REPORT OF THE TRUSTEES AND
UNAUDITED FINANCIAL STATEMENTS FOR THE YEAR ENDED 5 APRIL 2025
FOR
DOWNSIDE PRE-SCHOOL

DOWNSIDE PRE.SCHOOL
COP4TENTS OF THK TrJNANCIAL STATEMENTS
FOR THE YEAR kNDED 5 APRIL 2025
Page
Reference and Admlnlstrntive Dets115
Report of the Trustees
Independent Ex8miD¢r's Report
StstemeDt of Flllaneial Activitie5
B*l4nce Sheet
Notes to the Flllaneial St8tements
8 to 12
DetAiltd St8tement of Flninelal Activities
13 to 14

DOWNSIDE PRE-SCHOOL
REFERENCE AND ADMINISTRATIVE DET AILS
FOR THE YEAR ENDED 5 APRIL 2025
TRUSTEES
Miss A A Evans
Mrs C Washington
Mrs J Russell
Chairperson
Treasurer
(resigned 19 June 20251
(appointed 24 February
20251
(appointed 24 February
20251
Mrs H Shaw
Mr N Shaw
REGISTERED OFFICE
Oakwood Avenue
Dun5table
BedfoTdshire
LUG 4AS
REGISTERED CHARITY NUMBER
1191830
INDEPEP4DENT EXAMINER
Stoten Gillam Lim2ted
Chartered Ac¢ountant5
Alban House
99 High Street South
Dunstable
Bedfordshire
LU6 3SF
Page I

DOWNSIDE PRE-SCHOOL
REPORI" OTr TIIL TRUSTEES
FOR THE YEAR ENDED 5 APRIL 2025
The trustees present their report with the fJnan¢ia] $tat¢ment5 of the charity for th¢ year ended 5 April 2025.
OBJECTIVES AND ACTIVITIES
Obje¢tlves attd 8iin$
The charity WOTk5 for the public benefit havin8 &8 jts objects the development and education of children and young
people in particul￿ by-
l - promoting th¢ir care and safety
2 - promoting their education and promoting Pa￿ntai involvement
3 - promoting thcir health and wellbeing
4 - providing services to support them and their families and carers
5 - providing sejvices to individuals holding membership of the CIO
6 - furthering the aims of th¢ Early Years Alliance
Slgnlfitattt xrtivities
I'he Pre-school provid¢$ edu¢ation and carc for children aged 2 - 5 years through a range of play b&sed activities io
5UPPOrt children's Language and Communi¢ations. Perstsnal, Social. Emotional and physi¢al developtnent.
Siaff are highly qualified, undertaking continuous professional development to ensure their knowledg¢ and development
are kept up to dat¢.
We are open 5 doy$ a week, tenn time only.
Our Current Ofstead rating is Good. continuing on from our previous January 2024 rating.
Our premises are suitabl¢ for this age ran8e with daily safety ch¢cks done to ensure the safety for children and adults.
alongside risk asscssments.
Our r¢sour¢es are regularly replenished to ¢nsure suitability.
The Pre-school follows a]1 legal requirement5 set out in the Early years foundation stage IEYFS) 2023 and policie5 and
PTo¢edures are updated to reflect any Changes in Current statutory regulations.
As noted last year. trustees continue discussions with th¢ local council rEgaTding the renewal of our le&8e.
Thes¢
negotiation5 aim to secure a financially 5U5tainable a￿angement to support our mission and ensure long-terni stsbility in
srrving our cotnmunity.
Public benefit
The trustees have due regard to the guidAnc¢ on public benefit published by the Charity Commisston 2006 Act section 4.
Volunteers
TTUStees appointed to the committee are volunteers and are ap]x)inted by at least one trustee at an AGM.
FINANCIAL REVJEW
Prineip*l funding sourte5
During the year, irt addition to fres. the Pre-school received loca] authority 2 year. 3 year and 4 year fundin8. A gran( of
£10,000 was Secured to repla¢¢ the pw¢hool flooring.
Page 2

