HARPURHEYNEIGHBObRHOOD PROJECT
STA TEMENT OF FINAVCL4L STA TEME￿Ts
FOR THE YEAR Eh'DED 31 A£4RCH2025
Charlty Reglslratlon NuM￿r 1188522

INDEPENDENTEX4MIAER'.S REPOR T TO
IL4RPURHEY NEIGHBOURHOOD PROJECT
CHARITYREG. NO. 1188522
I report on ihe accoimts oflhe Irwlfor iheirar ended 31 March 2025 which are
set out onpages l (md2
Respecti￿ MpDnsKbifrf1￿ of Trustees dndminer
As the Charlty's tntsle4S, are responsiblefor ihepreparalion rjfihe accounts..
you ¢OttY1d￿ ihai ih¢ al￿11 rwiir¢menl ofsecfton 144 ofihe CharilE
2011 aGI (IhgAcl) do85 nol apply.
Ji is ry ￿ponsIbl11ty to."
amine ihe accotmts lunder seclion 145 ofihe Act),.
-follow th8pr￿ed￿r￿$ laiddoKJn in the GepwralDireclions given by ihe
Charity Commissionern (vnderseclion J45(5)Ib) ofihe Charili¢s Ael),. ond
-stale H.hdherparll¢ular rkrfl¢rs hq¥v lo otff allenliopL
Basis ofindepend¢nl rtrominer s slalement
Afy exapninufion was carried oul in accordance with the GeneralDireelioAf giv¢n
by iho Charlty Commmsionern. An cramination Includes areviav ofihe a¢¢oupthg
records kept by the charity anda ¢OMpar￿0￿ ofihe accolintspr￿e￿I8dNYIh ihose recordf.
Il alsf) Encltldes a comideralion ofanj, uniisual T(Cn￿ ordAwlosures in ihe acGounts,and
eeknig explL*ftyliopzsfrom the Tn￿le￿ concerningarysuch mallers. 3kproced￿reS
tjnderlaken do noiproiTtd¢ allihe evidence thai would be rewur&lin an (¥udii. t7nd
COnS¢qm￿lIY do nol £wr&%s an audrf opinion t>n iht accounts.
Independenl tYaMiAÉr's slol•Nffi¢
In connection ry examinalion, no ppxrller has Come lo ryaltenlio
which gi￿ reasonable cawe lo believe thai in any materralrc¥pecl the
re￿lIr¢￿ents.'
- lo keep aewylltbtg TecoTdf in accop%kn wiihsEclion 130 ofihe Chariltes Act.. rJNd
-lopr¢pw acc(punts which accords with ihe accounling records andcomp4>
- wilh ihe accounftng rEV￿{r¥￿￿1tr ofikAGi h¢Tr¥no¢ been mel,"
2 10 which, in ry opinioo atlenlionshouldbe drown in order lo efftole apmper
umderstanding ofthe accounts lo be rea¢l￿d.
Geoffta,Kwaty- Dopthor (FCC4b
ROKMODALcourtiants
Charter¢dCerttfi¢dA¢counlanls
Office No.1 City flew Offic
99Long Street
Manchester
A424 6UN

HARPL'RHEY IVEIGHBOL:RHOOD PROJECT
PROFIT AND LOSS ACCOUVTS
FOR THE YEAR E,VDED 31 H£4RCH 2025
CIL4RITYREG. NO. 1188522
R￿theted
up￿estricted Income
Fuptsls
Total
2024
2025
INCOMJNGRESOURCES
(Noie 3)
Funding Income
126,945
126,945 111,055
Rent Generated Income
45,051
45,051
32.967
Miscellaneous Income
21,193
21,193
9.121
Commwiily Account Transfer
20.605
20,6115
24.020
TOTAL INCOMING RESOURCES
213,794
213, 794 J77.163

