## **Trustees’ annual report (including Directors’ report) for the period** 

**From: 1[st] April 2024** 

**To: 31 March 2025** 

**Charity name: Andover Pre-school Limited** 

**Charity registration number: 1135042** 

**Company number: 07114984** 

## **Objectives and activities** 

||SORP reference||
|---|---|---|
|Summary of the purposes<br>of the charity as set out in<br>its governing document|Para 1.17|4.1 TO ENHANCE THE DEVELOPMENT AND<br>EDUCATION OF CHILDREN UNDER THE AGE<br>OF FIVE BY ENCOURAGING PARENTS TO<br>UNDERSTAND AND PROVIDE FOR THE<br>NEEDS OF THEIR CHILDREN THROUGH<br>COMMUNITY GROUPS AND BY:- 4.1.1<br>OFFERING APPROPRIATE PLAY, EDUCATION<br>AND CARE FACILITIES AND TRAINING<br>COURSES IN A SECURE, SAFE, WELCOMING<br>ENVIRONMENT, WHICH PROMOTES<br>STIMULATION AND POSITIVE LEARNING,<br>TOGETHER WITH THE RIGHT OF PARENTS<br>TO TAKE RESPONSIBILITY FOR AND TO<br>BECOME INVOLVED IN THE ACTIVITIES OF<br>SUCH GROUPS, ENSURING THAT SUCH<br>GROUPS OFFER OPPORTUNITIES FOR ALL<br>CHILDREN WHATEVER THEIR RACE, SEX,<br>CULTURE, RELIGION, MEANS OR ABILITY;<br>4.1.2 ENCOURAGING THE STUDY OF THE<br>NEEDS OF SUCH CHILDREN AND THEIR<br>FAMILIES AND PROMOTING PUBLIC<br>INTEREST IN AND RECOGNITION OF SUCH<br>NEEDS; 4.1.3 CONTRIBUTING AND<br>STRENGTHENING THE LINKS BETWEEN THE<br>COMMUNITY AND THE CHARITY|
|Summary of the main<br>activities in relation to<br>those purposes for the<br>public benefit, in particular,<br>the activities, projects or<br>services identified in the<br>accounts.|Para 1.17 and<br>1.19|1. Advancement of Early Education<br>To advance the education and early development<br>of children aged 0–5 living in Islington, particularly<br>those from families experiencing socio-economic<br>disadvantage, through the provision of high-quality<br>early-years education, care, and developmental<br>activities, including the delivery of Free Early<br>Education Entitlement (FEEE) places.<br>2. Relief of Poverty and Hardship<br>To relieve poverty and hardship among children<br>and families in the local community by providing<br>affordable or subsidised childcare, free early-years<br>education funded by the FEEE scheme, and|





|||additional support to families who are in financial or<br>social need.<br>3. Promotion of Social Inclusion<br>To promote social inclusion for families who are<br>socially<br>or<br>economically<br>disadvantaged,<br>marginalised, or otherwise excluded, by ensuring<br>equitable access to early-years education, family<br>support services, and community activities that<br>encourage participation and reduce inequalities.<br>4. Support for Family Well-Being and Resilience<br>To support the physical, emotional, and social well-<br>being of young children and their families by<br>offering a nurturing, safe, inclusive learning<br>environment, alongside guidance, workshops, and<br>partnership-based support that strengthens family<br>resilience and life chances.<br>5. Community Development and Partnership<br>Working<br>To contribute to the improvement of the local<br>community by working collaboratively with parents,<br>carers, schools, health services, and community<br>organisations, helping to build stronger networks,<br>improve outcomes for children, and enhance<br>community cohesion in an area of high deprivation.<br>6. Support for Children with SEND and Additional<br>Needs<br>To promote the care, education, and inclusion of<br>children with special educational needs and<br>disabilities (SEND) by providing appropriate<br>support, early intervention, and inclusive practice to<br>ensure equal access to early-years opportunities.|
|---|---|---|
|Statement confirming<br>whether the trustees have<br>had regard to the<br>guidance issued by the<br>Charity Commission on<br>public benefit|Para 1.18|The trustees confirm that they have had due regard<br>to the guidance issued by the Charity Commission<br>on public benefit when carrying out their duties and<br>in planning the activities of the charity throughout<br>the year. They have ensured that the charity’s<br>aims, activities, and services are aligned with its<br>charitable purposes and continue to provide<br>identifiable public benefit in accordance with the<br>Commission’s requirements.|



