Interplay (Integrated Play and Leisure)
Company Registration Number: 03258423
Directors. Report and Financial Statements
for the year ended 31st March 2025

Interplay (Integrated Play and Leisure)
Company Number 03258423
Contents
Page
Legal and administrative information
Directors report
Independent Examination report
Statement of financial activities
Balance sheet
Notes to the financial statements
10-15
Page 2

Interplay (Integrated Play and Leisure)
Le
al and administrative information
Company Number 03258423
Company Name:
Interplay (Integrated Play and Leisure)
Incorporated".
3rd October 1996
Company Registration Number:
03258423
Charty Registration Number:
1062152
Address..
7 Llangv
Penlan
Swansea
SA5 7JT
Directors:
Rebecca Cole
Helen Etton
Christine Milbum
Robyn Collip
Janine Platt
held office whole year
resigned 0411212024
signed 0310912024
- Appointed 1610512024
- Appointed 1610512024
Company Secretary
P Dimmock
Independent Examiner:
Ashmole & Co
The Old School,
The Quay,
Camarthen,
Carmarthenshire,
SA313LN
Page 3

Interplay (Integrated Play and Leisure)
Company Number 03258423
Re
ort of the Directorsrrrustees
For the year ended 31 March 2025
The directors present their report and the financial statements for the year ended 31 March 2025. The directors
who served during the year and up to the date of this report a￿ set out on page 1.
Governing Document
The Charity is controlled by ts governing document, a deed of trust and constitutes a Company Limited by
Guarantee and therefore has no share capital.
Overall management of the company is the responsibilty ofthe trLtstees who are also directors who are elected
and co-opted under the terms of the memorandum and articles of association.
Objectives
To provide a variety of integrated out of school play centred actwtties for children and young people with
additional needs and provide training and advice on disabilty awareness for other organisations and workers.
The charty promotes the facilttation of integration within existing leisure amenities and to identify needs and
establish new projects to meet those needs.
Achievements Activities and Perfomiance
This year through Regional Integration Fund IRIF) bjnding through West Glamorgan Regional Partnership
Board RIF funding we have been able to continue our 4-11 Wellbeing 4 Eady Years project, the 12-17 Enspire
project. Through RIF Leaming Disabilty and Wellbeing funding we have continued to deliver the 12-17 and
18-25 residential and to facilitate the Learning Disabilty Liaison Forum in Partnership with the Swans
Foundation from April to October and then as the stand alone CYP forum from October to March. In addition,
we were also awarded RIF funds through their Learning Disabilty and Wellbeing programme to 21 months
(24-26) for 18-25 Interplay's Enabled Project. In partnership with Resofven Building Blocks we continued to
deliver the W4M service forthe 7th year on behalfof NPT CBC. Due to the Cty and County rolling overfunding
we have continued to deliver their commission seNices, Access 2 Mainstream with the support of Play and
Leisure Opportuntties Library, as well as the CCS Holiday provision. Due to issues with the take up for the
A2M we put forward a proposal to adapt the project to a play assessment project which we piloted for the final
quarter of the year. We have continued to run our BBC Children in Need funded NPT Access 2 Mainstream
which is in its final year of funding. Due to an underspend we also continued to deliver our Youth Voice Social
Action project on behalf of BBC Children in Need and The Hunter Foundation to put together a final report
before the funding ended in JU￿ 2024.
Our Pro'ect summa
24-25
CCS A2M - delivered with the support of Play and Leisure Opportunty Library (PLOL) - This started
the year as a service for 4-19 years to provide support to children and young people with additional
support n￿d$ to aC￿sS mainstream play, leisure and social activrties of their choice, wtth the
opportunty for travel training for those 13+ However, due to the low numbers, Interplay and PLOL
met with CCS and have adapted the project into a much-needed play assessment project which works
closely with several council departments to ensure that children and young people with additional
support needs get the right levels of support in areas of play, leisure and social opportunity. In the few
months that it has run it has been very successful.
CCS HOLIDAY- We have continued to delwer our very successftjl Interplay@ Interplay@Crug Glas
PMLD summer provision and Interplay@The Play Hwb holiday provision to provide access to play
during all the school holidays with the exception of the Christmas break.
W4M - 12-25 Wellbeing 4 Me Project- Neath Port Talbot County Borough Council (NPT CBC) tender
runs as a consortium with Resolven Building Blocks for 0-25 years.
ENABLED - This year Interplay was awarded funds through RIF Learning Disability and Wellbeing
fund to enable the project to delNer in both Swansea and Neath Port Talbot- this project started in
July 2024.
ENspire and Wellbeing Project -4Vith RIF funding we have continued to delwer our 12-17118 youth
provision across both counties.
Wellbeing 4 Early Years
Our 4-11 prowsion has also continued across both counties with an
extension through RIF Funding.
Page 4

