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2023-08-31-accounts

BELTON PRE-SCHOOL CIO

Annual Report and Accounts

For the year ended 31st August 2023

Registered Charity No. 1187877

BELTON PRE-SCHOOL CIO

Index to the Annual Report and Accounts

For the year ended 31[s][t] August 2023

Page

BELTON PRE-SCHOOL CIO

Independent Examiners Report to the trustees of Belton Pre School

I report on the accounts of the Charity for the year ended 3 1[s t] August 2023, which are set out on pages 2 to 4.

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 year1 under section 144 of the Charities Act 2011 (the Charities Act) 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 general Directions given by the Charity Commission. An 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 any such matters. The procedures undertaken do not provide all the evidence that would be required in an audit, and consequently no opinion is given as to whether the accounts present a 'true and fair1 view, and the report is limited to those matters set out in the statement below.

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 in, any material respect, the requirements:

  2. to keep accounting records in accordance with section 130 of the Charities Act; and

  3. to prepare accounts which accord with the accounting records and comply with the accounting requirements of the Charities Act

  4. have not been met; or

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

Name: Deborah Hill

Relevant professional qualification or body: FCCA Address: Woodbine Cottage, Main Street, Allexton, Leicestershire, LEl5 9AB

Signed:

Page 1

Date:

BELTON PRE-SCHOOL CIO

Income and Expenditure Account For the year ended 31[st] August 2023

Notes
Receipts
Fees
1
Surplus on Fund Raising
2
Training Payments
Bank Interest
Other
Total Receipts
Payments
Wages
Rent
Rates and Water
Electricity and Oil
PLA Insurance
Equipment, Materials, Stationery
3
Repairs and Maintenance
4
Telephone & Broadband
Survey Fees
External Suppliers
Sundries
Training
Legal / Payroll Expenses/ DBS
Total Payments
Net Payments over Receipts
Notes
Receipts
Fees
1
Surplus on Fund Raising
2
Training Payments
Bank Interest
Other
Total Receipts
Payments
Wages
Rent
Rates and Water
Electricity and Oil
PLA Insurance
Equipment, Materials, Stationery
3
Repairs and Maintenance
4
Telephone & Broadband
Survey Fees
External Suppliers
Sundries
Training
Legal / Payroll Expenses/ DBS
Total Payments
Net Payments over Receipts
01-Sep-22
31-Aug-23
Unrestricted
107,077
1,135
-
91
285
01-Sep-22
31-Aug-23
Restricted
01-Sep-22
31-Aug-23
Total
107,077
1,135
-
91
285
108,588
90,455
3,250
586
2,050
1,158
2,191
2,674
1,065
-
4,997
1,922
3,646
1,074
115,069
6,480
-
01-Sep-21
31-Aug-22
Total
100,638
1,965
4,200
3
-
108,588 - 106,806
90,455
3,250
586
2,050
1,158
2,191
2,674
1,065
-
4,997
1,922
3,646
1,074
86,531
3,250
522
2,104
-
2,149
4,276
666
720
4,105
501
786
1,131
115,069 - 106,741
6,480
-
-
65

Registered Charity Number 1187877

Page 2

BELTON PRE-SCHOOL CIO

Balance Sheet as at 31 August 2023

Cash Funds
Barclays Current Account
Barclays Deposit Account
Fundraising Account
Petty Cash
Total
01-Sep-22
31-Aug-23
Unrestricted
374
21,895
784
1
01-Sep-22
31-Aug-23
Restricted
01-Sep-22
31-Aug-23
Total
374
21,895
784
1
23,053
01-Sep-21
31-Aug-22
Total
7,310
21,803
383
37
01-Sep-21
31-Aug-22
Total
7,310
21,803
383
37
23,053 - 29,534

Page 3

BELTON PRE-SCHOOL CIO

Notes to the Accounts

BASIS OF PREPARATION

The accounts have been prepared on a receipts and payments basis in accordance with Section 133 of the Charities Act 2011, which allows this form of preparation for smaller charities.

1 FEES

Fees include £70,761 (2022: £68,602) in respect of Early Years Funding received from the Department of Education for two-, three- and four-year olds.

2 FUNDRAISING

Amazon Smile
Easy Fundraising
Donations
Halloween Party
Christmas Fundraiser
Movie Nights
Disco
Sale of Jars
Raffle
Fun Day
Other
2023
2022
£
£
-
17
20
16
20
500
198
313
247
-
60
-
260
-
-
158
280
279
-
497
50
185
1,135
1,965

3 EQUIPMENT, MATERIALS, MILK AND STATIONERY

Art and craft materials, toys, and books £2,191 £2,149

Tree Works
Cleaning
Boiler maintenance/service
Repairs to gates/painting/shelves
Grounds Maintenance
Fire Extinguisher Service
Electrician (including PAT)
Sundries
2023
2022
£
£
-
1,548
493
719
1,678
696
-
690
210
323
73
172
70
70
150
58
2,674
4,276

Page 4

BELTON PRE-SCHOOL CIO

Annual Report

Belton Pre-School is constituted by the Pre-School Learning Alliance PreSchool Constitution dated January 1999 and is a registered charity number 1187877. The address is 21 Church Street, Belton-in-Rutland, Oakham, Rutland, LElS 9JU. The person acting as the Charity's correspondent is Mrs Kathryn Pullan – Pre-school Manager

The charity is administered by the committee of Parent Trustees as follows: - Mrs Kyria Wright - Chair, Other current members - Mrs Kathryn Pullan & Cannon Rachel Watts.

AIMS OF THE ORGANISATION

The object of the organisation is to enhance the development and education of children under statutory school age by encouraging parents to understand and provide for the needs of their children through community groups and by: -

This has been achieved by offering 10 sessions plus a lunch club per week in line with the flexible funding requirements set out by Rutland County Council, all of which are run by experienced, qualified, and committed staff. All staff have undertaken paediatric first aid, health and safety and safeguarding training as a mandatory requirement. Staff are also given provision and encouraged to undertake further external training to enhance their knowledge and skills. Termly staff team meetings are held to discuss planning and events for the following term in which the latest resource materials are used to research and implement new and innovative activities. Funds raised by the committee are spent on continually improving the facilities and equipment available to the children, to ensure that the best quality care is provided. Tapestry has continued to be used as our online learning journal, which allows parents to view and interact with their child's progress and learning at pre-school.

The commission's public benefit guidance has been considered when making decisions.

The Charity employs a Pre-school Manager and Deputy Leader plus A SEN Inclusion Officer, three Practitioners.

Page 5

BELTON PRE-SCHOOL CIO

Annual Report continued

REVIEW OF PROGRESS AND FINANCIAL ACTIVITIES

Expenditure has exceeded income for the year to 31st August 2023 by £6,480. The main area of expense remains wages.

THE FUTURE

As a manager, the team and I have worked hard together to ensure the sustainability and longevity of the pre-school during this period of uncertainty and the ever increasing challenges the childcare sector now faces. We are committed to overcoming these challenges together as the Preschool remains a standalone, unique countryside setting with wonderful opportunities for our young to develop holistically, with the support of our dedicated team, trustees and parents.

We continue to review and update our resources focusing our learning on the natural environment and holistic wellbeing of the children. We are continuing to focus our ethos on outdoor learning and learning through exploration and investigation in the natural world around us.

Continued publicity and advertising of the pre-school on social media combined with word of mouth in the community has led to a healthy increase in numbers and a healthy waiting list for places when children turn two. Our reputation within the local area continues to rise and we are hearing lots of positive feedback from existing and potential parents. We have continued our weekly stay and play sessions and introduced a new 2for2 session, which currently runs on a Tuesday morning to encourage new families into the setting.

