REGisfERED COMPAMY NUMBER: CE023323 (England and Wal￿)
REGISTERED CHARITY NUMBER: 1192291
rt of and
nandal Slaten*nts
For The Yèar End
TC BriJTnhead LTrnitgd
Har5cornbg House
1 Darklake View
Plymoulh
PL6 7TL

Conlents
e Finanelal Stalem
For Thè Year Ended 30 N vember 202
Pag•
Rèwl ol the Trn￿t
1 to 4
Inwndent ExomIn￿3 Rwrt
Sfatsm&nt ot Financlal kti¥ibOS
Balanee Sheet
Note$ to thè FlnoncSal Sta1￿*[
8 10 13
D•tall•d Statsment ol Flnan¢lal Aeilv511es
14 to 15

R Islered number: CE023323
ort of Iha Trustees
For The Year Ended
O November
The trustèas prèsént t￿1¥ repor( al0￿ vAth linan(>al staterrents of Ihe chatity. for period ending November 30,
2024. The trustees have adopted the prwsions ol Aecountrng aThJ Rep￿'r￿j by Charibas." Statèmènt ol Rècommèndèd
PraCt￿e applicable lo charit￿ p￿pai7￿j their accounts by thè Finamixl Réporbro Standard applicab￿ in the UK and the
Rewbtic of lieland IFRS 1021 lètt6Cliv8 1 Jarwary 20191.
OBJECTIVES AND A¢TIVJTIES
ObJe¢tlves and alms
To enrich thè lives ol the Southwest of England by wovbding top-not¢h facilities lor recreation and lèisure act¥viliès. such
as Skateboarding, s¢ooteiÈng, BMK and other wheefaj srorts. We take pride in the positNe impact our activities have on
thè eA)rnmunty. fostering a sense of pride aThJ COn￿tIon amng our stakehokjers.
Slgnmlcant act5￿1￿$
Provision of an indoor skawrt for the use ol the pubThc lor all action SFX>rts IskatelN)arding, scooteriry, BMX.
roller skabngl. and associated art and lifèstylè aetMli8s, irduding tuition arKI education. With the inclusion of wheeled
sports in th8 2021 0lyrnpil￿. there has been a surge in ￿terest in them. at¥J the prov15M)n ol a saffj, sup8rvis9d
environrnent for to paitipate i8 a massive benefrt to interested parties.
Public bonal
The Truslees pay due regard to the Charity commiss￿ guidarte on Wb1￿ banafit and mèet Ihè requir8m8nts of the
Charities Act 2011. We offer an it￿r skai6paF1( lor usè. fosteri￿ a sense of (xynmunty.
Prime has imple¥n¢nted luition progTamme5 for its participants ts) futher their skils in their chosen adwrtiès, helly￿j
them progress and benefit their over￿1 mental ￿ phys￿ health. The national goveming body lor skateboarding.
Skateboard G8, has parknered ￿th us w Sever￿ iniualives and spe¢rf￿ sessions, including First Flips, a program
spgcilieally designed to introduce absdute beginrers to the ol skatthardiw a]Kl teach thèm naw Skills.
Alongside the skaiepath la¢ilty, ￿ have a150 been activety promothThJ art aThJ creativo projects lor our communty to gel
involved in.
It is hoped that thls wll eV0￿e as the ¢harity d¢)es 10 er¢OMK￿ many more indusive woiects {graffi¥i workshops,
community art installations. 8ntr8preneurig1 opporiunitw I
Granlmaking
Prim8 doesn't have a specific grant-making pclicy. Still. *ith Ihe W ol i￿￿pen(lent advisor Paul Read, we have been
exploring areas where improvements Can ba madé pot8ntial aprAutions c2n b8 developed.
Volunleer$
Our volunteer programme is currenity in its Tnfarw. bui it is g￿nIng mornentum, and the interest from the parents ol
participants is vary po&tivè.
Volunteers help thè charity in many ways alr8a(ty. fr(Nn assisting wrth tu￿1. organising group sessions, maintalning
ramps, and building. With fundrasing events, volunteers play a Cr￿al rde in ensuring the sn700th operation and salaty
of all parbcipants.
As a skatepathyarility Prime is vgry proud of involvement ol the wder community around us.
The parènls, guardians of the pèrtvipants the users tsmsefv85 realise the bgneffts of the facility to society as a
whole.
Page 1

