**To** 


## **Trustees' Annual Report for the period** 

Period start date Period end date 1[st] Sept 2019 31 August 2020 

**From** 

## Section A                        Reference and administration details 

**Charity name** South Cerney Preschool Playgroup **Other names charity is known by** n/a **Registered charity number (if any)** 301614 **Charity's principal address** Berkeley Close South Cerney Gloucestershire **Postcode GL75UW** 

**Names of the charity trustees who manage the charity** 

|1<br>2<br>3<br>4<br>5<br>6<br>7<br>8<br>9<br>10<br>11<br>12<br>13|**Trustee name**|**Office (if any)**|**Dates acted if not for whole**<br>**year **|**Name of person (or body) entitled**<br>**to appoint trustee (ifany)**|
|---|---|---|---|---|
||Jo Hanson|Chair|Appointed Nov 2019||
||Eleanor Hanks|Secretary|||
||Cath Black|Treasurer|||
||Rachel Perring||||
||Hannah Rennie||Resigned Sep2020||
||BeckyEdlington||||
||NickyCranfield||||
||Sarah Daffern||||
||Aimee Arnell||||
||Angharad Loxton||Appointed Sep2020||
||||||
||||||
||||||



## **Names and addresses of advisers (Optional information)** 

|**Type of adviser**<br>**Name**<br>**Address**|**Type of adviser**<br>**Name**<br>**Address**|**Type of adviser**<br>**Name**<br>**Address**|
|---|---|---|
|**Accountant**|||
||||
||||
||||



## **Name of chief executive or names of senior staff members (Optional information)** 

Aimee – Louise Thomson (Manager) and Natalie Saint (Deputy Manager) 

## **Section B              Structure, governance and management** 

**TAR** 

March **2012** 

1 



## **Description of the charity’s trusts** 

Constitution 

Type of governing document (eg. trust deed, constitution) By voluntary management committee How the charity is constituted 

- (eg. trust, association, company) 

Appointed at AGM or co-opted by committee/members Trustee selection methods 

- (eg. appointed by, elected by) 

## **Additional governance issues (Optional information)** 

You **may choose** to include additional information, where relevant, about: 

- policies and procedures adopted for the induction and training of trustees; 

We operate in accordance with our Policies and Procedures.  The policies are put in place by the Management Committee and reviewed annually, or as required. The procedures are implemented by our staff members. 

We are members of PATA which offers support and guidance for preschools within Gloucestershire. 

- the charity’s organisational structure and any wider network with which the charity works; 

- relationship with any related parties; 

- trustees’ consideration of major risks and the system and procedures to manage them. 

## **Section C                    Objectives and activities** 

The aim of the Playgroup is to enhance the development, care and education of children primarily under statutory school age and also of children and young people of school age by encouraging parents to understand and provide for the need of their children through community (voluntary managed) groups and by:- 

**Summary of the objects of the charity set out in its governing document** 

1. offering appropriate play facilities and training courses, together with the right of parents to take responsibility for, and to become involved, in the activities of such groups, ensuring that such groups offer opportunities for all children and young people, whatever their races, cultures, religion, means or ability. 

2. Encouraging the study of the needs of such children and their families and promoting public interest in and recognition of such needs in the local area. 

3. Instigating and adhering to and furthering the aims of PATA. 

**TAR** 

March **2012** 

2 



We provide early years education and childcare for children aged from 2 years until statutory school age.  We offer half, and full day sessions, and follow the Early Years Foundation Stage Framework. Our setting is open and accessible to all members of the community and we base our admissions policy on a fair system. 

I confirm that we have had regard to the public benefit guides PB1, PB2 and PB3 when making decisions they are relevant to. 

**Summary of the main activities undertaken for the public benefit in relation to these objects (include within this section the statutory declaration that trustees have had regard to the guidance issued by the Charity Commission on public benefit)** 

## **Additional details of objectives and activities (Optional information)** 

You **may choose** to include further statements, where relevant, about: 

- policy on grantmaking; 

- policy programme related investment; 

- contribution made by volunteers. 