Our fundraising events have been particularly challenging this year as we have sought to find new ways of raising vital income for the preschool whilst fully appreciating and trying to support our children and families with the challenges they face in this current climate. We are continually trialing new ways of raising income alongside events that have proved popular in the past to give us a steady stream of income. We are very grateful for all the support we've received this year from parents and the community to enable us to still raise funds. We continue to plan events for the future to keep the fundraising stream active throughout the coming year.

Our Ofsted inspection since we transferred to CIO status still remains unconfirmed although an in-depth discussion of the setting and provision was undertaken by the Manager at the time of transfer. The staff team continue to work hard to improve the curriculum we offer in line with current EYFS guidance.

As a team we are focused on the sustainability of the pre-school moving forward, but it is difficult to forward plan when the current climate is so uncertain, particularly the gap in funding paid and current running costs but we are confident as a team we will move forward in a positive position for both children and staff at the pre-school.

We approve the accounts and annual report for the year ended 31[st ] August 2023 Signed for and on behalf of the trustees.

____ ______ Kyria Wright Kathryn Pullan

Page 6

BELTON PRE-SCHOOL CIO Page 7

Belton Pre School Playgroup Registered Charity No. 1187877

Annual Statement of Receipts and Payments

Notes
Receipts
Fees
1
Surplus on Fund Raising
2
Training Payments
Bank Interest
Other
Total Receipts
Payments
Wages
Rent
Rates and Water
Electricity and Oil
PLA Insurance
Equipment, Materials, Stationery
3
Repairs and Maintenance
4
Telephone & Broadband
Survey Fees
External Suppliers
Sundries
Training
Legal / Payroll Expenses/ DBS
Total Payments
Net Payments over Receipts
1-Sep-22
31-Aug-23
Unrestricted
107,077
1,135
-
91
285
1-Sep-22
31-Aug-23
Restricted
1-Sep-22
31-Aug-23
Total
107,077
1,135
-
91
285
108,588
90,455
3,250
586
2,050
1,158
2,191
2,674
1,065
-
4,997
1,922
3,646
1,074
115,069
-6,480
1-Sep-21
31-Aug-22
Total
100,638
1,965
4,200
3
-
108,588 - 106,806
90,455
3,250
586
2,050
1,158
2,191
2,674
1,065
-
4,997
1,922
3,646
1,074
86,531
3,250
522
2,104
-
2,149
4,276
666
720
4,105
501
786
1,131
115,069 - 106,741
-6,480 - 65
Cash Funds
Barclays Current Account
Barclays Deposit Account
Fundraising Account
Petty Cash
Total
1-Sep-22
31-Aug-23
Unrestricted
374
21,895
784
1
1-Sep-22
31-Aug-23
Restricted
1-Sep-22
31-Aug-23
Total
374
21,895
784
1
23,053
1-Sep-21
31-Aug-22
Total
7,310
21,803
383
37
23,053 - **29,534 **

Tree Works

2023 2022 £ £ - 1,548

Cleaning
Boiler maintenance/service
Repairs to gates/painting/shelves
Grounds Maintenance
Fire Extinguisher Service
Electrician (including PAT)
Sundries
493 719
1,678 696
- 690
210 323
73 172
70 70
150 58
2,674 4,276
2601
Notes
Cash Funds
Barclays Current Account
Barclays Deposit Account
Fundraising Account
Petty Cash
Total
1-Sep-22
31-Aug-23
Unrestricted
374
21,895
784
1
1-Sep-22
31-Aug-23
Restricted



1-Sep-22
31-Aug-23
Total
374
21,895
784
1
23,053



1-Sep-21
31-Aug-22
Total
7,310
21,803
383
37
23,053 **29,534 **

6,480

DATE DESCRIPTION BALANCE MONIES IN FEES **CLUB FEES ** EYFS GRANT Misc Fundraising TRANSFERS MONIES
OUT
RENT / RATES ELECTRICITY /
OIL/ WATER

TELEPHONE /
BROADBAND

REPAIRS /
MAINTENANCE
External
Agencies/
Licences
WAGES /
pensions
LEGAL /
PAYROLL /
INSURANCE
**RESOURCES ** TRAINING MISC PETTY
CASH
TRANSFERS
Start Balance 01/09/2022 7310.44 0.00 0.00
7310.44 0.00 0.00
9/1/2022 DD E.On Next 7271.44 0.00 39.00 39.00
DD Rutland CC 7258.44 13.00 13.00
DD Close Pound Gates 7136.39 122.05 122.05
Cash Withdrawl 7086.39 50.00 50.00
9/2/2022 CP to Twinkle 7011.51 74.88 74.88
Post office Deposit 7031.51 20.00 20.00 0.00
9/5/2022 Rutland Merchandise 6893.65 137.86 137.86
PDBF 6081.15 812.50 812.50
9/7/2022 CP to Barton Petroleum 5390.62 690.53 690.53
9/12/2022 Cash Withdrawal 5340.62 50.00 50.00
Bank Transfer 5373.62 33.00 33.00 0.00
9/14/2022 McAfee 5253.63 119.99 119.99
9/15/2022 DD Enable ( Quartz) 5243.37 10.26 10.26
SO Pdbf 4430.87 812.50 812.50
9/16/2022 Nest 4342.87 88.00 88.00
DC S Hendy 4353.37 10.50 10.50 0.00
9/20/2022 CP to Msft 4347.85 5.52 5.52
CP to Adobe 4332.68 15.17 15.17
CP to McAfee 4272.69 59.99 59.99
DC Waterhouse 4282.69 10.00 10.00
DC Rutland CC 11078.97 6796.28 6796.28
DC Clarke=Rout 11088.97 10.00 10.00
9/21/2022 Dc Hegarty 11098.97 10.00 10.00
DC O Linnell 11108.97 10.00 10.00
Dc Duffin 11118.97 10.00 10.00
DC GD 11190.97 72.00 72.00
9/22/2022 Credit National Savings A 11200.97 10.00 10.00
Refund from McAfee 11218.97 -18.00 -18.00
9/23/2022 DC National Savings A 11228.97 10.00 10.00
DC from S Hendy 11239.47 10.50 10.50
DC Turner M+S 11249.47 10.00 10.00
DC Davies Tj 11273.37 23.90 23.90
9/26/2022 Payment to VB 10505.29 768.08 768.08
Payment to DG 9483.62 1021.67 1021.67
Payment to CJ 8421.91 1061.71 1061.71
Payment to JH 7335.17 1086.74 1086.74
Payment to AP 6240.59 1094.58 1094.58
Payment to KP 4839.19 1401.40 1401.40
DC EB 4849.19 10.00 10.00
DC from Pdbf 5661.69 -812.50 -812.50
Bank Deposit 5686.69 25.00 25.00
DC from Barker GE 5696.69 10.00 10.00
9/27/2022 DC Dawson S & S 5706.69 10.00 10.00
DC from Ahearne 5862.64 155.95 155.95
DC from National Savings A 6182.39 319.75 319.75
DC from Cropper E 6227.14 44.75 44.75
DC from DG ( over payment) 6483.64 -256.50 -256.50
9/28/2022 Citation Ltd 6286.24 197.40 197.40
9/29/2022 Payment to CJ First Aid 6166.24 120.00 120.00
DC from Mobsby M Night 6181.24 15.00 15.00
DC E Brame P Party 6206.24 25.00 25.00
DC from S+ S Dawson M Night 6231.24 25.00 25.00
DC from L T M night 6256.24 25.00 25.00
Banking Transfer ( FR Account) First A 6376.24 120.00 120.00
9/30/2022 DD Onecom 6318.62 57.62 57.62
Transfer to FR account M. night 6228.62 90.00 90.00
DC S hendy 6239.12 10.50 10.50
DC from K Martin 6289.12 50.00 50.00
Dc L Tannahill 6452.02 162.90 162.90
DC from National savings A 7101.42 649.40 649.40
10/3/2022 DD E.On Next 7062.42 39.00 39.00
DD to RCC 7049.42 13.00 13.00
DD Pound Gates 6927.37 122.05 122.05
Transfer to F R Account M Night 6902.37 25.00 25.00
Payment to LT cleaning 6804.87 97.50 97.50
DC Thomas Williamson M.night 6829.87 25.00 25.00
10/4/2022 Payment to DG ( Bonus) 6829.87
Payment to HMRC 6118.51 711.36 711.36
DC from Hegarty Halloween 6126.51 8.00 8.00
Transfer from F R Account Griggs Bonus 6201.51 75.00 75.00
10/5/2022 CP to HP Ink 6188.52 12.99 12.99
Transfer to fund raising account Halloween 6180.52 8.00 8.00
DC from Waterhouse Halloween 6191.52 11.00 11.00
DC from O Linnell 6219.32 27.80 27.80
Dc from B Birch 6894.32 675.00 675.00
DC from Routen C Halloween 6899.32 5.00 5.00
10/6/2022 Transfer to F Raising Halloween 6883.32 16.00 16.00
DC from B Birch 6893.32 10.00 10.00
DC Pearson 6918.32 25.00 25.00
DC Turner M+S Halloween 6923.32 5.00 5.00
DC from Sturgess 7211.32 288.00 288.00
DC From Davies Tj 7236.32 25.00 25.00
10/7/2022 DC E BrameTickets 7247.32 11.00 11.00
10//10/2022 Halloween Float/Petty Cash 7157.32 90.00 90.00
Transfer to F Raising account Halloween 7146.32 11.00 11.00
DC C Mobsby 7275.57 129.25 129.25
Bank deposit 7339.57 64.00 64.00
DC Finch 7374.57 35.00 35.00
10/11/2022 Cash withdrawal 7334.57 40.00 40.00
Transfer to F raising Halloween 7326.57 8.00 8.00
Payment to Mplc Ltd 7182.10 144.47 144.47
Payment to Eastern Shires 7004.23 177.87 177.87
DC from Gdowning Tickets 7012.23 8.00 8.00
Deposit at Barclays 7072.23 60.00 60.00
10/12/2022 DC from Mortlock H Party 7077.23 5.00 5.00
10/13/2022 Payment to K wright Tea Urn 7013.24 63.99 63.99
DC S Hendy Party 7018.24 5.00 5.00
DC Dawson S+S Halloween 7030.24 12.00 12.00
DC from Barlow Halloween 7035.24 5.00 5.00
10/14/2022 DD Nest 6947.24 88.00 88.00
Transfer to F Raising Halloween 6907.24 40.00 40.00
DC National Savings A 7139.64 232.40 232.40
DC from GR T/A Care4 7269.14 129.50 129.50
DATE DESCRIPTION BALANCE MONIES IN FEES **CLUB FEES ** EYFS GRANT Misc Fundraising TRANSFERS MONIES
OUT
RENT / RATES ELECTRICITY /
OIL/ WATER