DOWNSIDE PRE-SCHOOL
REPORT OF THE TRIISTEES
FOR THE YEAR ENDED S APRIL 202$
FINANCIAL REVIEW
Reserve5 policy
A fonnal Rescrves Policy was adopted by the Trustees artd put into place on 3 April 2025.
The trnstees have dc5ignated a proportion of the unrestricted reserves and have physically transferred th¢s¢ monie5 into
the charity's bank deposit a¢¢ount. These designated funds are to be used solely for the coverirtg of unexpected
shortfalls in income. managing unforeseen increase% irt essential costs- meeting one-off etnergen¢y ne¢d5; funding staff
redundancies, if required. artd supporting ally orderly wind-dowm process if the charity were no lottger financially
sustainable.
The balallce of the r¢stricred and designated reserve5 at 5 April 2025 was £46,372. This includes the r¢stricted grant of
£IO.000 for the flooring iogether with the balance of the f¢n¢ing grant which has now been lornieTly released by the
donor to b¢ for the use of enhancing the childr¢n's ¢nvironment and learning.
Expenditure from this grani of £7,877, equat¢s to £2,554 which included bikes. s¢¢xi¢¢T5. a $lid¢ and a rol¢ play kitchen.
The remaining funds of £5,323 are eamiarked for new blinds and CCTV.
The balance of the reserves at the end of the year ar¢ ￿ follows -
Unrestricted Reseryc
Designat￿ Reserve
£39.737
£31.049
Total Unrestricted and Designated Reseryes
£70.786
Restr5Cted Reserve
£15,323
Total Reserves
£86,109
These reserves provide important financial PTOtection. ensuring that organisation can manage potential operational
challenges, itxcluding po55ible stsff redundancy cost5, ongoing operational exp¢ns¢5, and maintaining
wage
commitments in the event of Ullexpect￿ delays in funding payments.
STRUCTURE. GOVERNANCE AND MANAGEMENT
Governing dotum¢Dt
The Downside Pre-school CIO 15 a Charitable Incorporated Organisation in England and Wales, charity registration
number 1191830, which follows the Early Years Alliance Model Constitution for Pr¢-s¢hoo5s.
Tru$t¢e$ Ind governanee
An Extraordinary General Meeting was held in February 2025. durin8 wh2ch new trustees were elected. These new
tn]stces are currently und¢rgoing the required checks io assume their roles fully.
Health gnd Wellbeing AsY8rd
Itl December 2024, Downsid¢ Pre-S¢hool was hOnou￿d with ihe Hea]th Child Healih Workforce Award, r¢cognising
our commitment to promoting both physical and mentsl w¢llb¢ing.
This award highlights our efforts to nurture healthy habits for children while fosteritlg staff wellbeing so OUT teaTn can
¢ontinue delivering high.quality care in a 5UPPOrtive environment.
Sta￿1￿¥ and enrolment
At the end of the financial year we had 9 staff members and 55 children on roll.
Page 3

DOWNSIDE PRE-SCHOOL
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 5 APRIL 202S
STRUCTURE. GOVERNANCE AND MANAGEMENT
PIAns for th¢ Future
LeAse Renewal: Continue engagement with the local council to seeure a sustainable le&se that supports long-term
service delivery.
Use of rel¢#$e restrieted funds: Complete installation of new blinds and CCTV to further erthance safety and learning
environments,
Flooring upgrade: £10,000 flwring grant secured: insta]latiOTL schedule for August 2025.
Tryslee ollboardimg: Progress the vetting and integrdtion of newly elected tTUStees into 8overnan¢¢ pwti¢¢s.
FuDdrai5iDg for preschool outlng: Commence fundraising aetivities to support pr¢s¢hotsl trip in Summer 2026.
Approved by order of the i%)ard of trustee5 on 7 November 2025 and signed on its behalf by..
Mrs C W&%hin8ton - Trnstee
Page 4

INDEPENDENT EXAM INER'S REPORT TO THE TRUSTEES OF
DOWIYSIDL PRE-SCHOOL
Irtdependent exAmlDer's r¢port to the trustees of Downside Pre-school Ch*ri¢4bl¢ Incorporated Organl$ation
('the CIO,)
I report to the charity trust¢C5 on my examination ofthe ac¢ounts of the CIO for the y¢ar ended 5 April 2024.
Respon5ibilitie5 ADd b•si$ of report
As the charity trnstees of the CIO you are re$ponsible for the preparation of ih¢ a¢¢ounts in accordance with th¢
requirements of the Charities Act 2011 I'the Act')-
I report in respect of my examination of th¢ CIO'S accounts carried out under s¢Ction 145 of the 2011 Act and in
canying out my examination I have followed all applicabl¢ Dire¢tions given by the Charity Commission under section
14515)Ibl of the 2011 Act.
Independent eJ*miner 5 St¥4tement
I have complete my examination. l ¢onfirni that no material matters have come to my attention in GonnectiOTL with the
ex8minatiOll giving m¢ cause to believe that in any m*¢ria] Tespect:
l. accounting records were not kept &s required by section 130 of the A¢t' or
2. the ￿CoUnts do not accord with those re¢ords; or
3. the accounts do not comply wilh the applscable requirements concerning the fonn and ¢ont¢nt of accounts Set out tn
the Charitles (A¢¢ount5 and Reports) Regulations 2008 other than any requirement that tbe accounts give a'true and fair
view, whi¢h is not a matter Gon5idered as part of an independent examination.
I have sjo concern5 and have come across no other matters in connection with the examination to which attention shO￿ld
be drawn in this report in order to cnable a proper understanding of the accounts to be reached.
Mr Christopher Trevor
The Institute of Chartered Accountants in England and Wales
Stoten Gillam Limited
Chart¢red Accountants
Alban House
99 High Street South
Dun%table
B￿[ordshIrc
LU6 3SF
10 D¢¢¢mb¢r 2025
Page 5

