## **Reepham Pre-school Committee AGM** 

## **Minutes from Wednesday 6[th] December  – 7.15pm – Reepham Methodist Chapel** 

**Present:** Keith Atkins, Lindsey Myers, Darren Cutler, Shelley Burrows, Claire Evans, Vicky Whitfield, Alison Thornton & Katie Newton 

**Apologies:** Sarah Young, Sue Craven, Richard Wills & Jill Singleton ( Chapel Link) & Amanda Woods, 

|**Point on**<br>**Agenda**|**Minutes**|**Action**|**Date**|
|---|---|---|---|
|Welcome,<br>present and<br>apologies|KA opened the meeting at 7.15 and welcomed everyone with<br>apologies discussed|||
|Matters<br>arising from<br>previous AGM<br>minutes<br>6/6/23|•<br>Previous minutes were all discussed and agreed<br>•<br>SB agreed and KN seconded<br>•<br>Nominations, website and committee members all have been<br>resolved|•<br>**Constitution still need reviewing**<br>**– in particular about amount of**<br>**parents on the committee**|**ASAP**|
|Pre School<br>Update|•<br>New management team been in place for 3 months now<br>•<br>Alison gave an overview of the start to the year – full<br>overview can be seen if required<br>•<br>Trying to recruit another member of staff which is proving to<br>be an issue – could be something to do with 0.3 offering.<br>•<br>KA and CE have joined the primary school PTA to form a<br>consistent link with them|•<br>**Staffing to be reviewed**||





|Treasurer<br>update|•<br>Full accounts were discussed – available to view should any<br>committee member wish. Finished last year with a £10k<br>surplus<br>•<br>Xero accounting is now up and running and proving to be a<br>huge success in managing the accounts<br>•<br>1stquarter this year, sept- dec is actually showing a deficit of<br>£1800. This is something we need to monitor as do not want<br>it to continue for every quarter this year.<br>•<br>Discussion raised again about increase in fees and<br>consumable amount<br>•<br>ESPO orders were discussed about linking with primary<br>school to try and save money<br>•<br>We were gifted £400 from Welton Pre School so need to<br>decide what to spend money on – staff to investigate what<br>theywant.|•<br>**Fees to be reviewed**<br>•<br>**Consumables to be reviewed.**<br>•<br>**Invoices need generating to**<br>**inform parents for change after**<br>**Feb ½ term.**<br>•<br>**Research to take place into other**<br>**ways to save money**<br>•<br>**Staff to inform committee of**<br>**wish list so money can be**<br>**allocated effectively.**|•<br>**Feb 1st**<br>**2024**<br>•<br>**Feb 1st**<br>**2024**|
|---|---|---|---|
|Chairmans<br>report|•<br>KA gave an overview;<br>•<br>Good year with Ofsted result being the particular highlight<br>being awarded a Good in all areas and Amanda being<br>commended as a stand out member of staff and EYFS<br>practitioner.<br>•<br>Said goodbye to Debbie after 14 years and new management<br>structure put in place for 3 months<br>•<br>Darren, Sue and Katie have been welcomed onto the<br>committee<br>•<br>KA closed bythankingcommittee,chapel,staff andparents.|•||
|Nominations<br>for office|•<br>No nomination currently so committee remains as current<br>setup<br>•<br>KA did explain how he will step down as Chair December<br>2024. This was always his intention so committee member<br>recruitment and retention will be vital thisyear.|•||





|AOB|•<br>Fundraising reviews were discussed – it is decided a calendar<br>of events needs compiling to allow the pre school to link with<br>themes and potentially joint events with the primary school<br>•<br>SB thanked KA for all of his hard work as well for making a<br>secure committee to move the Pre School forward<br>•<br>SB also asked if we have a plan in place for the deficit amount<br>already seen in the 1stquarter (refer to treasurer comments<br>for how this will be reviewed)<br>•<br>Potential for opening hours extension was discussed and<br>something that we feel could be investigated further, staff<br>asked to consider and possibility of an open afternoon to<br>gauge interest from local parents.<br>•<br>KN also offered up ideas of summer clubs<br>•<br>LM checked names of committee and agreed to remove<br>Aimee from committee members and KN no longer doing HR<br>but doing fundraising.<br>•<br>LM brought prices of Hoody’s from SY in her absence. These<br>were discussed and staff still keen to get them|•<br>**KN to compile a calendar/ list of**<br>**fundraising events/ themes**<br>•<br>**Open afternoon to be planned**<br>**for new year so open hour**<br>**extension could be properly**<br>**assessed**<br>•<br>**Summer clubs to also be**<br>**investigated**<br>•<br>**LM to make changes to website**<br>•<br>**Prices to be checked against**<br>**accounts**|•<br>**Jan 2024**<br>**COMPLETED**|
|---|---|---|---|
|Date of next<br>meeting|•<br>Meeting closed at 8.50pm<br>•<br>Next meeting20thMarch 2024 – 7.00pm|•|•|





