Charity Registration No. 500831
Handsworth Day Care Centre
Financial statements
For the year ended 31 March 2021
Handsworth Day Care Centre
Contents
For the year ended 31 March 2021
| Page | |
|---|---|
| Legal and administrative information | 1 |
| Trustees' report | 2 |
| Independent examiner's report | 3 |
| Statement of financial activities | 4 |
| Balance sheet | 5 |
| Notes to the financial statements | 6 - 7 |
Handsworth Day Care Centre Legal and administrative information For the year ended 31 March 2021
| Chairman: | Donald Hayden |
|---|---|
| Treasurer | Carol Reid |
| Managers | Darlene Aiken |
| Registered office: | 34 St Peters Road |
| Handsworth | |
| Birmingham | |
| B20 3RR | |
| Accountants: | 1st Choice Accountants |
| 94 Grove Lane | |
| Handsworth | |
| Birmingham | |
| B21 9HA | |
| Bankers: | The Co-operative Bank Plc |
| Head Office | |
| P O Box 101 | |
| 1 Balloon Street | |
| Manchester |
Page 1
Handsworth Day Care Centre Trustee's report For the year ended 31 March 2021
The Management Committee continued to support staff during lockdown. The strict measures brought anxiety and worry for families as non-essential contact and travel came into force nationally. Parents reported social distancing made it difficult to take the children out and we became aware of the developmental impact on the children. The team maintained contact with families and provided online and remote childcare advice and support
The lockdown of the business placed greater strain on the nursery. We still had to keep applicable staff to children ratio even though we were closed, as this was a requirement of Early Education Entitlement (EEE) for funded children. The nursery sought business support and advice. An application was made for the Bounce Bank Loan to help pay for the overhead costs as the income generated from both Parents Fees and EEE fell sharply.
The nursery re-opened in Sept 2020. COVID-19 impacted on the number of children accessing the service for some time as parental anxiety and concerns affected parental confidence and thus required continued support. The management committee reflected on areas for development once lockdown ended however this was very difficult to plan as it was hard to deliver within the current Early Years climate as the changes to the charity was quite significant for much longer than we anticipated. .
The management team focused on identifying a building where we could deliver services in a modern, fit-forpurpose and efficient facility in the long term to achieve the sustainability we aimed for.
Acknowledgements
The Management Committee and staff are grateful for all the continued help and support received from our parents, carers and partner agencies.
We approve 2020/2021 financial accounts and confirm that we have made available all relevant records and information for its preparation.
Management Committee Member
Management Committee Member
For and on behalf of Handsworth Day Care centre
Date: 24 April 2024
Page 2
Handsworth Day Care Centre Independent Examiners' Report
For the year ended 31 March 2021
We report on the accounts of the Charity for the year ended 31 March 2021, which are set out on pages 4 to 7.
Respective responsibilities of the trustees and examiner
The charity’s members are responsible for the preparation of the accounts. The charity’s members consider that an audit is not required for this year (under section 4144(2) of the Charities Act 2011) and that an independent examination is needed.
It is our responsibility to:
-
examine the accounts (under section 145 of 2011 Act);
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to follow the procedures laid down in the General Directions given by the Charity Commissioners (under section 145 (5) of 2011 Act); and
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to state whether particular matters have come to our attention.
Basis of the independent examiner’s report
Our examination was carried out in accordance with the General Directions given by the Charity Commissioners. 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 you as members concerning any such matters. The procedures undertaken do not provide all the evidence that would be required in an audit, and consequently we do not express an audit opinion on the view given by the accounts.
Independent examiner’s statement
In the course of our examination, no matter has come to our attention:
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(1) which gives us reasonable cause to believe that in, any material respect, the members have not met the requirements to ensure that:
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Proper accounting records are kept (in accordance with section 130 of the 2011 Act); and
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Accounts are prepared which agree with the accounting records and comply with the accounting requirements of the Act; or
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(2) to which, in our opinion, attention should be drawn in order to enable a proper understanding of the accounts to be reached.