Pvlme Ska
15tered num
CE
Re
rt of lh8 Trustees
N vèrnber 2024
For The
ACHIEVEMENT AND PERFORMANCE
Charitabl* actlvltles
r tuition and sport-specific beginnèr SesSHy￿ have continua4 to gain populaTity. a signlficant nurnb8r of
participants attending every week to enhance thoir skills a￿1 build a swal nehvork. The continued int9r881 in Prime as a
lacllSty, is a testarngnt to excitiTrJ growth aThl rATrt8nDal ot our actsw1￿. where we receivè 2 or 3 fir8t-tima visiiors
nearfy every weèk to thèsa sess¥)ns.
One n¢ti¢oable rise thi8 year has been Ihè nuthr of chthknn wilh speciat ￿Ucat￿1nal needs. Thè thatth)arding tuition
gfves thes8 children someihiNJ to focus where they directty see Ih8 rèsufts ol their efforts, arid the gains arè apparent
Many parents 8xpr8SS to th6 instructors thal tru$ is the enwronment their childrèn look lomard to the rTK)St in the week.
With th8 oYYJoing expansion ol our socid Spa￿ and refreshment laalities, thanks to inTrtkqtive5 like Warm Spaces, wo
have observed a growth in the use ol thg park and its (MJt¢Joor Soci￿ spaces. ￿th many young PgOFAo coming to hang
out where they feel comfortable and sate.
The swal space is now almost C4)rnpI8tg SIKI B alraaty teirg ublised ty 0th8r (yjmmunity groups aYKI lor uses outgde of
the wheeled 5POrts P￿me fr￿uSeS on.
Publ￿ events. such as live [nUS￿ gws. dubs. *DrkshoF6. arxl Art fairs, ha￿ ￿1 been wd¢omed.
The continued txovision ol S￿ffic evenirvJ sessHyB for varf(wJs groups has ￿ io an increase In parbcipanls. 'Old Man
Mondays,, Board Murns Club. and Ihe 'Gids aTrJ Non.Binary' nwJhts are now very much part ol many Feo*'s weekly
Calendar, wilh people enjoying not just the skatepart< itsdf bul the Spa￿ and comTwnity.
Primè Skatepark has averaged around 2,6W partKapants per m¢y)Ih Ltsing Ihe faulibes tsvèr tha past 12 months. This
represents an Incrèase from the prewous year, ￿, as mentKJn8d eathw, a Signif￿artt porion ol these usèrs are now
and lirst-time ￿ers. This is an excellent refiection on the facilrtw and swport Ihat Prime Fyowdes. as several new
council.lunded outd(x)r ¢¢Mcrete sh2teboard have be8n built Mthin a 20-mile radius of Prime, which rJ)uld detract fro
thè usaoè of our padc Sb'll, youngor skatets aThJ scooter riders arè now ￿ng tuition so thai they are better equipp&d
to use ouldoor parks satety.
This relationship our participants is akn ￿)r￿d io axpth in the rxKning Thunths and years, as olh8r cwncll-funded
skateboard have expressed int•TèSt in having Pkime Skatepark provKk tuition at thwr facil￿e$.
Prime has ortcè again been proud to wek(Yne sevèral schooLs (Juriry the summer terrn enrichment weeks. This
ahyays proves very rK)pular, and the feedback we Tec8Ne frotn both the thildren and tha schools is hugely wsitive.
Home-educatsd ehildren are ￿s0 regul￿ visitors arKI users of th8 park, provKling many of thern with the physical activity
Ihey need and their parenislcarers wth a wekome kn.ffle c￿. This i8 especialty notoeable amoTrJ individU￿S with special
educatI￿al needs, who benefit fvom preser￿ of a certifiad insinjctor. that in mind. Prime wiu be looking to have
sorne of thè volunteers trained and certffied by Skateboard GB.
FINANaAL REVIEW
Flnanclal position
Tolal in¢oTning resources for the year W8Tè £185,862 Iperi¢xl eThle(1 30.11.23.' £179.891 wh*h primarity came fr
adM￿S1On lees grant income.
In rotal we spent £174,230 Iperiod ewklèd 30.11.¥3: £171.9401 last year saw InC￿aSed costs In profess￿nal lees lor th8
ar¢hitect fees.
Ovarall the charity generated net ncoming ￿oUrCeS of £11.632 (perio￿ erthd 30.11.23= £7.9511.
Tot￿ cash at bank has incrèased to £5.718 Ip8ri¢xI erwAed 30.1123= £610}.
Total funds held by the tharily is £113.&30 IpericKI eThl8d 30.1123: £101.6981 ol whth tt*re aro £nil in restri¢te(I funds
(period ended 80.1 1.23.. £nill.
Prfnclpal lundlng ¥our¢8s
The charfl￿$ pri￿1p& sour¢6 of lurds comes from the usets paying lor *ssions in thè skaiepth.
Primg wll orta again host rnore eX￿tsng and interosthng fvndraigrwJ events to expand Ihe skatapark into a more s(Kial
space.
Page 2

