GWEALAN TOPS ADVENTURE PLAYGROUND
A Charltable Incorporated Organlsatlon
Charlty No. 1177542
Company No. CE013529
Trustees, Report and Unaudlled Accounts
31st March 2025
PryorBegent Fry& Co
97 Meneage Street
Helston
Cornw211
TR13 8RE
Page I

Independent Exalniner's Report to the Trusteeg of
Gwealan Tops Adventure Playground
I report on the accounts of the Trust for the year end¢d 3 ia March 2025, which are set
out on the attached pages.
Respective Responsibllitles of Trnstee5 and Examiner
As th¢ Charity's Trustees you are responsible for the pr¢paration of tbe accounts, YOU
Lonsider that tt]e audit requir¢m¢nt of section 43(2) of The Charities Act 1993 (The
Charities Act) does not apply. It is my responsibility to state. orA the bilsib of
procedures specified in the General Directions given by the Charity Cornmi.%sioners
under section 43(7)0)) of Thc Charities ACL whether particular rnatters have come to
my attention.
Basi$ of Independent ExAminer'$ Report
My exan]ination was carripAI out in accordanLe with the General Directions given by
the Charity Commissioners. An ¢xamination iacludes a rcview of the accounting
records kept by the Charity and a comparison of thc accounts presented with those
records. It also includes consideration of any unusual items or disc105urcs in the
accounts and sccking explanations from you As Tn￿teeS concLming any such inatters.
The procedures undertaken do not provide all the ¢vidence that would bL requircd ia
an audit, and con8equently I do not express an audit opinion on the view given by the
accounts.
Independent Examln¢rt$ Statement
In connection with my examittation, no malter has come to my attention:
(i)
which gives me reasonable cause to b¢lieve that in any material respect the
rcquir¢mcnl$:
To keep accounting r¢cords in accordance with section 41 of Th¢ Charities
Act). and
to prepare accounts which agr¢c with the accounting records and coinply
with th¢ ￿Count requirements of The Chariti&8 Act.
have not been met. or
(2)
to which, in my opinion, attention should be d￿wll in order to enable a proper
und¢rstanding of the accounts to be reached.
A..J. Fry FCA
CHARTERED AcCo￿TANT
97 Meneage Street
Helston
Ctsmwall
TR13 8RE
Pa8e 2

## **GWEALAN TOPS ADVENTURE PLAYGROUND** 

## **REFERENCE AND ADMINISTRATIVE DETAILS** 

## **Company No. CE013529** 

## **Charity No. 1177542** 

## **Registered Office** 

Gwealan Tops AP School Lane Redruth Cornwall TR15 2ER 

## **Trustees** 

The following Trustees served during the year: Elizabethe Williams Catriona Venner De Cortez Joanna Howard Karl Gaunt Elizabeth Barrett Margaret Tremayne 

## **Key Management Personnel** 

Play Project Administrator - Kerry Raymond Playground Manager - Bridget Handscomb Playground Manager - John Fitzpatricl‹ 

## **Accountants** 

Pryor Begent Fry & Co 97 Meneage Street Helston Cornwall TR13 8RE 

## **Bankers** 

Co-Operative Bank 7/8 St Nicholas Street Truro Cornwall TR1 2RL 

Page 3 



GWEALAN TOPS ADVENTURE PLAYGROUND
Statement ol Flnanclal actlvllles
Forthe year ende(131st March 2025
Unrestrlcted
Fun
Restrlcled
Funds
2025
Totsl
Funds
Notes
2025
2025
2024
Income and Endowments from:
Donallons and Legacles
Chaiitable Actlvltles
Investments
5.522
34,723
5,522
303,869
2.624
218,806
809
269.146
Total Income
40.245
269.146
309,391
222,239
Expendllure On:
Charltable actlvltles
55,202
164,957
220,159
208,914
Total expendlture
55.202
164.957
220,159
208,914
Netlncome
-14,957
104.189
89,232
13.325
Translers between Funds
94.893
.94.893
Netlncome beforeother
galnslllossesl
79.936
89,232
13,325
Reconclllatlon of Funds
Total funds brought lonvard
127,799
9,210
137,009
123,684
Total Funds carrled lO￿ard
207,735
18,506
226,241
137,009
The statement of financial activilies includes allgains and losses recognised In the year,
All income and expendlture (Jerlve from contlnulngactivities.
Page 4

