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2022-03-31-accounts

Charity Registration No. 500831

Handsworth Day Care Centre

Financial statements

For the year ended 31 March 2022

Handsworth Day Care Centre

Contents

For the year ended 31 March 2022

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 2022

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
M60 4EP

Page 1

Handsworth Day Care Centre Trustee's report For the year ended 31 March 2022

The Management Committee continued to work within COVID-19 guidance. The team remained in contact with families and provided online and remote childcare advice and support. During the year we secured a modern nursery setting on Holy Trinity C of E Primary School site which brought significant reduction in running costs and efficiency in other areas like utilities. The pandemic impacted the number of children accessing the childcare services as parental anxiety and concerns affected the confidence of potential endusers

We re-registered the nursery and Ofsted inspected the setting and approved the nursery before re-opening on the new site for the Autumn Term in September 2021.

After securing the license, we planned a programme of relocation to Holy Trinity School. We then began an outreach and marketing campaign alongside the school to the wider community. In addition, we started engaging more closely with local colleges and community partners to raise awareness of the setting, highlighting the modern feel and facilities the nursery now provided.

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 2021/2022 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: 18/05/2024

Page 2

Handsworth Day Care Centre Independent Examiners' Report For the year ended 31 March 2022

We report on the accounts of the Charity for the year ended 31 March 2022, 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:

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:

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 2022

Notes
Parents Fees
Early Education Entitlement (EEE)
Fund Raising
JRS grant
Interest income
Total incoming resources
Resources Expended
Governance costs and expenditure
2
Total expenditure
Net movement in funds
Funds balances at 1 April 2021
Funds balances at 31 March 2022
Incoming resources
2022
2021
£
£
1,653
3,489
79,196
87,962
35,000
5,000
237
-
154
-
116,239
96,451
117,991
122,876
117,991
122,876
(1,752)
(26,425)
(82,717)
(56,292)
(84,468)
(82,717)

Page 4

Handsworth Day Care Centre

Balance Sheet

As at 31 March 2022

Notes
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
£
£
£
£
220
220
220
220
4,906
5,455
24,765
15,982
(29,671)
(21,437)
(29,451)
(21,217)
10,500
11,500
44,517
50,000
(55,017)
(61,500)
(84,468)
(82,717)
(82,717)
(56,292)
(1,752)
(26,425)
(84,468)
(82,717)
2022
2021

Page 5

Handsworth Day Care Centre

Notes to the Financial Statements

For the year ended 31 March 2022

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 2022

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
Resources
Sundry Expenses
2022
2021
£
£
84,064
86,941
1,270
1,187
8,663
4,395
293
120
2,184
2,129
7,544
9,973
81
431
441
2,695
2,199
3,795
1,037
1,115
1,087
1,087
862
521
2,120
1,981
1,872
3,007
-
241
-
1,175
600
600
1,653
209
1,627
1,233
393
41
117,991
122,876

Page 7