Charity Irptrat•)n nvmber 1174318 (Englattd and Wales)
READY STEADY GROW COMMUNITY PRE SCHOOL
ANNUAL REPORT AND UNAUDTTED FINANCIAL STATEMENTS
FOR THE PERIOD EI¥DED 31 DECEMBER 2024

READY STEADY GROW COMMUNrfY PRE SCHOOL
Trustees
E Gnffiths
S Simpson
N BteDt
Charity Dumber
1174318
Regijtered office
L8Dglev Green Centr¢
Stsge]ands
Crawkv
West Sussex
RHII 7PE
IDdepeDdent examlDer
tknu Hthn8ACA FCCA t￿bA
Richard Pkn Dobg)n Sern'ces Limit41
Ground Floor
1-7 Ststion Road
Crawky
West SusxK
RHIO IF

READY STEIlDY GROW COMMUNITY PRE SCHOOL
CONfENrs
BaJan¢e slKct
6-13

READY STEADY GROW COMMUNrrY PRE SCHOOL
TRUSTEES, REPORT
FOR THE PERIOD ENDED 31 DECEMBER 2024
The r]na￿la1 statcllK￿ts have E*en ID ￿0[da￿e wtth the xcounting ￿1]cA¢S sd out in note i to the fmancial
statements and compl). ￿7th the chanty's Pre-school ￿lling Alliance CoDslitiJlioo the Chattti&8 Act 2011 and "Accounting
and RewrtiDg by Clwiti¢s: stateD￿Lt of Recolllltn￿ Practice applTrcable to charities p[qwi￿ their xcounts in accordance
with the Fin￿la1 Rqy)rtmg Standard arq)IKable iti the UK and Republic of treland (FRS 102)" (effective l January 2019).
Objectives Ind actiTritles
Public benefil
The ¢h8Tity is a with irs mAin objective the ed￿atIOn of children aged lthveen two and five
years old.
This is achieved by promoting carq safety. ed￿at10D and [￿￿ts1 involYetnenL as well &%1*81th and
The trusth bave ￿ld ff8ard to 8UMJance is5￿$ by the Charity Commission in thiding wbat ￿tivItIeS the chaTity should
undertake.
Achievements and perfomattct
Autumtt Terni 2023
The pre￿h0o1 ￿gan the academlc year with high slaff mornk and the team woTkeA collat*)Trtiv¢ty to ensure a positive start
even though our numEtrs were low. We welcoD)ed C¢rys. Eve's sister. who joined trmtx>ranty io sUP￿rt Strtfu￿ neeAIs.
We hosted a Mactllillall Coffee Morning in S•Lrr,
feabjrtsl a swCc¢sSfi￿ Cbristmas Craft D&y for fami]i&8 and a f￿1ve Chri4M￿ Play. creatively writl¢n by the
hddT¢n. The christ￿ fi]ndraismg ev￿1 was c8JKelkd to lack ofint¢Test.
Spring Terni 2024
Spring enrolment increased our numF*rs although staff mornle was low due to th¢ di￿le￿ItieS tn our building and lack of
support from the council to improve things.
Two parent craft workshops were hekl-one for Mother's Day 8ths and another for decordtioas. Both wae Mell.
resources from a anotherpr￿tY)ol that closAn8
World Book Day w&5 cekbrated V41th enthuslasm, with childrn and staff as ther favowik ]itasry cl]aracters,
promoting a love ofreading and storytellm8.
Summer Terni 2024
We kn'd farewell to slaff memlxr H8yky, WIM) mow] on lo a new Tok. Her contrilMJtions w￿¢ 8[￿tty valueAI.
The Sun]m¢r TeTm difficult and Eve 5￿k¢ kn the cOmri￿ after she 8nd othu ￿10[ stsff felt that they V*Ere readv to
leave th¢ Pr￿001. Ameetm8 was held with ￿ents and it w&5 deci(bJ to close the p[￿h￿l and chanty dowi.
We held a GTaduation Party for ￿h0o1 leavtt4 compkie ¢atificates and keepth yfls.
Prep8rations for the we￿]￿￿.$ closute July. iDcludmg saks a￿1 farewell evats attOM￿ by families and
It a￿eed by the commits to sbae any Temall￿ fun(Ls left over after all [alunda￿l￿$ a￿1 &i*s have beaL ￿ld to Et
￿tWeell 3 kKai charity t￿L￿h0O]s.