Prlm8 Skatè
Istered num
Re rt of the Tru518
For The Year Ended 30 Novèmber 2024
FINANCIAL REVIÉW
R859rve$ policy
Prime has a policy lo hokj lunds in res¢rvo for any necessary expenthture on iha U￿sp a￿1 malntanancè of Ihè fa¢ility-
As the rarrys are consiruded trorn WOCKJ. there is a n&&J to be able to iepair or rwAace them when n￿eSsary.
This isnt something that can be planne¢J lor, so hO￿l￿g furKls is necessary to make repairs wh&n nèedèd, ènsuring thè
skatepark operates Sale￿ and as intoTh*1 for its users. Therefore. the charity to have reserves of£30,000.
Prtme would not bg able lo continue rf the Incom¢ from atttrndan¢e aTrY tuthising grants does nol ¢xvèr the running
costs ol the premises. rent and associatèd ovèrhèads.
Currentty, the charity holds free reseN&s of £113,330. ThÉs had built ￿ in preparation for the devebpTTbent work and
new café at the yemi%as. which vrfas implemented since the of the year.
Golng
11 is tho trustee's OFIn￿￿ that, gwan thè lèvèl of reserves ar￿ the charitls perfomance &nce the year*nd. the ¢harity IS
a going concem.
STRUCTURE, GOVERNANCE AND MANAGEMENT
Governlng document
The charity is controllod by its governing dctumenL its o)nslitulion of a charitatAe ￿Co￿Ora￿ organisation dated 5
Octobèr 2020.
The organk8ation undèrwent a reorgarusal.on +JuriThJ thts a(*ounling kYrvJd frorn a Community Enterest Ccmpany ICICI to
a Charitable Incory￿rated Organisab"on ICIOI. Tha transfer t¢x>k on 12 November 2020.
Reerultment and apptsinlment ol new trustees
Trustees have been sought from Intere￿ed part￿S VAK) ha¥È an rrlterest in the charrvs aims and objectives. We have
sought lo appoint trusièès with a knovA8dgeable backgrou1￿ in skateboarding, art awKI CDrntnunity participation. Thgy
hav8 Ihèn bèan inlèNiew8d arKI asked how they wll contrrbjte arKI h* the ¢harity progross in h￿re.
Organlsatlonal structurè
Overall re5ponsiExlty for managing the Charty is ve*ed in the
Day-to4ay, tha charity is rnar￿ed by Nicholas Marker as its CEO. The trust￿S hokl nx)nthly mÈèting$ to thep them
inforrned aboul aims and obi&*ves ol ￿9&ni￿lOn.
REFERENCE AND ADmINISTRATv￿ D￿AlLs
Regisla￿d Company number
CE023323 {Engla￿ and Wa￿)
R•gl$t¥r¢d Charity number
1192291
RèglsièrÈd ottieè
23 Com[nerci￿ Road
Plymouth
Devon
PL4 OLE
Trusteè
Mrs S Lewry Iresigned 31.5.251
J H Knight
A D Partridge Ire$igned 22.7.251
Independent Examiner
TC Bromhead knmited
Harsoombe Hous&
1 Oarklake View
Plyrnoulh
Devon
PL6 7TL
Ps1,115._
Approved by order ol Ihe I￿ard ol truslees on ... .... ...
.. and signed on its behalf by..
Page 3

