Company registration number= 08100944
Charity registration number= 1147882
Sunflowers at Grafton
IA company limited by guardnieel
Annual R¢port and Financial StsiemeTrts
for the Year Ended 31 Augu51 2024

SunfloH'er5 at Grafton
Contents
Reference and Administrative Ikrails
Trusrees, Report
2to6
Siatement of Trusiees. Responsibiliiies
Independ¢ni Auditor5. Repon
8tolO
Staiemeni of Fillpncial Aciivities
Balance Sheet
13
Noies 10 the Financial Staiemenis
14to25

sunfl0￿ers at Grafton
Reference and Administratii'¢ D¢lai15
Chairrnan
J Ratna8e
Secretary
S England
Ch4rit)' Regisiration Number
1147882
Companj RegisirntioN Number
08100944
The charii!. is incorpordied in England and Wales.
sunfl0￿"erS at Grafton
Easi Grdfton
Marlborough
SN8iDB
Reeisttred Offkce
Independent Examiner
Sansum & Co Limiied
l Meadow Vi¢
High Streei
Burbage
SN8 )AF
Page I

SunfloTb"er5 at Grafton
Trustees, Report
The mi￿ee5. who are diretiois for the pury)0ses of companv la￿. preseni the annual report (o&k¢ther with the
rjnancial siaiemenis and audiiors, iepon of ihe chariiable compan} for the Near ended 31 August 2024.
Objectives and acti*itie5
Obje¢ts 4nd aims
To enhance the difvelopmeni and education of children under sthiuiorn school age and of primary whool age by
encouraging parents io understand aTrd proviile for the needs of th¢ir children and by=
Offerinu appropriate pla¥. educaiion and care facilities u"ithin the coni¢xt of a welcoming and healthy
environment and ensuring provision of opkN)rtunitie5 for all ¢hildren regardless of iheir rdce. cultu￿. religion,
means or ability..
Providing opportunities for parents and member5 of the communit). to thk¢ responsibility for. and io become
involved in. such wiiviiies:
Working it] partne￿hIp wilh paient& orgaTri&wion& professiona15 and the local community io ensure the need5
of families and their children are mei: and
Ad￿anCIn& the educaiion al￿ trntning of in the provision of such play. educaiion and care facilitie5 as
described above.
Page 2

Sunflow"er5 at Grafion
Trnst
ort
Objeclive&, sira¢egieF unduciivlile
(￿r rnain aciiviiy is the provision 0[gre￿ chkldcare on a not for profti basi5, ￿]ch utilise5 our beautiful natural
surroundin£s. Specifi¢alls'.
Ofsted registered nursery care for babies and children 10 5 )'ear5. from 7.$0am to 6pm for 51 weeks each year.,
Ofsted reoister¢d oui of School car¢ for primaTh schiM)I children. speciftcallN" breakfasi. after school and
holida% clubs- and
Dailv schwl Iran5POrt for parish children to one of ow local primar>. schools.
The wai. we work
Children are at the hean of ewewhing w'e do and ai the top of the list Is making sure that all children have fu
feel safe and are learnin(y and developing. Alonu th¢ line we make Sure that all ihe relevant staiutory boxes are
licked and thai all our papeTh¥ork is in good order.
The way we work is guided by our core values: Nawrdl. Community aTKI Growin
Natural - Outdoor adventures ar¢ fundamental 10 ihe sunflow.ers ai Grafton experience. We put a5 tnuch time,
thought. planllino and resourcing inlo our outdoor space as ￿t do io our indoor environmeni. creaiing a place in
hich every child can corfft¢ci wilh nature. We I0￿e the ould￿r$. we love naiure and love all ￿￿Ther$.
We k¢¢p ihings simple. honesi and Practical - from our rel&ionships with our families. io policie%. procedures
and pricillg.
Communit)
We are pan of a ihriving rurdl community which is incredibly supportive. We encourage
ever)'one. including parents, our ieam and meTnbers of our local community lo play an active part itl our
prog)ress. We work rogeiher so that the children ai Sunfl0￿"ers have ihe most fanla5ti¢ experiences which will
give ihem the best possible foundaiions for life.
Sunflowers ￿ Grdfton is a registered charity, b&sed in building5 previously occupied by the parish school which
closed in 201 l. Every pennj. ofsurplus income goes into making Sunflowers an even better place.
Groming . We are continuall) exploring Wa￿ in which ￿ do things better and encourage fe¢dback from
families. our ieam and the comrnuniry io help us improve.
Our aciivities are managed and rnn by a qualified. professional team. Sunflowers ai Grafton is a signifi￿￿[ local
emplo}er. wilh ov¢r 20 full-iime anil part-tir¥te employees. The majority of these roles are filled by residents of
Grafton Parish or neighbourinu Parishes.
We have high e¥p¢uaiions and ever%. ¥nember of Ehe team plaNs a k¢v pan in our success. Roles and
responsibiliiies are clearl¥ defined and the team work. log￿her effeciivelj io deliver an amazing service. We
look for regular opportunities io involve members of our lo￿1 community to share their skills. expertÈse and
time on a volun(aTh basis.
Sunflowers at Grafton is commilled io safe.¢wuardtnu and prom￿Ing the welfare of our children and expects our
stafy team and volunieers io share Ehai Commitment.
Pa£e 3

