REGISTERED CHARrrY NUMBER: 1173831
of the TnBtees
Una
Financial Ststements for the Ycw &)ded 31 Jul 2021
Mudd Puddles Pre SclMM)I
C Brightwell & Co
Charterejj Certified Acc(Truntants
XL House
Mill Court
Spindle Way
Crawley
Sussex
RHIO Irr

Puddles Pre School
Cothents of the FiJJanctal
for the Year Ended 31 Jul 2021
rneD
Report of the Tn]ste¢5
1nde￿nd¢llt Examintrs Report
Statement of Fina￿la1 Activities
Balance Sheet
Notes to the Finan¢ta] Statements
Detailed StsÉement of Financial AL%ivities
9 to 10

Mlldd Puddles Pre School
ofthe T
r the Year Ended 31 J
2021
The twstees present their r¢port with the fwancial siafrtTh¢nts of the charity for th¢ year ended 31 July 2021. The trustees
have adoptcd th¢ provisions of Accounting and Rep)rtiE]g by Charities: Statement of Re￿rnrnended Practice applicable
to chariti¢s preparing th¢ir accounts in a¢¢ordance with the FitwKia] Rqx)rting Standard applicable in the UK and
Republi¢ of Ir¢land (FRS 102) (effective l January 2019).
OBJECTIVES AND AcrivrriES
Objectives alld aiM3
The objective of the chaTity to provide a rounded pre schwl education to all children ¢nTolled at th¢ Pre School
STRUCTURE, GOVERNANCE AIYD MANAGEME
Governing doc￿ment
The charity is Controlled by its 8overnit)g docutr*nL a d¢ryl of ttitst and conStittrt￿ an uD]ncorpor*￿ Charity.
REFERENCE AND ADMINISTrATIVE DETAILS
Registered Chsrity N￿Mber
1173831
PrlDelp#l address
Ifield Community Centre
Ifield Drive
Crawley
Sussex
RHII OHD
Trnstees
Mrs C Billingbam Manager
Ms R George
M5 M McDcrno
IDdep¢ndent Examitter
C Brightw¢ll & Co
Chartered Certified A￿Ountants
XL House
Mill Court
Spindle Way
Crawley
Sussex
RHIO ITT
COMMENCEMENT OF AcfivITIES
The Pre School group cottynenced xtivity in Aug￿￿ 2017
Approv￿ by Order of the board of trustee5 on...?f . o).*..:..@oa aand &i￿d on its i￿half by:
Mrs C Bill&ngham- Trustee

Inde
endent Exarninerfs Re
Mudd Puddles Pre School
to the TTr￿teeS of
lodependent examine￿5 rew)rt to the trusttts of Mwddy Puddles Pre Scbool
I report to the charity trustees on my examination of th¢ accounts of Muddy Pudllles P￿ School (tr¢ TTUSt) for the year
ended 31 July 21r21.
Responsibllitles basis of re￿rt
A5 the charity trustees of th¢ TTUSi you are TwonsIl)le for the preparation of the accounts in accordance with the
requirements of the Cbarities Act 2011 (Ihe AL•.
I report in respect of my examination of the Trusvs accounts carried out under sertion 145 of the Art and in carying out
my exam1t￿tIOn I have followed all applicable DirectiOJL% given by the Ch8rity Commissi¢)n under section 145{5Xb) of
the Act.
Independent txaminer's s¢atemeDt
I have compl¢t¢d my examination. I ¢Ollfirni that no Materi￿ matters have u)m¢ to my attention in connection with the
examination giving me cause to believe that in any MatetF￿ respect
accounting rKords wer¢ not kew in resp¢¢t ofthe TriLSt as required by stttioo 130 of the ACL or
the accounts do noi accord wtth those re¢ords" or
the aCcoU￿ts do not cornpty the applicable r¢quireThKnts Conc￿)Ingthe form and content of accounts set out
tll the Chart¢i¢s (Accounts and Rewjrts) Regulafions 2008 other than any wuirernent that th¢ a￿oUnts give a
true and fair view which is not a matter ¢onsideroJ as part of an l￿dent exarllinatAOn.
I have Do ¢oncerns and have ¢orn¢ across no other rnatt¢rs in connectioll with the examination to which attenti¢)n should
b¢ drnwn in this report in order to enable a prow Unders￿￿1ng of the a¢¢ounts to be reacheAI
Clifford Brightsvell
FCCA
C Brightwell & Co
Chartered Certified Accoutllants
XL House
Mill Court
Spindle Way
Crdwley
Sussex
RHIO Irr
Dat¢..
Page 2

