Chair's Report 2025
N.l.P.P.E.R.S. has been operating since 1973, developing from a 2-week
playscheme to providing Out of School and Forest School activities 51
weeks of the year, using various sites across the town.
2025 has been a challenging year, mainly due to increase in National
Insuran￿ contribution and the rise in minimum wage. We have been
successful in drawing down DfE funding for a further year of HAF
(Healthy Activities Fund). This has s enabled us to provide healthy
activities and food to deprived children and young people and those with
SEN within the area and we are working with the Council to develop the
wrap-around programme for primary aged children. We have been
suc￿Ssful in bidding to this fund, which aims to create childcare places
to be readily available, when families require them. Whilst the places
have been created, the take up has been slow, due to the lack of
employment opportunities in the area. The family using our provision
have given positive feedback to the County. We are supporting the local
community in the development of the community garden and plan to
hold regular Forest School activities there. Moving premises has been
successful and the surrounding community are very supportive of our
group, often providing resources for the children. We are grateful for the
town council for the reduction in the rent of the building, we use as a
base. We are in the process of developing a childcare network across
all areas of childcare, within the town, to deliver a comprehensive
strategy to meet the needs of all children 0-18 years old.our fundraising
activities were minimised during 2025, initially by inclement weather
stopping events and the refurbishment of the local park, meant we were
unable to hold our annual fun day. However, we have started to provide
small indoor events and start a parent and toddler group to enhance our
activities
Recruiting new Trustees continues to be a struggle, most of our Trustees
are willing to re-stand. We continue to look to recruit a new manager in
the near future.
Pam Perry
Chairperson
ber 2025

SOFA
Newhaven Integrated Play Project Educational and Recreational
Services
For the year ended 31 March 2025
Prepared by Awesome Accountants Limited

Contents
SOFA- Statement of Financial Activities
Receipts and Payments Account
Balance Sheet
SOFA
Newhaven IntÈgrated Pl3yProjÉrtEducational and RecreatlonalSeNice5
Page2of6

SOFA- Statement of Financial Activities
Newhaven Integrated Play Project Educational and Recreational Services
For the year ended 31 March 2025
NOTES
Recei
Income from CharitableActrvTties
Investment Income
Other Income
Total Receipts
2025
21J24
118,123
78,262
244
334
1,181
Pa
m@nts
Charitablo Activities
Governance Costs
HRCosts
IIB.701
79,444
1,308
2,213
1,964
54.477
2,227
42,134
General Costs
Total Payments
18,492
20,992
67,566
76.240
Net incomel{expenditure) before tax for the reporting period
Net incomel(expenditure) after tax before investment gains/llosses)
Net incomel(expenditure)
42.461
11,878
42.461
11,878
42,461
11,878
PIOTES
2025
Reconciliation of Funds
rotal funds brought Fornard
Net incomÈlleypenditu¥el
Total funds carried fortvard
2024
25,425
13.547
11,878
25,425
42.461
67,886
SOFA
Ne¥vhaven IntegratÈd Play Ptojett Educationalaod ReC￿ational SÈrvio5
Page3of6

IC50*
Receipts and Payments Account
Newhaven Integrated Play Project Educational and Recreational Services
Forthe yearended 31 March 2025
NOTES
Recei
2024
ts
Income from Charitable Attivities
Co-op
Donationsfrom Pam Peny
ESCC
150
352
Grants
22,288
43,325
53.210
26,580
Parent Fees
PlayouVFunday
Refund
Totsl Incomefrom CharitableActlvbties
1,500
49.675
17001
118.123
78,262
Investment Income
Interest Income
Total Irfyve5tment Income
244
244
Other Incom•
F(tndrai5ing
Total other Income
334
1,181
1,181
334
Total Receipts
118.701
79,444
SOFA
Newhaven Inteyated Play ProjLrtEducational and Recreational Servrces
Page4 of6

Receiptsand PaymentsAccount
NOTES
2025
2024
Pa
ments
CharitableActivities
Funday
Resources
Totsl CharitableA(tivities
990
1,308
1,308
1,223
2.213
Govemance Costs
Legal and Professional Fees
Accountancy fees
Admin
Total Governance Costs
254
476
1,120
629
1,964
630
2,227
HR Costs
Pensions Costs
Salaries
Staff Trainin8
Total HR Costs
820
757
53,412
41,146
244
231
42.134
General Costs
Bad Debt
Bank Staff
Catering
Fundraising Costs
Insurance
54,477
339
43
542
1,005
2,539
180
180
Profe55ional Servicès
Rent NTC
979
911
185
1,467
Transport
Total General Costs
9,422
6,676
18,492
9,347
5,668
20,992
Total Payments
Net income/(expenditure) before tax for the reporting period
Net incomel{expenditurel aftertax before investment gainslllosses)
Net income/(expenditure)
76,240
67,566
42,461
11.878
42,461
11.878
42,461
11,878
SOFA
Newhaven Integrat￿ PlayProjÉct Edutationaland Recre￿onal 5Èryio5
Page5 of6

