Park Lane Nurse
Trustee Annual Re ort
For the
ear endin
31. Au
ust 2024
Park Lane Nurse
Charitable Incor
orated Or
anisation
Re
istered Charit No: 1200130
Accounts for
ear ended
ust 2024

Park Lane Nurse
Trustee Annual Re
ort
For the
ear endin
31" Au
ust 2024
The trustees present their report and independently examined financial statements for the year
ending 31st August 2024.
Reference and Administrative details
Registered Name:
Park Lane Nursery
Charity No:
1200130
Operational Address:
Park Lane Nursery
Park Lane
Peterborough
PEI 5JW
Trustees at date of Report:
Carl Riley
Chavard Zhevel
Ahmed Elsheikh
Christine Kurys
Lynn HaNev
Banker5
Barclays Bank
Independent Examiner:
Mark Bedford
11 Belton Road
Stanground
Peterborough
PE2 8UU

Park Lane Nurse
Trustee Annual Re
ort
For the
ear endin
31" Au
ust 2024
Structure, Governance and Management:
Park Lane Nursery became Charitable Incorporated Organi5ation ICIOI, re8lStration number 12CKJ130
on 19, August 2022. The Charity governed by the model Early Years Alliance Constitution for CIO
and managed by the trustees who have the power to appoint the charitys trustees.
Objects and Artivities:
The aims of the Nursery are to enhance the development and education of children primarily under
statlttory school age by encouraging parents to understand and provide for the needs of their
children through community groups and by..
l. Offering appropriate play, education and care facilities, family learning and extended hours
groups, tO8ether with the right of parents to take responsibility for and to become involved in the
activities of stjch groups, ensuring that such groups offer opportunities for all children whatever
their race, culture, religion, means or ability-
2. Encouraging the study of the needs o* such children and their families and promoting public
interest in and recognition of such needs in the local areas,.
3. Instigating and adhering to the Statutory Framework for the Early Years Foundation Stage
Public Benefft:
The trustee and staff carefully consider the Commission's guidance on public benefit when setting
objectives and planning activities. All families with the local community are encouraged to use our
services. Fees remain affordable to all by linking this to the fundin8 rates set by the government. All
children are eligible to Nursery Education Fundin8, provided by the Local authority for children the
term èfter they turn three and for two year-old children who are eligible.
Achievements and Perforniance:
Overview
The nursery is open Monday to Friday term time 8.30am to 3pm and offers sessions of 8.30am-
11.30am, 9am - 3pm and 12pm to 3pm. We provide all new children with a free polo shirt and
sweatshirt when they first start and parents are able to buy extra from us at a small cost.
Families have the opportunity to take part in our PlaY/Stay and Raising Early Years Achievement in
Literacy IREALI which takes place every term over a three week period, families are invited to join
their children to read and take part in our activities based around our chosen core story book.
Parent5 who attend all three sessions receive a free book for their child. Children take part every half
term in TASTE Education to experience different types fruit and vegetables using all of their five
senses.
Parents of children going to school attended "Getting ready for school" programme over 3 weeks
taking part in activities and taking home resources to support their children's learning during the
summer holidays.

Park Lane Nurse
Trustee Annual Re
ort
For the
ear endin
31. Au
ust 2024
Fundraising
Children in Need, Morocco and Libya children's appeal, Chri5tma5 Jumper save the children and
UNICEF. Total fundraising £522.50
Financial review
As a small charity the statutory reports were previously Receipts and Payments but this year the
accounts were over the £250,000.00 threshold, so Accrual Accounting for thi5 year have been used.
This shows that the income is under however due to the £45,000.(XJ received in August 2024 which
relates to the Autumn term 24-25 brings us back to over. Incoming resources 31" August 2024
£221.468 and resources expended £229,629.00.
The Nursery main bank account closing balance is E138,003.90 and £39,697.52 in the nursery
deposit account for our re5etves. Total cash funds £177,701.42 closing balance 31" August 2024.
Reserve policy
Reserves are a contingency fund for PILON, redundancies, emergencies and are in separate deposit
account with Barclays Bank.
Premises
The nursery is invoiced service charges each term from St Thomas More Catholic Primary School the
summer term 2023 invoice £3,863.30 was not received until 14, November 2023 which increased
service charges. É13,503.99 for 2023 to 2024 Plus £3,863.30 total £17,367.29.
Rental of the building from The East Anglia Roman Catholic Diocese for the 38 weeks was
£10.500.00.

INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES OF
PARK LANE NURSERY {Registered Charity No. 1200130)
I report on the financial ststemgnts of Park Lane Nursery for the year ended 31st August 2024.
Respectivg r8sponsibiliti8s of trustèes #nd examinor
The charity'5 trustees considar that an audrt is not required for this year under
section 144 of the Charities Act 2011 Ilhe 2011 Act} and that an independent
examination is needed. 11 is my responsibility to..
examine the acctsunt$ under section 145 of the 2011 Act,
lo follow the procedures laid down in the general Direction5 given by the Charity Commission
{under section 14515llb) of the 2011 Act, and
lo stsle whether particular matters have ￿rne lo my attention.
Basis of Indépènd¢nt examinees statement
My examination was carried out in accordance wth gengral Diro¢tions given by th¥ Charity
Commission. An examination includes a review of the accounting records kept by the charity and
a cornparison of the account5 presented with those records. It also includes Consideration of any
nu5ual items or disc105ures in the accounts, and seeking explanations from the truste&s
conceming any such matters. The procedures undertaken do not provide all the evidence that
would be required in an audit, and consequently I do not express an audit opinion on the accounts.
Indopgndgnt èxamlno￿$ statomènt
In connection with my examination, no matter has come to my attention..
which gives me reasonable cause lo believe that in, any material respe¢t, th¢ Trustees have not mel
the requirements to ensure that..
lal
Ibl
Proper 8c¢ounling rè¢ords a￿ k&pt lin ac¢ordan¢e wth section 130 of the 2011 A¢tl.' and
Accounts are prepared which agree wlh the accounting records and comply with the
accounting requirements of the 2011 Act., and
2. to which. in my opinion. attention should be drawn in order to enable a proper understanding
of the accounts to be reached.
11 BeKon Road
Park Farm
Slanground
Peterborough
PE2 8UU
Mark Bedford
AAT - M.J.B. Finan¢i¥l S¢nri¢es
Independent Examiner

Park Lano Nurse
tement of Finan
ial Activitle5
Unrestricted
Funds
2024
Restricted
Funds
2024
TOTAL
FUNDS
31-Aug-24
Prlor Perlgd
Total Funds
31-Aug-23
INCOMING RESOURCES
2 DOn£t￿n8
3 Charitable a¢tivities
4 Other trading activities
5 Income from Investments
Total income
2.232
217,729
985
522
221,468
2.232
217.729
985
522
221,468
226,179
669
103
227,837
RESOURCES EXPENDED
6 Expenditure on Chaiitable aGlwilie5
Other expendrtura
Total expendltufe
229,629
229,629
158,727
229,629
229,629
168,727
Net Incom8 11oxp8ndlturnl
8,161
8,161
69.110
Transfers betvmen funds
ReconcIlla￿On of lunds
Ba12nf* Brought forward
Balan￿ carried forward
137,954
129,793
137,954
129,793
68,844
137,954

Income S Itt
in
ust 2024
2024
Unrnstrict•d
Fund
2024
2024
Total
2023
Total
Fund
Oonatlons
Donations & grfts
Grants frorn Gov. l other charities
1,232
1,OCKI
2,232
1,232
1.000
2,232
8B6
Charftablè activiti
Nursery Education Funding ILA}
SEN funding
Fees from Parents
Late fees
Other {including HMRC Tax refvnd)
196,951
8,030
5,827
3,921
3,000
217,729
196.951
8,030
5,827
3,921
3,000
217,729
205.148
2,275
3,517
15.241
226,179
other tradin
activitles
Fundraising
Other
985
985
869
Incom• from Inv•stm•nts
Interest
522
522
522
522
103
103
TOTAL INCOME
221,468
221,468
227,837

Park Lane Nurse
nditure 8
lit
Forth Y rEn
1st Au
U8t 2024
2024
Unre8trl¢teil
Fund
2024
R¢$trl¢tsd
Fund
2024
Totsl
2023
Totsl
EXPENDITURE ON CHARITABLE ACTIVITES
Personnel costs Ilnd. Payroll l HR I Penson I PAYEI
Premises costs
Administration (osts
Curriculum rosourc85
Pupil costs
Pupil P￿mIum- Real
Charity Fundraising
Credit G8rd eharges
Depreo8tion
170,443
41,185
12.178
4,541
705
55
523
170.443
41,185
12,178
4.541
705
55
523
134,269
7,596
12,678
3.016
293
32
229,629
229.629
158,727
THER EXPENDIT
Other- Not related to above
TOTAL EXPENDITURE
229,629
229,629
158,727

Park Lano Nurso
CE
HE
Asat31stAu
ust 2024
Total Fund•
31.08.24
Pdor y•ar funds
31.08.23
FIXED ASSETS
FlxbJres. fitbngs & Equlpment
CLSRRENT ASSETS
7 D&biors & Prepayments
8 Ca$h at Bank and In Hand
200
177,701
137,954
177.901
137,954
CURRENT LIABILITIES
9 Cwdltoro & A¢¢No1
48,109
48.109
NET CURRENT ASSETS
129,793
137,904
The Fund8 01 tho C￿rIty..
Unre$tncled fund$
Reslriet8d fund8
Tot•1 Charlty Fund•
129,793
137.954
Th• not•• lomi part el Ih•i• financlal stat•m•nt•
Slgned on tyeh8lf of the Tru8ts8•'.
//X</2*
Signatur•
Nar
Dats

