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2020-09-30-accounts

PEGASUS PLAYSCHEME

FINANCIAL STATEMENTS

FOR THE YEAR ENDED 30TH SEPTEMBER 2020

Registered Charity No: 299301

PEGASUS PLAYSCHEME

FINANCIAL STATEMENTS

FOR THE YEAR ENDED 30TH SEPTEMBER 2020

INDEX

Page
1 & 2 Annual Report of the Executive Committee
3 Independent Examiner's Report
4 Statement of Financial Activities
5 Balance Sheet
6 & 8 Notes to the Financial Statements
9 Schedule of Donations and Contributions

PEGASUS PLAYSCHEME ANNUAL REPORT OF THE EXECUTIVE COMMITTEE FOR THE YEAR ENDED 30TH SEPTEMBER 2020

The playscheme is an unincorporated association governed by its constitution. It is a registered charity, number 299301. Its address is 14 Oswald Road, Dover, Kent CT17 0JS.

Trustees and Executive Committee

The Charity Trustees who have acted during the year were as follows:

S. Clark (MBE)

V. McLester

A. Ladd K. Bladon

The Executive Committee has general powers of management over the affairs of the Association and is made up of four officers and up to twelve members. Each member is elected at the Annual General Meeting.

The Executive Committee elected at the Annual General Meeting on 21st January 2020 was as follows:

K. Bladon - Chairperson/Fundraiser S. Slingsby - Vice Chairperson/Child Coordinator A Thompson - Treasurer/Supplies Coordinator A Ladd - Staff Coordinator/Scheme Manager Scarlet Clark - Publicity Coordinator Scott Clark - Volunteer Coordinator/Youth Forum Sue Clark(MBE) - Fundraiser/Volunteer Coordinator L Bax - Committee/Youth Forum Chairperson

The object of the Association shall be to provide or assist in the provision of education and recreational facilities (including holidays) in the interests of social welfare for children and young persons with learning difficulties who reside in and around Dover and Deal, with the object of improving the quality of life of these children and young persons and with the ultimate aim of facilitating wherever possible their meaningful social integration within the local community. Other core aims of the playscheme include:

Progress during the year

Unfortunately due to the COVID 19 pandemic the playscheme scheduled for summer 2020 was cancelled.

In order to keep up links with the children who would have been on the playscheme and those in the Youth Forum it was decided by the committee to supply them with 'bags of sunshine'. These would consist of a canvas bag, printed with the new Pegasus logo and containing art materials, activity books, colouring posters, which could be completed by the children, photographed and displayed on the Pegasus website and other treats.

Where possible the Youth Forum has continued during the year. Anyone over the age of 18 can attend the monthly meetings and activities and put forward their ideas for additions and improvements to the scheme.

A plan and budget were prepared and followed, enabling control over policy and financial decisions.

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PEGASUS PLAYSCHEME

ANNUAL REPORT OF THE EXECUTIVE COMMITTEE (CONTINUED) FOR THE YEAR ENDED 30TH SEPTEMBER 2020

The success of the playscheme both in terms of meeting its objectives and raising funds to support itself has always been due to the generosity of time given by the staff, volunteers and committee. In excess of 4,000 volunteer hours were carried out over the year to 30th September 2020. The playscheme is wholly dependent upon the funding it receives from donations, contributions and grants.

The statement of financial activities reports net incoming resources during the year of £20,033 and total funds of £51,757 at the year end. The Trustees have decided that it is unnecessary for the scheme to hold reserves and that all funds held should be used in the persuance of the scheme's objectives. The committe maintains a positive outlook for the scheme and plans are underway for 2021.

Statement of the Committee's responsibilities

The committee is required to prepare annual financial statements and in preparing these financial statements, the committee is required to:

The committee is responsible for keeping proper accounting records. They are also responsible for safeguarding the assets of the organisation and hence for taking reasonable steps for the prevention and detection of fraud and other irregularities.

On behalf of the Executive Committee

Date: 3rd February 2021

Trustee/Chairman

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INDEPENDENT EXAMINER'S REPORT TO THE MEMBERS OF PEGASUS PLAYSCHEME

I report on the financial statements of the charity for the year ended 30th September 2020, which are set out on pages 4 to 8.

Respective responsibilities of the Executive Committee and Examiner

The Executive Committee is responsible for the preparation of the financial statements. The Executive Committee consider that an audit is not required for this year under section 144(2) of the Charities Act 2011 (the Charities Act) and that an independent examination is needed.

