OpenCharities

This text was generated using OCR and may contain errors. Check the original PDF to see the document submitted to the regulator.

2023-03-31-accounts

Charity Registration Number 1170533

Report of the Trustees and Financial Statements

For the Year Ended 31[st] March 2023

Meithrin Mwy Plas Coch

Contents Page

For the year ended 31[st] March 2023

Company Information 1
Accountant’s Report 2
Balance Sheet 3
Income & Expenditure 4

Meithrin Mwy Plas Coch

Company Information

For the year ended 31[st] March 2023

Trustees Helen McCarthy Geraint Jones Sarah Louise Jones

Accountants Accounts prepared by Qualified Bookkeeper Helen McCarthy AAT & City & Guilds

Registered Office 32 Foxwood DXrive Wrexham LL14 4JA

Registered Charity Number 1170533

Page 1 Meithrin Mwy Plas Coch Trustee’s & Treasurer’s Report For the year ended 31[st] March 2023

The trustees present their report and accounts for the year ended 31[st] March 2023

Principal activities

The principal activity of the company is to provide care and educational need for children aged 3 years to four years old.

Trustees and their interests

Helen McCarthy Geraint Jones Sarah Louise Jones

This report has been prepared in accordance with the special provisions relating to small companies with Part 15 of the Companies Act 2006.

Signed on behalf of the board of Trustees

Helen McCarthy

______ Helen McCarthy Trustee, Treasurer Qualified AAT Bookkeeper

Date approved by the board : 30/04/2023

Page 2

Meithrin Mwy Plas Coch Accountant’s report For the year ended 31[st] March 2023

In accordance with the engagement dated 31[st] March 2023, and in order to assist you to fulfil your duties under the Companies Act 2006, we have complied the financial statements of the company which comprise the Profit and Loss Account, the Balance Sheet, and the related notes from the accounting records and information and explanation you have given us.

This report is made to the Company’s Board of Trustee’s as a body, in accordance with the terms of our engagement. Our work has been undertaken so that we might compile the financial statements that we have been engaged to compile, report to the Company’s Board of Trustees that we have done so, and state those matters that we have agreed to state to them in this 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 Company and the Company’s Board of Trustee’s as a body, for our work or for this report.

We have carried out this engagement in accordance with the technical guidance issued by the Institute of Chartered Accountants in Wales and have complied with the ethical guidance laid down by the Institute relating to members undertaking the compilation of the financial statements.

You have acknowledged on the balance sheet as at year end 31[st] March 2023 your duty to ensure that the company has kept proper accounting records and to prepare financial statements that give a true and fair view under the Companies Act 2006. You consider that the company is exempt from the statutory requirement for an audit for the year.

We have not been instructed to carry out an audit of the financial statements. For this reason, we have not verified the accuracy or completeness of the accounting records or information, and explanations you have given to us and we do not, therefore, express any opinion on the financial statements.

Page 3

Bellevue Playgroup Limited INCOME AND EXPENDITURE ACCOUNTS INCOME EXPENDITURE

----- Start of picture text -----
Balances brought forward
At beginning of period
Bank A £27,046.67
Cash B £0.00
Income C £69,997.99
----------------------------------------------
A & B & C = D £97,044.66
Expenditure E £66,003.30
Cash F £0.00
Bank G £31,041.36
-------------------------------------------------
D E & F & G = H £97,044.66
----- End of picture text -----

D and H should balance

Page 4

Income and Expenditure Account For the year 1[st] April 2022 to 31[st] March 2023

Detail Income £ Expenditure £
Balances brought forward:
Cash in hand
Grants
Fees
Fundraising
30 Hour Funding
Refund on faulty printer
Voucher Payments
Returned payment playground
Apprentice reimbursement
Milk Reimbursement
Wages
12Pay Software
Courses
Nest Pensions
Income Tax/National Insurance
Mudiad Insurance
Travel/Phone/Meetings
Playground Maintenance fee
Gardening equipment/soil
EMS Charges card machine
Printer x 2 (1 returned faulty)
Tools / Screwdrivers
Donations RWF & Foodbank
DBS Checks
ICO Data Protection Fee
Snack & Party food/items
Stationary, Ink, Stamps & Resources
Educational Toys
27046.67
4550.00
12404.50
272.00
51019.00
280.00
1436.50
35.99
46225.03
175.20
948.70
2462.05
5552.74
125.00
501.21
35.99
380.83
39.88
635.30
14.78
2500.00
85.40
40.00
1064.19
1496.16
3720.84
Income & Expenditure
Cash in Hand
Balance in Bank Account
Balances C/f April 2023
97,044.66 66,003.30
31,041.36
31,041.36