GWEALAN TOPSADVENTURE PLAYGROUND
Balance Sheetas ai 31st March 2025
2025
2024
Notes
Tanglblg A$s9ts
io
105,307
45,516
CurrentA55et5
Debtor5 and prepayments
Cash èt bank and In hand
122,676
122,676
104.356
104.356
Cunent Llabllltle5
Creditors. amounts lalllng due
wlthln 12 months
li
1,743
12,863
Net CurrentA55ets
120.933
91.493
TotalAs8et$ le55 current Llabllltles
226.240
137.009
Restrlctod Fund5
Restrlcied Income Funds
12
52.607
9,210
Unrestrlcted Funds
General Funds
Deslgnated Funds
12
173,633
127,799
173,633
127,799
Total Funds
226,240
137,cK)9
For the year ended 31st March 2025
The accounts Illnanclal statements) have been piepared In aceordancewith the Statementof
Recommended Practlce.. Accountlng and Reporting by Chartiies preparing their accounts In
accordance wlth the Flnanclal Reportlngstandaro appllcable In the UK and Republlc of Ireland IFRS1021
Issued In Ociober 2r119 and the Flnancial Reporting Stan(Jard appucabte In ihe Unfted Klngdom and
Republlc ol Ireland IFRS1021 and The Chartties Act 2011 and UK G¢nerallyAecepted Practice as rt appues
from I January 2019.
The accounts Ilinanclalstatementsl have been prepaied tofft a kne and fair view and have departed
from The Charttles (Accounts aTrd Repots) Resulations 2008 only to the extent required lo provide
true and faIr￿eW Thls departure has involved following Accountlngand Reportlng by Charities..
Statement ol Recommended Practice applicable to Charittes preparfngthelr accounts In accordancewith
the Flnancial reportyng Standard applicable in the UK and Repubuc of Ireland IFRS1021 issued In
October 2019 lather than the Accounting and Reponlngby Charfties: Statement ol Recommended
Practlce effectlve from l April 200S which has since been wr(hiJrawn.
These flnanci81 ststements wereapproved by theT￿￿eeS
On behalf of the Tru5tees......
Name.......
JI.LLI.A14S...................
Page 5

GWEALAN TOPSADVENTURE PLAYGROUND
NOTES TO THE ACCOUNTS
11} Prln¢lpal Accounllng Pollcles
The principal accountlng pollcles adopted in the p￿paratiOn of the tinancial statements are set
out below and have remained unchanged ftom the previous year.
lal Basls of PrBparatlon
The Charlty conslilute5 a public benefit enltyas deflned by FRS102. The flnancial statements
have been prepared In accordance wth Accouniing an(i Reponlng by Charities.
statement ol Recommènded Practlce appllcable to Charlties preparlngtheir accounts In
accordance wlth the Financial Reporting Stan(iard applicable in the UK and Repubknc of
Ireland IFRS1021 and The Charitles Act 2011.
Ibl Fund Accountlng
lil Unrestrlcted tunds are avallable lor use atthe dIScre￿On olthe T(ustees In furtheranGe ol
the Eeneral objecllves of the Charfty.
lill Deslgnated funds are unrestrlcted ￿ndS earmarkèd bylhe Management Committee for
particular purposes.
(illl Restricted funds are subjected io resirlctlons on their expendlture imposed by the donor
orthrough the lerms of an appeaL
1¢) Income
Income Is incluL1ed In the statement of financlal actfviiles when ihe chadty Is entltled lo
the income and the amount can be quantified wilh reasonable accuracy. The followlng
speclflc pollcies are applied to particular caiegories ol Income.
111 Income recelveé by way of grants, t1onatlons and gifts Is Included in lull In th8
Statement ol FinanclalActivtties when recelvable. Grants, where enlltlemenl is not
condliional on the delivery of a speciflc performance by the Charity. are recognised when
the Charlty becmes unconditionally enlltled to the grant.
lill Donated seNlces and facllitlos are included at the value to the Charltywhere thls can be
quantilled.
11111 The value of Se￿ICe5 piowded byvolunteers has not been Included In these accounts.
Ilvl Investment income Is Included when recelvable.
Ivl Income from charitable tr8dlng actlwlty Is accounted forwhen earned.
Ivil Income from granis, where related to performance and specific deliverables. are
accounted for a5 the Charity earns the right to consideration by its pertomance.
Idl Expendltuve
Expenditure Is recognlsed on an accrual basis as a Uability Is Incurred. Expenditure Includes
anyVAT which cannot be fLtlly recovered
111 Costs of generating funds comprise the costs assoclaled wlth attraGlingvoluntary
income and the costs of tradlngfor fundraislng purposes.
1111 Charitable expendtture compdses those costs Incurred tythe Charlty In the delivery of
its actlvltles and servlces for its beneficiarles. It includes both costs that can be allocale¢J
directlytD such aCt[￿tIeS and those costs of an indirect nature necessaryto support them
Iliil All costs are allocated between the expendtture categories of the SOFA on a basis
designed to reflect the use of the resource. Costs relatingto a particular actiwty are
allocated diTectly, others are appO￿"oned on an appropriate basis.
Page 6

