Urchfont Pre School CIO
Charity Number:1157254
Chair’s Report
- September 2023 September 2024
It has been a really positive year for the Pre School, with many successes and accomplishments.
First, we were delighted to welcome Sam back from maternity leave, returning as a full-time member in September. Her presence was greatly missed, and it’s wonderful to have her back on the team. A big thank you to Di, who did an excellent job stepping in as acting manager during Sam’s absence.
We would also like to congratulate Sarah on completing her qualification and becoming a Level 3 Early Years Practitioner. This is a significant achievement, and we are all very proud of her hard work.
Fundraising has been a real highlight this year. We hosted a well-attended quiz night, held regular bake sales, and organised a successful sponsored walk.
We were also fortunate to receive a generous grant from the Urchfont Scarecrow Festival. Combined with our own fundraising efforts, we were able to build a brand-new outdoor area, which is now filled with new play equipment. This has been a fantastic addition to our setting, providing a fun and weatherproof environment for the children to enjoy.
Ellice did a fantastic job refreshing our website and setting up a new Facebook page, both of which have improved our communication with parents and the wider community.
We would like to extend our gratitude to Jenny Jones, Alice Mawson, Louise Barnes, and Jen Walker, who stepped down from the committee this year. Their contributions have been invaluable, and we wish them all the best. At the same time, we are pleased to welcome Claire Young, Linnea Clarke, and Lucy Hallam to the committee. Thank you for joining us.
Looking ahead, we are excited about the upcoming year. Our enrolment numbers remain strong, and we have plenty of new fundraising ideas on the horizon. Here's to another successful year!
Thank you to all for your continued support.
Charity number: 1157254 URCHFoNf PRE4CHOOL CIO FINAL¥CLiL STATEMENTS FOR THE YEAR ENDED 31 AUGUST 2024 The Alanbrookes Group Ltd Tl* JS Weeks & Co Chartered Accountants Devi4es
URCHFONT PREcHOoL CIO FOR THE YEAR ENDED 30 AUGUST 2024 Contellts Pages Charity Inf0MtI0Th Ind¢pendent Examiner's Rcwrt Receipts and Payments 34 Balance Sheet
URCHFONT PRE-SCHOOL CIO CHARITY INFORMATION Trustees Ms Elizabcih Wildman (Chair) Linnca Clarke Helen McKcnzie Cbarity Number 1157254 Charity OAre Urcbfollt Pre-school Cuckoo Corner Urchfollt Devizes SN104RA Accountall¢s The Alanbrookes Group Ltd Tla J S Wccks & Co 10 Market Plac¢ Devizes Wilishire SNIO IHT
URCHFONT PRE-SCHOOL CIO Report of the Independent Ex*rniner To The Officers and Cornmittee of Urchfont Pre-school CIO I report on the accounts of the Cbarity for the year cnded 31 August 2024. which are set out on pages 4 to 6. Respective Responsibilities of Trustees and Examiner The charity's tswst¢¢s ar¢ r¢sponsiblc for thc prcparation of the a¢¢ounts. Th¢ charity's truslccs considcr that an audil is not required for this year (under section 14412) of the Charities Aci 2011 (the 2011 Acl)) and that an independeDI examination is nceded. It is my responsibility to:_ examine the accounts {undcr section 145 of thc 2011 Act). to follow thc proccdures laid down in thc General DiTe¢tions given by the Cbarity Commissioners (under Section 145(5)0)) of thc 2011 Act). and to stat¢ wh¢thcr particular matters have come to my attention. Basis of Independent Examiner's Report My examination was Carried out in accordancc with the Genernl Directions given by the Charity Commissioners. examination includes a review of the accounting records kept by the clwity and a comparison of the accounts presented with those records. It