Prlme Skale rk
numbw: CE0233rJ
Re
ort of the Trustee
30 November 2tr24
For
J H Knight- Trustee
Page 4

Inde
endenl Examlnerfs Rè
rt to tha Trust88s <rf
Prime Skate
ark
R Istertd numbèr: CE023323
Independent examlnefs report to the trustees ol lknme skatep￿ flhe Company'l
I report to Ihe ¢harity trustees on my examination ol the accounts of thè Company forthe year erKled 30 November 2024.
Responslbllltles and basls of report
As the eharity5 trust8es of lh8 Company land a150 its Or￿lOr$ lor tho purpo￿ of company lawl you are responsible for
thè praparation of the awounts in accordance wilh the requir¢rnents of tho CrKnpanies Act 2(X)6 Ilhe 2006 Act'l.
Having Satisfi￿ mysdl that Iha accounts of the Company are not re￿ir￿ to be authled under Part 16 of the 2006
and are &ligibl• lor indèp8ndent 8xarrdnation, I report in respect of my examination of your charitys acwunts as Carried
out unthr SC￿lon 145 of the Charities Act 2011 llhè 2011 Act). In carryiThJ out my examination I have followed ihe
Direc￿￿ given by the Chaiity Commisskn urKler Seclion 145161 Ibl ofthe 2011
Independent examirterfs slaternenl
I have completed rny examination. l eonfirm Ihat no matters have come lo my altention in conneetlon with the
examinallon giv1r￿ me cause to believe=
accounting records were not kept in rèspect of the Company as ryirwj by Wion 386 01 th& 2006 Act,. or
thè accourrts do not accord wth those r￿r￿S.. or
th¢ acwunts do not cornply with the accountiwJ requ1rw￿nts ol Saction 396 of the 2006 Act other than any
raquir8m8nt that the accounts gwe a tsue a￿1 fair view whK* is wt a rnatter considered as part of an
independent examination., ot
th6 aceounls havo not ￿en prepared in accord￿ vAth Ihe meth(x15 and txinciples of the Statemenl of
Rèeomrnended Practi￿ tor accounting and repL¥Thng by charih¢5 laM)k'oable to charibes prepwing their accounts
in ￿rdance with the Finartial Re￿iNj StarKlaril aWicable in the UK and Reputlic of Ir&land IFRS 10211.
I havè no a￿1 have come across no othèr matters in C(x)n￿ti￿ wlh thtr examination to which attention should
be drawn in this report in order to enabl8 a urKlerstaThYiTrJ of the accounts to be reached.
Neil Stevens ACA FCCA
TC Bromhead Lirnited
Harscombe House
1 Darklake View
PlymoE>th
Devon
PL6
Date..
Page 5

Prfmo
ststgment ol Flnanelal Activiti
30 November 2024
30.1124
Total
lunds
30.11.23
Tot
lund5
Unrestit
fund
Resthcted
fv￿ts
Notes
INCOME AND ENDOWMEp¥fs FROM
Donations and legacies
£501
1501
Charltabl& acthvltles
Skat&part
14
183
Total
14.932
185*2
EXPENDITURE ON
Charitable actlvlyes
Skatepark
159
NEf INCOME
11.632
11.632
7.951
RECONCILIAnON OF FUNDS
Total fund5 brought tgrward
101.698
101,698
93,747
TOTAL FUNOS CARRIED FORWARD
113,330
101.698
The notes lomi part ot these finan￿￿ statements
Page 6