It is my responsibility to:

Basis of Independent Examiner's Report

My examination was carried out in accordance with the general Directions given by the Charity Commission. An examination includes a review of the accounting records kept by the charity and a comparison of the accounts presented with those records. It also includes consideration of any unusual items or disclosures in the accounts, and seeking explanations from the committee concerning any such matters. The procedures undertaken do not provide all the evidence that would be required in an audit, and consequently no opinion is given as to whether the financial statements present a 'true and fair view' and the report is limited to those matters set out in the statement below.

Independent Examiner's Statement

In connection with my examination, no matter has come to my attention to indicate that:

Mr M J Bell MJB & Co Accountancy Services 45 Balfour Road Walmer Deal Kent CT14 7HY Date: 3rd February 2021

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PEGASUS PLAYSCHEME STATEMENT OF FINANCIAL ACTIVITIES INCOME AND EXPENDITURE FOR THE YEAR ENDED 30TH SEPTEMBER 2020

2020 2019
Unrestricted Restricted Total Total
Funds Funds Funds Funds
Notes £ £ £ £
Incoming Resources
Donations and Contributions 6,704 - 6,704 15,552
Grants (restricted) 2 - 3,873 3,873 4,710
Grants (unrestricted) 3 33,150 - 33,150 22,500
Bank Interest 53 - 53 102
----------- ----------- ----------- -----------
Total Incoming Resources 39,907 3,873 43,780 42,864
----------- ----------- ----------- -----------
Resources Expended
Direct charitable expenditure
Wages and Volunteers Expenses 12,546 - 12,546 24,385
Training and Professional Fees 114 - 114 792
Materials and Outing Expenses 1,693 1,492 3,185 10,102
Venue and Storage Costs 2,173 - 2,173 3,367
Coach Hire - - - 11,825
----------- ----------- ----------- -----------
16,526 1,492 18,018 50,471
Other expenditure
Lottery and Raffle Prizes 350 - 350 650
Stationery, Computer and Advertising 298 - 298 1,163
Committee Expenses 30 - 30 310
Youth Forum Expenses 574 574 896
Insurance 691 - 691 834
Telephone 2,122 - 2,122 1,845
Independent Examiners Fee 280 - 280 280
Sundry Expenses 61 - 61 184
Depreciation of Equipment 492 831 1,323 1,423
----------- ----------- ----------- -----------
Total Resources Expended 21,424 2,323 23,747 58,056
----------- ----------- ----------- -----------
Net Incoming/(Outgoing) Resources
for the Year 18,483 1,550 20,033 (15,192)
Funds brought forward 29,404 2,320 31,724 46,916
----------- ----------- ----------- -----------
Funds carried forward 47,887 3,870 51,757 31,724
======= ======= ======= =======

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PEGASUS PLAYSCHEME STATEMENT OF FINANCIAL ACTIVITIES BALANCE SHEET AS AT 30TH SEPTEMBER 2020

2020 2019
Notes £ £ £ £
FIXED ASSETS
Equipment 6 3,968 4,267
----------- -----------
3,968 4,267
CURRENT ASSETS
Cash at Bank 47,233 27,368
Cash In Hand 94 369
Debtors 800 -
----------- -----------
48,127 27,737
----------- -----------
CURRENT LIABILITIES
Creditors and Accruals 338 280
----------- -----------
338 280
----------- -----------
47,789 27,457
----------- -----------
51,757 31,724
======= =======
FUNDS
Unrestricted 47,887 29,404
Restricted 7 3,870 2,320
----------- -----------
51,757 31,724
======= =======

These financial statements were approved by the Executive Committee on 3rd February 2021

Trustee/Chairman

Trustee/Treasurer

Page -5-

PEGASUS PLAYSCHEME NOTES TO THE FINANCIAL STATEMENTS FOR THE YEAR ENDED 30TH SEPTEMBER 2020

1. ACCOUNTING POLICIES

These financial statements have been prepared under the historical cost convention and on the accruals basis, in accordance with the Charities Statement of Recommended Practice (FRS102).

Income, other than grants, is recognised when received. Grants are recognised once the conditions for receipts have been complied with, but not before receipt.

