Company registration number 02836855 (England & Wales)
Charity registration number 1025337
LEICESTER PRINT WORKSHOP STUDIOS AND RESOURCE
UNAUDITED FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025
BRENNOCKS
Chartered Governan￿ Professionals
Incorporated Financial Accountants
Lyneholm
Roweltown
Carlisle
Cumbria
CAO 6LH

LEICESTER PRINT WORKSHOP STUDIOS AND RESOURCE
CONTENTS
Page
Reference and administrative details of the charity. its trusree5 and advisers
Tru5tees' annual report (Incorporating the Directors. report)
3-10
Independent Examiner's report
Statement of financial attivities
Balance sheer
13,14
Notes to the financial statements
15-22

LEICESTER PRINT WORKSHOP STUDIOS AND RESOURCE
LEGAL AND ADMINISTRATIVE INFORMATION
Trustees:
Jonathin Pdul ARCHARD (resigned 9 December 2024)
Teresa Maria BUDWORTH (appointed 15 August 2024)
Jennrfer DRAN￿EL {resigned 19 February 2025)
Catharine Elizabeth HODGES
Michelle Anna-maria KAMBA5HA (appointed 5 June 2024)
Catherine Jeanne LOUCH (appointed 20 June 2024,. resigned
20 February 2025)
YULU
Jean MCMEAKIN
Sylvia Margaret WRIGHT {appointed I l June 2024)
Company registration number
02836855 England & Wale5
Charity registration number.
1025337 England & Wales
Registered office:
50 St George Street
Leicester
LEI IQG
Page I

LEICESTER PRINT WORKSHOP STUDIOS AND RESOURCE
LEGAL AND ADMINISTRATIVE INFORMATION (continued)
Independeni Examiner.
Paul Brennock FCG FFA
Lyneholm
Roweltown
Carlisle
CA6 6LH
Bankers:
Lloyd5 Bank PLC
7 High Street
Leicester
LEI 9FS
Page 2

LEICESTER PRINT WORKSHOP STUDIOS AND RESOURCE
TRUSTEES. ANNUAL REPORT (INCORPORATING THE DIRECTORS. REPORT)
FOR THE YEAR ENDED 31 MARCH 2025
The trustees (who are also directors of the charity for the purposes Qf the Companies Act) present
their annual repon together with the financial ststements for the year ended 31 March 2025. The
trustees confirm that the annual report and financial 5tatement5 of the cotnpany comply wtth the
current statutory requirements of the companls governing document and the provisions of the
Charities Statement of Recommended Practice {SORP) {FRS 102). second edition, October 2019.
The Purpose of Leicester Print Worf(shop Studio and Resources
Leicester Print Workshop (LPM is the Midlands centre of excellence for fine art printmaking. We
are at the forefront of printmaking practice. and we ensure it conunues to be a thriving contemporary
art form. We nurture talent and support creaove practitioners 10 develop their skills and achieve
their creative ambitions. Our large. open access studio is in a RIBA award winning building, providing
specialist facilities for stone and plate lithogrnphy. etchin& engravin& relief. lettery)ress. screen printing.
and artist studios.
LPW was first established in 1986 and became a registered charity in 1993. In 2015 it moved to
new RIBA award- winning building situated in Leicester's Cultural Quarrer, where alongside the studio
space. it benefits from a gallery. shop. education space. framing room and I I pernianent artist studios.
Leicester Print Wod<shop is an Arts Council National Porrfolio Organisation (NPO).
We generate our incotne through our excen5ive eduotion programme. membership and studio user
income, as well as Studio rent from longer-terni ten2nrs. while the ￿$t comes from Arts Council
England and other fundrnising activiries. Arts Council England funding is to March 2026. and we have
applied for a l-year extension to March 2027. p¢ndins th¢ next round of application5.
Our commitments as an Arts Council England National Portfolio Organisation. include
Providing high qualiry printmaking faalities and development opportunities for arrisrs in the
East Midlands and beyond
Enabling and encouraging wider participation in printmaking through outreach and events to
encourage community members of all ages to ensase with printmaking
Contributin8 to LèicÈrtÈr and the East Midlands. cultural eco108y.
Studio Momb•rship
Leicester Yrint Wlorkshop is home to around 180 art15t member5. Members pay annual subscriptions
to acce35 the fully equipped studio during its opening hours. The Studio 15 staffed by expert technicians
and following an indurtion. membership is open to 2rtisrs and printmakers of any 3biliry.
Page 3

