FIVEWAYS PLAYCE)TRE
(A Co￿p￿DY LAmited by Gu3rante¢)
Compgnv Triumber- 6985726
FIVEWA YS PLAYCENTRE
(A Company litnited by Guarantee)
Charity Registration No.. 1131820
Company Number: 6985726
REPORT OF THE TRUSTEES AND
UNAUDJTED FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31AUGUST 2025

FIVEW'AYS PLAYCE.)TRE
(A Compally Limited by Gusrantee)
Company Number: 698i726
YEAR ELYDKD 31 AUGUST 2025
IP*DEX TO FIPIANCIAL STATEMENTS
Page No.
lodex
Truste¢s' Report
Statement of Financial Aetivilies
Bajance Sheet
9.12
Notes to the Financial S￿lements
13
Report of the IndepeJ]dellt Examiner

FIVEWAYS PLAYCENTRE
{A Comp#lly Limited by Guarmotte)
Company Number. 6985726
TRUSTEES, REPORT
The t￿stee5, who are also dir¢¢tors of the cbarity for the purposes of th¢ Con)panies Act 2006, present their report
with the financial statements of th¢ charity for the year endtd 3 Isl August 2025. The trustee5 have adopted the
provisitsns of Accounting aud Reporting by Cliarities.- Siatenient of Recommended Practice applicable lo chariti¢s
preparing their accounts in kecordance wilh the Financial Reporting Standard applicable in tl)e UK and Republie
ot Ir¢laJid IFRS 102) (effeetive l January 2019}.
LEGAL ADMIJYISTRATIVE DETAILS
Governillg Document
The organisation is a Company Itmited by 8uararktee (number 6985726). as defined by tbe Companies Act 2006,
incorporaled OD 8 August 2009 And registered as a charity (number 1131820) on 24 Septernb¢r 2009.
The company was established under a Memorandum of Association whi¢kn esLiblisiied the objects and p(Trwer5 of
the charitable con1p￿Y and is goyerned by its Articles of Association.
The members have gLiaranleed to rontribute a maximum of £1 each in the event of the ¢ompany being wound up.
Addre55 of Charity:
Florence Road
Brighto
East Sussex
BN16DJ
Trustees (who are dir¢etors for
Company 12w purposes):
Swan Benlon-Sta¢e (Appointed on 15 October ?02?)
Camille Heatlier Brinkworth {Appointed on 18 Juli 2022)
Mary La￿a Shaw (Appointed on 20 Decejnber ?023)
Dominic Arnall {App(Trirfrted on 3 October 2024)
Felicity Abigail Emilv Baird (Appointed on 3 October 2024)
Gillian Marguerite Huhndorf (Appointed on 3 October 2024)
Lucy Rebecca DuckwoTth (Appointed on 13 February 2025)
Lucy Reading
Playctlltre Mallager:
B#Dkers:
Royal Bank of Scotland pie
Brighion and Hove Branch
PO Bax JOO
Brigliton
East Sussex
BNI 9TE
Indep¢lldettt Examiner".
Le Forts
Winterto]J House
High Street
Westerham
TN16 IAQ
The charitable company was set up to conttnue tlie work of a charitj., Fivewavs Prt-school Playgroup. cliarity
niimber 305178, founded iii 1971, whi¢h ceased it5 activllies in August ?009. The reserves from that charity fortned
the opening balan¢es in tlii5 charitable company in 2009.