TELEPHONE /
BROADBAND

REPAIRS /
MAINTENANCE
External
Agencies/
Licences
WAGES /
pensions
LEGAL /
PAYROLL /
INSURANCE
**RESOURCES ** TRAINING MISC PETTY
CASH
TRANSFERS
Deposit at Barclays 7517.54 248.40 248.40
10/17/2022 DD to Enable 7512.42 5.12 5.12
10/18/2022 Credit from RCC 11690.26 4177.84 4177.84
10/19/2022 CP to Msft 11684.74 5.52 5.52
10/20/2022 CP Adobe 11669.57 15.17 15.17
Oiltech Services 11545.97 123.60 123.60
Oiltech boiler repair 11074.13 471.84 471.84
10/24/2022 Payment to DG 10317.46 756.67 756.67
Payment to VB 9530.38 787.08 787.08
Payment to CJ 8468.67 1061.71 1061.71
Payment to AP 7399.46 1069.21 1069.21
Payment to JH 6312.72 1086.74 1086.74
Payment to KP 4697.36 1615.36 1615.36
DC from National Savings A 5291.16 593.80 593.80
10/26/2022 Payment to HMRC 4441.69 849.47 849.47
10/28/2022 Payment to Citation 4244.29 197.40 197.40
10/31/2022 DD Onecom 4185.32 58.97 58.97
Payment To L Tannahill (cleaning) 4137.82 47.50 47.50
11/1/2022 DD E.On Next 4098.82 39.00 39.00
DD Rutland CC 4085.82 13.00 13.00
DD Close Pound Gates 3963.77 122.05 122.05
Credit from O Linnell 4023.77 60.00 60.00
Credit from Waterhouse 4083.77 60.00 60.00
11/2/2022 Payment to Water Company 4037.44 46.33 46.33
Credit from Harley J (Hoody) 4052.44 15.00 15.00
Credit from Harley J 4251.44 199.00 199.00
Credit from Harley J 4701.44 450.00 450.00
credit from E Cropper 4761.44 60.00 60.00
11/3/2022 Credit from C Davies 4821.44 60.00 60.00
Credit from Clarke-Routen 4881.44 60.00 60.00
Credit from Davies Tj 4941.44 60.00 60.00
11/4/2022 DD NDNA 4771.94 169.50 169.50
Payment to HP Ink 4761.95 9.99 9.99
Credit from National Savings A 4784.45 22.50 22.50
11/7/2022 Cash Withdrawl 4734.45 50.00 50.00
Payment to K Wright ( Xmas Materials) 4674.45 60.00 60.00
Credit from C Mobsby 4734.45 60.00 60.00
Credit from Pearson 4794.45 60.00 60.00
Credit from National Savings A 4854.45 60.00 60.00
Credit from Barlow 4914.45 60.00 60.00
11/10/2022 Credit from Hegarty 4924.45 10.00 10.00
Credit from Waterhouse 4934.45 10.00 10.00
Credit from Brame 4944.45 10.00 10.00
Credit from O Linnell 5051.75 107.30 107.30
Credit from Clarke-Routen 5061.75 10.00 10.00
11/11/2022 Credit from National Savings A 5071.75 10.00 10.00
Credit from National Savings A 5081.75 10.00 10.00
Credit from National Savings A 5432.30 350.55 350.55
Credit from Turner M+S 5442.30 10.00 10.00
Credit from Barker GE 5695.55 253.25 253.25
Credit from Sturgess 6094.75 399.20 399.20
11/14/2022 Credit from Duffin 6104.75 10.00 10.00
Credit from Brame 6134.75 30.00 30.00
Credit from Davies Tj 6221.20 86.45 86.45
11/15/2022 DD to Enable 6216.08 5.12 5.12
DD to Nest 6119.28 96.80 96.80
Credit from RCC 13495.16 7375.88 7375.88
Bank Deposit 13555.16 60.00 60.00
Credit from Finch 13565.16 10.00 10.00
11/16/2022 Card Payment to RCC 13545.16 20.00 20.00
Card Payment to the Works 13515.16 30.00 30.00
Credit from Cropper 13566.86 51.70 51.70
11/17/2022 Payment to Msft 13561.34 5.52 5.52
Payment to Christine James 13537.34 24.00 24.00
11/21/2022 Payment to Adobe Acropro 13522.17 15.17 15.17
Credit from L Tannahill 13702.44 180.27 180.27
11/22/2022 Payment to Capita 13655.55 46.89 46.89
Payment to Capita 13608.66 46.89 46.89
11/23/2022 Payment to Capita 13561.77 46.89 46.89
Payment to K Pullan ( Bus Trip/Fat Stock) 13535.87 25.90 25.90
11/24/2022 Payment to D Griggs 12784.20 751.67 751.67
Payment to V Berridge 12016.12 768.08 768.08
Payment to C James 10953.56 1062.56 1062.56
Payment to J hopkins 9864.60 1088.96 1088.96
Payment to K Pullan 8346.52 1518.08 1518.08
Payment to A Prior 7394.49 952.03 952.03
11/25/2022 Payment to HMRC 6721.17 673.32 673.32
11/28/2022 DD to Citation 6523.77 197.40 197.40
Payment to K Wright ( card machine) 6488.97 34.80 34.80
Credit from National Savings A 6936.82 447.85 447.85
Credit from B Birch 7743.82 807.00 807.00
11/29/2022 Bank Transfer ( Christmas Raffle) 7588.82 155.00 155.00
Payment to Famly Aps 7517.42 71.40 71.40
Credit from Mortlock 7527.42 10.00 10.00
Credit from Heggarty 7592.42 65.00 65.00
Credit from Ahearne 7706.67 114.25 114.25
Credit from Turner M+S 7796.67 90.00 90.00
11/30/2022 DD to Onecom 7738.71 57.96 57.96
Bank Transfer 7728.71 10.00 10.00
Payment To L Tannahill (cleaning) 7663.71 65.00 65.00
DC from E Brame ( Forest School) 7693.71 30.00 30.00
12/1/2022 DD E.On Next 7654.71 39.00 39.00
DD to RCC 7641.71 13.00 13.00
DD to Close Pound-Gates 7519.66 122.05 122.05
Cash Withdrawal 7479.66 40.00 40.00
Bank Transfer ( Christmas fundraiser) 7232.66 247.00 247.00
Bank Transfer ( Movie Night) 7207.66 25.00 25.00
Credit from Dawson ( movie night) 7242.66 35.00 35.00
Bank Deposit 7499.66 257.00 257.00
Credit from Harley 7838.06 338.40 338.40
12/2/2022 Deposit at Barclays 7993.06 155.00 155.00
12/5/2022 Payment to HP Ink 7983.07 9.99 9.99
Bank Transfer ( Xmas Raffle) 7868.07 115.00 115.00
Credit from C Davies 7878.07 10.00 10.00
06/12/20222 Payment to R Black ( Nativity Costumes) 7865.57 12.50 12.50
DATE DESCRIPTION BALANCE MONIES IN FEES **CLUB FEES ** EYFS GRANT Misc Fundraising TRANSFERS MONIES
OUT
RENT / RATES ELECTRICITY /
OIL/ WATER

