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2022-03-31-accounts

Page
Report ofthe Trustees 1 to 3
Independent
Examiner's
Report
Statement ofFinancial Activities
Statement ofFinancial Position 6 to 7
Statement ofCash Flows
Notes to the Statement ofCash Flows
Notes to the Financial Statements 10 to 18
Detailed Statement ofFinancial Activities 19 to 20

Period
1.7.19
Year Ended to
31.3.21 31.3.20
Unrestricted Restricted Total Total
fund funds funds funds
Notes
INCOME AND ENDOWMENTS FROM
Donations and legacies 2 161,803 41,142 202,945 227,744
Charitable activities
Charitable activities 362,235 362,235 277,038
Other trading activities 439
Investment income 539 539 311
Total 524,577 41,142 565,719 505,532
EXPENDITURE ON
Charitable activities
Charitable activities 467,737 32,838 500,575 452,079
NET INCOME 56,840 8,304 65,144 53,453
RECONCILIATION OF FUNDS
Total funds brought forward 53,453 53,453
TOTAL FUNDS CARRIED FORWARD 110,293 8,304 118,597 53,453

31M arch 2021
2021 2020
Unrestricted Restricted Total Total
fund funds funds funds
Notes 6
FIXEDASSETS
Tangible assets 12 8,194 8,194
CURRENT ASSETS
Debtors 13 22,977 8,304 31,281
Cash at bank and in hand 201,652 201,652 106,875
224,629 8,304 232,933 106,875
CREDITORS
Amounts
falling due within one year
14 (85,030) (85,030) (53,422)
NKT CURRENT ASSETS 139,599 8,304 147,903 53,453
TOTAL ASSETSLESSCURRENT
LIABILITIES 147,793 8,304 156,097 53,453
CREDITORS
Amounts
falling due afier more than one year
15 (37,500) (37,500)
NKT ASSETS 110,293 8,304 118,597 53,453
FUNDS 18
Unrestricted
funds
110,293 53,453
Restricted funds 8,304
TOTALFUNDS 118,597 53,453

Period
1.7.19
Year Ended
31.3.21 31.3.20
Notes
Cash flows from operating activities
Cash generated
from operations
58,310 106,564
Net cash provided by operating activities 58,310 106,564
Cash flows from investing activities
Purchase oftangible fixed assets (9,072)
Interest received 539 311
Net cash (used in)/provided by investing activities ~8,533) 311
Cash flows from tinancing activities
New loans in year 45,000
Net cash provided by financing activities 45,000
Change in cash and cash equivalents in
the reporting
period
94,777 106,875
Cash and cash equivalents at the
beginning
ofthe reporting
period 106,875
Cash and cash equivalents at the end of
the reporting
period
201,652 106,875

Period
1.7.19
Year Ended to
31.3.21 31.3.20
Net income for the reporting period (asper the Statement ofFinancial
Activities) 65,144 53,453
Adjustments for:
Depreciation charges 878
Interest received (539) (311)
Increase in debtors (31,281)
Increase in creditors 24,108 53,422
Net cash provided by operations 58,310 106,564
ANALYSIS OF CHANGES IN NET FUNDS
At 1.4.20 Cash flow At 31.3.21
8
Net cash
Cash at bank and in hand 106,875 94,777 201,652
106,875 94,777 201,652
Debt
Debts falling due within I year (7,500) (7,500)
Debts falling due afler 1 year ~37,500 (37,500)
~45,000) ~(45,000
Total 106,875 ~49777 156,652

DONATION S
AND LEGACIES
Period
1.7.19
Year Ended to
31.3.21 31.3.20
Donations 500
Grants 194,945 81,995
Donated goods and assets 8,000
Exceptional items 145,249
202,945 227,744