Mud
Puddles Pre School
Statement of Fina￿la[ ActÈvittes
for the Year End￿ 31
2021
31.7.21
Generni
fimd
31.7.20
Tota]
fi]Dds
Notes
INCOl¥fE AND EN￿W￿ENTs FROM
Donatiolls and legacies
6J51
4,356
Charitable a¢¢iYiti&4
Grants Received
143?78
141,421
Other Irdding activtties
3,043
773
Total
152,772
146.550
EXPENDITURE ON
Ch3ri¢abk aetivities
R¢¢eived
122.643
109,214
Other
8.602
2.645
Total
131245
111,859
NET INCOME
21.527
34.691
RECONCILIATION OF FUNDS
Total funds brought fonmrd
195,658
160,967
TOTAL FufqDS CAIIRIED FORWARD
217.185
195.658

Balanc¢ Sheet
31 Jul 2021
31.721
Generai
fund
3 1.7.20
fitnds
CURRENT ASSE15
Cash at bank
217,185
195.658
NET CURRENT A&SETS
217.185
195.658
TOTAL ASSETS CURRENT
LIABILrrIES
217.185
195,658
NET ASSETS
217,185
195.658
FUNDS
Unrestricted fiJDd8
217,185
195,658
TOTAL FUNDS
217.185
195.658
The finan¢ial statemthts were approved by the Board of Tn￿le¢S aDd authOriS￿ for issue on
..2fj1.Q412Q22................... and were signed on Tts behalf by".
C Billingharn- T￿￿tee
RG¢
The notes form part ofthese financial sthten￿ts
Page 4

Pudd] Pre Sch I
Notss io the FinanciaI Stst¢ments
for th¢ Year End
31 Jul 202
ACCOU]YTING POLICIES
sts ofpreparing the fjnancial sts1¢￿ellts
The fJnan¢ial statements of the ch&tty. which is a public b¢nefit entity und¢r FRS 102, have been prepared in
accordance with th¢ CharÉties SORP (FRS 1tr2) 'Ac¢ouDting and RqKJrting by Charities.. Statement of
Recommended Prxtice applieable to charities prepry their accounts in a¢¢ordance with the Financial
Reporting Standard applicable in the UK and Republic of Ireland (FRS 102) {effe¢tive l January 2019),,
Financial Reporting Standard 102 The Fillancial Rcp)rtiDg Stsndard appli(zble in th¢ UK and Republic of
trEland' and the Charities Aci 2011. The financial statements have been prepared under the historical cost
onventioll.
Income
All income is recogllised in the SthÉement of Financial Activities ￿ce the charity entitlement io the fill￿5. it
is probable that the illco￿e will be received and the amouni cwj be rn￿￿[ed reiiably.
Experyditure
Liabiliiies are rew￿lS¢d a5 expenditure &$ soon as there is a kgal or COnStrudive obligation wnmitting the
charity to that expendI￿re. it is pmbable tlw a transfer of econ(trmi¢ I￿¢fits wiu be required in settlement and
the amount of the obligation can be Me&$￿ reliably. EWditU￿ is accounted for OD an accruals basis and has
¢1) ¢lassified und¢r headings that ag8re8ate all cosr relate4J to the Category. Where costs cannot be directly
attributed to particular he&lings tlw have b￿n auocated to xtivities on a basss ¢onsistent with the us¢ of
resources.
Taxatio
The charity 15 exempt from trx on its ¢hari¢able activities.
Fund aceounting
Uttregtrict¢d funds can be wed accordm with the Ch￿itable objectives atthe disctrtion of th¢ trustees.
Restricted bjnds can only be used for particularTestrteted wrthin the objects of the ¢l)arity. Restrictions
arise when sp¢¢ifi¢d by the donor or fitnds aTe Taised for I)articular r¢stri¢ted purtM>se5.
Further explanation of the nature and purp(￿ of each fund is included in the notes to the financia] ststements.
Pension costs and otber post-retirement benefits
The charity operdtes a d¢fmed contribution pension scheme. Contributions payable to the charitys pension
s¢h¢me are ¢har8cd to the Statenwt of Finatirial A¢tiviti&% in th¢ p¢riod to whtch they r¢lat¢.
OThER TRADING ACllVITIES
31.7.21
31.7.20
F￿draIsiftg events
Sales of Unifomi
Trips and Visits
Sundries
100
105
492
2.346
321
19
433
3.043
773
Page 5
continued...