READY STEADY GROW commuM￿ PRI SCHOOL
TRUSTEES, REPORT (CONTMIED)
FOR THEPERIOD ENDED 31 DEC￿v￿ 2024
FtDanciai review
RÈxm7espolia'
As the chw is in the prixess of w1n(ti￿O down its w]icy has be¢n Tevised to refiect the ttansitson
.All liabilit￿ and objigatons are met in full.
Strncturq governance and m*n*gement
The clwity is an Earty Yeay3Allianc¢ CIO govern￿1 by anAswciatson M(thl CO￿￿lti]ll0IL
E Griffiths
S Simpsoa
N Brcllt
Due lo the dLrision to close the Fftrthl. the tnL%tets bave ce&$￿ the re¢ruilm¢Dt and apFK)intmeDt of new lJustett. The
existiD8 board rernait￿ in plaet to oversee the ord￿ty clowe of the chuity and to thal all ranainills obligatio￿5 are met
Trn$tee
Date..

## **READY STEADY GROW COMMUNITY PRE SCHOOL** 

## **INDEPENDENT EXAMINER'S REPORT** 

## **TO THE TRUSTEES OF READY STEADY GROW COMMUNITY PRE SCHOOL** 

I report to the trustees on my exammation of the financial stat **e** m ts of Ready Steady Grow Community Pre School (the charity) for the period ended 31 December 2024. 

## **Responsibilities and basis of report** 

As the tru **s** tee of the charity you are responsible for the preparation of the fi **n** a cial statements in accordance with the requirements of the Charities Act 2011. 

I report in respect of my examination of the charity's financial statements carried out under section 145 of the Charities Act 2011. In carrying out my exammation I have followed the Directions given by the Charity Commission under section 145(5)(b) of the Charities Act 2011. 

## **Independent examiner's statement** 

Your attention is drawn to the fact that the charity has prepared the financial statements in accordance with the relevant version **m** of the Statement of Reco ended Practice applicable to charities preparing their financial statements in accordance with the Financial Reporting Standard applicable in the UK and Republic of Ireland (FRS 102) in preference to the Accounting and Reporting by Charities: Statement of Recommended Practice issued on 1 April 2005 which is referred to in the ei..tant regulations but has now been withdrawn. I understand that this has been done in order for the financial stat **e** m nts to provide a true and fair view in accordance with UK Generally Accepted Accounting Practice. 

I have completed my examination. I confinn that no matters have come to my attention in connection with the examination giving me cause to believe that in any material respect: 

- 1 accounting records were not kept in respect of the charity as required by section 130 of the Charities Act 2011. 2 the fi **n** a cial statements do not accord with those records; or 

- 3 the financial statements do not comply with the applicable requir **e** m ts concerning the form and content of financial statements set out in the Charities (Accounts and Reports) Regulations 2008 other than any requir **e** m t that the financial statements give a true and fair view, which is not a matter considered as part of an independent exammation. 

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 fmancial statements to be reached. 

## **Darren Harding ACA FCCADChA** 

Richard Place Dobson Services Limited 

Ground Floor 1-7 Station Road 

Crawley West Sussex RHl0 lHT 29/10/2025 Date: ........................... . 

page3 



READY STEADY GROW COMMUNITY PRE SCHOOL
STATEMENf OF FINANCIALAcrKvrriES
INCLUDJI¥G INCOMEAND EXPENDfruRE ACCOUNr
FOR THE PERIOD ENDED 31 DECEMBER 2024
nd$
21124
fimds
211LI
Notes
Income and endowments frnm:
Donations and leoaci&s
OthLT tsadiDg aciivtl
Investtllents
Other iticome
109.002
513
41
545
125.880
392
Totsl income
iio.ioi
126272
ExpenditiTre on."
Raisi])8 funds
Cbaritsble activities
Other wendityre
30
285.W7
234
53
131237
Totsl ezpendlture
286.171
131290
Net erpenditllfE movement ID f•Dds
(176.070)
{5,018)
Re¢oDdlhlitin of fiwd*"
Fund ithnces at l Augusl 2023
176.070
181,088
Fund balances at 31 IY¢t¢mber2024
176.070
m continuing 8clivitie&

READY STEADY GROW cOM￿[U￿ PRE SCHOOL
BALAIYCE SHEET
ASA T 31 DECEMBER 2024
2(r24
2023
Notes
Fixed assets
Tangible assets
15
393
Cunenl Msets
Debtors
Cash at baDk and in band
16
468
177,979
81,120
81.120
178.447
Credi¢ors: amounts f*lllng due wlthill one
year
17
(81.120)
(2,770)
Net curr¢nt assets
175.677
Total asYts kss turrtDt liabili¢ies
176,070
The of the cbirih.
Unrestncted fun(L%
19
176.070
176,070
27. /0 afj
The r]ll￿cial ststements wete awval by thc ttU5tees on ..............
Trustee

