## **Attendance:** 

**Management:** Claire, Gill, Nikki & Jenni 

**PreSchool Employees:** Natalie, Antionette 

**Trustees:** Fiona Cantle, Francesca Knapman, Caroline Wickramasinghe. 

**Parents:** Lucy, Laura 

## **1. Apologies & Welcome** 

- Apologies received from Judith Hopkin and Mel. 

- Meeting opened with a welcome to all present. 

## **2. Trustees’ Annual Report** 

- Last year began with the departure of Richard and Abby, and welcomed several newly appointed trustees. 

- Fiona noted that she stepped up as Chair, following three years’ service as a trustee. 

- Fundraising activities supported by the Committee: 

   - Funds from this year’s Melbourn fete: were £190 (very similar to last year). These proceeds have be allocated to room leaders for purchase of new resources. 

   - Wreath-making event: £190 raised. 

   - School summer fete: £22.55 (glitter tattoos). 

- General management 

   - Staff wages have been increased to reflect the national minimum wage and in support of staff retention. 

   - Some staff changes: one staff member exited, another has gone on maternity leave (hopefully back shortly). 

   - Special recognition: Suzy Cross has completed 20 years in her role — congratulations were extended. 

   - Ofsted visit was held on Wednesday 16 July and went well. 

- The committee has supported the management team by reviewing policies and making key decisions. 

- Fiona extended thanks to the committee for its support over the year. 

## **3. Management Team Annual Report** 

- The year has progressed well. New separation procedures are working effectively to assist children with separation anxiety. 

- Improvements this year to facilities: removal of an outside hill to create more versatile play space and increased shade in summer months. 



- The Ofsted inspection was short notice and towards the end of the year when everyone was preparing for summer! The fact the inspector was also being inspected on the day added an extra element. It went well and the setting received good in all areas. The inspectors praised many aspects and offered some suggestions that are under current review. 

- MOOS: 

   - Average weekly attendance: 44 children; average day attendance: 26. 

   - Weekly fees: £960. Staff reductions have lowered running costs; resource costs remain modest due to generous donations. 

- Staffing changes: Julie is leaving the team, and Natalie has been appointed to step up as manager. A new staff member is settling in well. The regular staff complement is now six people. 

- The holiday club will not run this year due to staff shortages (lack of staff interest). The setting received several messages of support from parents. The school has been informed as a courtesy. 

- Financial info and projections for next year: 

   - Despite lower numbers and increased staff wages (including employer National Insurance contributions), a small profit was made this year. Additional expenses included removal of the hill and contract changes related to holiday pay. Some holiday pay was advanced in August. 

   - The financial impact of cancelling the holiday club is minimal (~£900). 

   - Hope to have another stable year. Have seen expected increase in child numbers, and growth in “Early Birds” and “Night Owls” programmes. 

   - Positive impact of 2-year old funding this year was noted. 

   - Last year was challenging; receiving the autumn funding in advance in August was a helpful measure. 

## **4. Trustees Appointment & Future Planning** 

- Fiona to step down as Chair. Thanks to her for all her work over the last few years. 

- The following Trustees will continue to support next year: Francesca, Caroline and Jude. 

- Titles and formal appointments will be determined at the next meeting. 

- We will also discuss recruiting new committee members and forming a fundraising subcommittee. 

- Hope to gain some new parents of younger children attending to setting to join the committee in the hope there can be some continuity for a number of years. 

- Suggestion: hold joint fundraising events with the school. Lucy will raise this at the upcoming PTA AGM. 



CHARITY COMMISSION
FOR ENGLAND AND WALES
Independent examiner's report on the
accounts
Section A
Independent Examiner's Report
Report to the trust88s1
members of
Melbourn Playgroup and Out of School Club
On accounts for the year
ended
3110812025
Charlty no
(if any)
1174006
Set out on pages
3-13
I report to the trustees on my examination of the accounts of the above
charity ('the Trust") for the year ended 3110812024
Responslbllltlè* and
ba81s of report
As the charity's trustees, you are responsible for the preparation of the
accounls in accordance with the requirements of the Charrties Act 2011
("the Acl'}.
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 glven by the Chariiy Commission
under section 14515)Ibl of the Act.
Independent
examln•r'8 Statement
I have completed my examination. I confirm that no material matters have
come to my attention in conne¢lion with the- examination (other than that
disclosed below ') which gives me cause lo believe that in, any material
respect..
the accounting records were not kept in accordance with s8¢tion 130
of the Charllies Act., or
the ac¢ounts did not ac¢ord with the accounling records.. or
the accounts did not Comply with the applicable requirements
concerning the form and content of accounts set out in the Charities
(Accounts and Reports) Regulations 2008 other than any requirement
that the accounts give a 'lrue and fair, view which is not a matter
considered as part of an independent examination.
I have no concerns and have come across no other matters in connection
wilh the examination to which attention should be drawn in this report in
order lo enable a proper understanding of the accounts to be reached.
Please de181e the words in thg brackets if they do not apply.
Slgned:
Date:
2712126
Name:
Peter Cumow FCCA
Relevant professlonal
qualificatlon{sl or body
(If any):
ACCA
IER
Oct 2018

Address:
Cumow & Co Limtted
Brackenhurst. Lee
Ilfracombe. EX34 8LW
Section B
Disclosure
Only Complete Il the examiner needs to highlight material matters of ￿nCern
(see CC32, Independent examination of Charity accounts.. directions and
guidance for Oxaminers).
Glv• here brlef detslls of
any Items Ihat Ihe
examlner wlshe• to
discloso.
IER
Oct 2018

Melbouorn Playgroup and Out ol Schoo1 Club
Lharily No
11740C6
Annual accounts for the
To
eriod
CC17a
Penod startdat•
0110912024
date
31K￿r2025
Section A
Statement of financial activities
Re$trf¢ted
Inc¢)mfr
fvndl
R￿0mM6nded
c4t•gorSe• by actbvlty
Dotsil• of own
analy•l•
Unr•*trfjctod
fund8
Endowm•nt To¢•1 th1•
fvnd•
y••r
Totsl14•t
y••r
Incomlng ro8our¢o¥ (Not• 3
F01
F02
F03
Incomlng r••ourcM ffom
g•n•r•t•d lunds
V¢4unt•ry
F04
F05
217
75 264
In¢ornlng r•￿Ul¢•• fr(vn
¢Mrttabl• aC¢lvlll
195155
Oywr Inc<>mlng r••our¢
SQS
Total Incomlng rn8ourc•s s
R••ourcM •xynded (Not••
Co•¢• OlG•r￿N￿l￿ Fund•
287 751
287 751
276 651
S07
271
271
¢￿vItabl• •¢Uvltl••
810
277 375
277 375
Gov•rn•n¢• costs
Qlh•r r•8<>urc•• •xp•nd•d
S12
Total T￿oUrCeS •xp8nd•d $13
Il•t Ineomlntyfoutyoln9) r•sourc•s b•forn
irnn•l•rn $14
279 923
279 923
268 056
7,828
7,828
GTOS• trnnsfor• b•twwn fundi
S15
Pl•t In¢omlnty(outyolng) resourc￿ b•lor•
oth•rrnc0gnls•dg•ln￿(Ios8*s) s16
Oth•r rKognl••d galTr•lllows
Gains and lo$ses on r•voluation of fix￿1 assets
for thts th8rty's tr•m use
Gains and108666 on investment asa•ts
S17
$18
Net mov•ment In fun(ts sig
Totsi fund• brought forward
Tot•1 funds carrled fonvarLI >21
7,828
7.828
133,801
125,206
7.828
141.629
133.801
CC17a Fxcell
17102r2026