Depreciation is provided on all tangible fixed assets at rates calculated to write off the cost less estimated residual value over their expected useful lives as follows:

Equipment

25% reducing balance

No provision is made in the financial statements for taxation, as the Committee is of the opinion that all the Association's trading is of a charitable nature and therefore outside the scope of taxation.

the scope of taxation.
2020 2019
GRANTS (RESTRICTED) £ £
Rotary Club 1,000 -
Dover District Council 2,873 -
St Margarets Parish Council - 1,000
Whitfield Parish Council - 1,000
Baily Thomas Charitable Fund - 2,000
Dover, Deal and Walmer Scouts - 350
The Crown Pub, Ramsgate - 360
----------- -----------
3,873 4,710
======= =======

2. GRANTS (RESTRICTED)

a) The Rotary Club grant received during the year was to contribute towards the cost of activity bags for the children.

b) The Dover District Council grants received during the year were to contribute towards the cost of activity bags for the children and equipment for the scheme.

bags for the children and equipment for the scheme.
3. GRANTS (UNRESTRICTED) £ £
Kent County Council 10,000 10,000
Goundwork UK - 1,000
Dover District Council 750 1,500
Colyer Fergusson Charitable Trust 4,000 4,000
Dover Harbour Board 2,500 -
The Entertainer 1,000 -
Dover Rotary Club 500 -
Kent Community Foundation Core Support 14,400 6,000
----------- -----------
33,150 22,500
======= =======

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PEGASUS PLAYSCHEME

NOTES TO THE FINANCIAL STATEMENTS FOR THE YEAR ENDED 30TH SEPTEMBER 2020

4. STAFF NUMBERS

STAFF NUMBERS
2020 2019
The average number of persons employed during the year was:
Throughout the year 4 4
======= =======
During the period of the scheme 4 13
======= =======

No employee has been paid in excess of £60,000 during the year.

5. TRUSTEES REMUNERATION

Trustees are not remunerated for their role as trustees.

The following trustees and key management personnel however have received the following payments for their other roles in the scheme:

2020 2019
£ £
S Clark (MBE) Fundraiser 5,807 5,200
V McLester Treasurer (resigned) 500 1,200
A Thompson Treasurer 700 -
S Slingsby Staff/Office Manager 1,200 2,124
A Ladd Staff/Office Manager 525 1,449
S Clark Project Coordinator 3,740 3,740
----------- -----------
12,472 13,713
======= =======

6. TANGIBLE FIXED ASSETS

FIXED ASSETS
Equipment
£
Cost:
At 1st October 2019 65,249
Additions 1,024
-----------
66,273
-----------
Depreciation:
At 1st October 2019 60,982
Charge for Period 1,323
-----------
62,305
-----------
Net Book Value:
At 30th September 2020 3,968
=======
At 1st October 2019 4,267
=======

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PEGASUS PLAYSCHEME

NOTES TO THE FINANCIAL STATEMENTS FOR THE YEAR ENDED 30TH SEPTEMBER 2020

7. RESTRICTED FUNDS Balance at Balance at Movement in Resources Movement in Resources Balance at
1st Oct 2019 Incoming Outgoing 30th Sept 2020
£ £ £ £
Awards for All Asset Fund 184 - 46 138
Kent Community Foundation No. 1 154 - 38 116
Pfizers Fund 27 - 7 20
Action with Community Fund 131 - 33 98
Vodafone Fund 337 - 85 252
Hedley Foundation Fund 24 - 6 18
Winkle Club Fund 9 - 2 7
The Cooperative Fund 75 - 19 56
Coalfields Regeneration Trust Fund 667 - 167 500
KCC Small Grants Fund 288 - 72 216
Mulberry Cottages Fund 75 - 19 56
Kent Police Fund 49 - 12 37
Dover District Council Fund 300 2,873 1,817 1,356
Rotary Club - 1,000 - 1,000
----------- ----------- ----------- -----------
2,320 3,873 2,323 3,870
======= ======= ======= =======

The Dover District Council Fund at the year end was represented by fixed assets and cash at bank.

The Rotary Club Fund at the year end was represented by cash at bank.

All other fund balances at the year end were represented by fixed assets.

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PEGASUS PLAYSCHEME

SCHEDULE OF DONATIONS AND CONTRIBUTIONS FOR THE YEAR ENDED 30TH SEPTEMBER 2020

£
Whutfield Parish Council 1,000
Sarah Weller 245
J Wiggle 100
The Co-operative 340
Charity Boxes 230
NJ & KA Jones 120
Sundry 35
Parent Donations 1,478
Other Donations and Gift Aid 1,998
Fundraising 1,158
-----------
6,704
=======

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