HARPL'REtEY.WFIGHJIOURHOOD PROJECT
PROFIT AND LOSSACCOUThTS
FOR THE YEAR ENDED 31 hURCH2025
CHARITYREG. NO. JI88522
Rutricled
Unraftrictel Income
(Not￿ 4-8) Fund
Funds
Total
2,025
Total
2,024
RESOLfRCE.SLIPE.NDED
PREMISES COSTS
Lighi, Heat & Water
Business Rates
13.213
1,585
J3,213
1,585
14,656
180
GE]VERAL AD.IU,VISTR4 TIPE EXPENSES
QuickBookf & Training
PlusnetBroadband
Other Administrulive ExpepLfes
EMPLOTrEE LOST
41
1.128
950
2.197
950
2,197
Staff Svuges & Salari&¥ Inclthling T(tK&f &Penlton
RefuFidY
Volunteer Costs
68.081
900
3.877
68,081
900
3,877
37.815
1.300
7.933
SFClJlUTY& AL4R
ADTAlann
I￿SuranCe
Firjp Protection/Health & Safety
Alainlenancc arydRepairs
Petty Cash Er.De￿%
CoRs141tanry & TTaining
Legol & OiherProfessionalFea¥
Bonk Chttrges & Commis.¥ion
Cleaning, tYth51e & Oilier Miscdlaneous Exp
Depreciation ofFixedAssets
Community, Groiip Iiiindipig
TOTAL RESOURCES EXPLFIVED
1.726
2.835
735
9.138
5.807
4.574
3.620
243
3.212
625
19.312
142.630
1,726
2,835
735
9,138
5,807
4,574
3,020
243
3,212
625
19,312
142,630
1. 765
2,506
J57
24.848
7,684
2.175
1.920
292
736
107.004
Net thcoming/(OM¢olng) resour¢es
71,164
71,164
70,160
Grns& Transfers befveenfunds
Ivet movemcnÉ in Fiinds
before other recognised trains/i70ss4y)
71,164
71,164
70.160
NET MOPF.M&VTlIVFUIVDS
TOT.4L FUNDS BROUG1￿ foRIYARD
TOTAL FUNDS CARRIED FOR WARD
71. 164
119.553
190, 717
71,164
319,553
390,717
70.160
249,393
SJ9,553
?00,000
?00,000

IL4RPURHEFNEIGHBODRHOOD PROJECT
BA￿CE SHEET
ASA T31 JlL4RCH21125
Rutrictsd
Unresti7Cted Income
Fundr Property
Tothl
2024
2025
FIXEDA&FETS
TANGIBLEASSETS
Nole 9
3,543
200.000
203,543 204,168
Note 10
TOTAL FLYED ASSETS
3.543
200,000
203.543
204,168
CURRENT ASSETS
Stock ond Work in Progr￿￿
Debtors andPrepayments
(Short term) inveslments
Cash in Hand ttPLd at Bonk
TOTAL CURRE.VT ASSE7
Nole 11
188.216
188.216
188,216 117,305
188.216 117,305
Creditors," amouFEI$
folling dug wttliin oneyeor
¢t CurrffniAssets/(hdbil4ti¢s)
Noie 12
1,042
187.174
1,042
J.920
187.174 JJ5.385
ToralA￿ets less CurrentLiqbdides
1911.717
21XI,0110
390,717 319,553
Creditors.. amounts
falling due after year
PrtFvibioNsforLiobilities and Charges
NET ASSETS
Nole 12
190,717
200,OfPO
390.717 319,553
FUNDS OF THE CIL4RIIY
Unr£slricledFundv
190. 717
190, 717
70,160
Restricledlncome Fwids
Endowneni Funds
Nole 13
200.000
2110,000 249.393
TOTAL FUIVIAS
Jgo. 717
200,000
390, 717 319.553
Signuthre of TrKstre(s)
Name
DALEJOHNSON
Date vfApprovql