Section B
Balance sheet
Restrict•d
Unmtrictod incom•
fun
funds
Endowm•nt Total th18
fund¥
y•ar
Totsl la*t
y￿r
Fixed assets
Tangiblg assets
F01
2.819
F02
F03
F04
2,819
FOS
4,842
(Not• 9)
Inve•tm•nts
(Not8 10)
Total Ilxed assets
4,842
Current assets
Stock and work In progrnss
D8btors
{Note 11)
{Short tsmil Invg¥tments
Cash at bank and In hand
Total current 4ssets
764
130,540
131,304
Credltors: amounts falllng du• wlthln
one yèar
(Not• 121
Blo
2,702
2,702
2.345
Net current •M•ts/(Ilabllltles) 811
128,959
Total assets les$ ¢uffent Il•bllltles
812
133,801
Credltorn: amounts falllng du• oft•r
one yMr
(Not• 12)
913
Provl•lons for IlabllltlM Ind charge•
B14
Net •ss•ts
815
41,
133,801
Fund8 of the Charity
Unrestrfcted funds
811
141.629
141,629
133,801
817
Restrlcted In¢orne funds (Not• 13
Endowment fund• INot• 13)
Bf8
819
Total funds
41,
133.801
Signed by one or tsvo tnjstees ￿ beholf of all
the trusttt•
Signatur•
Print Name
Dale of
roval
CC178 (EX￿1)
17102r2026

Section C
Notes to the accounts
Note 1 8a818 of pr¢p•ratlon
rn1• s•ctlon ¥hould b• compl•t•d by•ll ch•rftlM.
1.1 Basls of accountlng
These a¢¢ounts hav& been we￿red on th? b4s18 of hi8toric cost lex(* thgt Irwesbnents arg •hrM 41 market
valu•l in accordan￿ with..
. Accounb'ng and Reportlng by charit1￿- Statsment ol Procl1￿ {SORP 2fy)51,'
ond wth"
Accounb"ng Stsndard8.'
Finonual Reportlng St•rKlard$ lor sMal￿r Enterpr1￿ IFRSSE)..
and th• Charits'es Act.
1.2 Chlnge In baili of accountlng
There has been no change to the 8ecountlng F•Ylde$ Ivduaoon rul•8 and m•thots of attl￿nIl￿g) 81nco18$1 year.
1.3 Changm to pr•vlou• •ccounts
No thanges have been m8¢Ye lo acC￿JnIS lty yeviws y•ar8.
CC17a IExt•ll