**Additional information (optional)** 

You may choose to include further statements where relevant about: 



||SORP reference||
|---|---|---|
|Policy on grant making|Para 1.38||
|Policy on social<br>investment including<br>program related<br>investment|Para 1.38||
|Contribution made by<br>volunteers|Para 1.38||
|Other|||



## **Achievements and performance** 

|Summary of the main<br>achievements of the<br>charity, identifying the<br>difference the charity’s<br>work has made to the<br>circumstances of its<br>beneficiaries and any<br>wider benefits to society<br>as a whole.|Para 1.20|During the year, the charity continued to provide<br>high-quality early-years education and care to<br>children aged 0–5 in an area of significant socio-<br>economic deprivation in Islington. Through the<br>delivery of our Free Early Education Entitlement<br>(FEEE) places and targeted family support<br>programmes, we ensured that children from<br>disadvantaged backgrounds were able to access<br>safe, nurturing, and developmentally appropriate<br>early-years provision that they may otherwise have<br>struggled to secure.<br>Our main achievements include:<br>1. Improving Early Education Outcomes<br>We delivered a high-quality early-years curriculum<br>aligned with the EYFS, supporting children’s<br>communication, language, physical development,<br>and personal, social and emotional skills. Children<br>made demonstrable progress across all areas of<br>learning, with many meeting or exceeding age-<br>related expectations despite starting points that<br>were below typical levels.<br>2. Widening Access to Early-Years Education<br>By offering a significant number of FEEE and<br>subsidised places, we removed barriers to early<br>education for families experiencing financial<br>hardship. This enabled children from low-income<br>households to receive consistent educational and<br>developmental support, improving their readiness<br>for school and long-term life chances.<br>3. Supporting Vulnerable Families<br>We provided additional assistance to families<br>facing challenges suchas unemployment,housing|
|---|---|---|





|instability, language barriers, or social isolation.|
|---|
|This included referrals to partner agencies,|
|signposting to community services, and providing|
|practical guidance on child development, nutrition,|
|and routines. Our work helped many families|
|increase confidence, stability, and engagement in|
|their children’s learning.|
|4. Enhancing Community Well-Being|
|The charity played a key role in strengthening the|
|local community by offering inclusive events,|
|parent workshops, and opportunities for families to|
|connect with one another. This contributed to|
|improved social cohesion, reduced isolation, and|
|greater access to local support networks.|
|5. Promoting Inclusion and Equality|
|We<br>delivered<br>inclusive<br>practice,<br>supporting|
|children with SEND and those with English as an|
|Additional Language (EAL). By offering early|
|intervention, individualised support plans, and|
|specialist outreach input, we ensured that every|
|child—regardless of ability or background—had|
|equal access to early-years opportunities.|
|Overall Impact|
|•<br>Children in one of Islington’s most|
|deprived areas received high-quality early|
|learning that will significantly enhance their|
|long-term educational outcomes.|
|•<br>Families experiencing hardship gained|
|access to free or affordable childcare,|
|enabling many to pursue training,|
|employment, and improved financial|
|stability.|
|•<br>Vulnerable families felt more supported,|
|included, and connected to the wider|
|community.|
|•<br>The community benefited from improved|
|early-years development, stronger family|
|resilience, and reduced inequalities.|



## **Additional information (optional)** You may choose to include further statements where relevant about: 

|Achievements against<br>objectives set|Para 1.41||
|---|---|---|
|Performance of<br>fundraising activities<br>against objectives set|Para 1.41||
|Investment performance<br>against objectives|Para 1.41||
|Other|||



