The academy produces monthly management accounts, cash flow and balance sheet statements which are scrutinised by the senior leadership team prior to release to the Chair and other trustees if appropriate. This enables the Academy to ensure an independent review of financial statements by trustees is maintained.
The academy also ensure that systems exist to produce regular six monthly reviews of performance and forecast out turn for the year. This review also provides comfort on future cash flow required, capital spend and other significant requirements.
As an Academy we are required to publish the following information: