REGTSTERED COMPANY I¥UMBER: 02244350 (England and WaIes)
REGISTERED CIIARITY NUMBER: 1042454
REPORT OF THE TRUSTEES AND
UNA
FINANCIAL &￿AT￿ME
FOR THE YEAR ENDED
I MARCH 2024
FOR
SAME SKY LTMtTE
FI CRT Limited
Flat 24 Wellingtonia Court
Laine Clos¢
BN16TD

SAME SKY LiiiifTED
CONTENTS OF THE FINANCIAL STATEMENIS
FOR THE YEAR ENDED 31 MARCH 2024
Page
Report of the Trustees
I to 5
Independent Examiner's Report
Statement of Financial Activities
Balance Sheet
Notes to the Financlal Statements
9 to 20

SAIIIE SKY LILVIiTED
REGIsfERED NUMBEIL" 02244350
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31 MARCH 2(r24
The trllstees who are also director% of the c￿lty for the purposes of th¢ Conwanies Act 2006, present their report with
the financial statements of the charity for the year ended 31 March 2024. The tn￿te¢S have adopted the provisions of
Accowiting and Reporting? by Charities: Slatement of Recornded Practice applicable to charities prep￿ing their
accounts in accordance with the Financial Repoiting StaDdard applicable in the UK And Republic of freland {FRS 102)
(effective l JanuaTS' 2019).
OBJECTIVES AND ACTTVITTES
Objective$ and llims
Tbe Charity's objective and principal activities are:
l. The provision of recreational facilities in the inlerests of s(Kial welfare with the object of in]proving the ionditions of
life of persons residing in Brighlon and Hov¢ and elsewhwe.
2, To advance the education of the ¢ommunty T¢siding in Brigbton and Hove and els¢where in the appre¢iation alld
practice of the arts.
Same Sky is an artist-led commuDity and ¢el¢bratory arts Charity. The work engages directly with the ¢ommunity to
produce a wide rangTe of projects and evellts combiniDbi ihe visual & perfomiing arts. The Charity acts as a resource for
s¢hools and otber comtnullity g7roups supptying infornmlion and spe¢ialist advice and a pro￿arnMe of master-classes and
resid¢n¢es. It has developed integraled training prO￿arnmeS for the sector. addressing the needs of artists, students, new
entrants, and schools work experienr* pla¢ements. Tbe Cbarity bas a v¢ry strong track record of delivering excitltsg
pro.jects that engage with th¢ community OD many levels- pyojecls that bave led to personaj development and change for
nwiy of th¢ir participants, alongsid¢ th¢ more obvious creative and clllftwal opportunities. Same Sky is Olle of th¢ largest
community arts providers in the region. lis Status and longevity allows it to pursue longyer.tenn relations and
developments with a lai'ge range of coJDmuDity and educaiional groups and establ1s]uneJ￿.
Slgnlflcant activitle$
2023124 was our fwst fully ¢ovid free year with a portfolio of new and old events and the start of a process of
reCOllf￿lltJllg to face the fiaancial and social priorities olthe new era
Wakehurst P18c¢ KEW Glow Wild was tbe first in a new 5-year tender and we had an increase presence in this event
tbe 10th ill our collaboration with ihem
A successful review of the Children's parade with ￿ight0ft Festival brougbt an uplift ￿nding allowing us to develop
and sustain this event. Burning the Clocks and the Cbildren's parade returned to large scale audiences and participation
ith over 20,000 folk fviewing each event and securing their place as Iconic "flagships" of the Bri&btom civic calendar
Our new executive producer started a campaign of fundraising to support the ¢ontinuing journey through suc¢¢sgion to
manage a changeover of CEO and pre￿75¢$ in the nea¥ firture.