HARPURHEYh'EJGHBOURHOOD PROJECT
NOTE TOACCOU]YTS FOR THE YE4R E]VDED 31.IURCH2025
NOTE I BASIS OFPIiEPAK4TION
1.1 BASIS OFACCOUNTLVG
These accounts have been prepared on the kn¥is ofhislori¢ cost (ucept thai inveslments are
at markt value) in uccordnnee with..
Accounting and Reporting ty CharilieJ- Statement ofRecopnmendedPrac¢tce (SORP 2011)..
and with Accounting Siundardg..
and with ihe Charities Act 145
1.2 CHANGE JNBASJS OFACCOU]VTING
The Charity's incornepassed ihe Receipts andPayments ihruhold 1k￿Year. the charity
therefore changedfrom Receipts andPayment acc(wnts to AccnialAccounting
1.3 CHANGES TO PREVIOUS ACCOUIVTS
There has been an adjmylment to thepreviow years accowir by eleminalingFiredAssets
from thepreviouy year's accounl.
1.4 N£4TERIAL DONA TIONS
MatÈrial Doiiatiorjs ipicltlde."
Manthester City Council
Cdd£nt Gas Ltd
06,866
60,079

HARPURHEYNEIGHBOURUOOD PROJECT
NOTE TO ACCOUYTS FOR THE YEAR ENDED 31 MARCH 2025
Nole 2 ACCOUNTING POLICIES
This standard list ofaccountiThgpolici￿ hos been applied ty t1￿ charity.
INCOMJNG RESOURCES
RecogntsiOA of incomiftg resources
These are included in th* Siotement ofFinrtncialAclivities (SOFA) when.-
the Charity becomes eiitiiled io the resourcu.-
the IPWIe￿ are virthally certasn ihry will receive the r￿OUrc￿." and
the monetary value can be meast4red with sufficient reliability
Incoming Resources wtih Rela¢edExpenditur¢
Il%ere incoming re¥OUrc￿ hove related £xpendilure (as withfundr(using or contract incomg)
the incoming reN0urC￿ and relaled e¥pendilure ore reported LK¥gross in the SOFA
Gr¢mts 4Ad donations
Grants donalions are only incIt￿ed in the SOFA when the Charity has unconditional
entitlement lo the resourcu.
ree14ims on donalions andgifts
Jncoming r￿0￿reeSfrOM T(Lr reclaims are included in the SOFA dt the same time as ihe
fl lo which they relate.
Contrrtctudl income andpeyformance relaledgrants
This is only included in the sofa once ihe relafedgoods or$erV￿£S Iwe been delivered
Gifts in knnd
Gifts in kind are accouniedfor at a reasonable estimate ofiheir value to the eI￿ri1Y or ihe
amounl dclually realued..
Gifis in kindfor sale or d￿1r{b￿￿un Izre included in the accormts as &4fv only wheN sold or
distributed by the charity.
GifiN in kindfor ￿e by ihe charity are included in the SOFA o¥ incoming resourcu when receivale.
Doftutedservices 41ndfacililies
These ore only included in incoming resourc￿ (wiih an equivalent amount in resourc￿ expended)
Ivhere the benefit fo tthe charity is reLYonably quantifiable. measurable and material.
The valueplacedon ihe$e reso¥rces is i1￿ ulimated value to the chap7ty ofihe seryice orfacility
received
Volunteer help
The value ofany voluntary help Teeetved is not ihcluded ihe accounts but u described th¢
Iruslees, annual report
Investment incon
This is included in the accounts when receivable
InvestmeNtgains and losses
This irtellld￿ anygain loss on thesale ofini'estments andanv goin or loss resulÉingfrom
revaluing investments to niarket value al the end oftheyear.

