LARK CHILDREN'S CENTRE

Charity overview
Activities - how the charity spends its money
The education of families of preschool children through the provision of groups and by providing family support in area of the provision of antenatal care, access to health visitors, parenting classes, along with the relief of economic need by the provision of debt advice, money management and budgetary advice, and the provision of training and education with the aim to employment.
Income and expenditure
Data for financial year ending 30 June 2024
Total income:
£661,207
Donations and legacies | £0 | |
Charitable activities | £644.95k | |
Other trading activities | £0 | |
Investments | £11.06k | |
Other | £5.20k |
Total expenditure:
£641,477
Raising funds | £1.50k | |
Charitable activities | £639.98k | |
Other | £0 |
£0 investments gains (losses)
Total income includes £644,945 from 2 government grant(s)
Charitable expenditure
Charitable expenditure with investment gains
Charitable expenditure
Some charities generate all, or a substantial part, of their income from investments which may have been donated to the charity as endowment or set aside by the charity from its own resources in the past. Such investments usually take the form of stocks and shares but may include other assets, such as property, that are capable of generating income and/or capital growth.
In managing their spending and investments charities need to strike a balance between the needs of future and current beneficiaries. They also need to take account of spending commitments that may stretch over a number of future years. To do this, charities will normally adopt an investment strategy designed to generate both income and capital growth. To maximise returns trustees may commit to investment strategies for several years.
Investments can experience large swings in value so trustees may, in a particular year, decide to realise and spend part of their charity’s capital or to invest part of its income.
By clicking the investment gains checkbox the charitable spending bar is adjusted to take account of capital growth as well as income. This shows the balance the charity is striking, between spending on current beneficiaries and retaining resources for future beneficiaries.
Raising funds and other expenditure | £1.50k | |
Charitable expenditure | £639.98k | |
Retained for future use | £19.73k |
People

17 Employee(s)
5 Trustee(s)
1 Volunteer(s)
Employees with total benefits over £60,000
No employees have total benefits over £60k for this charityFundraising
Trading
Trustee payments
What, who, how, where
- Education/training
- The Advancement Of Health Or Saving Of Lives
- The Prevention Or Relief Of Poverty
- Children/young People
- Other Defined Groups
- Provides Services
- Provides Advocacy/advice/information
- Plymouth City
Governance
- 30 December 2013: Standard registration
- LARK CHILDREN'S CENTRE LTD (Previous name)
- Ofsted (Office For Standards In Education)
- Bullying and harassment policy and procedures
- Complaints handling
- Complaints policy and procedures
- Conflicting interests
- Financial reserves policy and procedures
- Internal charity financial controls policy and procedures
- Internal risk management policy and procedures
- Investment
- Paying staff
- Risk management
- Safeguarding policy and procedures
- Safeguarding vulnerable beneficiaries
- Serious incident reporting policy and procedures
- Social media policy and procedures
- Trustee expenses policy and procedures
- Volunteer management
Trustees
Trustees are the people responsible for controlling the work, management and administration of the charity on behalf of its beneficiaries. Generally trustees are treasurer, chair, board member etc. The trustees are responsible for keeping this list up to date and can do this by updating their details as they happen through the online service
5 Trustee(s)
Name | Role | Date of appointment | Other trusteeships | Reporting status of other trusteeships | ||||
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Donna Vinecombe | Trustee | 02 April 2025 |
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Helen Huntley | Trustee | 02 April 2025 |
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Ryan Leslie Campbell | Trustee | 04 September 2024 |
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Rachel McManus | Trustee | 07 October 2013 |
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WENDY DAVIS | Trustee | 02 August 2013 |
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Financial history
Financial period end date
Income / Expenditure | 30/06/2020 | 30/06/2021 | 30/06/2022 | 30/06/2023 | 30/06/2024 | ||
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Total gross income | £883.27k | £833.27k | £647.23k | £594.48k | £661.21k | |
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Total expenditure | £891.57k | £790.15k | £678.83k | £559.45k | £641.48k | |
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Income from government contracts | N/A | N/A | N/A | N/A | N/A | |
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Income from government grants | £63.70k | £637.00k | £613.21k | £577.85k | £644.95k | |
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Income - Donations and legacies | £5.75k | £11.38k | £1.00k | £1.00k | £0 | |
|
Income - Other trading activities | £16.86k | £0 | £0 | £0 | £0 | |
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Income - Charitable activities | £852.59k | £816.78k | £638.03k | £585.16k | £644.95k | |
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Income - Endowments | £0 | £0 | £0 | £0 | £0 | |
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Income - Investment | £2.71k | £433 | £95 | £3.24k | £11.06k | |
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Income - Other | £5.36k | £4.68k | £8.11k | £5.08k | £5.20k | |
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Income - Legacies | £0 | £11.38k | £0 | £0 | £0 | |
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Expenditure - Charitable activities | £877.02k | £786.06k | £677.84k | £556.43k | £639.98k | |
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Expenditure - Raising funds | £14.55k | £4.08k | £984 | £3.03k | £1.50k | |
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Expenditure - Governance | £0 | £7.91k | £10.25k | £7.81k | £8.16k | |
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Expenditure - Grants institution | £0 | £0 | £0 | £0 | £0 | |
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Expenditure - Investment management | £0 | £0 | £0 | £0 | £0 | |
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Expenditure - Other | £0 | £0 | £0 | £0 | £0 |
Assets and liabilities
Definitions for assets and liabilities
These are assets, other than investments, which are held for more than 12 months and used to run and administer the charity such as buildings, offices, exhibits and fixtures and fittings.
