REGISTERED CHARrfY NUMBF.R: 29971
Repjn of the Trusiees and
FinJnLi411 %tdIL.tnf￿L￿ Iijr ihL. Yiidl En&,Il.'Il MdN'h 2n23
Brrx)k51¢o P￿s￿h(￿l
Passmore Weeks al￿ Ritliardson
A Xeinadin (.ompdny
2 Beacoii Eiid Courtyard
L()ndnn R(M(1. SiJTrway
LolchesiEr
Essex
L03UNU

14rwkside
Conlenls of the Financial siÈlte[np￿lS
for the Yeai. Elided 31 Marcli 2023
Pdg
Rewxt nl Ihe Thjsices
Independeni Examinerfs
Sta￿'men1 uf Finim¢iJl ALuvIIiL'b
Balaiice Sheel
Noies 10 Iliv Flndncl& Sill￿￿￿n
6 10 11
Detail￿ Siaiemeni ul Fi1oThtial Aclkviues
12

Ercoksi.de PTr.schwl
RfJK)rt ol Ihe Th51e(s
lor Ihe Yedr Ended 31 March 2n23
The in]siees present their rew*it with the linaiicial siaiements of the charity lor the year ended 31 March 2023. The
Irusil'cs hdve adopted the provisioiis ul ALiUL]nlinx and Rewiling by Charities.. Staiemeni ol Recommei)ded Pi'aciice
applicable to chLirili(* P￿ParIng Iheir accounts In atcordnttte with the Piiiancial RepDriing Siaiidard applicable in the
UK dnd Repiiblic of Ireldnd IbRS 1021 leffecrive l January 20191.
ORJF.CT]VES AND ACTIVITIES
Ohlertives and airn5
Ta enhdn(￿ rhe developmeni ￿ld educauon (Jr the LthlldM, primarily linder sthiutory school age, by encouraglng parents
undeisiaiid Liiid piyivide lur the uf (helT cliildrEii thiuuKh Lumtnuniiy givup5.
Slgnificjni artiviiies
We provith g￿d quality chil(k'iUE dnd IdLililies lor the Iucdl cumtnuniiy. a5 well as PIK)viding ail Aliei, School Club and
an uui-01-￿1Tn Holiday club, Ihus ollering vdl11￿J and oxionslve caTe iliai is available lor chlldren lor 2 to 11 Yea￿ ol
a%e.
Public benefit
The'lhL8tees have hud rc¥ard lo the giildance I55ued by tho Lhartty Commi5slon on publlc t*iiefii.
ACHIEVEMENT AND PERFOIiMANCE
We rnniiniio 10 oller ly)th ltsnded and n()n-lundc(I pldCQS loi. presch￿1 chlldreti lix)rn the a%e r>1 2, as well as non funded
Iiei. SLliool Club. We cniiiijiuo ID relvlve cllsaclvdniage lundin8 whlch wp put 10 AQ(Kl li￿. In the le?1 rnln8 oriviroiimenl,
acuvi¢ies and experi￿￿￿% WL iTrlli'i Ihc Lhildren 511 our ca￿.
Wf have *￿eTh lueky io be able 10 lake parl In a local ch(IAtlL'5 PTolvci. We have had thffereiii fuiidralsSng even(5 to
secure the mnney 10 be able io take part in thiq vvoTri.
WL,havv slyn a Slable period ol S￿lfIllg wlth a l(iyal, well eslablishwj leam condnulng1i15UPkK)n ih¢ (hildn￿.
riNANCIAL REVIEW
Principal fvTrdinLi ¥ourceB
Our iiiaiii soi>riv ul funils is dirough governinejii liindod L.hildren. Ihi4 rnakos up Ihe mHjoTlry of fho money thai comes In,
Ihpn dlier Ihls is uiililiid￿ ge.44I1)11% l()r iirv-ii'hniiler% Jn(I Iinliinded oui ol school ca￿.
ResèNe* poliry
l)111 p)lii'y to ny 10 niainiaiij a balanL* ol E2(),(m in Ihv rV￿rV￿ aLcuuni lor cofitln8ondc5 Jnd rf5k lacior5. Ai the
yeai. eiid d?Is resorvv Wds In pldce.
'I'RUC'.TURE, GOVERNANCF. AND MANAGEMENr
Governliig documtnl
The chaii(y 15 (()n1￿)lled by lis goveming drKumcnl, the PTe-SchJol l.eaniin£ Alliance Cornsiliuilon. and cmsdwies an
u111￿Or1)0rdlvd Lh￿rIly.
Recrnitmenl and appointsweni o( Iiew tni¥teT5
Inisiees are 3ppoinLed by Ihib momhrTS of the (￿mMIttee of irusi<
RF.FERENCV. AND ADMINISTtiATIVE DETAILS
Registe￿d Charlty aiimber
2997UJi
Ptinclpal addr￿5
18 All Salnts Road
Ipswicli
IPI 4DG

