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2024-03-31-accounts

Cadwgan Playgroup Charity Report

This is the report for the year ending March 31st 2024

The trustees present their annual report and audited accounts for the year ended 31[st] March 2024 and confirm they comply with the requirements of the Charities Act 2011, the trust deed and the Charities SORP (FRS 102).

OUR AIMS & OBJECTIVES

• We strongly believe in giving every child the best possible start in life and as a result have decided to become part of a national accredited Welsh Government scheme – the ‘Healthy and Sustainable Pre-School Scheme’.

• We aim to support children to recognise the importance of healthy living as we acknowledge that what happens in the early years of life has lifelong effects on many aspects of health and wellbeing.

• We aim to ensure that all children have the opportunity to benefit from stimulating challenges and the right to play freely, exploring and investigating both indoors and out.

• We seek to ensure that children in our care remain healthy, safe and develop to their full potential

• All staff are expected to uphold and promote the fundamental principles of British values, including democracy, the rule of law, individual liberty and mutual respect and tolerance of those with different faiths and beliefs.

Numbers, ages and sex of children for whom care is to be provided

The playgroup’s aim is to provide a quality childcare provision for children aged 2 years to 4 years in the village of Old Colwyn. We seek to provide a safe and nurturing environment that develops the children’s learning, through play and investigation.

REVIEW OF ACTIVITIES AND ACHIEVEMENTS

We continue to see good numbers of children attending the setting, with most children making good progress in their development whilst attending. We continue to have a high need for support staff due to the number of children needing extra support attending the group. Some of our children are funded under education grants, 30 hr and Flying Start grant funding. We continue to deliver through In the Moment planning and are working towards introducing the New Curriculum for Wales over the next 18 months.

We continue to be registered with CIW as a full day care setting although our aim is still only to provide full day care for emergencies primarily this leaving us able to serve the community with more spaces for sessional care.

We are a registered CIO with Charity Commission.

Environmental Changes

We have had new fencing to the outside area, and repairs to the side of the building. We have been fortunate in securing a grant for our new playhouse, picnic table and benches and a further mud kitchen to enhance our outdoor area. Planting area has been cut back and will be planted in the spring

FUTURE PLANS

We are hoping to continue to gain grants to further improve the setting as it is continually in need of upkeep – long term would be beneficial to have a brick building as opposed to a portacabin.

FINANCIAL STATEMENT

The financial statement shows an income of £112.169.40 with most of the income coming from government funding streams. Our expenditure for the year is £87124.21 with the vast majority going on our best resource that of staffing costs and building repairs.

TRUSTEES

Sheila Chapman Mandy Jones Miley

Rebecca Edwards

Registered Charity Number :1196827

Cadwgan Playgroup April 2023 to March 2024 April May
Income
balance carried forward 42455.8 46,644.55
3 yr funding 35 2362
Flying Start funding 11380 435
fees 497.8 913.45
30hr 2800 1295
fundraising
training support
referral 200
interest
grants 175
sale of resources
57343.6 51,850.00
Expenditure
Wages 4672.64 5187.62
Tax & NI
Rent
Gas 154
resources 621.76 963.5
snack / parties 26.95 114.28
membership
Insurance 687.7
building 4685
REFUND
Bank charges 5 5
10699.05 6424.4

June July August SeptemberOctober November December January

45425.6 40954.18 39243.57 35591.14 32815.41 31469.8 32770.2 27028.63
720 175 4250
2842 935 3944 4654 3407.5
965.75 963.3 620.1 844.5 1014.9 996.5 635 723.2
262.5 2765 1312.5 575.5 1470 1365 1820 1365
348 135
800 480 160 240 400
50215.85 45657.48 42591.17 40955.14 35808.31 38725.3 40010.2 32524.33
6075.21 5420.62 5759.61 5578.16 3915.27 5350.53 10348.47
1891.88 2075.39 1937.2
77.9
427.89 254.3 753.96 453.18 418.24 627.9 784
100 171 481.46 28 75.57 63 160
35
726.69 562.99 524
5 5 5 5 5 5 5 5.4
9261.67 6413.91 7000.03 8139.73 4338.51 5955.1 12981.57 1027.3

February March c/f

31497.03 27818.21 25045.19

31497.03 27818.21 25045.19
7542
2900 1050 31547.5
944.1 601.1 9719.7
1207.4 1592.5 17830.4
483
2280
175
136 136
36548.53 31197.81 69713.6
5276.31 4891.58 62476.02
2722.6 8627.07
77.9 309.8
361.53 999.99 6666.25
286.98 256.05 1763.29
35
687.7
6498.68
5 5 60.4
8730.32 6152.62 87124.21

ClldwRiin PIIiyhllillll)-,Siiili)Iii¥iiil i)1 Anr4iiiiiiln-Aiiill 2U2,'11i) Mnriili I,l)IA T(Iliil xi)(Jii(Jlliiifi WiiV,(10 l(Jlll( OJJ /(>,02 IIiL(1111(I Bnlniicb cnrrlod lorwnrd 3 r fLlfl(liii Fl iiig Stort fuiidiiig Fees 30hr funding Fundraising Trainin su Grants Sale of resources Referral support funding Interest Total income Carried Forward 8f)2.7,07 7542.00 31 Jf47.50 9719.70 17830.40 483.00 Tilx & Nl ri(J i-lt GFJ8 Rosourco8 Snack Membershlp Insurance Training Building 309.80 J666.25 1763.29 35.00 687.70 ort 175.00 136.00 2280.00 6498.68 Bank Charges Total Expenditure 60.40 87124.21 112.169.40 25045.19 I certify I have audited Cadwgan Playgroup full accounts and certify them as correct Above is the financial breakdown Signed Date 01 Print Name Address