HARPURHEYNEIGHBOURHOOD PROJECT
NOTE TO ACCOU]¥'TS FOR THE YE4R ENDED 31 A£4RCH 2025
EVE,VDITUREAND LL4BILITJES
Liability recogxitlon
Liabilities are recognised soon ￿ there if a legal Constr￿tiVe obligation commitiing the ch(¥rity
toprry oul resources
Governance costs
Include costs ofthepreparation &ramination ofstalulory accounts, the costs O].tn￿Éee meetings
and costs ofany legal advice to tr74ste￿ opi governaiiee or eonstifytiorlal matters. They also include
Premises costs. made up ofR8nt Lighting and Healing. Adminutrative coxts including Telephone
and internet. postage andstationery, well ￿ Travel and other Yoltmleers exPe￿e￿
wilh perforntanee conditions
Where the charitygives a grant Ivi¢h conditionsforilspdymenff being tt specific levelofservice or
Èo beprovided, such grants are only recOgn￿ed tn ihe SOFA once Éhe receipienl of the grant has
provided the Specific service orouiptst.
Grantspftyable wiihoutperfornance condllion
These are only recogpiis¢d in the accounts when a commttment been made tznd there are no
condillop￿ to be me( relating lo ihcgranl which remain th ihe control ofihe charity.
Support costs
Supporl costs include centralfvnclions dndhave been allocaÉed io aclivity cosl calegoril￿ on a bagES
cOnS￿lent wtth ihe xge 0fr￿OUrC￿. eg alocdlingproperty costs byfloor areas, orpgr captla,staff
cosls by the ttme spenl artd other costs fy their wage.
AgSETS
Tangib1ef￿ed 4SS£tsfor use by ihe Charity
These ure capi(aliYed if they Can be tssedfor more ihtm oneyear. and c(Afl ot leasi £300. are
valued al cost or a reosonoble value on recelpl.
liiveslmemts
Investmertts quoted on a recognisédstoek éxelumge are vlllued at market value ai theyearend. Other
investment thfsets are included at tri￿tee5, best eFtimote or nillrkÉi value.

IL4RPLTRHEY ￿'[IGHBOURHOOD PROJECT
NOTE TO ACCOUNTS FOR THE YE4R LI'DED 31 AL4RCH2025
Note 3
Analysis of incoming resources
2025
2024
Analysis
MaNchester City Council
TJA Interacl
Cadeni Gas Ltd
Inconiefrom Rent
Transferfrom CommunityAccourtt
Othermiscellane￿u Income
66.866
55.082
00,979
45. Q5]
20,605
21,193
49.280
32.967
24,020
15,815
TOTAL INCO,VIVGRESOURCES
213.794
177.164

HARPURHEYIVEIGIIBOO'RHOOD PROJECT
NOTE TO ACCOUNTS FOR THE YEAR ENDED 31 hL4RCH 2025
Note 4
Analysis ofResouyces expended
Costs ofgengrating voluntary. incorne
Charilable aclivities Analysis
2025
2024
PREMISES COSTS
Light. Heal & Ivater
Bmyiness Rate3
13J13
1,585
14.656
180
GENER4L ADMLWISTRA TnEEXPE.VSES
QuickBooL* & TratNing
Pli(snet Broadband
other Admini5traiive Ewens
9511
2,197
1,128
EMPLOYEE COST
Staff Fyages & Salaries Jncluding ToKes
Refyndf
Volunteer Costs
68,081
900
3,877
37,815
1,300
7,933
SECUIUTY & AL4RM
ADT Al¢7rn1
Insurt7nce
Fire ProteeÉioA/Healih & safety
Mainleitance andRepairs
Petty Cash Expenses
Collwltaney & Training
Legal & Oiher Prof￿SE0ndlFe
Bank Charges & Commifsion
Cleaning, Ifrt3te & OiherMi¥cellaneouY EKP
D¥precialion ofFiredAssels
Community Group Fwiding
1,720
2,835
735
9,138
5,807
4,574
3,020
243
3,212
625
19,312
1,765
2,506
157
24,848
7,684
2,175
1,920
292
J,868
736
TOTAL RESOURCES EXPENDED
14? 630
107.004

IL4RPURHEYIYEIGHBOL'RHOOD PROJECT
OTES TO THE ACCOUNTS
Note 5
Support Costs
Fundrouii ChaTithble Governan¢ Tool Cost
aclivity
acltvity
activity
Support cost type
None
None
None
None
Total
Note 6
DETAJLS OF CERTALVITEMS OFEIPEM)ITURE
l Trustee ￿penseS
2025
2024
Niimber of t￿￿tee$ who werepaid ￿nSeS
None
ature 0f￿penseS
N/A
N/A
Total amoutpaid
2 Feufor Lyaminalion or tTudit ofthe accounts
2025
2024
Independen¢ examiner's or audilors'feesfor
reporiing on the ¢Jccouits
Otherfees le.g. advise. consultancy, accounlancy,
serviceS)pa￿ to the ind*pendenl exuminer or auditor.
1,920
1.920
1,920
1,920