BiD)k5ide Pre%choo.I
Rewrt Ill iho TnJsieFs
lor Ilie Yedr 31 M(￿h 2023
Thisteel
O'Hdllnraii
M5 H Waller (resigned 12,12,221
S Bdiltry
Ms B Curtis
Independeni Examlner
MJik Pd5sfflnre MA IfAnldb) rc.A
Pa$5more Weeks and Richardsoii
A XElI)adin C:otnpany
2 Beacoii Ei)d c.ourtyard
L()ndi)n Ri)a(I, Stsnway
.()Ichesi¥i
Fs5ex
C03 ONU
Appmved hy (Iril￿r nf the FThrd rjf Im4teos nn 25 June 2024 and slRned OTh Its behall by..
S (YHalloraJi- Trusiee

Independeni ExarnincT'5 Reix)rt io the Trusiees ol
BIMy>kside PrwhoD
l￿d￿ndent examiner's rtport io the 1rn8teos of BrLMJkside Presc1￿01
T ri'p()n tu IhL' ¢hdllty irust(x's tny ex4]mTrnatson ol the acCo￿lts of Bmukside Preschool Ithc Trvsil for the year endod
31 Marrh 2023.
Responslbiliiie5 and basis of report
As Ihp L'hailiy Itusive5 ¢)1 Ihv 1'rLiSI you aTr rp￿￿)￿51hl¢ Inr the prep3fdtion ol the acc￿171￿ In accnrdance willi the
requiierneiiis ol t]ie Cl)a]ities Act 2011 I'ihe A('I').
IL1Wrt iii tosycii ol my exaininalion ol the Tru4's accnunts carried oui uiider Section 145 01 the Ao and in carrylng out
my pxarninarlon I have follnwed dll iippIIcdble DireLiions Klvwi by Ihp f.hariiy C.nnirni*8lon uniicT Sedion 145($1(bl
Indepeiident exarniner'8 4tatemeni
I liave L011)pleied ii)y cxami1131ion. I conflrm ihai nu matcridl rndllL'rts hdvii conio 10 Iny aiteiili0s1 in wlth Ihe
vxamindlii)ii b*iVil)b? Ine ('duAe to believe that in any matcrlal Tespect=
accoiiniln% reLoKIs" were nol kei)l iii re5ttti ol the Thjsi ds re4uired by sec￿on 13U ol the Act; or
the accounts Oo nut alix)I￿ with iecotds. or
the acLoiints do n(Jt comply with Ihe applic?hlp rcqiiirpmenis concerning the fnmi and cont*it rfyf accoutrt5 set ￿11
iii Ihe C.liai'iiie% IALL(Trun15 and R￿￿lts) Regulauons 21)011 ofher Ihan any rpqultpmLbni (hal ttie acLY)unts glve
¢Tue lind lJlr vii'w whicli is noi a mailer ronsidered &4 part of an indewndent exominaoon.
I havL' n(> LMJD¢WI'llS ajid liavi. cojiir across 110 oiliei. niaiier5 In cnnnealon wilh Ihl ixamiiiuLiUii io wliich ?itenilun shuuld
he di'awi) In Iliis rerrfjrt in order io enablc a pID￿r unde￿landIng ol the accoun15 10 be reachcd.
M4irk PJs5muri, MA (Caiiiabi FCA
The liisliiuie of C.hartpre.d ArrounianL% in En8tand and Wales
1?Th5sniore Weeks Liiid Richardson
? FjedC￿n F.nLI (.()IlMyord
1.1mdt￿ Rf)4d, sta￿waY
Colchosror
C03nNU