TELEPHONE /
BROADBAND

REPAIRS /
MAINTENANCE
External
Agencies/
Licences
WAGES /
pensions
LEGAL /
PAYROLL /
INSURANCE
**RESOURCES ** TRAINING MISC PETTY
CASH
TRANSFERS
Payment to G Maxwell ( Washing Machine) 7765.57 100.00 100.00
Payment to Oiltech ( Boiler Repair) 7400.34 365.23 365.23
Bank Transfer 7512.34 112.00 112.00
Credit from Turner M+S 7527.34 15.00 15.00
Credit from Davies Tj 7542.34 15.00 15.00
12/7/2023 Credit from R Murray 7557.34 15.00 15.00
Credit from C Mobsby 7606.66 49.32 49.32
12/8/2022 Payment to ESPO 7536.08 70.58 70.58
Payment to G+Tj Angell ( Team Building) 7451.08 85.00 85.00
Credit from Gregory ( Donation) 7551.08 100.00 100.00
Credit from L Stafford 8000.28 449.20 449.20
12/9/2022 Credit from J Wolloff 8005.28 5.00 5.00
Crefit from R Murray 8258.53 253.25 253.25
12/12/2022 DD to Ico 8223.53 35.00 35.00
12/13/2022 Credit from T Hollyer 8622.73 399.20 399.20
Bank Deposit 8702.73 80.00 80.00
12/14/2022 DD to Nest 8509.13 193.60 193.60
12/15/2022 DD to Enable 8504.01 5.12 5.12
SO Pdbf 7691.51 812.50 812.50
Payment to Eyrs 7679.51 12.00 12.00
Payment to Eyrs 7667.51 12.00 12.00
Payment to Barton Petroleum 7067.40 600.11 600.11
Payment to Devoyle Litho Ltd 6881.40 186.00 186.00
12/16/2022 Payment to K Pullan ( Thank you Gifts) 6856.40 25.00 25.00
Credit from National Savings A 7166.30 309.90 309.90
Bank Transfer( Christmas) 7280.30 114.00 114.00
12/19/2022 Adobe Acropro 7265.13 15.17 15.17
Payment to Msft 7259.61 5.52 5.52
C Payment to Amazon ( Thank you gift) 7247.62 11.99 11.99
C Payment to Coop ( childrens Xmas Party) 7171.07 76.55 76.55
12/20/2022 Payment to D Griggs 6384.40 786.67 786.67
Payment to V Berridge 5535.57 848.83 848.83
Payment to A Prior 4488.79 1046.78 1046.78
Payment to C James 3419.63 1069.16 1069.16
Payment to J Hopkins 2330.87 1088.76 1088.76
Payment to K Pullan 812.79 1518.08 1518.08
Payment to C James ( overtime) 787.79 25.00 25.00
Credit from National Savings A 1478.89 691.10 691.10
Credit from RCC 5575.68 4096.79 4096.79
12/21/2022 Payment to J Hopkins ( Bonus) 5425.68 150.00 150.00
Payment to HMRC 4691.90 733.78 733.78
12/28/2022 DD Citation 4494.50 197.40 197.40
12/29/2022 Credit from GR T/A Care4 4504.50 10.00 10.00
12/30/2022 DD Onecom 4446.88 57.62 57.62
1/3/2023 DD E.On Next 4407.88 39.00 39.00
DD to Rutland CC 4394.88 13.00 13.00
DD to Close Pound-Gates 4272.83 122.05 122.05
Payment to Famly Apps 4201.43 71.40 71.40
Payment to Root and Branch ( Forest school) 3826.43 375.00 375.00
1/4/2023 Payment to Buttercross ( Staff Team Building) 3736.68 89.75 89.75
Payment to SQ One way ( Staff Team Build) 3721.68 15.00 15.00
1/5/2023 Payment To L Tannahill (cleaning) 3686.68 35.00 35.00
1/6/2023 Payment to Capita (DBS) 3639.79 46.89 46.89
Credit from Harley 4039.79 400.00 400.00
1/10/2023 Payment to Oiltech ( Call out/heating) 3949.79 90.00 90.00
Payment to ESPO 3825.34 124.45 124.45
Payment to Rutland merchandise 3600.44 224.90 224.90
1/11/2023 Payment to anglian Water 3495.62 104.82 104.82
1/13/2023 Payment to HP Ink 3485.63 9.99 9.99
1/16/2023 DD to Enable 3480.51 5.12 5.12
1/17/2023 Card payment to Msft 3474.99 5.52 5.52
Credit from RCC 10698.18 7223.19 7223.19
1/19/2023 Payment to YPO 10662.83 35.35 35.35
Payment to Famly Apps 10591.43 71.40 71.40
Payment to ESPO 10466.98 124.45 124.45
1/20/2023 Payment to Adobe Acropro 10451.81 15.17 15.17
1/24/2023 Payment to D Griggs 9715.14 736.67 736.67
Payment to V Berridge 8947.06 768.08 768.08
Payment to C James 7884.70 1062.36 1062.36
Payment to A Prior 6804.87 1079.83 1079.83
Payment to J Hopkins 5716.11 1088.76 1088.76
Payment to K Pullan 4198.03 1518.08 1518.08
Payment to L Rumbelow 3539.36 658.67 658.67
Payment to A Prior ( Amendment) 3401.89 137.47 137.47
Payment to J Hopkins ( Amendment) 3215.23 186.66 186.66
Credit from Dawson S&S 3225.23 10.00 10.00
Credit from Waterhouse 3235.23 10.00 10.00
Credit from C Hegarty 3245.23 10.00 10.00
Credit from National Savings A 3554.08 308.85 308.85
Credit from L stafford 5075.28 1521.20 1521.20
Credit from Clarke+Rout 5085.28 10.00 10.00
1/25/2023 Credit from E Brame 5095.28 10.00 10.00
Credit from T Hollyer 5105.28 10.00 10.00
Credit from National Savings A 5115.28 10.00 10.00
Credit from National Savings A 5125.28 10.00 10.00
Credit from Turner M+S 5142.23 16.95 16.95
1/26/2023 Payment to HMRC 4181.94 960.29 960.29
1/30/2023 DD to Citation 3984.54 197.40 197.40
Payment to Bookish 3967.56 16.98 16.98
Credit from Ahearne 4186.06 218.50 218.50
Credit from Cropper 4230.81 44.75 44.75
Credit from Davies Tj 4247.76 16.95 16.95
1/31/2023 DD to Onecom 4189.46 58.30 58.30
Credit from Hegarty 4231.16 41.70 41.70
Credit from Kinch NA 4345.96 114.80 114.80
Credit from C Mobsby 4481.06 135.10 135.10
Credit from Barker GE 4741.26 260.20 260.20
2/1/2023 DD to E.On Next 4702.26 39.00 39.00
DD to RCC 4689.26 13.00 13.00
DD to Close Pounds 4567.21 122.05 122.05
Payment to F Mawby+Co 4293.61 273.60 273.60
2/2/2023 Payment to Capita 4284.72 8.89 8.89
Payment to Water Company 4236.74 47.98 47.98
Payment To L Tannahill (cleaning) 4169.24 67.50 67.50
Credit from L Tannahill 4179.24 10.00 10.00
DATE DESCRIPTION BALANCE MONIES IN FEES **CLUB FEES ** EYFS GRANT Misc Fundraising TRANSFERS MONIES
OUT
RENT / RATES ELECTRICITY /
OIL/ WATER