1I4RPURHEYh'EIGHBOL'RHOOD PROJECT
OTES TO THEACCOLTrTTS
Note 7
Paid employE
7.1 Staff costs
2025
2024
Wagu. salaries and benefits in kind
68,081
37.815
2025
Nwmber
2Q24
Numbe¥
7.2 Average nt4mber offyll-lime equivalenl emplDyees in theyeor
Total
10

HARPURHEY.N'EIGHBOURHOOD PROJECT
INOTES TO THEACCOb7%'TS
Gmnlmdking
8.1 Total Value ofgmnts
Grants to
IndividuaLf
Total
NONE
NONE
Toiul
8.2 Granlmaking cos15
The Charily does notprepare accot4nts bayedon "Activity Bagif"
8.3 Maleri41 Grants to JnKithtions
Total Granl
Paid
Name$ ofInslilulions Purpose
Trt41
JJ

HARPURHEYhEIGHBOL'RHOOD PROJECT
OTES TO THE ACCOb,%'TS
]Vo¢e 9
TAVGIBLE FL¥EDASSETS
9.1 cost or valu#tion
Freehold
Other
Plant
Fiytures. aynrents on
Li7nd & Lar￿ & Vuchinery & Fii<ip¢gs & iccounl
Buildings Buildings )tor VehtCl￿ Equwments x¥sets Under
constrnctEon
BuluK¢e b/fvd
200,000
6.9J4
206.914
ditions
Disposuls
Trorysfers
Bulance tt>fvd
200.000
6,914
206,gJ4
9.2 AccunilateddeprecKation and impoirmenkprovisio
SLorRB SLorRB
y.
SLorRB SLorRB SLorRB
B&luRce bfvl
2. 746
2.746
Ckargeforiheyear
625
625
IMp￿rme￿pMVL%iO
Revoluulio
Disposals
Tmrysfers
Balttnce e/fvd
3.371
3,371
9.3 Net botsk v4lue
curr1edf￿rW￿rJ
broughtforward
200,IhPO
2￿.000
3,543
4.J68
21J3,54.1
204, 168
9.4 Revaluatio
The Charity not revalue ttnl ofherassets
Note lo Invgslmenl Assets
12

IL4RPURHEYNEIGHBOURHOOD PROJECT
NOTES TO THE ACCOUIVTS
Note 11 Debior5 and Prepayments
Amountsfalling due Amounlsfalling due after
withlii one Jyear
more thun one yÉ(Jr
Analysis ofdebiors
21125
2024
2025
2Q24
Trade debtors
Amounls dllefrom subsidiary associated
urtdertakngs
Oiher debtors (GiftAidReceivable)
rott¥l
Credikor& andAeeruals
J2.1 Analysis ofcreditors
Amotsn13falling due
Amt>untsfalltng due after
more ihan oneyear
2025
2024
2025
2024
PA YE outs(anding
ESTPensEon
Accura15 und deferred income
721
321
Toial
1,042
12.2 SecHrity OverAssets
13

HARPURHEYNEIGHBOb'RHOOD PROJECT
NOTES TO THE ACCOUNTS
Note 13
Endownmenl andRestncted incomefunds
13.lfvnds held
please give a briefducni?Éion ofanv ofthefollowing type offvnds held by the ekarity..
Perniarte￿ epdownmerttfvnds ￿E)
Expendable eHdownmentfyndg IEE)," and
R￿tricted incomefvtds. inclMdiAgspecial tr￿ts. ofihe clLarity @
FurtdName
7knPE.EEorR
Puryjose and Restrictio
13.2 Movement ofm¢yorfunds
balqnces Incomtfvg
Otstgoing Tranrfers Gains and Fttndbultwe
losses
C/fvd
Toialfynds
13.3 Trtmsfers behveenfithdy
Fromfurtd (nttmej
To Fund (nome)
Re￿0
Amouxl
14