Sunflower5 at Grafton
Truslees, Re
Achie%'erneDIS and perforrnance
This is noi a lear on which w'e shall look back wilh undiluted pleasure. Il ￿35 an annus hotTibilis dofflinated by
Iwo minibus thefts. the firsr in Sep(eniber 2023 and the second in April 2024.
Following the September (heft and burning out of our 15-seat rninibus our fundraising enabled security
itnprovemenis in our grounds. Despiie Ihese securiTh' measures ow 12-seat mintbus was stolen on Easier
Monda}. and found burni oui earll ihe follow'ing morning.
The proceeds from fundrdi5Éng aciiviiies large and small. togeiher wilh insurdnce monies for the vehicle we
oMTred and incredibly generou5 donations. all0￿ed us io purchase ihe firsi replacement vehi¢le in June. We hope
to be a p051tion to replace ihe second vehicl¢ in earls 2025.
That we managed through the lear w'iih no disruption to the services ihai rels. on ihis transpon was nothing short
of a mird¢le iesiament both io the management team and io the immense kindnes5 and g¢nerosiiy of friends
across the communiil and further afield who rallied around to SUPPOrt.
Throughout ihe )ear w¢ ¢oniinued io see chanucs Éli the landscape for wraparound care. specifically breakfast.
fter school and holida%. clubs. and ihis heightened b) the change o( goi'ernment in Jul).. Securing income
from our Wrydpar0￿nd care ￿a5 a prioriD' and ihe mosi significant response Was the opening of a breakfast club
Sunt10￿eTs at Grafion based at one of our I￿al PrimaTh' School%.
Team welfare. well-bein? and recogniiiorE are alw'avs a priority. and the siabiliiy of our permanent ieam reflects
this. A commitm¢ni io education and iraining. celebrdting individual mhlesiones and keeping our salaries in the
upper quartile for Ihe early ￿e3T5 Sector are all imponani parts of this commiimeni. During this year we
implemenied an additional increase in lees in order io ¢oTriinue to keep our salaries ahead of ihe large increase in
National Living Wa¥e.
The impact of the minibus iheft5 was felt mosi keenly in the diversion of lime and energy away from
progressing the objectives of lasi }'ear's straiegic review which is a frustration. We look fonvard w being able io
move forward in ?024'25
Public benefil
The iTUStees confirm thai ih¢! have complied ￿"11h the requiremenis of srttion 17 of Ih¢ Choriiies Act 2011 to
have due Tegard 10 the public benefit guidance published bN" the Chariiv Commission for En&rland and Wales.
Our commitment to a p05iiive impaci in the Parish r¢mains undimmed. In addition io providing community
access io our ￿00dland and plavground and supportino communiTh evenis we have an annual programme of
activities incllldinLY SUPPOrt for our Parish bab% and I(￿JdIer gmup and organising our annual Macmillan Coff¢e
Mornin¥ and Parish liiier pick. Over recent Near5 ￿e have been deligbhied io ini'olvc more N'oung people through
offering volunteering opportuniites io supwn local sludenis w'orking iowards rheir Duke of Edinburgh awards.
Page 4

Sunflow'ers at Grafton
Trnstees, _R¢port
Fin3ncial rei.iew
Dllring rhe ?O?i-24 reportina
period Sunflowers at Grdfton received incorne iotallin8 £562,778 {2023..
£4i6.787). The majoriry. ol'ihis comes from ¢hildcare fees and ¢arly vears fundin
Expenses total £494.402 1202i'. £460.092). Salaries. propert}" Costs and Consumable5 relaiing to the provision of
childcare servi¢e5 are the highe51 expense iiems. £i81 of these expenses are set againsi the Building and
Ground5 Fund sei aside in 2021 tor essential building and mainienance.
Funds to recover from ihe iheft of our rninibuses reached just over £59.0(M) the end of the >'ear- Ihis total
rnad¢ up of Ins￿rance monie5. donations and fundrai5Lng W'e speni £40.846 on grounds security. Ihe costs
a5￿clared Mith inrerim replacement vehicles and the purchase of a replacerneni vehicle. The remainin& just
over £18,000. is Ca￿led over 10 ?0?4'25
Tru51ees are pleased io report thai. if we exclude ihe im￿1 of the minibus thefts from income and expense
figures. we see a return io a small SUTplus for ihe )ear.
Polic) reierve5
In setting our reserves policy Me are consCiOU5 of the need io ensure thai suffieieni reserves exisi to enable
normal operating aciivities to continue in the eveni of varia11￿% in income and to take accouni of essential
unplanned eX￿ndi1Ure in Èhe )'ear ahead.
Th¢ balance of unresiriaed fund5 ai the end of Augus1 2024 was £153.172 1202).. £84.769) and includes ihe
follow'jno designaiions..
Coniintsenc} reserve £65.000120) )'. £$5.000)
General fund £88.i461?0?"
£19.?141
Bllilding and LFrollnds fiEnd £ l 0.1741202).. £10.5551
minibus and security £18.2501202i.- £Nil)
Trustees have a55es5ed th¢ risks faced bl. the organisaiion and iheir likel). cost implications and aim to build our
Contingenc% Reserve Fllnd io £114.000 which equaies io i rnonihs of oper&ional expendiiure. Whilst our
Contingen¢J Rekrve remains belom the desired l¢vel rrusiees are comfortable wilh overdll level of reserves and
consciou5 that building rtserves io £114.000 will be ditTicult io achieve.
Reserves will be moniiored quarterly bv the looking boih & current free reserves and the forec&5t
position for rhe vear end. The ¢nsures rernedial aciion Can be taken qlli¢kly in the event of an unexpected.
significant. or irreversible deficit.
Page 5

Sunflowers al Graft
Tru51ees'_Report
Strueture• go%ern*nce #nd managemen¢
OrRanisuiion&l slruclure
Sunflowers at Grafton is a charithble Company limited by glkaraniee. The organi5ation 15 governed bv a Board of
Trustees. F_ach irusiee 15 required io be a dire¢Tor of the companv. Ai each annual general me¢itngp one_third of
Irusiees must reiire from office and are then tniitl¢d io stand for re•eleciion.
The directors and board of trustees Tne¢i 4 limes a lear io decide such mallers as strategic policies and major
de¢i5ion5 relaiinL 10 the alTairs of Sllnflomers at Grafton. The board of rnsrees is specifically required to
deiemine ehildcare fees and io lake responsibilih. for ihe organisaiions a%5et5.
Each of the trustee5 suaranttts to pa). Ihe sum of £1 in the event of insolvency. A memorandum of associ￿lon is
in place which deiails the objective5 and powers of ihe chariij and it ts governed by anicles of associaiion.
All ￿sitt5 and voluntttrs give of their lime freely and no remunernion or expenses w'ere paid during the
reporting peri￿].
A Business Manager reports io the Board of Trustees and leads the Senior Leadership Team ISLT) which
manag>es the daY-t￿daY operations.
Tru5te¢s and officer5
The Irusiees and ofticers serving durinu the vear and since the )tar end were as follows:
Trusiee5'.
T Rea).
S Mccalla
N Aire}
J Rainage
G Winn {Resign¢d 25 November 20241
Chairnian..
J Ratnage
Secretary=
S England
Disclosure of inforrn8tion io audii•r
F.ach trustee ha5 iak¢n sieps ihat the%" ouqht ro have tak-en as a irnstee in order io mak'e ihemselves aware of anv
relevani audit information and io establish that the chariTr's auditor is a￿are of thai inforn)ation. The irustees
eonfirm thar there is no relevant inforniaiion thai theN" know of and of which the) knom" the audiior is unaware.
The annual report was approved by the trustees of the chariiy on 2 June 2025 and signed on its behalf by..
J Ratnabwe
Chaimian and Trn5tee
Page 6