TELEPHONE /
BROADBAND

REPAIRS /
MAINTENANCE
External
Agencies/
Licences
WAGES /
pensions
LEGAL /
PAYROLL /
INSURANCE
**RESOURCES ** TRAINING MISC PETTY
CASH
TRANSFERS
2/3/2023 Payment to Tigerlily 4084.24 95.00 95.00
Credit from National Savings A 4469.54 385.30 385.30
2/6/2023 SO to Belton Recreation 4439.54 30.00 30.00
Card payment to HP Ink 4429.55 9.99 9.99
Card payment to Wix.com 4354.61 74.94 74.94
Payment to J Hopkins ( Ipad) 4254.61 100.00 100.00
2/7/2023 Credit from R Murray 4264.61 10.00 10.00
Credit from Kinch NA 4285.46 20.85 20.85
Credit from B Birch 5025.21 739.75 739.75
2/8/2023 Credit from Duffin 5035.21 10.00 10.00
Credit from National Savings A 5045.21 10.00 10.00
2/9/2023 Credit from R Smith 5141.21 96.00 96.00
Credit from National Savings A 5401.41 260.20 260.20
Deposit at Barclays 5501.41 100.00 100.00
2/10/2023 Payment to Coop 5481.71 19.70 19.70
2/13/2023 Muddy Puddle Teacher 2481.71 3000.00 3000.00
Credit from Waterhouse 2516.71 35.00 35.00
Credit from E Stafford 3787.71 1271.00 1271.00
2/14/2023 DD to Nest 3690.91 96.80 96.80
Credit from Kinch NA 3711.76 20.85 20.85
Credit from National Savings A 3771.76 60.00 60.00
2/15/2023 DD to Enable 3766.64 5.12 5.12
Transfer ( Movie Night) 3731.64 35.00 35.00
Payment to YPO 3677.53 54.11 54.11
Payment to Famly Aps 3606.13 71.40 71.40
Credit from Harley 4051.13 445.00 445.00
2/16/2023 Payment to Security Watchdog 4012.64 38.49 38.49
2/17/2023 Payment to Msft 4007.12 5.52 5.52
Payment to Eyrs 3971.12 36.00 36.00
Credit from Sturgess 4147.92 176.80 176.80
2/20/2023 Purchase Adobe Acropro 4132.75 15.17 15.17
Credit from Finch 4142.75 10.00 10.00
2/21/2023 Credit from RCC 10511.23 6368.48 6368.48
2/23/2023 Bank Transfer 13511.23 3000.00 3000.00
2/24/2023 Payment to L Rumbelow 13065.36 445.87 445.87
Payment to V Berridge 12563.76 501.60 501.60
Payment to D Griggs 11827.09 736.67 736.67
Payment to A Prior 10911.33 915.76 915.76
Payment to J Hopkins 9933.67 977.66 977.66
Payment to C James 8830.51 1103.16 1103.16
Payment to K Pullan 7312.43 1518.08 1518.08
Payment to HMRC 6705.20 607.23 607.23
2/27/2023 Bank Transfer 3705.20 3000.00 3000.00
DD from Kinch NA 3726.05 20.85 20.85
2/28/2023 DD to Citation 3528.65 197.40 197.40
DD to Onecom 3470.69 57.96 57.96
Credit from Finch 3480.69 10.00 10.00
Credit from Cropper 3540.69 60.00 60.00
3/1/2023 DD to E.On Next 3501.69 39.00 39.00
DD to RCC 3488.69 13.00 13.00
DD to Close Pound Gates 3366.64 122.05 122.05
Payment to V Berridge 3338.64 28.00 28.00
Payment To L Tannahill (cleaning) 3285.64 53.00 53.00
3/2/2023 Payment to Water company 3269.03 16.61 16.61
Payment to YPO 3207.27 61.76 61.76
3/3/2023 Credit from L Tannahill 3267.27 60.00 60.00
Credit from Davies Tj 3327.27 60.00 60.00
3/6/2023 SO to Belton Recreation 3297.27 30.00 30.00
Payment to HP Ink 3287.28 9.99 9.99
Credit from Harley JA 3637.28 350.00 350.00
3/7/2023 DD to Nest 3540.48 96.80 96.80
Credit from R Murray 3557.43 16.95 16.95
Credit from R Murray 3617.43 60.00 60.00
Credit from GR T/A Care4 3915.43 298.00 298.00
3/8/2023 Credit from Croft H 3920.43 5.00 5.00
3/10/2023 Payment to Prince Petroleum 3369.55 550.88 550.88
Credit from O Linnell 3404.55 35.00 35.00
Credit from The Ark 3544.55 140.00 140.00
3/14/2023 Payment to Smiths Fire Up 3471.35 73.20 73.20
Credit from Kinch NA 3492.20 20.85 20.85
Credit from Turner M+S 3507.20 15.00 15.00
3/15/2023 DD to Enable 3496.94 10.26 10.26
SO to Pdbf 2684.44 812.50 812.50
3/16/2023 Payment to Famly Apps 2613.04 71.40 71.40
3/17/2023 Payment to Msft 2607.52 5.52 5.52
3/20/2023 Credit from Dawson S&S 2617.52 10.00 10.00
Credit from Waterhouse M&E 2627.52 10.00 10.00
Credit from Duffin SJ 2637.52 10.00 10.00
Credit from Brugha C 2862.97 225.45 225.45
3/21/2023 Adsobe Acro Pro 2847.80 15.17 15.17
Credit from National Savings A 2857.80 10.00 10.00
Credfit from C Hegarty 2867.80 10.00 10.00
Credit from L Tannahill 2877.80 10.00 10.00
Credit from Kinch NA 2898.65 20.85 20.85
Credit from C Davies 2943.40 44.75 44.75
Credit from National Savings A 3266.15 322.75 322.75
Credit from Rutland RCC 12458.20 9192.05 9192.05
Credit from Turner M+S 12503.20 45.00 45.00
Credit from davies TJ 12513.20 10.00 10.00
3/22/2023 Credit from National Savings A 12523.20 10.00 10.00
Credit from Turner M+S 12573.20 50.00 50.00
3/23/2023 Credit from GR T/A Care4 12905.95 332.75 332.75
3/24/2023 Payment to L Rumbelow 12353.68 552.27 552.27
Payment to V Berridge 11751.38 602.30 602.30
Payment to D Griggs 11084.71 666.67 666.67
Payment to C James 10079.91 1004.80 1004.80
Payment to A Prior 8979.30 1100.61 1100.61
Payment to J Hopkins 7859.02 1120.28 1120.28
Payment to K Pullan 6340.94 1518.08 1518.08
Payment to HMRC 5603.76 737.18 737.18
Deposit at Barclays 5725.76 122.00 122.00
3/27/2023 Card payment to B&M 5691.87 33.89 33.89
Payment to Frank Mawby & co 5428.49 263.38 263.38
Credit from Rainbow (MP Training) 5468.49 40.00 40.00
Credit from J Ahearne 5541.04 72.55 72.55
DATE DESCRIPTION BALANCE MONIES IN FEES **CLUB FEES ** EYFS GRANT Misc Fundraising TRANSFERS MONIES
OUT
RENT / RATES ELECTRICITY /
OIL/ WATER

