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2021-07-31-accounts

Balance Sheet

Potterspury Pre-school As at 31 July 2021

Balance Sheet
Potterspury Pre-school
As at 31 July 2021
Balance Sheet
Potterspury Pre-school
As at 31 July 2021
31 JUL 2021
Fixed Assets
Tangible Assets
Office Equipment
568.79
Total Tangible Assets
568.79
Total Fixed Assets
568.79
Current Assets
Cash at bank and in hand
Petty Cash Account
247.47
PPS Current Account
40,979.92
PS Fundraising Account
1,319.17
Soldo Card 71772058
431.37
Total Cash at bank and in hand
42,977.93
Accounts Receivable
(48.00)
Total Current Assets
42,929.93
Creditors: amounts falling due withinone year
Accounts Payable
479.24
Historical Adjustment
12,298.10
NIC Payable
10,291.35
PAYE Payable
(3,777.84)
Pensions Payable
1,518.97
Rounding
0.01
VAT
(7,242.18)
Wages Payable - Payroll
810.66
Total Creditors: amounts falling due within one year
14,378.31
Net Current Assets (Liabilities)
28,551.62
Total Assets less Current Liabilities
29,120.41
Creditors: amounts falling due after more than one year
Bad Debts
(137.50)
Total Creditors: amounts falling due after more than one year
(137.50)
Net Assets
29,257.91
Capital and Reserves
Current Year Earnings
9,898.66
Retained Earnings
19,359.25
Total Capital and Reserves
29,257.91

Balance Sheet

Potterspury Pre-school

Profit and Loss

Potterspury Pre-school For the year ended 31 July 2021

Profit and Loss
Potterspury Pre-school
For the year ended 31 July 2021
2021
Turnover
EYPP Funding 658.19
Fees 14,598.00
SEND-specific funding 6,091.78
Standard Funding & Grants 56,089.28
Total Turnover 77,437.25
Cost of Sales
Direct Expenses 2,251.33
Total Cost of Sales 2,251.33
Gross Profit 75,185.92
Administrative Costs
Advertising & Marketing 39.99
Bank Fees 50.39
Cleaning 699.40
Consulting 138.00
Employers National Insurance 282.31
Insurance 1,371.57
IT Software and Consumables 576.60
Light, Power, Heating 504.00
Pensions Costs 1,212.54
Postage, Freight & Courier 4.92
Printing & Stationery 191.18
Repairs & Maintenance 531.96
Resources & Equipment 792.82
Salaries 58,461.75
Staff Training 726.35
Subscriptions 225.40
Supermarket Shopping 235.76
Telephone & Internet 525.32
Total Administrative Costs 66,570.26
Operating Profit 8,615.66
Other Income
Fundraising & Donations 1,283.00
Total Other Income 1,283.00
Profit on Ordinary Activities Before Taxation 9,898.66
Profit after Taxation 9,898.66

Profit and Loss Potterspury Pre-school

Report on financial year ending 31[st] July 2021