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2025-07-31-accounts

Trustees’ Annual Report for the period

From 2024 To 2025

Charity name: St Martin and St Mary Church of England Primary School PTA 1181023 Charity registration number:

Objectives and Activities

The purpose of the PTA is to advance the education of pupils attending St Martin & St Mary CE Primary School by Summary of the purposes of the fostering positive relationships between staff, parents and charity as set out in its the wider school community and by engaging in activities governing document and fundraising initiatives that support and enhance pupils’ education and wellbeing.

During the reporting period the PTA organised fundraising Summary of the main activities and community events including school fairs, discos, in relation to those purposes for raffles, refreshment stalls and seasonal activities. Funds the public benefit, in particular, raised were used to support educational resources, the activities, projects or enrichment opportunities, wellbeing initiatives and school services identified in the community activities for the benefit of pupils attending accounts. the school.

Statement confirming whether the trustees have had regard to The trustees confirm that they have had due regard to the the guidance issued by the Charity Commission’s guidance on public benefit when Charity Commission on public planning and carrying out the charity’s activities. benefit

Additional information (optional)

The charity does not currently operate a formal grant-making Policy on grant making programme. Policy on social The charity does not hold social investments or programme investment including related investments. programme related

investment

Contribution made by volunteers

The PTA relies heavily on the support of parent, staff and community volunteers who assist with organising and running fundraising events and activities throughout the year. The trustees would like to thank all volunteers for their continued support and commitment.

Other

None.

Achievements and Performance

The PTA successfully delivered a range of fundraising and community events during the year, helping to Summary of the main achievements strengthen engagement between families, staff and of the charity, identifying the the wider school community. Funds raised difference the charity’s work has contributed towards resources and activities that made to the circumstances of its enhanced the educational experience and wellbeing beneficiaries and any wider benefits of pupils. The charity’s activities provided wider social to society as a whole. benefits by encouraging community participation and supporting positive relationships within the school environment.

Additional information (optional)

The charity met its objectives by continuing to raise funds and Achievements against provide support for educational and enrichment activities objectives set within the school. Performance of fundraising Fundraising events were well supported by parents, carers, activities against objectives staff and local supporters and enabled the charity to continue set providing financial support to the school. Investment performance The charity does not currently hold investments. against objectives Other None.

Financial Review

This year we raised £30,356 through the running of fundraising events such as a Christmas fair and a sponsored walk as well as donations from local Review of the charity’s financial businesses. A total Expenditure of £31,506 was position at the end of the distributed over the financial period to support the school including the upkeep of the school pool, play period equipment and school trips. This resulted in a net deficit of £1,151 for the year, however due to an opening balance of £10,599 the final closing balance is £9,448. The trustees have a reserves policy to ensure the stability of the PTA's ongoing activities and to manage financial uncertainty. We maintain a minimum cash reserve of £3000 to cover upfront costs, for example event deposits and annual operating expenses (e.g. Statement explaining the policy insurance). The PTA began the year with a balance of for holding reserves stating why £10,599 and intentionally drew down on these funds this year to support significant school projects they are held resulting in a planned deficit of £1,151. At the end of this financial period we hold a reserve of £9,448. The remaining reserves, after accounting for the £3000 safety reserve, has been designated for upcoming school projects such as subsidising school trips and upgrading the playground. Amount of reserves held £9,448.31 Reasons for holding zero Not applicable. reserves Details of fund materially in None. deficit Explanation of any The trustees are satisfied that the charity remains a going uncertainties about the charity continuing as a going concern concern. Additional information (optional)

The charity’s principal The charity’s income is derived primarily from fundraising sources of funds (including events, donations and voluntary contributions. any fundraising) Investment policy and The charity does not currently operate an investment policy.

objectives including any social investment policy adopted

A description of the principal risks facing the charity

The trustees regularly review operational and financial risks associated with fundraising activities and events. Appropriate procedures, financial controls and insurance arrangements are in place to mitigate identified risks.

Other

None.

