The charity operates after school clubs and holiday play schemes for children. In addition we are committed to the training and development of our staff and volunteers and to the dissemination of good practice within the sector. We offer volunteering opportunities to local people and provide routes to further training and paid work.
Latest HighlightsFY 2024
Income
All sources
£785,444
Expenditure
All activities
£722,028
Net Reserves
Unrestricted funds
£165,581
Total Assets
Gross assets
£336,171
Working Capital
Liquidity
£176,783
Income Sources
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