Interplay (Integrated Play and Leisure)
Company Number 03258423
Interplay Independen￿ Residential - Provision of 48 hour residential for 12-17 and 18-25 year old5
2 delivered this year due to funding from RIF Learning Disabilty and Wellbeing fund.
NPT A2M- a Children in Need Funded service for 4-19 years to provide support to children and young
people wrth additional support needs to access mainstream play, leisure and social acttvities of thèir
choice in Neath Port Talbot, wrf(h the opportunty for travel training for those 13+
YoLrth vol￿ - A youth social action project funded by Children in Need for young people to raise
awareness about issues that matter to them, ran for the first quarter.
Learning Disabilty Liaison children and young people's Forum - run in partnership with the Swans
Foundation who support the 18+ members- ran until October 2024.
Learning Disability Liaison children and young people's Forum- delivered as a standalone project -
from October 2024- March 2025.
Penderri Play- Through funding from cty and county Df Swansea we were able to offer children in
our local area access to an after school play session during term time.
COAST - through CCS COAST funding we were able to offer play sessions during the summer
through the Summer of Fun scheme and in the winter through the Winter Wellbeing scheme.
ND Support- due to a small pot of money through RIF we were able to pilot a neurodiverse support
project as a pilot for the last quarter of the year.
Once again with the support of much needed Core Funding from the Postcode Lottery, Interplay has been
able to meet some of the ever increasing core costs of the charty which has prevented these increases from
impacting qualty of provision.
2024-25
The Interplay staff have worked extremely hard to ensure that every child and young person accessing
Interplay services have been given the opportunty to take part in play, leisure and social activities and
opportunities that enhance their wellbeing and emotional resilience. Due to their incredible work and
adaptability of the whole staff team, Interplay's provision has maintained tts high qualty and staff have proven
their work ethic by ensuring that sessions continued to meet the needs of all the children and young people
needing our support during this time of change. This was highlighted this year through the CIW inspection of
our Crug Glas provision, due to the quality and specialist skills of the Interplay staff team we were awarded
'EX￿[len￿ in Wellbeing, Care and Development and Leadership and Management; and °Good' in regard to
Environment.
This yearfs 12-17 and 18-25 Residentials both run at a building on Stackpole Estate in Pembrokeshire. The
young people went for walks. played games, held a BBQ and took part in fire pit activities. Stsff recetved lots
of very posf(ive feedback from both the young peoplè and their families.
Once again this year the play team have worked tireless￿ to deliver serVI￿S that meet the needs of children
and young people, and their families, by asking them what is important to them and how they wanted their
services to look. All funded services have had very posittve feedback this year, the numbers of referrals for
our holiday provision continues to increase and staff are making every effort to accommodate the higher
number of children than we have had in previous years while still ensuring the qualty of play provision.
Through the funding we have recewed this year we have supported 273 children and young people to access
over 475 sessions, as well as supporting 24 young people to access 2 x 48 residential and undertaken 24
forum sessions that have consulted wtth 264 children and young people. Offering actwities and opportunities
to engage and to gain independent skills, visit new places and have new experiences and share their voices
with the people that matter.
Looking ahead to 2025-26
Interplay is starting the year in a positwe financial position with several of our current tenders and contracts
rolling over for another year, and others with continuation funding. Interplay looks fo]ward wf(h a better
understanding of the issues that disabled children and those with additional support needs are now facing
post-pandemic. As a￿ayS Interplay continues to show its abilty to change provision to meet the changing
needs of those accessing the service, while at the same time adhering to our Vision, Mission and Values. A
few years ago, Interplay faced uncertainty of service about its place in the landscape and how it would look
going forwards, this year Interplay is in a good place wtthin the sector that it works wtth other organisations
and funders showing a posttive understanding of the specialist support that Interplay has to offer and the
difference we can make. This, and our robust managerial processes ensure that we can look towards a
posttive fLrture in 2025-26 for the charity. which will only go from strength to strength, continuing to grow and
change in line with the needs ofthe children and young people we support, continuing to provide vital services
and support for children. young people and their families, facing each new challenge as a strong and resilient
team.
Page 5