**TAR** 

March **2012** 

3 



Section D                      Achievements and performance 

**Summary of the main achievements of the charity during the year** 

There have been several staffing changes throughout the year at Playgroup which have had a very positive impact on the successful and efficient running of our setting. Aimee Thomson joined us as Deputy Manager in September but following the resignation of the previous Manager, Sarah Dibley in October 2019, Aimee took over this role. Aimee has done a fantastic job and Playgroup has gone from strength to strength under her leadership. Natalie Saint is our Deputy Manager having joined us in November 2019 and has proved to be a great asset to the setting too. Claire Ryall stepped down as Chair at the AGM in November and Jo Hanson took over the role. Jo has developed an excellent relationship with Aimee Thomson and the working relationship between staff and the Committee has run very effectively throughout the year. The current committee remains very proactive and dedicated. We started the academic year with 49 children on our register and ended it with 39. Normally we would expect this figure to increase as the year progressed but due to Covid we had no new children joining us from March onwards. In addition to this, when we reopened in June, only a very small number of our 2 – 3 year olds returned and a number of our Pre Schooler children remained at home as well. This was to be expected given the situation. In July, we saw 21 leavers off to Primary school, with the majority going to Ann Edwards school in South Cerney, with whom we continue to have strong links. We would normally run successful transition sessions for our school leavers but due to Covid, this was sadly not possible this year. Due to Covid & lock down not all staff training was completed as planned however all staff undertook numerous online training courses whilst we were closed to continue their professional development. Natalie Saint is currently completing a Level 3 Special Educational Needs Co-Ordinator qualification. During February half term we replaced the outdoor patio area in the garden to make it safer for outdoor play and in August had a new, more secure front gate fitted to our playground area. This included a new security intercom system. We were also able to buy some fantastic new play equipment for the setting in August in preparation for re-opening in September. Fundraising activities were sadly very limited from March of this year due to Covid however we were very fortunate to receive an anonymous donation of £1000 at the start of the year and a donation of £300 from a local pub from a fundraising event they held in lockdown. We had numerous fundraising events planned for the Spring and Summer term which sadly had to be cancelled. 

**TAR** 

March **2012** 

4 



## **Section E                    Financial review** 

- South Cerney Playgroup aims to hold enough financial reserves to 

- **Brief statement of the** meet redundancy obligations and to sustain the Playgroup if **charity’s policy on reserves** income falls below expected levels. Aims: • To manage our finances responsibly 

- • To budget for predictable fluctuations in income and expenditure 

- • To hold reserves to cover redundancy obligations, half a term’s running cost and to pay lieu of the notice (and building maintenance costs). 

## **Procedures** 

The Playgroup operates two bank accounts: 

- A general account for day to day income and expenditure. This account also covers all redundancy obligations (currently held as reserves) as required as well as building and maintenance costs if necessary. 

- • A Fundraising account, for all additional equipment, or buildings. 

The amount held to cover any redundancy obligations is reviewed regularly to ensure that sufficient funds are available.  Current estimation is £20,000 to cover this. Budgets are completed annually and updated on a termly basis to take account all factors affecting income and expenditure. 

**Details of any funds materially in deficit** 

## **Further financial review details (Optional information)** 

- You **may choose** to include Our principal source of funds is from Gloucestershire County Council’s funding for the 15 hours (universal) and 30 hours 

- additional information, where relevant about: (extended).  We also charge fees for children not yet eligible to • the charity’s principal receive funding.  We also fundraise throughout the year to purchase equipment and resources as necessary although this has 

- sources of funds (including any fundraising); been severely restricted this year due to Covid. 

- • how expenditure has supported the key objectives of the charity; 

- • investment policy and objectives including any ethical investment policy adopted. 

**Section F                     Other optional information** 

**TAR** 

March **2012** 

5 



## **Section G                    Declaration** 

**The trustees declare that they have approved the trustees’ report above.** 

**Signed on behalf of the charity’s trustees** 

**Signature(s) Full name(s)** Jo Hanson **Position (eg Secretary, Chair,** Chairperson **etc) Date** 6th October 2020 

**TAR** 

March **2012** 

6 



Swth Cemèy Pre-khool Playgroup
Receipts and PJyThents Acti￿nI
I Sep 2019to 31 Aui 2020
2019
20>)
2020
1020
14ote5
l•
£20.465
£81,303
£11.158
(hbldren's fees
Grant lchildrtn fundin81
Other Receipts (Hfflrwpl
Irsterest l&nk •tttrJnts
Fundn￿1n[ Income
Totsl Aet¢lpts
É17,721
£80,9Z8
£8.CO)
£17,721
É80,928
E8.080
10.174
£123.100
£1,
£2.849
£10gJ79
£3,849
£110,579
Ib
P•ymwts
SI￿ries
Refre5hm¢nts & ¢Msum•bl•s
Plèy maten•ls
Equlpment
New fixtures
M*iThttnifi¢e & ¢lt•nMy
Insurnnce
Rates
1ftilit￿$. tlectnc, telephone, bmadb•Dd
utilitre5. Waier
Recyclinz and wbbish dispwl
Subs¢riptsMs & otherfees
nk lees
Administr•tlOA ¢OSts
Trainirrf costs
her Iplawoupl
Other Ifundraisinql
Total P•yments
E92.410
ÉL.985
£2,496
£216
£199
£1.803
£1,178
775
£4.301
574
£1.249
£1,471
£72,991
£1,237
£1.832
£72,991
£1,237
£1.832
£LCO)
£5.952
£1.167
£255
E3.779
É6.952
£1,167
É255
£3,779
£489
£1.￿1
£933
£1.￿1
E933
£814
326
£2,775
£4,3BS
E116,958
Éi
£1.230
£276
£969
E93.974
£1,863
£1,230
£276
E969
É94.974
£6.143
luslldefidtl fwth•y*•r
£15,605
£15.605
2019
20
2020
2020
Unreslrfcted Total
£23,932
£6,143
Reser￿ bllwd
Added to re5eTh*s
Used frorn leser￿S
RueThYs ￿l￿d
£30.074
£15,605
£30.074
É15,E45
£30,074
£45.679
E45.679