LEICESTER PRINT WORKSHOP STUDIOS AND RESOURCE
TRUSTEES. ANNUAL REPORT (INCORPORATING THE DIRECTORS. REPORT)
FOR THE YEAR ENDED 31 MARCH 2025 (CONTINUED)
Course Progn￿￿Me
Our extensive programme of print-making courses is open to non-members and members alike. The
programme ranges from introductory courses for those taking their first sreps inro prini through to
year-long alternatives to a higher degree. Courses are tutored by our own expert staff as well as
visiting specialist tutors and cover a range of print-making discipline&
Outreach Programme
We have developed parthership5 with a rnnge of regional schools. community groups, libraries. art
organisations 2nd colleges for our outreach progrnmm< taking printmaking into multiple diverse
communiry and educarional settings.
In addition, Leicester Print Workshop aims to align with our local context of inner-city Leicester, as a
cultural organisation, participating in joint events within the Culturdl Quarter. including free children's
activities as part of Cultural Quarter Earlie& and participating in the diverse festivals across the city.
The trustees have paid due regard to the guidance issued by the Charity Commission in deciding what
activities the charity should undertake.
LPW'5 Strategie5 for Achieving the Objertiyes
LPW operates within a clear govern2nce and m2n2gement frnmework to ensure that we meet our
obligation5 as an Arts Council N2tional Porrfolio Organisation. our legal duties 25 a charity 2nd our
responslbllliles [ov￿rdS the members. artists and the community we serve. We produce an annual
attivity plan shared with the Arts Council. which sets out our plans and targets for each financial year.
Trustees review progress against this attiviry plan and other key indicators of performance. quarterly.
Achievements and Performance
This financial year was a period of significant change in both the people and in the financial fortunes of
Leicester Print Workshop. The trustees are pleased to report that following gÈveral years of financial
losses. this year. a small surplus was achieved.
Page 4

LEICESTER PRINT WORKSHOP STUDIOS AND RESOURCE
TRUSTEES. ANNUAL REPORT (INCORPORATING THE DIRECTORS, REPORT)
FOR THE YEAR ENDED 31 MARCH 1025 (CONTINUED)
People
Following the deparcure of our fonner Chair shorrly before the beginning of the period being reported.
Tonia Lu stepped in as inierim chair, overseeing the recruitmenc of a replacement. Shortly afteNards
Sadie Young, the Director. also announced her decision to step down to pursue opportunities in a
different field. Tonia worked with the remaining staff and rrustees to implemeni an interim staffing
structure. as well as reviewing the financial systems at Leicester Print Workshop to improve oversight
and reporting. The Trustee are indebted to Tonia for her diligent and conscientious leadership during
this transition period.
The new Chair. Teresa Budworth, joined the organisation in August 2024. Teresa is 2 chartered
director and an experienced chariry leader. having previousty served a5 Chief Executive of a
qualification awarding body, and most recently as Chair of Trustees of the National Fire Chiefs,
Council. She is also an artist and novice printmaker.
The board was further strengthened by two new Trus*es. Sylvia Wright Y￿S one of the founder
members of Leicester Print Workshop nearly 40 years ago. She has had 2 long a distinguished career
in arts managemenL including as Head of Leisure and Culture at Charnw¢)od Borough Council and
Head of Arts at Leicester Ciry Council. Sytyia has taken thc Icad on ensuring that Leicester Print
Workshop meets its obligarinns xx xn Arts Council National Porrfolio Organisation.
Michelle Kambasha 15 a communication5 and public relations executiye and journalist with bylines in
the Guardian, Telegraph and the Independent. She has worked with the suff team on developing the
marketing plan5 for Leicester Print Workshop.
The Staff at Leiiescer Princ Workshop have worked tirelessly throush a period of unccrtainty. takins
on addition21 responsibilirie_q for t2sks fornierly the remit of the Director. The trustees wish to record
their appreciation of the staff who through their commitment and enthusiasm have achieved a great
deal during this period. which is refiec*d by the improved financial results.
This year was also marked by our deep sadness at the death of our former Dlrector, Lucy Phillip5.
Lutys vision and dedication were instrumentsl in moving Leicester Print Workshop into our
wonderful buildin& a legxcy that continues to shape the heart of our communiry.
The fund e5tabli51id in her memory has aSready benefited a number of artists, including some
undertaking projects at Leicester Print Workshop, ensuring that Lucls passion for supporting
creatlvity lives on through the work of others. Her contribuuon 15 remeiTibci'ed witli immense
gratitude by trustees. staff. and artists alike.
Page 5