Interplay (Integrated Play and Leisure)
Company Number 03258423
Financial review
Policy on reserves
The Company's reserve policy is to retsin a minimum of 3 months working capital plus temiination costs as a
minimum reserve level.
Statement of Directors. responsibilities
The Directors are responsible for preparing the annual ￿pOrt and the financial statements in accordance with
applicable law and Untted Kingdom Generalty Accepted Accounting Practice.
The directors have taken advantage of the exemptions available to small companies. including the audit
exemption.
Law, in accordance with the CIC regulator, requires the Directors to prepare financial statements for each
financial year which give a true and fair view of the Company's financial activities during the year and of its
financial position at the end of the year. In preparing financial statements giving a true and fair view, the
Directors are required to:
select suitable accounting policies and then apply them consistently-
make judgements and estimates that are reasonable and prudent; and
prepare the financial ststements on the going concem basis unless it is inappropriate to presume that the
Company will continue in operation.
The Directors are responsible for keeping proper accounting records which disclose with reasonable accuracy
at any time the financial position of the Company and enable them to ensure that the financial statements
comply with the Companies Act. Directors are also responsible for safeguarding the assets of the Company
and hence ft)r taking reasonable steps for the prevention and detection of fraud and other irregularities.
The Directors declare that they have approved the Directors, report above.
On behalf of the board
Signed:........................................Director
Date".
0910112026
Robyn Collip
Print Name........................................-....
Page 6

Interplay (Integrated Play and Leisure)
Company Number 03258423
Independent Examinerfs Report to the Trustees of
Interplay (Integrated Play and Leisure)
I report on the aCC￿nts for the year ended 31d March 2025, whic*J ar8 set out on pages 8 to 15.
Responslbllitios and basis of report
thè Gharivs trustees (and also the dlrectors for the wrposes of company law) you are
responslble for th8 preparation of the ac￿llnts in accordance wlth Ihe requlrements of th8
Companies Act 2006.
Havlng satlsfled myseff that th8 charity Is not subJ8Ct to an audlt under company law and18 eltglble
for Independent examinaUon, I have examlned your charlvs accounts as requlr8d under section
145 of the Charities. Act 2011 Cth8 Acv). In carytng out my examination I have followed
Directions given by the Charty Commisslon under sectlon 145(5Xb} of the 2011 ACL
My role ts to state whether any materiat rnatters have come to my attention giving me cause to
believe:
1. that accounttng records were not kept as requlred by section 386 of the Companies Act
2006; or
2. that the accounts do not accord records", or
.3. trRt the accounts do not compty wth the accounllng requlrements of 86Ction of th8
Companles Act 2006 and with the methods and principles of th8 Chariti8s Statem8nt of
Recommended Practlce appllcable to charfties preparing their accounts In accordance wlth
the Flnanclal Reporting Standard applicable In the UK and Ireland; or
4. that there18 fvrther Irrfomalon needed for 8 proper understanding of ts aco)unts.
Indopendent examinerfs statoment
I have completed my examination and have no concerns in respect of the matters (1) to (41 listed
above and. in ￿n￿ctIon with followin9 the Direclions of the Charity Commission I have ftyjnd no
matters that requlre drawing to your attentlon.
Ashmola & Co.
Chartered Certlfied Accountants
The Old School
The Quay
Camarthen
Cam￿rthen$hlre
SA313LN
Page 7

Interplay (Integrated Play and Leisure)
Company Number 03258423
STATEMENT OF FINANCIAL ACTtvrriES
fr)r the year ended 31st March 2025
Unrestricted Reslricted
Funds
Funds
Total
Fund5
notes
Last Year
INCOME
Donations and legacies
5.907
5.907
2,468
Income from Charitable Activities
Grants br Play Promsion Sernices
26,957
307,6T7
334,634
322,479
Bank Interest ReCeI￿d
Tax Rebate from Gift Aid Donations
Other income
221
378
TOTAL INCOME
33,085
307.677
340,761
325.326
EXPENDITURE
Costs of Raising fvnds
Charitsble Activities Expenditure:
Costs of Play Promsion
G0￿ManCe Costs..
Accounting & Examination Fees
-19.857
333,094
313.237
344,715
2.794
2,794
1,604
TOTAL EXPENDITURE
-17.062
333.094
316,031
346,319
NET INCOME Before transfers
50,147
-25,417
24.730
-20,994
Transfers Between Funds
-23,579
23,579
NET INCOME After transfers
26,568
-1.838
24,730
-20, 994
GainslLosses on Rtheluation of Fixed Assets
NEf MOVEMENT IN FUNDS
26,568
-1,838
24,730
-20,994
Total Funds Brought For￿2rd
Total Funds Carried FO￿rd
78,626
21,839
100,465
121,459
105,194
20,001
125.195
100,465
The Statement of Financial Actlmties includes all gains and losses recognised in the year
Page 8

