OpenCharities

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2022-08-31-accounts

Bankers LloydsBankplc
CanonsHouse
CanonsWay
Bristol
Somerset
BS15LL
Solicitors PorterDodson
15HighStreet
Wellington
Somerset
TA218QR
StoneKingLLP
UpperBoroughCourt(UBC)
UpperBoroughWalls
Bath
BA12HJ
IndependentAuditor CroweU.K.LLP
4*Floor,StJamesHouse
StJamesSquare
Cheltenham
Gloucestershire
GL503PR
Insurancebrokers SFSGroupLtd
Unit21,DeanHouseFarm
ChurchRoad
Newdigate
Surrey
RH55DL

INDEPENDENT AUDITOR'S REPORT TO THE MEMBERS OF

WELLINGTON SCHOOL 1837

FOR THE YEAR ENDED 31 AUGUST 2022

the Finance Committee about their own identification and assessment of the risks of irregularities, sample testing on the posting of journals, designing audit procedures over income, reviewing accounting estimates for biases, reviewing regulatory correspondence with the Charity Commission, Independent Schools Inspectorate and reading minutes of meetings of those charged with governance.

Owing to the inherent limitations of an audit, there is an unavoidable risk that we may not have detected some material misstatements in the financial statements, even though we have properly planned and performed our audit in accordance with auditing standards. For example, the further removed non-compliance with laws and regulations (irregularities) is from the events and transactions reflected in the financial statements, the less likely the inherently limited procedures required by auditing standards would identify it. In addition, as with any audit, there remained a higher risk of non-detection of irregularities, as these may involve collusion, forgery, intentional omissions, misrepresentations, or the override of internal controls. We are not responsible for preventing non­ compliance and cannot be expected to detect non-compliance with all laws and regulations.

Use of our report

This report is made solely to the charitable company's members, as a body, in accordance with Chapter 3 of Part 16 of the Companies Act 2006. Our audit work has been undertaken so that we might state to the charitable company's members those matters we are required to state to them in an auditor's report and for no other purpose. To the fullest extent permitted by law, we do not accept or assume responsibility to anyone other than the charitable company and the charitable company's members as a body, for our audit work, for this report, or for the opinions we have formed.

Tara Westcott Senior Statutory Auditor For and on behalf of

Crowe U.K. LLP Statutory Auditor 4th Floor St James House St James' Square Cheltenham GLS0 3PR

Date: 15 December 2022

28

Notes UnrestrictedFunds UnrestrictedFunds Restricted TotalFunds TotalFunds
Funds
Revenue Revaluation 2022 2021
£ £ £ £ £
INCOME
Charitableactivities
Schoolfees
Othereducationalincome
Ancillarytrading
Othertradingactivities
Investmentincome
Donationsandlegacies
Otherincome
NNNNN
DN
FP
13,806,484
209,770
1,335,848
256,851
743
1,850
6,237
-
-
-
-
-
-
-
-
-
-
-
2
39,342
4,187
13,806,484
209,770
1,335,848
256,851
745
41,192
10,424






12,110,414
221,033
744,128
57,729
624
63,636
147,073






Totalincome


15,617,783


-


43,531


15,661,314




13,344,637


EXPENDITURE
Raisingfunds 696,508 - 84 696,592 476,038
Charitableactivities 14,668,224 - 37,551 14,705,775 12,479,905
Totalexpenditure 4



15,364,732


-


37,635


15,402,367




12,955,943


Netincome/(expenditure)before
investmentlosses 253,051 - 5,896 258,947 388,694
Netlossesoninvestments
-

-

(1,981)

(1,981)


-
NETINCOME/(EXPENDITURE) 253,051 - 3,915 256,966 388,694
13a
Transfers 13b

(51,875)

-

51,875

-

-
NETMOVEMENTINFUNDS 201,176 - 55,790 256,966 388,694
FundsBalancesCarriedForward at1
September2021 13 3,323,141 15,622,374 2,589,090 21,534,605 21,145,911
FundBalancesCarried
Forwardat31August2022 13
3,524,317
15,622,374
2,644,880
21,791,571

21,534,605

Thenotes onpage32to55formpartofthese financialstatements.
29
WELLINGTONSCHOOL1837 WELLINGTONSCHOOL1837
CONSOLIDATEDSTATEMENT OFCASHFLOWS
FOR THEYEARENDED31 AUGUST2022
Note 2022 2021
£ £
Cashflowsfromoperatingactivities:
Netcashprovidedbyoperatingactivities
18

2,120,280

1,579,255

Cashflowsfrominvestingactivities
Purchaseoftangiblefixedassets (456,691). (329,511)
Investmentmanagementfees (84) -
Proceedsfromsaleofinvestments 6,000 -
Purchaseofinvestments (70,000) -
Investmentincomereceipts
745

624

Netcash(usedby)/providedbyinvestingactivities
(520,030)

(328,887)