## **Financial review** 



|Review of the charity’s<br>financial position at the<br>end of the period|Para 1.21|At the end of the financial year, the charity<br>remained in a stable and improving financial<br>position, with sufficient reserves to support<br>the continued delivery of high-quality early-<br>years provision in the coming period. Total<br>turnover for the year was £161,061, resulting<br>in a profit of £18,431**,**an improvement<br>compared with the profit of £5,290 recorded<br>in the previous year**.**This positive change<br>reflects strengthened financial management,<br>tighter<br>cost<br>controls,<br>and<br>increased<br>operational efficiency.<br>Income continues to be generated primarily<br>through Free Early Education Entitlement<br>(FEEE) funding, local authority support,<br>supplemented by small grants and parental<br>fees,<br>where<br>applicable.<br>Expenditure<br>remained focused on staffing—our largest<br>and most essential cost—alongside premises<br>expenses,<br>utilities,<br>and<br>educational<br>resources.<br>During the year, the charity undertook a<br>thorough review of staffing structures and<br>operational needs, enabling us to reduce staff<br>costs without compromising the quality of<br>provision. In addition, a review of all utility<br>contracts and service providers led to more<br>cost-effective<br>arrangements,<br>contributing<br>further to the improved financial outcome.<br>The charity ended the period with £59,169 in<br>unrestricted funds. Reserves remained within<br>the target range set out in the charity’s<br>reserves policy, ensuring the organisation<br>can meet its short-term obligations, manage<br>unexpected costs, and maintain continuity of<br>care for children and families.<br>Overall, the trustees are satisfied that the<br>charity’s financial position is sound and<br>significantly improved from the previous year.<br>The charity is well-placed to continue<br>delivering its charitable objectives, sustain<br>high-quality<br>early-years<br>provision,<br>and<br>navigate<br>ongoing<br>sector-wide<br>funding<br>pressures.|
|---|---|---|
|Statement explaining the<br>policy for holding reserves<br>stating why they are held|Para 1.22|The trustees have established a reserves<br>policy to ensure the charity’s long-term<br>financial stability and its ability to continue<br>delivering high-quality early-years education<br>and care, even during periods of financial<br>uncertainty. The charity aims to hold sufficient<br>unrestricted reserves to:<br>1. Maintain continuity of childcare provision<br>To ensure the nursery can continue operating<br>in the event of unexpected reductions in<br>income—such as fluctuations in FEEE|





|||funding, delayed payments, or reduced<br>occupancy—and to protect the stability of<br>services provided to children and families.<br>2. Meet short-term financial obligations<br>To cover essential running costs, including<br>staff wages, rent, utilities, insurance and<br>operational expenses, should temporary<br>cash-flow pressures arise.<br>3. Manage unforeseen emergencies<br>To provide a financial cushion for unexpected<br>events such as urgent repairs, equipment<br>failure, regulatory requirements, or other<br>circumstances that could affect the charity’s<br>ability to operate.<br>4. Support planned improvements<br>To allow the charity to invest in future<br>development, quality improvements, training,<br>safeguarding requirements, and resources<br>without<br>jeopardising<br>day-to-day<br>service<br>delivery.<br>Review Process<br>The reserves policy is reviewed annually by<br>the trustees considering the charity’s financial<br>performance, operational needs, and the<br>broader funding environment affecting early-<br>years childcare. Adjustments are made<br>where necessary to ensure the reserve level<br>remains appropriate and proportionate.|
|---|---|---|
|Amount of reserves held|Para 1.22|Based on the year’s expenditure:<br>•<br>Raw materials and consumables:<br>£13,084<br>•<br>Staff costs: £90,676<br>•<br>Depreciation and asset write-off: £16<br>•<br>Other charges: £39,021<br>Total annual operating expenditure:<br>£142,797<br>Average monthly expenditure is therefore<br>approximately:<br>£142,797 ÷ 12 = £11,900 per month<br>In line with common early-years sector<br>guidance, the trustees consider it prudent to<br>hold<br>three<br>months<br>of<br>core<br>operating<br>expenditure<br>in<br>reserves,<br>therefore<br>our<br>recommended reserve level is:<br>3 × £11,900 ≈ £35,700<br>This level is considered sufficient to manage<br>income fluctuations, unexpected costs, or<br>emergencies while ensuring continuity of<br>service.|
|Reasons for holding zero<br>reserves|Para 1.22|N/A|





|Details of fund materially<br>in deficit|Para 1.24|N/A|
|---|---|---|
|Explanation of any<br>uncertainties about the<br>charity continuing as a<br>going concern|Para 1.23|N/A|



**Additional information (optional)** You may choose to include further statements where relevant about: 

Para 1.47 The charity’s principal sources of funds (including any fundraising) Para 1.46 Investment policy and objectives including any social investment policy adopted Para 1.46 A description of the principal risks facing the charity Other 