IL4RPURHEY.NEIGHBObRHOOD PROJECT
IVOTES TO THEACCOUIVTS
Note 14
Transactions with RelatedP4rti4Y
14.1 Rgmuneration and benef¢t$
Na￿£ oflntslee
Legal authority(eg order,
or connectedparty governing d¢Kwnenr)
Amountspurdor benefit volue
2025
2024
N/A
name 0fth￿tee or legal authority
connecledporty
Amouni t)wing
2025
2024
due to lrystees ond
relatedparties
AtONE
NONE NONE
NONE
duefrom fr74stees
relaÉedparli&f
AtONE
NONE ]VOJVE
NONE
14.3 Oiher tran3action(s) ￿th ¢n4siees or relatedparti
Name of the Irmglee Relationshw lo
or relatedparty
Charity
Descriplion (Jfthe
trapLtoction(s)
15

Conran Street
Harpurhey
Manchester
M9 SPR
0161566 2690
Macc
THE CENTRE
Member
cen
Reg charity number. 1188522
REPORT OF THE TRUSTEES FOR THE YEAR EF*DING: 31° March 2025
This report itKiudes InfonnauoD requiTedby the Cbaritie5 (AcrA)utLts a￿lRe￿} RegulatioD5 2(KO athdthe Statement OE
RecO￿￿ended Prac(ice ftrAttourttlng by Charlttes 2(M)5 as aM)]Itable to cb&ities È]JtldodtD accounts ￿ the re￿Ipts aDd
payments basis.
ADMENISTRATIVE INFORMATION
The of the CFwltsbtÈ Intotp)ratÈd ¢Th82￿￿￿1) ICIO} is HawFry NeighlMJwIKth Pmject
The nailotjal location of thp principle office is at ThE Centrp. Conrao Stre& Hawkney. Mancbester. M9 SPR
The offtce is normally open Mollday Èo Friday Llk]ll till 3p]
The Board ofTrttsteeB:
Dale JohDSO]J
Jatnes Hibbert
Treasurer
Daniel Docherty Secretary
SiruttuTh. GowernaTh￿ & ManagemEnt
The cbarliy In￿letS shaLIDwage the affai￿ OE ￿ Cio and ￿￿Y for that exercise all the pow￿5 Df the Cio.
It is the duly of each t[￿￿Èe.
la) to exercise their tK)weTS and to wforni their funnious a Irth of the Cio ID way they decide lattb wouldFE rnost
IlkeLy io further the pu[trf￿es of the Cio" atKI
(b) to pxercise. In the perfo]mance Df th￿e fuDcrlorts. ALcb care aodskills a5 i$TeaS￿ab1e in the circ￿tatICe$ l¥ving Eegard Ill
particular to..
li) any 5wiai ktsDwledge or ￿K￿rIenCe tha( tybave or knld theTEselve5 Outa5 knvi]]g,' and
Ill) if they aci a5 a lTh￿ee Df the Cio in the OAUSE of a iM]siw or tmfe5sIo￿ to atsy $￿CiaL kDowledge or £RPErieDTr tbat
15 reasoKabLe to expect of a acti￿ in c(Kllse of tlwkithl of FA]sihw orprotes5iD
ObJe(dves & Acthpltles
TO FURTHER OR 8ENEFtfTNE RESIDENTS OF HARPURHEY ANOADJA¢ENf NE￿HBouRHoOD$, V4TfFtDLtr DISTINcT￿N OF SEX,
SEXUALOMENTAnON, RACE OR OF POLMW REL￿m)Us OR OThER OPINIONS BY ASS0¢￿TING TOGETHER TrIE SAID
RESIDENfsANOTHE LOeALAUTHORlnES. VOLUIITARY ANDOTHER oRGAtr41sAT￿￿S IN ACOMMON EFFORTTOADVANCE
EDUCAnoNANDTO PR(MDE FACILMES IN THE IPItERESTS OF SfKHL￿ELFARE FOR REcREA￿ONA￿0 LEISUREllME
OCCUPATIOM WtrH THEoBJE￿E OF WPROMNGTHECONtXTK)NS OF UFE FOR THE RESIDEEirs.
IN FuRT￿E￿ANcE OFThESE OBJECTS BUTNOT OTHER¥MSE THE TRUSTEÉS SFL4LL A￿1￿ p￿1￿￿.
TO ESTABLISH OR SECURETHE ESTABLISFIMEFff OFACOkthlUNFTY CEritREA14DTO ￿lI￿rAIN OR MANAQEOR C04)PER4TE
WTH ANY STATUTORY ALtrHoRrrY ]￿Tv.E m4INTEl&dj4￿ANO ￿lANAG￿NT OFSUCHACÉNTRE FORACTMTrES PROMOTED 13Y
THE CHARITYIN FLJRTHERANCEOFTHEABOIIEWZCTS.
NDthitLg in this shBII auth(Mlse aD application of tbe 01 th2 Cio foTthe purtMW vknich ale clJ8ritablt.