Cashflowsfromfinancingactivities
Repaymentofloan (213,348) (209,423)
Receiptsfromnewadvancefeecontracts 1,256,745 610,203
Advancefeesrepaid (33,627) (36,809)
Advancefeesutilised (643,274) (636,743)
Interestpaid
(61,802)

(82,428)

Netcashusedbyfinancingactivities
304,694

(355,200)

Changeincashandcashequivalents intheyear 1,904,944 895,168
Cashandcashequivalentsatthebeginningoftheyear
19

(142,386)

(1,037,554)

Cashandcashequivalentsattheend oftheyear 19
1,762,558
(142,386)

Thenotesonpages32to55formpartofthesefinancialstatements
31

WELLINGTONSCHOOL1837
NOTESTOTHEFINANCIALSTATEMENTS
FORTHEYEARENDED31AUGUST2022
3
EXPENDITURE(CONTINUED)
Thenumberofemployees whoseemolumentsexceeded£60,000were:
2022 2021
No. No.
£60,000- £70,000 8 10
£110,001- £120,000
1

-
Thenumberwithretirementbenefits accruingwere:
Definedbenefitpensionschemes - 1
Definedcontributionpensionschemes 9 11
Contributionstodefinedcontribution pensionschemes £110,188 £112,600
5
INTANGIBLEFIXEDASSETS
GroupandCharity Total
Cost
1September2021 75,002
31August2022 75,002
Amortisation
1September2021 52,675
Chargefortheyear 4,311
31August2022 56,986
NetBookValues
31August2022 18,016
31August2021 22,327
WELLINGTONSCHOOL1837 WELLINGTONSCHOOL1837
NOTESTOTHE FINANCIALSTATEMENTS
FORTHEYEAR ENDED31AUGUST 2022
6
TANGIBLEFIXEDASSETS(CONTINUED)
Charity Freehold Assetsin Furniture
Landand thecourseof and Motor
Buildings construction Equipment Vehicles Total
£ £ £ £ £
Cost
1September2021 27,625,407 58,360 2,849,735 119,216 30,652,718
Additions - 25,813 430,878 - 456,691
Transfers (79,403) 79,403 - -
Disposals -
-
(235,488)
-
(235,488)

31August2022 27,625,407
4,770
3,124,528
119,216
30,873,921

Depreciation
1September2021 4,136,158 - 1,478,449 88,311 5,702,918
Chargefortheyear 476,792 - 347,698 10,302 834,792
Disposals -
-
(235,487)
-
(235,487)

31August2022 4,612,950
-
1,590,660
98,613
6,302,223

NetBookValues
31August2022 23,012,457
4,770
1,533,868
20,603
24,571,698

31August2021 23,489,249
58,360
1,371,286
30,905
24,949,800

WELLINGTONSCHOOL1837 WELLINGTONSCHOOL1837
NOTES TOTHEFINANCIALSTATEMENTS
FORTHEYEARENDED31AUGUST 2022
7 INVESTMENTS
Total Total
2022 2021
Group £ £
Market Valueat1 September - :
Purchasesatcost 70,000 -
Managementfees (84) -
Decreaseinmarketvalue (1,981) -
Market Valueat31August


67,935


-
Listed onStockExchange 67,935 -
8 DEBTORS
Group Charity
2022 2021 2022 2021
£ £ £ £
Fees 81,739 57,434 81,739 57,434
Extras 261,784 204,851 261,784 204,851
Prepayments 303,341 240,797 299,867 237,972
Sundry debtors 17,541 48,664 1,603 29,801
Amountsowedbygroupundertakings
-

-

127,726

19,313

664,405

551,746

772,719

549,371
Feesdebtorsarestatedareimpairment provisionstotalling £86,024(2021:£51,217)
WELLINGTONSCHOOL1837 WELLINGTONSCHOOL1837
NOTESTOTHEFINANCIALSTATEMENTS
FORTHEYEARENDED31AUGUST2022
13 ALLOCATIONOFNETASSETSOFCHARITYANDGROUP
Thenet assetsareheldfor thevariousfundsand advancefeesasfollows:
2022
Fixed
NetCurrent
LongTerm Total
Assets
Liabilities
Liabilities 2022
Group £
£
£ £
RestrictedFunds 2,860,215
(215,335)
- 2,644,880
UnrestrictedFunds
24,542,907


(2,633,169)

(2,763,047)

19,146,691


27,403,122



(2,848,504)


(2,763,047)


21,791,571
Charity
Restrictedfunds -
28,210
- 28,210
Unrestrictedfunds
24,589,714


(3,023,407)

(2,877,047)

18,689,260


24,589,714



(2,995,197)


(2,877,047)


18,717,470
2021
Fixed
NetCurrent
LongTerm Total
Assets
Liabilities
Liabilities 2021
Group £
£
£ £
RestrictedFunds 2,350,000
239,090
- 2,589,090
UnrestrictedFunds
25,465,409


(4,084,967)

(2,434,927)

