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

Peter Pan Playgroup

Business Information

Accountants

Business address

Kelly & Comac 35 Main Street Trillick Co Tyrone BT78 3ST

30-32 Main Street Trillick Co Tyrone BT78 38U

Peter Pan Playgroup

Approval of the Accounts For year ended 30% June 2025

I approve these accounts, comprising the Profit and Loss account, the Balance Sheet and the related notes. I confirm that I have made available all relevant records and information.

a Ci iW) (cud W = ;

Peter Pan Playgroup

Accountants’ Report

The financial statements on the attached pages have been prepared without audit, from the books and other records of the business and from information and explanations supplied to us and to the best of our knowledge and belief they are in accordance therewith.

Kelly & Comac 35 Main Street Trillick Co Tyrone BT78 3ST

pate: a" Ant 202

ae

E

----- Start of picture text -----
.
----- End of picture text -----

Peter Pan Playgroup, |). 30-32 Main Street, Trillick, Co. Tyrone, BT78 3SU

Income & expenditure account For year ended 30% June 2025 year ended 30% June 2025 ended 30% June 2025 30% June 2025 June 2025 2025

----- Start of picture text -----
||||| |---|---|---|---| |For year ended 30% June 2025 year ended 30% June 2025 ended 30% June 2025 30% June 2025 June 2025 2025|2025|2024| |£|£| |Income|66,516|77,172| |Expenses| |Books & equipment|4,448|2,092| |Expendable materials|2,640|2,634| |Wages & salaries|44,880|49,071| |Rent|4,640|4,320| |Light & heat|3,645|3,856| |Repairs & renewable|4,260ween|1,128526| |Loan interest| |Telephone|493|427| |Trips & outings|300|275| |NIPPA membership & insurance|865|753| |Accountancy|1,152|1,460| |Stationery|9|338| |Water rates|775|533| |Bank charges|162|174| |Fundraising Expenses|400|“-| |ence|a|cai|acenccSaCERSSSE| |68,669|«57,587| |Surplus/(Deficit) for the year|(2,153)|9,585|

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

Peter Pan Playgroup, 30-32 Main Street, Trillick, Co. Tyrone, BT78 3SU

Balancesheet
gotJune2025
Cae
2025 2024
£ £
Fixedassets
Otherfixedassets
4,900 4,900
Currentassets
Bankaccount
Cashinhand
Debtors
26,138
50
1,765
_ 30,190
60
27,953 30,250
Currentliabilities
Loansandoverdrawnbankaccounts
Otherliabilitiesandaccruals
176
1,000
240
1,080
1,176 1.320
Netcurrentassets 26,777 28,930.
Netassets ~~ 31,677 33,830_

Net assets

Represented by :

Capitalaccount
Balanceatstartofperiod
Surplus/(deficit)for theyear
33,830
ovens).
24,245
9,585
_
eaPT. ____33,830_

I hereby approve the attached income & expenditure account for year ended 30% June 2025 on behalf of Peter Pan Playgroup and can confirm that I have made available all relevant records and information for its preparation. To the best ofmy knowledge and belief I can verify that they cover the whole business transactions for that period.

Treasurer