LEICESTER PRINT WORKSHOP STUDIOS AND RESOURCE
TRUSTEES. ANNUAL REPORT (INCORPORATING THE DIRECTORS, REPORT)
FOR THE YEAR ENDED 31 MARCH 2025 (CONTINUED)
Community Engagement
This year we continued to build on our commitrnent to c¢)mmuntry engagemenL with our CuFtural
Quarter Earlies initiative. Throughout the year. our dedicated volunteers and sraff provided a range of
farnily-friendly art and prinr activitie5. all entirely free of charge. These sessions have proven
increasingly popular. with numbers attending rising steadily month by month. refiecting the growing
interest in acce55ible creative opportunities within our community.
A particular highlight of the year vos our Print FestiYal in June 2024. The event welcomed nearly 300
visitors, who had the chance to experience a vibrant range of printmaking demonstrations and
exhibitions. The festival also provided an excellent p12rfom to showcase our course programme.
including a selettion of introduccory classes designed specifically for those new co the art form. Thi5
celebration of creativity further underscored our commitment to making printmaking accessible to 211
and nurturing a welcoming and inspiring community for artists and enthusiasts alik
In addition to organising our own Print Festival, we were delighted to participatr in festiva15 throughout
the city, further extending our reach and fostsring collaborntion wtthin Leicester's vibrant culturnl
landscape. We were delighted to collaborate with Leicester Visual Arcs Network (LVAN) on Leicester
Art WeeK hosting the launch eyent in November 2024. Our t¢am also hosced interactive printmaking
artivities in Abbp.y ￿rk P2rt of the Me12. inviting feStiwdl-g￿rS of all age5 to discover the joys of
printmaking. These citywide engagemenrs enabled us to connecr wirh new audiences. Share our
pa55ion for the arts. and contribute to the creativicy that defines our communtty.
Our outreach activities this year surpassed expectations. engaging more than 400 young people from
local schoo15, universities, and youth organi5ations. These initiatives provided invaluable opportunities
for p3rticipants to explore 2 variety of printm2king rechniqiAe.s. sp2rking cre2tive curiosity and hands-
on learning. The sesslons were deSlvered collaboratively by our dediiaLed volunceers. fi-eeldnce tutors.
and members of the staff team. whose enthusiasm ensured an inclusive 2nd vibrant atmosphere for all
involved.
Education and Courses
Our hi8hly 5UCE¢s>ful pi'ogi"aiiinie of cour5e5 a major fartor in our improyed financial outcomc
this year. We offered a diverse blend of clxsses. ranging from introductory sessions designed for those
enrirely new to printmakin& to iniensivq year-long courses In speclali51 iethnique5 and tlieiii¥i. Tliese
longer course5 have become a compelling alternative to a traditional master's degree, allowing
participants to delve deeply into their chosen area while benefitting from expert tuition and a
supportlve peer network The populi*iiLy and breadth of our educational offerings not only
strengthened our financial position but also reinforc￿ our mission to nurture arristic fAlent 2t every
level of experience.
Page 6

LEICESTER PRINT WORKSHOP STUDIOS AND RESOURCE
TRUSTEES. ANNUAL REPORT (INCORPORATING THE DIRECTOR5. REPORT)
FOR THE YEAR ENDED 31 MARCH 2025 (CONTINUED)
Supporting our members
Our community of artists and printmakers-both studio holder5 and members-are truly at the heart
of everything we do. Their dedication and generosity in volun￿erIng underpin so much of our
programmin& from hosting free events and supporring outreach effort& to sharing their expertise at
workshops and festivals. as well as informal peer to peer sharing of Skills within the workshop.
Our ongoing commitment to member support includes ensuring that our course offering includes
opportunities for more established printmakers to develop their practice ac a discounted price.
We have expanded exhibition opporcuniries for members Within our own gallery space, offering artists
a vibrant platform to Pre￿nt their work to the public. Over the p2St year. our exhibition calendar has
been not2bly diverse, featuring an open members. show as well as solo exhlbiEions by Sumiko Eadon
and Michelle Keegan, the latter following her residency fellowship. PartiCiP2nts in our year-long
course. Leicester City ofmodjines ond Petyle. presented a summary of their experience in a month-long
exhibition. and the recipient of the Leicester Print Wcwkshop Award from Loughborough Universitls
degree show. Coral Shaw Jackson, had a solo exhibition.
Members were invited to join the 20:20 Print Exchange organised by Hot Bed Press. by submitting 25
prints, in any print medium. on 20 cm paper. One print from each edition goes into a touring
exhibition: the rest are exchanged among participating arcists and organisations. This event enables
members to reach new audiences. nerwork with fellow arcis(s. and gain valuable exposure for their
praccice.
Our partnership with LCB Depot has significantly enhance(t our exhibition programme by providing
acce55 to their print rootn for displaying M￿nber5. y￿rk This instiatiye ha5 attfdrted approximately
I.SOO visitors. wtth the exhibits 2ccessible to both their users and the wider public
In November 2024. we held our annual Print Fair. We sold ouc all the available space for stallholders
2nd the weekend event at￿tted over 8(K) visitors. Print Fair is complemented by the revit2lisation
of our shop. This has established a reLiiI space where members can display and sell their work
throughout the year. This combined method of sUPPOrting ani5ts, by offering both exhibition and
commercial opportunitie& demonstrntes continued efforts 10 encourage artistic development and
prufe55iVlldl tidvdiiceiiieiiL
We are especially proud of the rem3rk2ble achievements our members and ttudio holders h3ve
celebrated this year. Sarah Kirby held a 5010 exhibiuon at the prestigious Yorkshire Sculpiure Park In
Autumn 2024. an event that inspired a members. trip to experience her work in thit exceptional
setting. In February 2025. Satta Hashem's solo exhibition opened at Leicester Museum and Art Gallery,
drawlng signfftcani a￿en[lon and acclalm. Our member5 have a150 parLiLiPdterJ ￿1￿clY in iia(ioiial
event% including the Woolwich Contempornry Print Fair. whère severdl artists-among them Studio
Manager. Robyn MaCIenna￿shOW0Sed their work to a broad audience and engaged with the wider
printmakins community.
Pase 7

LEICESTER PRINT WORKSHOP STUDIOS AND RESOURCE
TRUSTEES, ANNUAL REPORT (INCORPORATING THE DIRECTORS. REPORT)
FOR THE YEAR ENDED 31 MARCH 2025 (CONTINUED)
In summary. the continued vitality of our organisation rests upon an unwavering commitment to both
nurturing artistic talent and fostering a vibranL SUPPOrtive community. Through the success of our
educational programme& the expansion of exhibition and commercial opportunlile& and the
remarkable achievements of our members, we have deepened our impact within the world of
printmaking. Looking ahead. we remain dedirdted to enriching our offerings and strengthening the
bonds among our artist5. ensuring a flourishing environment where creatiyiiy, collaboration. and
professional growth can thrive for years to come.
Financial review
We have developed diverse income srreams in order to manage financial risk and to be resilient in
these changing times. We have various sources of income:
Arts Council England National Portfolio Organisation grant £70,290..
Membership Fees of £13.404,.
Studio rental and use £39.356..
Courses £71.121-
Exhibitions and Shop Sale5 £18.754:
Events £2,814:
Donations £3,041:
Fundrnising £3.522;
Bank interesc £412.
Total: £222.714.
At 31 March 2025 th¢ frcc rc5crvcs of the charity were £61,198 (2Q24- £43,098).
In addition. the charity held a designated capiol fund of £570.824 {2024 - £570.824) arising from the
improvements undertaken to the property at St George Street.
Total reserves of the chariry, including the workshop building. We￿ therefore £632.022 (2024
£613.922).
We aim to maintain a reserves level that ensures we can manage cash flow and cope with a drop in
income, the demands of a large project or an unexpected expense. and we seek to hold a reserve of
£50,000, which coycrs the equivalent of three month3. operating costs.
The trustees have assessed the major risks to Nvhich the charity is exposed 3nd are sxti5fied th3t
5Y5tems are in place to mitigaie exposure 10 the major risks.
Page 8

LEICESTER PRINT VVORK5HOP STUDIOS AND RESOURCE
TRUSTEES. ANNUAL REPORT (INCORPORATING THE DIRECTORS, REPORT)
FOR THE YEAR ENDED 31 MARCH 2025 {CONTINUED)
Structure, governance and management
The entiry is a charitable company limited by guarantee and is governed by tts Memorandum and
Articles of Association incorporated 16 July 1993. company registr7tion number 02836855.
The trustees, who are also the directors for tne purpose of company law, and who served during the
year and up to the date of signature of the financial statements viere:
Jonathan Paul ARCHARD (resigned 9 December 2024)
Charlotte BRADSHAW (appointed 14 September 2025)
Teresa Maria BUDWORTH (appointed 15 August 2024)
Jennrfer DRANrrEL (resigned 19 February 2025)
Catharine Elizabeth HODGES
Heather JOH NSON (appointed l November 2025)
Michelle Anna-maria KAMBASHA (appointed'5 June 2024)
Catherine Jeanne LOUCH (appointed 20 June 2024: resigned 20 February 2025)
YULU
Jean MCMEAKSN
Sylvla Marga￿[ WRIGHT (appointed I l June 2024)
The appointment of trustee$ 1$ governed by the Memordndum and Articles of Association of the
company.
None of the trustCC5 ha5 any beneficial interest in the company. Ail of the trustees are members of
the company and guarnntee to contribute £ l in the event of a winding up.
Whi15t meeting on a regular basis, the board delegdce5 the day co day runniiig of the Ceriti"e to ali on-
site management te3m.
New Iru5tee5 receive an Inductlon pack and are invited ro iour the workshop and atcend a board
meeting before appointmenL
The board augments its quarterly meeting schedule with occasional aV￿Y days. designed to addre55
key issues and longer term plannin&
This report has been prep2red having tsken 3dv2nt2ge of th@ sm211 comp2nies exemption in the
Companies Acc 2006.
Page 9