FIVEWAYS PLAYCE,NTRE
(A CompaDy Limited b) GU￿rantee)
Company Nllrnber: 6985726
TRUSTEES, REPORT- continued
GOVERNANCE A￿7> MANAGEMENT
Our tsustee board form the Of5*d registered body and are responsible foi tbe goverLiarL¢e of the charity. Tlie trustees
are not IIlVDIvEd iii the day-to-day manattement of the Play¢entre, this is delegated to ihe Playcentre manager. The
Tru%tee board ha) ¢oine froLTL a ronge ol ba¢kgrounds and bring differart points of view. insights aiid ¢xperien¢e to any
discLibsions, whÉle sharing the ethos and Viilues of the playwitr&
The tru51ees me¢t half temily (every 6 to 7 weeks).
PUBLIC BENEFrr
In shaping our objectives and plaTLning our octivities for yelw. the Tn￿tteS bave ¢onsidered the duÉies Set out in seLtioii
1715) ot the Chariti¢s AGI ?01 I to havE due regard to pubb¢ t*nefit. In particular. the T￿￿te5 hav¢ Considered hoiv t￿¢
plamied activities will contribute to the oyerail aim$ and objertives that they bave seL
The Tru$te¢s believe that the following paragraphs. specifically on the"Aitns and ObjectÈve5" and "Achteyements Dnd
PerformanGe" for the year, rela* in detail the benefit that the charity provides io the publi¢.
AIMS AND ACTtVlTIES
Fiveways Playcentsr is a play-based c(Jmmunity of children, parents and educators. We are proud of our reputation, built over 60
yeaTS, for providing tXL¢llen¢ incliisive tsnd fiffotdable d)ild C￿e.
We be15eve that knhildrer flourish besÉ:
throu￿} a 5e¢u¥¢. nurturing toundation of caT¢ and artention Ill￿ ineets rheir individual needs.
where they develop as social beings who build aT)d njaintain friendships. wail shk)re, take turns ond sjiow res￿¢¢.
wlier¢ enjo)'ment aiid haPpIn￿S are recottnised &s htsldinL* intrin￿G valu¢
where they cao engage their hand4 heart and head iii a varieiy of stimulating and inspiTinu play-based *¢tiviti¢s.
where the￿ are supported by a dtverse staff of different talcnts and skills ivho caj) proiqde tugh qi￿lity fftternctions to help
uiilock children's potenti81.
ALtiviiffes
Th¢ Pla)'centrt is open lor child¢are sessions Mondav to Friday following the Brighton and Hove A¢adeLIIIC
year, i.¢ . closing for end of tenn and half term holidays.
Tlie Playcentre offers a choice of &ll day stssional care and ofters ai) After School club uiitil 6piN.
Tlie Playcentre offers a holiday play SLheine for some of the iiiJ)e that local scliools are closed typically 3
day% dt E￿tEr and 2 weeks at tbe stsrt of the Sumiiier break.
The Play¢¢ntre offers a Breakfast Club io take in ¢l?ildren at 8ani and s&fel} conduct iheni to school at 8.30am.

FIVEW AYS PLAI'CENTRE
(A Cumpzny Linilted by GHardlltee)
Cothpxny ly￿Mber.- 6985726
TRUSTEES. REPORT- ¢oDtirtued
ACHIEVEMENTS PERFORMANCE
Objectives
To contirLue to provide affordable. inclLL8ive, high-qv&lity cb(Idcare.
Pgrfoinianc
Fivcways Playcentre continues to be all extremely popular choice in the arei mall)ly drivcn bv word of mouth and
sibl1￿8S of pr¢vioiis attendees. The settino coatinues to provide high quality, inclusive and affordable chitdeare and
ur children benefit from the ex¢¢nsive ehildcare experience and loogevity of our diYers¢ 5taft'team.
FuKdialsingperformunce
Throughout the year itaff hold se¥eral fundraising events: these include a firewotks display. Christmas and Summer
Fairs. These event$ are well attended by our families and are not only important for raising funds but also for
creating 8 sense of community amongst our parents.
We do llot pay professional fundraiser5. Fundraising costs are typically for the Ilire of EquipTnent at Fundrai.sin
iic¢ioiis.
Investmeni Incom
We only have Income from a ROY￿ Bank of Scotland Inlerest Earnillg Current Accol￿t.

FIVKIV A YS PLAYCEJTRE
(A Company Limiled b) Guarantee)
Company.Numbtr: 6985726
TRUSTEESt REPORT - continued
FINANCIAL KEVIEW
Re.Yervgs Polic
Unless Donations are designated for specific activities: ail funds are held Unrestricted for GeneTrl purposes.
Furtdi￿g svurces
53 /0 of kncome cotnes from die Parents of Children in the fom) of Fees. 460/9
comes trom the lo￿ AuthDrity Early Years Free Education scheme.
RISK MANAGEMENT
The Trustees have reviesved th¢ ZDajorrisks to which the Playgroup is exposed and are confident that controls are
iii pla¢e to mitioate ag8ii)st those risk-s.
RESERVES
All funds aT¢ held as unrestrtcted. It is our policy to l)old n)iLiimuin cash reserves in our bank account ol. circtt 3-monll)
statT costs, in order to LX)Yer periods of fluctuating inc£bme du¢ to school holidays. T])e current for¢c￿ted bdnk
balancis are reviewed at e8ch tr￿lee meeting.