Sunflow'ers at GrAfton
Statement of Trustees, Responsibilities
The trusiees (who are also ihe director5 of SunfloM"ers ai Grdfton for the purposes of compan) lawl are
responsible for preparinu the In￿lee5. rewTrrt and the financial 51atemenis in accordance ￿lIh applicable la￿ and
United Kingdom Aecouniin£ Siandards (United Kingdom Generdll!. Accepted Accoyniing Prdcticel, including
FRS 102 "The Financial Reponin(T Siandard applicable in Ihe UK and Republic of Ireland"
Cornpany law require5 the Iru51ees io prepare fin3nCLal siaiemenis for each financial }'ear. Under C{￿7p&￿V law
Ihe irustee5 must noi approNe the financial siai¢ments unless thev are saiisfjed ihai ihe) give a mie and fair view
of ihe sthie of affakrs of the charitable compan) and of ihe incoffling resouwes and application of resources,
includEng its income and expendiiure. of thc charitable compan), for thai period. In preparing these financial
siatemenis. the trustees are reqtsired to=
Select suitable accountin¥ policies and appl) them Consi￿enTly.
obs¢rv¢ ihe method5 and principles in the Charities SORP=
make judLyemenis and eS1imaies that are reasonable and prudeni.
state %￿hether applicable accountinv standards. comprising FRS 102 have b¢en followed. Subject to any
material departures disclosed and ¢xplained in ihe financial suements: and
prepare ihe find￿Cial staiemenis on Ihe going concern basis unless it is inappropriate to presume that the
charitable compan) M'ill continue in busine$5.
The irnsieLS are responsible for keeping proper accounting rwords ihai can di5c105e with reasonable accuracv at
any time the financial position of the charitable compank and enable ihem io ensure that Ih¢ financial siaiement5
comply with the Companies Act ?006. TheN are also responsible for safeguarding the assets of th¢ chariiable
compan} and hence for tak'ing reasonable sieps for the pr¢%'ention and deieciion of fraud and other irregularities.
The trustees are Tesponsible for the mainlenance and iniegritv of ihe corporaie and financial infomiaiion
included on the chariiable ¢ompan} s w¢bsiie. Legislation qoverning the preparaiion and dissemination of
financEal statements ma}. differ from legislation in other jurisdictions.
Approv¢d by the tru5tee5 of ihe charity on 2 June 2025 and signed on its behalf b>.=
J Ratnage
Chainnan and tn￿lee
Page 7

Sunflom'ers alGrafton
Independent Auditor's Report lo the .Members of Sunflowers at GraftOD
Opinion
We have audiied the financial siaiements of Sunflowers ai Grafton (the 'chariiy'} for ihe year ended 31 Augu
?024. which comprise the Siatemenl of Financial Acii%'iiies. Balance Shee(. and Notes io ihe Financial
Statements. includino a summarn of 5ignifJcani a¢¢ouniin¥ policies. The finantial retM)ning framework thai has
been applied in their preparation is United Kingdorn Accounting Siandards. comprising Charities SORP - FRS
102 'The Financial Reporting Standard applicable in the UK and Republic of Ireland. and appli¢able law (United
Kingdom Generally Accepted Acco￿ni1ng Practice).
In our opinion th¢ financial %taiem¢nrs'.
(pive a irue and fair view. of ihe slate of lh¢ chariil s affairs as ai i l August 2024 and of 115 incoming
resources and applicaiion of resollrces. including lis in¢ome and expenditure. for ihe year then ended..
have been properlv prepared in accordan¢¢ wilh United Kingdom (ienerdll> Accepi¢d Accounting Prdttice,.
have been prepared in accordance with the requirements of the Cornpanies Aci 2006.
Basi$ for opinio
We eondiicied our audii in accordance with International Swidards on Auditing (UK) {ISAs (UK)) and
8pplicable la￿. Our r¢sponsibilities under ihose sthndards are further described in the auditor responsÈbilitie5 for
the audit of ihe financial 51atemenis seciion of our repon. Ille are independ¢ni of the charity in a¢¢ordance with
the ethical requirements that are r¢levani io our audit of the financial statements in ihe UK. including the FRC'S
Eihical Standard, ond M'e have fulfilled our oiher ethical responsibiliiies in accordance with these requirernenls.
We belIe￿e (hai the audii evidence ￿e have obrained is 5uITicieni and appropriaie lo provide a basis for our
opinion.
Con¢lusion5 relating to going CODcern
In audiiinu the financial siarements. M'e have Concluded th21 ihe In￿let$ Use of the going concem basis of
accounting in the preparaiion of the finoncial statements is appropriaie.
Based on ihe work we have perfornied. we have noi identified anj material uncertainiies relatin8 to events or
¢ondiiions that. individuall). or ¢ollecEi*el%. ma% casi si￿7r1caTht doubl on the charit%"'s abili¢y 10 continue a5 a
going conrem for a period of at least iwel¥e months from ￿'hen th¢ original financial 5Lltern¢nts ￿ere authorhsed
for issue.
Our responsibilities and (he re5pon5ibilitie5 of the irusiees ￿"Èth respea io going coneem are de%ribed in the
relevani seciions of this r¢porn.
Oiher inform*tiot)
The in￿lee5 are responsible for the other inforniaiion. The other inforniation comprises the infomiaiion included
in the annual repon. oihei Ihall the financial siaiemenis our auditor 5 report thereon. Our opinion on the
linan¢ial 5taltments does noi coker the other inf0M￿tion and. eNcept io ¢he eNteni otherwise expli¢itl)' stated in
our r¢pon. w'e do not express an%. fomi of as5ufdnce conclusion thereon.
In Connection with our audit of the financial 5tateTnents. our responsibiliTh' is io read the oiher infomaiion and.
in doing so. consider wheiher ihe other infortnaiion is maieriallN' inconsisieni ￿tIh ihe financial staiemenis or
our knowledge obtained in the audit 01 otherw"i5e app¢ars io be maieriall). misstaied. If we idenlify such material
iftconsistencies or apparent material missiatement5. %e are required to deierniine ￿h¢Ther there is a maiertal
missiaiernent in ihe rtnancial statements or a Tnaierial misstoiemeni of the other infom)ation. If. b&sed on th¢
work ￿t have perfornied. we conclude thar there is a material missthiement of thts oth¢r infomiaiion. we are
required io report ihat faa.
We have nothing to repon in this regard.
Page 8