SAME SKY LIMITED
REPORT OF TH E TRUSTELS
FOR THE YEAR ENDED 31 MARCH 2024
OAJECTtVES AND ACTIVITIES
Public benefit
The trustees confllTh that they have referred to the guidance containelt in Ihe Cl)2rity Commission's general guidance on
public benefit when reviewing the Chariws aims and objectives and in the planning of future activities.
The charity's work cotnprises a TX)rtfolio of some 20 prOJ￿ts a year all delivered in com]nunity or educational settings.
The work focuses on tbe celebration and support of th¢ individual's creativity and sense of place in their neighborhoods,
towns or cities. Tbis process fosters their sense of wellbeing and h8ppiness. It also nurtures a sense of pride" for their
friends, familie5, carers and comtnuniti&%. The worksI￿pS engage with th¢ use of hand and milld to create items that
expre55 each participant's iudividual feelings, desires and aesthetics. These are then sI]om￿ and enjoyed by many others
to create a unified larger image. This work focuses on the p￿￿0K of being all indivtdual but having 8 community spirit.
It builds self-esteem and confidence ID our participants. We have es￿Lia11Y devised strands of work with young people
with learning difficulties and additiona] J)eed4 young Lwers and under*ngaged young people. These strands give
palliative and transfomiational experien¢e to the participants helping them to engage the wider rivic projects
ensuring that these are as inclusive as possi￿1¢ and that tho young people feel include in th¢ life alld culture of their
neighboThoods.
All th¢se projects ¢ulminate in publi¢ events showcasing the tslellts and experiences of the participallts by brillging joy
and wonder to a lar&ie Tange of audien¢¢s. This manifests itself ill the eveiits, the sbared ]nemories and images of people
celebrating life in all its ricbness with their own creations on their own streets.
FJNANCTAL REVIEW
FinY4nelal position
TELe Stst¢ment of Finan¢ial Activilies shows expenditure for the year ended 31 March 2024 was £334,753 (2023:
£331,355) against income of £326,855 {2023: £356,277) incurring a deficit for the year of £7,898 (2023: net
Sun)lus £24.922). At th¢ balance sheet dale tbe Charity bad sufficient thDds to meet it& obligatLoll5. Note 16 to the
ount5 gives further detail's of our fimds.
The charity incurred a defi¢it on unrestri¢ted thDds during tbe year of £3,065 (2023: surplus £170) and this has been
dedu¢ted from the reserves brougbt fonvard of £76,622 to leave £73,557 to be Carried forward.
Reserves pollcy
The Trustees are Cognisant of the Cbarity Conjmissioners requirements on res¢rves policy and their medium tertn
objective has been to increase the reserves to obtaiD a level where unrestrtcted funds will cover three months forward.
As call be seen from Note 16, the unrestricted r¢serves were £73,557 at the end of this year and our aim is to increase
this over tbe coming year,
The Trustees have d¢signated £J7,320 for Tesearch and development re: sustainability planning.
FUTURE PLANS
We will continue our succession pr(Kess Iwith applicatiQD5 for financial support and a commissioned review and options
analysis. The CEO will cotrtinue to reduce. their ]￿UrS nwving these into other key staff as we fuDdrRi5e for a handover
period in the next 2 financial years.
Premises change will also OCCUT, and we will be looktng to baIan¢e our continuation in cheap but insecure Premises with
the security of longer terni leastd more eX￿Sive propety. We will move as soon as this solution is resolved.
Same Sky continues to look at Dew ¢ommuDiti&s to engage and new ways to enhance and refreth its existing offers and
to develop training and enty points for new freelanrc staffto deliver our exciting projects.
The company is fortunate to hold some designth Trserves to supwt its imtnediate development and is looking to
achieve a £1 Ok to £20k grant to supwrt this.