Period
1.7.19
Year Ended to
31.3.21 31.3.20
8
Action for Children 48,001 20,000
SMBC 58,215 37,359
CAFCASS 2,670 2,805
BBCChildren in Need 25,673 21,831
SCVO 2,000
Sylvia Adams 3,000
Groundwork 500
DPD Stay and Play 1,500
HMRC Job Retention Scheme 27,215
Ladywood EEE 21,171
National Literacy Trust 5,000
194,945 81,995
3. OTHER TRADING ACTIVITIES
Period
1.7.19
Year Ended to
31.3.21 31.3.20
Photograph sales 439
4. INVESTMENT INCOME
Period
1.7.19
Year Ended to
31.3.21 31.3.20
f.
Deposit account interest 539 311

5. INCOME FROM CHARITABLE ACTIVITIES FROM CHARITABLE ACTIVITIES FROM CHARITABLE ACTIVITIES
Period
1.7.19
Year Ended
31.3.21 31.3.20
Activity 6 f
Stepping Stones Charitable acrivities 122,247 92,956
Two Steps Charitable acrivities 46,157 31,429
Little Steppers Charitable activities 93,341 70,179
Tiny Steps Charitable activities 99,605 81,129
Contact Centre Charitable activities 140 580
Family Support Charitable activities I 90
Milk sales Charitable activities 91 575
Sundry income Charitable activities 68 100
Little Wonders Charitable activities 585
362,235 277,038
6. CHARITABLE ACTIVITIES COSTS
Support
Direct costs (see
Costs note 7)
f
Totals
f
Charitable activities 398,529 102,046 500,575
7. SUPPORT COSTS
Governance
Management Finance Other costs Totals
f
Charitable activities 93,141 28 878 7,999 102,046
8. NET INCOME/(EXPENDITURE)
Net income/(expenditure) is stated aller charging/(crediting):
Period
1.7.19
Year Ended
31.3.21 31.3.20
f f
Independent examiners fee 1,860 1,440
Depreciation - owned assets 878
Other operating leases 48,157 34,441

Period
1.7.19
Year Ended to
31.3.21 31.3.20
Wages and salaries 371,746 344,569
Social security costs 7,652 13,663
Other pension costs 5,344 3,990
384,742 362,222
Period
1.7.19
Year Ended to
31.3.21 31.3.20
Direct delivery 32 32
No employees
received emoluments
in excess of660,000.
Wages and salaries includes redundancy costs paid of63,799.
The Director who is considered to be key management personnel received 643,716 in the period.
COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTIVITIES
Unrestricted Restricted Total
fund funds funds
INCOME AND ENDOWMENTS FROM
Donations and legacies 195,818 31,926 227,744
Charitable. activities
Charitable activities 277,038 277,038
Other trading
activities
439 439
Investment income 311 311
Total 473,606 31,926 505,532
EXPENDITURE ON
Charitable activities
Charitable activities 420,153 31,926 452,079

for the Year Ended 31March 2 for the Year Ended 31March 2 021 021
11. COMPARATIVES FORTHE STATEMENT OFFINANCIAL ACTIVITIES - continued
Unrestricted Restricted Total
fund funds funds
I 6
NET INCOME 53,453 53,453
TOTAL FUNDS CARRIED FORWARD 53,453 53,453
12. TANGIBLE FIXEDASSETS
Equipment
&computer
equipment
COST
Additions 9,072
DEPRECIATION
Charge for year 878
NET BOOKVALUE
At 31March 2021 8,194
At 31March 2020
13. DEBTORS:AMOUNTS FALLING DUE WITHIN ONE YEAR
2021 2020
8
Prepayments
and accrued
income 31,281
14. CREDITORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
2021 2020
Bank loans and overdratb (see note 16) 7,500
Social security and other taxes 2,781 3,982
Other creditors 6,475
Accruals and deferred income 68,274 49,440
85,030 53,422