## **Structure, governance and management** 

|Description of charity’s<br>trusts:|||
|---|---|---|
|Type of governing<br>document: for example,|Para 1.25|Memorandum and Articles of Association|





|trust deed, memorandum<br>and articles of association<br>etc|||
|---|---|---|
|How is the charity<br>constituted?<br>for example limited<br>company, unincorporated<br>association, CIO|Para 1.25|Limited Company|
|Trustee selection methods<br>including details of any<br>constitutional provisions<br>e.g. election to post or<br>name of any person or<br>body entitled to appoint<br>one or more trustees|Para 1.25||
||||




**----- Start of picture text -----**<br>
Additional information (optional)<br>You may choose to include further statements where relevant about:<br>Para 1.51<br>Policies and procedures<br>adopted for the induction<br>and training of trustees<br>Para 1.51<br>The charity’s<br>organisational structure<br>and any wider network<br>with which the charity<br>works<br>Para 1.51<br>Relationship with any<br>related parties<br>Other<br>**----- End of picture text -----**<br>


## **Reference and administrative details** 

Charity name **Andover Pre School Ltd** Other name the charity **N/A** uses Registered charity number **1135042** 



Charity’s principal address 

Andover Pre-School Limited 49-50 Corker Walk Central Square Andover Estate London N7 7RY 

## **Names of the charity trustees who manage the charity** 

|1<br>2<br>3<br>4<br>5<br>6<br>7<br>8<br>9<br>10<br>11<br>12<br>13<br>14<br>15<br>16<br>17<br>18<br>19<br>20|**Trustee name**|**Office (if any)**|**Dates acted if not for whole**<br>**year **|**Name of person (or body) entitled**<br>**to appoint trustee (ifany)**|
|---|---|---|---|---|
||Elizabeth Gbotaye|Chair|||
||Jahanara Begum<br>Chowdhury|Secretary/Treasurer|||
||||||
||||||
||||||
||||||
||||||
||||||
||||||
||||||
||||||
||||||
||||||
||||||
||||||
||||||
||||||
||||||
||||||
||||||



– Corporate trustees names of the directors at the date the report was approved 

**Director name** Elizabeth Gbotaye Jahanara Begum Chowdhury 

Name of trustees holding title to property belonging to the charity 

|**Trustee name**|**Dates acted if not for whole year**|
|---|---|
|N/A||
|||
|||
|||





## **Funds held as custodian trustees on behalf of others** 

|Description of the assets<br>held in this capacity|N/A|
|---|---|
|Name and objects of the<br>charity on whose behalf<br>the assets are held and<br>how this falls within the<br>custodian charity’s objects|N/A|
|Details of arrangements<br>for safe custody and<br>segregation of such assets<br>from the charity’s own<br>assets|N/A|



## **Additional information (optional)** 

## **Names and addresses of advisers (optional information)** 

|**Type of**|**Name**|**Address**|
|---|---|---|
|**adviser**|||



**Name of chief executive or names of senior staff members (optional information)** 

## **Exemptions from disclosure** 

Reason for non-disclosure of key personnel details 

## **Other optional information** 

## **Declarations** 

**The company has taken advantage of the small companies’ exemption in preparing the report above.** 

**The trustees declare that they have approved the trustees’ report (including directors’ report) above.** 



**Signed on behalf of the charity’s trustees/directors** 

**Signature(s) Full name(s) Position (for example Secretary, Chair, etc) Date** 



Andover Pre-school Limited
Independent examiner's report on the accounts
Year ended 31 March 2025
Charity registration number: 1135042
Company number: 07114984
We reportto the charity trustees on my examination of the accounts of the Company for the year
ended 31 March 2025.
As the charity's trustees of the Company Iwho are also the directors of the company for the
purposes of company lawl. you are responsible forthe preparation ofthe accounts in accordance
with the requirements of the Companies Act 20061"the 2006 Act").
Having satisfied ourselves that the accounts of the Company are not required to be audited for
this year under Part 16 ofthe 2006 Act and are eligible for independent examination, we report in
respect of our examination of your charity's accounts as carried out under section 145 of the
Charities Act 2011 1"the 2011 Act"). In conducting our examination. we have followed the
Directions given bythe Charity Commission (under section 14515llbl of the 2011 Act.
We are qualified to undertake the examination by being a qualified member of Association of
Chartered Certified Accountants.
We have completed my examination, and I confirm that we have no concerns and have come
across no other matters in connection with the examination to which attention should be drawn
in this report in order to enable 8 proper understanding of the accounts to be reached.
Britain Accountants Ltd
Chartered Certified Accountants
5 Grampian Gardens
Golders Green
London
NW2 1JH
United Kingdom
Date: 22 December 2025

