The principal activity of the company during the year was to provide vocational training and social recreational and cultural facilities to the community.
Latest HighlightsFY 2025
Income
All sources
£870,782
Expenditure
All activities
£740,285
Net Reserves
Unrestricted funds
£1,114,467
Total Assets
Gross assets
£1,270,359
Working Capital
Liquidity
£328,749
Income Sources
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