READY STEADY GROW COMMUNITY PRE SCHOOL
NOTES TO THE FINANCIAL STATEMENrs
FOR THE PERIOD ENDED 31 DECEMBER 2024
Chwity iDfonnatiDn
Ready Sleady GroTh Conm)uDAty Pre School isao F￿ty YearsA]]iance CIO.
l. l Reportsng peiiod
extsidal the Tew¥rting paiod kn 17 monts euding on 3) D￿l￿r 2024, ill orts to a]Agn Ihe fiDaDcial r¢p)ning Trith
the p1alln￿ Llosure of the chaTity. ThL8 appmach eDsurGs that all Televant financial activity to the p)iot of closure is
As 8 rewlt of the extended accouutillg pai0¢ the compmlive amounts presenled in these fllw¢Aal Staterrt￿ (Its¢h￿Ing
the relalol J]otLs) COV￿ a sborter pvi(xl a]￿ IF￿¢fOre llot e￿I￿[Y
1.2 Accounting conventioft
The finawial thtements have been rffep￿ in accordance with the clwity's Constitutio￿ the CJiaTities Act 2011. FRS
102 Tr Finaticial RepoItiD8 stand￿ awlilxble ID the UK alld Republic of Ireland" CFRS 102.) and the Cbarities
SOIiP 'AcCoUnti￿ and Re￿rtID8 by Cbaritiex Slalantht of R￿0Mmended Prnctice 3t4)licable to c1witi￿
their accounts iti actordaatr the Financtal Rqy)ItiDg Stsndard applicable in the UK and Repub]ic of treland (FRS
102). (￿}￿tiVe l January 20191 The cbaTity is a Pubjic Entsty as defin&l by FRS 102.
The fuwKial sL*ments have dep&tbl from the C￿￿TilleS (Accounts a￿j RwTts) Regulth]Is 2008 only to the extrit
required to rmvide a and fair view. This has iDFolva folloThin8 the Ststem¢nt of Recommendd Prnctice
for ¢lwities appl)qDg FRS 102 rather than t￿ veT5i¢)n of the Sta*M￿t Ptactice ￿{Ch is refcEred to iu
the RegulalioDs but which has sinGe Trithdrnw
The fLDancia] *alements are in ￿￿]ing. Vihicb is the fa￿]01￿] of the cknity. Monetsry amounts in
these fu￿￿1 stAtan￿ts ar¢ mundol to the llear￿£.
adopt&l are set out tdow.
L3 Going con(ern
At the time of ar1￿0Villg th¢ fmallcial ststuoenl4 the trllae￿ have Co￿lllded that the ￿kn￿lty will not continue in
op¢xatioDal cxistence for the foreseeable fatll￿ FollowiDg a strategic decision to doThn activities and close the
cP￿ity. the trustees have detrri￿ that the got￿￿ CO￿ baw o18Kcounling is no Ion8eT aF4)roEYkqte. Accordmgly, the
1.4 CharitablE funds
UD￿j¢￿J fll]￿ are avaiknwe for use atibe di￿1￿ of Ihe tsilsiees in furthe￿Of their cliaritable obj'ectives.
1.5 JDtom¢
anLounts can be reliablv, and ills w?FAble that income ￿ ￿T<￿e1ve
c￿ dollations are on receipt &)nations ate Tecogni*d once the clkirity Fos i￿1 nolifial of the
donatio4 ￿foll￿all¢e condJtiOnS TO4UitE defetral of the amounL hKome tLX rewv￿able ill ￿atIOn to donations
T￿Civ&1 under GiftAid or deats of c0va￿lt ts rttowsed atthe time of the donatio
is kll0Th￿ attd re£eipt Is￿￿1 If the atllouat 1snotkn0w￿ ￿ Iw is treated as a contin8tht

