The Year Eneea .?,1 August 2025
2025
2024
Total
funds
Total
funds
INCOME AND ENDOWMENTS FROM:
Charltable A<tivlties:
Pre-pr5mary education
Income frorn charitable actyvltSes
743,935
635,560
743,935
635,560
Znvestments
Bank interÈst ￿ceIvable
2.508
2,350
2,508
2,350
Cotnmission received
121
136
121
136
746,566
638.046
EXPENDITURE ON:
Charltable Actlvltles:
Pre-prirnary education
Direct costs
133,5051
{25.8261
1400,4681
122,3821
18,9081
13481
137,1741
18,2411
13,9751
13.3791
{3001
14.5291
{3.7601
16,3141
(1141
115.7261
14,1511
13.7931
11141
11,9791
11.725}
11,3061
{29.7571
124.810)
1397,4041
127,1531
(4,6371
13481
145.0951
16.5831
12.957}
11,249)
18501
{3,7981
16701
13,6451
1108)
116,8261
14,4951
126,1201
Iiisi
12,437)
11,575)
16,5071
School mea15 eost
Wages and salarles
Employers pensions- defined contribution schemes
Recrultment and tralnlng costs
I￿ leasing of t¢>mpuier and other equipment
Rent and rates
Computer software, rr consurnables and malntenance
Repair5. ￿new84$ and malntenance
Insurance
Marketing and advertising costs
Dats and telecommunlcations costs
Miscellaneous expenses
prtnting, postage and statioaery
SubscriptioD$
Cleaning costs
Depreclation of fixture5 anl fittlngs
Depreciatlon of leasehold land and property
Bank charges
Staff welfare
Accountancy fees
Professlonal fees
1588,0171
1588,0171
1607,1391
1607,1391
H￿I￿cOmE
158,549
30,907
IQ.