Charlty Rogistratlon No. 1150274 Company Number. 8175947 (England and Wala81 ACTIVATE RAWMARSH UMITED TRUSTEES, REPORT AND ACCOUNTS YEAR ENDED 31ST AUGUST 2025
ACTIVATE RAWMARSH LIMITED TRUSTEES, REPORT AND ACCOUNTS YEAR ENDED 31ST AUGUST 2025 CONTENTS Pago Legal and Administrative Infonnation Trustees, report Independent examin8rf8 report statent of financlal actlvlues Balance sheet Notes to the accounts 9-15
ACTIVATE RAV¥MARSH LIMrrED LEGAL AND ADMINISTRATIVE INFORMATION YEAR ENDED 31ST AUGUST 2025 Charity Numbor. 1150274 Company Number. 8175947 Tru81•è Board Diane Brownett Dr Joanna Baker- Rog8rs Piet8mefLq Hannah Postill LirKlsey G8imster (Appointed 5 February 2025) Socrotary Mlss Nlcol8 Jane Sharpe Registered offlc• & principle address High Street Centre High Street Rawmarsh Rolherham S62 6LN Bank•rn Unlty Trnst Bank plc Ninè BrindYplac8 4 Oozells Square Bimingham B12H8 Indop•nd•nl Examln•rlAccountant Christine H. Drydbb MAAT 75 Old Retford Road, HarKlsworth shelTId S13 9QY
ACTIVATE RAWMARSH LIMrrED TRUSTEES, REPORT YEAR ENDED 31ST AUGUST 2025 The trustees. induding thos8 who are also direct<xs of the company arNJ charlty for the purposes of thè Comp8nie8 Act. present this annual report and the unaudlted financial statements of the charity for the twefve months ended 31 st August 2025. Structur•, Gov•rnan¢• and Manag•m•nt The charity is a company limited by guarante8 and a registered chartty. The tharity's goveming documents ar8 its Memorandum 8nd Artides of Association. Policy decisions are taken by the trustees who whèn complete consisl of al le8St three and not more than fifteen persons who being individuals over 18. of which there shall be no more than three 'nornlnaled' individuals from Th8 High Street Centre. all of whom must support the charltablè oblectives. All officérs are elected into W8t at the Annual General Meeting and serve for a perlod of three years. Charhabl• ObJ•cliv To advance in life and relleve the needs of chiklren arKI young people their familK8S and people with Ihelr carfng responsibilities within Rawmarsh and the surrounding areas by.. (a) The provislon of reGrgalional arKI leisure time actiwties provided in interest of social welfare to encourage th81r partlclpalion in positive activities designed to Improve their conditi'ons of lrfe,. Ib) ProVrng support and actNlties whlch develop their skills, capacities and capabilities to enable them to partldpata in 80dety as mature and responsible irsdbviduals. Review of flnancial po•ilion Full details of the financial posltlon 8r8 set out on pages 7 and 8 support•J by the accompanying notes to the accounts. Rosorves polley Under spend from grant fundlng 1$ rolled Into the n8xt financial year and is not to be consider&J a8 retained eamings. HoVver, it is poliw of the charity that unrestricled funds whlch hav8 not been designated for a specific use, should be accumulated and maintained at a level equrvalent to belw8en three and six monlh's expenditure, thus mainlaining sufficient funds to avoid the need for overdraft facilities and to also cover potential redundancy. The trustees consider that thls18vel of reserves would prowde sufficient funds that. in th8 èvent of 8 signtficant drop in fundlng. they will be able to continue the charity's current actNlties Whi consideration is gNen to ways in vthich additional funds may be raised. Rlsk factorn Tho trustees have examined the main business and operational risks whith the charlty could face and are ensuring that regular reports are produced so that necessary steps be taken to reduce thos9 risks to acceptable levels. The major risks to which the company are exposed are examlned and reviewed regularly and syst8m5 have been establlshed to mitigate any risks identified. Major exlemal risks to funding are currently being vieWed by Ihe Management and Trustees. Intemal risks are minirnised by procedurès for authorisation of all transactions 8nd to ensure a high quallty of Servi delivery throughout the organlsation. Procedures and policies are reviewed to ensure that they continue to meet the needs of the organisation. |Pag¢2
