## **PFTA TREASURERS REPORT 01/09/2022 – 31/8/2023** 

Once again we have had a fantastic year of fundraising, I have added a sheet with all the various amounts raised but special mention needs to be given to Becky Gravenell (PFTA Chair) who completed a wing walk, this raised over £4000 (not yet received), which is a fantastic amount, Madeline Chaney who held two fund raising evenings with the total raised over the two nights being £2715, Leighanne and Harvey Stoneham raised £2072 for the Halloween display and Candise Higgins who has taken over running our usual events, the Christmas and Summer Fairs, which were brilliantly run and raised over the two dates a total pf £5720.49, considering these were held during the height of the cost of living crisis I think this was a magnificent effort. I would like to put on record our thanks to all the staff who give up their valuable time to allow these events to happen. 

The total income for the year raised by the committee events was an amazing £14464.17, this has smashed the target of £12000 which was set this time last year, so well done to all who have made this possible. When this is added to other income from donations and uniform sales the total income for the year was £21157.01. 

We continue to help the school financially each year, supplying water to the staff room, pupil Christmas presents and we are still to contribute 50% to the school planners (Contribution £396.15) and 50% of the lease of a minibus (Contribution £3228.00). The planner purchase and the minibus lease are still to be paid. 

Our overall current position is very healthy, with income exceeding expenditure this year, at this point we have increased the money held in the bank by approximately £13500.00, however there are still a few smaller bills to pay from August and also the planner and minibus contributions, once these are taken into account I estimate that we will have increase the bank balance by approximately £10,000.00 which should show us holding in the region of £24,000.00. 

This is a large amount of money but I need to urge some caution in terms of expenditure, the last year included over £2000 from Harvey Stoneham’s Halloween display, £2715 from Madeline Chaney’s themed nights and she is now off travelling this year and over £4000 from Becky’s wing walk, without this income the balance in the bank would have only marginally increased. 

I would remind everyone of the standing expenses each year which total in the region of £4,750 (Planners, Water, Minibus and Presents), however we are in a position to contribute and fund projects which is wonderful. 

It should also be noted that we have had playground donations going in and out of the account, we had a charity fundraiser aiming for around £80,000 in 



donations most of which was in the previous years accounts (£68,000.00) but a further £19,500.00 has come this year and has been paid out to the school. 

Income by items – with expense taken out where applicable. 

|What|How Much|
|---|---|
|ChristmasFair|£3600.94(£6104.38-£2503.44)|
|AbbaNight|£1227.00|
|Rafes|£1531.04 (1571.04-£40 (paypal<br>error))|
|100 Club|£15.79|
|ElvisNight|£1488.00|
|Summer Fair|£2119.55 (£5371.93-£3252.38)|
|SecretsRoom|£461.85|
|Becky’sWingWalk|£4020.00– Notyet received|
|Total RaisedtoDate|£14464.17|



## Donations 

|Donations||
|---|---|
|EasyFundraising|£97.46|
|TK MaxxandHomesenseFoundation|£500.00|
|M&SFundingforSensory Quad|£1000.00|
|Receipt for Well-BeingDog|£250.00|
|Maidstone Utd Collection|£215.00|
|PayPalGivingFund|£2037.38|
|PayPalGivingFund|£47.50|
|PayPalGivingFund|£211.86|
|PayPalGivingFund|£2285.10|
|PayPalGivingFund|£7.50|
|Donation for PhotoCopying|£20.00|
|Totaldonations|£6671.80|



## Other Income 

|Other Income||
|---|---|
|SweatShirtSales|£356.51|
|Book Bags/PE Bags|£7.14|
|PE T-Shirts|£76.60|
|TotalCostsforpurchasing|£418.85|
|Totalother income|£21.04|



Total Income generated for 2022-2023 - £21157.01 



Charity Name.. ASSOCIATION OF PARENTS AND FRIENDS OF BOWER GROVE SCHOOL
Chari
_ Number.. 258057
PFTA ANNUAL STATEMENT OF ACCOUNTS
FOR THE PERIOD 1st SEPTEMBER 2022- 31st AUGUST 2023
Definitlon
In¢ome
P Cash Expenditure
School Uniform
SweatshirtslPE To
BooklPE Bags
433.11
7.14
418.85
0.00
ActivitieslFundraising Events
Summer Fete 2022
Sports Day Raffle
Raffles
100 Club
Secrets Room
Penny Pot Challen
Non Uniform Da
500 Miles
Xmas Fair 2021
M Chaney Frundraising
Playground Donations In
5371.93
214.00
1357.04
15.791
461.85,
0.00
0.00,
0.00
6104.38
2715 00
19150.00
3252.38
0.00
0.00
0.00
0.00
0.00
0.00
0.00
2503.44
Purchasgs for SchoollPupils
Pupil Christrnas Gifts
Therapy Do
School Minibus Lease1500A af cost
School Planners150Yo of Cost
226.44
0.00
0.00
0.00
Administration
stamps
0.00
Miscellaneous
Vvater For Vvork
PTA+ Ma
azine Subscription
Parentkind Annual Membership
GoFundMe
Misc Donations
Petty Cash
Easxfundraisin
M&S Donation
ini Bus Contribution I
Raffle Refund
Pla
round Donations Out
667.38
140.00
0.00
6574.34
744.79
122.24
1000.00
5000.00
40.00
19150.00
Totals for 202212023
42526.82
744.79
32398.49
700.00
33098.49,
Expenditure over income
Totals
9383.54
s(qlZJ