Sunflowers at Graf¢on
Independent Auditor'5 Report to the Members of Sunflow¢r5 at Grafton
Opinion on oiher matter preseribed b) the Companies Acl 21106
In our opinion. b&sed on ihe iwork undenaken in the course of the audii=
the inforniation given in the Trnsiees, Report for ihe financial year for whtch the financial statements are
prepared is consistent with ihe financial staternents. and
the Tru51¢es' Report has b¢¢n prepatd in accordan¢¢ Mith applicable legal requirements.
Matters OD ￿h1¢h we #rt required to report b) exc¢ption
In the li&Tht of our knom ledoe and undeT5tandiTr? of ihe ¢harit)' and its environment obtained in the course of the
audii. we have noi ideniified tnaierial missthiemenis ill ih¢ Trusiees. Report.
We have nothing io report in respeci of the follow'irhg mauers ￿h¢re the Companies Act 2006 requires us to
report io you if. in our opinion..
adequaie ac¢ouRting records have not b¢¢n kept. (K retwns ad¢quaie (or our audit have noi been received
riom branches noi visited b} us= or
Ihe linancial 5tai¢menLS are noi in agreemeni with ihe acwuniing records rewrns; or
certain dÉsclosure5 of trustees remuneration Specified bl law are not made: or
we have not received all ihe infoTrnation and explanation5 we require for our audit.
Responsibtlities of trusiees
As explained more fullv in rhe Siaiement of Tru51ees' Responsibilities Isei oui on p￿(Fe 7). the trusrees are
responsible for the preparation of the fjnancial statemenis and for being saii5fied thai ihel, give a true and fair
view. and for such inrernal control a5 the mistees deiemiinc is necessary to enable ihe prepardiion of financial
siaiemtnts that are free from material misstatemcnt. w'hether due to fraud or error.
In preparing the rtnancial staiemenis. the trustees are responsible for assessing ihe charity'5 ability to continue as
a goin£ concern. disclosing. as applitable. mallers relaied io going conc¢m and using the going concern basis of
accounting unless ihe 1rn51ees eiih¢r iniend io liquidate the charity or io Cease operations. or have no realisti
aliemaiil'e bui to do so.
Auditor re5POn5ibiliiies for the audit of ihe financial 5tatetnents
Our objecti*es are 10 obtain reasi)nable as5ufdnce aboui Mheiher Ihe financial siaiements as a m.hole are fre¢
from marerial misstaiement. w"hdher du¢ ro fraud or error. and io issue an auditor s rep(Trrt thai includes our
opinion. Reasonable assurance is a high level of assurance. but 15 not a guardniee ihai an audit conducied in
accordance w'ith ISAS {UK) will alwa)s deieci a material missiaiement it exisis. Miss¢aiements can arÈse
from fraud or e￿Or and are considered material if. individuall) or in ihe awegale. thev could re&onably be
exp¢cied io influence the economic deciSLOnS of users iaken on the basis of these financial statements.
The extent to which our procedures are capable of detecting irregularities. including fraud is de￿lled below.-
Our audit procedures are designed primarili 10 eipress an opinion on ihe financial sthiements as a whole and.
consequentl!,. do noi provide absoluie assurance that all irregularities. including fraud. will be detected.
Ho￿ever, in designing our audit. we considered ihe chariry 5 internal contro15 ielevani 10 the preparation of ihe
financial statements in order to design audai procedLsres thai are appropriate in the circumstsnees. These
procedures included inquiries of management. analltical review. iesiing of selected trdnsaaions. and evaluation
of the overall control environment.
While the risk of not detecting a maierial missiatemeni due io fraud is hioher than for one resulting from error.
we have exercised professional skepiicism throuu
out the audii and considered ihe possibilii}' of manageTnent
override of controls or collu5È0n. Based on the pr(￿edureS perfomied. did noi ideniify. any material
irregulariiies or instance5 of fraud during the audit peri￿.
Page 9

Sunflow'ers at Grafton
Independent Auditor's Report to the Members of Sunllower5 al Grafton
Use of our report
Thi5 rtpon is made solelv to the charithble companv'5 tru51ees. as a bodN'. in accordance with Chapter 3 of Part
16 01. Ihe Cotnpani¢s Aci ?006. Our audii work ha5 been undenaken 50 ihai we might 51ate io th¢ Charity's
tW5Tet5 thosL ma¢t¢T5 ￿¢ are requtred 10 51aie io them in an auditor > report and for no oiher purpose. I'o the
fullesi eKient perniiiied b) laM'. we do noi accept or assurne responsibilit%. (o ansone other than ihe charitable
compani, and its tTU51ees as a bodj. for our audii ￿Ork Cor this re￿￿ or for the opinions we have formed.
(Senior SiatuloTh Auditor)
For and on behalf of Sansum & Co LimÉted. Sthmrory Auditor
l meado￿ View
Flioh Sireei
Burbane
SN8 JAF
95 June ?0?5
Page 10