ACTNATE RAWMARSH LIMITED TRUSTEES, REPORT (contlnuod) YEAR ENDED 31ST AUGUST 2025 Revlew of Actlvltl•s This financial year has been an 8xc8ptionally productive one for Activate. with a WKJe range of activities delivered throughout the week for children. yourvJ people and their families. In 2025, Activate was also designated as a Tier 3 Family Hub, securing additional funding in recognttion of our commitment to supporting young chiklren and their families auoss ttle communty. Over the past year, we hav8 embedded PEEP Early L8amirvJ into our playgroups, placing a strong 8mphasis on early development and creating enriching leaming opportunitS for our youngest children. We have contlnued to support dis8dv8ntaged chikyren during school fvJlidays and have delivered family trips designed to create meaningful shared experiences. Our weekly parentlcar8r social group has remalned a vital source of support. and we have expanded our offer by hosting monthly community-based social events, gmng pants opportunilies they may not otharwise have access to. Our youth club continues to play an important role In suppc*ting older children, helplng them bulld confidence, develop new skills and strengthen thelr personal growth. W8 continue to support children with additional needs through our weekly Funzone group. providing a 8af8 and inclusive space where they can sodallse. d8vebp new skills and bulld meaningful friendshlps. The Trusl8es continue to be very pleased wilh how th8 chth is delprfering it's new timetable ot schedu18d activili8S and delighted with the range of aclivltles we a able to provlde for local children, young people and famllles In Rawmarsh and the surrourKling area. Publlc B•n•fit The public benefrt of Activate. based in Rabwnarsh Rotherham. activities are that by encouraglng participation and involvement by young péoplè and their families they gain new expedences, m8ke friends, gain o)nfidence and receive personal and soclal development as part of a group aThJ as individuals and by tsking part in leisure kn'me and recréational actiwtse8 as part of ihe family or wSth thelr carers this benefits the relationships within t famlty settlng and gives opportunttles for social interaction and fun 5e5sionsloutings wth other famil who may be financially disadvantaged h8lping to improve their condltlons of Ilfe. By developlng their partlcipation, commltm8nL trfftrship and leadershlp they gain a volce and can influence aclivities which directly affect their lives and the lfves of their families. Activate provid88 support for young p8opl8 to develop their ¢)wn actiVitS lo develop their leadershlp skillslfundraising cgpacity and financial knowledge all of whlch d8v8lop their capacity in later life and as leader5 Within th8 communty ine8$ing their positive contribution wthin th8 community to improve the lives of others as well as their own. Activate is open to all young people in the Rawmarsh are8, which is an area of high deprfvation wlth socral and economic disadvantaged communities.
ACTIVATE RAWMARSH LIMITED TRUSTEES, REPORT (continued) YEAR ENDED 31ST AUGUST 2025 Director8 and Trust3 The directors of the charitable cornpany are also trusteès for the purpose of charity law and are referred to in this report as trust60s. The trustees named on Ihe company infomiatbon page have seNed throughout the year. Appolntrnent of members is verned by the Memorandum and Artides of Association of the charity. Tha board of trustees is authorised to aPFK>rnt new trustees to rrfi vacancies arising through r8signation or death of an existing trustee. In ev8nt of Ihe Charity being dissolved. every member promises to pay £1 towards the cost of dissolution and Ihe Ilabillllès incurred by the charity. No remuneration is paid to Ihe dlre¢tors and none of th6m has any interest in shares or retsined reserves. Nor have any trustees received any expenses f services provkled to the charity. Ex•mptlon8 The trustees have taken advantag8 of the exemption avallabl8 to small companles, Includlng the audlt exemption.