I CHARITY COMMISSION
FOR ENIIAND ANO WAIES
Independent examinerfs report on the
accounts
Section A,.,
Ind8wndeni Examinerf5 Report
Report to th• trust•*s
On accounts for th• y•af
ended
2,231 Chanty no
l i 22753
Set out on pages
*0
I le￿rt to tho trustee5 on rny exwnlrmtlm ol the xcounts of the aboy
charily for the year end*J ,l.( osj Ici2.
As Ihe charity'5 trustees, y4JJ are ￿spOnSible ft>r the preparation of th•
Aceounts in Itxo￿ance with the requlr8ments of the Charrties Act 2011
Acf).
R•sponslbllfti•S and
basis of report
I rep¢)rt in resp￿1 of my examIna￿n ￿ the Trust's aceounts caffieAI oui
under seclion 145 of lh8 2011 A￿ arKI in carying out my examin*ion. I
have followed 811 the applicab￿ Directtons given by the Clwnty Commi$won
undw stiction 14S(51{b) of the Ad.
Independerrt
oxamlnerfg gtstement I have c(ThplthJ my exaxinats"on, l 0￿fi￿1 thal no material matters have
come to my attention in connbdiort wilh tho eXamThi1￿ whith gives me
cause lo celwe that In. any material respect
the accounting re¢ords w?r¢ kept In aKordance wih section 130
of the Chanties Att,. er
the a¢¢ourrt5 not ttttonl wrth the accounfFng records". or
acCC￿ntS did not ¢cAttply with the appl£atsle requiremerts
concemiTra the lorm and conteni of ac¢owts W 0141 In the Charities
IAcMunts and Reports) Regutations 2008 other than any r•quirem¢rtt
Ihat the a¢counts gwi e a Irue and fair. view vthich is fK•t a rnatter
consKl•r•d as part of an u*rKlent ex•ninatAo
I have no conctms and ttave corne ac¥os8 no other matteryd in connecti¢Xb
vrith the examination to vthich attention should èe drawn in this report In
order to enable a Frytr understanding of the accounts to ba reached,
' Plèas• del￿0 rhe worfs fn the brackets rflhey do not appty.
Slgn•d:
Date:1 2glLz l2C2
R•lwart wofe88ional
qualificationlsl or body
(rf any):
Address:
IER
Oct 2018

Stknm•nt of Flnan¢Éal Acrrvities
fur the year erth 3tst Auziist 2023
Unrestr?rted Restrlcted Total
T0141
2023
2022
Note
Voluntary income
Actlvtries lor gÈnÈrattn8 fund¥
InvestrnÈni Income
Charitoble artivrties
569
1263
1108
16S9
1263
882
88280
74589
Total Incomln8 resgiKr•s
39549
$69
90118
77357
R4sourr¢s exwfid•d
%ts of generatln8 fvnds
Charitable expeTrdit(br*
Governonce costs
36
ioe047
202
66881
2549 108596
Totsl reX>u￿￿5 expuded
106083
2549 108632
67083
Net mo¥*rnent In fvnds
-165
.19￿ -18514
10274
Toial funds blfwd I September 2022
49627
3763
53390
43116
Total fvnds ¢16Nd 31 Au8USt 2023
33093
1783
34876
53390

R••ph*n PTtrkhool
BALANCE SHEET
S AT 31 AUGUST 20Z3
2023
2022
Note
Cash at ￿ftk
Cash in harKI
Debiors
33964
2239
316
36S19
51973
2123
UabllFile5 {arnDunts fjlllni
wlthln oTr* yewl
IfA3
706
Ntt cunent •ss¢Is
34876
53390
Tat•l ass•ts le55 li•bllltles
34876
53390
Approved
Dait -