TELEPHONE /
BROADBAND

REPAIRS /
MAINTENANCE
External
Agencies/
Licences
WAGES /
pensions
LEGAL /
PAYROLL /
INSURANCE
**RESOURCES ** TRAINING MISC PETTY
CASH
TRANSFERS
Credit from Finch 5551.04 10.00 10.00
Credit from Cropper E 5595.79 44.75 44.75
Credit from Barker GE 5786.49 190.70 190.70
3/28/2023 DD to Citation 5589.09 197.40 197.40
Payment to J Hopkins ( Petty Cash) 5585.59 3.50 3.50
Payment to K Pullan ( petty cash) 5580.59 5.00 5.00
Payment to A Prior ( Petty Cash) 5575.38 5.21 5.21
credit from C Heggarty 5589.28 13.90 13.90
Credit from Kinch NA 5610.13 20.85 20.85
3/29/2023 Payment to RCC 5560.13 50.00 50.00
Payment to Water company 5545.82 14.31 14.31
Payment T Saunders ( wages) 5257.65 288.17 288.17
Credit from Rlt ( M P Training) 5362.65 105.00 105.00
Credit from Rlt ( M P Training) 5537.65 175.00 175.00
3/30/2023 Payment to Eyrs Ltd ( training) 5426.05 111.60 111.60
Credit from National Savings A 5602.85 176.80 176.80
3/31/2023 DD to Nest 5506.05 96.80 96.80
DD to Onecom 5456.80 49.25 49.25
Credit from Lwolloff 5461.80 5.00 5.00
Credit from C Mobsy 5586.05 124.25 124.25
Credit from R Smith 5832.35 246.30 246.30
Credit from B Birch 6395.30 562.95 562.95
Credit from Casterton College (MP Training) 6465.30 70.00 70.00
4/3/2023 DD to RCC 6453.25 12.05 12.05
DD to Close Pound Gates 6331.20 122.05 122.05
Payment To L Tannahill (cleaning) 6281.20 50.00 50.00
Credit from J AHearne 6410.20 129.00 129.00
4/4/2023 Credit from Hollyer K&T 6466.42 56.22 56.22
4/6/2023 SO to Belton Recreation 6436.42 30.00 30.00
4/11/2023 Payment to HP Ink 6426.43 9.99 9.99
Credit from Kinch NA 6447.28 20.85 20.85
4/13/2023 DD to Opus Energy 6371.31 75.97 75.97
4/14/2023 Payment to K Pullan ( Printer Paper) 6367.06 4.25 4.25
Payment to J Hopkins ( Petty Cash) 6330.21 36.85 36.85
Payment to Famly Aps 6258.81 71.40 71.40
4/17/2023 Payment to Enable Ltd 6248.55 10.26 10.26
Payment to Msft 6243.03 5.52 5.52
4/18/2023 DD to Nest 6146.23 96.80 96.80
Credit from RCC 9867.64 £3,721.41 £3,721.41
Credit from Turner M+S 9872.64 5.00 £5.00
4/19/2023 Payment to Adobe Acropro 9857.47 15.17 15.17
Payment to K Pullan 9853.63 3.84 £3.84
Credit from Dumford 9858.63 5.00 £5.00
4/20/2023 Credit from C Mobsby 9863.63 5.00 £5.00
Credit from Hart ER 9873.63 10.00 £10.00
Credit from Mobsby 9888.63 15.00 £15.00
4/21/2023 Payment to Security Watchdog 9841.74 46.89 46.89
4/24/2023 Payment to V Berridge 9345.11 496.63 £496.63
Payment to L Rumbelow 8660.86 684.25 £684.25
Payment to D Griggs 7830.53 830.33 £830.33
Payment to A Prior 6658.01 1172.52 £1,172.52
Payment to C James 5475.23 1182.78 £1,182.78
Payment to J Hopkins 4280.67 1194.56 £1,194.56
Payment to K Pullan 2762.59 1518.08 £1,518.08
Payment to T Saunders 2470.14 292.45 £292.45
Bank Transfer to FRA 2410.14 60.00 60.00
Payment to HMRC 1482.47 927.67 £927.67
4/25/2023 Credit from Kinch NA 1503.32 20.85 20.85
Deposit at Barclays 1740.32 237.00 237.00
Credit from Clarke +Rout 1750.32 10.00 10.00
4/26/2023 Transfer to fundraising (Disco) 1550.32 200.00 200.00
Payment to Ian Waterton (Invoice) 1480.32 70.00 70.00
Credit from Sturgess 1629.32 149.00 149.00
4/27/2023 Credit from National Savings A 1965.97 336.65 336.65
4/28/2023 DD to Citation 1741.25 224.72 224.72
DD to Onecom 1683.51 57.74 57.74
5/2/2023 DD to Rutland CC 1669.51 14.00 £14.00
Credit from Waterhouse 1681.51 12.00 12.00
Credit Dawson 1693.51 12.00 12.00
Credit from L Tannahill 1705.51 12.00 12.00
Credit from C Davies 1745.31 39.80 39.80
Credit from RCC (staff training cover) 1937.81 192.50 192.50
Credit from Turner M+S 1972.81 35.00 35.00
5/3/2023 Payment to A Prior ( Paper Plates) 1970.06 2.75 2.75
Payment to Julie Hopkins ( Petty Cash) 1962.67 7.39 7.39
Credit from Hegarty 1974.67 12.00 12.00
Credit from J AHearne 2316.79 342.12 342.12
Credit from Clarke+Rout 2328.79 12.00 12.00
Credit from Davies Tj 2340.79 12.00 12.00
5/4/2023 Payment to HP Ink 2327.80 12.99 12.99
Payment to Eyrs Ltd ( training) 2295.40 32.40 32.40
Payment to Rentokil Initial 2256.52 38.88 38.88
Credit from H Croft 2268.52 12.00 12.00
Credit from National Savings A 2280.52 12.00 12.00
Credit from National Savings A 2297.47 16.95 16.95
5/5/2023 Credit from Cropper E 2330.32 32.85 32.85
5/9/2023 SO to Belton Recreation 2300.32 30.00 30.00
Payment to J Hopkins (cleaning product) 2298.03 2.29 2.29
Payment to K Pullan (stationery) 2284.78 13.25 13.25
Payment to Water company 2264.98 19.80 19.80
Credit from National Savings A 2276.98 12.00 12.00
Credit from Duffin SJ 2288.98 12.00 12.00
Credit from National Savings A 2300.98 12.00 12.00
Credit from Harley J A 2765.68 464.70 464.70
Credit from Hocking 3361.48 595.80 595.80
5/10/2023 Payment to ESPO 3301.66 59.82 59.82
Payment to PPl Prs Ltd 3183.27 118.39 118.39
5/11/2023 Payment to A Prior (final wage) 2574.81 608.46 608.46
5/12/2023 Payment to Ofsted Buisness CU 2539.81 35.00 35.00
Payment To L Tannahill (cleaning) 2489.81 50.00 50.00
5/15/2023 DD to Opus Energy 2413.72 76.09 76.09