LEICESTER PRINT WORKSHOP STUDIOS AND RESOURCE
TRUSTEES, ANNUAL REPORT (INCORPORATING THE DIRECTORSP REPORT)
FOR THE YEAR ENDED 31 MARCH 2025 (CONTINUED)
The trustees, report approved by the Board of Trustees.
Tere5a Budworth
Trustee and dirertor
Dated: 14 November 2025
Pasc 10

LEICESTER PRINT WORKSHOP STUDIOS AND RESOURCE
Independent examinerfs report to the trustee5 of
Leicester Print Workshop Sthdios and Resource
I report to the trustees on my examin3ti0n of the financial statements of Leices(er Princ Workshop
Studios and Resource (the charity) for the year ended 31 March 2025.
Responsibilities and basis of report
As the trustees of the chariry (and also its direccors for the purposes of company law) you are
responsible for the preparation of the financial sratements in accordance with the requirements of the
Companies Art 2006 (the 2006 Att).
Having satisfied myself that the financial Statements of the charity are not required to be audited under
Part 16 of the 2006 Acc and are eligible for independent examination. I report in respect of my
examination of the charity's financial statements c2rried out under section 145 of the Charities Act
2011 (the 201 l Act). In carrying out my examinauon I have followed 211 the applicable Direction5 given
by the Charity Commission under section 145(5){b) of the 2011 A
Independent examiner's statement
I have completed my examination. I confirni that no matters have come to my attention in connection
with the examination giving me cause to believe that in any Ma￿rial respecc:
accounting record5 viere riot kept iii re5peLI uf cliar"iLy as I'eguil'ed by sec(ioii 386 of the 2006
2 the financial statements do not accord with those records. or
3 the financial statements do not comply with the accounting requirements of section 396 of the 2006
Att other than any requirement that the accounts give a true and fair view which is not a matter
considered as part of an independent examination: or 4 the financial statements have not been
prepared in accordance with the methods and principle5 of the Statement of Recommended Pr3Ctice
for accounting and reporting by charities applicable to charities preparing their accounts in accordance
with thc Financial Reporting Standard applicable in the UK and Republic of Ireland (FRS 102).
I have no concerns and have come across no other matcers in conneciion with the examination to
which attention should be drawn in this report in order to enable a proper understanding of the
financial stitements to be reached.
Dared 14 November 2025.
Paul Brennock FCG FFA
Brennocks
Lyneholm. Roweltown
Carlisle
CA6 6LH
Page 11

LEICESTER PRINT WORKSHOP STUDIOS AND RESOURCE
STATEMENT OF FINANCIAL ACTIVITIES
(incorporatins inrome and expenditure account)
FOR THE YEAR ENDED 31 MARCH 2025
Unrestric
ted funds
2025
Total
funds
2025
Total fvnds
2024
Note
INCOMING RESOURCES
Donations and legacies
72.705
72.705
89.433
Charitable activities
146,075
146.075
116.149
Investments
412
412
15
Other income
3,522
3.522
653
TOTAL INCOMING RESOURCES
222.714
222.714
206.250
RESOURCES EXPENDED
Charitable activities
204.614
204.614
244.019
TOTAL RESOURCES EXPENDED
204,614
204,614
244.019
MOVEMENT IN TOTAL FUNDS-
NET INCOMEI(EXPENDITURE
FOR THE YEAR
18.100
18.100
(37.769)
Total funds at l April 2024
613.922
613.922
651.691
TOTAL FUNDS AT
31 MARCH 2025
632,022
632,022
613.922
The notes on pases 15 to 22 form part of these financial statements.
Page 12

LEICESTER PRINT VVORKSHOP STUDIOS AND RESOURCE
BALANCE SHEET AS AT 31 MARCH 2025
Note
2025
2024
FIXED ASSETS
Tangible assets
10.
572,634
588.408
CURRENT ASSETS
Stocks
1.500
1.50Q
Debtor5
12.
2.275
22.024
Cash at bank and in hand
60,214
45.442
CREDITORS: amounts falling due
within one
ear
13.
(4.601)
(43.452)
NET CURRENT ASSETS
59.388
25,514
TOTAL ASSETS LESS
CURRENT LIABILITIES
632.022
613.922
CHARITY FUNDS
Designated funds (Big Move)
14.
570.824
570.824
General unrestricted funds
14.
61.198
43.098
TOTAL FUNDS
632.022
613.922
The (r"usiees coiisider that the company 15 enriiled to exempilon from the requiremeni 10 have an
audit under the provisions of section 477 of the Companies Act 2006 C'the Act") and members have
not required the company to obtain an audit for the year in question under section 476 of the Att.
The Balance Sheet is conrinued on page 14.
Page 13