1st Choice Accountants 94 Grove Lane Handsworth Birmingham B21 9HA
Page 3
Handsworth Day Care Centre
Statement of Financial Activities including Income and Expenditure Account
For the year ended 31 March 2021
| Notes Parents Fees Early Education Entitlement (EEE) Fund Raising Total incoming resources Resources Expended Governance costs and expenditure 2 Total expenditure Net movement in funds Funds balances at 1 April 2020 Funds balances at 31 March 2021 Incoming resources |
2021 £ 3,489 87,962 5,000 96,451 122,876 122,876 (26,425) (56,292) (82,717) |
2020 £ 23,970 92,489 7,473 |
|---|---|---|
| 123,932 | ||
| 120,109 | ||
| 120,109 | ||
| 3,823 (60,115) |
||
| (56,292) |
Page 4
Handsworth Day Care Centre
Balance Sheet
As at 31 March 2021
| Notes Parents fee receivable Prepayments and Accrued Income Bank overdraft Accruals Net current assets Non-current liabilities Accruals: greater than 1 year Bank loans Net assets Accumulated Funds Balance brought forward Surplus of income over expenditure Current liabilities Current assets |
£ £ £ £ - 2,581 220 220 220 2,801 5,455 4,697 15,982 23,396 (21,437) (28,093) (21,217) (25,292) 11,500 31,000 50,000 - (61,500) (31,000) (82,717) (56,292) (56,292) (60,115) (26,425) 3,823 (82,717) (56,292) 2021 2020 |
£ £ £ £ - 2,581 220 220 220 2,801 5,455 4,697 15,982 23,396 (21,437) (28,093) (21,217) (25,292) 11,500 31,000 50,000 - (61,500) (31,000) (82,717) (56,292) (56,292) (60,115) (26,425) 3,823 (82,717) (56,292) 2021 2020 |
|---|---|---|
| (56,292) | ||
| (60,115) 3,823 |
||
| (56,292) |
Page 5
Handsworth Day Care Centre
Notes to the Financial Statements
For the year ended 31 March 2021
1 Accounting policies
1.1 Basis of preparation
The financial statements have been prepared under historical cost convention and in accordance with the Financial Reporting Standard for Smaller Entities, the Statement of Recommended Practice; Accounting and Reporting by Charities 2005.
1.2 Incoming Resources
All incoming resources are included on the statement of Financial Activities when the Charity is legally entitled to the income and amount can be quantified with reasonable accuracy.
1.3 Resources expended
Resources expended are accounted for on an accrual basis. Expenditure includes VAT which cannot be recovered and which is included as part of the expenditure to which it relates.
Costs are allocated between charitable expenditure and governance as appropriate. Charitable expenditure comprises those costs directly incurred in carrying out its charitable activities and expenditure of an indirect nature necessary to support these activities. Governance costs are those associated with the constitutional and statutory requirements of the charity and include Independent Examiners' fees and costs incurred in the strategic management of the charity.
Page 6
Handsworth Day Care Centre
Notes to the Financial Statements - (Continued)
For the year ended 31 March 2021
2 Expenditure
| Salaries Pensions Agency Staff Staff Training /Recruitment Legal & Professional Rent, Rates & Water Food & House Keeping Repair & Maintenance Cleaning & Gardening Light & Heat Insurance Printing, Postage & Stationery Telephone & Internet IT & Software Subscriptions Advertising Accountancy Fee Bank & Finance Charges Interest on Loans Resources Travelling Expenses Sundry Expenses Parents Fee Irrecoverable |
2021 £ 86,941 1,187 4,395 120 2,129 9,973 431 2,695 3,795 1,115 1,087 521 1,981 3,007 241 1,175 600 209 - 1,233 - 41 - 122,876 |
2020 £ 86,064 776 3,945 310 - 1,508 1,013 1,338 3,396 2,204 1,072 652 2,200 3,235 476 729 600 188 135 2,194 61 421 7,592 |
|---|---|---|
| 120,109 |
Page 7