ACTIVATE RAWMARSH LIMITED TRUSTEES. REPORT (continued) YEAR ENDED 31ST AUGUST 2025 Statement of Trust••s' Responsibilities The trustees. who are also dlrectors of the compary and charity for the purposes of the Companles Act, present thls annual report and financk91 statements of the company for the year end8d 31 st August 2025. Thè trustees have adopted th8 provisions of the Statement of Recommended Practice (SORP FRS102. 2015) Accounting and Reporting by Charities in preparing the annual rep)rt and financial statements of the charity. Company law requires the trustees to prepare accounts for each finanual year which give a Irue and fair view of the stsle of affairs of the charity and of the incoming resources and application of resources for that year. In preparing those accounts, thè trustees are required to.. Select suitable accounting policies and then appty them nSisten11Y Make judgements arKJ estlmates that are reasonable and prudent Prepare the financial statements on the golng ewcem basls unl8S8 it is inapproprfate to presume that the charity will contlnue Its activllSes The trustee$ are responsible for maintsining proper accounting records which disclose wlth reasonable accuracy at any time the financial position of the charity and to enab them to ensur8 that the accounts comply with the Company's Acl 2006. They have general responsibility for taking such Steps as ar8 reasonably open to them to safeguard tho assets of the charity and to prevent and detect fraud 8fKI other irregularities. In so far as the trustees are aware: There is no relevant infomiation of which the company's IndepeTrJent Examlner Is unaware, and The trust868 have taken all steps that they ought to have t8ken to make themselves aware of any relevant InfomÉtion and to establish that the Independent Examiner is av4ar8 of that Information. Approval This report was approved by the trust on the 28 Aprll 2028 and signed on thelr behalf by,, Dlano Brownott (Trusleo - ¢Irperson)
REPORT OF THE INDEPENDENT EXAMINER TO THE TRUSTEES OF ACTIVATE RAWMARSH LIMITED YEAR ENDED 31ST AUGUST 2025 The fdlowing is a report on accx)unts set out on pages 7 to 15. R•$pective re8pon8lbllltle8 of truste08 and oxamin•r The trustees (who are a150 the directors of the company for Ihe purposes of company law) ar8 responsible for the preparation of the acGounts. The trustees conshler that an audit is not required for thls year under section 144 (2) of the Charities Act 2011 (the 2011 Act) and that an independent examination is needed. The chanty's gross inGome does not exceed £250.000 in thls financial year. l am qualified lo undertake the 8x8min8tion. being a quaIrfd member of the Assooation of Aco)unts'ng Technicians. Having satisf myseff that the charity is not subject to audlt under company law and is eligible for independent examSnalion, it is my responsibilty to: examine the accounts under section 145 of th8 2011 Act; follow the procedures lahj down in the general directh)ns glven by the Charity Commissioners under section 145(5Mb) of the 2011 Act; and stAle whether particular matter5 have come to my attenoon. Ba818 of Ind8p•ndont examlnorf* rnport My examination w8s carried out in aOrdanc wlth th8 general dlrectlons grven by th8 Charity Commission. An examinatlon indud8s a review of the accounting records kepl by the charity and comparlson of the accounts presented with thcKse records. It also indudes ConsideraOn of any unusual items or disclosures In thè accounts. and seeklng explanations from you as trustees concemlng any such matters. The