Trustee Report 2025
As in the previous 2 years, there remains 2 holding trustees, myself Diane Taylor and Patrick Turner.. Since Patrick’s move temporary to India at the beginning of the year, an additional trustee is needed and I am hopeful that a third trustee has been found. The role of holding trustee is not difficult; the main responsibility is looking after the fabric of the building, but the trustees also involve themselves in different aspects of Playgroup’s life often attending committee meetings and taking an interest in its wider administration.
Maintenance of the building is ongoing. As the building is now 22 years old, there is a steady list of repairs with urgent maintenance taking priority and a wish list of projects undertaken as and when finances allow. An annual inspection is carried out each summer; this year relatively few general repairs were identified and none of an urgent nature. Those identified included a repair to the sealant of the rubber veranda flooring – now completed,, repainting of the red fencing and repairs to the outdoor shelter decking strip. Quotes will be needed for these repairs. The emergency lights are not working but this will be looked at very soon when planned electrical safety work is completed shortly. The revarnishing of the outside cills and apex wood surround will need to be undertaken in the next year or 2.
During the year, with the help of volunteers and staff, the main room, red room and adult toilet have been painted. The rotting wood on the sandpit cover roof has been removed, the wood replaced and the final felting will be completed next month. A shout out for volunteers Ben Merrill (who also volunteered painting the red room) and Ed Sykes for their efforts renewing the sandpit roof, donating both their time and the materials This project had been on last years wish list but financial constraints had prevented a contractor undertaking the task. Also a shout out for Phil and Francesca Hemmans for supplying the wood and building the canopy shelter over the mud kitchen which hopefully will solve the problem of bird drippings spoiling the children’s enjoyment in this area. The roof should be completed soon. .
When funds allow, replacing the rotten fencing around the biodisk is the next maintenance project. Long term capital projects include enclosing the end section of the veranda to maximise use of the area during wet/cold weather.
Finally, I would like to thank Cindy and all the staff for their hard work, enthusiasm and commitment during the year to provide such a happy environment for the children to learn and thrive. My thanks also to our chairman, Catherine White, our treasurer and secretary as well as the members of the voluntary management committee who are crucial to the running of Playgroup. My thanks also to Sharon for her meticulous eye on finances and admin and also this year in helping me with the annual maintenance inspection.
Diane Taylor
September 2025
GREAT GRANSDEN PRE-SCHOOL
INCOME & EXPENDITURE STATEMENT
| Fees (incl grants & lunch) Events Fund Raising Misc (including donations) Wages Staff Cleaning Costs Admin Wages Utilities Education Equipment Fund Raising Office Sundries (incl Tesco) Maintenance NET EXCESS / (DEFICIT) CAPITAL ACCOUNT Opening balance Excess / (Deficit) Interest received Closing Balance Represented by Current account Nationwide 1 yr Saver (1) Nationwide 1 yr Saver (2) Cambridge BS savings |
2025 139,275 997 1,307 3,145 144,725 121,272 2,243 0 5,561 3,682 73 153 6,428 2,178 3,082 144,672 53 76,768 53 2,068 78,889 9,157 0 0 69,732 78,889 |
2024 143,274 1,256 1,333 2,448 148,311 114,299 2,174 5,277 5,837 3,366 631 179 6,704 2,564 3,262 144,293 4,019 71,210 4,019 1,539 76,768 9,104 0 0 67,664 76,768 |
2024 | Notes 2.8% decrease 2.4% decrease 6.1% increase 0.2% increase |
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GREAT GRANSDEN PRE-SCHOOL Year ended 31st March 2025
Current Account
Bank Reconciliation
| Balance B/f 01/04/2024 9,104.20 Income 144,725 Expenditure (144,672) Transfers Balance C/f 31/03/2024 9,157.37 Cambridge Building Society Savings account Balance at 01/04/2024 67,663.93 Transfer Interest 2,067.96 Balance C/F 31/03/2022 69,731.89 |
Balance as per statement at 31/03/25 Less U/P cheques at year end Add U/P receipts at year end Balance c/fwd Cash Summary Current & Savings b/fwd Total Income Total Cash C/f |
9,157.37 9,157.37 0.00 9,104.20 53.17 9,157.37 |
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