LEICESTER PRINT WORKSHOP STUDIOS AND RESOURCE
BALANCE SHEET AS AT 31 MARCH 2025 (CONTINUED)
The trustees acknowledge their responsibilities for comptying with the requirements of the Companies
Att 21J)6 with respett to accounting records and for P￿￿)aring firvancial statements which give a true
and fair view of the s(ate of affairs of the company as at 31 March 2024 and of its net incoming
resources for the year in accordance with the requirements of sections 394 and 395 of the Att and
which othemse compty with the requirements of the Companies Act 2(X)6 relating to financial
Sta￿ments so far as applicable to the company.
The financial statements have been prepared in accordance with the provisions applicable to small
companies within Part 15 of the Companies Act 2(Y)6 and in accordance with the Firwiual Reporting
Stsnd¥d for Smaller Entitles (effective April 2008).
The financial ststements were approved by the trustees on 14 November 2025 and signed on their
behalf by.
Tere5a Budworth (Directorffrustee)
Page 14

LEICESTER PRINT WORKSHOP STUDIOS AND RESOURCE
NOTES ON THE FINANCIAL STATEMENTS FOR THE YEAR ENDED
31 MARCH 2025
ACCOUNTING POLICIES
Charity infomiation
Leicester Print Workshop Studios and Resource is a private comp2ny limited by guarantee
incorporated in England and Wales. The registered office is 50 St George StreeL Leicester. LE I I QG.
l. l Accounting convention
The financial statements have been prepared in accordance with the charity's Memorandum and
Articles of Association, the Companies Att 2006 and "Accounting and Reporting by Charities:
Statement of Recommended Practice applicable to charities preparing their accounts in accordance
with the Financial Reporting Stsndard applicable in the UK and Republic of Ireland (FRS 102)"
(published in Ottober 2019). The charity is a Public Benefit Entiry as defined by FRS 102.
The charity has taken advantage of the provisions in the SORP for charities apptying FRS 102 Update
Bulletin I not to prepare a Statement of Cash Flows.
The financial Statements are prepared in Pounds Sterling, which 15 the functional currency of the
charity. Monetary amounts in these financial statements are rounded to the nearest pound.
The financial statements have been prepared under the historical cost convention. The principal
accounting policies adopted are Set out below.
1.2 Going concern
At the time of approving the financial statements, the trustees have a reasonable expectation that the
charity has adequate resources to continue in operational existence for the foreseeable fuiure. Thus
the trustees continue to adopt thp. gning rnnce.rn b2sis of 2ccoiJnting in preparing the financial
5tatemen(&
1.3 Charitable funds
Unrestricted funds are aN?ilable for use at the discretion of the trustees in further2nce of their
charitable objectives.
Designated fund5 comprise unrestricced funds that have been set aside by the rru5tee5 for particular
purposes.
Restricted fund5 are subject to specific conditions by donors as to how they may be used. The
purposcs and uses of the restricted funds are set out in the note5 to the financial statements.
1.4 Income
Income 15 recognised when the charity is legally entitled to it after any performance condicions have
been me( the amounts c2n be measured reliably. and it is probable that income will be received.
Cash donations are recognised on receipL Other donation5 are recogni5ed once the charity ha5 been
notified of the donation. unless perfomance conditions require deferral of the amounL Income tax
recoverable in relation to donation3 received under Gift Aid or deeds of covenant is recognised at the
time of.the donation.
Page 15