Br(x)kside P]Eschthl
S(ai¢meni nl b'inon¢i81 Allivities
for die Yoar Ended 31 Matrl) 2022
31.3.22
Totsl
funds
Un￿strIcted
fund
Notcs
INCOME AND ENDOWMEpifs FROM
c.haritable acttiryties
PrL,.SLli(x)I
164,42B
IDvesimeThi income
17
Total
113.101
IrA,445
EXPENDrruRE ON
791
ChdrltJlJlv atdvliiv
Pre-S1"hiK]I
159,145
Total
161.719
159.Y3G
NE'I. INCOMVJI￿.xPtr.NDjTUREI
148.61BI
RECONCII.IATJON OF FUNDS
Totsl furbds brougliL lorward
09,888
TufAL r,UNDS CARRIED FORWARD
41,270

Brth)kside Pres¢li(w)I
Rdltinr* Sheet
31 Marih 2013
31.3.23
UnTrstricted
fund
31.3.22
Toial
lund5
FIXED ASSETS
Tangible aswis
3.343
4,477
LURRENT ASSETS
Debtors
c.ash ai Imnk and In hand
22.9SO
18,299
73934
52.319
92.233
C.REDI'foRS
AmouiiLS lallinx due wiihin yedr
io
(14392)
16,822)
NETCURRErrr ASSETS
37,927
85,411
T(yfAI ASSE'fs LESS CURRF.Nr
LIAIIILLTILS
41,27n
NET ASSF.TS
41.270
89,IIAA
Unrolirirted fund
41,270
8Y,BB8
'ixyrAL FUNDS
41,270
The flnanclal SLileMen￿ woro approvod by the B&Yd ol 'lhJsiec5 and authorised Ior issue on 25 June 2024 and were
signed on its behalf b ..
S O'Halloraii- Tru￿Ee