Andover Pre-school Limited
Statement of Financial Activities ISOFAI
Forthe year ended 31 March 2025
Unrestrlcted Restrlcted Total this
funds
funds
year
(£1
(£1
Total last
year
Income
Income from charitable activites & grants
Other income
Total Income
161,061
167
161.228
161,061
167
161,228
135,499
145
135,644
(Note3)
Expendlture
Cost of raw materials and consumables
Staff costs
Depreciation and other amounts written off assets
Other charges l Administrative & Governance
Total Expenditure
(Note41
13.084
90.676
16
39,021
142,797
13,084
90,676
16
39,021
142.797
11,796
86,972
21
31,565
130,354
Net income l (expenditure)
Net movement in funds
18,431
18.431
5,290
Funds
Funds brought forward11 April 20241
Net movement in funds
Funds carried forward131 March 20251
40.738
18,431
59,169
40,738
18.431
59.169
35,448
5.290
40.738

Andover Pre-school Llmited
Balance Sheet I Statement of Financial Position
As at 31 March 2025
Ilncluding Analysis of Unrestricted l Restricted Funds-
Charities Act 20111 SORP FRS 102 Compliantl
Unrestrlcted Restricted Totalthls
funds
funds
(£1
Total last
year
year
Fixed assets
Tangible assets
(Note 6,,
Total fixed assets
47
47
63
47
47
63
Current assets
Cash at bank and in hand
88,680
88,680
88,680
88,680
65,693
65,693
Total current assets
Llabllltes
Creditors: amounts lalling due within l year INote 71
-29,558
-29.558
-25,018
Total net assets or liabilites
59.169
59.169
40,738
Funds oflhe Charity
Unrestricted Funds
59,169
59.169
40,738
Nel assets l Total Funds
59,169
59,169
40,738
The financial statements have been prepared in accordance with the provisions applicable to
companies subject to the small companies regime.
These financial statements were apploved bythe board of directors and authorised for issue on 22
December 2025, and are signed on behalf of the board by..
EAbimbola
Director
Company registration number.. 07114984

Andover Pre-school Limlted
Note5 lo the Financial Statements
As at 31 March 2025
Accounting Policies
lal Basis of preparatlon
The financial statements have been pfepared under the historical cosi convention and in accordance wilh the
accordance with the ChaTlties SORP IFRS 1021- Second Edition, the Financial Reporting Standard applicable in
the UK and Republic of Ireland IFRS 1021. the Companies Act 2006 and applicable charity law in England alld Wales.
The charity constitutes a public benelit entity.
Ibl Golng¢on¢ern
The trustees consider that there are no malerial uncertainties about Ihe charity's ability to continue a5 a goin£
concern.
Ic) Income recognltlon
Income is recognised when the charity has entitlement. it is probable Ihat the income will be received and the
amount can be measured reliably.
Donations ale recognised when receivable.
Grant income is recognised when conditions are mel.
Legacies are recognised when receipt is probable.
Id) Expendlture recognition
Expenditure is recognised once there is a legal or constructive obligalion, it is piobable settlement will be
required and the amounl can be measured reliably.
Expenditure 15 classified under..
Raising funds
Charitable activities
Support costs are allocated on a reasonable and consistent basis.
(el Tangible fixed assets
Depreciation is provided at Ihe following anrbual rates in order to write off each asset over its estimated useful
life or, if held under a finance lease. over the lease term. which ever is shorter.
Furniture & equipment
25% Reducing balance
(fl Debtors
Trade and other debtors are recognised at settlement amount.
(gi Cash at bank and In hand
Cash includes deposits held at call with banks
{h) Credltors
Creditors ale recognised where there is a present obligation.