procedures undertaken do not provide all tha evidence that would be required in an audit and consequently no opinion is given as to vthether the account8 present a Irue and fair view, and the report 18 limited to those matters 8et out in the 8tatement below. Independent examlnerfs statemènt In connaction with my examination, no matter has ¢x)me to my attèntion: 1. which giv88 me reasonable cause to believe that in any mater181 respect the requlrements.. to keep accounUng records in accordance with section 386 of the Companles Act 2006. and to prepare accounts which accord with ihe accounting records and comply with the accounting requirements of sectron 396 01 the Companies Acl 2006 8fKI with the mèthods and principles of the Statement of Rei>Jmmended Practice: Accounting and Rep)rtrng by Charltl8s have not been met; or 2. to which, In my opinion. attention should be drawn in order to enab18 8 proper understandlng of the accounts to be reached. Signed: Dated: 28 April 2026 Chrlstine H. Drabble MA4T 75 Old Retford Road. Handsworth. Sheffield. S13 gQY |Page 6
ACTIVATE RAV¥MARSH UMITED STATEMENT OF FINANCIAL ACTIVITIES (INCORPORATING AN INCOME AND EXPENDITURE ACCOUNT) YEAR ENDED 31ST AUGUST 2025 Notm Unrestrict•d fund8 R•8tr1ct•d fund8 Total 2025 Total 2024 Income from Donations and Legacies Charilable Actlvltl68 207 2,186 2.393 570 Grants and contracts 74,434 956 74.434 3.879 132.418 Other charitsble adivilies 2.923 2,532 3.787 3,054 83 77 576 38 139 827 Other Incom8 Totsl Incomlng R080UfC•8 Resourc•s Exponded Expgnditure on Charitable Activltles 2,853 68,644 71,497 76,182 Adminlslratlve & Support 31,2 69,806 101,075 Net Incomlng r080vrc•8 b01• tran8f•rn (25.607) 7.770 (17,837) 53,908 Transhr• Statement of Accumulated Funds Accumulaled funds broughl forward Net Incomlng resourc8s for the year 50.754 6.922 45.982 96,736 42.828 Accumulated funds carried forward The Statement of Financ4al Acliwties includes all gains and losses recognised in year. All the activities of the charitable Ccmnpany are classed as ntinUIng. Comparative income arKI gxperKliture figures for each fund are strthm in the notes.
ACTIVATE RAWMARSH LIMITED BALANCE SHEET AS AT 31ST AUGUST 2025 2025 2024 Curr•nt assots Debtors & prepayments Cash at bank and in hand 6.769 7.481 93.107 100,588 Totsl current assets 84,767 Llabllltlos Creditors & accruals Amounts falling due in one year 10 Net Gurrent assets 78.899 96,736 Not a$8•ts Funds of thè charlty Unrestricted fiJnds Restricted funds 43.832 50,754 11 78,899 Ex•fflptlon frorn audlt F the y&8r 8nded 31st August 2025 Ihe company w8s entilled to exemptlon from audil und8r seclion 477 of the Companles Act 2006 re18ting to srnall companles. Directors, respOn&blI10s.' No tnembers ha r8qUK8d the company to obtain 8n audft of its accounts fv the yew In queStn in accord8nce with sKlion 476," The directors acknowledg6 responslbilities complying wilh the requKements ol the Companies Act 2006 with resped k> accounting records and the preparatlon of accounts. These fin8n¢ial statements have been prnpwed in aGdance wilh the special pmvisins relating to small companies subjecl to the small con7panies regimè. The trustees dedare that they have approved the financlal statements al)ov8. Signed on behalf of the charity's trustees on 28 AprFI 2026: (Al Diane Brownett Trustee Nicola Sharpo Co. Socretary |Pagc 8