NOTES
These actounts have ken prepared under the h￿0￿COl cost conventlon
wrrh items recognis•d at COSt or irans3ct50n value unle55 Otherwlse stated.
The acwunis have bèon p￿pared in accofdanee with the Statement of
Rétomrnended Prbthte Accounllng and ReptsrtiN8 by Charitles
preparSng thèir accotsnts In actordanc8 with the financla1 RÈp￿rtIr
Stsndard appltcable sn the UK and Republic of Ir*knnd IFR51021 and wtth
thÈ Chortttes Aa 2011.
b}
Voluntary incomèls rerebved by way of donations.ths and grants aThl
Is irlduded in full in the Statement of Finantlal AttiVFties when
receivable. The value of 5Ervices proyidell by voluntÈ@ts has ftot been
Include
Grants, irt]udinK 8rants for the purchase ot ffxed ?ssets are reCO￿lSed
in full In the Std*emeni of FI￿n(la1 ￿tr￿$t1*S in the year in which
thEV are receivable.
Resources expended are recognised in the period in whlth thty are
incurred. Rexsurces experthd atiributable Vat whKh r#X
be recovered.
Unrestricred funds aT• donatlons and other incoming resources
receivable Dr 8enefated for thp. objects of the charity without specffied
purposo and are ivailable as Reneral fund
Rettritted fund5 are to ￿ us*d for speofic pur￿$*$ as hid down bv
the donor. Expenditure whith méot these crrteria Is charged to the fund,
however Whe￿ exppndliure exceeds thè avaslablity of funds IF)
balance is cbJr8es 10 unre5trirted funds.
I Va￿￿tary Ilxonx
Unrestr4Ctf RestricQd Tot81
Total
2023
2022.
Snack Money
569
569
1108.
569
569
1108

3 Activllie$for GeneratiTrg Funds
Unres¢rltt+ Restrict•d Totsl
Total
2023
2022
School PhotOs/DVDs
Cake sales etc
Comrc r*liellRed rw dty
Hall tEYm thallen8e
. Collin8ham countd tnst- Gusro
' Easter raffle e
Sports dav
Other
Christmas
2Q
54
55
350
55
350
18
419
182
419
182
497
145
io
469
203
203
1263
1263
1659
4 Ch•rit•ble Activities
Unrtstrictt Restricted Tot*1
Totsl
2023
2022
Early years F￿￿1
Fees
Other8ranis
8reakfv5t Club
DonatiQtsS
73939
13272
687
382
73939
13272
687
382
571133
157
1237
129
io
88280
88280
74589
5 Costs ofGenefttin8 Funds
Urtrrestrlcts RestrKted Total
Total
2023
2022
Spo¢ts day
Sundries
Chrlstmas rnffle
Easter raffle etc
15
24
12
139
36
202

Reephrn Pr&S(h¢d
NOTES
6 (haritable exp•r&rturn
Vntestritte Restrlctod Total
Total
2023
2022
Wases and pnsfon costs
Rent
Equlpfftent. Toys and resources
Artivitses
Règtstration & Insufan¢e
Coop voucher% pupil premluffl
Snacks
Post•ge & Ststionery
87673
12924
256
731
87673
12924
256
731
804
726
1823
130
531
53581
5520
1668
811
n6
1823
410
454
531
361
650
1584
13Q
531
75
7Xt
2173
Trainin8. Uftibft￿s and milea8e
AccounrirKy
SuftdriéS
75
750
2173
IOfU7
2549
108596
66881
The average weekly nurn￿r af ernployees durfn8 tho year, ukvi•ted on thE b1515
of full tlme equivalents was 4. carryfing out actwities In thé furthernllc¢ of the
charili¢S obJe¢tive&
No ernpl￿• Te(eNed emoluments of mor• than ESCrfxKI
P40 tosts were reimburs￿ to chirity rru5tees durin8 the Year.
7 Liabilrties (duè within one yt•rl
T¢t41
Totsl
2023
2022
. Other credltofs
Wage arKI pen￿On costs
550
156
1643
706
8 Fus for•￿mInatION olth• a¢(￿nts
2023
2022
Ir¥lependefit examirer's fees
2SO
2LK)

Reepham Pre.Sthoc4
&Jmmary A{C￿nts for the yearended 31 August XJ23
2023
202?
PIFS
73939
13272
57433
Fee5
Othef grants
Snack rnonv¥
Fundralslng Iprofrtl
Br￿kfa￿ dub
Interest
1237
1227
1457
129
io
77155
WaBes ar)d nati*3n31 insurance
stsff pensioD
Stsff troinrn￿un1IOrm5
Re8illrott¢nnnsutonc•
Rent
Pupll yemium
Coop lood h¢ustPdd vou¢h¢rs
Snacks
PostaEe and statlonery
Toy5 and equipment
AcLivlties
85934
1739
S1613
1968
361
12924
5520
i"
726
L823
dlo
454
256
731
750
531
217Y 1085%
650
531
1584
Interrtot
Sundr￿es
IOefl¢itllwrplus tur the yeJr
-18514
Cash •t
Cash in hand
i)ebt¢)rs
33964
2239
316
51973
?124
36519
Liabilities
IS43
Net ￿Trefit a￿•ts
34876
5uFpIv5 blhvd
Sun)lus for year
S3390
.Lq5U
43116
10274
Surplu5 clftvd
34876