Sunflow'er5 at Grafion
Statement of Financial _Actii'ities for the Year Ended 31 A_ugust 2024
(Including Income and Expendi¢ure Account an
Statement of Totgl Reeo
-.￿nised Gains
and Losses)
Totsl
2024
Unresiricied
Restricied
Incorne and Endowments from:
t)onarions and legacies
Chariiable a¢tivitie5
Other income
i9.894
489.i49
22.920
39.594
499.964
?2.920
10.615
Total Incom¢
55? 16j
10.615
562,778
Eipendiiure on-
Raising lunds
Chartiable activities
Other expendilure
{7831
481.925)
{7831
1491,1961
12,4231
{9.271)
{1.2481
Toial Expendiwre
148J.88il
{10.5191
1494,4021
Net income
96
68.i76
Net movement in fund5
68280
68,376
Reconeiliaiion of funds
Total funds broughi forward
Total fwids carried forward
84.769
87.653
19
153.049
2.980
156.029
The notes on pages 14 to 25 form an inregrdl part of the5¢ financial statements.
Page 11

Sunflo
r5 at Grafton
Stalement of_Fill2n¢ial Activiti¢5 for the Year EndeJl.11 Au
(Ineluding IneomE3nd Ex
enditure Account and Stalcment of Total Re¢ognised Gal
and Losses)
For the j'far ended 31 August 2023
Total
2023
Unrestricttd
Re5tricied
Note
Incomt and Endowments frorn:
Donations and legwaeies
Charitable aciiviikes
Other income
1.377
4ii.584
17.i26
1.377
4)8.084
17.326
4,5(NJ
Toral Income
452.?87
4.500
456.787
Expendilurt on:
Charitable activities
Other expenditure
{4i8.6081
118.8681
12.1081
1508}
1440.7161
119.3761
Total Expendiiure
1457.4761
12.616}
1460,0921
Net lexpenditur¢Vincome
15 189
1.884
li.i0S1
Net movement in funds
{$ 1891
1,884
li.)051
Reconciliation of funds
Toial funds broughi fon¥ard
89.958
i.o¢x>
90.958
Total funds carried forward
19
84.769
2.884
87.65)
All of ihe charity's activities derive frotn coniinuing operations during the above nvo periods.
The funds breakdo￿7) for 2023 is shown in 19.
The notes on page$ 14 10 25 form an iniegra] part of thes¢ financial ststements.
Page 12

ow'ers at Grafton
{Registration number: 08](￿944)
Balanee Sheet as al 31 August 2024
2024
2023
Nole
Fixed asleis
Tangible assets
14
36228
7.015
Current assets
Debtor5
Cash at bank and in hand
15
21.717
24.502
69.346
16
142.858
9),848
Crediiors: Amounis falling due hithin ve*r
Net Current assets
17
123.057}
(li.2101
119.801
80.6i8
Net ass¢1s
156.029
87.65)
Funds of the chariti.:
Restricted income funds
Resiricied funds
19
2.857
2,884
Unrestricted income fund5
Unrestri¢red funds
15i.172
84.769
Toial fund5
19
156.029
87.653
The flnancial 5tatemenis on pages 11 10 25 were approved by the tyus*es. and authorised for issue on 2 June
2025 and sigfted on Iheir behalf by..
J Ratnage
Chairnian and Trnstee
The notes on pages 14 ￿ 25 forni an iniegrJl part of these financial ststements.
Page li

SunfloiTr¢rs ai Grafton
Notes to the Fi
.Janeial St4tements for the Year Ended 31 AuLusL2024
I Charity. st8tus
The charii!, is limited bv guardnttt. incorwrdied in England and Wales. and ¢onsequenil)' does not have share
capital. Each of the irusiee5 15 liable io contribute an arnouni noi exceedin? £ I towards the assets of rhe charitv
in ihe event of liquidation.
The address of lis regtstered otTice is-
sunflow.ers ai Grafton
Easi Grafton
Marlborough
SN8 30B
These fJnan¢ial statements were auihorised for Èssue by the trustees on 2 June 2025.
2 Actounting policies
umm#rTr' of significant accouniing policies and ke) accounting estirn*tes
The principal accounting policies applied in the preparaiion of these financial siaLemen15 are set out below.
These policies have been consisientli applied io all the )'eaTS pre5eni¢d. unless otherw'is¢ ststed.
Siaiement of complianc¢
The financial staiemenis have been prepared in accordance ￿"ith Accountinu and Reporting by Charities..
Siaiement ot Recommended Ptactice (applicable to chariiies preparing iheir accounts in accordance with Ihe
Financial Reponing Standard applicable in the UK and Republic of Ireland IFRS 10211 (issued in October 20191
(Charities SORP IFRS 10211. the Financial Reporting s￿dard applicable in the UK and Republi¢ of Ireland
IFRS 102} and ihe Companies Aci 2006.
Basts of prep#ralio
Sunflowers ai Grafton meets the definition of a public benefit entiTh' under FRS 102. Assets and laabilitie5 are
initiallv recognised at historical cosi or irdnsaction value unle55 oiherwisc 51aled in the rele&ani ac¢ounting
policy notes.
Going concern
The iru5tees consider thai ther¢ are no maierial uncenainties abo￿ the charitvs ability to coniinue as a going
concern nor any si£rtificant areas of uncenaintv affect ihe tanying value of assets held by the charity.
Exemptton from pre￿rIng a cash ff￿￿ Si*iemeDt
The chariiv opted io earlv adopt Bulleiin I published on 2 Febnwy 2016 and have therefore noi included a cath
flow siatement in these financial siaiements.
Incorne And tndowm¢nts
All income is recoLnised once the charii!. ha5 entiilemeni lo the income. il 15 probable thai the income will be
received and the amouni of the income receivable can be measured reliably.
Page 14