Section C
Notes to the accounts
Iconti
N¢)te 2
Accountlng policies
INCOMING RESOURCES
Recounlilon of Incamlng
r•sour¢
Thew are indudod Sta*nt ISOFAI ¥tt•n.'
bu5tees aro virty&alfv C$rta￿ *ill T•￿￿¢￿., •r#l
th8 mtyK•t4ry ¢•n ￿ ￿Sure0 suffLxrtt r•thaW.
In¢omlrw r••our¢M Wlth Wh•f8 inccrfniryd h¥s* reLgt•J oJ•onditure la$ fUndrnYi￿￿ fjrr•)ntr•X irK•mol
rnl•t•d •xp•ndlthY•
th• inccfflir*d r•styJrc*8 and r•lated eynditur• we ¥8POrt•d 9ros8 in ts SOFA.
Grnnts •nd dorbatlon•
Grnnla aTrJ ar• Ih•SoFAwthon th• thwrty unDJnOrtb)n•l
TIX r•¢l•kn• on don•Won•
and 91ft•
ontr•ctu•l Incorn• and
p•rlornwnc• r•l•t•d 9r•nt•
Tra• l• or* inclthd ￿ th• SoFAut• fv r*t•d ￿+>jI ¢v ￿¥• b••n do￿•r1d.
Glft• Ih klnd
Gffta kn kir*J ¥• aCCthkl*d ￿ it • rw•¢m•bl• •*th￿•t• ol th￿"r v•b* lo th• 4*•rlty orfv
)ounl actualty f••lN•Y.
Grft8 in for ¢Y d*tr*ArtbJn •r• tt• onty *t*i •obJ kv
dibtrknut•d by h chanty.
Grft• ￿ kiThJ th•ittym th• S?FAu I￿1r* r•￿T￿
00fi•t•d ••r¥l¢•• and
¢IIIU••
Thme •rn onty irthl•J ￿ in¢¢ffjiry r•*our¢￿ (with •n •4ur¥aknt •ftb>Jnl in ruoure••
•yyndedl th• b•r•fft ￿ the rBawn•bty q￿nbfi•bK•. m8uur•bkn •nd rnal•n"
Tr• v•lu• plat4d on r••wrrAB O •¥b"m•t•d v•K* lo th• L*•rity ofth• or
faolity rrf•wd.
T￿ v•hJ• of •ny vc4Jrtsry ￿th1o•d •o>)Mb In th•
t￿. 4nrw•l r•wi.
Volunt••r h￿P
Inw•trn•nt In¢orn•
Imi•8bm•ni ylns and lo•M• Th* includ•s •ny gain on th• of •r#1 •ny gah ¢v k48 trthn
rwaluirmj mV¢•trnent• ty m•rkel v•lu• •t of fv >wr.
EXPENDITURE AND LIABILITIES
Llablllty r•cogntllon
L￿bi￿￿¥ 4r• rec&anW 48 som •• lI￿rn * • *•1 oroywtyu¢*kni c*Wbon ¢%ffffifthno th•
¢h*nty to p*y oul r•8ourcM.
IrKKKJ• costs ofth• prepar•bM exomffi•ih)n acc•un￿. trkry o)sts of trust••
¢ost ol any *•1 to trusts•8 on g0w￿n(¥ or ¢on•ts'itstwl m•ttors.
Grnnt• wlth p•rfornwK• Whw• th• c*•nty gr￿ • gr•ntwrith for rty p•yTr¥Jnt t•*l9 • knv•l ofMrvt•
cohdWon8
¢fOuWI to b• provKl8d. 8¢Kh gr•nta ar• Mty recognbmo ￿ Ih• SoFAtyK¥ the r•¢*rtof th•
grani h•¥ prov•J8d
Gr•nts piy•bl• wbthout
p•rfonNnc• Cond￿9￿1
Supporteo•ts
Th•8• •r• wty Mcc¥fi￿fjd in thé •cc4unts • comth•nt hw8 Wn m•d8 and IMr• ar•
nD to b• r•￿tr.n9 lo the 9ranl rnrnain ¥1 the c4)ntrol of the chanty.
Support Costs iNd￿je centr•l fitnction• •nd ha￿ b¢en albcated lo •ctivty ￿1 Galtyorkn• on
ASSETS
caw. Staff tOg¢5 by lh• l¥ne SFthI •r>a 0lher¢451s by usw.
TangIb￿ fix•d a8••ts for Thw• w• can t• uaed formor• than w y••r. ￿ M•1 li knalt £5CKI. Thy
by ch•r6ty
•m valwtt •1 or a r••sonth v*lu8 ￿ rwL
In¥vbn•nts quotsd on a recth>n*¥d •xth•nge ar• valued 81 mark•t value ai th• >wr
•rKI. Other invfjstrneftt •SMts are induded at trustees. best estinate of mark•t Wat￿.
Sts¢k• Ind worft kn progr•M orv wa1￿j ai ofu)51 or math*i valu•.
CC170 IEx¢•ll
17102r2026