Prlrne Ska
R 1$tW￿ numbor: CE0233
B￿an
e Sheet
O November 2024
30.11.24
Total
lunds
30.11.¥8
Total
funds
Unrestt
fur
ReStr￿lad
funds
FEXED ASSETS
Tangible assets
43,910
CURRENT ASSETS
Debtors
Cash at bank
89,744
S.718
89,744
82,213
610
95.4fj2
95,462
82.823
CREDrroRS
Amounts falling due Mrithin ts[￿ year
10
(14.6631
(14,6631
(15,1281
NET CURRENT ASSETS
67.695
TOTAL ASSETS LESS CURRENT UABILMES
117.025
117.025
111,605
CREDITORS
Arnount5 falling due after rn(￿e than one year
(3.6951
116951
19,9071
ASSErs
FUNDS
Unrèsiri¢t￿l lund$
13
113330
101,698
TOTAL FUNDS
113
101,698
Thes8 finan¢kql statements have been prepared in ￿rdance with the provisions atvlicable to charitabig
cornpanies sui¥ect to the srndl companies iegime.
Thè finartial staterrents apwoved by 1he Board of Truste¢s anLI aulhorised for issue on
. and were sIgn￿j on its behJf by..
ht- Trust8e
2£,11,2S
The notes lom) part of these finawal siatements
Page 7

Notos lo the Financial Ststemenls
d 30 Novemb
24
ACCOUNTING POLICIES
8asi$ of pr&parlng the flnanclal slaternents
The financial s¢at8ments of the charitaL4e irtowation organisation, which is a putth¢ benolit entity under FRS
102, have been wepared in aeLX)rdarte wilh Ihe Charities SORP IFRS 1021 'Accounting and Reporring by
Charities.. Statement of ReCOrnm(￿ded Pracb"ce 4Wuble to chari1￿5 preparing their accounts in accordance
th Ihè Financial Reporting Standard apFAiL¥tle In the UK and ReWE￿ie of Iieland IFRS 1021 leffectiva 1
January 20191,, Rèporting Slarhyaril 102 The Firwcot Reporting &andard ￿licable in the UK and
Rewbli¢ ol Irela￿1.. The finan(ial statements have tegn pr￿ared uThJer the historical cost convèntion.
There are no materia uncertwnti#S aLK>utthe chaiitls abiltyto ￿ntinu8 &% a g￿Thj concem.
Income
All i￿0￿8 is recognised in tr8 Statement ol FinaKial Actmbes once Ihe Charity has entitlement to thè luThJs. It $6
probable that the income will be receNed and amouni can be measyr¢d te&*Ay.
In¢omiThJ resources from charitabk are account￿1 for when earn&Y. Skat8park 108$ are reo)gnise(I
UFK)n r8¢9ipt, payable w entry to th8 payK or nonvrefundatrle b(NJ￿r￿.
Incoming resour¢es from grants. irtlLxliNJ govemment grants. Whe￿ related to Performance and specif
dèlivérables, are accounted for a5 the tharity eams the rI￿t ￿ ￿nsIderatIon by its Wrornjar￿e. Other urants,
where entitlernènt Is not condib'ona on Ihe d8lNery of a Specif￿ perforrna￿ by ih8 charity, are recognised when
the charity becotnes uncondits"onaly entilled to the grant. Where applicable it 15 recognised as grants deferred.
Volunlary income r£ceived ty way of Ik)nali￿$ arKI gifts are induded in full In the Statement of Financial
Activities when rei*NabYe. The value of ser*ic8s p￿￿d8d by volunteeTS has not beèn I￿luded in Ihesg
aecLyJnts.
Investmenl in¢ome is irtluded when receN*Aè.
Expendlture
Liabilities are ￿Ognis￿l as 8XP8nditur& as socffi as thgre is a legal 01 constrwlNe obligation committing the
charity io th81 èxpenditure, it is prOb￿e lh* a transfer of economr tenefits will be ￿qUired in settlernent arKJ
th& amount of th8 oNigation Can be measured relh4EAy. Expenditu￿ is accounted for on an accruals basis and
has been classifiod under headirvJs Ihat aggregate ￿1 relaled to Ihe category. Where costs cannot be
directly attributed to partKular headings they have L￿n allocated to acbvitiès on a basis Consistent with the use
ol reSou￿e$.
Charitable experKYiture coryri8¢S those costs 1Th￿rred by Ihe charity in Ihe delivery of its activitie5 and services
f(Y tts benèficiawi6s.
lknemance costs i￿ude thos6 ¢osts assc¢iale(I wrth rn8&ti￿ thè ￿r￿l￿tional statutory reqJirements and
strategrc tnanagement of the charity-
I costs relate to thg charitsbla &tNity of the charity a￿j aro ￿located agwnst rt￿￿1ab￿ activities on a basis
esigned to reflect the use of ts rèsourc8.
Support Costs are all0eAt￿ to each th•itabk acbvtly based upon percentage of in¢ome recewed to delwer each
SèMe8.
Intanglble ￿gets
Intangitrje assets are rnea$Ur￿j at historical cost less amOri￿allOn al the f￿0wIng rata..
CorTVJter Soflwa￿- 33% on cost
Tanglble flxod assèts
Depreciation is provhyed at the followiThJ annud ratss in ord8rto write off eath asset ovèr its esÈTnated useful kfe.
Short leas8hold
Fixtures and fiuirYJs
Computer equir￿nt
1Wo (XI C05t
25% on reducing baLatKe
25% on reducing
Taxatlo
The thayity ig exempt from corporatK)n tsx on its chan'iatde acbvitses.
Pa98 8
Continu￿1...