DOWNSIDE PRE-SCHOOL
ST ATEM ENT OF FINANCIAL ACTIVITIES
FOR THE YEAR ENDED 5 APRIL 2025
2025
Tot21
funds
2024
Tota]
funds
Unrestricted
fund
Restricted
funds
Noies
INCOME AND ENDOWMENTS FROM
tk>nations and legacies
215,4211
10,000
225.420
192.181
Investment incom¢
569
569
457
Totsl
215,989
10,000
225.989
192,638
EXPENDITURE ON
Charitable activitles
Pres-sehiM)I
198.795
2,554
2111 J49
186.521
NET INCOME
17,194
7,446
24,640
6.117
RECONCILIATION OF FUNDS
Total funds brought forward
53.592
7.877
61.469
55.352
TOTAL FUNDS CARRIED FORWARD
70.786
1SJ23
86.109
61,469
The notes form p¥rt of these financial statements
Pag¢ 6

DOWIYSIDE PRE-SCHOOL
BALANCb: SHEET
S APRIL 2025
2025
Total
funds
2024
Total
funds
Unrestrhcted
fvnd
Restri¢t¢d
funds
Notes
CURREIYT ASSETS
Debtors
C&sh at bank
17,535
56,432
17,535
73J79
3,681
60,550
16,947
73,967
16,947
90,914
64,231
CREDITORS
Amounts falling due within one year
(3.181)
(1,6241
{4J05)
{2,762)
NET CURRENT ASSETS
70,786
ISJ23
86,109
61,469
TOTAL ASSETS LESS CURRENT
LIABILITIES
70,786
15J23
86.109
61.469
NET ASSETS
71b,786
15 J23
86,109
61,469
FUNDS
Unrestri¢led fund5
Restricted funds
70,786
1SJ23
53.592
7.877
TOTAL FUNDS
86.109
61,469
The charitable company is entitled to exemption from audit under Seetion 477 of the Companies Act 2006 for ihe year
ended 5 April 2025.
The Members have not required the company to obtain an audit of its finaneial Statements for the y¢8r end¢d
5 April 2025 in ac¢ordance with Section 476 of the Comp8ni¢s Aci 2006.
The tn]stees aeknowledge their ￿SponSibL7]t]es for
(al
ensuring that the charitable eompany keeps accounting records that comply with Sections 386 and 387 of the
Companies Act 2006 and
preparing financial stateEnents which give a tn]e and fair view of the state of affairs of the charitable eompany as
at the end of each fJnan¢ial year and of its surplus or deficit for each financial ycar in accordance with th¢
requirements of Sections 394 and 395 and which otherwise comply with the requirements of the Compat)ies Act
2006 relatin8 to financial st*¢ments, sts faT a5 applicable to the charitable company.
(bl
These financial statements have been pr¢pared in accordan¢e with the provisions applicable to charitable companie5
5ubjcct to the small companie5 regime.
The financial statem¢nts were approved by the Board of Tru5tee5 alld authori5ed for Éssue on 7 November 2025 and
were signed on its behalf by..
C Washingtr>n - Trustee
The n(ptes ft>rm part of these financial s¢at¢ments
Page 7