Section C
Note5 to the accounts
Icontl
Not• 3
Analysis of Incoming resources
Incomlng rgsourns may b• furth•ran•tysed Ilthts wouldhwp tho rn•d•rofth• K¢ounts.
Th1$ y••r
La•t y•ar
Voluntsry Incom•
187
50
[k￿ationS
200
Total
1.828
217
Actlvltl•• lor g•n•Thtlng funds
aygroup
Holtda Club
O(rt of Scho
Milk Rebat*
Billable E
ndrtur• In¢om•
Oher Income
Tot•1
Inv••tm•nt Inctyn•
Bank Interest
Tol*l
In¢omlng rn•our¢M froffl
¢h•rlt•bb• •ctlvltl
Fundi
209 232
19S 15S
Totsl
195 155
CC17a (Exc811
17102r2026

Section C
Note5 to the accounts
Icontl
Note 4
Analysls of re¥ources expended
Rosources exp•nd•d may be further anaW•d tlthls would h•lp th? reader ofth• a¢¢ounts.
Th18 year
L•8t y•ar
Ana
Co•t8 019on•rntlng
voluntary Ineom•
Totsl
Fundralslng tradlng
¢￿th
Total
Inv•stm•nt
manag•m•nt cMts
Corporation tax
271
Tot41
271
Ch•rttabl• actfvitl••
es and sala¥ies
Employer'5 Social securiry contributions
Staff pension cost)- defined contribution
233 999
224 788
5.900
259
118
321
109
Children's classes
Rent payable
Insurance
Cleanin
Refuse Collection
Repair5 and rnainienance
Equipment- Consumable
Office furniture
Contribuiion io buildin
Sièff uniform
Play
round e
osta
Telephone
Com
uler costs
Le
al and rofessional
Snack5 Provisions
Staff welfare
Genereal expenses
Children'5
Membership costs
OfsLed cosis
Tapest Journal subscflption
Dues and 5ub5cfipiions
Depreciation of tan
ible assets
350
741
343
629
158
costs
105
70
rnent
e and statione
429
503
385
369
729
483
676
98
183
185
220
288
347
480
92
463
220
317
501
rotsl
277.375
285,980
Gov•rn•nc• eo•ts
Accountancy Fee5
Bookkee
Software
Pa
roll Services
DBS Checks
451
850
152
2.070
T*)¢al
2.277
CC17a IExc•ll
17102r20

Section C
Notos to the accounts
Icontl
Not• 5
Support C￿ts
Pleas• compl•t• th1¥ not• Ilth• eh•Fty •n•lys•dlts •xpens•s uslnq a¢Ovlty c•t•gort•8 •ndh
support ¢￿ts.
Fundr•l•lng *clvlty
Actmty
Totsl CNt
Su
rt co•t
Tot•1
Not• 6
6.1 Tru•t•• •JtPon•
Pl￿* provid• d•i•ll• olth• •munt of •nyp•ynwit or r•lmbur¥•m•nt ofout•of¥>o¢k•r •xp•nsu mad•
to trust••8 or tv thlrdp•rtl•$ foroxp•ns•s lftcury•d by trust•￿. Mno eXp•n$￿ w•r• p•ld.
plw• •nt•r'Non•' In th• •ppropil•¢• Ipw(w).
Oetsll• of G•rtaln It•m• of •xp•ndltur•
Th1• y•ar
L••t y￿1
Numb•r of tru¥1•￿ who w•r• p•ld •xp•n•
N•tur• ofth• •xp•ro••
Tot•1 •mount
6.2 F••¥ for•x•mln•tlon or •udlt ot th• accounts
Plus• pmvld• d•t•lts ollh• •mountpald forany slatutory •xttm•lscrutlny of •ccounts •nd othr
$wvlc•s pmvld•d byyourlnd•p•nd•nt •xamln•rorwdlior. Ilno¢hlnq was p•ldpl••¥• •nt•r NONE In th•
•ppmprl41• boxf•s).
Th1• y••r
L•¥t y••r
Ind•p•nd•nt •xarnSn•rf• or audltorn. fw for r•portlng on th•
•ccounts
othor f••s (for •x•rnph: advlc•. ¢oMuft•ncy. aeeourttancy
s•r¥l¢••l pald to th• Ind•pend•nt •x•mI￿r or •udltor
CC17a (Excdl
171U2r2026