FIVEV*'A YSPLA YCEIYTRE
IA Cniiipani Lini it¢il b). Guarantetl
Conipany Numb¢r: 698S726
TRUSTEF.8' REPORT- continued
TRUSTEF.S' RESPONSIBILITIF.S
The tril￿tee$ (￿ ho art direLtors ol. the c()mp11 nl, for tlie piirposes of Cnmp1c n> Laivl are responsible for pi'iPJI'III¥
the TILisILes KepoFI and fiiiiinLial slaleinents 121 1?ccor(lance i¥ ith appliiable 11( i¥ an(1 Llniled Kingdom Accoiiiiiinij
Standai'd.8 IUI)iie(l KEii&dom GLiierally Accepted ALcoiintiiig PraLtiiel.
Conipan}' laii. TeqLliI'es the Iriisteeq ID prep?L re Iinancial %ial¢ments for eaLlTr finaiicial Jear i¥'hicli ¥Jive a Ii'ue and tail.
iiicluiling Ilie ineunic and eNpendiiure. ol. the charTrlabl¢ compaii). lor ihai period. III prcparli1g￿ thosL' liiianLilll
slalen)ei)1s. the Trust¢es al'e iequii'ed to..
select suitable aLLouIiiin￿ policies aiid IheiTr applv tlieni COliSiSientl )'.
b%ei'v¢ Ilie niethods aiid priiiciples Iii the charilv Sl)RP.
pi-epai'L tlie fJiianLial sraienieJit% oil th¢ b7oiii&i CoiiLen] b<lSiS iinle%s it is iiiappi'opriale Iv presume th<it th¢
Lompany ivill contiiiue iii busine88.
Tlie Iriistee5 are responsible tor keepiiTrg proper ac¢oiiiiliniJ I'ecords i¥l)iLlI disclose ii'iili reasonable accuraL J. at ans,
tlie Compaiiies ALt ?006, and rL¥ulati()ns under Sectii)1Tr 130 nf Ilie Cliariiies Act ?0 I l. They arL' also respoiisil)le
li)r sa lebjiiarding tlie as%els uf IliL eonipany an(1 Iienc¢ lor iak inu rea%niialile step% foi. tlie prC￿enTion aiTrd deiection
This report ha5 bcen pi'eparcd in a¢¢ui'danc¥ i%-Iili the Sialeintiil of ReLuiiimeiiolgd Pra¢iiLe
AccouiilingT and
Reportiiig Chariti¥S and ill E?ccoI'(IdllLe iviih th¢ SpL¢ial I'rovisioiis ol. Part l S ol. Ilie Cnm panies ALt 2006 r¢latiniT
to sinall companies.
. Apbknved by the'l-ruilLe5 on ?3" Api'il ?0?6 and si¥Triie(l oiTr their beh<ill' bj.
C-4WILLC lootrll

FIVEWAYS PLAYCENTRE
(A CompaDy L.imited by Guaranlee)
Company ￿UMber. 698$726
STATEMENT OF FI.NANCIAL ACTIVITiES FOR
THE YEAR Ef4DED 31 AUGUST 2025
INCOME AND EXPETrIDITURE
Llllrestricted Unrestricted
2025
2024
Totsl
Totsl
Notes
INCOMING RESOLIRCES
Incorning resources from Generated FL￿ds..
Donations
Fundraising
Baiik interest
LettingTS Received
Cornmissions
500
1,433
3.559
1,340
1.022
1,470
5,848
3,490
Incoming resoiirces from Charitable Activities=
Brighton arLd Hove Vouchets
Fees Received
272,642
171,6?8
TOTAL INCOMING RESOURCES
RESOURCES EXPE.YDED
Cost of Cieiiei'atiiig FLinds-.
Fundr&ising
CliaTltable Activities
647
450.209
TOTAL RESOURCES EXPENDED
NET (OUTGOING)11,YCOMING RESOURCES
74,710
50,086
Fund BMlane¢s brought forward at I September 2024
Fllnd Balances Carried forward at 31 August 2025
There are no other gains or losses in eitlier year.
Thenet (oiitgTring)lincoming resources ftFrihe fillancial yeararosefrom continuing Trperdtiolls.
Y1)e notcs Set out on pages 9 to 12 part of these fu)ancial stateni¢nts