Pr1￿* Sk
otes to the Flnanctal Statement$- e<>ntlNed
For The Year Ended 30 November 2024
AccoutrrfiNG POUCIES- ¢ontinued
Fund ￿￿O￿lI1ng
Unrasirictèd funds can be used in ar%ordance with the charftable objectives at the ¢JiscretwJn of lh¢ IrL￿t￿$.
Restricby funds can only be used for par￿￿r restr￿8<1 purFrtJ3e5 within the objects of the chajity. Restrictions
aiise whon spècifièd by thè donor or when ftJThls are raised for parbcular ￿tr￿1￿1 purposes.
Further explanat'on ol the nature and wrF4)se ol aath furkl is Ind￿ in the notes to the financial stalements.
Hlre purchaso and lèasing commitThnts
Rentds paid under operaliTrJ kases are charged to tha Stat8m8nt ol Ac*wties on a straiuht line basis
over the p9Md of thè lease.
Grants payablt
Grants payable are rEcogni5ed atth8 earfier 0f￿n they are phys• pawj. or %then tlw are to be paid.
INCOME1{EXPEND￿uRE)
Net income/(ex￿ndituraI Stat￿ thr ¢hargiThy{creditiThJl:
30.11.24
30.11.23
Depreaatit)n- owned assets
Other operating leases
Computw sofvlarè amortsati
7,684
48.281
8,879
46,383
667
INDEPENDENT EXAPAINERS, REMUNERATK
30.11.24
30.11.2S
Feas payaN& to thè eharitys inde￿nd8￿l 8xemin8rs for the indepen￿1 exam of
the charity's finamcial statements
Accountancy
9W2
TRUSTEES. REMUNERATION AND BENEFITS
There were no tnjstees. remuneratK*n or other benefits for the year ended 30 No¥embEr 2024 nor for the year
ended 30 November 2023.
TrustÈès' ÈX￿ns8S
There were no trust￿. &XP8nsos paKI for th& year eth 30 Noven*er2024 rw for the ygar ended
30 Novornber 2023.
STAFF COSTS
The average rnonthty number ol amploya&s during lh8 yw was as 1(AkW￿..
30.11.24
30.11.23
Administiatic
Page 9
continued...