18,945,515


27,815,409



(3,845,877)


(2,434,927)


21,534,605
Charity
Restrictedfunds -
39,247
- 39,247
Unrestrictedfunds 24,972,127
(3,985,221)
(2,571,606) 18,415,300

24,972,127


(3,945,974)

(2,571,606)

18,454,547
WELLINGTONSCHOOL WELLINGTONSCHOOL 1837
NOTESTOTHEFINANCIALSTATEMENTS
FORTHEYEARENDED31AUGUST2022
13b UNRESTRICTEDFUNDS
Balance Balance
1September 31August
2021 Income— Expenditure Transfers 2022
Group £ £ £ £ £
Revenue reserve 3,250,298 15,568,257 (15,047,747) (314,166) 3,456,642
Revaluationreserve 15,622,374 - - - 15,622,374
Foundationsubsidiary 42,959 - - - 42,959
Trading subsidiary

29,884

49,526

(316,985)

262,291

24,716

18,945,515

15,617,783

(15,364,732)

(51,875)

19,146,691
Charity
Revenue reserve 2,599,091 15,809,721 (15,535,761) . 2,873,051
Revaluationreserve

15,816,209


e

-

15,816,209

18,415,300

15,809,721

(15,535,761)

-

18,689,260
Atransfer of£51,875represents theneteffectoftheconsolidationadjustments.
Balance Balance
ISeptember 31August
2020 Income Expenditure Transfers 2021
Group £ £ £ £ £
Revenue reserve 2,644,291 13,229,499 (12,586,545) (36,947) 3,250,298
Revaluationreserve 15,766,374 - - (144,000) 15,622,374
Foundationsubsidiary 42,959 - - - 42,959
Trading subsidiary

53,789

48,277

(247,215)

175,033

29,884
18,507,413 13,277,776 (12,833,760) (5,914) 18,945,515
Charity
Revenue reserve 1,926,937 13,395,374 (12,895,789) 172,568 2,599,091
Revaluationreserve

15,960,210

-

-

(144,000)

15,816,209


17,887,147

13,395,374

(12,895,789)

(28,569)

18,415,300
WELLINGTONSCHOOL1837
NOTESTOTHEFINANCIALSTATEMENTS
FORTHEYEARENDED31AUGUST2022
18
RECONCILIATIONOFNETINCOME/(EXPENDITURE)TONETCASHFLOWFROM OPERATING
ACTIVITIES
2022 2021
£ £
NetIncome 256,966 388,695
Netinterestexpense 183,713 125,861
Lossoninvestments 1,981 -
Investmentincome (745) (624)
Investmentmanagementfee 84 -
Depreciationcharges 929,361 900,586
Amortisationcharges 4,311 4,312
Lossondisposaloffixedassets (2,675) 100,607
(Increase)/decreaseinstocks (8,924) 287
(Increase)indebtors (112,659) (75,472)

Increaseincreditors

868,867

135,003


Netcashprovidedbyoperatingactivities


2,120,280


1,579,255
19
CASHANDCASHEQUIVALENTS
TheamountsdisclosedintheStatementofCashFlowsinrespectofcashand cashequivalentsarein respectof
thesebalancesheetamounts:
2022 2021
£ £
Cashatbankandinhand 1,762,558 766,309

Bankoverdraft

-

(908,695)
1,762,558
(142,386)
WELLINGTONSCHOOL WELLINGTONSCHOOL 1837
NOTESTOTHEFINANCIAL STATEMENTS
FORTHEYEARENDED31 AUGUST 2022
22 CONSOLIDATED STATEMENTOFFINANCIALACTIVITESFORTHE YEARENDED31AUGUST2021
UnrestrictedFunds Restricted TotalFunds
Funds
Revenue Revaluation 2021
£ £ £ £
INCOME
Charitableactivities
Schoolfees 12,110,414 - - 12,110,414
Othereducational income 221,033 - - 221,033
Ancillarytrading 726,204 - - 726,204
Othertradingactivities 75,653 - - 75,653
Investmentincome 621 - 3 624
Donationsandlegacies 878 - 62,758 63,636
Otherincome 142,973 - 4,100 147,073
Totalincome

13,277,776




-


66,861


13,344,637


EXPENDITURE
Raisingfunds 476,038 - - 476,038
Charitableactivities 12,357,722 - 122,183 12,479,905
Totalexpenditure

12,833,760




-


122,183


12,955,943


Netincome/(expenditure)before
investmentlosses 444,016 - (55,322) 388,694
Netlossesoninvestments
NETINCOME/(EXPENDITURE) 444,016 - (55,322) 388,694
Transfers
138,086

(144,000)

5,914

-
NETMOVEMENTIN FUNDS 582,102 (144,000) (49,408) 388,694
FundsBalancesCarriedForwardat1
September2020 2,741,039 15,766,374 2,638,498 21,145,911
FundBalancesCarried
Forwardat31August2021 3,323,141
15,622,374
2,589,090
21,534,605