READY STEADY GROW COMfvtUNrrY PRE SCHOOL
NOTES TO THE FINANCL4L STATEMENTS (COlYnNUED)
FOR THE PEIUOD ENDED 31 DECEMBER 2024
Accounting PDlicies
(Contilluedj
1.6 Expenditure
Expellthtt￿e is recognisol once there is a legal or constructive obligatioll to t]w￿er economic F￿DefIt to a third partv. it is
probAble that a trallsfcr of e￿noMIC I￿l￿fits in settleJtul and tbe amount of the obb'gation can be
measured reliably.
Expenditure is C￿llfied by ￿tiVity. The costs of C￿h activity are up of the total of direct costs and sharnl cost3,
includin8 SUPP)rt costs involved in Und￿1￿ xtivity. DiT￿l costs attributable to a smgle activitv are allocated
directly to that ￿tivity. Shared cO￿S which contn￿￿te to more than one activty and supp)rt costs which are not
atttibutable to a 5mgle activity are atvortioneAJ lknveen those activitias on a basis ￿nS￿t the use of reg)urc¢s.
Central statT cosls ar¢ allocated on the i￿1$ of lime sp¢uL a￿1 de￿￿1&110￿ charges are allocabj on the p)rtion of the
asset's ￿.
1.7 T•Dglble thed assets
Tangible fLxed 8ssets illit￿lly at cost aDd *tly at cost or valuatioffj net of dew￿latiOn
8Th18ny impairnMt10&ges.
tkpreciation is recognisa ￿ as to wiite off the cost or Yahwtioll of assds kss their rG%i¢knl Tah￿9 ovet their weful hves
on the following bw:
Comwters
4 ye•r Str￿ht Ill
carrYJn8 value of the asseL and is recogDisoI in the ststement of ￿tiVItieS.
1.8 Impairment of futd Assets
At each rwrtsD8 end dat¢. the clwity reviews the carying amounts of its tsnpl)le &wets to dae￿￿ whether tbere is
any indication that those as%ts have suffered an impJJrmeDt lo￿. If 8ny indution exists. the rwoverable amount of
the assd is &%timat&l io order to det¢ll￿ the ￿ent of ioss (ifany).
1.9 Cajh and c•sh equlvalenti
C8sh and cash a4uivalents inclu(k C￿ in batyl dep)sits hdd at call wilh t*nks. oik*r short.tam hqwd investments with
liabil1t￿.
1.10 FIDanclal knjtrumentg
The clwi'tv Iw electel to a￿ty the of s￿￿oll 11 'B&sic FinwKial [ns1n￿￿Jts. and Section 12 .0th
Fillanc￿l Instrum¢nts Iw&8' of FRS 102 kn all of its fll*ttiai It￿￿￿¢￿
provisions of the iD51ntinetkt.
Fitwic1￿ asth and liabilities 8te offs¢ with the net amounts in the financial ststement4 when there is a
legally enr0￿cOble right to sd off the teco8m¥l amounts and there is all intention to settle on a net FAsis or to realise the
asset and settle the liability simulialleously.
B￿C financial Thlllch include debtor5 and C￿ and Ixnk" t*lances. are MIt￿lY me8sw￿ at traD￿tion ￿l¢e
includmg transaction wsts 8nd are subs84￿tlY ￿rIed at amorti5al ￿5t USll)8 the eff￿tive illtctest n￿thOd unless the
8rrangellLent constitsrtes a financillg t[all￿tiO0 where the tt8Lwtioll is meawaj at Ihe p￿t value of the futur
receipts dixount&J at a Ma￿et T* of illtetesL FitwKial &&Fets classified as [￿elF¥b￿ within one Ye￿ ￿￿Ortis￿l

READY STEADY GROW CoMNfuNT￿ PRE SCHOOL
NOTES TO THE FINANCIAL STATEMENIS (CONfINUED)
FOR THE PEJUOD EIVDED 31 DECEMBER 2024
Atcounting policies
(Continued)
awdngemLmt constitut(% a fmancing I￿￿¢tio￿ ikn the dd)t i5 In￿j[￿l at the pr&*Dt value of the future
Foyments discounted at a matket Trte ol inkrest Fin￿¢181 liabiliti￿ classificd as payable Nsithin one ye8T aTe not
Trade Creditors are oblyhon5 to EHY for g¢xMJs OT seryicts that have acqllNol in the ordinary course of opratiolls
ftom 5upp]ict& A]rK>uuts payable are c]￿]fied &8 cutTent I￿l11t1¢S if Twent ￿ due within one year OT I￿. If DOL Ihey
are pr&￿ted as liabi]itie& Trnde Croll￿ are iDilially at trans&ction pnce alld sUbseque￿IY
Meas￿ at 8mortid cost Usi￿0 the effective intese* method.
Financial liabilitses are wlu the ¢knity's contrxlual obli8ations expire or are di*h*gèJ or cal￿elle11
1.11 Empknyee benefjts
Th¢ costof any unused holiday entiil¢meot is r¢rogDised in thewiod in whi¢b Ibe eD)ployee's services are receive<L
the emplo)The￿ of ananployee orto pmovide tatDrdion
Criti￿1 accomitlDg estlraates and Judgements
In the application of tk clwity's acCO￿ling Pol￿14 the are wu1￿1 to maL¢ judgall￿ts, estim￿ and
relcYaaL Actual re￿Its may differ these
recogn￿￿ in the FLTiod in which the esthnak is revised wheje the TevisAon aff¢cts only that or in thc wiod of
Income fmm dO￿tIons legaci
funds
2023
2024
6537
102.465
4,882
120,998
109.002
125.880

