The provision of staff to support our clients within our day care centre, their home or other locations. Also, the provision of social enterprise initiatives including the garden furniture workshop and green bike project.
Latest HighlightsFY 2025
Income
All sources
£2,134,110
Expenditure
All activities
£2,090,248
Net Reserves
Unrestricted funds
£346,936
Total Assets
Gross assets
£1,028,386
Working Capital
Liquidity
£-16,847
Income Sources
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