Section C
Notes to the account5
Icoiiti
Not• 7
Pald •mploy•••
Pl••s• ¢ompl•t• thls nol• M th• chartyh•s •ny •nwloy••s.
7.1 Stsff CfAts
L••t y•ar
Gros• wagm. ¥alarI￿ and t)on•llt• In klnd
Employ•￿• Na￿0￿1 In•urnnG• ¢o•ts
P•n•lon ¢o•ts
233,999
5,453
224,768
5,326
5,900
235,994
Totsl •tsff co•ts
245.496
7.2 Av•rng• nwnl)or of lull4lm• •qulvihnt •mploy•w In lh• y•ar
Th• p•rt• of th• ch•rbty In whlch th•
omploy••• wo
Th1• y••r
Numb•r
La•t ymr
Numb•r
Totsl
24
25
C¢178 (Excdl
17102Q026

Section C
Notes to the accounts
Iconti
Note 9
Tangible fixed assets
pl￿$0 wnplel• thls note Mtho charty any laiwlbh fixadassrfs
9.1 Cost or v•luatlon
Froehold land
& bulldlngs
Playground
and •xt•n•lt)n
Plant
m•¢hln•ry
•nd motor
Flxtur••.
fiWng• Ind
•qulpm•nt
ym•nts on
4e¢gunt and
und•r
¢on*tNctbon
Totsl
Balance brought
forward
Addition$
R•valuatI￿9
DIsp08al8
Transfers '
15.361
11,737
27.098
1.114
1.114
Balanc• ¢orri•d
fo￿41¢
15.361
12,851
28,212
9.2 Accumulat￿ d•pr•clatlon and Impalrnwnt provhlon•
SLorRB
SLwR8
SLorR8
- R•t•
5 Yeors
25%
13,164
forward
Depreciakn charyJe
for yèar
IM￿lmi•nt p￿slOn1
9.092
22,256
2.197
3,137
Revaluollon8
Dispo￿1$
Transfers.
B818nce c8rrf•d
lorw¥rd
15.361
10,032
25,393
.3 N•t book v•lu•
Brought forward
Carried foThYard
2.197
2.845
2.819
4,842
2,819
9.4 R•v•lu*tlon
ff •ny fixed •Js•ts h•v• bwft rw•lu•dWMs• glv• d•r•lls of th• v•luof and nmthodof valu•don
CC178 (Excdl

Section C
Notes to the accounts
Icontl
Note 10
Inveltsnent auets
Ploaso compl•t• th1$ no¢• Mth• ch•ty h•$ •ny Inv•sbn•nt•8S•
10.1 Flx•d aM•ts Inv•*tm•nt•
Carrying Imarkell value al beginning of year
Add: additions to inve$tmtrnts at cost
L•81: disposal$ 8t carrying value
Addlld•du¢tl: nel gainlllossl on r•valuation
Carrying Imark•ll value at ond of year
PIM8• provld• b•low.'
10.2 A br••kdown ol th• mark•t v*luM ol InvMtm•nts •hown abov• •gr••lng wlth th• ￿lIn¢• •h••t
row 803.
10.3 A br•akdown of th• Incom• from InvMtm•nt• •gr••lng wlth SOFA row SO3.
Analys1• of Investments
10.2
Mawknt v•lu• •t
y••r•nd
10.J
In¢om• from
Inv￿lm•￿ts Iof
th• y••r
Inv••tm•nt prt>p•rtl
Inv••tm•nt• Il•t•d on • r￿09n1••d •tock •x¢h•ng• or h•ld In ¢omrnon
Inv••tm•nt lund•. op•n •nd•d InvMtm•nt comp•nlM, unlt tru•ts or oth•r
coll￿tly# Inve•tm•nt •ch•m
Inv••tm•nts In •ub•ldl*ry or conn•et•d und•rt•klng• •nd ¢omp•nl
S•¢urltlo• not Il•t•d on • rncognl••d Sttxk Exchang•
C••h h•ld •• part ¢1 th• Inv••tm•nt pothllo
Oth•r Inv••tm•nt•
Tot•1
10.4 Materfal Investrnent hokllng•
If any •lngl• InvMtm•nt l• rn•t•rlal In t•rni• of It• v•lu• {for •x*mpl• r•prnMnt• mor• than 5 p•r ¢•nt of th•
v*lu• Of th• ch•rtty'• totsl Inv•*tm•nt81 pl•u• provld• d•tall•.
InvMtm•nt h•ld
Mark•t Valu•
CC17a (Excell
17102r2026