Sunflow'ers at Grafion
Notes to the Financial Statement5 for the Y¢8_r Ended 31 Au
ust 2024
Donoliolls and legacie5
DonatlOn5 are Tecognised when the ch3ritv has been noiified in w'riting of both the amouni and senlem¢nt date.
In the e￿en1 ihai a donation is subject to condiiions ihai requir¢ a l¢vel of perfomiance bj the charitv b¢fore the
charity is entitled to the funds. the in¢ome is deferred and not recognised llniil either ihose conditions are fullv
meL or ihe fvifilrnent ofth05e condilions is whollv within the control of the charity and it is probable that these
conditions w'ill be lulfilled in the reporting period.
Gronls receivable
Grallt5 are recognised *hen the charit%. ha5 an eniiilemenr io the fvnds and an￿ conditions linked io the grant5
have been rnei. Where perfotrnance conditions are attached io the wi and are sei io be mei. Iht incotne is
re¢ognis¢d &5 a liability and included on the b8laTKe sheet as deferred income to be released.
Inve&imeni income
Dividends are recognised once the dividend has been declared and noiification has been received of the dividend
due.
Eipendi¢ur¢
All expenditure is recognised on¢e there is a legal 01 construciiie obligaiion io ihai expenditure. it Is probable
settlemeni is required and the amount can be measured reliablN. All cost5 are allocated io ihe applicable
expenditure headinl that awe¥aie similar costs io thaL caie?oTr. Where C0515 cannoi be dire¢Lly attribuied to
particular heading)s thej have been allocated on a basis con5151eni with ihe use of resources. M'iih central staff
costs allocaied on th¢ basis of lime spent. and depreciaiion Charges allocai¢d on ihe portion of the assd-s use.
Other support Costs are allocated b&5ed on the spread of sthff costs.
Rdisin%lunds
Th¢5e cost5 are incurred in aiiraciing volunw), income. the management of investments and ihose in¢urred
tradiR¥ activities thai rdise funds.
Chariluble a£'tiv'ilie5
Charitable expendiwre COTnPri5e5 those costs incurred b!. the charity, in the delii'er¥' of its aetivities and services
for lis beneficiaries. It includes both cosis ihai can be allocaied direCLI￿ io such activities and those costs of an
indireet nai￿re necessary io suppon ihem.
Support C0515
Support cosis include ¢entrdl fianciions and have been allo¢￿ed io aciivity cosi cai¢gorie5 on a ba515 consisteni
with the use of resource5. for exatnple. allocating prOk￿Y costs by floor are&s. or per capit& staff cosi$ by the
time speni and oiher costs b) Iheir usage.
Govern&nce cost5
These include the costs anributable io the charits's compliance wilh constiwiional and staiutory requiremen1&
including audit. 5trdiegic rnarhaoemeni and irusiees meerings and reimbursed expense5.
Tzxatio
The ¢hariiJ is considered io pass the test% sei out in Paragrdph I Schedule 6 of the Fingllce Act 2010 and
therefore it me¢(s Lhe definition of a charitable compan!" for UK Corporation purposes. Accordinglj. the
charirs is poienihall}' exempi from thxa¢ion in respeci of income or capital gains received within categories
covered bl. Chap￿r i Part I l of the Corpordtkon Tax Aci 2010 or Sertion 256 of the Taxaiion of Chargeable
Gains Aci 1992. to the exieni that such income or gains ar¢ applied excluskvel>' ro charithble purposes.
Page 15

Sunflom'ers ai Grafton
Notes to the Finaneial Stalcm¢nts for th_e Year Ended 31 AugusL20_24
Tangible fixed assets
Indii idual fixed asseis cosiing £250.00 or more are iniiially recorded ￿ ¢os¢ less any subsequent &¢¢umulated
depreciaiion and subscqueni accurnulal￿ impaimieni l¢)sse5.
Depreciation aDd amortisation
Depreciation is provided on langibl¢ fhxed a55ets so as 10 WTite off ihe com or valu*ion. less any estimaied
residual value. over their expecied useful economic lif¢ as follows-
Assei class
OtTice equipment
Pre-school & nurseTI' equipment
Fixtures & finin¥5
Moior vehicle5
Leasehold irnprovemenES
Depreciation method and rate
jj siraighi liThe
33 /• siraighi line
j30/1l Straight lÈne
20010 straighi line
strai¥hi line
Trade debtor5
Trade debiors are atnounis due from customers for M¢￿h8nd15¢ sold or services perfomied in the ordinary
COUTse of busine55.
Trade debtors are r¢cognrsed rniiially ar ih¢ trznsaciion price. TheN are subsequenilj Tneasured ai amortised cosi
using Ihe effeciive interest meihod. l¢ss provision for impairmeni. A provision foi the impairnieni of trade
debtors is esiabli5hed when ihere is objecti￿e eviden¢e th￿ the charity will not be able to colleci all amounts due
according 10 ihe Original tertn5 of ihe receivables.
Cagh and c8sh equivaleDIS
Cash and cash equivalen15 comprise cash on hand and call dep051ts. and other short-iemi highlN' liquid
invesimenis thai are reads1) con&ertible to a kno￿ amouni of cash and or¢ subject to an insignificant risk of
change in vallte.
Trade creditors
Trade creditors are obligations io pay for goods or servi¢¢5 that have been acquir¢d in the ordinary course of
busines5 from Suppliers. Accounts pa)2ble are classifhed as cU￿ent liabilities if ihe chariN doe5 noi have an
nconditional righi. ai the end of the rewning period. io defer senleTneni of ihe cr¢diior for ai least twelve
tnonths after the reportin? date. If ihere is an unconditional rieht to defer selllem¢ni for at leasi Nelve tnonths
after the reporting dale. Ihey are presented ￿ non-current liabilities.
Trade creditors are recounised iniiiall). at the transaction price and subsequently measured at amortised cost
Uging ihe effective inierest Melh￿j.
Page 16

