Trustees annual report Aprfl 2020 - March 2021
Cylch Mefthrln Y Tonnau Reg- 1188410
Pavilion Leisure Centre
Beach Rd
Barmouth
Gwynedd
LL42 INF
Objectlves and Actlvhles of the thartty.
To provide Welsh medium earty years educatlon to pre-school thildren.
The charlty works wlth the l(Kal educatlon a￿hOrity to enable staff to provlde relevant earty years educatlon set out
within the current curriculum and receives educath)n fuThlin8 to support thtk
The charity also Is member of the Mudtad Melthrln who support early years Pre￿h0O1 settings to promote the use of
the Welsh language through the sétting a5 well a5 SUPPOrt in Complian￿ with CIW re8uations.
The Setting is registered to provide the Chlldcare forwales offerand recelvesfundln8 In Pla￿ of paymentfrom parents
for those that qualify enablln8 US to offer wrap around thi1dca￿ in addition to the education
The chartty employ$ 7 staff - all staff are qualffied to provide earty years We15h medium education and childcare, all
receive ongoin8 trainin8 to develop and build knowled8e and skills.
Cylch Meithrin Y Tonnau currently ha5 three volunteersl trustees who support the day to day manager in the runnlng
of the settin& and oversee the financial affairs, govemed by our CIO constltution.
Nest Jones - Chairper50n
Ruth Griffiths- Secretary
Christian WadsWOrth- Treasurer
All trustees are appointedl voted in at our Annual AGM- current trustees have been in seat over a year re- elected
at the last AGM. This has helped u5 51eer our way through the paThJemic.
New trustees elerted will recerwe induttion traini￿ full suptM)rt/ guidan￿ and handoverfrom outgoing trustees.
Cylch Meithrtn Y Tonnau has no Corpordte or Custodian Trustees nor do any trustees hold titte of any property
belongin8 to the charity

AChIe￿ments of the Charlty
We have provided high stsndards of edUCa￿n aThl childcare throughout the pandemic. staff worked to ensure
distance leaning opportunities were available to the parents during lockdowns as well as the setting remaining open
to keyworker children at these time& We have supporting the children well in their return to Cylch after lockdowns
and guided them through the changes made dkje to the restrictions required of u5 to enable us to operate safely.
As we provide a service in an area with a high percentsge of noTrWelsh speakin8 children we have been able to
introduce and start the children on their Welsh Language journey in preparation ft)r starting main stream Welsh
medium school.
Performance of fvndralslng
With the restrictions of lockdown and social distsncir8 as well as financial burden on many parents/ businesses it
has been challen8in8 to be able to carry out much fundraisin8. We have been able to raise some funds throu8h
Individual SFionsored walks, we have received some financial donations from local raffles also.
Totsl income from fundra151n￿ donations- £1,122
Flnanclal Revlew
Startlng balance of £19,105.22
At the end of this flnancial per￿d we held a stable position wfth the sum of £18.221.88 In reserve. equatlng to the
advlsed three months OUtgoSngs.
Throughout the year we made a total loss of £870.41
We recefved £15,(XYJ In Covld related flnanclal support. thts enabled up to remaln open and provlde support to
keyworkers children and allow staff to support children wrth distance learning.
We ￿CeIved £3,298.15 from the coop comrnunty fund this also enabled us to Meet staffing aryj running costs
throughout the lockdown
We received £52.991 through fees. edUCat￿n funding and childcare offer funding
Total stafflng costs for the perfod were-£62,983.23
Full a¢wunts attsch
The trustees declare that they have approved the tru5tees' reFQrt above
Si8ned on behalf of the charitvs trustees
Signatu
Full name
cHois*i LJ/rTX*U.
Position leg chair. sec etcl
Date
73/11 /zi