Soction C
Notes to the accounts
(conti
Nots 11
Debtorn *nd pr•paym•nts
Pl•￿• eompl•h th1• not• Mlh• ¢h•RIty h•s •ny d•Otorn or
Anal￿1¥ of d•btorn
Arnounts lalllng du•
wlthln on•
ar
Th1• y•a¢
L••t y•ar
Amount• f•lllng due aft•r
mor• than ono y•ar
Th1$ yo*r
Last y•ar
Tr•d• d•btorn
Amounts du• from •ub•ldl*ry and •••ocl•t•d
und•rt*klng•
Oth•r d•btorn
Pr•p•ym•nts and *ccru•d In¢¢)m•
633
253
Totsl
Note 12
Cr•dltr•r• and vKru•l•
PIMs• eompl•t• th1¥ not• Ilth• ¢hwty •ny cr•dltorn or•¢¢ru•ls.
111 Analy•l• of cr•dltorn
Amounts falllng du•
wlthln •ar
Th1• yMr
La*t y•ar
Amounts falllng du• aft•r
mor• than on•
Th1• y••r
Llit y￿r
Loani •nd ov•rdrnft•
Tr•d• cr•dltorn
Amounts du• tr• •ub•ldl4ry •nd u•oel•t•d
und•rt•kln
1.525
1,505
Oth•r cr•dltor•
337
A¢¢ru41• and d•l•rr•d Inwn•
Totsl
CC1781kn11
1710212026

(HARITY COMMISSION
FOR ENGLAND AND WALES
Independent examIne￿S report on the
accounts
Section A
Independent Examiner's Report
Report to the tru8teesl
mombers ol
Melbourn Playgroup and Out of School Club
On accounts for thè year
•nd•d
3110812025
Charlty no
(if any)
1174006
Set out on pages
3-13
I report to the trustees on my examinalion of the accounts of the above
charity (Ihe Trusf) for the year ended 3110812024
R••pon•lbllttle8 and
b•sls of report
As the charity's trustees, you are responsible for the proparation of the
accounts in accordance with Ihe requirements of the Charities Act 2011
I'the Act").
I report in respecl of my examination of the Tnjst'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.
Indepéndent
examlmrfs statement
I have oompleted my examlnation. I corfirm that no material matters have
come to my attention in connection with the- examination (other than that
disclosed below ') which gives me cause to believe that in, any material
respect:
the accounting records were not kept in accordan￿ with section 130
of the Charities Art., or
the accounts did not accord with the accounting records. or
the a¢counts did not comply with the applicabl6 requirements
concerning the fonn and content of accounts set out in the Charities
(Aexounts and Reports) Regulalions 2008 other than any requI￿rnant
that the accounts give a 'true and fairf view which is not a matter
considered as part of an independent examination.
I have no concerns and have come across no other matters in connectic
with the examination to which attention should be drawn in this report in
order to enabEe a proper understanding of the accounts to be reached.
. Please delete the words in the brackets if they do not apply,
Slgn•d..
2712126
Nama:
Peter Cumow FCCA
Rolevant prof•s$ional
qualllkatlon{$) or body
(If any):
ACCA
IER
Oct 2018