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2025-08-31-accounts

St Michael’s Parents & Friends Association

Treasurer’s Report

to the Accounts for the year ended 31/08/2025

St Michael’s Parents & Friends Association had a successful year with new Committee members on board, continuing strengthening the community around the school and ensuring inclusion for all.

A number of Parents and Friends events were held, and the activities generated the following net funds for the P&F:

Events Surplus/(Deficit)
Christmas Fayre £369.04
Panto £2,365.00
Pizza Van and Coffee Cart £3,226.66
School Disco £846.56
Sports Day £76.25
Summer Fete (£2,798.05)
World Book Day £58.31
Total £4,143.77

The charity’s events overall ran at a net surplus of £4.143.77

Income of £4,830 was received from subscriptions and £105 from other miscellaneous income and donations.

Distribution of funds and expenses incurred for fundraising events across the year totalled £25,201.86. Funds were also reserved for:

The activities resulted in a cash balance of £30,969.17 on 31 August 2025 a decrease of £9,125.68 from the balance at 1 September 2023 of £40,094.85.

The accounts for the financial year ending 31 August 2025 have been independently reviewed and will be filed with the Charity Commission by 30[th] June 2026.

The committee members for the period include Claire French (co-Chair) and Sophie Day (co-Chair), Lei Wei (Treasurer), Sheryl Holroyd (Assistant Treasurer), Jan Campbell (Secretary), Kathryn Wilton (Data officer).

Lei Wei

Treasurer

6th June 2026

ST MICHAELS PARENTS AND FRIENDS ASSOCIATION

Receipts and Payments Accounts For the year ended 31 August 2025

2024
£
INCOME
Donations, Legacies and other
Similar receipts
4,830.00
Subscriptions and Payments
3,324.92
Other
8,154.92
Total Donated Income
Fundraising
82,306.14
Events
82,306.14
Total Fundraising Income
Investment Income
0.00
Bank Interest Received
0.00
Total Investment Income
90,461.06
TOTAL
2025
2025
£
£
4,830.00
105.00
4,935.00
23,871.18
23,871.18
0.00
0.00
28,806.18
2025
2025
£
£
4,830.00
105.00
4,935.00
23,871.18
23,871.18
0.00
0.00
28,806.18
28,806.18

ST MICHAELS PARENTS AND FRIENDS ASSOCIATION

Receipts and Payments Accounts For the year ended 31 August 2025

2024
£
Expenditure to generate funds
-66,669.32
Events
-66,669.32
Total Expenditure to generate funds
Distribution of funds
-4,291.40
Miscellanous
-250.00
AEN Support
-500.00
Pre-Prep Mural
-756.00
Debbie Draws Maps Murals
-160.00
Y8 Leavers Contributions
-5,796.69
Coffee Machine for Cart
-55.00
Wreath for School Door
-300.00
Pencils for Pre-Prep
-922.60
Sports Tour Bags
-3,499.99
Refund for generator
-201.60
Y7/8Sports Tour
-250.00
Partial donation for SEN activity
-1,190.00
Sewing Machines
-978.29
Pic Nic Table
-5,820.00
Adventure Playground Deposit
-17,380.00
Adventure Playground
-100.00
Coffee Cart Flag
0.00
Playground train
-42,451.57
Total distribution of funds
Adjustments Relating to Prior Periods
250.00
Changes in accrual for AEN and Pre-Prep Mural
750.00
Accounted in previous years for AEN and Pre-Prep Murals
756.00
Accounted in previous years for Debbie Drew Maps Murals
394.00
Release additional accrual re school purchase
2,150
Total
TOTAL 2024/25 Expenditure
Adjustments Relating to Future Years
School Ball deposit prepayment
Playground train accruals
Payments Against Previous Years Accruals
Adventure Playground
Remove additional accrual release adjustment
-106,970.89
TOTAL PAYMENTS
-106,970.89
2025
2025
£
£
-19,727.41
-19,727.41
-494.45
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
-5,000.00
-5,494.45
0.00
0.00
0.00
20.00
20.00
-25,201.86
-250.00
5,000.00
4,750.00
-17,460.00
-20.00
-17,480.00
-37,931.86
2025
2025
£
£
-19,727.41
-19,727.41
-494.45
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
-5,000.00
-5,494.45
0.00
0.00
0.00
20.00
20.00
-25,201.86
-250.00
5,000.00
4,750.00
-17,460.00
-20.00
-17,480.00
-37,931.86
-37,931.86