Structure, Governance and Management

Type of governing document Constitution How is the charity constituted? Unincorporated association Trustee selection methods including Trustees are elected or appointed in accordance with details of any constitutional the charity’s constitution and serve as members of the provisions PTA committee.

Additional information (optional)

Policies and procedures adopted New trustees are provided with information regarding for the induction and training of the charity’s objectives, governance arrangements and trustees responsibilities. The charity is managed by a committee of trustees who The charity’s organisational meet regularly throughout the academic year. The PTA structure and any wider network works closely with the school leadership team, staff and with which the charity works volunteers. The PTA works in partnership with St Martin & St Mary Relationship with any related CE Primary School in support of pupils and school parties activities. Other None.

Reference and Administrative Details

Charity name

St Martin and St Mary Church of Enland Primary School PTA

Other name the charity St Martin & St Mary CofE Primary School PTA uses Registered charity 11801023 number Charity’s principal St Martin & St Mary CE Primary School, Princes Road, address Windermere, LA23 2DD

Names of the charity trustees who manage the charity

Trustee name Ofce (if
any)
Dates acted if not for
whole year
Name of person (or body) enttled
to appoint trustee (if any)
Amy Thompson Chair Appointed 11 October 2021 Elected by PTA members
Lisa Stephenson Trustee Appointed 25 June 2025 Elected by PTA members
Victoria Bolton Trustee Appointed 25 June 2025 Elected by PTA members
Catherine
Greenall
Trustee Appointed 19 November
2018
Elected by PTA members
Louise
Swindlehurst
Trustee Appointed 19 November
2018
Elected by PTA members
Helen
Whitehead
Trustee Appointed 19 November
2018
Elected by PTA members

Corporate trustees – names of the directors at the date the report was approved

Not applicable.

Name of trustees holding title to property belonging to the charity

Not applicable.

Funds held as custodian trustees on behalf of others

Description of the assets held in this capacity

None. Name and objects of the charity on whose behalf the assets are held and Not how this falls within the custodian charity’s objects applicable. Details of arrangements for safe custody and segregation of such assets from Not the charity’s own assets applicable.

Additional information (optional)

Names and addresses of advisers

Type of adviser Name Address 18 Main Rd, Windermere Bank The Cumberland Building Society LA23 1DY 8 Fairfield Road, Independent Examiner Mrs Sarah Tasker Windermere, LA23 2DR Name of chief executive or names of senior staff members Not applicable.

Exemptions from disclosure

Reason for non-disclosure of key personnel details Not applicable.

Other optional information

None.

Declarations

The trustees declare that they have approved the trustees’ report above. Signed on behalf of the charity’s trustees

Signature(s) Amy Thompson

Full name(s) Amy Thompson

Position Chair

Date

20[th] May 2026

*£1257.44 chq to St M&M made up of:
School Council:
Microphones 23.32
Basketball net 52.99
Netball net 79.99 (£110 stll lef to
Play equipment 114.99
Total: 271.29
Main school:
Easter eggs & cakes 28.18
Pre-school changing table 389.97
Class funds:
Y1 & Y2 jety museum trip 218
Recepton Maize Maize trip 350
Total: 986.15
** £857 chq to St M&M made up of:
Y3 Conishead trip 65
Y1 trip 196
Y2 trip 196
Y5 trip transport 200
Y6 trip transport 200
Total: 857
*** chq for £1247.07 to St M&M made up of:
Class funds:
Nursery play farm 62.74
Nursery main school budget overspend 99.18
Y3 £180 minibus & £110 camp in September 290
Y6 minibus £180 & £100 lake cruise 280
Recepton - money already paid to school but not spent -96.5
Total: 635.42
**** chq for £732.87 to St M&M made up of:
School Council money lef over 432.21
School Council money for play equipment already purchased through school 300.66
Total: 732.87
** chq for £21,617.65 to St M&M for swimming pool made up of:
Paypal Giving cheque 13/09/24 443.74
Pool fun day net proft 3632.67
Car boot sale spaces 190
Swim sponsorship money 1308
Anonymous donaton 10000
Paypal Giving cheque (to be banked) 317.82
Additonal swim sponsorship 375
Paypal Giving donatons from 2023/24 1350.42
English Lakes Hotels donaton 4000
Total: 21617.65