111 Fund accountlng
Unrestricted funds.. general funds available for charitable purposes.
Restricled funds.. funds subject to donor-imposed restrictions.
Endowment IiJnds= capital must be retained lif applicablel.
Fund accountlng
All funds in the year were unresiricted
Income
2025
(£1
2024
1£)
Income from charitable activites & grants
Oiher income
161061
167
135499
145
161.228
135,644
Expenditure on Charltable A¢tlvltie
2025
2024
1£)
Direcl costs
Support costs
Administrative & Governance
13,084
90,676
39.037
142.797
11796
86972
31,586
130.354
Staff Costs
21)25
2024
i£1
1£)
Salaries
Employer NIC
Pension costs
84.638
616
1.464
86,718
83,642
1.039
1.464
86,145
Average numberof employees
Trustee did not receive any remuneration
TanElble flxed a55ets
Furniture
& equipment
TOTAL
COST..
Balance blfwd
Distmisal
Acquisltion.s
2.292
2.292

Balance 31.03.25
2.292
2.292
PROVISIONS..
Balance blfwd
Charge for the period
2.229
16
2.229
16
Balance 31.03.25
2,245
NET BOOK VALUE
Balance 31.03.25
47
47
Balance 31.03.24
6.3
63
CREDITORS: Amount due wlthln oneyear
2025
2024
1£)
(Éi
Other crediiors
Accruals
24.398
5.160
17.152
7.866
29,558
25,018
Related party transaction
No related party transaction in the year.
Legal Status ol the Charlty
The charity is a company limited by guarantee and has no sh3re capital and is regisiered in
England and Wales. The company is non-profil dislributing. which means that all income received from
whatever source will be used to furthei the Company's aims and objectives and will nol be paid out to
members or others as shares or dividends.
The member undertakes to contribute £1 in the event of winding up.
The address ot the registefed office is 49-50 Corker Walk, Central Square Andover Estate, Islington. N7 7RY.

Andover Pre-school Limited
Independent examiner's report on the accounts
Year ended 31 March 2025
Charity registration number: 1135042
Company number: 07114984
We reportto the charity trustees on my examination of the accounts of the Company for the year
ended 31 March 2025.
As the charity's trustees of the Company Iwho are also the directors of the company for the
purposes of company lawl. you are responsible forthe preparation ofthe accounts in accordance
with the requirements of the Companies Act 20061"the 2006 Act").
Having satisfied ourselves that the accounts of the Company are not required to be audited for
this year under Part 16 ofthe 2006 Act and are eligible for independent examination, we report in
respect of our examination of your charity's accounts as carried out under section 145 of the
Charities Act 2011 1"the 2011 Act"). In conducting our examination. we have followed the
Directions given bythe Charity Commission (under section 14515llbl of the 2011 Act.
We are qualified to undertake the examination by being a qualified member of Association of
Chartered Certified Accountants.
We have completed my examination, and I confirm that we have no concerns and have come
across no other matters in connection with the examination to which attention should be drawn
in this report in order to enable 8 proper understanding of the accounts to be reached.
Britain Accountants Ltd
Chartered Certified Accountants
5 Grampian Gardens
Golders Green
London
NW2 1JH
United Kingdom
Date: 22 December 2025

Andover Pre-school Limited
Statement of Financial Activities ISOFAI
Forthe year ended 31 March 2025
Unrestrlcted Restrlcted Total this
funds
funds
year
(£1
(£1
Total last
year
Income
Income from charitable activites & grants
Other income
Total Income
161,061
167
161.228
161,061
167
161,228
135,499
145
135,644
(Note3)
Expendlture
Cost of raw materials and consumables
Staff costs
Depreciation and other amounts written off assets
Other charges l Administrative & Governance
Total Expenditure
(Note41
13.084
90.676
16
39,021
142,797
13,084
90,676
16
39,021
142.797
11,796
86,972
21
31,565
130,354
Net income l (expenditure)
Net movement in funds
18,431
18.431
5,290
Funds
Funds brought forward11 April 20241
Net movement in funds
Funds carried forward131 March 20251
40.738
18,431
59,169
40,738
18.431
59.169
35,448
5.290
40.738