ACTIVATE RAWMARSH UMITED NOTES TO THE FINANCIAL STATEMENTS YEAR ENDED 31ST AUGUST 2025 1. Accounllng Policios Basls of the ratlon of th• accounts The finaneial statements have been prepared in acCI)rdan wlth Aco>unling and Reportlng by Charities - Statement of Recommended Practice applicable to charities preparing their accounts in accordance with the Financial Reporting Standard applicable in the UK and Republic of Ireland (FRS102) (effective 1 January 2015)- (Charities SORP (FRS1021 arKI the Companiès Act 2006. Actlvate R8wmarsh Llmlted meéts the definitlon (rf a public benefit entsty under FRS 102. Assets and liabiliti8s are Initial recognis8d al historical 5t or transaction value. unless otherwis8 Stated in the relevant accountlng pollcy note(s). This is the first year that accounts have been prepared under FRS 102. Th8r8 is no rostatement of comparatlves requlr8d. Income and 8xp8ndltur8 have be8n analysed In the accounts using natural classlficatlon. In accordance wlth the provlslons of Sectlon 4.6, SORP 2015 (charltles below the audit threshold). The charity also megts the requirements for exemption for preparing a statement of cash flows. Golng Concam Nota After reviewing the charity's forecasts and projections and its r8serve$, the trustees have reasonable expectation that the charity has ad8qual8 r8sourc8s to conb'nue in operation for the foreseeab18 future. The charity therefore continues lo adopt the going ojncem basis In preparing its financial statem8nts. Incomlnp r•Bour¢•8 All mater(al Incoming resources have been Induded In the Stslement of Financial Activltles when the charity is entitled to income. when ary perfomance conditions attached are MOL when it 18 probabte that the income V11 be received and when the amount can be measur8d reliably. Donated goods and 8•rvice8 Donated facilities and s8Nlces ar8 recognlsed in tha accounts, at the amount the charlty would p8y in the open market for a s8Nrc8 8quivak8nt lo Ihat being donated, when the charity would otherwise have purchased them and the value can be measured reliabty. Donated goods for the charity's own use are recognised as inc¢yne. at their fair value. The contribution of general volunteers is not recognised as income in the charity accounts. Res<rceS Expènd All expenditure is included on an accrua15 basis and is re(wnised as a liability is incurred. The charfty Is not registered for VAT and accordlngly resources exp8nded are shown gross of Irrecoverable VAT. Grants R•c•ivab Grants. including grant5 for purchase of fixed assets. are renISed in full in the St8lement Of Financial Activity in the year in which they are receivable.
ACTIVATE RASH LIMITED NOTES TO THE FINANCIAL STATEMENTS (contlnued) YEAR ENDED 31ST AUGUST 2025 1. Accounllng Policiès eontlnued Charftable Expenditure Charitable expenditure includes the direct (x)st8 of activities and depreciatK)n on related assets. ere such costs relate to more than one functional cost category. they have been allocated on an estimated propjrtional basis. Expendllure is acwuntwj for on an aclyuals basis. Depreciation The cornpany Current has no fixed a&sets to depreciate and therefore no depreciation poliGies. Unr•8lrlcted Fund8 Unrestricted fund6 are don8nS and other incoming reswrces receivable or generat&J for the objects of the ch8rity withoLrt further spe(alb8d purpose aThJ are avallable as general funds. Ro8trld•d Funds Restricted funds are to be used for specific purposes adhere to tt)e condtllons as lald down by the donor. Expenditure which meets these cnteria is charged to the appropriate fund. 2. Income from donatlons and hgacl•• Total 2024 2025 Restricted Donallons Anonymous donor General donallons 250 207 320 2,393 570 Income from grfts 8nd donations £2,393 (2024- £570) of which £2.186 {2024- £250) was attributsble to restrlcted and £207 {2024 - £133) was attributable to unrestricted funds. A re$trf¢ted donation of £2.000 was received anonymously from a local man who selects a dlfferent "cause. each year, The donation is to be used for food vouchers for those in need and for toys - 8.g. at Christmas forfamilies who are deprived. 