Interplay (Integrated Play and Leisure)
Company Number 03258423
Total
Funds
notes
Last Year
BALANCE SHEET
as at 31st March 2025
Fixed Assets -Tan
iblè
FL%ed Assets - TarKJible
6.159
6,188
Currentknts
Cebtors & Prepayments
Accrued Income
Bank & Cash
10
3,246
35.QK)5
88.658
126,909
31,325
10
70,580
101,905
Current Liabilities
Creditors & Accruafs
D&ferred Income
tallin due within 1
ear
11
7,872
7,628
7,872
7.628
Net Current Assets
119.036
94.2TI
Totsl A*èts less Current Liabilities
125.196
100.465
Creditors Falling due after 1 year
11
Tot81 Net Assets
125,196
100,465
Fund Balances
General Funds
Designated Funds
Rgstricted Funds
105.194
78,626
20.CY)1
21,839
TOTAL FUNDS
125,196
100,465
The charitable company is entitled to exemption from audit ur￿&r Section 4n ofthe Companies Act 20L
for the year ended 31st March 2025
The members ha* not required the charitable company to obtain an aLalit of its financial statements in accordance
th Se¢lion 476 of the Companies Act 20C6.
The director5 acknowtedge their wponsibilities ft>r
lai
ensuring that the Charitable company keeps accounting records that comply wth Sections 386 and 387 of
the Companies A¢1 2LKJ6 and
p￿paring financial statemerrts which gi￿ a tnts arKI fair Mew of state of affairs of charitable compary
as at the of each financial year arKf of its SurpIL￿ or defi¢rf( for each financial year in accordance wth
the requiftments of Sections 394 and 395 arKI which othemise comply wth the requirements of the
Ccfflpanies Act 2CK6 relatirvJ to financial statements, so far as applicable to the charitable company
These financial statements haNe been prepared in accordance wth the PThiSiDns SP￿1Cable to small Companies subject
to thè Small companies regime arKI in accordance V￿th FRS102 SORP.
(bl
The financial statements were approwy by Board on
0910112026
. anwetP Signed on its behalf by=
Robyn Collip
Print Name..............................................................
Trustè¢ & Director
Page 9

Interplay (Integrated Play and Leisure)
Company Number 03258423
Notes to the financial statements
for the year ended 31 March 2025
1. Basis of preparation
1.1. Basis of preparing the financial statements
The financial statements of the charitable company, which is a public benefrt entty under FRS 102, have been
prepared in accordance with the Charrties SORP {FRS 102) 'Accounting and Reporting by Charities..
Statement of Recommended practi￿ applicable to charities preparing their accounts in accordance with the
Financial Reporting Standard applicable in the UK and Republic of Ireland (FRS 102) (effective 1 January
2015),, Financial Reporting Standard 102 The Financial Reporting Standard applicable in the UK and Republic
of Ireland, and the Companies Act 2006. The financial ststements have been prepared under the historical
cost convention.
Financial reporting standard 102 - reduced disclosure exemptions
The charity has tsken advantage of the following disclosure exemptions in preparing these financial
statements, as permitted by FRS 102 The Financial Reporting Standard applicable in the UK and Republic of
Ireland,:
1.2. Change in Basis of Accounting
There has been no change to the accounting policies (valuation rules and methods of accounting) since last
year.
1.3. Changes to previous Accounts
No changes have been made to accounts for the previous years.
2. Accounting policies
The principal accounting policies are summarised belthv. The accounting policies have been applied
consistentty throughout the year.
2.1 Incoming resources
All incoming resources are included in the statement of financial activities when the Company is entitled to th8
income and the amount can be quantrfied wrth reasonable accuracy. The following specffic policies are applied
to particular categories of income:
Voluntary income is received by way of donations and gifts and is included in full in the Statement of Financial
Activities when receivable. Gifts donated for resale are included as income when they are sold. Donated
assets are included at the value to the Company where this can be quantified and a third paty is bearing the
cost. Income from trading activities includes VAT. The value of services provided by volunteers has not been
included.
Tax Reclaims are included in the SOFA at the same time as the grft to which they relate.
Grants, including grants for the purchase of fixed assets. are recognised in full in the Statement of Financial
Activff(ies in the year in which they are receivable.
Income from investments is included in the year in which it is recervable.
Legacies are included when the Company is advised by the personal representative of an estate that payment
will be made or propety transferred and the amount inVo￿ed can be quantified.
2.2 Resources expended
Expenditure is recognised on an accrual basis as a liabilty is incurred. Expendtture includes any VAT which
cannot be fully recovered. and is reported as part of the expenditure to which it relates.
Resources expended are recognised in the year in which they are incurred.
Support costs are those costs incurred directty in support of expendtture on the objects of the Company and
include project management
2.3 Tangible fixed assets and depreciation
Expenditure is capitalised rf the asset has a useful life of more than 1 year and tts cost exceeds £200.
Page 10