BrfKik4ide Preschool
No￿5 10 Ib¢ Financial Sta(emenL
lor die Year Ended 91 MdfLh 2D23
ACCOUNfING POLICIES
Basis uf preparing the finiincial stdIEM￿ts
Thi fiiiaii¢iJl s¢oi¢'niiiits ol Ilic ch4ri1yI whirh is a public ￿NEfit ovtity under FRS in2, have been prepareA in
actorddnce with ihe LhaTilies 50RP IFRS 102) 'Accouiiiiiig aiid Reporning by Charlties.. Siaierneni ol
Rprornrneiidpd Practice applicable 10 chariiie.s p￿palit)g Ilipir arrnu1115 in arcnrdance wlih the Flnancial
RLfx)1ilng $14ndard dpplicdblo in the UK RepubliL of Iicland {fRS 1021 {Ll(Ltiive l Jaiiuary 2019)..
Financliil Roponlng Standard 102 The Flnancial Reportlng Standard appllcable ihc UK and Republic ol
IIEland' atbd the c.harities Aci 2011. The financial StsLernenLs have PTepaied uiider the hlsiorical rn4
coi)veiittoii.
AII isicoiiio 15 recoxiiised iii (lie Siaienieiii of Fiiiaiicial Aaivities oiice ￿le charity lias ei)tiilpn)elli to the lunds, li
1% pmbahle Ihai the incnmc wlll hr. rcccivcd and the Jmrtrunt can bo measured rolldbly.
Expertdltiire
Lidbiliues dre reLu%i1ls￿ expendilu￿ as soun ds there LS d leAdl ur obli8atson commliilng thc
chdriiy to that l'x￿ndIlUre. Ll is probable IlJal a Ira1151ei' ol ecvnomic ￿ne[lis will be required in seiiltmeni and
LI￿. iim()uni ryf the nhligatinn can be rneasurcd tL,Ildbly. ExpLindlivry. <iccounie(l (or i)tl dn diL'wals ba515 and ha5
boeii Classifi￿ uiider lieadings dial agRiegaie all COSL relaicd 10 die caiegoiy, Wl)oir Co5￿ c4nnui dirL'LtIy
aiii'ibuted i() partlcular headin&s ihey have ￿en all(￿al¢d io activiue8 ￿ a t￿1$ conslstenr wlih ihe of
rewurLes.
langible r￿ed assets
Depreciaijoii is i)rovlded ai the lollowln8 annual rales In order io wdte o(1 each asset over its estlmai¢d u5olul
Flxiure5 aiid Iltilii85
Lompu¢er equlpmenL
15% 011 co
JJ% on cosi
The chariiy Is exempi from tax on its cliarSiable arniviiie5.
rund arcounung
UTrtY5111Cted funds can tised In ucrnrdtsnce wlih the charSiable objecllves al the (b$creli￿ of the injslees.
Re%iricted fuiid5 rail niily be u.sed (or i)afiirulaT re5tr1ried lFurpi￿e.$ wlthiii the nl)jects of ihe charlty. Ri¥triciioi
aiisc when specified by thL, doni)r ()r whL'n lunds arc raised lor particular restricicd purws.
FuTthLL" cxpldniidoii ul thL' ndtur(' wrpvbv ul C4lLh lund ly Jrhcludl￿ In thi. iu Ihe (In￿l(la7 s(difmeDLS.
Hlre pu￿hase and leaslnB rommiiments
Reniiils pairl under T)pcrJling If'asc% aro, chur8t￿ ti) Ihc Stotcmeni DI Flnunclal AcilvSiles on a 31r318ht Ilne bas59
over the p¢ri(rtl of the lease.
Pen51on cosij and other p051-rflrement benehts
The Lhdriiy IitArdies d Ileline(l ('()nirihuiii)n i*n51tsn ￿'h¥￿e. LoniriL)ULiull5 Fklydble 10 the charity's pension
scheme are charged to the Staiemeni of Flnanclal Activities in the ￿n{KI 10 whlch they rclatc.
Going cone¥r
The ￿$te￿% have. reasnnJble expecLilirJn lha( tho chdrity hi]s adequale rnSDurccs io continue in operadDnul
oxi%lencc l(Tri' Ihe luiueettble luluic. Thu5 thry conilnuc lo ddupi thc gulnu Lx>nLI'm basjs In preparlng the annual
financlBI 51alenients.

Brwkside PreschLK)I
Nnlp5 10 the Finanrial Siaiemenis. cnntinued
or thL. Year Eiithyl 31 March 2n23
INVESTMENT INCOME
31.3.23
JL.3.22
Dop￿lt accnuni intoreGI
17
INCOME FROM CHARITABLE ACTIVITIES
31.3.22
Thial
actlvldos
Pre.Sth(M)I
rants
Fees
Oihei. income
71.G70
40.370
1,053
102,362
60,687
1.379
164,428
SUPPOR'r cos'is
malage1n￿li
FiTrancc
Tot315
-S£'houl
1,134
GtsvornonLI costs include ihe followlng fees pald lo Ihe independeiii examlnpr.
.11.3.23
JL.3.22
Independent exdminaiion
Acculiniancy servlce5
Support cthts. Included In the above. are a5 follDWS'.
31.3.22
Pre.-8cho(hl
actlvldcs
Waxe5
StKldl serurlly
Ponsinn
()Iher oppi3iliig lease5. Ipni
Rates and water
Ivlepliniip
A(Ivert15iiig
C.'umwiler Iu5ts
I'i'avel
CateriL)g and actsvldes
Educdiiciiiiil ￿￿ourCeS
PDSI & slLiiionery
C.Ipanlng and wa_%iÈ d1$wk￿l
Hopails & malnienaiicc
Eiiiertaining
Prole5sional lee5
In.siJrancr
AL'Luiillidllly
Bank charges
113,049
2,170
101,662
2.836
3,405
737
J.U80
2U
1.983
178
iQ,fQ3
3.206
2..769
1,170
6,632
1.334
2.492
7,474
73ti
4,.151
1,117
8,700
1,041
15,6tM)
ca￿lea forward
157.572
158JfA)