PFTA ANNUAL STATEMENT OF ACCOUNTS
FOR THE PERIOD 1st SEPTEMBER 2022- 31st AUGUST 2023
Balance Sheet
Current Assets
Cash in Hand
Cash at Bank
83.01
28472.65
28555.66
ReJ)resented b
Balan¢e bfvd
Add Income 22123
19044.32
42526.82
61571.14
Less Ex enditure 22123
33098.49
28472.65
Bank Reconciliation
Current Ajc
Less Un
resented Expenditure
Plus Unpresenled Income
28472.65
0.00
28472.65
Petty Cash
28555.66
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PErrY CASH RECEIPTS 2022 - 2023
Date
Recelpt
Des¢ription
14 Prizes for Halloween Hamper
15 RafflelTombola items for Xmas Fair
16 Chocolate items for Xmas Fair
17 Doughnuts
18 Selection boxes for Xmas Fair
19 Xmas Self Inking Stamps
20 Items for Xmas Fair
21 Milk Tray Thank you's
22 Instant Prize Sweets
23 Xmas gifts for Pupils
24 Iterns for Xma5 Fair
25 Condiments for chips
26 Aldi - Cakes for Xmas Fair
27 Morrisons - Ingredien15 for Xmas Fair
28 Peg for Money Tree
29 Ingredients for Sausage Rolls- Xmas Fair
30 Hol Dog Buns for Xma5 Fair
31 Iceland - Fruit Shoots- Xmas Fair
32 Penguins Xmas Gifts
33 Badgers Xmas Gifts
34 Falcon5 Xmas Gifts
35 Stampers for Summer Fair
36 Thank you cards and gifts
37 Toy Foam Plane for Summer Fair Stsll
38 Flying Gliders for Summer Fair
39 Instant Prlle sweets for Summer Fair
40 Funky Hair Do Summer Fair Stall Expenses
41 Sainsburys Items for Summer Fair
42 Storage box for Money Aprons
43 Items for Summer Fair Hampers
Amount
14.12
32.60
7.77
1.10
22.25
8.60
84.81
40.00
19.71
27.97
4.31
11.75
3.38
7.18
3.00
25.05
5.49
8.00
60.00
60.00
54.00
8.90
45.30
2.49
18.28
13.50
26.19
69.90
6.00
53.14
45
47
48
49
50
51
52
744.79
Balance blf 21122 Dale
Cash Drawn
2211112022
Cash Drawn
0811212022
Cash Drawn
0810612023
74.66
250.00
250.00
200.00
774.66
Less Expenses
744 79
29.87

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## **Independent examiner's report on the accounts** 

**Section A                        Independent Examiner’s Report** 

|**Report to the trustees**<br>**On accounts for the year**<br>**ended**<br>**Set out on pages**<br>**Responsibilities and**<br>**basis of report**|**ASSOCIATION OF PARENTS AND FRIENDS OF BOWER**<br>**GROVE SCHOOL**|**ASSOCIATION OF PARENTS AND FRIENDS OF BOWER**<br>**GROVE SCHOOL**|**ASSOCIATION OF PARENTS AND FRIENDS OF BOWER**<br>**GROVE SCHOOL**|
|---|---|---|---|
|||||
||31 August 2023|**Charity no**<br>**(if any)**|258057|
|||||
||1, 2|||
||I report to the trustees on my examination of the accounts of the above<br>charity (“the Trust”) for the year ended**31/08/2023**.<br>As the charity's trustees, you are responsible for the preparation of the<br>accounts in accordance with the requirements of the Charities Act 2011<br>(“the Act”).<br>I report in respect of my examination of  theTrust’saccounts carried out<br>under section 145 of the 2011 Act and in carrying out my examination, I<br>have followed all the applicable Directions given by the Charity Commission<br>under section 145(5)(b) of the Act.|||



- **Independent** I have completed my examination.  I confirm that no material matters have 

- **examiner's statement** come to my attention in connection with the examination which gives me cause to believe that in, any material respect: 

   - the accounting records were not kept in accordance with section 130 of the Charities Act; or 

   - the accounts did not accord with the accounting records; or 

   - the accounts did not comply with the applicable requirements concerning the form and content of accounts set out in the Charities (Accounts and Reports) Regulations 2008 other than any requirement that the accounts give a ‘true and fair’ view which is not a matter considered as part of an independent examination. 

I have no concerns and have come across no other matters in connection with the examination to which attention should be drawn in this report in order to enable a proper understanding of the accounts to be reached. 

|**Signed:**<br>**Name:**<br>**Relevant professional**<br>**qualification(s) or body**<br>**(if any):**<br>**Address:**<br>|**Date:**||
|---|---|---|
|||02/12/2023|
||||
||Louis Ingamells||
||||
||BSc Economics with Business<br>MSc International Business||
||||
||67 Elm Street||
||Roath, Cardiff||



**Oct 2018** 

1 

**IER** 



CF243QS 

## **Section B                           Disclosure** 

Only complete if the examiner needs to highlight material matters of concern (see CC32, Independent examination of charity accounts: directions and guidance for examiners). 

**Give here brief details of** N/A **any items that the examiner wishes to disclose** . 

**Oct 2018** 

2 

**IER** 