READY STEADY GROW COMMUNITY PRE SCHOOL
NOTES TO THE FINANCIAL STATEME￿ (coNfINUED)
FOR THE PERIOD ENDED 31 DECEMBER 2024
Incowe frDm other trading Actiiities
Unrntiicled UJuE5tricted
funds
fund5
2024
2023
513
392
In￿rne frnm illvMtmeDts
UDnYtricted iTnrntricled
fimds
fuDds
2024
2023
Interest r￿e1Vable
41
Other infome
UDreJtricted UnTrstricted
fuDdJ
funds
2024
2023
S41¢ of equipmet
545
Expenditure on r•isiDg fvDdJ
Unrntrkied UnreJtri¢ted
funds
nds
2024
21)23
Fundraising and publicity
53

READY STEADY GROW COMMUNITY PRE SCHOOL
NOTES TO THE FtYANCIAL STATEME￿ {CONfINUED)
FOR THE PERIOD ENDED 31 DECEMBER 2024
E4*ndItu￿ on charitsbk activitit5
2023
Direct costs
Staff costs
131276
159
472
697
951
687
17,744
651
105.123
56
331
793
1.107
154
15.301
2(M)
2,196
Activities
Domestic
Equipuuit
Ouling4 trips and r
Rent
StatTtrainiDg
Redulldancy
Cknitable dojthtions
22,619
77.608
253,764
125261
Share of support and governwbce costs (see note 9)
Supwt
26.632
5511
3,149
2.827
285.907
131237
An*lvsis by fund
285.907
131237
Support costs alknuted to actritses
2023
12LK)
22.987
648
119
613
83
235
1,065
291
107
670
TeleKonllnunitations
Printing. FLlSts8e and ststionary
Computer costs
Matketing
Suttdry
781
2.827
5511
32.143
5,976
32.143
5.976
gelo

READY STEADY GROW COmMuNf￿ PRE SCHOOL
NOTES TO THE FINANCIAL STATEMENIS (CONTINUED)
FOR THE PE]UOD ENDED 31 DECEMBER 2024
17 Creditors: amounts falling due within one year
2024
2023
Other creAitors
.4ccnwLs and deferroj income
430
2,340
81.120
81.120
2.T70
The a¢¢n￿lS aT¥I deferrol income r￿Ure iDclu(ks ￿¢T￿￿1 th>nati0ts8 for Willow Tree Preschool, Muddy Il￿dIeS
Preschool. and Water Li￿.￿ PteschwL which will be disbu￿ after all other outstandJDg liabib'ties bave been settle(L
18 Ret1￿ment benefit Kbem
2024
2023
Defined contribution schemes
Cbatge to profit or lo&% in rewt of derm￿ conknTrfirtion
2,515
1.833
The clwity opetatas a defiDryI contr1￿110n peLqon ￿ for all q￿ID8 employe￿ The a￿ts of the scheme 8Te
held separatety from thoyx of the chaTity in an
19 Unrtsirlcted funds
The unrestricted fimds of th¢ ¢lwity cOmW￿ the of&)n8tions aad grants ￿ti1¢h are not sub)ecl lo
S[￿lfIC conth'tions by donors and grantors as to how tbey These i￿lUde deswtal funds which have iwl
set aside out of unrethted funds by the for S￿C]fIC puw>5e&
At l August
21123
ResourresAt 31 December
expended
2024
Gener￿ fun(L8
176,070
110.ioi
(286,171)
Previous ye•r.
At l Augurt
21n2
IncomiDg
Ruources At 31 Jujv 2023
expended
181.088
126272
(1312Y))
176,070
20 Relaled party trknsartionj
Th￿e no di%los&ble related FAtty transxl10￿ the w￿d{2023. none).
y13