Long term InvestmentsInvestments are assets held by the charity with the sole aim of generating income which will be used for their charitable purposes such as deposit accounts, shares, rental property and unit trusts.
Investment assets are re-valued every year and included in the balance sheet at their current market value.
Long term investments are held for more than 12 months.
These are assets held generally for less than 12 months such as cash and bank balances, debtors, investments to be sold within the coming year and trading stock.
Defined benefit pension scheme asset or liabilityThis is a surplus or deficit in any defined benefit pension scheme operated and represents a potential long-term asset or liability.
Total liabilitiesThese are all the amounts owed by the charity at the balance sheet date to third parties such as bills due but not yet paid, bank overdrafts and loans and mortgages.
Asset / Liability | 30/06/2020 | 30/06/2021 | 30/06/2022 | 30/06/2023 | 30/06/2024 | ||
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Own use assets | £0 | £0 | £0 | £0 | £0 | |
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Long-term investments | £0 | £0 | £0 | £0 | £0 | |
|
Other assets | £704.90k | £563.42k | £536.88k | £721.60k | £810.30k | |
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Defined benefit pension scheme asset or liability | £0 | £0 | £0 | £0 | £0 | |
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Total liabilities | £237.58k | £52.98k | £58.03k | £207.73k | £276.70k |
Accounts and annual returns
Title | Reporting year | Date received | Received | Download |
---|---|---|---|---|
Annual return | 30 June 2024 | 03 March 2025 | On Time | |
Accounts and TAR | 30 June 2024 | 03 March 2025 | On Time | Download Open in new window |
Annual return | 30 June 2023 | 14 February 2024 | On Time | |
Accounts and TAR | 30 June 2023 | 14 February 2024 | On Time | Download Open in new window |
Annual return | 30 June 2022 | 22 March 2023 | On Time | |
Accounts and TAR | 30 June 2022 | 22 March 2023 | On Time | Download Open in new window |
Annual return | 30 June 2021 | 29 March 2022 | On Time | |
Accounts and TAR | 30 June 2021 | 29 March 2022 | On Time | Download Open in new window |
Annual return | 30 June 2020 | 14 April 2021 | On Time | |
Accounts and TAR | 30 June 2020 | 14 April 2021 | On Time | Download Open in new window |
Governing document
It is not the full text of the charity's governing document.
MEMORANDUM AND ARTICLES INCORPORATED 17 NOV 2000 AS AMENDED BY SPECIAL RESOLUTION REGISTERED AT COMPANIES HOUSE ON 18/12/2013
Charitable objects
THE OBJECTS OF THE COMPANY SHALL BE FOR THE BENEFIT OF PRE-SCHOOL CHILDREN AND THEIR FAMILIES IN PLYMOUTH: (A) TO ADVANCE THE EDUCATION OF PRE-SCHOOL CHILDREN THROUGH THE PROVISION OF NURSERY FACILITIES WHICH PROMOTE THEIR PHYSICAL, INTELLECTUAL SOCIAL AND EMOTIONAL DEVELOPMENT THROUGH SAFE AND SIMULATING PLAY; (B) TO PROTECT AND SAFEGUARD THE HEALTH OF THE PUBLIC AT LARGE IN THE AREA OF BENEFIT BY THE PROVISION OF ANTENATAL CARE, PARENTING CLASSES, ACCESS TO HEALTH VISITORS AND SUCH OTHER SUPPORT CONSISTENT WITH THESE PROVISIONS THAT ARE CHARITABLE ACCORDING TO THE LAW OF ENGLAND AND WALES. (C) THE RELIEF OF NEED IN THE AREA OF BENEFIT BY THE PROVISION OF DEBT COUNSELLING, MONEY MANAGEMENT AND BUDGETARY ADVISORY SERVICES, AND THE PROVISION OF TRAINING AND EDUCATION IN SKILLS LIKELY TO LEAD TO EMPLOYMENT. (D) TO FURTHER THE BENEFIT OF THE RESIDENTS OF PLYMOUTH, WITHOUT DISTINCTION OF SEX, SEXUAL ORIENTATION, RACE OR POLITICAL, RELIGIOUS OR OTHER OPINIONS BY ASSOCIATION TOGETHER THE SAID RESIDENTS AND THE LOCAL AUTHORITIES, VOLUNTARY AND OTHER ORGANISATIONS IN A COMMON EFFORT TO ADVANCE EDUCATION AND TO PROVIDE FACILITIES IN THE INTERESTS OF SOCIAL WELFARE FOR RECREATION AND LEISURE TIME OCCUPATION WITH THE OBJECT OF IMPROVING THE CONDITIONS OF LIFE FOR THE RESIDENTS.
Contact information
- Address:
-
Lark Childrens Centre
91-93 North Prospect Road
PLYMOUTH
PL2 2NA
- Phone:
- 01752313293
- Email:
- admin@larkcluster.co.uk
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