ST MICHAELS PARENTS AND FRIENDS ASSOCIATION

Net Surplus By Event For the year ended 31 August 2025

2024
2024
£
£
6,433.47
Christmas Bazaar
Income
-4,423.87
Expenditure
2,009.60
Surplus
1,784.00
Winter Wonderland Income
-632.32
Expenditure
1,151.68
Surplus
910.67
Farmers Market
Income
-19.00
Expenditure
891.67
Surplus
5,076.00
Panto
Income
-4,723.50
Expenditure
352.50
Surplus
300.00
Cricket Memorial
Income
-300.00
Expenditure
0.00
Surplus
60.00
Sports Day
Income
0.00
Expenditure
60.00
Surplus
0.00
Summer Festival
Income
-190.08
Expenditure
-190.08
Surplus
2,813.92
DISCO
Income
-1,617.86
Expenditure
1,196.06
Surplus
530.21
Wreath Making
Income
-385.00
Expenditure
145.21
Surplus
48,122.50
School Ball
Income
-50,048.11
Expenditure
-1,925.61
Surplus
11,290.65
School Ball Auction Income
0.00
Expenditure
11,290.65
Surplus
4,287.32
Ice Rink
Income
-4,287.32
Expenditure
0.00
Surplus
697.40
Pizza Van and Coffee Income
-42.26
Expenditure
655.14
0.00
World Book Day
Income
0.00
Expenditure
0.00
Surplus
15,636.82
82,306.14
TOTAL INCOME
-66,669.32
TOTAL EXPENDITURE
15,636.82
Net Profit
2025
2025
£
£
5,298.29
-4,929.25
369.04
0.00
0.00
0.00
0.00
0.00
0.00
2,610.00
-245.00
2,365.00
0.00
0.00
0.00
93.35
-17.10
76.25
10,339.57
-13,137.62
-2,798.05
2,245.00
-1,398.44
846.56
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
3,226.66
0.00
3,226.66
58.31
0.00
58.31
4,143.77
23,871.18
-19,727.41
4,143.77
2025
2025
£
£
5,298.29
-4,929.25
369.04
0.00
0.00
0.00
0.00
0.00
0.00
2,610.00
-245.00
2,365.00
0.00
0.00
0.00
93.35
-17.10
76.25
10,339.57
-13,137.62
-2,798.05
2,245.00
-1,398.44
846.56
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
3,226.66
0.00
3,226.66
58.31
0.00
58.31
4,143.77
23,871.18
-19,727.41
4,143.77
4,143.77
23,871.18
-19,727.41
4,143.77

ST MICHAELS PARENTS AND FRIENDS ASSOCIATION

Statement of Assets and Liabilities Statement of Assets and Liabilities
For the year ended 31 August 2025
2024 2025 2025
£ £ £
90,461.06 INCOME 28,806.18
-106,970.89 EXPENDTIRE -25,201.86
-16,509.83 NET SURPLUS 3,604.32
ASSETS
Cash at Bank and at Hand
New Current account 30,969.17
40,094.85 Total Cash at Bank 30,969.17
-18,230.00 Adj for payments not yet cleared -5,750.00
Prepayment 250.00
21,864.85 TOTAL ASSETS 25,469.17
ACCUMULATED FUND
16,245.31 Opening Balance - Unrestricted Funds -264.52
-16,509.83 Surplus / (Deficit) for the year 3,604.32
-264.52 Closing Balance - Unrestricted Funds 3,339.80
Approved by the Committee and signed on its behalf
Date
06/06/2025
Claire French Sophie Day Lei Wei
(Co Chair) (Co Chair) (Treasurer)

Alan Macalister 16 Willow Holt Hampton Hargate Peterborough PE7 8AP

PRIVATE AND CONFIDENTIAL

Lei Wei C/O St Michael’s Prep School Parents and Friends Association Otford Court Row Dow Otford Kent TN14 5RY

10 June 2026

Dear Lei

INDEPENDENT EXAMINATION

Charities with a gross income of £1m or less may choose to have an independent examination in place of an audit unless both their gross assets exceed £3.26m and their gross income exceeds £250,000.

As requested, I have reviewed the accounting records kept by the Parents and Friends Association for the 2024/2025 year and compared the accounts presented with those records.

Please be aware that I have not carried out a professional audit but during my scrutiny of the records, I have not found any material misstatement or omission.

Should you have any queries in relation to the examination performed, please do not hesitate to contact me.

Kind regards,

Alan Macalister Chartered Management Accountant