Bank Reconciliaton

Cash Book

Cash Book Balance at start of financial year 01/08/2024 Income (ongoing) Expenditure (ongoing) Cash Book Balance

Bank account

Bank balance at 31/7/2025 Cash in hand Total balance

£10,598.81 £30,355.54 £31,506.04 £9,448.31 9448.31 £0.00 £9,448.31

NOTES:

£2,906.27 paid in on 11/12/24 is made up of:
515 Movie night proft
819.62 Xmas rafe proft
1256.09 Xmas fair proft
370 Return of foat
7.17 Cash in hand
5 Sponsored bounce donaton
2972.88
Minus expenses paid out:
5.57 Nursery stay & play food
41.18 C Greenall Greek day costs
19.86 Nursery supplies
2906.27
4699.99 Cash paid in to bank 19/5/25 is made up of:
490 Disco & fun day foats returned (£430 & £60)
41 Movie night cash sales
1490.75 Disco cash sales
3823.42 Pool Fun Day cash sales
5845.17 Total income
Minus expenses paid out:
37 Movie night snacks
66.5 Disco hotdogs
11.49 Liz R Nursery supplies
482.32 Sweet Traditons sweets & eggs
168 Tilberthwaite trip food
20 Y6 trip parking
114.86 Crisps & drinks
200.01 Amy T for rafe tckets, tatoos, face paints & food
15 Staveley school sweets prizes
30 Cash advance to Liz R
1145.18 Total expenses
4699.99 Cash banked
2297.97 Cash paid into bank 1/07/25 is made up of:
375 Swimming sponsorship money for swimming pool fund
376.02 Y6 peformance cash sales
884.51 Summer Fair cash sales
165.40 Cake sale cash sales
630 Float return
2430.93
Minus expenses paid out:
30 Nursery class fund play house paintng
58.26 Ice creams
44.7 Hot dogs
132.96 Total expenses
2297.97 Cash banked

NOTES ON FINAL CHEQUE AMOUNTS

Pool fun day net proft*
Total gross cash sales on the day 3823.42
Minus costs of:
Sweets 37.32
Rafe tckets 10
Staveley School sweets 15
Crisps and sof drinks 104.44
McClures food 23.99
Total costs 190.75
Net proft 3632.67
**Paypal giving donatons from 2023/24
Cheque received 01/05/2024 1087.38
Cheque received 14/06/2024 623.04
Total donatons 1710.42
Minus donatons for Nursery rocking horse 360
Total to be credited for swimming pool 1350.42

Independent Examiner’s Report to the Trustees of St Martin and St Mary C of E Primary School PTA

I report on the accounts of the charity for the year ended 31[st] July 2025

Respective responsibilities of trustees and examiner

The charity’s trustees are responsible for the preparation of the accounts.

The charity’s trustees consider that an audit is not required for this year under section 144 of the Charities Act 2011 and that an independent examination is needed.

It is my responsibility to:

Basis of independent examiner’s report

My examination was carried out in accordance with the General Directions given by the Charity Commission.

An independent examination includes a review of the accounting records kept by the charity and a comparison of the accounts presented with those records. It also includes consideration of any unusual items or disclosures in the accounts and seeking explanations from the trustees concerning such matters.

The procedures undertaken do not provide all the evidence required in an audit and consequently no opinion is given as to whether the accounts present a true and fair view.

Independent examiner’s statement

In connection with my examination, no matter has come to my attention:

  1. Which gives me reasonable cause to believe that the charity has not kept proper accounting records or the accounts do not accord with those records.

  2. To which, in my opinion, attention should be drawn in order to enable a proper understanding of the accounts to be reached.

Signed: _________

Name: Sarah Tasker

Independent Examiner

Relevant qualification/experience: Bookkeeper / AAT Level 2 Qualified

Date: _21.05.26________