15. CREDITORS: AMOUNTS FALLING DUE A FTERM ORE THAN ONE Y EAR
2021 2020
Bank loans (see note 16) 37,500
16. LOANS
An analysis ofthe maturity ofloans is given below:
2021 2020
Amounts
falling due within one year on demand:
Bank loans 7500
Amounts
falling between one and two years:
Bank loans - 1-2years 9,000
Amounts
falling due between two and five years:
Bank loans
—2-5 years
27,000
Amounts
falling due in more than five years:
Repayable by instalments:
Bank loans more 5 yr by instal 1,500
17. LEASING AGREEMENTS
Minimum
lease payments
under non-cancellable
operating leases fall due as follows:
2021 2020
f,
Within one year 14,610
Between one and five years 8,037
22,647
18. MOVEMENT IN FUNDS
Net
movement At
Ai 1.4.20 in funds 31.3.21
Unrestricted
funds
General fund 53,453 56,840 110,293
Restricted funds
Inclusion Support 3,304 3,304
Hungry Little Minds 5,000 5,000
8,304 8,304
TOTAL FUNDS 53,453 65,144 118,597

Incoming Resources Movement
resources expended in funds
f,
Unrestricted funds
General fund 524,577 (467,737) 56,840
Restricted funds
Inclusion Support 3,304 3,304
EYPP 779 (779)
BBCChildren in Need 25,673 (25,673)
Hungry Little Minds 5,000 5,000
Play Scheme 4,886 (4,886)
Stay and Play 1,500 ~(1,500
41,142 (32,838) 8,304
TOTAL FUNDS 565,719 ~500,575) 65,144

Net
movement At
At 1.7.19 in funds 31.3.20
Unrestricted funds
General fund 53,453 53,453
TOTAL FUNDS 53,453 53,453
Comparative net movement in funds, included in the above are as follows:
Incoming Resources Movement
resources expended in funds
Unrestricted funds
General fund 473,606 (420,153) 53,453
Restricted funds
Inclusion
Support
8,513 (8,513)
EYPP 1,582 (1,582)
BBCChildren in Need 21,831 (21,831)
31926 ~31 926
TOTAL FUNDS 505,532 ~452,079) 53,453

Detailed Statement ofF
for the Year Ended
inancial Activities
31March 2021
Period
1.7.19
Year Ended to
31.3.21 31.3.20
INCOME AND ENDOWMENTS
Donations
aad legacies
Donations 500
Grants 194,945 81,995
Donated goods and assets 8,000
Exceptional
items
145,249
202,945 227,744
Other trading activities
Photograph
sales
439
Investment
income
Deposit account interest 539 311
Charitable
activities
Stepping
Stones
122,247 92,956
Two Steps 46,157 31,429
Little Steppers 93,341 70,179
Tiny Steps 99,605 81,129
Contact Centre 140 580
Family Support 1 90
Milk sales 91 575
Sundry income 68 100
Little Wonders 585
362,235 277,038
Total incoming resources 565,719 505,532
EXPENDITURE
Charitable
activities
Wages 371,746 344,569
Social security 7,652 13,663
Pensions 5,344 3,990
Food and other purchases 2,302 6,118
Childcare resources 11,485 3,041
Real project 385
EYPP 394
398,529 372,160
Support costs
Management
Rent 48,157 34,441
Carried forward 48,157 34,441

for the Year Ende d 31March 2021
Period
1.7.19
Year Ended to
31.3.21 31.3.20
f,
Management
Brought forward 48,157 34,441
Rates and water 55
Insurance 4,996 1,125
Light and heat 3,851
Telephone 3,924 3,281
Postage and stationery 1,653 1,821
Advertising 616
Sundries 1,177 1,871
Repairs and renewals 3,497 5,355
Other staff costs 13,772 4,250
Travel costs 124 934
Xmas and community parties 15 1,076
Cleaning and waste disposal 6,454 6,050
Computer
costs
5,466 1,577
93,141 62,397
Finance
Bank charges 28
Other
Depreciation ofequipment 878
Governance costs
Independent examiners fee 1,860 1,440
Accountancy fees 5,389 1,447
Legal fees 13,172
Pensions advice 750 1,463
7,999 17,522
Total resources expended 500,575 452,079
Net income 65,144 53,453