GWEALAN TOPS ADVENTURE PLAYGROUND
NOTESTOTHEACCOUNTS
lel Nxed Asset$
Tangible fixed assets costing £250 are recorded at cost. then are written off ovei the expected useful Ilfe
off the asset-
Office Equipment 25% straight ilne basls
Plant and Equipment 2S% straight line basls
{fl Trade and Other Debtors
Trade and other debtors are recognlsed al the settlement amount due afterany trade discount. Prepayment5
are valued at the amDunt prepald net of any tiade dlscounts.
{gi Trade and Other CredltDr$
Short term creditors are measured at transactlon prlce. Other creditors an¢ provisions are recogn15ed wheie
the Charlty has a present obligatlon resultinE from a past event that wll probably result in the Iransfer of
funds to a third party and the amount due to settle the obligatlon can be measured or estimatsd reliably.
Credltors and provlsions are normally recognised at thelrsettlement amountaftei allowing fortrade dlscounts.
Ihl Penslon Costs
The Charity operates a defined contribution pian for Its employees. A deflned contrlbution plan Is one under
whlch the company pays flxed conrlbulions into a separate entlty. Once the contributions have been paid
the company has no further payment obligations. The conlrlbutlons ale recogn15ed as expenseswhen theyfall
Oue. Amounts not paid are shown as accrua15 in the balance sheeL
111 Statement ol Cash Fir>ws
The Charlty is exempt from preparing a statement of cash flows on the grounds that It Is a small charlty.
121 Status
Gwealan Tops Adventure Playground Is a Reostered Charlty INO. 11775421
and15 also a Charltable Incorporated Organls8tlon ICE0135291
{31 Ststemant ol Flnanclal A¢tl¥ltle$- prlor year
Unrestrlcted
Funds
2024
Restricted
Funds
2024
Totsl
Funds
2024
In¢ome
Income and endowments from:
Oonatlons and Legacies
Ch8rktable Activltles
Investments
Total Income
2,624
218,806
36,472
809
39.905
182.334
182.334
222,239
Expendlture
Charitable Activitles
39.750
169.164
208,914
Total Expenditure
39,750
169,164
208,914
Net Income
155
13,170
13,325
Transfer between Funds
Reconclllatlon of Funds
Total Funds broughtforward
55,064
-55,064
72.580
51,104
123,684
Total Funds Carried Forward
127.799
9,210
137,009
Page 7