Br￿)￿S1& PTeKhool
NoLes10il!e Finaneial Siateffli'nis- cuniinuLxI
for tho Year F.nded 31 Mairh 2023
SUPPORT COSTS- continued
31.3.23
31.3.22
Tolal
Pre-Schth)I
BrnuEhi InTw8rd
Dnnaiions
Iiiieiesl late paid PAYE
De.precidlion ol Idngible li%ed assets
147.572
730
158.3EAJ
785
TRUS"IEES' REMUNERATION AND BENEFTI3
There werp nn wusiep4' ￿niulIeTaLlrffi nr other ￿nefits ftsT the year ended .31 March 2023 nor lor ihe year ended
31 MdrLh 2022.
Tntstées, expense5
Thero were no Inistvos, cxpènses paid lor tho year ended 11 March 2n23 nnr Inr tho Y(￿r onded 31 March 2022.
STAFF COSTS
31.3.23
31.3.22
WagiTr5 Jiid salaTles
Soclol seciTrrlty cosrs
11.3,049
2,170
101,Ci62
2,836
I IB.162
i(K.301
71ie avera%e 1111)11(Iily Iiunibpr OF ￿npInyeeS durill8 llie year was as lollows-.
31.3.23
31.3.22
5tafl
Nn pmpltsyev.s reLi'ived em(Ilurneats itr exce55 of £611.(MM).
C.OMPAIIA'I'IVLS bOR'I"HE sfA'JEMLMf OF FIf4ANCIAL ACTIVITIES
liind
INCOME AND ENDOWMErfrs FROM
chan￿bIe artivldes
Pre-Sch(MTrl
Ili442B
IiTrvesln?vnl inLome
17
T￿al
164.445
EXPENDITi)RE ON
Ralslng fiin(Ls
Charitable artibities
Pre-si-hiyjl
159,145

FIr￿￿k￿l(lE Ptrschwl
Noieg in thp Finaiicial 5iaiemenls- wnliny.pd
fi)r the Year Ende(131 MJrLh_20_23
COMPARATIVES FOR THE sTATEMETr￿ OF FINANCIAL ACTivrriES. Conlimied
Unre5uiaed
lund
Total
NET INCOME
RECONCILIATION OF FUNDS
Toial luiids brnuB]il lorwLird
85.379
TOTAL fuNDS CARIUED r,ORWARD
89,888
'rANGIBLE FIXED ASSEIS
Flxiure
and
Cvmpllii'r
eqiilpmeni
T￿al$
COST
Ai l Aptll 2022 and 31 Maich 2023
8.051
1.729
9,7Bn
DF.PRECIATION
Ai l April 2022
Charge lor year
4,657
558
SJ)3
Al 31 March 2023
1,222
t>.437
NET BOOK VALUE
Ai 31 Marcli 2023
2,1136
3.343
Ai 31 Marcli 2022
I,n83
4,477
DEBTOKS: AMOUTffi FALLING DUE WITHIN ONE YEAR
31.3.23
31.3.22
'l)tidp (lohinrs
0￿}er debiors
22,950
18,273
26
22,9
18,299