StepSaver Account

Standing MONIES
DATE DESCRIPTION BALANCE MONIES IN Order Interest TRFS OUT TRFS
balance bfwd 01/09/2022 £21,803.26 £0.00 £0.00
£21,803.26 £0.00 £0.00
balance 23./09./2023 £21,809.98 £0.00 £6.72 £0.00
balance 23/12/2022 £21,822.14 £0.00 £12.16 £0.00
balance 24/02/2023 £18,822.14 £0.00 £3,000.00 £3,000.00
2/23/2023 balance 24/03/2023 £21,849.03 £3,000.00 £26.89 £3,000.00 £0.00
balance 24/04/2023 £21,849.03 £0.00 £0.00
balance 24/06/2023 £21,894.58 £0.00 £45.55 £0.00
balance 24/07/2023 £21,894.58 £0.00 £0.00
£0.00
Closing Balance 31/08/23 £21,894.58 £0.00
£3,000.00 £91.32 £3,000.00 £3,000.00 £3,000.00

£91.32

MONIES OUT TRFS

DATE

DESCRIPTION

Standing BALANCE MONIES IN Order Interest TRFS

£6,000.00 £182.64 £6,000.00

CASH BOOK FOR BELTON PRE SCHOOL (Fundraising Account)

DATE
DESCRIPTION
B+D3:E33ALAN MONIES IN
GRANT
MISC
TRANSFERS
BALANCE B/F 01/09/2022
382.73
0.00
12/09./2022 Resources
349.73
0.00
9/29/2022 CJ First Aid training
229.73
0.00
9/30/2022 Movie Night
319.73
90.00
90.00
10/3/2022 Movie Night
344.73
25.00
25.00
10/4/2022 DG Bonus
269.73
10/5/2022 Halloween
277.73
8.00
8.00
10/6/2022 Halloween
293.73
16.00
16.00
10/10/2022 Halloween
304.73
11.00
11.00
10/11/2022 Halloween
312.73
8.00
8.00
10/14/2022 Halloween
352.73
40.00
40.00
11/22/2022 Easy Fundraising
372.84
20.11
20.11
11/29/2022 Christmas Raffle
527.84
155.00
155.00
11/30/2022 Christmas Raffle
537.84
10.00
10.00
12/1/2022 Christmas Fundraiser
784.84
247.00
247.00
12/1/2022 Christmas Movie Night
809.84
25.00
25.00
12/5/2022 Christmas Raffle
924.84
115.00
115.00
12/6/2022 Washing Machine
812.84
12/16/2022 Cristmas
698.84
2/15/2023 Movie Night
733.84
35.00
35.00
4/24/2023 Disco
793.84
60.00
60.00
4/26/2023 Disco
993.84
200.00
200.00
5/22/2023 Fundraising
1003.84
10.00
10.00
6/7/2023 Auction
1013.84
10.00
10.00
6/7/2023 Payment for Training
1063.84
50.00
50.00
7/24/2023 Thank you Gifts
983.84
8/31/2023 Support Funding
783.84
Closing Balance as at 31st August 20
783.84
783.84
£1,135.11
£20.11
£1,115.00
382.73
401.00
£1,115.00
20.11
763.73
-£734.00
783.84
783.84
DONATIONS/
FUND
RAISING
FUNDRAISING
RESOURCES
MISC
TRANSFERS
0.00
0.00
33.00
33.00
0.00
120.00
120.00
0.00
0.00
0.00
0.00
0.00
75.00
75.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
112.00
112.00
0.00
114.00
114.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
80.00
80.00
0.00
200.00
200.00
0.00
0.00
0.00
0.00
£734.00
£0.00
£0.00
£734.00
MONIES
OUT

2023 2022 £ £ Amazon Smile - 17 Easy Fundraising 20 16 Donations 20 500 Halloween Party 198 313 Christmas Fundraiser 247 - Movie Nights 60 - Disco 260 -

DONATIONS/ DATE DESCRIPTION B+D3:E33ALAN MONIES IN GRANT FUND RAISING

MISC TRANSFERS

MONIES FUNDRAISING RESOURCES MISC TRANSFERS OUT

Sale of Jars - 158 Raffle 280 279 Fun Day - 497 Other 50 185 1,135 1,965

FUNDRAISING

Date Event Profit
November Halloween Party Movie Night £ 198.00
November Easy Fundraising £ 20.11
December Christmas Fundraiser £ 247.00
December Christmas Raffle £ 280.00
December Christmas Movie Night £ 25.00
February Movie Night £ 35.00
April Disco £ 260.00
May/June Auction/Donation £ 20.00
June Payment for Training £ 50.00
Total £ 1,135.11

Income Expenditure

Date Details Cost Running Total
Closing Balance as at 31st August 2022
9/1/2022 PETTY CASH-CARRIED FORWARD £37.25
9/1/2022 PETTY CASH PAID IN £50.00 £87.25
9/1/2022 Activity Resources £13.52 £73.73
9/1/2022 Soft Rug £19.99 £53.74
9/1/2022 Trustee Thank you Gift £16.60 £37.14
9/5/2022 Cleaning Materials £2.43 £34.71
9/7/2022 Toiletries Adult £16.00 £18.71
9/8/2022 Birthday cards £2.00 £16.71
9/12/2022 Activity Resources £3.58 £13.13
9/12/2022 Kettle £12.99 £0.14
9/12/2022 PETTY CASH PAID IN £50.00 £50.14
9/26/2022 Cleaning resources £1.63 £48.51
10/4/2022 Resources- movie night £5.60 £42.91
10/4/2022 Activity resources £20.00 £22.91
10/6/2022 Halloween Resources £14.38 £8.53
10/10/2022 PETTY CASH PAID IN £90.00 £98.53
10/11/2022 Halloween resources £18.47 £80.06
10/11/2022 End of year audit £60.00 £20.06
10/13/2022 Village Hall Donation Tea Urn £5.00 £15.06
10/14/2022 Halloween Resources £5.60 £9.46
£5.59 £3.87
11/8/2022 PETTY CASH PAID IN £50.00 £53.87
14/11/2022 Resources £8.05 £45.82
15/11/2022 Laminating Pouches £2.49 £43.33
15/11/2022 Thank you Gift £3.00 £40.33
12/6/2022 Resources £4.27 £36.06
12/6/2022 Xmas Resources £8.50 £27.56
1/11/2023 Table covers x2 £8.00 £19.56 .
1/28/2023 Books x 2 £16.98 Paid on Card
2/2/2023 Printer Paper x 2 £7.00 £12.56
2/14/2023 Resources £7.28 £5.28
Banked £4.57
£0.71

£36.54

£276.54

BELTON PRE-SCHOOL CIO

Annual Report and Accounts

For the year ended 31st August 2023

Registered Charity No. 1187877

BELTON PRE-SCHOOL CIO

Index to the Annual Report and Accounts

For the year ended 31[s][t] August 2023

Page

BELTON PRE-SCHOOL CIO

Independent Examiners Report to the trustees of Belton Pre School

I report on the accounts of the Charity for the year ended 3 1[s t] August 2023, which are set out on pages 2 to 4.

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 year1 under section 144 of the Charities Act 2011 (the Charities Act) 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 general Directions given by the Charity Commission. An 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 any such matters. The procedures undertaken do not provide all the evidence that would be required in an audit, and consequently no opinion is given as to whether the accounts present a 'true and fair1 view, and the report is limited to those matters set out in the statement below.