Puddl s Pre School
Notes to the Fitwicial Statements- Co￿l￿￿ed
for the Year Ended 31
UI 2021
TRUSTEES, RE￿fuNERATIoN AND BENEFTTS
Th¢re wur no tn￿, r¢muneRtion or th beneffts for the year ¢nded 31 Juty 2021 nor for th¢ year ended
31 July 2020.
Trustees, ¢ipense5
There were no trustees, exp¢Tws paid for the yewended 31 Juty 2021 nor for the year ended 31 Juty 2020.
STAFF COSTS
Th¢ &vcrag¢ monthty nuth of employee5 during the year as follows..
31.7.21
31.7.20
Managetnent
Support Sthff
No ¢mployees received gnoluments in excess of £60,(X)O.
COMPARATtVES FOR THE sfATEMENT OF FINANCIAL Acf1viT￿s
General
fund
INCOME AND ENDOWMENTS FROM
Donations and legacies
4,356
Charfitable atlivities
Grants Received
141.421
Other trading actAviti&8
773
Total
146.350
EXPENDITURE ON
Charitable actiwities
Grants Received
109214
2.645
Tolal
111,859
NET INCOME
34.691
RECONCILiATION OF FUJ¥DS
Totsl funds bTDugbt forward
160,967
TOTAL FUNDS CARRIED FORWARD
195,658
Page 6
C4Jntinu¢d...

Mudd Puddles Pr¢ School
Notes to th¢ Finallcial s￿eMellts-
for the Year Ended 31 J
2021
MOVEMENT IN FUNDS
Net
ovement
in fun¢L8
At
31.7.21
At 1.820
Unrestricted thnds
General fimd
195.658
21,527
217.185
TOTAL FUNDS
195,658
21,527
217,185
Net movement in fuDd4 included in the above are &8 folloThs:
Movement
in funds
resources eXp￿ded
U￿reStrIC￿d funds
Gelleral fijnd
152,772
(131245)
21,527
152.772
(131.245)
21,527
Comparatives for tThov¢ment itt fllnds
Net
movement
At
3 1.7.20
At 1.8.19
Unrestricted funds
General fund
160.967
34.691
195,658
TOTAL FUL¥DS
160.967
34.691
195,658
Comparative net movem¢nt in fund& I￿lud￿ in the akM)ve are &$ follows:
Incoming
Resources
Movement
funds
unreStri￿cd funds
General fi￿d
146.550
(111,859)
34,691
TOTAL FUNDS
146,550
(111.859)
34,691
continued...

Muthl
dles Pre School
Notes to the Finallci￿ s￿￿nents- continwj
for the Year Ended 31 J
202
MOVEMENT IN FUNDS- contlnued
A current year 12 months and prior year 12 c4)mbined ￿SitiOn is as follow5:
Net
movement
in fimds
At
31.7.21
At 1.8.19
U￿reStrIct¢d funds
General fimd
160,967
56218
217,185
TOTAL FUNDS
160.967
56218
217,185
A CUTrent year 12 months And prior year 12 months ¢(rnbTncd net niovernent in funds included in the aiKJve are
a5 follow$-
ItKoming
resour¢¢s ¢xF¢nded
Move¥nent
in fimds
Uftrestr￿d fllj
General fiuEd
299J22
(243,104)
50218
TOTAL FUNDS
299J22
(243,104)
56,218
RELATED PARTY DISCLOSURES
Th¢re were no related paty trans&t1￿ forthe year 31 Juty 2021.
Page 8

Puddles Pre Sch￿1
Detail¢d Ststem¢nt of Finan¢ial Activ
for the Year En
31 Jul
21
31.721
31.720
INCOME AND ENDOwmE￿s
Donations and legaei
Feeg Received
6.351
4J56
Other tradlng 8etivities
Fundraising events
Sales of Uniforn)
Trips alld Visits
Sundrie5
321
19
105
492
2,346
433
3,043
773
Charitable acttvitie5
Grants
143,378
141,421
Total ill£orning ruothr¢¢s
152,772
146.550
EXPENDITURE
Oiher
A¢iivities
Domesti¢
Equipment Pur¢hased
1.573
287
371
1,987
6245
8,602
2,645
Supw¥rt Costs
M4ttagement
Insurance
T¢l¢phone
Posts8e and stationery
Rent
872
402
539
13.723
671
840
443
10.158
15.536
12,112
Flnattce
Transfers
1.217
Inforniatioll technology
Computer
358
716
Human resources
Trips and Visiis
Training
816
1.109
1,925
1.160
Other
Sulldries
Carried fonvard
533
533
2232
2232
This page does Dot foThi part of the ststsrtcrfy fll)anciai sta*nk
Page 9

Mud
Puddks
iled Statement of F-
cial Activitits
for the Year End¢d 31 Jul 2021
31.721
31.7.20
Other
Brought foTward
Untfom
Marketing
533
332
42
2232
189
9D7
2.421
Other2
Garden Work
4.847
Governance eosts
W8g¢s
Social security
Pensions
Accountan¢y and legal fees
No description
96.072
377
1.389
1.083
149
88,076
1,426
1267
651
168
99.070
91,588
Total resources eX[w￿ed
131,245
111,859
Net Income
21.527
34.691
Page 10