Brwkside Prc5chool
N()IL'S io ihL. FinaTrci￿ StateiTJellis- colltinued
foT Ihe Yoar kndcd 31 MaTrh 2023
ID.
CREDITORS: AmoUTr￿S FALLING DUE WITHIN ONE YEAR
31.3.23
31.3.22
Taxation and s()cial securily
Oihor crodiiors
4.011
10,381
(65)
b,BB7
14,392
6,B22
ii.
MOVF.MF.prr IN FUNDS
Nei
movenieiii
in liinds
At
At 1.4.22
UnreslridEd fund8
fund
148,C?18)
41.270
TOTAL FUNDS
&9.888
14B,6181
41,270
Net tnovement iii luiith, iiicluded in the above aiE a5 follows.,
IncoinlTrg
rvv)IircYs
Resnurces
eX￿n￿rt
Movcmciit
in fund
Unrestrlcted funds
113.101
11li1,714)
146,6181
TOTAL FUNDS
13,Ini
I Ilil.71Y)
148,6181
Compayatlves for movement in hnds
Nel
m(Ivernoni
iii funds
At
31.3.22
Al 1.4.21
Unte￿[￿rIed funds
GL4itral lui
6SJ79
4,509
T(n'AI. FUNDS
89.888
.(TrmrArailwii nei m(Ivemeni in funiL%, included In the above are lollow5.'
ReS(￿rLy5
cxrKnded
Muvemeni
in fuiids
rcsourcc5
Unrestricted funds
Coiioral fund
164.445
(159,9361
45lX)
T(YfAL FUNDS
IrA,445
{159,9361
509

Br￿￿kS1¢Ie PTrchool
No(e4 In ihe Fin(hD¢io15Lalemenl.%- conlinued
toi" the Year Ended JI M¢llLh 2U23
Al.
MoVEmETr￿ IN FUNDS- Conlin￿ed
A ciirrei)l yÈar 12 months hnd pdor year 12 mnnih8 cnmhIn￿ prt4lii()n 1$ 38 fnllnws..
Net
movenieni
Ai
31.3.23
Ai 1.4.21
Unrestricted lunds
Geneial fund
85,379
(44,1091
41,270
'iYyrAL FUNDS
144,iQJC I
41.270
A currv.nl yvdr 12 months and prior year 12 months comblned net moverneni In funds. Iiicliided in thc above are
as lolluws..
Inconilng
soiiites
ResnurLT$
expeL)ded
MoveTneJii
in lunds
Vnrestrlcied lundg
GLiiierdl lun(i
277.546
1321,6551
144,l¢YJ)
TOTAL FUNDS
277.546
1321,655)
I44,]￿J I
12.
RELATED PARTY DISCLOSURES
Thpre wère nts related party transactions for the yearended 31 Marcli 2023.

B.rooLside Prcschooj
Detailcxl Siaieineni ol Fliiaiitial Aciiviii¢b
IUT Ilie Year Endod.31 March 2n21
31_3.22
INCOME AND ENDOWMETrllS
InV￿l￿e17t iiicome
Deposil aLt￿lI1 interest
17
Charitable artlvltlts
71,670
dO.370
IU2.362
60.tJ37
1,379
Fees
OthEr incJ)me
113,093
164.42B
Total Incomlng rtsource5
I13,lUI
164,445
F.XPEP4Dfi'uRE
Other trading thlctlvltlts
Bad dobis
2.275
791
Support Costs
m￿1&￿t￿lent
113.049
2.170
2,943
i0i,GG2
PeiisioDS
l)Iher apcrailng le&WS- reni
Rdii's Jnd water
Tiilophone
Adverti%iii8
Loniputei. costs
Travel
2.t136
7J7
A.ORO
20
1,17
7114
29
G,632
178
10.G03
.1.21
2,369
389
7,474
738
3,129
Fdiirarloiial r￿OurceS
Posi & bialiun¥ry
Cloaiiing oiid wasic clispusal
Repairs & m£tintononrc
5.515
345
4,351
Prolossioiiol I￿%
Insuraiire
8.7(X)
14.FA)n
Bank lha￿e5
tk>naiions
Inieresi on laig paid PAYE
730
158.310
158.360
Fil￿1ce
L￿1]rellati￿￿n thf ianglble Ilxed asseis
1,1.34
7B5
T(>tal re5011rce5 expended
16),719
159,93r)
Net lexpendltureyirttome
148,6181
4.509