I CHARITY COMMISSION
FOR ENIIAND ANO WAIES
Independent examinerfs report on the
accounts
Section A,.,
Ind8wndeni Examinerf5 Report
Report to th• trust•*s
On accounts for th• y•af
ended
2,231 Chanty no
l i 22753
Set out on pages
*0
I le￿rt to tho trustee5 on rny exwnlrmtlm ol the xcounts of the aboy
charily for the year end*J ,l.( osj Ici2.
As Ihe charity'5 trustees, y4JJ are ￿spOnSible ft>r the preparation of th•
Aceounts in Itxo￿ance with the requlr8ments of the Charrties Act 2011
Acf).
R•sponslbllfti•S and
basis of report
I rep¢)rt in resp￿1 of my examIna￿n ￿ the Trust's aceounts caffieAI oui
under seclion 145 of lh8 2011 A￿ arKI in carying out my examin*ion. I
have followed 811 the applicab￿ Directtons given by the Clwnty Commi$won
undw stiction 14S(51{b) of the Ad.
Independerrt
oxamlnerfg gtstement I have c(ThplthJ my exaxinats"on, l 0￿fi￿1 thal no material matters have
come to my attention in connbdiort wilh tho eXamThi1￿ whith gives me
cause lo celwe that In. any material respect
the accounting re¢ords w?r¢ kept In aKordance wih section 130
of the Chanties Att,. er
the a¢¢ourrt5 not ttttonl wrth the accounfFng records". or
acCC￿ntS did not ¢cAttply with the appl£atsle requiremerts
concemiTra the lorm and conteni of ac¢owts W 0141 In the Charities
IAcMunts and Reports) Regutations 2008 other than any r•quirem¢rtt
Ihat the a¢counts gwi e a Irue and fair. view vthich is fK•t a rnatter
consKl•r•d as part of an u*rKlent ex•ninatAo
I have no conctms and ttave corne ac¥os8 no other matteryd in connecti¢Xb
vrith the examination to vthich attention should èe drawn in this report In
order to enable a Frytr understanding of the accounts to ba reached,
' Plèas• del￿0 rhe worfs fn the brackets rflhey do not appty.
Slgn•d:
Date:1 2glLz l2C2
R•lwart wofe88ional
qualificationlsl or body
(rf any):
Address:
IER
Oct 2018

Stknm•nt of Flnan¢Éal Acrrvities
fur the year erth 3tst Auziist 2023
Unrestr?rted Restrlcted Total
T0141
2023
2022
Note
Voluntary income
Actlvtries lor gÈnÈrattn8 fund¥
InvestrnÈni Income
Charitoble artivrties
569
1263
1108
16S9
1263
882
88280
74589
Total Incomln8 resgiKr•s
39549
$69
90118
77357
R4sourr¢s exwfid•d
%ts of generatln8 fvnds
Charitable expeTrdit(br*
Governonce costs
36
ioe047
202
66881
2549 108596
Totsl reX>u￿￿5 expuded
106083
2549 108632
67083
Net mo¥*rnent In fvnds
-165
.19￿ -18514
10274
Toial funds blfwd I September 2022
49627
3763
53390
43116
Total fvnds ¢16Nd 31 Au8USt 2023
33093
1783
34876
53390

R••ph*n PTtrkhool
BALANCE SHEET
S AT 31 AUGUST 20Z3
2023
2022
Note
Cash at ￿ftk
Cash in harKI
Debiors
33964
2239
316
36S19
51973
2123
UabllFile5 {arnDunts fjlllni
wlthln oTr* yewl
IfA3
706
Ntt cunent •ss¢Is
34876
53390
Tat•l ass•ts le55 li•bllltles
34876
53390
Approved
Dait -

