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2023-07-31-accounts

Member of the Early Years Alliance

Annual Report and Financial Statements 2022 - 2023 Registered Charity Number :1192549

- Lighthall Under Fives Pre School

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Trustees
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Tracey Henshaw (Chair) Susan Worrall

Charnjit Turner Hannah Mason Emily Haycock Hayley Walsh Kelly Jones

Full Address

Layca Community Centre Stretton Road Shirley Solihull West Midlands B90 2RL Tel: 01217445128 Email Address: lighthallunderfves@hotmail.co.uk

Ofsted Registration No: 2624073 Employers Liability Insurers: Royal & Sun Alliance

Bank

Natwest

- Lighthall Under Fives Pre School

Trustee’s Annual Report Year End 31[st] July 2023

Achievements and Performance:

for 3 and 4 year olds. This was not in line with the Consumer Prices index which rose by 6.8% in the 12 months up to July 2023 for Minimum Wage increases which stood at 9.75% for workers age 23 and over affecting all of our Pre-school workforce.

Income and Expenditure Accounts for the year ended 31 July 2023

Income

£

Fees 22,386.74 Funding SMBC 92,238.72 Fundraising 10.60 Total 114,636.06

Less Expenditure

Wages 82,110.60 Rent 8,440.00 ICT equipment& software 59.99

Telephone & Broadband 1,129.89 Toys & equipment 4,593.07 Consumable materials/cleaning 1,507.07 Stationery & postage 799.02 Refreshments 1,331.25 Presents/gifts/party 1,904.14 Membership/insurance 328.52 Trips 198.82 Uniforms 1,232.78 Accounts 762.00 Training 218.39 Leasing 662.92 Other Repairs & renewals 488.00 Printer Defibrillator pads 116.40 Loan interest 606.33 Total 106,489.15 Surplus/(Deficit) for the year 8146.91

Bank b/fwd 238.04 CIO bank account 17,102.89 Cash b/fwd Covid Loan (20,247.07) Add surpless/Less Deficit for the year 8,146.91 Balance as at 31 July 2023 8,146.91 ============= Represented by: Cash 157.39 Bank 258.04 CIO Bank 22842.26 Covid Loan (17,996.21) 5260.77

LIGHTHALL UNDER FIVES Income and Expenditure Account for the year ended 31 July 2023 2023 2022 Income Fees Funding SMBC Fundraising 22,386.74 92,238.72 10.60 27,257.51 74.734.10 114,636.06 101,991.61 Less Expenditure Wages Rent ICT equipment and software Telephone and broadband Toys and equipment Consumable materialslcleaning Stationery and postage Refreshments Presentslglft￿partY Membershiplinsurance Trips and parties Staff unifornis and children's tops Accounts Training Leasing smartboard Other Repairs and renewals Printer Defibrillator pads Loan interest 82,110.60 8,440.00 59.99 ,129.89 4,593.03 1,507.07 799.02 .331.25 1,904.14 328.52 198.82 ,232.78 762.00 218.39 662.92 78,250.89 8.420.00 99.99 1.258.19 2,117.61 980.81 537.80 1,279.66 2,230.01 ,217.13 476.45 1.116.00 330.00 82.32 801.95 109.99 277.50 189.99 488.00 116.40 606.33 579.63 106.489.15 100,355.92 Surplusl(Deficit) for the year 8,146.91 1,635.69 Bank blfwd CIO bank account Cash blfwd Covid loan Add SurpluslLess Deficit for the year 258.04 17,102.89 1,628.43 16,399.98 {26.32) (22,523.92) 1.635.69 (20,247.07) 8.146.91 Balance as at 31 Juty 2023 5360.77 (2.886.14) Represented by: Cash Bank CIO bank account Covid loan 157.39 258.04 22,842.26 (17,996.92) 258.04 17,102.89 {20,247.07) 5360.77 (2,886.14)

