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2023-08-31-accounts

Registered Charity Number: 1191172

THE NEW STEPPING STONES PLAYGROUP CIO

REPORT & UNAUDITED FINANCIAL STATEMENTS FOR THE PERIOD

1 AUGUST 2022 TO 31 AUGUST 2023

Report and Unaudited Financial Statements For the Period Ended 31 August 2023

Contents Page
Charity Information 1
Report of the Trustees 2
Independent Examiner’s Report 4
Statement of Financial Activities 5
Balance Sheet 6
Notes 7

Charity Information

Registered Charity Number:

1191172

Trustees

Office held Name Chair Linda Duncan Treasurer Alison Chenery Trustee Carla Smith

Reporting Accountant

INTEGRA GLOBAL SOLUTIONS UK LIMITED Top Floor, College House, 17 King Edwards Road, Ruislip, Middlesex, England, HA4 7AE

1

Report of the Trustees

TRUSTEES’ RESPONSIBILITIES

The trustees present their report and financial statements for the period ended 31 August 2023.

The trustees are required by The Charities Law to prepare financial statements for each financial year which give a true and fair view of the state of affairs of the charity at the end of the financial year and of the profit or loss for that period. In preparing the financial statements, suitable accounting policies have been used and applied consistently, and reasonable and prudent judgements have been made. The trustees are also responsible for maintaining adequate accounting records, for safeguarding the assets of the charity, and detecting fraud and other irregularities. The trustees are satisfied that the playgroup is a going concern.

REGISTERED CHARITABLE OBJECTIVES

To provide affordable pre-school care to the local community.

To provide an environment that enhances the development and education of children through play.

PRINCIPAL ACTIVITIES

The principal activity of the charity is that of the provision of pre-school and playgroup education.

CHARITY STRUCTURE

The playgroup is run by the Nursery Manager (Iveta Derfinakova) and a staff of 6 Early Years Teachers/Teaching Assistants. It is overseen by the Parent Committee (as per the Trustee Details below).

The Parent Committee is elected Annually at the AGM (or an EGM if necessary). They are nominated

by fellow parents.

In addition a team of Social Committee Members (also parents) arrange Fundraising and other Social activities for families of the playgroup.

BUSINESS REVIEW AND FUTURE DEVELOPMENTS

The state of the charity’s affairs and trading results for the period are as shown by the attached financial statements. The trustees are confident that the charity has sufficient financial resources to enable to meet any of its debts and continue its day-to-day operations. The trustees expect that the present level of activity will be maintained in the foreseeable future.

RESULTS AND RESERVES

The Trustees propose that the deficit for the period amounting to £22,592.64 will be added the reserves carried forward.

2

FIXED ASSETS

The charity does not own any fixed assets, and the premises it uses for its activities as a pre-school playgroup are rented.

TRUSTEES DURING THE YEAR

The Trustees who served during the period, were as follows: -

Chair/Co-chairs
Linda Duncan
Carla Smith
Appointed 27 March 2023
Secretary
Treasurer
Alison Chenery
Without Title
Elizabeth Crouch Resigned 30 March 2023

Signed On behalf of the Trustees:

Linda Duncan Carla Smith Alison Chenery 23/05/2024

3

Independent Examiner’s Report to the Trustees on the accounts of the New Stepping Stones Playgroup

I report on the accounts for the period ended 31 August 2023 which are set out on pages 5 to 8.

Respective responsibilities of the Trustees and Independent Examiner

The charity's trustees consider that an audit is not required for this year under section 144(2) of the Charities Act 2011 (the 2011 Act) and that an independent examination is needed.

It is my responsibility to

Basis of Independent Examiner's Statement

My examination was carried out in accordance with the 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 management committee concerning any such matters. The procedures undertaken do not provide all the evidence that would be required in a full audit, and consequently I do not express an audit opinion on the accounts.

Independent Examiner's Statement

In connection with my examination, no matters have come to my attention

INTEGRA GLOBAL SOLUTIONS UK LIMITED Top Floor, College House, 17 King Edwards Road, Ruislip, Middlesex, England, HA4 7AE

17/06/2024

4

Statement of Financial Activities

for the Period Ended 31 August 2023

or the Period Ended 31 August 2023
31 AUG 23 2022
Notes £ £
INCOMING RESOURCES
DONATIONS & LEGACIES £ 3,586.23 £ 2,710.00
CHARITABLE ACTIVITES
Fundraising Activities 5,844.54 4,242.58
Fees received (inc Early Education Funding) 210,252.48 194,927.30
Total CHARITABLE ACTIVITES £ 216,097.02 £ 199,169.88
Other incoming resources (bank loyalty reward & interest) 40.11 2.22
TOTAL INCOMING RESOURCES £ 219,723.36 £ 207,882.10
RESOURCES EXPENDED
RAISING FUNDS
Staging Fundraising Events £1,354.99 £ 1,175.17
CHARITABLE ACTIVITIES
Staff wages 4 177,281.97 171,981.96
Extra Lessons (music, drama, dance, football) 6,675.40 2,522.40
Materials, equipment and books 5,278.18 4,630.53
Rent and rates 23,499.99 22,000.00
Cleaning and cleaning materials 7,394.56 7,158.84
Accountancy & bookkeeping 3 8,328.20 5,564.32
Postage, printing and stationery 1,568.20 1,118.91
Insurance, subscriptions and inspection fees 2,013.14 1,486.46
Staff training & courses 1,284.10 851.59
Refreshments 588.34 1,300.10
Telephone 1,049.84 822.55
Repairs and renewals to premises 1,316.18 467.48
Sundry 459.45 2,456.72
Total CHARITABLE ACTIVITIES £ 238,092.54 £ 222,361.86
Separate Items of Material Expense 3 4,124.02 3,666.64
Other outgoing resources (bank charges) 99.44 75.20
TOTAL RESOURCES EXPENDED £ 242,316.00 £ 227,278.87
NET INCOME / (EXPENDITURE) (£ 22,592.64) (£ 19,396.77)
RECONCILIATION OF FUNDS
Total funds brought forward 54,550.33 73,947.10
Net income for the period (22,592.64) (19,396.77)
Total Funds carried forward £ 31,647.69 £ 54,550.33