s to tha Flnanclal Slalgrn8nts- e¢)nllnued
For The Year En
30 November 2024
COMPARATIVES FOR THE STATEMENT OF FINANCIAL AcnviTIES
Unrestticted
lund
Restncted
funds
Total
funds
INCOME AND ENDOWAIENTS FROM
Charitable actfvitles
Skatepark
160,162
19,729
179,891
EXPENDrruRE ON
Charitable a¢liYitie$
Skatepark
152211
171 940
INCOME
7.951
7,951
RECONCILIAMON OF FUNDS
Total funds brought fonward
93.747
93.747
TOTAL FUNDS CARRIED FORWARD
101,698
101.698
INTANGIBLE FIXED ASSErs
Computer
software
COST
At 1 DecÈmbèr 2￿23 and 30 Novernbei 2024
AMORTISATION
At 1 Décèmber 20¥J and 30 ￿embar 2024
NET BOOK VALUE
At 30 Novetnber 2024
At 30 November 2029
TANGIBLE FIXED ASSErs
Fixtures
rKJ
fitb￿S
Sh)rt
igasohokj
Computer
ewipmenl
Totals
COST
At 1 Dècèmber 2023 and 30 ￿ern￿r 2024
DEPRECIATION
Al 1 December 2023
Charge foT yè8T
46,913
19,548
1.529
410
67.990
At 30 NDvernber 2024
1,939
NET BOOK VALUE
At 30 ffjovember 2024
9.817
At 30 Novamber 2023
29,136
13.135
43,910
Page 10
continued...

Prlm& Sk
Notes to lh8 Flnancial Stal8ments- conllnu
For Thè Yèar Ended 30 Novernber 2024
DEBTORS: AMOUNTS FALUNG OUE wrrHIN ONE YEAR
30.11.24
30.11.23
Other deblors
Prepayments and accruad I￿￿)me
88.7Y2
992
77,602
4,611
82,213
10.
CREDrroRS: AMOU￿$ FAWNG DUE W￿H1N ONE YEAR
30.11.24
30.11.23
Bank loans and ov8rdrafts (see note 121
Trade ¢redrt¢MS
S(￿la1 securily and other taxes
Othar cra(kntt>rs
6.212
14831
S.202
6,059
1,704
4,065
15.128
11.
CRED￿oRS. AMOUNTS FALUNG DUE AFfER MORE THAN ONE YEAR
30.11.24
30.11.23
Bank loans Iso0 note 121
695
9,907
LOANS
An analysis of Ihe Maturity of knans is gwen bek)w:
30.1124
30.1123
Amounts falling wthin one year on dern￿..
Bank loans
ArnoLJnts falling due belween iwo fwe years:
Bank loans- 2-5 years
MOVEMENT IN FUNDS
At
1_12.¥d
movement
in funds
At
30.11.24
unros1rlct￿ lundj
General IurKI
101.698
11.632
113,330
TOTAL FUNDS
Page11
(x)nJnu&J...

Noles to thè Flt)anclal Statemenls- conlrnugd
F r The Ended 30
13.
MOVEME￿ IN Fl￿DS- contlnued
Nel movernent in funds, inc4￿ed in thè abova are as Ickn￿.
Incomir
resourc8s
Resources
eXpet￿ed
Movemelhl
in funds
Unrestrlcted funds
G8nèral lund
170.930
1159.2981
11.632
Restri¢lad lund$
Take A Part
National Grid- Communty Matters
4,932
14,9321
TOTAL FUNDS
18
Comparalives for moverngrt In funds
Net
movemènt
in lunds
At
1.1222
At
30.11.23
Unrestricted furt
General lund
93.747
7.951
101,698
TOTAL FUNDS
93,747
101.698
CornpaTative r*t movemont in funcls. induded in th$ ab￿ are as loHows:
Incorning
resources
Resoure8S
ex￿nded
Movgment
in funds
Unrestrlcted fund$
General fund
160,162
1152,2111
7,951
Restrietèd fund8
Take A Part
19.729
{19.7291
TOTAL FUNDS
179,891
171,9401
A current year 12 rnonlhs ar￿ wior year 12 t7hJnths CornblT￿d pwlion 1$ as lollows."
Net
movement
in lurnds
Ai
1.12.22
At
30.11.24
Unrestrlcled lund8
Gonèral lund
93,747
19,583
113,330
TOTAL FUNDS
93.747
19,583
Page 12
continued...