## **Accounts 2020-21** 


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IN April  May  June  July  Aug  Sep  Oct  Nov  Dec  Jan  Feb  March<br>Total<br>Fees 0 0 182.00 551.00 800 2745.4 2355.00 1921. 1463.0 1695.0<br>5 75 0 0<br>Fundraising/ 316.13 100.00 100.00 426 50 130.00<br>donation<br>Funding Ed 849.88 1259.08 2108.<br>96<br>Funding Care 3,906.0 3,577. 2925.0 3456.00 2682.0 1674.00 1782. 2574.0 2106.0 3168.0<br>0 50 0 0 00 0 0 0<br>1:1 funding 445.44 334.0 800.04 472.80<br>8<br>Resource Grant 300.00<br>1:1 Grant 703.44<br>(Adra)<br>Coop  grant 3298.<br>15<br>Business grant 10,000 3,000<br>Coronavirus 2,000<br>fund<br>Language<br>group<br>Other  Baker Ross refund<br>114.97<br> Total in<br>OUT April  May  June  July  Aug  Sep  Oct  Nov  Dec  Jan  Feb  March  Total<br>Wages  4821.2 4182 4322.4 4952.81 4573.93 4831.17 5313.75 4973.1 5057. 4870. 4903. 6099.<br>6 4 6 43 52 39 17<br>Nest - pension 305.84 528.88 643.78 351.58 391.70 365.67 371.5 341.0 310.4<br>7 2 8<br>HMRC<br>Payroll fees  14.40 14.40 14.40 14.40 14.40 14.40 14.40 164.40 14.40 14.40<br>Rent 1,899.0<br>0<br>Phone/ internet 42.73 16.84 28.80 28.80 28.80 28.80 28.80 28.80 28.80 28.80<br>**----- End of picture text -----**<br>





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Utilities<br>Refuse 130.0<br>collection  0<br>Taxi  70.00 140.00 140.00 101.5 x<br>0<br>Resources  267.51 197.48 162.76 93.99 214.90 177.85 601.8<br>6<br>Improvements  4260.<br>00<br>ICO 40.00<br>Bank staff  203.11 464.40<br>Training  91.20<br>DBS 141.60 47.20<br>Total out<br>**----- End of picture text -----**<br>




CHARITY COMMISSION
FOR ENGIAND MD WALES
Independent examinerfs report on the
accounts
Section A
Independent Examiner 5 Report
Report to the trusteesl
members of
Cylch Meitl¥in Y Tonnau
On accounts for the year
2021
Charlty no
(If any)
1188410
Set out on pages
I report to the trustees on my examination of ts accounts of the above
chanty {Ihe T￿￿} for the year erthd
Rogponslbllltlu and
basls of report
As the charws tru¥tee5. you are responsible for th8 preparation of the
a¢¢ounts in accordance with the requirements of the Charities Act 2011
A￿)
I report in respect of my examination of the Tr￿f8 accounts carried out
under seL*on 145 of the 2011 Act and in ￿ffyIng OLrt my examinats'on. I
have followed all the apFAicab18 DireGts'ons given by the Charity Commission
under section 145(5}(b) of the Act.
Indopend•nt
8xamlnorf8 statsment
I have completed my examnation. I confimi that no material matters have
me to my attents'on in connection with the examination {otheT than that
disclosed below") which gNes me cause to believe that in, any material
the accounting records There not kerrt in accordance with 8ection 130
of the Charitses Ad; or
the accounts did not acL¥)rd with the accountiry records; or
the accounts dKI not ￿pIY *ryth the applicable requirements
conceming the forni and content of a¢¢ounts set out in the Charitie8
(Accounts and Reports) Regulatrons 2008 other than any requirem8nt
that the accounts gNe a Irue and fairf view which is not a matter
considered as part of an independent examinatK)n.
I have no concems and have come across no other matters in connection
wrth the examinknon to which attentson should be drawn in this report in
order lo enable a proper u￿lerS￿ndl￿g of the accounts to be reached.
' Please delete the in Ihe br￿ketS rfthey do rn)t apply.
Slgned:
Relevant professional
qualification(s) or body
(If anyl:
IER
Oct 2018

Addross:
H(J.
Section B
Disclosure
Only complete rf the examiner needs to highlight material matters of concern
(see CC32. IndeF*ndent examination of cknnty accounts. direraions and
guthnce for 6￿MIne[s).
Give h•r• brl•f detsils of
any items that the
èxaminer wishes to
dlsclose.
IER
Oct 2018