FIVFW AYS PLAYCENTRF.
IA Com p#n)' Lini illd bi CJua ranteel
Company Niiniber: 6984726
BALANCE SHF.F.T
AS AT 31 AUC.UST 2025
Notes
FIXEI) ASSETS
LeLlseliol(I Propi'ily
Cumpuii'l. F.quipmLiII
55.000
CURRENT ASSETS
Debioi's
Cash al bank aiid iii hand
11,888
269 813
183.17
L IA IIILITIES: amount% falling diie li ithii) one yeaT
Ci'Lditoi's
EXCESS OF CURRENT LIABILITIES OVER ASSETS
187 924
NET A.SSF.TS
FUNDS-
Unrestriited
Restricted
317,634
24?,924
13
Tlle iompciny is ejiliiled to eY¥inplioii fi'om aiidit uiidei. %ectioii 477 ul- Ilie CoiMpanie5 Act 20116 for the period
ended J l AIiLTiisI ?025. 1'h¢ iiiembers have not required tlie coinpai)v lu obtaill ail aiiilit of il% tinanLial 5taitiMent5
foi. Ihe period eiided i l Aiigiist ?O?i in aLLorilaiice witli Seclioii 476 ul- the Companies Act?006.
The directors acknoivledge ilieir responsibiliiies lor.
lal
eiisiiriiig th2¢ i ihe coiiipajiy keep5 ac¢i)uiitiiig records ￿hiLh compl). Ii'ith Section 386 and 387 of the
Cnmpanies Aci
7006 aiid
pi'eparing finaiici<il St￿teMentS M liich gile a triie dnd fair view ol the siale tsf al-lcllls of the COlMpaii)' as al
the eiid of cach IIiiE211Lial yecll- <iJid of li% profit oi. los% for elc ch liiiajicial yeE2r in &1CCOI'dance I￿7[h Ilii
reLlUiI'emeiits ol. Section 394 and 39) diid ivhicli oilierii'i.%e compl) Ivitl) the reqiiii'eiiiL'iils of Ilie Loinpanies
Act 2006 relating to financial stdteinent8, si) far as applicable to the coiiipany.
(bl
l-liese financial statements have been PTepai'ed in aLLordanLe witli Ilie special provi%ions of Part 15 1)f tlie
Conipaiiies Act )006 I'elatinu 10 small comp8nies.
'Oppkoved by the Trustees 011 2.7
April 2026 and %igned on Ilieir behalf hy
C 6tyJ/Lrd
MILLL (th,,IkAo£rtt
The note5 SCI oiit on Pc1ges 9 10 12 lorin pai'l of the.%e financidl Siatejllents