GWEALAN TOPS ADVENTURE PLAYGROUND
NOTES TO THEACCOUNTS
141 Income frorn Donatlons and Legacles
Total
2025
Total
2024
5,522
5.522
2,623
2,623
{51 Income from Charltable Actlvltles
Unrestricted
Resiricted
Total
2025
Total
2024
Grant Income..
The National Lottery Icommunlty Fund
Cornwall Community Foundation IHIFI
Communlty Levelllng Up- Icornwallcounclll
Feeding Britlan
The Natlonal Lottery IA4A)
CommunSty Chest- B Ellenbrook
New Llberal Hall Ltd
HAF-Tlme2Move
LlnnetTrust
Clalre Milne
Garfield Weston
CIL Capital (Cornwall Counclll
Asda
Beinard Sunley Fou
Redrulh Charlty Trust
CCF Mlnlng Fund Icomwall Councll}
Prlmary Purpose Tradln8'.
Rental Income
66,250
6.486
18.815
5.950
19,468
66,250
6,486
18,815
5,950
19,468
63,148
9,200
61,636
350
5,000
24,500
7,000
30,295
30,295
10,000
10.000
93.705
2,677
5,000
500
10,000
10,000
93,705
2,677
5,000
500
10,000
1,500
12,177
12,177
14,704
Other Charllable Income
22,546
34.723
22.546
303,869
24,392
221,430
269,146
161 Income from Investments
Total
2025
Total
2024
809
809
Page 8

GWEALAN TOPS ADVENTURE PLAYGROUND
NOTES TOTHE ACCOUNTS
{7) Expendlture
Charitable
ActlvitSes
Totsl
2024
Charltable Aetlvltles
Waste Disposal
Health & Safety
Play Resources
Food
Support Costs
Wages
Casual
Staff NIC &PAYE
Pensions
Sialf TiainSng
Tiavel & Subslstence
Rent & Rates
Light, Heat & Power
Insurance
Repalrs & Renewals
Telephone & Fax
Prlntlng, Postage & Statlonery
Subscrlptlons
SundryExpense5
Cleaning
Marketlng & Promotlon
Consultancy Fees
Legal & Professional Fees
Dopreclation
Governance CD5t5
2,765
1.158
1.915
4,250
2,104
3,359
1.970
5,285
124.716
124,702
10,137
1.625
3,236
2,677
921
458
6,884
2,657
5,944
6,339
5,270
1,262
913
152
5,671
2.657
3,434
876
1,166
459
798
145
41
4,164
699
8,890
181
18,398
27
4,550
15,168
337
35.102
Accountancy Fees
Independent Exarnlnatlon of the Charltys Accounts
1,172
800
220,159
2,121
850
208,914
181 Net Income Belore Translers
2025
2024
Thls Is stated after charging:
Depreciation ol flxed assels
35,102
18,398
Page 9

GWEALAN TOPS ADVENTURE PLAYGROUND
NOTESTO THEACCOUNTS
191 Employee Informatlon
2025
2024
Number ofemployees
No employee received emoluments of more than £60,000.
The average monlnly numberof employees duringthe year were
¢alculated on average head crjunt.
Salaries and wages
Employérs Nl
Penslon costs
li
li
124,718
6.339
5,270
136,325
124,702
1,625
3,236
129,563
Key Management Personnel
The total employee benellts of key management personnel
35000
38,738
1101 Tangible Flxed Assets
Offl¢e
Equlpment
Plant &
Equlpment
Total
Co$t or Revaluatlon
As at IstAprll 2024
Addltlons
As at 31st March 2025
113,662
94,893
208,555
113,682
94,893
208,555
Depreclatlon and Im palrment
At 315t March 2024
Depreclation charge for the year31st March 2025
At 31st Narch 2024
Net Book Values
Atmaich 2025
68.146
35.102
103,248
68,146
35,102
103,248
105,307
45,516
105,307
45,516
Atmarch 2024
2025
2024
1111 Credltors
Falllng due wlthin 12 months
Trade Credltors
Taxes & Social Security
Other Creditors
1,666
9,997
1,200
12,863
Accruals and leferred income
1,300
1.743
Page 10