Andover Pre-school Llmited
Balance Sheet I Statement of Financial Position
As at 31 March 2025
Ilncluding Analysis of Unrestricted l Restricted Funds-
Charities Act 20111 SORP FRS 102 Compliantl
Unrestrlcted Restricted Totalthls
funds
funds
(£1
Total last
year
year
Fixed assets
Tangible assets
(Note 6,,
Total fixed assets
47
47
63
47
47
63
Current assets
Cash at bank and in hand
88,680
88,680
88,680
88,680
65,693
65,693
Total current assets
Llabllltes
Creditors: amounts lalling due within l year INote 71
-29,558
-29.558
-25,018
Total net assets or liabilites
59.169
59.169
40,738
Funds oflhe Charity
Unrestricted Funds
59,169
59.169
40,738
Nel assets l Total Funds
59,169
59,169
40,738
The financial statements have been prepared in accordance with the provisions applicable to
companies subject to the small companies regime.
These financial statements were apploved bythe board of directors and authorised for issue on 22
December 2025, and are signed on behalf of the board by..
EAbimbola
Director
Company registration number.. 07114984

Andover Pre-school Limlted
Note5 lo the Financial Statements
As at 31 March 2025
Accounting Policies
lal Basis of preparatlon
The financial statements have been pfepared under the historical cosi convention and in accordance wilh the
accordance with the ChaTlties SORP IFRS 1021- Second Edition, the Financial Reporting Standard applicable in
the UK and Republic of Ireland IFRS 1021. the Companies Act 2006 and applicable charity law in England alld Wales.
The charity constitutes a public benelit entity.
Ibl Golng¢on¢ern
The trustees consider that there are no malerial uncertainties about Ihe charity's ability to continue a5 a goin£
concern.
Ic) Income recognltlon
Income is recognised when the charity has entitlement. it is probable Ihat the income will be received and the
amount can be measured reliably.
Donations ale recognised when receivable.
Grant income is recognised when conditions are mel.
Legacies are recognised when receipt is probable.
Id) Expendlture recognition
Expenditure is recognised once there is a legal or constructive obligalion, it is piobable settlement will be
required and the amounl can be measured reliably.
Expenditure 15 classified under..
Raising funds
Charitable activities
Support costs are allocated on a reasonable and consistent basis.
(el Tangible fixed assets
Depreciation is provided at Ihe following anrbual rates in order to write off each asset over its estimated useful
life or, if held under a finance lease. over the lease term. which ever is shorter.
Furniture & equipment
25% Reducing balance
(fl Debtors
Trade and other debtors are recognised at settlement amount.
(gi Cash at bank and In hand
Cash includes deposits held at call with banks
{h) Credltors
Creditors ale recognised where there is a present obligation.

111 Fund accountlng
Unrestricted funds.. general funds available for charitable purposes.
Restricled funds.. funds subject to donor-imposed restrictions.
Endowment IiJnds= capital must be retained lif applicablel.
Fund accountlng
All funds in the year were unresiricted
Income
2025
(£1
2024
1£)
Income from charitable activites & grants
Oiher income
161061
167
135499
145
161.228
135,644
Expenditure on Charltable A¢tlvltie
2025
2024
1£)
Direcl costs
Support costs
Administrative & Governance
13,084
90,676
39.037
142.797
11796
86972
31,586
130.354
Staff Costs
21)25
2024
i£1
1£)
Salaries
Employer NIC
Pension costs
84.638
616
1.464
86,718
83,642
1.039
1.464
86,145
Average numberof employees
Trustee did not receive any remuneration
TanElble flxed a55ets
Furniture
& equipment
TOTAL
COST..
Balance blfwd
Distmisal
Acquisltion.s
2.292
2.292

Balance 31.03.25
2.292
2.292
PROVISIONS..
Balance blfwd
Charge for the period
2.229
16
2.229
16
Balance 31.03.25
2,245
NET BOOK VALUE
Balance 31.03.25
47
47
Balance 31.03.24
6.3
63
CREDITORS: Amount due wlthln oneyear
2025
2024
1£)
(Éi
Other crediiors
Accruals
24.398
5.160
17.152
7.866
29,558
25,018
Related party transaction
No related party transaction in the year.
Legal Status ol the Charlty
The charity is a company limited by guarantee and has no sh3re capital and is regisiered in
England and Wales. The company is non-profil dislributing. which means that all income received from
whatever source will be used to furthei the Company's aims and objectives and will nol be paid out to
members or others as shares or dividends.
The member undertakes to contribute £1 in the event of winding up.
The address ot the registefed office is 49-50 Corker Walk, Central Square Andover Estate, Islington. N7 7RY.