Independent examiner’s report to the trustees of Rosemead School Association
I report to the trustees on my examination of the accounts of the Rosemead School Association for the year ended 31[st] August 2023.
Responsibilities and basis of report
As the charity trustees of the Trust, you are responsible for the preparation of the accounts in accordance with the requirements of the Charities Act 2011 (‘the Act’).
I report in respect of my examination of the Trust’s accounts carried out under section 145 of the
2011 Act and in carrying out my examination I have followed all the applicable Directions given by the Charity Commission under section 145(5)(b) of the Act.
Independent examiner’s statement
I have completed my examination. I confirm that no material matters have come to my attention in
connection with the examination giving me cause to believe that in any material respect:
- accounting records were not kept in respect of the Trust as required by section 130 of the
Act; or
- the accounts do not accord with those records.
I have no concerns and have come across no other matters in connection with the examination to
which attention should be drawn in this report in order to enable a proper understanding of the
accounts to be reached.
Signed:
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Name: Catherine (Kate) Murray
Relevant professional qualification or membership of professional bodies (if any): ACA (Membership Number: 3628358)
Address: 18 Cannon Close, London, SW20 9HA
Date: 26/11/2024
IIu¥viTl¥ilU 145 uon Recei ts and ments accounts CC16a For thè p•riod JiiuyrztJzJ To Section A Receipts and payments Unrostrictgd fund8 Restrlcted fund? Endowmgnt fund8 Total funds L••t yMr to the MoreotÉ totr* Mw•gt£ tothe ne#r••t£ tc•the n•¥8st£ A1 Rocolpt8 Unffum Sak 202212023 Summw2023 poty Qvkn 202212023 Mixdkneous Coffee Cauimlw cards 8chcd dbco Fund¥ai%in Chri$bnas Fwr 3.9S2 3.•J2 4,220 2,140 134 2,140 134 85 45 208 1.082 1.082 418 219 7,021 234 1.338 100 203 1.068 186 24 249 1233 0.349 Sport¥ da Chri51rnas Pudd. Charrtab1e¢knati$ Amazm Sm S. & Pat Sut)Y)wFwr 114 1.0$1 1,051 41 41 6.690 Sub total (Gross income for AR) 28m6 28m6 22.302 2&066 28.066 22.31 CCXX Rl accounts {SSI 0311212024
A3 Paymonts Unrform sale 2022r2023 Sth¢x)l Lknations sUner2023 QuEn ht 202212023 IntroducloryMdC(In Miscdkngx5 scho dEco 2,751 5.698 4,488 1.060 5.698 4.488 171 273 411 181 115 820 115 $8nts chibjren Chn51mas Fair Grfts for rorAithitstslsupr>>l8tafflevenl organwsltsa bav8rs and 2,123 631 531 $72 431 622 Yeaf6 XffA$ craftevenin EasrneL 321 1,133 1,133 7B 676 sk,$ da Chri5trna5 Puddii Sts & Pant Sumn*r Falr 21 697 676 1,622 1M2 1,104 Sub total 20,680 11877 CCXX R2 accounts ISSI 0311212024
A4 Ass•t and invo¥tmont purchases. (see lable) Sub total 20.680 20.680 Net of receiptsf(payments) A5 Transfern between funds A6 Cash funds l•st y•ar ond Cash funds th18 year end 7,387 7.387 15.632 23,019 14632 23.019 Section B Statement of assets and liabilities at the end of the period Unro¥tricted funds to nèar•si £ 22,810 329 538 23.019 Restricted fund8 Endowment funds Catogorlès Detalls to nearest£ B1 Cash funds Cash atknk Anthnts in Cash kn hwd cai¥•d k) Total cash fiinds t1($11 F1 to as58t b810 Details cost loptlona rent onal B4 Assets retalned for th• charlty's own usa Fund tOTA*uch Ivabil rèlatys Amounid Details B5 Llabllltles Sgnatu Print Name Date of roval Slgned by ong or trwo trustees on b8haW of all th8 tnJstg8S tF AIJo/ IL Sign&Y by the IndepdeF EyAmln 03112/2£k CCXX R3 accounts Iss) 0311212024
TREASURER’S REPORT REGARDING THE YEAR ENDING 31st AUGUST 2023
The RSA had a good year, raising funds for the school and providing events for both children and parents alike, developing the Rosemead Community.
The income for the year ending August 31st 2023 was £28,066, with expenses of £14,982 and £5,698 paid to Thurlow Educational Trust in the year. In accordance with the charity commission rules, the accounts have been prepared on the receipts and payments basis and for the first time require an independent review as the income exceeded £25,000 for the financial year.
The opening bank balance for this financial year was £15,409, with an additional cash in hand figure of £223. The closing balance was £22,810, with cash in hand of £538, with £329 of money received that was incorrectly paid to the charity and requires returning to source.
In terms of profits raised from significant events held, these were:
-
Summer Fair - £5,068
-
Christmas Fair - £4,226
-
Uniform sales throughout the year - £3,702
-
Quiz night - £1,080
-
School disco - £900 (some costs had been incurred in the previous financial year)
-
Camping - £536
-
Christmas puddings - £374
-
All other activities - £569
During the year, the RSA funded the following:
-
Various school donations - £5,698
-
Year 6 leavers party - £885
-
Christmas presents for children - £820
-
Christmas trees for both sites - £622
-
Gifts for staff - £531
-
All other costs - £512
The above meant that the charity’s reserves grew by £7,387 by the end of the financial year to be able to be used for future donations.
All the above, allowing the RSA to meet their objectives of engaging in activities or providing facilities and equipment which support the school and advance the education of the pupils.
As always, we thank all those that got involved in the fundraising activities.
Dated: 3[rd] December 2024.