￿flo￿'er5 at Grafton
Notes to th¢ Financial Statem¢JJts fO￿r th Year Ended 31 August 2024
Foreign exchange
Transa¢tivn5 in foreign currencies are recorded ￿ the rnt¢ of exchange ai the date of the transaction. Monetary
asseis and liabiliiies denuminaied in foreign currencies ai the balance shttt date are ￿ported at the rates of
exchang¢ prevailing ai thai dale.
The results of overseas operaiions are translated ai the a%erdoe rdtes of eichange dL¥ring the period and Eheir
balance sheets at ihe rate5 ruling at the balance sheei dale. EKchange differences arising on translaiion of the
opening nei assets and re5uIt5 of oi'ersea5 operaiions are reported Én orher comprehensive income and
accumulated in equity lanributed to non-controllin£ inierests as appropriaie).
Other exchange differences are recogni5ed in the Statem¢ni of Financial Aciivilies in the period in which the).
arise excepi for=
I l excharkge differences on trdnsactions eniered into to hedge certain f¢)reign currency risks (see above):
2) exchanb?e ditTeren¢es arising on gains or losses on non-monetsry items which are reco￿]Sed in other
comprehensive income.. and
31 in the case of the con501idaied financial staiemeni& exchange differen¢¢s on monelary iiems receivable from
or paJ'abl¢ ro a foreign operaiion for which settlemeni is neither planned nor likelj lo occur Iiherefore formin
part of the nei inve5tm¢ni in the foreign ope￿￿0￿). which are recognised in fflher comprehensive income and
reported under equit>'.
Fund structure
Unre5tricied incorne fitnds are gen¢rdl funds thai are awailable for use * the tnEsrees discretion in funherance of
the objectives of ihe charity..
Designaied funds are unresiricied funds set aside for specific purposes at the discretion of the trustees.
Re51ricied incorne fvnds are thos¢ donated for use in a particular arvd or for specific purposes, the use of which
is resffic￿d io thai ar¢a or purpose.
PeN5ions and other post retirement oblig41ions
The chariiN operaies a defined coniribuiion pension scheme which is a pension plan under which fixed
coniribuiigns are paid iTtio a pensioTt fvnd and the charin. has no legal or consinJciiv¢ obligaiion to pay further
oniributions even if ihe fund doe5 noi hold sufficieni assets to pay all emplo>ees the benefits relating to
employee service in ihe eurreni and prior periods.
Contr2bllttons to defined contribution plans are recognised in ihe Stsierneni of Financial Arfiviiie5 when ihey are
due. If contribuiion pa)Thenis exceed the coniribuiiou due for service. the excess is recognised as a prepa)Tneni.
Page 17

Sunflow'ers at Grafton
Notes to the Finaneial.Sl_alc_ments for the Year F.Dded 31 August 2024
3 Income from donaiions and legacies
Unreslricted
funds
General
Total
funds
Donations and legacies:
Donattons from individuals and events
39.894
39.894
Total for 2024
i9.894
39.894
Total for 2023
1.377
1.377
4 Income from ch*rit#ble aetivilies
Unresiricied
runds
GeRerAI
Re5trieted
funds
Tot81
funds
Childcare income
489.i49
10.615
499.964
Total for 2024
489.i49
10.615
499.964
Total for 2023
43 j.584
4.-500
4i8.084
4 Other income
Unrestr￿￿1ed
fuDd5
GeNergl
Totsl
fund5
Minibus and other incorne
22.920
?2.920
Total for 2024
2?.920
22,920
Total for 2023
17.)26
17.)26
Page 18

Sunflow'ers at Grafton
l%otes to the Financial Statem
nts for the Year F.nd
.11 August 2024
O Expenditure on cbar&tabl¢ activities
nr￿trIcted funds
DesigDated
General
Restri￿ed
funds
Total
funds
r*ote
childca￿ income
Staff costs
i2.866
i8i.166
6.017
3.2(WJ
38,883
386.366
Allocated support
costs
56.602
9.?91
54
56.656
9.291
Govemanee eosts
Tot91 for 2024
481.925
9.271
491,196
Total for 2023
4.178
4i4.430
2.108
440.716
In addition to the e¥pendiiure anal!'5ed al)ove. Ihere are also governance of £9.2911202i
relate directl> to chaTirable aciivitkes. See noie 8 for ￿rther detsils.
£3.6531 which
7 Othtr txpenditure
L'nrestricted funds
Dt5ignated
Genernl
Restricted
funds
Total
runds
Note
Staff costs
Wages and salaries
Other staff costs
Depreciaiion. amonisaiton
and oiher similar costs
Minibus exp¢ndiiure
4.976
329
4,976
954
625
i81
114.676)
10.165
623
( lJ.6721
10.165
Total for 21124
i81
1.248
Total for 21123
?67
18.601
508
19.376
Page 19

Sunflow'ers at Grafton
Notes to th¢ Financial Statements f(bf_..Ihe Year End
ust 2024
8 An&l>'si$ of gO￿tr￿anCe costs
Governance costs
Unre51ricted
rund5
Gener81
Tot81
funds
Independent examiner fees
Examinaiion of ihe financial stai¢men
Other f¢¢s paid io examiners
Le. I fee5
7.860
1.089
i42
7.860
1.089
Toial for 2024
9.291
9.291
Total for 2023
i,653
i.653
9 Net incomingloutgoing resourc
Net incoming'louigoingl rewurces for the s'ear include..
21124
2023
Loss on di%p05al of fixed assets held for the chariry's own use
Depreciation of fixed asseis
118.526)
4.854
i.688
10 Tru51ees remuneration and expenses
No trusiees. nor any per50n5 conneaed with them. have received any remuneraiion from the charity during the
No rwstees have received anj reimbursed expenses or other benefits from the charity during the year.
I I Staff Costs
Th¢ aggregaie payroll cost5 were as follows-
2024
2023
Staff ¢05t$ during iht )'ear m'er¢:
WagJe5 and salaries
Pension costs
her staff costs
377.611
11.698
?.987
348.123
9.095
2.112
392.296
i59.i30
The monihls. average number of persons (including senior rnanagerneni I leadership team) emplo)'ed by ihe
chariN during rhe year expressed as full lime equikalents as follo￿S..
Page 20