SA]WtE SKY LIMITED
REGISTERED IYUMBEiL. 02244350
REPORT OF THE TRUSTEES
FOR THE YEAR EIYDED 31 MARCH 21Y24
STRUCTURI, GOVERNANCE AND maNA(￿mE￿r
Governing document
Same Sky Limited w&8 incorporated &s a Company Limtted by GUaraft￿ on 15 April 1988 and received charitable
status on 29 November 1994.
Its governing document is its Memordndum and Articl&s of Association dated 15 April l988 as atnended on 5 October
2004.
Same Sky Ltd is a Company Limited by Guarantee governed by its Metnorandum and Articles of Associ&tton dated 15
April 1988. It is registered a8 a Charty with the Chariti&s ConllDi&8ion.
Tn]stees are Directors of the Company and aTe re5Ex)nsI￿le for deciding. the following:
- Legally responsible statutory obligations such as fjnance4 Staffi￿ health and safety
. Appointtnent of new Trustees
- Agreeing the proposed Managen)ent Account5 for the year ahead
. Agreeing pmposed proj¢ct budgets over f20.000
- Setting salaries for perD￿leth stsff
The mallagernent teatll are respOnsi￿le forthe followin￿.
- Artistic direction of the Cbarity's projects within the retnit of the Memoralldujn and Arttcles of Association
- Projecting Management Accounts and cash flow
- Managing core and project budg7ets
. Day to day running of the Con]pany as CEO and team
Reerultment Hnd appotntmtnt of new trustees
Trustee candidates are interviewed by a panel DLgde up of Trustees and members of the rnanagement team. Recruitment
follows only ¥fter agreemertt trom au the Truslees and management team. Crileria for appointment are based on skiKIs
and experience that they can brillg to tbe team, alld an ability to represent all sectors of the community, taking into
a¢oount gender, age, race and backgrounds. New tr￿stetS were specially recruited for 2020- 21 with fitydnce and
educational backgrounds.
Induction and tralning of new trn$tees
Trusts¢s are itiducted to ensure an understanding of their role and tesponsibilities to the Charity and a trial period of 3
months Rs given to both parties. New Trustees are provided with a Copy of tbe current Business Plan and up to date
financial documents. All TNstees are encowaged to take up appropriate external training OPPOTttmities to support their
roles within the Board - whether to extend their uDderstandiDbF of charity law and boaTd responsibility, or to supplement
particu]ar skills.
Related parties
Some elements of core funding are still provided by Brighton & Hove City Council as part of their support for our work
Mqth vulllerdble youllg people with learning disabilities and more inclusion in citywide events. Tbis work is delivered in
a partllership with Carousel (a locaj disability-led arts charity). Regular review meetings are held with the Council to
assess PTogress and the Partnership's fu]filnJentof their fimdtng rffjuirements.
REFERENCE AND ADM[N[STRA￿VE DKfA]LS
Registered Company number
02244350 (England and Wal¢s)
Registered Charity number
1042454
Registered office
Lower Ground Ploor and Part First Floor
The Allnexe
43 Belmont Street
Brigbto
ast Sussex
BNI 4HN

SAME SKY LIMITED
REGISTERED NUMBER: (F2244350
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31 MARCH2024
Trustee5
G A RBowden
Scsmith
C J Morey
Ms C A D'cruz
Ms 3 Goodey
Ms I. Finnimore
Company Secretary
G A RBowden
Independent Examiner
Chiistopher Robert Tyler FCA DCbA FCIE
FI CRT Limited
Flat 24 Wellingtonia Court
Laine Close
Brigbtoll
East Sussex
BNI 6TD
Bankers
Lloyds TSB
3rd Floor
Black Horge House
Medway WhaTfRoad
Tonbridge
Kettt
TN9 IQS
Cafcash
PO.Box 289
West Malling
Kent
ME19 4TA
Arttstic DAreetor
John VaTah
STATEMEIYT OF TRUSTEESI RESPONSIBILITIES
The trustees (who are also the directo￿ of Same Sky Limited for the purpoKs of ¢ompany law) are responsible for
preparing th¢ Report of the Trustees and the fmanciai statemeTts in accordan¢¢ with applicable law and United Kingdom
Accounting Standards (United KiD¥dom GenC￿lY ACcept￿A.¢CountlTrg Prdrtice).
Company law requiTes the trustees to preyare finwlcial statements for financial year which give a true and fair view
of the state of affairs of the charitable company and ofthe incorning resources and application of resources, including
Ihe illcome and expenditL]Te, of ihe charitable company for that period. Tn preparing those financial stateEnents, the
trustees are required to
select suitable wcounting policies and then apply them Consistart￿.
observe the mcthods and, principles inthe Charity SORP"
make judgTements and estirnates that are rra￿thIe and PTudenL
prepare the financial statements on the going COD¢ern basis Unless it is inappropriate to Presume that the charitable
company will continue in buBiness.
The trustees are responsible for keeping pmper accountillg Tec.ords whicb disclose with reasonable accuracy at any titne
the financial position of the charitable c4)mpany and to enable them to ensure that the financial statements comply with
the Companies Act 2006. They are also TW0n￿7)le for safeguardiDg the &8sets of the charitable company and hence for
taking reasonable steps for thp prcvention and detection of fraud and other I[￿8￿7a[1Éies.