also in¢lude5 CODsideration of any unusual iieffls or disclosures in the accounts. and seeking explanations from you as tnjslees concerning any such matters. The pro¢edures undertaken do not pmvide all the evidence Ihat would be required in an audiL and consequently no opinion is given As to whether the accoullts prcsent a '1¢ and fair view, and the rcport is litnited to matters set out in the statement below Independent Examiner's Statement In connection with my ¢xamination. IK) matter come to my attention: which giv¢s mc rcasonable cause to believe that in any material r(spcct the rcquiremeDts: to keep accounting records ill accordance with section 130 of the 2011 Act. and to prep aonts which accord with the accounting rLYords and comply with accounting rcquiremcnts of the 2011 ACL have not been met. or 2. to which, in my opinion. attention should be drawn in order to enable a proper understanding of the accounts to be reached. Mrs A M Cross FCCA The Alanbrookes Group Ltd Tla JS Weeks & Co Chartered Accoltntants 10 The Market Place Devizes Wiltshire SNIO IHT 13 June 2025
URCHFONT PRE-SCHOOL CIO RECEiwfs AND PA YMENTS FOR THE YEAR ENDED 31 AUGUST 2024 2024 2024 2023 2023 Income Funding Fccs Local Authority Funding 46,689 63,553 37,025 50.670 110,242 87,695 Fundr#ising Fundraising 3.546 2,820 Donations LX)Dations 1.469 751 Grants Grants Other Parental Contributions 76 Interest Bank intcrest Savings interest 231 94 231 94 Total Receipts 115,488 96.436 Less.'- Payments (106.179) (111,513) Excess of Receipts over P8yments 9.309 (15.077)
URCHFONT PRE-SCHOOL CIO RECEIPTS AND PAYMENTS FOR THE YEAR ENDED 31 AUGUST 2024 2024 2024 2023 2023 Total Payments for tbe year ended 31 August 2024 Payments Accountancy Activities Administration Advertising Building Maitttenance Building Projects Food & Drink Cleaning Fundraising Costs Gifts Ground Rent HMRC- National ILsurance HMRC-Tax Insurance Pension Refuse Collection Tclcphonc & Inlcrnct Toys & Equipment Trnining Costs Uniforn]s- Stsff Unifornis- Children Wages Granl Expenditure Petty Cash Utilities (Elcctricfftty & Water) 324 1,953 1.463 158 1.773 3,376 2,234 1,156 532 324 571 1.468 671 1.494 1.483 1.324 423 iio 194 571 .749 4,673 8ff2 .727 iio 2,429 3,878 .705 6,377 824 .070 702 2M 42 33 81.151 181 40 5212 82,037 719 Total 106.179 111,513
URCHFONT PRE-SCHOOL CIO BALANCE SHEET FOR THE YEAR ENDED 31 AUGUST 2024 2024 2024 21123 2023 Santander Currettt Balancc as at I September Net movement for the year 263 4,677 6.254 (5,991) 263 Snt#llder Savings Balmce a5 al I September Net movement for the year 8,516 30,364 17,602 (9,086) 38,880 8,516 CAF SavlDg$ Balan¢¢ as at I Septctnbcr Net movemcot for the ycar 25.732 (25.732) 25.732 25.732 Total Net Bank Accounts & Casb 43.820 34,511 Represellted by". General reserve fund Balance as at I September Add.. Excess of receipts over payments 8.484 9,309 23.561 (15.077) 17.793 8,484 Contingency reserve fund (Note l) Balancc as at I September Net movement for the year 26,027 26,027 26.027 26,027 43,820 34,511 tes to the Ac¢ounts Contingeney Reserve The trustees have dcsignated sufficient funds in thc contingcncy rcservc to covcr rcdundancy and other costs. Trustee Remuneration And Relted Party Transactions None of the trustees received any remuneration or reimbursement of expenses during the year. No trustee or other person Felated to the charity had any personal interest in any contract or transaction entered into by the charity during the year. These financial statemenls are prepared in accordance with the special provisions of Part VII of the Compalltes Act 1985 relating to small companies. Approved by the officer5 on 13 June 2025 and signed on ils behalf. Trustee Trustee