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2023-08-31-accounts

STATEMENT OF RECEIPTS & PAYMENTS

FOR THE YEAR ENDED 31 AUGUST 2023

FOR

DENAMONA PRE-SCHOOL EDUCATION CENTRE

CHARITY NO. 100810

DENAMONA PRE-SCHOOL EDUCATION CENTRE

CONTENTS

FOR THE YEAR ENDED 31 AUGUST 2023

Page
Statement of Receipts & Payments 1
Statement of Assets & Liabilities 2

Denamona Pre-School Education Centre Statement of Receipts & Payments for the year ended 31 August 2023

Unrestricted
Funds
£
Receipts
Grants
Early Years / Pathway
Subscriptions
5,056
After School / Breakfast Club
739
Deposit account interest
152
School Photo
Fundraising
5,947
Payments
Wages
Travelling & trips
140
Early Years / Pathway
Canteen & water
2,580
Equipment & books
Insurance
520
Telephone
Postage & stationery
328
Repairs & maintenance
195
Professional fees
582
Bank charges
94
IT Equipment
557
Heat & light
Speech & Language
Training
1,554
Donations
Outdoor Sand Area / Blinds / Radiator Covers
Total Payments
6,550
Net receipts / (payments)
(603)
Transfers to / (from) funds
-
Surplus / (deficit) for the year
(603)
Reconciliation at 31st August 2022
Cash at bank & in hand at 01/09/2022
3,322
Surplus / (deficit) this year end
(603)
Cash at bank & in hand at 31/08/2023
2,719
Restricted
Funds
£
26,590
27,453
254
54,297
38,467
2,226
3,644
710
1,600
3,080
254
49,981
4,316
4,316
60,518
4,316
64,834
Endowment
Funds
£
-
-
-
-
-
-
-
-
Total
2023
£
26,590
27,453
5,056
739
152
-
254
60,244
38,467
140
2,226
2,580
3,644
520
710
328
195
582
94
557
1,600
3,080
1,554
254
-
56,531
3,713
-
3,713
63,840
3,713
67,553
Total
2022
£
55,334
26,635
5,594
375
120
50
629
88,737
49,608
332
1,216
2,194
5,882
624
547
810
593
564
88
332
1,350
1,980
-
-
9,242
75,362
13,375
-
13,375
50,465
13,375
63,840

Page 1

Denamona Pre-School Education Centre Statement of Assets & Liabilities for the year ended 31 August 2023

Funds Reconciliation
Cash at bank & in hand at 01/09/2021
Surplus / (deficit) this year end
Cash at bank & in hand at 31/08/2022
Bank & Cash Balances
Danske Bank Account
Danske Bank Account
Cash Account
Unrestricted
Funds
£
3,322
(603)
2,719
Restricted
Funds
£
60,518
4,316
64,834
Endowment Endowment


Total
2023
£
63,840
3,713
67,553
12,051
55,424
78
67,553
Total
2022
£
50,465
13,375
63,840
7,482
56,314
44
63,840
Funds
£
-
-
-

Declaration

The trustees declare that they have approved the Receipts & Payments Accounts. Signed on behalf of the charity's trustees

Signature(s)

Full name(s):

Date(s):

Page 2