OpenCharities

This text was generated using OCR and may contain errors. Check the original PDF to see the document submitted to the regulator.

2025-06-30-accounts

KILKEEL PLAYGROUP Receipts and Payments Account Year ended 30TH JUNE 2025

----- Start of picture text -----
|||||||||| |---|---|---|---|---|---|---|---|---| |2025|2024| |UNRESTRICTED|RESTRICTED|TOTAL|TOTAL| |£|£|£| |INCOME| |Fees|-|Playgroup|9,433|-|9,433|5,479| |Fund|Raising|+ jumpers|2,097|.|2,097|2,363| |EDUCATION|AUTHORITY-S|REGION|-|46,285|46,285|47,300| |EA|- Getting|ready|to|learn|-|'|-|660| |EA OUTDOOR|LEARNING|-|2,000|2,000| |DOH|SPPG|-|313|313|1,361| |BSO|232|.|232|414| |11,762|48,598|60,360|57,576| |EXPENDITURE| |RENT|2,149|2,149|2,664| |SALARIES|-|46,163|46,163|44,909| |EARLY YEARS|EXPS|1,950|-|1,950|“| |NEW|EQUIPMENT|1,199|2,000|3,199|1,810| |EXPENDABLES|823|-|823|3,808| |SECRETARIAL|EXPS|473|.|473|443| |FOOD|BILLS|911|911|998| |INSURANCE|2,082|=|2,082|594| |BANK|FEES|308|308|426| |TRAINING EXPS|-|117|117|233| |TELEPHONE|BILLS|492|192|456| |TRAVEL EXPENSES|68|=|68|i| |TRIP|EXPENSES|520|"|520|.| |JUMPERS/SWEATSHIRTS|539|:|539|546| |MUSIC ETC|270|"|270|180| |ACCOUNTANTS|1,188|“|1,188|1,158| |DONATIONS|60|‘|60|257| |PHOTOS|250|“|250|-| |SUNDRIES|204|-|204|177| |13,187|48,280|61,466|58,359| |(DEFICITSURPLUS|FOR THE YEAR|(1,425)|318|(4 106}|(783)| |RECONCILIATION|30.06.2025| |Cash|at|bank &|in|hand|30.06.2024|47,453|17,453|18,236| |(DeficitSurplus|for|this year end|(1,106)|(14,106)|(783)| |Cash|at bank &|in|hand|30.06.2025|16,347|-|16,347|17,453| |Approved on_@ %] ay LG on_@ %] ay LG %] ay LG ay LG LG|by:|ey|Pamela|Ballance. (Chairperson)|EmE|turden|(Treasurer)||

----- End of picture text -----

Approved on_@ %] ay LG on_@ %] ay LG %] ay LG ay LG LG by:

KILKEEL PLAYGROUP STATEMENT OF ASSETS& LIABILITIES

Year ended 30TH JUNE 2025

----- Start of picture text -----
|||||||| |---|---|---|---|---|---|---| |2025|2024| |UNRESTRICTRED|RESTRICTED|TOTAL|TOTAL| |FUNDS|FUNDS|FUNDS|FUNDS| |£|£| |FIXED|ASSETS| |Office|equipment|47|437|484|605| |Play|equipment|611|106|717|897| |658|543|1,201|1,501| |CURRENT ASSETS| |Bank|balance|16,319|-|16,319|17,430| |Cash|in|Hand|29|-|29|23| |Prepayment|1,400|-|1,400|1,400| |17,747|-|17,747|18,852| |CURRENT|LIABILITIES| |Sundry creditor &|Accruals|3,168|-|3,168|1,627| |3,168|-|3,168|1,627| |NET CURRENT ASSETS|14,580|-|14,580|15,826| |TOTAL|NET ASSETS|15,237|543|15,781|17,327|

----- End of picture text -----

Approved by the trustees on L¢€ fu | 26

and signed on their behalf by:

“Raenelo Dore ace ja bdr Pamela Ballance - Chairperson Emma Burden (Treasurer)