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2023-08-31-accounts

GeneralInformation
ReportoftheTrusteeandStrategicReport
ReportoftheIndependentAuditors
StatementofFinancialActivities
BalanceSheet
CashFlowStatement 15
NotestotheFinancialStatements 16

GOLDOLPHIN SCHOOL

REPORT OF THE INDEPENDENT AUDITORS FOR THE YEAR END 31 AUGUST 2023

Ofsted, and reading minutes of meetings of those charged with governance.

Owing to the inherent limitations of an audit, there is an unavoidable risk that we may not have detected some material misstatements in the financial statements, even though we have properly planned and performed our audit in accordance with auditing standards. For example, the further removed non-compliance with laws and regulations (irregularities) is from the events and transactions reflected in the financial statements, the less likely the inherently limited procedures required by auditing standards would identify it. In addition, as with any audit, there remained a higher risk of non-detection of irregularities, as these may involve collusion, forgery, intentional omissions, misrepresentations, or the override of internal controls. We are not responsible for preventing noncompliance and cannot be expected to detect non-compliance with all laws and regulations.

A further description of our responsibilities for the audit of the financial statements is located on the Financial Reporting Council's website at: www.frc.org.uk/auditorsresponsibilities. This description forms part of our auditor's report.

Use of our report

This report is made solely to the Charity's trustees, as a body, in accordance with Part 4 of the Charities (Accounts and Reports) Regulations 2008. Our audit work has been undertaken so that we might state to the Charity's trustees those matters we are required to state to them in an auditor's report and for no other purpose. To the fullest extent permitted by law, we do not accept or assume responsibility to anyone other than the Charity and the Charity's trustees as a body, for our audit work, for this report, or for the opinions we have formed.

Crowe U.K. LLP

Statutory Auditor Fourth Floor St James House St James Square Cheltenham GL50 3PR

Date: 26 February 2024

Crowe U.K. LLP is eligible for appointment as auditor of the Charity by virtue of its eligibility for appointment as auditor of a company under section 1212 of the Companies Act 2006.

Page 12

Note Unrestricted Restricted Total2023 Total2022
funds£ funds£ £ £
INCOMEANDENDOWMENTS
FROM:
Charitableactivities
Feesreceivable 2 9,512,730 - 9,512,730 9,060,350
Sundryandotherincome 3 1,248,977 - 1,248,977 1,242,749
Donationsandlegacies - 15,837 15,837 9,301
Investments
Investmentincome 6,736 378 7,114 7,343
Totalincome 10,768,443 16,215 10,784,658 10,319,743
EXPENDITUREON:
Charitableactivities
Schooloperatingcosts 6 10,747,384 5,442 10,752,826 10,352,552
Other
Financeandothercosts 6 142,669 - 142,669 82,167
Totalexpenditure 10,890,053 5,442 10,895,495 10,434,719
NET(EXPENDITURE)/INCOME (121,610) 10,773 (110,837) (114,976)
BEFOREGAINSANDLOSSES
ONINVESTMENTSAND
TRANSFERS
(Losses)/Gainsoninvestments 8 (9,866) 3,886 (5,980) (41,032)
Transfersbetweenfunds 13 48,542 (48,542) - -
NETMOVEMENTINFUNDS (82,934) (33,883) (116,817) (156,008)
Fundbalancesbroughtforwardat 4,272,864 444,215 4,717,079 4,873,087
1September2022
FUNDBALANCESCARRIED 4,189,930 410,332 4,600,262 4,717,079
FORWARDAT31AUGUST2023
Allamountsrelatetodiscontinuedoperations.
Thenotesonpages16to29formpartofthesefinancial statements.

Note 2023
£
2022
£
FIXEDASSETS:
Tangibleassets
Investments
7
8
7,112,014
520,799
7,475,156
713,745
7,632,813 8,188,901
CURRENTASSETS:
Debtors
Cashatbank
9
16
570,980
133,517
584,104
160,482
704,497 744,586
CURRENTLIABILITIES:
Creditors:amountsfallingduewithinoneyear 10 (2,948,935) (3,167,678)
NETCURRENTLIABILITIES (2,244,438) (2,423,092)
TOTALASSETSLESSCURRENTLIABILITIES 5,388,375 5,765,809
Creditors:amountsfallingduegreaterthanone 10 (788,113) (1,048,730)
year
NETASSETS 4,600,262 4,717,079
FUNDS:
Restrictedfunds
Unrestrictedfunds
13
13
410,332
4,189,930
444,215
4,272,864
TOTALFUNDS 4,600,262 4,717,079
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Thenotesonpages16to29formpartofthesefinancialstatements.
Page 14

FEESRECEIVABLE 2023
£
2022
£
Feesreceivableconsistof:
Grossfees
Less:Bursaries,grantsandallowances
11,341,397
(1,814,564)
10,843,738
(1,770,865)
9,526,833 9,072,873
Less:Introductorycommissions (14,103) (12,523)
9,512,730 9,060,350
SUNDRYANDOTHERINCOME 2023
£
2022
£
Insurancecommissions
Useoffacilities
Feeextras
Sundryincome
(1,048)
366,679
790,958
92,388
(615)
420,239
774,507
48,618
1,248,977 1,242,749
STAFFCOSTS 2023
£
2022
£
Wagesandsalaries
Socialsecuritycosts
Otherpensioncosts
Agencycosts
5,346,768
542,241
968,171
72,183
5,110,608
513,171
918,340
58,928
6,929,363. 6,601,047
Theaveragenumberofemployees,bothfull andpart-time,ontheSchoo!payrollduringtheyearwasasfollows:
2023 2022
Teachers
Others
100
71
105
68
171 173
Thenumberofemployeeswhoseemolumentsexceeded£60,000were:
2023 2022
£60,001
-£70,000
4 2
£70,001
-£80,000
2 1
£80,001
-£90,000
£90,001
-£100,000
£150,001
-£160,000
1
1
-
-
1
1
Page19