## **GWEALAN TOPS ADVENTURE PLAYGROUND NOTES TO THE ACCOUNTS** 

|**(12) Movement in Funds**<br>**Restricted Funds**<br>HAF - Time2Move<br>The National Lottery (Community Fund)<br>Garfield Weston<br>New Liberal Hall Ltd<br>Community Levelling Up - Cornwall Council<br>Cornwall Community Foundation - HIF<br>Feeding Britain<br>CCF Cornwall Council<br>CCF National Grid<br>Claire Milne<br>CIL Capital (Cornwall Council)<br>Asda<br>Bernard Sunley Foundation<br>Redruth Charity Trust<br>The National Lottery - Awards for All<br>Total<br>**Unrestricted Funds**<br>General Funds<br>**Designated Funds**<br>Long term reserves<br>Capital<br>**Total Funds**|Balance at<br>1st April<br>2024<br>£<br>-<br>16,625<br>1,400<br>1,000<br>-18,816<br>9,000<br>-<br>-<br>9,209<br>43,283<br>39,000<br>45,516<br>-<br>127,799<br>137,008|Income<br>2025<br>£<br>30,295<br>66,250<br>10,000<br>0<br>18,816<br>5,950<br>1,500<br>4,985<br>10,000<br>93,705<br>2,677<br>5,000<br>500<br>19,468<br>269,146<br>40,245<br>-<br>-<br>40,245<br>309,391|Expenditure<br>2025<br>£<br>-26,920<br>-66,250<br>-10,200<br>-1,000<br>-9,000<br>-3,750<br>-1,500<br>-4,985<br>-250<br>-5,000<br>-500<br>-1,500<br>-130,855<br>-54,202<br>-<br>-35,102<br>-<br>-89,304<br>-220,159|Transfers<br>2025<br>£<br>-<br>-<br>-<br>-<br>-<br>-94,893<br>-<br>-94,893<br>-<br>-<br>94,893<br>-<br>94,893<br>-|Balance at<br>31st March<br>2025<br>£<br>3,375<br>16,625<br>1,200<br>0<br>0<br>0<br>2,200<br>0<br>9,750<br>-1,188<br>2,677<br>0<br>0<br>17,968|
|---|---|---|---|---|---|
||||||52,607|
||||||29,326<br>0<br>39,000<br>105,307<br>0|
||||||173,633<br>226,240|



Purpose and restrictions in relation to the funds: Restricted Funds: Cornwall Community Foundation - HIF Health Improvement Fund to provide health & wellbeing services HAF - Time2Move Holiday Activities Fund from Time2Move The National Lottery (Community Fund) Core organisational funding from The National Lottery Community Chest - B Ellenbroek To support youth provision in Redruth The National Lottery - Awards for All To run a young volunteers programme Garfield Weston To support core running costs New Liberal Hall Ltd To provide food for the local community Community Levelling Up Cornwall Council New Industrial Standard kitchen Feeding Britain To provide childrens meals to low income families Asda To provide gardening spaces and opportunities Bernard Sunley Foundation To help improve community buildings Claire Milne To support inclusive opportunities for children with disabilities CCF (Community Capacity Fund) Cornwall Council To develop plans for sustainability CCF (Cornwall Community Fund) National Grid To provide meals and warmth CIL ( Community Infrastructure Levy) Cornwall Council To develop an inclusive play and garden area 

Page 11 



GWEALAN TOPSADVEPUURE PLAYGROUND
NOTES TOTHE ACCOUNTS
Designated Funds..
Lon8Temi Resetves
A reserye consIde￿d prutjent by the Trusiees to be kept
separaielyto usual workingcapttal.
Capltal
Fundto complywth the CharltySORP reiatlngto fund5 Used
to purchase capitaL Thls matched to depreclatlon annually.
1131 Analysls ol Nel Assets between Funds
Unrestricted
Funds
Restrfcted
Funds
Total
FIx8d Assgts
Net current assets
105,307
68,325
173,632
105,307
120.933
226.240
53.607
53,607
1141 Trustees Inlormaiion
Trustees remuner8tlon and expense5
The Trustees recelved no remuneiatlons and were noi Involved In any reiared paty transactlon.
{151 Related Party Dlsclosures
CoAtrolUngpaty
The organisation IscontroLLed by the Trustees (shown on paqe 11 and no slngle paty ¢ontroLs the Charlty
Page 12