3. Income from charilable actfvhl•s Total 2025 Total 2024 Grants & Contracts 74.434 132.416 1.522 Advty sessk*ns Income from Subs 1,963 Session slaff supplied 317 78.313 136.203 Income from charitable adivities £78.313 (2024 - £136,203) of which £75,390 (2024 - £108.900) was altribulable to restricted and £2,923 (2024 - £27,303> was attributable to unrestricted funds. |Page 10
ACTIVATE RAWMARSH LIMITED NOTES TO THE FINANCIAL STATEMENTS (contlnued YEAR ENDED 31ST AUGUST 2025 Grants and contracts Totsl 2025 Total 2024 Awards for l- Bright Beginniros Children in Need 14,917 2,454 15.OLNJ O-op Trlp 2025 Garfield Weslem - 2024 Green Soclal- Walk, Talk. P•Jdlo Groundworks .Te9CO Masonic Chwitable Fund 10.000 3,730 24.9CM) S,0 National Lottery - Play. Leam & Grow Posl¢odo NeIghIr$ RMBC - Carers RM8C- Coundllor Fund RMBC - HAF 150 24.639 25.803 5.871 8.000 1,000 7.887 RMBC - Youth fund The Brelms 6,000 Tho Charles & Elsi8 Sykes Trust Truslhouse VAR- Famlty Hubs VAR- Mental Heath 4,055 500 132,416 Woodroffe Benton 74,434 4. Income from Investments and other incorn• Total 2025 Total 2024 Bank inteiest Sundry Income 2.532 2.217 837 2.532 3.054 |Page 11
ACTIVATE RAWMARSH LIMITED NOTES TO THE FINANCIAL STATEMENTS (contlnued) YEAR ENDED 31ST AUGUST 2025 S. Analysls of expenditur• on charitablo activities Actlvltle8 und•rt8k•n dlrecty Granl fundlng of Support costs Support Total Charltabl• Activltle• 68.644 29.578 101.075 £69,806 {2024 - £73.065) of the above costs were attributable to restricted funds. £31.269 (2024 - £12.854) of above costs were attributsble to unrestricted fvnds. e. Support Costs Actlvltl•• und•rtak•n dlrectly Grant fundlng ol 8a•l¥ of allocatlon Total P•yroll Co•ts Manag•mont Fe• Artual co 234 234 Actu ¢¢)rt 26.681 26.681 Admlnlstratlon Costs Actual cost 110 397 17 Insuranc• Actu1 colt 218 874 1.092 Mark•iln9lPubllclty Actll cost 220 241 Bank Charg Actu cost 179 179 Attlll cost 774 (350) 424 28,416 1,162 29,578 The treatment of invoices from Hlgh Street Centre Ltd, for 8errfic88 provhled has changed. Previously Charged directty to the grant fvnd, they are now charged to Activate Rawmarsh as a management fee and r8charged intern811y to the funds. 7. Employe•s The average nurnber of empkiyees during the perb)d is 4 part-tlm8 (2024.5). calculated on th8 basis of full time equivalents. w8S 8s follows: Number of employ••s Sorvlc• Dellv 2025 2024 2025 2024 Wages and Salaries Employers NIC Employment Ailowane8 Pension 49.4 3,253 {3,2531 39.992 1.237 (1.237) 50.740 40.991 IPage 12
ACTIVATE RAWMARSH LIMrrED NOTES TO THE FINANCIAL STATEMENTS (contlnued) YEAR ENDED 31ST AUGUST 2025 8. TrustO•8 None of th8 trustees (or any persons conn8Cted wilh them) received any mmuneration during tk year. 9. Debtors Total 2025 Total 2024 Trade Debtors Accrued Income Pre-paid Expenditure 933 6.500 6.769 6,769 7A81 10. Cr•dftor•: amoun18 falllng duo wlthln one ar Total 2026 Total 2024 Trade Creditors HMRC Tax Pension Deferred Income Accruals 625 291 245 2,267 424 3,852 2,923 429 s68 |Page 13
