Jigsaw Preschool
Statement of Financial Activities
for the year ended 31 August 2025

saw Preschool
Chair's Re
ort
Committee
We currently have a committee of 5. The committee continued to review Jigsaw's policies on
a 2-year rolling schedule. The committee has put a lot of hours into research to update the
policies to meet the current UK government guidelines and legislation.
Staff
The committee agreed to a pay increase for staff forApril 2025, as the national minimum
wage significantly increased this year. Although we received comments about our salary
levels being high compared to income, as a committee we identified retaining and recruiting
staff as our biggest operational risk, and pay is a significant factor in that.
This year, one member of staff left to go on maternity leave in February, we are hoping to
welcome her back in January 2026. Another member of staff who volunteered the year
before, was taken on as bank staff & left in June to begin a career in the police. We also had
a few students in on work experience for one or two weeks & a student on work placement
for one day a week for a few months.
Finance
The Committee held a pay review in February to ensure our staff salaries were compliant
with the increase in national minimum wage from April 2025.
We have made a profit of £18,000 this year which will help enable us to increase staff wages
to an acceptable living wage.
Grants
We also applied for a grant from the rotary club, who organise the yearly fun run in Sawston,
they kindly donated £500 for Jigsaw to buy new resources.
Fundraisin
We have raised approximately £5,000 this year and purchased new playhouses, had new
blinds installed and freshened up the rooms with a lick of paint including the office.
Maintenance
The outdoor flooring was taken up and laid with Tarmac over the Easter break and we had
some kind volunteers help cut and lay the new artificial grass around the play-area, where
the bushes used to be. The bushes were removed and disposed of for free by committee
family members and the artificial grass was donated.
This has been a good year for the Pre-school.
Jo-Ann Hunt
Chair of Jigsaw Preschool

JIGSAW PRESCHOOL
ACCOUNTANTS, REPORT
For the year endlng 31st August 2025
I report on the accounts of Jigsaw Preschool for the year ending 31st August 2025.
Respective responsibilities of the trustees and examiner..
The Jigsaw Preschool trustees are responsible for the preparation of the accounts.
The Jigsaw Preschool trustees consider that an audit is not required for the year.
It is my responsibility as the independent examiner to..
1. Examine the accounts
2. To follow proceedures laid down in the general directions given by the Preschool
3. To state whether particular matters have come to my attention
Basis of independent examiner's report
My examination was carried out in accordance with the general directions given by the Charity
Commission and The Institute of Charterd Accountants in England and Wales.
My examination included a review of the accounting records kept by the preschool and a comparison
of the accounts presented with those records. It also included consideration of any unusual
items or disclosures in the accounts, and seeking explainations from you as trustees concerning
any such matters.
The proceedures undertaken do not provide all the evidence that would be required in an audit
and consequently no opinion is given as to whether the accounts present a'true and fair view,
and the report is limited to those matters set out in the statement below.
Independent examiner's statement
In connection with my examination, no matter has come to my attention:
- which gives me reasonable cause to believe that in any material respect the requirements:
To keep accounting records
To prepare accounts which accord with the accounting records
To which, in my opinion, attention should be drawn in order to enable a proper understanding
of the accounts to be reached
P E Whitmell Bsc FCA
Fellow of The Institute of Chartered Accountants in England and Wales
date

Jigsaw Preschool
Statement of Financial Activities
for the yaar ended 31 August 2025
Unrestricted Unrestricted
Funds
Funds
2026
2024
Notes
Incoming resources
Incoming resources from generated funds
Activities from generating funds..
Fundraising events
Grant from Sawston Fun Run
Investment income
Incoming resources from charitable activities
Cambs CC Grants
Fee income
Other incoming resources
Donations
Unifomi income
Total incoming resourc8S
4,398
500
1,505
4,736
1.523
210,576
47,137
167,317
39,147
1,565
329
495
266,009
213,217
R6surces oxpended
Costs of generating funds
624
2,101
Preschool activities
247,208
214,422
Total resources expendod
247,833
216,523
Net incomingl(outgoing) resources for the year
18,176
(3,306)
Balances at 31 August 2024
48,129
51,435
Balances at 31 August 2025
66,305
48,129
The Statement of Financial Activities includes all gains and losses recognised in the year.

