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2023-08-31-accounts

LITTLE SUNBEAMS PLAYGROUP TRU5fEE'SANNUAL REPORT FOR YEAR ENDING 3110812023 Little Sunbeams Pl￿grOUp is a Charitable Incorporated Organisation that has been registered Sin￿ 1810212021. Our registered charity number is I1935￿. Our address is: The Old school- The Scout Hèll The Highwav New Inn Pontypool Torfaen NP4 OPH The Trustee's for the year we￿. Trustee I/Chair- Claire Lever Trustee 2-Sarah Dicken Trustee 3- Lorraine Oli*r Trustee 4- Natalie Howard The object of our CIO is to enhan￿ the development and education of chlldren in Wales by providing a hlgh quallty Childca￿ provision and for the benefit of the public by encouraging parents to understand and provide for their children's needs by: Offering high quality preschool play-based leamin& ensuring that the group offers opportunitses for all children. pa￿nts. and cl￿r5 regardle55 of race. culture, religion, and ability. Ensuring the group is registered with all relevant bodies indudin8 Care Inspectorate ivales and Earty Years Wales. Ensurlng all stsff a￿ adequately trained for their roles and have undertaken an enhan￿d DBS check to ensure the safe8uarding and well-being a￿ always a priority. Sharing all relevant information and course opportunities with parentslcarers so they are able to access any support that they rnay need. For the Charities Accounts please see pages 2-5. I can confirni that this report has been approNEd by all tn￿ee. Sl8ned on behalf of the Charitses Tfustee'5 by: Full Name Signature Position Date 24 ?0214

Litle Sunbeams Finan ces 202 2-2023 Notes
Summary Sept Oct Nov Dec Jan Feb Mar Apr May Jun Jul Aug Total
Openingbalance 3180.82 3580.40 3277.72 3517.18 1260.96 2576.15 2317.39 2828.95 1532.94 3885.13 4322.27 4129.08 3180.82
Total income 3884.00 3974.00 3687.00 2377.38 4160.00 3508.50 6168.40 2345.50 6612.12 5731.12 4744.50 1654.63 48847.15
Total expenses 3484.42 4276.68 3447.54 4633.60 2844.81 3767.26 5656.84 3641.51 4259.93 5293.98 4937.69 3726.16 49970.42
Net cash fow 399.58 -302.68 239.46 -2256.22 1315.19 -258.76 511.56 -1296.01 2352.19 437.14 -193.19 -2071.53 -1123.27
Endingbalance 3580.40 3277.72 3517.18 1260.96 2576.15 2317.39 2828.95 1532.94 3885.13 4322.27 4129.08 2057.55 2057.55
Income
Fees 1649 2211.5 1607 1184 1982.5 1076 1753 933 1889 1898 1892 1654.63 19729.63
Registraton 80 20 100
Sponsorship 3.38 1372.9 1376.28 phone bill refund changed to 3/funding
Cashpaid in 100 100 transferred from rent account
Cheques paid in
0
Childcare Ofer 2155 1762.5 2080 1190 2077.5 2412.5 3042.5 1412.5 4723.12 3833.12 2852.5 27541.24
Expenses
Wages 2811.3 2962.64 2605.36 3845.64 2191.25 3132.72 3530.28 2985.09 3390.84 4486.77 4035.98 2913.25 38891.12
Rent 500 400 400 500 400 400 500 400 400 500 400 500 5300
Snack Items 0
HMRC and NEST 153.43 265.03 159.99 279.56 216.6 226.14 224.12 248.02 434.69 298.81 406.74 290.31 3203.44
Sage 8.4 8.4 8.4 8.4 8.4 8.4 8.4 8.4 8.4 8.4 9.6 9.6 103.2
Admin 90 262.5 352.5 fre safetytraining/cco overpayment
Insurance 0
New Equipment 539.32 1368.04 59.37 1966.73 amazon&smyths/TTS&
munchkin&bear/temu
Phone bill EE/3 11.29 11.29 11.29 28.56 26 26 26 13 153.43
Ucheck 0
Litle Sunbeams C ASH Finan ces 20 22-2 023 Notes
Year's
Summary Sept Oct Nov Dec Jan Feb Mar Apr May Jun Jul Aug Total
Openingbalance 179.72 219.14 357.44 240.92 188.56 180 135.62 307.24 209.45 228.92 312.73 214.61 179.72
Total income 270 236 100 200 60 80 290 0 70 140 135 0 1581
Total expenses 230.58 97.7 216.52 252.36 68.56 124.38 118.38 97.79 50.53 56.19 233.12 96.26 1642.37
Net cash fow 39.42 138.3 -116.5 -52.36 -8.56 -44.38 171.62 -97.79 19.47 83.81 -98.12 -96.26 -61.37
Endingbalance 219.14 357.44 240.92 188.56 180 135.62 307.24 209.45 228.92 312.73 214.61 118.35 118.35
Income
Fees 230 200 100 125 40 70 50 50 140 135 1140
Registraton 40 10 20 10 20 100
Sponsorship 75 240 315 xmas rafe/easter hunt
cash 26 26 from sarah and beckyfor caterpillar toys
0
0
Expenses
Wages 0
craf items 0
Snack Items 50.45 59.71 62.14 27.11 46.15 48.92 42.77 25.78 20.54 35.2 25.35 444.12
New Equipment 60.64 28 132.6 20 39.98 15.99 20 6 34.77 357.98 new toys/new tv/books for xmas
gifs/puzzles/new laminator and sheets
Admin 85.5 150 12.42 25.49 24.63 36.02 5 170 51.5 560.56 staf uniforms badged/nappy sacks, wet wipes
etc/new brackets for crocodile/new
keys/hook/bateries/paper/returned
fees/acrylic paint/registers/accident
book/partyentertainerx2 Dec&Jul
Money paid into bank 0
easter eggs/partyfood 21.78 28.28 25 17.8 92.86 selecton boxes/partyfood/easter eggs
partybags 6.99 9.98 16.97 cupcakes
HP instant ink 9.99 9.99 19.98 9.99 9.99 9.99 9.99 9.99 9.99 9.99 9.99 119.88
staf training 24 26 50 fre safety/ipc/dbs
Litle Sunbeams S AVIN GS AC COU NT Fi nance s 202 2-202 3 Notes
Summary Sept Oct Nov Dec Jan Feb Mar Apr May Jun Jul Aug Total
Opening balance 880.54 1381 1781 1401 1221 1521 1271 685.64 1086 785.64 1286 810.64 880.54
Total income 500 400 400 500 400 400 500 400 400 500 400 500 5300
Total expenses
0 0 780 680 100 650 1084.9 0 700 0 875 0 4869.9
Net cash fow 500 400 -380 -180 300 -250 -584.9 400 -300 500 -475 500 430.1
Ending balance 1381 1781 1401 1221 1521 1271 685.64 1086 785.64 1286 810.64 1310.64 1310.64
Income
money transferred in 500 400 400 500 400 400 500 400 400 500 400 500 5300
Sponsorship 0
Cheques paid in 0
Cash paid in 0
0
0
Expenses
0
Rent 780 680 650 600 700 875 4285
New Equipment 0
Insurance 484.9 484.9
paid into main account 100 100
0