LIGHTHALL UNDER FIVES llldepend¢ttt Examiner's Report Income alld Expenditure Account for the yegr ended 31 Juty 2023 Report to the Trnstees l Members of Lightball Under Fives Respective respollsibilities of trustees and examiDer The charity's trustees are responsible for the preparation of the accounts. The charity's trnstees consider that an audit is not required for this year under section 144 of the Charities Act 2011 (the Charilies Act) and that an independent examination is needed. It is my responsibility to= examine the a¢¢ounts under section 145 of the CharitÈ¢s ACL tts follow the procedure% laid down in the general Directions ￿Yell by the Charity Commission (under section 145(5Kb) of the Charities Act. and to state whether particular matters have come io ￿Y att¢ntion. Basis of independent ex2miner's statement My examination was carried out in accordance with general Directions given by the Charity Commission. An examination includes a review of the accounting rttords kept by the charity and a wmparison of the accounts presented with those records. It also includes consideration of any unusual items or dis¢losures in the accounts and seeking explanatkons from the trusiees concerning arty such tnatters. Th¢ procedures undertaken do not provide all the evidence that would be required in an audit, and Consequently no opinion is given &s to whether the a¢¢ounts present a 'tru¢ and fair" view and the re￿rt is limited to those mattels set out in the statement below. Independent examiner's statement In connection with my examinatio￿ no matter h&s come lo my attention which gives me ieasoTtable cause to believe in. any material respecL the requirements: io keep accounting record5 in accordance with section 130 of the Charities Aci- and to prepare accounts which accord with the accounting r¢cords and comply with the accoLmting requirements of the Charities Act hav¢ not been met. or 2. to which, in my opinion. attention should be drawn in order to enable a proper understanding of the accounts to be r¢a¢hed. Signed: Date: 13 May 2024 Wilson Bott Chartered Certified Accoullt2nts

LIGHTHALL UNDER FIVES Income and Expenditure Account for the year ended 31 July 2023 2023 2022 Income Fees Funding SMBC Fundraising 22,386.74 92,238.72 10.60 27,257.51 74.734.10 114,636.06 101,991.61 Less Expenditure Wages Rent ICT equipment and software Telephone and broadband Toys and equipment Consumable materialslcleaning Stationery and postage Refreshments Presentslglft￿partY Membershiplinsurance Trips and parties Staff unifornis and children's tops Accounts Training Leasing smartboard Other Repairs and renewals Printer Defibrillator pads Loan interest 82,110.60 8,440.00 59.99 ,129.89 4,593.03 1,507.07 799.02 .331.25 1,904.14 328.52 198.82 ,232.78 762.00 218.39 662.92 78,250.89 8.420.00 99.99 1.258.19 2,117.61 980.81 537.80 1,279.66 2,230.01 ,217.13 476.45 1.116.00 330.00 82.32 801.95 109.99 277.50 189.99 488.00 116.40 606.33 579.63 106.489.15 100,355.92 Surplusl(Deficit) for the year 8,146.91 1,635.69 Bank blfwd CIO bank account Cash blfwd Covid loan Add SurpluslLess Deficit for the year 258.04 17,102.89 1,628.43 16,399.98 {26.32) (22,523.92) 1.635.69 (20,247.07) 8.146.91 Balance as at 31 Juty 2023 5360.77 (2.886.14) Represented by: Cash Bank CIO bank account Covid loan 157.39 258.04 22,842.26 (17,996.92) 258.04 17,102.89 {20,247.07) 5360.77 (2,886.14)

LIGHTHALL UNDER FIVES llldepend¢ttt Examiner's Report Income alld Expenditure Account for the yegr ended 31 Juty 2023 Report to the Trnstees l Members of Lightball Under Fives Respective respollsibilities of trustees and examiDer The charity's trustees are responsible for the preparation of the accounts. The charity's trnstees consider that an audit is not required for this year under section 144 of the Charities Act 2011 (the Charilies Act) and that an independent examination is needed. It is my responsibility to= examine the a¢¢ounts under section 145 of the CharitÈ¢s ACL tts follow the procedure% laid down in the general Directions ￿Yell by the Charity Commission (under section 145(5Kb) of the Charities Act. and to state whether particular matters have come io ￿Y att¢ntion. Basis of independent ex2miner's statement My examination was carried out in accordance with general Directions given by the Charity Commission. An examination includes a review of the accounting rttords kept by the charity and a wmparison of the accounts presented with those records. It also includes consideration of any unusual items or dis¢losures in the accounts and seeking explanatkons from the trusiees concerning arty such tnatters. Th¢ procedures undertaken do not provide all the evidence that would be required in an audit, and Consequently no opinion is given &s to whether the a¢¢ounts present a 'tru¢ and fair" view and the re￿rt is limited to those mattels set out in the statement below. Independent examiner's statement In connection with my examinatio￿ no matter h&s come lo my attention which gives me ieasoTtable cause to believe in. any material respecL the requirements: io keep accounting record5 in accordance with section 130 of the Charities Aci- and to prepare accounts which accord with the accounting r¢cords and comply with the accoLmting requirements of the Charities Act hav¢ not been met. or 2. to which, in my opinion. attention should be drawn in order to enable a proper understanding of the accounts to be r¢a¢hed. Signed: Date: 13 May 2024 Wilson Bott Chartered Certified Accoullt2nts