FIVEWA YS PLAI'CENTRE
(A Compan). Limited by Guaranlee)
Comp*Trv y￿￿ber. 6984726
NOTES TO THE FINANCIAL STATEMENTS FOR
THE PERIOD ETriDED 31 AUGLST 2025
I. ACCOUNTtNG POLICIES
Thtt following aLLouuting puli¢ies Iiave been applied consistently in dealing with items whiGI) at¢ coiisidered
material in relation to the fsnancial State￿ents.
(a) Basis o/'occouiYring
The fJiianGial statements ofthe charitable company. which 1$ 8 publi¢ benefit entity llnder FRS 102, have beell prepared
in aecordan¢¢ with the Charities SORP (FRS 10?I'Accounting and Reportitl8 by Cliariti¢s.- Statement (If Re¢oniL￿eIidtd
Practice applicable to ¢hic rities preparingtheir a¢LQllI)is in aclorda￿Ce with the Financial Keportinip Standard applicRbl¢
in the UK and Republic of Iieland IFRS 102) leffeciive l January ?015)': ReportiDs Standard 102 'The
Financilll Reporting Siandard applicable in the UK and Republi¢ of Ireland, 8nd the Companie5 Act 2006. The
financial statetnent3 bive been prepared undei the histori¢al ￿$1¢onvention.
Tbt Trustees consider that there ar¢ no njaterial uncertainties about tlie cliarity's ability to continLie as
going eancern.
(bl Fiind uLcountrng
The charity has variuys types of fuods for which it is respon5il)le. and which require separate disclosiire..
Unr¢stri¢ted funds- Funds whiih orv expendabl¢ al the dis¢retion of the TnL%ttes in fiJilherane¢ olth¢
objects of the charity.
Restfitykd funds- Funds whtch expendable as directed by the donoi.
(L") InLoming resources
Ineoming resviirtyes are accounted for as soon as probable entidemeDt is establ(5hed as follows..
Donations, legacies and fulldraising- on a receivable basis wben Capable of fjooncial measur¢inent and as
sooll as the ¢harilj is notified of its legal enlitlem¢nL aDd th¢ amounl due
is quontiliahle with reasonable certainty.
oti a receivable basi5.
Interest incon}¢
(d) Res<)urcgy expendt.d
esources expellded are accounted for on an a¢¢ntals ￿$1$ and include attributable VAT which callnot be
recovered.
i) Co%ts in lurtheran¢e ot charitable obje¢tiv¢s comprise all expenditure directly relatillg ÉO the objectives of
th¢ chuity.
ii) A(1￿IniStrativt expenditure ¢omprises Dverheads not directl> &ttribiitable lo direct charitsble expenditure.
These relate to the managtmeul of the Trusvs fuDd5. organisatioi)xl adminislration aJ)d uompliancc with
statutory r¢quiienients.
(É) rued As,f8t.¥
The Lh*rity paid, in August 2010: £1?5.000 for a ?5 year lease on the buildin8 firyjrn which it operates. This
Lost will be d¢pre¢iaied over the 25 Y¢a￿ of the l¢ase ni) a straight line basis.
Tli¢ cost ot corniputer equipment ivill be depieciaied on a Straight line l)asis at ?5 po per annujn.
Cush Floiv StatL*inenl
The charity ILas tak¢ll advantage of the exemption from the requirement to proi'ide a c&slL flow statement on the
grounds the￿ size d()es not meet the minimum thresholds as set out in the C.haritkes s￿teMent of Recommended
PractiG¢.
(s) P¥nsiopRS
The charitv commenced Autt)-Enrolment in a Workplace Pe￿IOn Sclieme with NEST (N-ation&l
EmpltsymLnt Savings Trust) effective October 2015

FIVEW.4YS PLAYCEKfRE
(A CompaDy Llmittd by Guar4Dtee)
CompaDy N￿￿ber. 6985726
NOTES TO THE FINANCIAL STATEMENTS- contillyed
2. DONATIONS
2025
2024
Co-op Commuiiity Futsd
Usborne Books
MisLell&n¢ou5
500
3. INTEREST RECEIVED
Royal Bank of Scotland
4. FEES RECEIVED
Playgroup and After Schools Club
314.261
328,974
5. DIRECT CHARITABLE EXPENDITURE
Salaries
Employers, N8tignal Insurance
Pensinii
Food & Mitk
Utilities & Services
417,052
15,9J I
6,551
7a33
16,254
2,972
3.470
4,489
26,840
4J89
12,440
300
370 ?0.5
15.742
5,117
6.487
17.322
2,733
1,306
3,086
Isurance
Educatioi) & Training
Play Equipment & .Materials
Buildillg Repair & Mainleiiance
Oth¢r Equipmeiit & N(aterials
Office Adniinistration
Independent Exatnination
Depreciation
4,220
9.857
300
6. EMPLOYEES
The avErug¢ nuTn6er of Ernpltsy¢¢s iji the year=
No employee received reinuneration excess gf £60.000.
io

FIVEWAI'S PLAYCENTRE
(A co￿partY Limited bv Gugrantee)
Company lumber- 6985726
NOTES TO THE FINkNCIAL STATE.MENTS- continued
7. FLXED ASSETS
Ltasehold
Property
Computer
Eqnipment
COST
As at 31 Aiigust 2024 and 31 August 2025
DEPRECIATION
As at 31 Au￿15t 2024
Cliarge For the year
70,1)00
781
5,000
As at 31 August 9025
NET BOOK VALUE
As at 31 August 2025
As at 3 1 August 2024
DEBTORS
2025
2U24
Feey
Othei. deb¢or
12,611
8,888
12,611
9. CREDITORS Amounts fallitig due within one year
2025
20?4
Accruals
7JlOO
300
Othttr Creditors
10. RELATED PARTY TRANSACTIONS
No Trustee r¢¢eived any remun¢ralion durittg the yekr.