St•temenl ol knElS *rnl Ilab￿￿*
AsAt JI Auiu511020
1020
Notes
r¢￿TreS1Vnéll at 15Ept
Add gjrplusof recliprstrrtr￿￿rnn￿
Mst Ji
fJO.074
£15.605
5.479
É17.548
E17.314
É12.462
EL62
Lknds itneral •CCOunt I
Lb)￿S ￿￿￿￿￿coUnT If￿drI￿￿>
•CCDunt IreOundwy(4ovr•r•)
E30.109
£15J4Z
£102
f54
E45,667
E66
£30,074
C•3h irth•nd
ush
E283.250
É11.536
l)IfK•. wmp¥t•ri
E31.0)3
Fumiiwe. nrtur•s&
É20.440 Other455¢ts w•d ￿th•<ha￿ty￿d￿1*rt#J¢1j
É346319 •55•ty
E28).293
£11.536
£Ji.ooJ
É20.44¢
£Y6219 1¢
U•bHh
Aevtnkn*l PAYE/NIC Ip•y•bl**t¢fflbw 20201
Oth•1 yifiou5 Ipayablo ￿rnbIl 20181
É92
103
£i*s
£39
ÉiJ•
ot•s
I. AccountlnipdK
al ofacccuDli•i". Th••¢wts hm b••n und•ttM wipts•Ad plyw￿ts bJs15.
bl TurhoYÈr Ih¢¢n)* is cr•dted ro Ihe ro¢tigts•ndwym•nts KWUTrtwhen re£•ThYd
l Ass•tsi•t4in•d fOr<hrrt￿$u￿ um. •rn W•d •¢¢sOmitsd rep￿mentin54r4nthV•1￿.
2 R•¥•r¥•s
8olaDC• •SIt I S•p 2019
Addrt￿Th to r•s•r¥ts
ux•d In the 12 month5to 31Aw2020
nr•* A4u¥¢201Q
É30.074
Els.￿5
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P051tK)n.'

CHARITY (OMMISSION I Independent examiner's report on the
FOR ENGiAND ANO WALES |
accounts
S•ciion A
Ind•p•nd•nt Examin•r'• Roport
R•port to ¢h• tru•l•MI
m•mb•rn ol
South Comey Preschool Playgroup
On •ccounts for lh• y•ar
•nd•(I
31.08.2020
Charlty no
111 any)
301614
S•t out ¢)n p•g•s
I feF*)rt lo lh8 Iru518os ￿ nyy o¥aminalion ol tho aco)unts of tho ¥bov•
chanty1lh8 Trusl'l for the yoar 8nd6d 31108r2020.
R•*ponslbllltl•s and
b•sls ol rnport
As lh8 InJslet5. you are lor th8 propar8lion of iho
ae¢DJnls in a¢ojr(lw￿ the requiiemenls of Ihe Chaniies Acl 2011
I reForl in ￿spett of my examinat￿7 of the Trust's acojunts I￿rried out
under sectKffl 145 01 Ihe 2011 Acl and In carrymg oul my examinatson. I
have fDllowed all thg 8[vl￿bIg Direc￿7n$ gwen by thè Chanty Commission
undgr seclffi 145(SMbl of the Acl.
Indep•ndent I have com￿eted my oxaMM8t￿>n. I confim) thal no malenal matters have
•xamlnof• $lat•ment come ￿ my attentK)n in conwlion with the exarnlnat￿n wthich gNO6 m8
cause to beli8ve that in, any malènal re$￿cl..
lh8 a¢￿Un11n9 re￿rdS v•*￿ rnt kept In aco)ryJance *•th sec*on 130
of the Chan116s Acl,. or
Ihe accounts did nol accoftl wth aco)unknng r8cord8.' or
the acA))vnts ￿)t (xjmpty wilh th8 applicable wuirements
Con￿mIng the form and content of a(twnts sel oul In the Charibes
lAC￿Unts and ReForts} R&3uklions 2(N)8 other thon gny requiremènt
Ihal the a￿oUnts gN6 a 'true and fairf view which L8 not a matter
ns*Jored as part ol an indep8nd8nl examinatson.
I have no ¢(￿ceM$ and have come 8ero&8 no other maiteTr in connection
wrth ¢he eXam￿al￿)n lo attenticffl shcK41d be drawn In this report in
order lo en9b￿ a proper underntsnding oftr* accounts io be reath•J.
- Please (tdele the tr18 bTrckets rfthey do not apply.
Dat•:
11111120
Signed:
Nam•:
Relevant protesslonal
quallfi¢atlon{sl or body
A.C.M 4.
IER
Oct 2018

111 •nyl-
AddrM•.'
INyk'r
Section B
Dlsclosure
Only fX)rnplele Il the examino.r needs lo highlighl maierial matter% ol con￿rn
Isec CG32. Irxjeyendenl 8AaminauoTr ol chanty 8w)uni$ di1¥Cl￿n5 and
guNJance lor examiner51.
GIV4 brlel d•t•ll• ol
any It•mJ that the
•xamln•r to
disclo￿.
IER
Oct 2018