Interplay (Integrated Play and Leisure)
Company Number 03258423
Tangible flxed assets are stated at cost less accumulated depreciation. Depreciation is provided at rates
calculated to write off the cost less residual value of each asset over its expected useful lrfe, on a straight-line
basis as follows..
Equipment, Fittings and Fumiture
3. Analysis of Incoming Resources
Thisyear
Last Year
Donations and Legacies
General
Fees Recei
other
Donations ReCeI￿d
3,396
2,468
2,511
5,907
Tolal Donations and Legacies
2,468
Unrestricted Income
SCVS Small Grants - Enabled
POBL Playful Communities - Gwdlia
Ccs PSF Q4
MixTup
CCS HI@CGITrH
Neath Port Talbot CBC W4M
22123
Postcode Core
Fees
42,540
353
39,641
49,894
34,060
25,000
1.958
25,000
1,957
Total Unrestricted Income
26,957
193,445
Designatsd Income
Lease Agreement Income
Total Designated Income
Restricted Income
RIF ND Support
RIF Enabled Project
C & C Swansea Children and Young People
SBUHB Crug Glas
Awards for all
ccs cyp
National Lottery A￿drdS for All
RIF- LD Wellbeing 4 Earfy Years
RIF - Residential Project 01LD ISRES
RIF - LDLF (Swans Foundation)
RIF - Enspire & Wellbeing
CCS HI@cG￿H
CCS COAST -SPF
Children in Need NPT-AM2
CCS A2M
NPT CBC W4M
4,010
28.300
4,392
5,642
10,000
3,500
8,000
20,000
37,988
19.534
26,596
31.179
45,640
8,313
37,988
2,242
24.813
31,179
4,920
10,000
42.540
29,936
Totsl Restrictèd Income
307,677
129,034
TOTAL INCOME
340,541
324,947
Page11

Interplay (Integrated Play and Leisure)
Company Number 03258423
4. Analysis of Resources Expended
This Year
261,780
Wages, Salaries and Associated Costs
Redundancy Payments
Printing, Postage & Stationery
Rent, Rates Light & Heat
Tpining & Resources
Travel & Subsistence
Venues, Telephone & Intemet
Ad￿rtiSIng
Insurance
Small Tools & Equipment
Resources & Materials
Repairs & Maintenance
Bank Charges
Wellbeing Costs
IT & Software
Lease of Equipment
Subscriptions and Annual Fees
Legal and Professional
Bad Debts
Other Chargesllnterest
Depreciation
Last Year
279.352
2,976
7.224
11,573
1.987
7,180
2,353
9,617
19,115
9,614
4.452
3,122
2,849
3,933
2,100
436
4,426
235
2,582
39
5,830
716
130
2.509
1,072
4,926
1,289
2,059
1,664
806
Totsl EXPENDITURE
313 237
Management and Administration Costs are as follows:
Governance Costs are as follows..
Book kee
roll Fees
Inde
endent Examination fees
2,794
1,604
5. Director Expenses
No expenses were paid or reimbursed to the directors during the year.
6. Audit & Accounting Fees
This
ear
Last Year
1.604
Fee for Audtt l Examination of Accounts
7. Staff Expenditure
7.1 staff Costs
This Year
243,334
13.953
Last Year
248,133
14,856
Gross Wa
es & Salaries
Pension Costs
incl. ER NI
Page 12