DOWNSIDE PRE-SCHOOL
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED S APWL 2025
ACCOUNTif4G POLICIES
B&5]5 of preparillg the finattcial st2tements
The charity constithtes a public benefit entity &s defined by FRSIO2.
The fJnan¢ial statements have be¢n prepared in accordance with Accounting and Reporting by Charities:
Statement of Recommended Practice, applicable to charities preparing their accounts in actordanG¢ with the
Financial Reporting Standard applicable in the UK and Repllbli¢ of Ireland issued in October 2019. the Financial
Reporting Standard applicable in the United Kingdom and Republic of Ir¢land (FRS 102}. the Charities Act
2011 and UK Generally Aecepted Aecouniing Practice.
The financial statements have been prepared under the historica] cost convention.
Income
All in¢ome is recognised in the Statement of Financial Activities once the charity has entitl¢m¢tJt to ihe funds, Lt
is probable that the income will be r¢¢¢iv¢d and the amount can be me&sured reliably.
Expendhture
Liabilities are recognised as expendibJre a5 soon as there is & legal or constructive obligation committing the
charity lo that expenditure. it is probable that a transfer of economic benefits will be required in settlcmcnt and
the amount of the obligation w be measured reliably. Expenditure is accounted for on an accn￿lS basis and has
been classified under headin85 that a88rcgate all cost related to the category. Where cost5 cannot be directly
attributed to parti¢ular heading5 they have been allocated to activities tsn a basis consistent with the use of
resollre¢s.
Taxatlon
The chariry is exempt from corw>rdtion th on its charitsble activities.
d aeeoutttittg
Unrestricted fi]nds can b¢ used in accordance with the charitable objectives at the discretion of the trustees.
Restrict¢d fund5 ran only be used for particular restTlCted purposes within the objects of the charity. R¢stri¢tions
arise when Specified by the donor or when ftsnds ar¢ raised for particular restricted purp)5e5.
Pension c(b$t$ 8nd otber post-retirement bettefit5
The charitable company operates a defined contribution pension scherne. Contributions payable to the charitable
company's pension scheme are charged to the Statement of Financial Activities in the period to which they relate.
INVESTMENT INCOME
2025
2024
Deposil a￿oUnt interest
569
457
Page 8
ontinued...

Dowf4sIDE PRE-SCHOOL
NOTES TO THE FINANCIAL SI'A'I'LMENTS - continued
FOR THE YEAR ENDED S APRIL 2025
TRUSTEES, REMUNERATION AND BENEFITS
There wer¢ no trustees, remuneration or other b¢n¢fLt5 for thc year cndcd 5 April 2025 nor for the year endcd
5 April 2024.
Trnstee$' expen$ts
There wete no trustees. expenses paid for the year ended 5 April 2025 nor for the year ended 5 April 2024.
STAFF COSTS
The average monthly number of employe¢5 during the year was as follows:
2025
2024
io
Early years edu¢aiors
No employees re¢¢ived emoluments in exc¢s5 of £60.000.
COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTIVITIES
Unrestricted
fund
Restricted
funds
Total
fund5
INCOME AND ENDOWMENTS FROM
Donations and legacies
192,181
192,181
Investment in¢ome
457
457
Total
192.638
192.638
EXPENDITURE ON
Charlt4ble aetivities
Pres-school
186.521
186.521
NET INCOME
6,117
6,117
RECONCILIATION OF FUNDS
Tota] funds brought forward
47,475
7,877
55.352
TOTAL FUNDS CARRIED FORWARD
53,592
7,877
61,469
Poge 9
continued...

DOWNSIDE PRE-SCHOOL
NOTES TO THE FINANCIAL STATEMENTS - continued
FOR THE YEAR ENDED S APRIL 2025
DEBTORS: AMOUNTS FALLIP4G DUE WITHIPI ONE YEAR
2025
2024
Prepayments and accrned tncome
17.535
3.681
CREDITORS: AMOUNTS FALLIIYG DUE WITHIN ONE VEAR
2025
2024
Accrua]s and d¢f¢Tred income
4,805
2,762
There were nts secured creditors, either during the year or at the yearend. Nor was there any guarantees given in
the year.
MOVEMENT IN FUNDS
Net
movement
in funds
At
514125
At 614124
Unrestricted funds
General fvnd
53.592
17,194
70.786
Restricted funds
Fencing
Flooring
7,877
(2,554)
10,000
5,323
10,000
7,877
7.446
15J23
TOTAL FUNDS
61,469
24,640
86.109
Net movement in funds, included in the above are as follows=
IncoTning
resourc¢s
Resources
expended
Movement
in funds
Unrestricted funds
Generdl fund
215.989
(198.795)
17,194
Restrleted funds
Fencing
Flooring
(2.554)
12.554)
10,000
10.000
10.000
(2.5541
7.446
TOTAL FUNDS
225,989
(201 J49)
24,640
Page 10
¢ontinued...