5

Balance Sheet

at 31 August 2023

CURRENT ASSETS
Trade Debtors
Cash at bank and in hand
Current Bank Account
Deposits Bank Account
Total Cash at bank and in hand
TOTAL CURRENT ASSETS
Creditors: amounts falling due within one year
Trade creditors
Refundable deposits
Accruals
Deferred Income
Taxation & Social Security
Other
Total Creditors: amounts falling due within one year
NET CURRENT ASSETS / (LIABILITIES)
TOTAL ASSETS LESS CURRENT LIABILITIES
Creditors: amounts falling due after more than one year
Refundable deposits
Total Creditors: amounts falling due after more than one year
TOTAL NET ASSETS / (LIABILITIES)
Notes
1 AUG 22 - 31
AUG 23
£
2022
£
6,833.75
£ 0.00
58,534.84
58,619.06
4,500.00
3,300.00
£ 63,034.84
£ 61,919.06
£ 69,848.55
£ 61,919.06
9,329.01
1,428.48
1,950.00
2,400.00
300.00
670.00
21,733.11
0.00
1,868.35
1,970.25
730.43
0.00
£ 35,910.90
£ 6,468.73
£ 33,957.69
£ 54,450.33
£ 33,957.69
£ 54,450.33
2,000.00
900.00
£ 1,700.00
£ 900.00
£ 31,647.69
£ 54,550.33

We confirm that, in accordance with S130 Charities Act 2011, accounting records have been kept which:

Signed On behalf of the Trustees:

Linda Duncan

Carla Smith

Alison Chenery

23/05/2024

6

Notes to the Accounts

NOTE 1: Basis of Preparation

1.1 Basis of accounting

These accounts have been prepared under the historical cost convention with items recognised at cost or transaction value unless otherwise stated in the relevant note(s) to these accounts.

The accounts have been prepared in accordance with:

The charity constitutes a public benefit entity as defined by FRS 102.

1.2 Going concern

There are no material uncertainties related to events or conditions that cast significant doubt on the charity's ability to continue as a going concern.

1.3 Fund Accounting

The playgroup has only unrestricted funds. Some of these are designated for use for fundraising or for the repayment of refundable deposits as indicated by the use of separate bank accounts.

NOTE 2: Accounting Policies

2.1 FRS102

The accounts are prepared under FRS102.

2.2 Income

Recognition of These are included in the Statement of Financial Activities (SoFA) when: income - the charity becomes entitled to the resources; - it is more likely than not that the trustees will receive the resources; and - the monetary value can be measured with sufficient reliability. Offsetting There has been no offsetting of assets and liabilities, or income and expenses, unless required or permitted by the FRS 102 SORP or FRS 102.

Grants and Grants and donations are only included in the SoFA when the general income donations recognition criteria are met (5.10 to 5.12 FRS102 SORP). Government The charity has received government grants in the reporting period. grants

2.3 Expenditure and Liabilities

Liability Liabilities are recognised where it is more likely than not that there is a legal or recognition constructive obligation committing the charity to pay out resources and the amount of the obligation can be measured with reasonable certainty. Deferred There are no material items of deferred income included in the accounts. income

2.4 Assets

Debtors Debtors are measured on initial recognition at settlement amount.

7

Subsequently, they are measured at the cash expected to be received.

NOTE 3: Details of certain items of expenditure

OTE 3: Details of certain items of expenditure
Independent Examiner’s Fees
Separate items of Material Expense includes

Free Place
1 AUG 22 -
31 AUG 23
£
2022
£
300.00
270.00
4,124.02
3,566.64

NOTE 4: Staff Costs

Wages & salaries
Social Security Costs
Pension costs
TOTAL staff costs
1 AUG 22 -
31 AUG 23
£
2022
£
167,110.39
163,974.21
6,581.02
4,983.64
3,590.56
3,024.11
177,281.97
171,981.96

No employees received employee benefits (excluding employer pension costs) for the reporting period of more than £60,000.

The charity operates a defined contribution pension scheme.

1 AUG 22 -
Average Headcount in the Year 31 AUG 23 2022
All are employed in Charitable Activities 6 6

NOTE 5: Transactions with trustees and related parties

In the period the charity has paid trustees the following remuneration and benefits.

Name of Trustee Nature of payment 1 AUG 22 -
31 AUG 23
£
2022
£
Elizabeth Crouch Gross Wages 5,083.51 13,121.15
Tax and Social Security 96.52 589.90
Pension contribution - -
TOTAL 5,180.03 13,711.05
Alison Chenery Fee childcare (estimated value) 100.00 100.00
Linda Duncan Fee childcare (estimated value) 100.00 100.00

Elizabeth’s remuneration above is for her work as the playgroup transition manager. Alison and Linda received some childcare while the trustees where on site attending meetings for the charity.

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