NOTES
These actounts have ken prepared under the h￿0￿COl cost conventlon
wrrh items recognis•d at COSt or irans3ct50n value unle55 Otherwlse stated.
The acwunis have bèon p￿pared in accofdanee with the Statement of
Rétomrnended Prbthte Accounllng and ReptsrtiN8 by Charitles
preparSng thèir accotsnts In actordanc8 with the financla1 RÈp￿rtIr
Stsndard appltcable sn the UK and Republic of Ir*knnd IFR51021 and wtth
thÈ Chortttes Aa 2011.
b}
Voluntary incomèls rerebved by way of donations.ths and grants aThl
Is irlduded in full in the Statement of Finantlal AttiVFties when
receivable. The value of 5Ervices proyidell by voluntÈ@ts has ftot been
Include
Grants, irt]udinK 8rants for the purchase ot ffxed ?ssets are reCO￿lSed
in full In the Std*emeni of FI￿n(la1 ￿tr￿$t1*S in the year in which
thEV are receivable.
Resources expended are recognised in the period in whlth thty are
incurred. Rexsurces experthd atiributable Vat whKh r#X
be recovered.
Unrestricred funds aT• donatlons and other incoming resources
receivable Dr 8enefated for thp. objects of the charity without specffied
purposo and are ivailable as Reneral fund
Rettritted fund5 are to ￿ us*d for speofic pur￿$*$ as hid down bv
the donor. Expenditure whith méot these crrteria Is charged to the fund,
however Whe￿ exppndliure exceeds thè avaslablity of funds IF)
balance is cbJr8es 10 unre5trirted funds.
I Va￿￿tary Ilxonx
Unrestr4Ctf RestricQd Tot81
Total
2023
2022.
Snack Money
569
569
1108.
569
569
1108

3 Activllie$for GeneratiTrg Funds
Unres¢rltt+ Restrict•d Totsl
Total
2023
2022
School PhotOs/DVDs
Cake sales etc
Comrc r*liellRed rw dty
Hall tEYm thallen8e
. Collin8ham countd tnst- Gusro
' Easter raffle e
Sports dav
Other
Christmas
2Q
54
55
350
55
350
18
419
182
419
182
497
145
io
469
203
203
1263
1263
1659
4 Ch•rit•ble Activities
Unrtstrictt Restricted Tot*1
Totsl
2023
2022
Early years F￿￿1
Fees
Other8ranis
8reakfv5t Club
DonatiQtsS
73939
13272
687
382
73939
13272
687
382
571133
157
1237
129
io
88280
88280
74589
5 Costs ofGenefttin8 Funds
Urtrrestrlcts RestrKted Total
Total
2023
2022
Spo¢ts day
Sundries
Chrlstmas rnffle
Easter raffle etc
15
24
12
139
36
202

Reephrn Pr&S(h¢d
NOTES
6 (haritable exp•r&rturn
Vntestritte Restrlctod Total
Total
2023
2022
Wases and pnsfon costs
Rent
Equlpfftent. Toys and resources
Artivitses
Règtstration & Insufan¢e
Coop voucher% pupil premluffl
Snacks
Post•ge & Ststionery
87673
12924
256
731
87673
12924
256
731
804
726
1823
130
531
53581
5520
1668
811
n6
1823
410
454
531
361
650
1584
13Q
531
75
7Xt
2173
Trainin8. Uftibft￿s and milea8e
AccounrirKy
SuftdriéS
75
750
2173
IOfU7
2549
108596
66881
The average weekly nurn￿r af ernployees durfn8 tho year, ukvi•ted on thE b1515
of full tlme equivalents was 4. carryfing out actwities In thé furthernllc¢ of the
charili¢S obJe¢tive&
No ernpl￿• Te(eNed emoluments of mor• than ESCrfxKI
P40 tosts were reimburs￿ to chirity rru5tees durin8 the Year.
7 Liabilrties (duè within one yt•rl
T¢t41
Totsl
2023
2022
. Other credltofs
Wage arKI pen￿On costs
550
156
1643
706
8 Fus for•￿mInatION olth• a¢(￿nts
2023
2022
Ir¥lependefit examirer's fees
2SO
2LK)

Reepham Pre.Sthoc4
&Jmmary A{C￿nts for the yearended 31 August XJ23
2023
202?
PIFS
73939
13272
57433
Fee5
Othef grants
Snack rnonv¥
Fundralslng Iprofrtl
Br￿kfa￿ dub
Interest
1237
1227
1457
129
io
77155
WaBes ar)d nati*3n31 insurance
stsff pensioD
Stsff troinrn￿un1IOrm5
Re8illrott¢nnnsutonc•
Rent
Pupll yemium
Coop lood h¢ustPdd vou¢h¢rs
Snacks
PostaEe and statlonery
Toy5 and equipment
AcLivlties
85934
1739
S1613
1968
361
12924
5520
i"
726
L823
dlo
454
256
731
750
531
217Y 1085%
650
531
1584
Interrtot
Sundr￿es
IOefl¢itllwrplus tur the yeJr
-18514
Cash •t
Cash in hand
i)ebt¢)rs
33964
2239
316
51973
?124
36519
Liabilities
IS43
Net ￿Trefit a￿•ts
34876
5uFpIv5 blhvd
Sun)lus for year
S3390
.Lq5U
43116
10274
Surplu5 clftvd
34876