Interplay (Integrated Play and Leisu￿)
Company Number 03258423
7.2 Number of Em
ees
This Year
13
Full time em
Last Year
13
lo
ees
ore
uivalent
8. Grant making
No donations have been made during the year.
9. Fixed Assets
ment
enin
Balance Cost
Additions in Year
Dis
osals in Year
Closin
Balance at Cost
13.000
1.634
enin
Accumulated De
Char
efor
ear
Released on Dis
osal
Closin
Accumulated De
reciation
6,812
1,663
reciation
Closin
Net Book Value
No assets have been re-valued during the year.
10. Debtors and prepayments
The debtor figure represents:
CCS Swansea
Clybiau Plant
Prepaid Insurance
Prepaid Subscriptions
Accrued Income
£1,095
£210
£1,041
£900
£35,005
Total
£38 251
11. Creditors and Accruals
Amounts falling due within 1 year are as follows:
is Year
Last Year
Trade Creditors
Accruals
PAYE creditor
Net Wages control
Pension creditor
648
£ 2,250
£ 3,553
£ (190)
£ 1,611
240
£ 2,200
£ 3,502
£ 1,685
No credttors are falling due after 1 year.
Page 13

Interplay Ilntegrated Play and Leisure)
Company Number 03258423
12. Transactions with related Parties
None.
13. Analysis of Charitable Funds
Restricted Funds Anal
Opening
Fund
Balances
Closing
Balance of
Funds
Income in Expenditure
Period
in Period Transfers
4,010
4,010
28.300
28.300
317
4,173
5,642
8.000
RIF ND Support
RIF Enabled Project
Austin Bailey
Awards for all fvnd
SBUHB
ccs cyp
National Lottery Awards for All
RIF- LD Wellbeing 4 Early Years
RIF - Residential Project 01 LD ISRES
RIF - LDLF (Swans Foundation)
RIF - Enspire & Wellbeing
CCS HI@CGrrpH
CCS COAST -SPF
CCS A2M
317
4,186
-14
5.642
8,000
20,000
37.988
19.534
26,596
31.179
45,640
8,313
42,540
29,936
20,000
37,988
19,534
26,596
31,179
57.307
8,313
42,540
39,915
11,110
8.172
-18
18
11,667
NPT CBC W4M
Children in Need NPT-AM2
Children In Need Youth Social Action
9,979
1,515
414
9,595
7,758
Total Restricted Funds
21,839
307,677
333,094
23.579
20,001
Unrestricted Funds Anal
Opening
Fund
Balances
78,626
Closing
Balan¢e of
Funds
Income in Expenditure
Period
in Period Transfers
-17,062 -23,579
General Funds
Designated Funds
33,085
105,194
Total Unreslrictsd Funds
78,626
33,085
-17,062 -23,579
105,194
TOTAL FUNDS
100,465
340.761
316,031
125,195
Fund Descriptions
CYP Swansea - to Run the Play and Wellbeing services for 411 year olds, the ENspire Project for 12-18
years, SWAT and JASC access to mainstream provision for 6-16 year olds and the OSCARS PMLD after
school club for Children that attend Ysgol Crug Gtas Special School.
ICF Early years - to run Wellbeing 4 Earty Years 4-11 year old siblings project.
Austin Bailey - for the purchasefinstallation of a pergola for the sensory garden (delayed).
Award4AII - to run the ENABLED 18-25 project.
CYPYCG - To run Interplay@Crug Gla5 PMLD summer scheme.
Page 14

Interplay {Integrated Play and Leisure)
Company Number 03258423
ICF Residential - ICF Westem Bay partnership board funding to run residentials.
ICF EN NPT- ICF Westem Bay partnership board funding to run Enspire 12-18 project in NPT.
CCS PPP & NAP delwery of the Penderri Play project - children in the local community and the Non
attendees project, due to COVID funds helped 5UPPOrt the children initially outlined to receive face to face
provision to recewe digital and keyworker support during pandemic.
RIF - LD Wellbeing 4 Early Years - is a play and social provision for children aged 4-11 with disabilty and
additional needs in Swansea and Neath Port Talbot
RIF - Residential provides independence residentials per year for young people aged 12-15 with
additional support needs
RIF- Enspire & Wellbeing is a play and social provision for young people aged 12-17118 with disability and
adclitional needs in Swansea and Neath Port Talbot
Moondance (Non Attendees) - one-off pilot project funding to provide weekday daytime play and social
interaction opportunities for chIld￿n and young people aged 6-16 that are not attending school due to anxiety
or behavioural issues. To build confidence and emotional resilience/coping strategies to support children that
are non-school attendees to retum to education.
Children In Need - NPT AM2 Access to Mainstream project for children and young people Iwing in Neath
Port Talbot
Children In Need Youth Social Action - project for children and young people Irving in Neath Port Talbot
14. Additional Disclosures
None
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