Sunflowers a¢ Grafton
Notes to the Financial Siatements for th¢ Year Ended 31 Au
ust 2024
2024
No
2023
No
Average number of persons emplojed
15
No employee received emoluments of more than £60,000 during the year.
12 Independent examiner's remuneration
2024
2023
Exarnination of the financial statements
7.8()0
1,428
Oiher fees to examirters
All other services
1.089
1.031
13 Taxation
The charity is a regisiered charity and is ihefefore exempt from mwion.
14 Tangiblt fixed as5¢ts
L&nd and
buildings
Furniture xnd
equipment
Other tangible
ri%ed a55et
Motor i'ehicles
Total
C051
Ai I Sepiember
202i
Additions
Disposals
9.249
2.869
4.359
6i5
262iO
iO.000
126.110)
22.46i
617
62.301
34.121
(26.110)
At 3 1 August 2024
4.994
iO.120
2).080
70.i12
Depreciation
At I Sepleniber
2023
Charge for Ihe year
Eliminated on
disposalg
5.583
1.060
4.026
489
26.2iO
1250
19.447
2,109
4,908
126.110}
At 31 August 2024
6.64i
4.515
l.i70
21.556
34,084
Net book ￿￿1￿¢
At 31 Augusi 2024
5.475
479
28.750
1.524
36.228
At 31 Augusi 202)
i3)
3.016
7.015
Included within the bi)ok value of land and buildin£s al)Q￿e is £Nil {2023 - £Nil) in respeci of freehold land
and buildings and £S.475 120? j - £4.51 Sl in respeti of leaseholds.
Page2l

SunfloM'er5 #1_&rafton
otes to the Financial Stalements for the Year Ended 31 August 2024
14 Debtors
2024
2023
Trade debtOTS
Prepa%Thenis
Other debiors
11.971
4.601
5.145
19.755
4.058
689
21.717
24.502
Trade debtors illclude debt thai is nor cumily due for Pa￿￿ent totalling £l1.062 {2023'. £5,784)
16 Cash and cash equi￿81¢￿¢5
2024
2023
Cash ai bank
69,i46
17 Creditors: arnollnts falling due w'iihin one lear
2024
2023
Trad¢ cr¢diLI)rs
Other creditors
Ac¢ruals
2.811
9.297
10.949
657
7.256
5,297
2i.057
li,210
18 Pension and other Khemes
Defined ctsntribulion pension scheme
The charity operaies a defined coniribution pension %h¢m¢. The pension cost charge for (he year represen15
coniributions payable bj the Chari￿" to the %h¢me and amounied io £11.6981202? - £9.0951.
Page 22

sunflo￿.ers at Grafton
otes to the Financial Statements for t_h¢_Y¢ar Ended 31 Au
ust 2024
19 Fund5
Balance at I
September
2023
Balance at
31 .4ugu5t
2024
Ineoming
resources
Re50UTee5
expended
Tr4n$fers
Unrestricted funds
General
General funds
19.214
552.163
148i.i79)
1282501
59.748
Designa¢ed
Contingenc). reserve
Buildings" and ¥rounds -
esseniial mainenance and
improvemenis
MinibLkS and securiiy
55.1MM)
lo.￿)0
65.0(K)
10.555
(381)
10.174
18.250
18.240
li811
28.250
93.424
Tot41 unrestricted funds
84.769
552.16i
148i.7601
153,172
Restricted funds
Grant intume
Inclusion funding
Tot81 restricted funds
500
3.8?4
6.790
14.j?S1
16.i171
2.857
?.884
10.61$
{ l 0.￿2)
2,857
Total fll￿d5
87.65)
562.778
1494.402)
156.029
Pa£e 23

Sunflowers at Grafton
l%otes to the Financial Statements for the Year Ended 31 Au
ust 2024
Balance li I
September
2022
Incoming
Rewurces
expended
B8lance st 31
August 2023
Unrestricted funds
Generul
General funds
19.958
452.106
(452.850)
19.214
Designaied
Contin<Jency reserve
Buildiny5 and grounds- esseniial
mainenance and improTr¢ments
55.0(KJ
55.0(M)
14.0(K)
14.445}
10,555
70.000
14.445)
Toial unresiricied funds
89.953
452.106
1457.?951
84.769
Restricted
Grant income
Inclusion funding
S￿)
500
2,384
4.500
Total restricted funds
i.o(M)
4.500
12.616}
2.884
Total funds
90.958
456.606
1459.911)
87,653
20 Anal)Sl5 of net a55tts bthveen funds
At ) l. Allgusi 2024
Tot81 funds at
31 August
2024
Unrestricted funds
General
Designated
Restricted
runds
Tangibl¢ fJx¢d as5¢15
cU￿ent asseis
Current liabilities
34.027
77.028
12J.0571
1.209
6i.965
992
1.865
36.228
142.858
123.0571
Total nei asseis
87.998
2,857
156.029
At31Au
?ust 2023
Total funds at
31 August
2023
Unrestricttd funds
Gtntral
Designated
Restricted
fuDd5
Tangible fixed asset5
Current assets
Curreni liabiliiies
4.i41
28.083
1.590
63.965
1,084
1,800
7.015
9i.848
Ili.2101
Total n¢1 assets
19.214
65.555
2.884
87,653
Page 24

Sunflow'ers at GraftoD
otes lo the FinanCiaLSla￿MtnÉs.f0r the Year Ended 31 August 2_024
21 Off-b#lanee 5heei arr*ng¢men¢s
The charity has entered inio a lease agreement for th¢ Lhse of a minibus. As ￿ 31 August 2024 the ¢harily is
ommitted ro pa!, £nil l?02i'. £i.6001 over the ieTh of ihe lease.
22 An41)'sis of net funds
September
2023
Fin¥NciNg cash At 31 August
flows
20?4
Cash at bank and in hand
$1.795
Nei fun
69.i46
51.795
Stplernber
2022
Fioancing CASh
flows
At 31 August
2023
Cash ai bank and in halld
75.461
69,346
Net funds
7_5.461
{6.115}
69,)46
Page 25