Little Sunbeams Playgroup Consolidated Finances 2022-2023

Summary Sept Oct Nov Dec Jan Feb Mar Apr May Jun Jul Aug ~~Year's~~
Total
Openingbalance 4241.08 5180.08 5415.7 5158.64 2670.06 4276.69 3723.55 3821.83 2828.03 4899.69 5920.64 5154.33 4241.08
Total income 4654.00 4610.00 4187.00 3077.38 4620.00 3988.50 6958.40 2745.50 7082.12 6371.12 5279.50 2154.63 55728.15
Total expenses 3715.00 4374.38 4444.06 5565.96 3013.37 4541.64 6860.12 3739.30 5010.46 5350.17 6045.81 3822.42 56482.69
Net cash fow 939 235.62 -257.06 -2488.58 1606.63 -553.14 98.28 -993.8 2071.66 1020.95 -766.31 -1667.79 -754.54
Endingbalance 5180.08 5415.7 5158.64 2670.06 4276.69 3723.55 3821.83 2828.03 4899.69 5920.64 5154.33 3486.54 3486.54

CHARITY COMMISSION FOR ENGLAND AND WALES Independent examinerfs report on the accounts Section A Independent Examiner's Report Report to the trusteesl members of LITfLE SUNBEAMS PLAYGROUP On accounts for the year ended 31ll)812023 Charity no (rfany) 11935 Set on pages I report to the trustees on my examwiation of the accounts of the above Ghanty (Ihe Trusf) for the year ermled Responsibllltlos and As the canty trustees of the Trust, you are responsibl8 for the preparation bas18 of rnport of Ihe accounts in accordan￿ wth the requirements of the Charities A 2011 (Ihe Ad°}. I report in respect of my examination of the Trust's accounts canied out under seth'on 145 of the 2011 A( and in (xrying out my examination, I have foll0v￿1 the applicable Directions given by the Charity Commission under sethon 145(5)(b) of the A I have completed my examination. I confirm that no material matters have come to my attents'on (other than that disdosed below ") in conneGtion wtth the examinats'on whith gives me cause to believe that in, any material respe&: accounting records were nol kept in ar£ordan￿ ￿th section 130 of the Act or the accounts do not acco￿ wilh the a￿X)Unti￿j records Indapendont examlnerfs statsment I have no con¢ems and have come across no other matters in ¢onne¢tion with the examinatK)n to which attention shoukl be drawn in order to enable a prO￿r understanding of the acownts to be reached. . Please delete the WDrds in the brdckets rf thay do not apply. Signed: 1*161 Name: PHILLIP ADAMS Relevant professional qualificatlon{s) or body {If any): ACCA- FEth)w Address: 110 GOLF ROAD, NEW INN, poTrrrYpooL,TORFAEN. NP4 OLY