DOWNSIDE PRE-SCHOOL
NOTES TO THE FINANCIAL STATEMENTS - tontinued
FOR THE YEAR ENDED 5 APRtL Z025
MOVEMENT IN FUNDS - c(bntlnMed
Cornp8ratives for movement tsnds
N¢t
movement
in funds
At
514124
At 614123
Unrestricted funds
General fund
47,475
6.117
53,592
Restricted fllnds
Fencing
7,877
7,877
TOTAL FUF4DS
55.352
6,117
61,469
Comparative net movement in funds. included in the aF%)v¢ are as follows:
Incoming
resource5
Resour¢es
¢xp¢nd¢d
Movement
iTt funds
Unrestricted fund5
Genern] fund
192,638
{186.521)
6,117
TOT AL FUNDS
192.638
1186,521)
6,117
A ¢urrent ye&r 12 Tnonths and prior year 12 months ¢QTnbiTLed position is as follows..
Net
movement
in funds
At
514125
At 614123
Unrestrleted fund5
General fund
47,475
23,311
70,786
Restrleted fund8
Fencing
Flooring
7,877
{2.554}
10.000
5.323
10.000
7.877
7.446
15.323
TOTAL FUNDS
55.352
30,757
86,109
Page 11
continutd...

DOWNSIDE PRE-SCHOOL
NOTES TO THE FINANCIAL STATEM Tr.NTS - eontinued
FOR THE YEAR ENDED 5 APIUL 2025
MOVEMEP4T IIY FUNDS - continued
A current year 12 months and prior year 12 months combined net movernent in funds, included in the above are
as follows..
In¢oming
resources
RtSOUTCeS
¢xpend¢d
Movement
in fund5
Unrestri¢ted fund5
General fund
408.627
1383,3161
23,311
Restricted fund$
Fen¢ing
Flooring
12,5541
{2.554)
10.000
10.000
10,000
(2.554}
7,446
TOTAL FUNDS
418.627
1387,870)
30.757
RELATED PARTY DISCLOSURES
During the year the charity'5 treasurer, Mrs C Washington,,was paid a total of £3,917 12024: £2.0081 for her
administration services and reimbursed £550 12023.. £1,258) for travelling and a¢¢ommod*ion Charges to
perfomi this ￿t)CtIon.
She rec¢ives no payment nor is paid an enhanced rate due to her position &s a trustee.
Page 12

DOWNSIDE PRE-SCHOOL
DETAILED STATEMEf4T OF FINANCIAL ACTIVITIES
FOR THE VEAR ENDED 5 APRIL 2025
2025
2024
INCOME AND ENDOWMENTS
DonitlOll5 and legatie5
Donations
Grants
Fees
200
167,341
24,640
210.875
225,420
192,181
Inve$tment income
Deposlt account int¢Test
569
457
Total lll¢oming re50urct5
225,989
192,638
EXPETr<DITURE
ChArit8ble aetivities
Wages
Social se¢urity
Pensions
Edllcational Re5011Tce
Classroom refreshments
Ofsted ftts
Staff training
Staff uniforn)
DBS checks
Staff welfare
stsff supply cover
150,443
8,589
2,77S
4,493
1,537
35
185
241
333
310
4.661
147,197
4,592
2,112
3,546
1,532
35
400
322
124
517
173.603
160.377
Support costs
Mgngg¢m¢nt
PreEni5¢s costs
oirice costs
Administration expenses
CoTnTnunicatiOTLS
Maintenance and T¢pairs
Cleaning
Advertising
Travel and subsistence
Li¢en¢es and subscriptions
Early Years Alliance membership
5.445
1,642
4.691
962
3,056
7,198
90
1,028
795
1,585
2,152
3,730
1.494
8,226
6,065
1,258
1.066
1.036
26,492
25.027
This page does not forn part ofthe statutory finan¢ial statem¢nts
Page 13

DOWNSIDE PRE-SCHOOL
DETAILED STATF.M ENT OF FINAl¥iCIAL ACTIVITIES
FOR THE YEAR ETrqDED S APRIL 202S
2025
2024
ManageMe￿t
Finance
Bank charges
114
97
Governanet e05t5
Accountancy
1.140
1,020
Total resourc¢s expended
201 J49
186,521
Net Income
24,6411
6,117
This page d0¢5 not fonn part of the statutory financial statements
Page 14