TRUSTEE REPORT
HAPPITOTS PRE-SCHOOL PLAYGROUP
The children are welcomed into the setting on a phased introduction from the start of
September until all children are started and receive a healthy break every day.
On a day to day children learn how to play with their new friends, role playing within the
home corner. physical play, learning to build with different buildlngs products- Le80, Stickle
bricks, building ji85aw puzzles, arts and crafts.
The children learn about the seasons and different celebrated events throughout the year
and the staff learn about the children's families.
In the first term they have pumpkin soup for Halloween, have a pyjama day for Children In
Need. December is a busy month with practising fortheir Christmas performance, have
Christma5 lunch and then a Christmas party day- where each child meets Santa and
receives a gift.
In the second term they attend W5 as part of the learnlng. they also make Valentine's crafts,
Motherf5 Day and Easter crafts.
In the third term they have a train trip to a local memorial park with a trip to McDonalds,
theirsports fun day, makes Fatherfs Day crafts, a fun day out at the Wacky Workshop soft
play. an end of year party and also their GraduatSon day.
Wheneverthe weather permits the children have lots of outdoorwlth ourvery own play
park. bicycle5. SCOOter5 and pedal tractors.
Throughout the year, they are invited to join with a local mother and toddler group for
various activities.

Happitots Pre-school Playgroup
Independent Examiner's Report to the Trustee of Happltots Pre-school
Playgroup
Year ended 31 August 2019
I report on the financial statements for the year ended 31 August 2019.
Respective responsibilities of trustee and examiner
As the charity's twstee you are responsible for the preparation of the accounts in accoTdance with the
Charities Act {Northern Irelandl 2008. It 15 my responsibility to..
examine the accounts under section 65 ofthe Charities Actr
lo follow the procedures laid down in the general Directions given by the Charity Commission for
Northem Ireland under section 6519){bl of the ch8rilie5 Act and
to sL*e whether particular matters hav8 come to my attention.
Basis of Independent examinerfs report
I have examined your charity accounts as required under section 65 of the Charities Act and my
examination was carried out in accordance with the gener81 Directions given by the Charity Commission
for Northem Ireland under section 65191{b) of the Charities Act. The examination included a review of
the accounting records kept by the charity and a comparison of the accounts presented with those
records. It also induded consideration of any unusual items or disclosures in the accounts. and seeking
explanations from the trustee coneeming any such matters.
My role is to state whether any material matters have come to my attention giving me cause to believe..
That accounting records were not kept in aecordance with section 63 of the Charities Act
Th* the accounts do not accord with those accounting records
That the accounts do not comply with the accounting requlrements of the Charities Act
That there is fvrther inforrnation needed for a proper understanding of the accounts to be
reached.
Independent examiners statement
I have completed my examination and have no COn￿rn$ in respect of the matters111 to {41 ￿$ted above
and, in connection with following the D1￿CtionS of the Charity Commission for Northem Ireland, I have
found no matters that require drawing to your attention.
C DOHERTY & CO LTD
Financial Accountants
Unit 5 Glenone Park
1 Kilrea Road
Portglenone
BT44 8PE
03107120

Happltots Prevschool Playgroup
Charbty No 103147
Statement of Rèceipts and Payments- Year Ended 31 August 2019
Unrestricted
funds
Restrfcted
rtds
Total funds
Lastyear
Receipts
Donations & legacies
Grants
Fundralsing activities
Irrterest on dep051t account
Dividend on investments
Member5, subscription5
Charitable trading receipts
Rents frorn land & buildings
Other charitable receipts
38,124
38,124
39.748
10,155
10.155
6,399
47
10.202
47
48,326
fj6
46.213
Sub total
38,124
A55et and investment sales
Proceeds from sale of fixed asset
Loan repayments recèived
Sub total
rotolreceipts
10.202
38.124
48,326
46.213
Payments
Cost of fundraising events
Gross trading payments
Investment management costs
Direct charitable activity
Grants & donations paid
Governance costs
Other costs
6,708
40,339
47,rM8
43,688
1.560
628
1.560
628
2,216
Sub total
8.897
40,339
49,236
46.513
Asset and investment pur<hases
Purchase of equipment
Loans made
Sub total
rottslpoyments
8,897
40.339
49.236
46.513
Net of receiptsllpaymentsl
Trarbsfers between funds
Cash funds lastyear end
Cash funds this year end
1,305
1.000
2,215
1.000
910
300
867
$67
305
1,21S
910

Trlappltots Pr&School Play8roup
ststernentofassetsand fiabillties.year Ended 31Aueust2019
Unrestrt£tÈd
tsnds
Restrfrted ETrdowment
lunds
fuhds
FundsRecondfaitlon
Totsl funds year
Ca5hfunts
Curront account
Oepositaryovnt
rotthlwshfvnds
021
1,021
1.021
S67
Fundto
whlth¥ssèt
belongs
Unrestricted
Unrestritted
UrsrÈ5tr￿ted
Unrestricted
Llnrestritted
Unrestrltted
Unre5tricred
Unre5trftted
Uniesiricted
UnTestricted
Unrestricted
Unrestrictod
Unrestricted
Unrestr￿ed
Unrestltied
Unre5t¥kted
Yof41
Cort
Clwrentvalue
0￿811$
Assets retalfied for laptop. Printerand Camersa
the tharitvs own
Flxed outside playequipment
Ovtside playequipment
Christmas playcostume5and accessories
ole playToys
iegol5tiekle bricks, mis buQdingitem5
Lthstyear
2,000 1,000
10,000 ￿.000
2,000
2,0
I,aoo
1000
1.000
Lot4J
500
500
100
loo
soo
500
400
20D
soo
SLYJ
Arts & Craft
Puzzles
Con5trurtlon7oys
Boys rniscellaneous Tvy5
Girts mi￿ella￿e0U¥ToV5
Tables and Chairs
hsic* playequipment
F￿M Protettwe Mar5
BusTrollev
200
soo
500
3,000
300
3LIJ
250
250
22,SSO W50
Approved bythe trusÈeesand si8nEd on there bÈhalf by..
Slgnature
Prlnt14•m•
Dateof
roval
Charlene Rea
Dlone KSrkpairlck
Chair
7Teasurer