Prln* Skate
Not•s to the Financial Staternen
Iwed
For The Year En
O November 2024
13.
NOVEMEKf IN FUNDS- contlnu•d
A current year 12 monttjs arn1 prior year 12 montjs combined n•1 movèmènt In furKts. Includ￿ in th8 above are
as follows..
I￿oMI￿J
resources
Rèsou￿8$
eynda
Movemènt
in funds
Unrestrlctad fund5
G¢naral lund
S31.092
{311.5091
19,583
Reslrfcted funds
Take A Part
National Grid- Community Matters
24.661
10.0
124,6611
10.0001
34,661
34,661
TOTAL FUNDS
365.753
346.1701
19,5&3
Th& oharty reeeived a grnnt this finalKa￿ year of £4.932 12023: £19,729) from National Lottery whth was
reStr￿ad for tha projècl ttt irnprove the facillies at the skatepark. These funds have been s￿￿Trt durirvJ year.
The d￿rity also ree8ivéd a donation this year of £10,(MJ) Irom NalH)nal Grid which was lor the purp05¢ ol
improving energy ef[￿eT￿ in a communty t*JibJing.
14.
RELATED PARTY DISCLOSURES
A loan exists with Prime Retail Limitèd. whosè soL* dirtttor (Mr N Marker) Manages the charity on a day to day
basis. As at 80 Novèmb8r 2024 £64,152 is ow&Y to Prime Skateparf( by Prime Retail limited 130.11.23
É51.4391.
15.
GRAKf5 PAYABLE
£4,932 was paid to Take a Part in IFLe year erKled 30 November 2024.. and £19,729 in the year ended 30
Novornbgr 2023
Pag&13

Prlm• Skat
Delailed
tatement of Flnanelal Ac¢lvltles
ForThe Y
r Ended 30 November
30.1124
30.11.23
INCOME AND ENDOWMEriTs
Donatlons and legacies
Donations
Grants
1501
Charitable actlvliles
Skate Park ItKome
Grant5
168,429
159,812
183.361
179,891
Total Incomlng resources
185062
179,891
EXPENDrruRE
Charltable 4ctMtI•s
Wagos
Othèr operating leases
Rates and water
Insurancg
Light and heat
Event costs
Repairs & IN￿ntenanCe to parf(
Cleaning
69.079
48.281
1,307
7,602
9.260
112
11,949
1373
67,583
46,383
1.983
7,207
4,424
15
3,087
148.963
132,099
Support ¢08ts
Flnance
Bank loan inieresi
Bank charges
Other interest charges
479
993
282
252
1142
1.754
Olhor
Telephone
Postage and statK)nery
SUI￿ri￿s
Legal & professional f8èS
Staff TrainiThJ
SubseriFiltofk8
Advertising
Grants payable
Computer software depreaath)n
Short leaseho￿ dep￿CiatIon
Fixtures and fittings depreciatK*n
Computer equipment depreaation
460
584
Z511
47
406
952
767
374
870
511
19,729
667
3.955
4,378
546
1,547
1.000
4,932
3,955
3,318
410
18,764
33.155
This page does not lomi part ol the statutory fina￿al sratemenis
Page 14

PrSme Ska
Detailed Staternent ol Flnancial Activili•s
For Thè Yoar Endèd 30 November 2024
30.11.24
30.11.23
Oth•r
Governanee costs
Indepen(Jent Examiners. remuneration
Accountancy
992
986
Total resources exptrnded
171,940
Net Incomè
11.632
7,951
This pag6 doas nor fomi part of stakntory financkil statèmènts
Page 15