LEICESTER PRINT WORKSHOP STUDIOS AND RESOURCE
NOTES ON THE FINANCIAL STATEMENTS FOR THE YEAR ENDED
31 MARCH 2025 {continued)
Gifts in kind for distribution are included at Ydlua(ion and recogni5ed as income when they are
distributed to projects. Donaced facilities are included at the value to the charity where this can be
quantified and a third party 15 bearing the COSL No amounts are included in the financial statements
for services donated by volunteers.
1.5 Expenditure
Expenditure is included in the Statement of Financial Activiries on an accruals basi& inclusive of any
VAT which cannot be recovered.
Charitable expendtture comprises those costs incurred by the chariry on the delivery of its attivicies
and service5 for its beneficiaries. It includes both costs that can be allocated to such activities, and
those costs of an indirett nature necessary to support them based upon either time spent on the
actual activities or usage.
1.6 Tangible fixed a55ets
Tangible fixed a55ecs are inicially measured at cost and Subsequently measured at cost or valuation. net
of depreciation and 2ny impairnieni losse
Depreciltion is recognised so as to write off the cost or valuation of assets less their residual values
over their useful lives on the following base
Freehold land and buildings Straight line over fifty years
Fixtures and fittings l 0% per annum on a strdight line basis
Plant & Machinery l Oyo on a straight line basis
Computers 25% per annum on a straight line basis
The gain or loss arising on the disposal of 2n asset is detsrmined as the difference betwe￿ the sale
prixeed5 and the carrying value of the ass"e4 and is recognised itb the statement of financial attivities.
1.7 Impairment of fixed assets
At each reporting end d3te. the charity reviews the Ca￿Ing amounts of its tangible assets to deterniine
wliethei" there 15 any indication that those a55ets have 3uffered an impairment 105s. If any such
indication exists the recovernble amount of the asset is estimated in order to determine the extent
of che impairment loss (rf any).
1.8 Stocks
Stocks are stated at the lower of cost and estimated selling price less costs to complete and sell. Cost
comprises direct materials and, where applicable, direct labour costs and those overheads that have
been incurred in bringing the st¢xks to their present location 2nd corKlition. Items held for distribution
at no or nominal consideration are measured the lower of replacement cost and COSLNet realisable
value is the estimated selling price less all estimated costs of completion and costs to be incurred in
markeun& sellins and distribution.
1.9 Cash and cash equivalents
Cash and cash equivalents include cash in hand. deposits held at call wrth banks, other short-term
liquid investments with original maturities of three months or Icss and bank overdrafts. Bank
overdrnfts are shown within borrowings in current liabilitse5.
Page 16

LEICESTER PRINT WORKSHOP 5TUD105 AND RESOURCE
NOTES ON THE FINANCIAL STATEMENTS FOR THE YEAR ENDED
31 MARCH 2025 (continued)
l. l O Financial instruments
The tharity has elerted to apply the provisions of Section I I 'Basic Financial Instruments, and Sertion
12 '0ther Financial Instruments Issues. of FRS 102 to all of its financial instruments.
Financial instruments are recognised in the chariry's balance Sheet when the charity becomes party to
the contractual provisions of the instrument.
Financial assets and liabilities are offse( with the net amount5 presented in the financial statements,
when there is a legally enforceable right to set off the recognised amounts and there is an intention to
settle on a net basis or to realise.the asset and settle the liability simultaneously.
Basic finonciol assets
Basic financial assets. which include debiors and cash and bank balances. are initially measured at
transaction price including trnnsaction costs and are subsequently carried at amorrised cost using the
effettive interest method unless the arrangement consiirutes a financing transaction, where the
transaction is measured at the present value of the fijture receipts discounted at a market rate of
interesL Financial assets cl35sFfied as receivable within one year are not amortised.
Basic financial liobilrties
Basic financial liabilities, including creditor5 and bank loans are initially recognised at transattion price
unless the arrangement constitutes a financing transaction, where the debt instrument 15 measured at
the present value of the future paymenrs discounted at a market rate of intere5L Financial liabilities
classified as payable within one year are not amortised.
Debt instruments are subsequently carried at amortised COSL using the effective interest rate method.
Trade creditors are obligations to pay for goods or servitts that have been acquired in the ordinary
course of operntions from suppliers. Amounts payable are ctasstfied as current liabilities rf paym. ent is
due within one year or le55. If noL they are presented as non-current liabilities. Trade creditors arc
recognised initially at transattion pri￿ and subsequently measured at amortised cost using the
effettiye interest method.
Derecognition of financial liabilitics
Financial liabilities are derecognised when the charitys contrdctual obligats.ons expire or are discharged
or cancelled.
l. I l Employee benefits
The cost of any unused holiday entrtlement is recogniséd in the period in which the employee's servlces
are rcccivcd.
Termination benefits are recognised immediately as an expense when the charity is demonstrably
committed to terminate the employment of an employee or to provide terminaiion benefits.
1.12 Retirement benefits
Payments to defined contribution retirement benefit schemes are tharged as an expense as they fall
due.
Page 17

LEICESTER PRINT WORKSHOP STUDIOS AND RESOURCE
NOTES ON THE FINANCIAL STATEMENTS FOR THE YEAR ENDED
31 MARCH 2025 (continued)
2. DONATIONS AND LEGACIES
Unrestri
cted
funds
2025
Total
funds
2025
Total fund5
2024
Donations and grfts
Grants receivable for core activities.
2,415
2,415
1.247
70,290
70,290
88,186
72,705
72,205
89.433
Grants receivable fnr core activities
Arts Council England
70,290
70.290
88,186
3. CHARITABLE ACTIVITIES
Unrestr
irted
funds
Total
fund5
2025
Totol fvnds
2024
2025
Operating activities
146.075
146.075
116.149
146,075
146,075
116,149
4. INVESTMENTS
Total
2025
Total 2024
Interest receivable
412
15
5. OTHER INCOME
Total
2025
Totol 2024
Other
3,S22
653
3,522
653
Page 18