Balance Sheet
Newhaven Integrated Play Project Educational and Recreational Services
As at31 March 2025
MOTES
Fixed Assets
Tangible assets
Total FixedAssets
31MAk2025
31 MAR2024
68,066
68,066
24,346
24,346
Current assets
Dèbtors
Totsl Current assets
91
165
Creditors: amounts fallin
Other creditors
91
due within one
165
ear
Totsi Creditors: amounts falling due withln one year
11,1851
11.1851
Net current assets (liabilities)
Total assets less current liabilities
91
1,350
68,157
Accruals and deferred Income
Accruals
25,695
TotalAccruals and deferred income
270
270
270
Net Assets
270
67.887
Ca
ital and reserves
Profit and loss account
Total Capital and reserve5
25,425
67,887
67,887
25,425
25,425
SOFA
Newhaven Integrated PlayProjettEdutational and RecreationÈl Senfites
Pagè 6of6

SOFA
Newhaven Integrated Play Project Educational and Recreational
Services
For the year ended 31 March 2025
Prepared by Awesome Accountants Limited

Contents
SOFA- Statement of Financial Activities
Receipts and Payments Account
Balance Sheet
SOFA
Newhaven IntÈgrated Pl3yProjÉrtEducational and RecreatlonalSeNice5
Page2of6

SOFA- Statement of Financial Activities
Newhaven Integrated Play Project Educational and Recreational Services
For the year ended 31 March 2025
NOTES
Recei
Income from CharitableActrvTties
Investment Income
Other Income
Total Receipts
2025
21J24
118,123
78,262
244
334
1,181
Pa
m@nts
Charitablo Activities
Governance Costs
HRCosts
IIB.701
79,444
1,308
2,213
1,964
54.477
2,227
42,134
General Costs
Total Payments
18,492
20,992
67,566
76.240
Net incomel{expenditure) before tax for the reporting period
Net incomel(expenditure) after tax before investment gains/llosses)
Net incomel(expenditure)
42.461
11,878
42.461
11,878
42,461
11,878
PIOTES
2025
Reconciliation of Funds
rotal funds brought Fornard
Net incomÈlleypenditu¥el
Total funds carried fortvard
2024
25,425
13.547
11,878
25,425
42.461
67,886
SOFA
Ne¥vhaven IntegratÈd Play Ptojett Educationalaod ReC￿ational SÈrvio5
Page3of6

IC50*
Receipts and Payments Account
Newhaven Integrated Play Project Educational and Recreational Services
Forthe yearended 31 March 2025
NOTES
Recei
2024
ts
Income from Charitable Attivities
Co-op
Donationsfrom Pam Peny
ESCC
150
352
Grants
22,288
43,325
53.210
26,580
Parent Fees
PlayouVFunday
Refund
Totsl Incomefrom CharitableActlvbties
1,500
49.675
17001
118.123
78,262
Investment Income
Interest Income
Total Irfyve5tment Income
244
244
Other Incom•
F(tndrai5ing
Total other Income
334
1,181
1,181
334
Total Receipts
118.701
79,444
SOFA
Newhaven Inteyated Play ProjLrtEducational and Recreational Servrces
Page4 of6

Receiptsand PaymentsAccount
NOTES
2025
2024
Pa
ments
CharitableActivities
Funday
Resources
Totsl CharitableA(tivities
990
1,308
1,308
1,223
2.213
Govemance Costs
Legal and Professional Fees
Accountancy fees
Admin
Total Governance Costs
254
476
1,120
629
1,964
630
2,227
HR Costs
Pensions Costs
Salaries
Staff Trainin8
Total HR Costs
820
757
53,412
41,146
244
231
42.134
General Costs
Bad Debt
Bank Staff
Catering
Fundraising Costs
Insurance
54,477
339
43
542
1,005
2,539
180
180
Profe55ional Servicès
Rent NTC
979
911
185
1,467
Transport
Total General Costs
9,422
6,676
18,492
9,347
5,668
20,992
Total Payments
Net income/(expenditure) before tax for the reporting period
Net incomel{expenditurel aftertax before investment gainslllosses)
Net income/(expenditure)
76,240
67,566
42,461
11.878
42,461
11.878
42,461
11,878
SOFA
Newhaven Integrat￿ PlayProjÉct Edutationaland Recre￿onal 5Èryio5
Page5 of6

Balance Sheet
Newhaven Integrated Play Project Educational and Recreational Services
As at31 March 2025
MOTES
Fixed Assets
Tangible assets
Total FixedAssets
31MAk2025
31 MAR2024
68,066
68,066
24,346
24,346
Current assets
Dèbtors
Totsl Current assets
91
165
Creditors: amounts fallin
Other creditors
91
due within one
165
ear
Totsi Creditors: amounts falling due withln one year
11,1851
11.1851
Net current assets (liabilities)
Total assets less current liabilities
91
1,350
68,157
Accruals and deferred Income
Accruals
25,695
TotalAccruals and deferred income
270
270
270
Net Assets
270
67.887
Ca
ital and reserves
Profit and loss account
Total Capital and reserve5
25,425
67,887
67,887
25,425
25,425
SOFA
Newhaven Integrated PlayProjettEdutational and RecreationÈl Senfites
Pagè 6of6