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2021-03-31-accounts

Trustee Report Cylch Meithrin Dolau 2020-2021

Pre Covid- February

Plans were made to apply for a grant from the county council to help us renovate a old school portacabin next to where we currently ran the provision to allow Cylch Dolau our own sole use building rather than sharing the space in the village hall.

March-September

Cylch is in lockdown following COVID-19. Our leader had left so we furloughed the play assistant until further notice.

Grant money approved, building work commenced and completed ready to reopen at the start of term.

September-December

Normal hours resumed, new leader appointed. Plans put in place to start registration with CSIW.

Dec-Feb

Following school announcement of closure the last week of term and following advice from our Cylch meithrin support officer we closed. Staff put back on furlough. We had confirmation of CSIW registration on 9th February 2021 and parents are now able to access the 3 year old funded childcare.

Trustee’s Cylch Meithrin Dolau

Cylch Meithrin Dolau Financial Statements for the year ending 31st March 2021

Receipts and Payments Account

2021 2020
Receipts
Fees from parents 1,252.50 2,560.00
Donations & Grants 11,488.18 1,235.39
T shirt Revenue - 60.00
Fund raising - 2,641.42
Furlough grant 1,032.00
Total Receipts
Payments
Wages
Marketing and T shirts
Activity Charges
Mandatory CIW/Cylch Requirement costs
Equipment owned by Cylch
Total Payments
Net Proft/Loss for the year
Summary
Barclays Current Account
Sub Total
Income/Expenditure for 2018
Balancing fgure
13,772.68





14,078.98
-
6,496.81





4,899.91
2,985.19
31.14
35.00
10,753.03
274.62

3,761.34
305.61
127.94
610.80
94.22
1,596.90

Certified as a correct record of accounts according to deeds and documents presented