FIVEWA YS PLAYCENTRE
{A Companv Limiied byGMar#ntee)
Compsny.Numb¢r: 6985726
I J. TAXATJON
Tlie Charit}. is coiisidered to pass t]ie tests set out in Paragraph 15chedule 6 Finance Act 2010 and iherEfoie it m¢ets th¢
definition of a charitable cOmp￿Y for UK Corporation Tak purposes. Accordingly, the Charity is poteiitially exenipt
ftoiu taxation in respe¢t ot incom¢ gr ¢apital gains received within categorie5 covered by Chapter 3 Part I I C'oipoi'ation
Tax Act 2010 or Section 256 0l.tbe T&kntitsn of Charguble Gains Act 1992, to the extent that 5u¢h income or gains are
applied exclusively lo cliaTit&ble purpos¢s.
J2, ANALYSIS OF f*ET ASSETS BETWEEN FUNDS
Uthrcstritted
Restricted
Total
2025
2025
Tangible Fixed Assets
Net Cuttent Assets /(Liabiliti&8)
S0,IMIO
so.000
J17 634
13. MOVEMKNT IN FUNDS
3 l August
2014
JIAugust
2025
Outgoing
Unrestricted Funds
General
523 001
Total Unrestrieted
Total Funds
242 9?4
There are no Restricted funds in either 2025 or2024.
14.
COMPANY STATUS
The Lompany is a private coiiipany liinited b5 guarantet and consequently does not h3N'e sl)kTe cRpital. E3di of
the members is liable to contribute an amol￿t not exceeding £1 towards tl)e assets of the company in t]ie event
of liquidation diwing the tnne ttlat the). are members or within 12 nionths aftenvasds.
12

FIVEIVA YS PLAYCENTRE
(A Company Limited by Guarantee)
CompaDy NymbeT.' 6985726
Independent ex&mlntr's report to tbe trustees of Fiveways Playeentre
(A comp*ny limiied by" guar*Thteel ('tk¢ Conipany'j
I report to tlie charity iNstees on my examination of the accounts of the Cotnpany for the year ellded 3 l August
2025.
Responslbilities b8sis of report
As the clii1rity's triistees of the Coinpally land its directors foi. t]ie Pllrposes of company law) you are responsible
for ilie preparatioii of the accounts lli a￿OrdanCe with the r¢quir¢ments of tile C(Tr]npzni¢s Act 2006 ('the 2006
Act,).
The charity, s gross income exceeded £2iO.000 and i am qualified to undertake tjie examination by
being a Member of the Institute of Chartered Accountat]ts iTh England and Wdes.
Havittg satisfied myself that the accounts of the Con)paJ)y are oot required to be audited llnd￿. Part 16 ofthe
2006 Act and are eli¥ible for independent eyaminalion. I repori in respect of m>, exainination of your charity's
&ccounts a5 carried out under section 145 of the Charitie5 Act 2011 j*he 2011 Act,). carrying out rny
examination I have followed the Direclions given by the Charity Couitnission under section 145(5) {b) of the
2011 Act.
Independent examiner's statement
I have COnLpleted my examination. I Confi￿ that no material matters have coine to ]ny atteDtion in connection
witli the eKamination which give5 me cause to believe that Ill. ally niaterial respect..
ac¢ounting record5 were Dot kept in accordance with section 130 of the Chariti¢s Act. or
the accounts do not accord with the accouiitlDg records. OT
the accounts did not comply with the applicable requiremei)ts Conceniing the fomi alld content
of account5 set out in th¢ Cliariiies (Accounts Ond Report5) Regulatio￿$ 2008 ot])er tlian any
requirement tl)2t the accounts give a "trne and fair" view which is not a matter considered as
part ot. an independent examillatioD.
I have no concerng and have come across no other matters iii Connection with the examinatiDnto which attention
should be drawn in th&s report in OTder lo enable a propel. undErstanding of the aceouttts to be reached.
Nichol95 L¢ Fort
L¢ Forts
Winterton House
High Street
Westerham
TN16 IAQ
15 May 2026
13