Revlewof ActivhlÉs &Aclthetllents
OurTlmethle spans Moth- Friday 9a]D. 7p￿ with addlti(KtslwdÈndsÈ&slons. we 0￿r￿e an oFn door policy.
N0rttLfvlatLch￿teyWe1lbeI[Lg Ce¥]tre attracts amuxl 70 partic4Mrtts pet week
Our free food cafe5 operate three days per weeL average daily attr]m4all￿ between40.70 ￿pIe.
Our y(MttIL se5siotss have ￿tWeell 15.30 young people atteThJiDg e￿￿week
Ma￿dem Meet Up work wfitbmÈn around me]Jtal bealtb. and IxloDgiDg th[￿gh theirtslktng otcies upto 15 peDple per
session.
We have reS[￿ded to 50Ctal issues that itllpict health SL]d] as bousiog and poverty bycollalM)ratiDg with GNYfu, Det*Jusdc
UK and New Ecolll)nJics Foulldation ard our InfoLTo￿lo￿ Advi£e & Guidance officer.
Slay and Play to be a space that emb￿lieS this ai]ll. COD[￿ adults with children toeTLgage in ]M)SIti￿ actlvtry but 8kn
SDualise and co]ll*rton issues thai affecL thetD and bE 5upponed to solutiotb We tÈspDnding to COELVeTsattons around health
needs especially arOUT￿ lung terttl health aTxI prEvettsble thaths.
We areretainitlg ￿0p1£ to certain sessio]tsiNrt aisomoving to access rthr se￿I(e5 aDd ]MDvi5iOtLS.
Ourre5idents are feeling Itstrned to and valued and this is ern￿we￿Illg thettL in Iheir lives. We are seeing the impacts Df having
5pa£es detheatEdto people bÈiDg listetxÈd to now pmgrÈss to swes of ￿1]0￿ and adyocacy. PeJpLe ptovide peer support LO each
other alld sharI￿g experience5 a[￿ adviTr brt also ttllPDrtattdy support arxl soltdarily. Iti5 a pIiviiege ￿ provide a venuethatis a
special ec05y5trtll for our CQLllmUOity.
Harpur}￿Y has cot]sistently always Trnked as a watd with hish leveb ol health issues apd we havè Tesp)ndod to collvets&lors and
collsvI￿tlort to explore a new stream o[wo￿ with the MatKhesterUniveTSity NHS Foutll]atiDll Tnstto tttEet a oeed notbEing ￿e(
we have fllndln8 in place to allow ￿ to 5UPP)rtppDple to ac￿ heaIth 5E]ViCES. ￿ signposted to clinic5, we will stsn doitsg health
checks ITr h￿￿se, the itnpact of thls ts blg as WÈ arÈ 5UPWttLog wle th access servic￿.
Fln&iwial review)
eApendltu
lighi hea¢ water
Isine5s rates
13.213
1,585
68.081
staff wages
Tot
These costs tepte5etrt thÈ total crAsi of keepiDg theljutlding 0￿1 a￿1 ID ac￿¥]1110￿ thata]lows sentr to be detiveEedto the public.
This re￿WaS approved by the Board oElhJstres on.... .. .
Chair