Park Lane Nurse
For thè Yèar Endln
31stAu
ust 2024
Unrestrfctsd Funds
Goneral
Balancg BIFwd
137.954
This year8 un-re8trlcted recelpts
221.488
Thi¥ years un-restrictèd paymènts
229.629
Tran$fgr befv￿en funds
129 793
Balance 8IFwd
Thls ￿ar$ restricted receipt8
Thi8 year# r8&lrictsd paym&nl8
Tranyfer beN¥eon funds
Unreglricted
Restricted
129,793

Park Lane Nursery
Notes to the Accounts
for the year Ended 31 August 2024
1 ACCOUNTING POLICIES
A¢¢ounting
The a¢counts were pr8pared under the Charfli•s Act 2011.
The accounts have been prepared in accordance wlh the appllcable acmunling
standards and comply with SORP FRS102.
IncomSng rvJourc•8
All in¢oming resources ara indudgd on th8 Statoment of Financial Activities when the
¢h8rity is lagally antil&d to th8 income and thè 8mount can be quantified with
r&a$¢nabb ac¢ura¢y.
R••ource• axp•nd•d
Expgnditur8 and liabilrties ar• rgwgnS8ed In the period lo which they relate.
Tanglbl• flxod a880ts and d•proGl•tlon
Tangible fixed assets ara stated al ¢o$l le$$ doprgcSatlon. Depreciation 58 provided al
rates calculated to write off the ¢o$l lfj$$ ¥slimat¥d residual value of each asset over
8 ¥xp8¢t•d u8•ful1Sf•, a$ follows.,
Fixturgs, fittings and equipment
.25% p.o. reducing balance
Fund a¢countlng
Unrestricted funds can be u8ed In Aeeordanc• with th• charitable objectives al thfr
di8cration of tha Nursory.
Restricted funds can only be usad for particular restricted purpos•s within the objects
of th8 charity. Restrictions arise when spocifiad by tho donar or whgn funds are raised
for party'cular restricted purpo$¥8.
2 INCOMING RESOURCES FROM DONOR8
2024
2023
UnreBtrlctsd funds:
Donali¢n8
Grant8 ITrainingl
1,232
1,000
2.232

Park Lane Nursery
Notes to the Accounts - continued
for the yèar Ended 31 August 2024
3 CHARITABLE ACTIVITIES
2024
2023
Unrwtrletsd fund8:
Nursery Education Funding ILA)
SEN funding
Fees from Paren18
Lalg fees
Other (including HMRC Tax allowance)
196,951
8,030
6,827
3,921
3,000
205,146
2,275
3,517
15,241
217 729
226.179
HMRC Payroll tax allowance received 48 ￿r abov
In the Autumn lem 2023, £47,759 wa8 recèived on 8 Augusl122-23 8¢countsl vthan th8 accounts
r8 R8C8lPts and payments123.241. In th& Autumn lemi 2024124-251 £45,862.43 was received
on 22 August 2024123.241 but relates to 24-2S finanaal year go this has been postèd as an accrual laecruals attountlngl
and wll b& brought back In next year124-251.
R￿trICt•d fund•:
Othgr
4 TOTAL OTHER TRADING ACTIVITIES
Fundraising lor Charity and Nur8ery £527.50 & £457.55 re8P6Ctively.
Fundralging
Olhor
986
869
669
5 INCOME FROM INVESTMENTS
The Charity has ￿ bank accounts a currant and 8avings.
Bank Intere81
522
522
103
103

Park Lane Nursery
Notes to th8 Accounts - eontlnuèd
for the year Ended 31 August 2024
6 EXPENDITURE ON CHARITABLE ACTIVITES
2024
2023
Personnel costs Ilncl. Payroll l HR I P•nslon I PAYEI
Premises cost5
Administration co$1$
Curriculum resources
Pupil ¢o$t8
Pupil Premium - Real
Charity Fundraising
Cr&dil ¢ard ¢harg08
D@pr8ciation
170.443
41.185
12,178
4.541
705
55
523
134,269
7,596
12,678
3.016
293
32
229 629
158,727
TOTAL OTHER EXPENDITURE
Y DEBTORS
Thorg wo8 8 £200 fee TelalSng lo Juty 2024123.241 th41 was paid In Sapl. 2024.
8 C•sh •t Bank and In hand
Th• Charty operates 8arclays bank accounts Current and Savings.
The ¢urrenl account balance as al 31 August 2024 was £138,003.90.
Tha Savings a¢¢ount balance a$ at 31 August 2024 was £39.697.52
Total Ca8h at Bank £177.701.
9 CREDITORS AND ACCRUALS
A$ per note 3. the Nursery received NEG funding In advance.
The Nursery 8130 received invoices dated In financial year 23-24 (prior 31 Aug 20241
th81 wgre paid in Sept 2024124-251.

Park Lane Nurse
Bank Reconciliation
Bank Balance as at 31 August 2024
177,701
Add Outstanding Deposits..
Less unpresented Cheque{s)
1n.701
Cash Book Balanc• as at 31st Augst 2024
177.701