Jigsaw Preschool
Balance Sheet
as at 31 August 2025
Notes
2025
2024
Current assets
Cash at bank and in hand
103496
103.496
84.423
Creditors: amounts
falling due within one
(37,191)
(36,294)
66,305
48,129
Net assets
66,305
48,129
Funds
Unrestricted..
66,305
48,129
66,305
48,129
The financial statements were approved by the Trustees on
and signed on their behalf by:
J Hunt
Chair

Jigsaw Preschool
Notes to the Accounts
for the year ended 31 August 2025
Accounting policies
Accounting convention
The financial statements have been prepared under the historical cost convention
and in accordance with the Financial Reporting Standard for Smaller Entities
{effective April 2008), the Charities Act 2011 and the requirements of the
Statement of Recommended Practice, Accounting and Reporting by Charities.
Incoming resources and resources expendèd
Income and expenditure items have been credited or charged in the Statement of
Financial Activities on an accruals basis.
Restrict8d funds
Resources are recorded on a receivable basis and allocated to a Restricted Fund if
limitations on their use is specified by the donors and providers. Funds received
in the direct operation of the Charity are treated as unrestricted funds.
Direct charitable expenditure
Overheads are allocated to direct charitable expenditure on the basis of the time
spent.
Taxation
The charity is exempt form tax on its charitable activities.
Trustees, Remuneration and Expenses
No Trustees received any remuneration or other benefits during the year.

Jigsaw Preschool
Notes to the Accounts
for the year ended 31 August 2025
Total Resources Expended
Costs of
generating
income
Preschool
activity
2025
TOTAL
Costs directly allocated to activities
Uniform
Wages
Gift cards
Staff Training
Materials & toys
Food & drink
Insurance
External classes fees
Rent of premises
Cleaning
Fundraising events
768
213,665
1,290
1,014
2,497
1,831
1,420
1,673
13,684
388
768
213,665
1,290
1,014
2,497
1,831
1,420
1,673
13,684
388
624
624
Support costs allocated to activities
Payroll fees
ICO fee
OFSTED fee
Office costs
1.056
47
35
4,820
1,056
47
35
4,820
Expenditure on capital equipment
Playhouses
Blinds
Banners
1,425
1,500
96
1,425
1,500
624
247,208
247,833

Costs of
generating
income
Preschool
activity
2024
TOTAL
Costs dlrecuy allocated to activities
Uniform
Wages
Staff Training
Materials & toys
Food & drink
Insurance
External classes fees
Rent of premises
Cleaning
Fundraising events
Support costs allocated to activities
Payroll fees
ICO fee
OFSTED fee
Office costs
Expenditure on capital equipment
Education station
1,455
187,900
1,164
1,285
1,992
1,367
1,922
10,943
360
1,455
187,900
1,164
1,285
1,992
1,367
1,922
10,943
360
2,101
2,101
984
35
35
4,381
984
35
35
4,381
600
600
2,101
214,423
216,524

Jigsaw Preschool
Notes to the Accounts
for the year ended 31 August 2025
Staff Costs and numbers
2025
2024
Wages and salaries
213,665
187,900
number of employees
Preschool manager
Deputy preschool manager
Early years assistants
13
16
13
16
Taxation
The company is a registered charity and is therefore not liable to income tax or
corporation tax on funds received and expended on activities covered by its
charitable status.
Creditors: amounts falling due within one year
2025
2024
Deferred income
37,191
36,294
37,191
36,294
Funds
Balance at
1 September
2024
Balance at
31 August
2025
Incoming
Resources
Resources
Expended
Unrestricted Funds
General Reserve
48,129
266,009
247,833
66,305
Total Funds
48,129
266,009
247,833
66,305