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 in, any material respect, the requirements:

  2. to keep accounting records in accordance with section 130 of the Charities Act; and

  3. to prepare accounts which accord with the accounting records and comply with the accounting requirements of the Charities Act

  4. have not been met; or

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

Name: Deborah Hill

Relevant professional qualification or body: FCCA Address: Woodbine Cottage, Main Street, Allexton, Leicestershire, LEl5 9AB

Signed:

Page 1

Date:

BELTON PRE-SCHOOL CIO

Income and Expenditure Account For the year ended 31[st] August 2023

Notes
Receipts
Fees
1
Surplus on Fund Raising
2
Training Payments
Bank Interest
Other
Total Receipts
Payments
Wages
Rent
Rates and Water
Electricity and Oil
PLA Insurance
Equipment, Materials, Stationery
3
Repairs and Maintenance
4
Telephone & Broadband
Survey Fees
External Suppliers
Sundries
Training
Legal / Payroll Expenses/ DBS
Total Payments
Net Payments over Receipts
Notes
Receipts
Fees
1
Surplus on Fund Raising
2
Training Payments
Bank Interest
Other
Total Receipts
Payments
Wages
Rent
Rates and Water
Electricity and Oil
PLA Insurance
Equipment, Materials, Stationery
3
Repairs and Maintenance
4
Telephone & Broadband
Survey Fees
External Suppliers
Sundries
Training
Legal / Payroll Expenses/ DBS
Total Payments
Net Payments over Receipts
01-Sep-22
31-Aug-23
Unrestricted
107,077
1,135
-
91
285
01-Sep-22
31-Aug-23
Restricted
01-Sep-22
31-Aug-23
Total
107,077
1,135
-
91
285
108,588
90,455
3,250
586
2,050
1,158
2,191
2,674
1,065
-
4,997
1,922
3,646
1,074
115,069
6,480
-
01-Sep-21
31-Aug-22
Total
100,638
1,965
4,200
3
-
108,588 - 106,806
90,455
3,250
586
2,050
1,158
2,191
2,674
1,065
-
4,997
1,922
3,646
1,074
86,531
3,250
522
2,104
-
2,149
4,276
666
720
4,105
501
786
1,131
115,069 - 106,741
6,480
-
-
65

Registered Charity Number 1187877

Page 2

BELTON PRE-SCHOOL CIO

Balance Sheet as at 31 August 2023

Cash Funds
Barclays Current Account
Barclays Deposit Account
Fundraising Account
Petty Cash
Total
01-Sep-22
31-Aug-23
Unrestricted
374
21,895
784
1
01-Sep-22
31-Aug-23
Restricted
01-Sep-22
31-Aug-23
Total
374
21,895
784
1
23,053
01-Sep-21
31-Aug-22
Total
7,310
21,803
383
37
01-Sep-21
31-Aug-22
Total
7,310
21,803
383
37
23,053 - 29,534

Page 3

BELTON PRE-SCHOOL CIO

Notes to the Accounts

BASIS OF PREPARATION

The accounts have been prepared on a receipts and payments basis in accordance with Section 133 of the Charities Act 2011, which allows this form of preparation for smaller charities.

1 FEES

Fees include £70,761 (2022: £68,602) in respect of Early Years Funding received from the Department of Education for two-, three- and four-year olds.

2 FUNDRAISING

Amazon Smile
Easy Fundraising
Donations
Halloween Party
Christmas Fundraiser
Movie Nights
Disco
Sale of Jars
Raffle
Fun Day
Other
2023
2022
£
£
-
17
20
16
20
500
198
313
247
-
60
-
260
-
-
158
280
279
-
497
50
185
1,135
1,965

3 EQUIPMENT, MATERIALS, MILK AND STATIONERY

Art and craft materials, toys, and books £2,191 £2,149

Tree Works
Cleaning
Boiler maintenance/service
Repairs to gates/painting/shelves
Grounds Maintenance
Fire Extinguisher Service
Electrician (including PAT)
Sundries
2023
2022
£
£
-
1,548
493
719
1,678
696
-
690
210
323
73
172
70
70
150
58
2,674
4,276

Page 4

BELTON PRE-SCHOOL CIO

Annual Report

Belton Pre-School is constituted by the Pre-School Learning Alliance PreSchool Constitution dated January 1999 and is a registered charity number 1187877. The address is 21 Church Street, Belton-in-Rutland, Oakham, Rutland, LElS 9JU. The person acting as the Charity's correspondent is Mrs Kathryn Pullan – Pre-school Manager

The charity is administered by the committee of Parent Trustees as follows: - Mrs Kyria Wright - Chair, Other current members - Mrs Kathryn Pullan & Cannon Rachel Watts.

AIMS OF THE ORGANISATION

The object of the organisation is to enhance the development and education of children under statutory school age by encouraging parents to understand and provide for the needs of their children through community groups and by: -

This has been achieved by offering 10 sessions plus a lunch club per week in line with the flexible funding requirements set out by Rutland County Council, all of which are run by experienced, qualified, and committed staff. All staff have undertaken paediatric first aid, health and safety and safeguarding training as a mandatory requirement. Staff are also given provision and encouraged to undertake further external training to enhance their knowledge and skills. Termly staff team meetings are held to discuss planning and events for the following term in which the latest resource materials are used to research and implement new and innovative activities. Funds raised by the committee are spent on continually improving the facilities and equipment available to the children, to ensure that the best quality care is provided. Tapestry has continued to be used as our online learning journal, which allows parents to view and interact with their child's progress and learning at pre-school.

The commission's public benefit guidance has been considered when making decisions.

The Charity employs a Pre-school Manager and Deputy Leader plus A SEN Inclusion Officer, three Practitioners.

Page 5

BELTON PRE-SCHOOL CIO

Annual Report continued

REVIEW OF PROGRESS AND FINANCIAL ACTIVITIES

Expenditure has exceeded income for the year to 31st August 2023 by £6,480. The main area of expense remains wages.

THE FUTURE

As a manager, the team and I have worked hard together to ensure the sustainability and longevity of the pre-school during this period of uncertainty and the ever increasing challenges the childcare sector now faces. We are committed to overcoming these challenges together as the Preschool remains a standalone, unique countryside setting with wonderful opportunities for our young to develop holistically, with the support of our dedicated team, trustees and parents.

We continue to review and update our resources focusing our learning on the natural environment and holistic wellbeing of the children. We are continuing to focus our ethos on outdoor learning and learning through exploration and investigation in the natural world around us.

Continued publicity and advertising of the pre-school on social media combined with word of mouth in the community has led to a healthy increase in numbers and a healthy waiting list for places when children turn two. Our reputation within the local area continues to rise and we are hearing lots of positive feedback from existing and potential parents. We have continued our weekly stay and play sessions and introduced a new 2for2 session, which currently runs on a Tuesday morning to encourage new families into the setting.

Our fundraising events have been particularly challenging this year as we have sought to find new ways of raising vital income for the preschool whilst fully appreciating and trying to support our children and families with the challenges they face in this current climate. We are continually trialing new ways of raising income alongside events that have proved popular in the past to give us a steady stream of income. We are very grateful for all the support we've received this year from parents and the community to enable us to still raise funds. We continue to plan events for the future to keep the fundraising stream active throughout the coming year.

Our Ofsted inspection since we transferred to CIO status still remains unconfirmed although an in-depth discussion of the setting and provision was undertaken by the Manager at the time of transfer. The staff team continue to work hard to improve the curriculum we offer in line with current EYFS guidance.

As a team we are focused on the sustainability of the pre-school moving forward, but it is difficult to forward plan when the current climate is so uncertain, particularly the gap in funding paid and current running costs but we are confident as a team we will move forward in a positive position for both children and staff at the pre-school.

We approve the accounts and annual report for the year ended 31[st ] August 2023 Signed for and on behalf of the trustees.

____ ______ Kyria Wright Kathryn Pullan

Page 6

BELTON PRE-SCHOOL CIO Page 7