ACTIVATE RAWMARSH LIMrrED NOTES TO THE FINANCIAL STATEMENTS (continued) YEAR ENDED 31ST AUGUST 2025 11, Restricted Funds Balanc• 01109124 Incom• dlturn Trans 31108125 Awards for All- 8rlght Baglnnlngs Chlldren In N•ed 2024 20,000 11.102 8.887 4.354 2.215 1,326 VAR- Famlly Hub• VAR - Famlly Hub•- Floorlng Garfl•ld W•8t•m - 2024 4,000 12.646 8,869 3.777 Gr•on Soclal - Walk. Talk. Paddl• Groundwork8 -Tesco 374 500 9)0 Masonlc Charltable Fund N8tlonal Lottery - Play, Loam & Grow 1,936 4,343 1,281 Restrlct•d Donatlon• 31 2,494 150 2.118 150 (596) 1,005 RMBC- Counclllorn Fund RMBC - HAF (Eastor 2024)} RMBC- HAF ISumm•r2024) RMBC . HAF Inter 20241 RMBC . HAF {Summ•r 2025) RM8C . Youth April 24 to March 25 RMBC - Youth Aprll 26 to March 26 Th• Br•lm• 4.087 3,887 1,907 67 3.414 17.138 4.667 2.659 11.874 4.117 1,245 3.490 755 1,728 1.280 1.774 6208 Trlp• & M•al8 Tru•lhou•o 597 7,687 45.982 7,687 69.806 77,576 18.685 35,067 Awards for All - Brlght Beglnnlngs - provides two nurturing playgroups fi118d with 88rly leamlng opportunities. PEEP actvilies, singing. snack times, and Pnty of social interaction for both children and adults. A frierKIIy space lo support earty davalopmènt and strengthen parent-child relationships. Children In Need 3 year programme from June 2025. A fun social youth group for disadvantaged thildren with additional needs to meet weekly afKI enioy fun outings together. Garfield Vveston - Proving core fvndiThJ to SUPF)Ort the running of Adivate from caretskers cost to room hire and fur)ding fun activiligs wthin in each group. Groen Soclal presvlbing - ProvKled blue and green acttvities within nature to support mentsl health including w81king and paddle trf)ardir¥J. |P4ge 14
ACTNATE RAWMARSH UMITED NOTES TO THE FINANCIAL STATEWIENTS (contlnued) YEAR ENDED 31ST AUGUST 2025 11. Rè8trlctad Funds Groundworks T¢0'$- ProvKl8d a trip to Holmfirth for parents of children with additional needs and fv40 fun outings for bmo children's youth Glubs. Masonlc Charitable fund - 3 y8ar progrdmme for all children that access Activate, to be used to provide a variety activities. National Lottery- Play, Loarn & Grow- Offers two welcoming early-years play groups designed to support children's social developmentwhile giving parents a friendly space to connect. RMBC Counclllors Fund- Funded an Easterfun weekfor all the children in our community groups and a one off easter party Sothe children can have fun and ensure everyone has a meaningful E8Ster Experience. RMBC Hollday Actlvlty and Food ( HAF East•r 24.Summw 24 & 25, Wlnt•r 24)- sclK)ol holiday activities for disadvantaged children. RMBC Youth Aprll 2024- March 2025- A weekly youth club for older children to have fun, build confidence and learn new skills. Sessions include a mix of activities such as baking, 8POrts. games and creative projects. The club provides 8 safe, frlendly space where young people can soci81ise, try new thlng8 and develop independence. RMBC Youth Aprll 2025- March 2026- Aweeklyyouth club for older children to have fun, build Confidence and le8m new skills. Sessions include a mix of actlvltles such as baklng. sports, games and creative projects. The club provides a safe, friendly space where young people can socialise, try new thing8 and develop independence. The 8r•lm8 Trust- A weekly social support group for unpaid carerB to support each other to make friends and build tholr confKlence. Trusthouw- Contributlon towards the Project Coor(linator8 salary. VAR - Th• Famlly Hubs programm•- wovTrded an enhanc8d weekly playgroup, provtding fun and nurturing acliwties. VAR- Famlly Hubs - Floor- supwt to relurblsh the hall floor to prowde a safe space for hildren to play |Page 15