LEICESTER PRINT WORKSHOP STUDIOS AND RESOURCE
NOTES ON THE FINANCIAL STATEMENTS FOR THE YEAR ENDED
31 MARCH 2025 (continued
6. CHARITABLE ACTIVITIE5
General
fund
2025
Big
Move
2025
Total
202S
Total
2024
Direct project costs and
materials
Purchases
31,974
31,974
57.948
Projecr expenditure and other
direct costs
31.834
31,834
2.927
Support costs
Staff costs
62,676
62.676
105.550
Depreciation
Marketing
Premises costs
15,774
6,390
27.047
15,774
20.065
6,390
27.047
5.572
12.616
Insurdnces
6,114
6,114
9,995
4.498
5.617
Gas and electricity
Telephone and internet
Printing. postagc and stationcry
Sundry expenses
Legal and professional
Ind¢pendent e￿miner'S fees
Bank charges
9,995
16.495
4,498
1,512
6.248
1,512
1.253
1,624
2.188
1,624
1.584
2,188
2.608
2.100
2,100
888
5.411
888
125
204.614
204,614
244,019
Paxe 19

LEICESTER PRINT WORKSHOP STUDIOS AND RESOURCE
NOTES ON THE FINANCIAL STATEMENTS FOR THE YEAR ENDED
31 MARCH 2025 (continued
TRUSTEES
During the year no trustee received any remuner2tion (2024: £nil)
During the year no trustee received any reimbursement of expenses (2024: £nil)
9. EMPLOYEES
The average monthly number of employees during the year was:
Total
2025
Total 2024
Direct charitable expenditure and administration
Trustees and directors
15
13
Employment costs
Total
2025
Totol 2024
Provlsion of support services and community
develo
ment
Wages and salaries
Social security costs
60.321
88.239
5.820
Other pension costs
2.126
11.491
62,447
105.550
There were no employees whose annual remunerntion vrds £60.000 or more.
Page 20

LEICESTER PRINT WORKSHOP STUD105 AND RESOURCE
NOTES ON THE FINANCIAL STATEMENTS FOR THE YEAR ENDED
31 MARCH 2025 (continued
10. TANGIBLE FIXED A55ET5
Freehold
land and
buildings
Flxtures &
f(tting5
Plant &
Machinery
Total £
Cost
At l April 2024
Additions
712,768
40,759
2,500
756,027
At 31 March 2025
712.768
40,759
2,500
756,027
Depreciation and impairment
At l April 2024
127.629
39.490
500
167,619
Depreciation charged in the year
At 31 March 2025
14,255
1.269
250
15,774
141,884
40,759
750
183,393
Carrying amount
At 31 March 2025
570,884
1.750
572,634
At 31 March 2024
585,139
1.269
2.000
588.408
I I. STOCKS
2025
Totol 2024
Raw materials and consumables
1,500
1,500
12. DEBTORS
2025
2024
Amounts falling due within one year
2.275
22.024
Page 21

LEICESTER PRINT WORKSHOP STUDIOS AND RESOURCE
NOTES ON THE FINANCIAL STATEMENTS FOR THE YEAR ENDED
31 MARCH 2025 (continued
13. CREDITORS: AMOUTS FALLING DUE WITHIN ONE YEAR
2025
2024
Other taxation and social security
Trade creditors
6.416
3.515
30,064
Other creditors
184
3,072
Accruals and deferred income
902
3,900
4,601
43,452
14. FUNDS MOVEMENT AND ANALYSIS
Brought
fonvard
Incoming
resource5
Resource5
ÈxpÈnded
Carried
forward
Unrestricted funds
General funds
Unrestricted fund5
Desi
nated funds
Restricted funds
Other restricted fijnds
Total funds
43.098
222,714
(204.614)
61,198
570,824
570,824
613,922
222.714
(204.614)
632,022
The income funds of the charity include designated funds which have been set aside out of unrestricted
funds for specific purposes. Degign2ted ftinds represe.nt thr)%p_ sums held within unrestricted funds
which have been ideniified by the trustees for specific future purposes. Contained therein are monies
set aside for the Big Move.
15. RELATED PARTY TRANSACTIONS
There were no rÈlxted pArty transactions during the year (2024- none).
Page 22