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2025-08-31-accounts

ELHAM PRE-SCHOOL

ACCOUNTS FOR THE YEAR ENDED

31[ST] AUGUST 2025

Registered charity number 1125226 Company number 6630170

Elham Pre-School

Legal and administrative information for the period ending 31[st] August 2025

Status

The organisation is a charitable company.

Charity number: 1125226 Company number: 6630170

Address

Elham Village Hall, High Street, Elham, Canterbury, Kent CT4 6SX

Trustees for the year

Emma Thomas – resigned 21/5/25 Rebecca Lamyman – resigned 21/5/25 Isabel Troth – resigned 21/5/25 Caroline Eales – appointed 21/5/25 Zarah Henderson – appointed 21/5/25 Michelle Monroe – appointed 21/5/25 Elaine Troth

Bankers

The Co-operative Bank

Elham Pre-School

Report of the Trustees for the period ending 31[st] August 2025

The trustees present their report and financial statements for the period ending 31[st] August 2025

Objects

The principal objects is to provide care for children aged 2 and over up to school age in a secure, safe and stimulating environment; to enhance the development and education of the children in a parent-involving community based group; and to work within a framework which ensures equality of opportunity and support for all children and their families. Provision is on a non-compulsory weekday basis and is open during the school term time.

Key points to note during the year

The Pre-School started the year with a fair number of children and also new children waiting to join.

Due to the inadequate OFSTED judgement, we are unable to claim funding for new children.

OFSTED returned in December and although we thought we had everything in place we received a require improvement judgement. This was very disappointing, but it did mean that we could claim government funding for new starters. The issue that was highlighted was our leadership and management from the committee point of view. Cazz, Michelle and Zarah joined the committee.

We advertised and appointed a new member of staff, Georgie. She is unqualified but will complete her three month probation then we will look for a suitable level 3 course for her.

We ended the school year with three children leaving to go to primary school and one new starter.

Risk statement

The trustees review risks on an ongoing basis and are confident that they have done all that they can to minimise risks to the charity. We are aware of the risks of running at a financial loss and have plans in place to ensure the sustainability of the charity.

Reserves policy

The trustees regularly review reserves to ensure adequate funds in case of emergency or shut-down.

Report of the Independent Examiner to the Trustees

of Elham Pre-School 2025

I have examined the accounts of the above mentioned for the year ended 31[st] August 2025.

During the course of my examination no matter has come to my attention, which would give me reasonable cause to believe that in any material respect:

No further matters have come to my attention, which should be included to enable a proper understanding of the accounts to be reached.

Signed:

D Richardson

Business and Accounts Admin 20[th] February 2026

ELHAM PRE-SCHOOL

Companies House Registration No: 6630170 Charity Registration No: 1125226 PROFIT AND LOSS STATEMENT

FROM 1ST SEPTEMBER TO 31ST AUGUST

CHART OF ACCOUNTS

INCOME 2024/25 2023/24
KCC FUNDING 39418.66 24067.88
FEES FROM PARENTS 7538.25 10314.25
KCC GRANTS/OTHER 1465.28 1711.22
FUNDRAISING 25.87 169.24
BANK INTEREST 0.15 0.15
REFUNDABLE DEPOSITS 50.00
REFUNDS
OTHER INCOME
SNACK DONATIONS
48498.21 36262.74
OUTGOINGS
DIRECT EXPENSES
SALARIES 36567.07 29092.97
OVERHEADS
RENT 7418.00 6824.75
ADVERTISING 110.00 105
EQUIPMENT 485.90 453.14
TELEPHONE/INTERNET 369.96 483.4
PETTY CASH EXPENSES 0
FUNDRAISING EXPENSES 0
PROFFESSIONAL COSTS 1458.71 678.79
OTHER 200
DEPOSIT REFUNDS
CONSUMABLES 178.52 222.89
46588.16 38060.94
DEPRECIATION
NET PROFIT/(LOSS) 1910.05 -1798.2

ELHAM PRE-SCHOOL Companies House Registration No: 6630170 Charity Registration No: 1125226 TRIAL BALANCE SHEET

1ST SEPTEMBER TO 31ST AUGUST

2024/25 2023/24
BANK ACCOUNT 2296.95 386.90
PETTY CASH 0.00 0.00
FUNDS BROUGHT FORWARD 386.90 2185.10
KCC FUNDING 39418.66 24067.88
OTHER GRANTS 1465.28 1711.22
FEES 7538.25 10314.25
MISC
REFUNDABLE DEPOSITS 50.00
FUNDRAISING 25.87 169.24
REFUND
BANK INTEREST 0.15 0.15
SNACK DONATIONS
SALARIES/HMRC/PENSION 36567.07 29092.97
RENT 7418.00 6824.75
ADVERTISING 110.00 105.00
EQUIPMENT 485.90 453.14
INTERNET/TELEPHONE 369.96 483.40
PETTY CASH EXPENSES
FUNDRAISING EXPENSES
PROFESSIONAL COSTS 1458.71 678.79
OTHER 200.00
DEPOSITS/FEES REFUNDED
CONSUMABLES 178.52 222.89
48885.11 48885.11 38447.84 38447.84
ELHAM PRE-SCHOOL
Companies House Registration No: 6630170
Charity Registration No: 1125226
2024/25 2023/24
BALANCE SHEET
BANK BALANCE AT 31ST AUGUST 386.90 2149.30
PETTY CASH BALANCE AT 31ST AUGUST 0.00 35.80
386.90 2185.10
NET PROFIT YEAR ENDING 31ST AUGUST
NET LOSS YEAR ENDING 31ST AUGUST 1910.05 1798.20
BANK BALANCE AT 31ST AUGUST 2296.95 386.90
PETTY CASH AT 31ST AUGUST 0.00 0.00
2296.95 386.90

Approved by the Directors/Trustees of Elham Pre-School and signed on their behalf

M Munro

6TH NOVEMBER Dated: 2025