SAME SKY LIMITED
REGJSTtRED NUMBER: 112244350
RE4PORT OF THE TRUSTEES
FOR THE YEAR ENDED 31 MARCH 21Y24
Approved by order of the board of trt]stees on.....
. and signed on its behalf by..
owden - Trnstee

ILYDEPENDENT EXAMTNER'S REPORT TO THE TRUSTELS OF
SAIVIE SKY LIMITED
GISTERKD NUMBEIL. 02244350
Independent examiner's reporl to the trn$t￿8 of Same Sky Limited Cthe CompAny')
I report to the charity trustceg on my examinatioll ofthe acc4)utts of the Company for the year ended 31 March 2024.
Responsibilities and basis of report
As the charity's trustees of the Company (8nd abo its directors for the pllrp￿ of company law) you are responsible for
the preparation of the ac¢oiints ID accordance with the of the Companies Act 2006 (Ihe 2006 Act,).
Having sat3sfied myself that tbe accounts of the CoTNpany are not T￿￿]red to be audited under Part 16 of the 2006 Act
and are eligible for independent examinatio￿ l TqX)rt in respect of my e￿INatIon of your charity's accounts &s carried
out under Section 145 of the Cbarities Act 2011 Cthe 2011 Arf). In carryillg out my examination I have followed the
Directions given by the Charity Commi&8ion uoder Section 145(5) (b) ofthe 2011 ACL
Independent examiner's statement
Since your ch8rity's gross income exceeded £250,0￿ your examiner must be a member of a listed body. I can conf1rn]
that T am qualified to undertake the examination becau￿ I arn a of the Illstitut¢ of Cbartered Account8nts ill
England and Wales, which is one of the list¢d ly)di¢s.
I have completed my exatnination. l confinn tbat llo matters bav¢ come to attention in connection with the
¢xamination giving me cawse to believe:
a¢c¢)unting records were not kept ID Tespeth ofthe Compatty as required by Section 386 of the 2006 Art; or
the accounts do not accord with those re¢ords' or
the accounts do not Comply with the accouDting requirements of Section 396 of the 2006 Art other tban any
requirement that the ar¢ounts give atrue and fair view wbickn is not a ll￿r Considered as part of an independent
examination. or
the accounts bave not beeD prepared in accordance with the Dwth(xts and principles of the Statement of
Re¢on]mended Practice for accounting and reporting by cbarities (applicable to cbarities preparing their accounts
in accordance with the Financial Rep)rtI￿ Slandard applicable in the UK and Republic of Ireland (FRS 102)).
I have no concerns and have come across no other matters ID ¢onnectioD with the examination to which attentitjn should
b¢ drawn in thi& report in order to enable a proper UDderstanding of the a¢¢ounts to b¢ reached.
Christopher Robert Tyler FCA DChA FCIE
PI CRT Limited
Flat 24 Wellingtonia Court
Laine Close
Brighton
East Sussex
BNI 6TD

SAME SKY LIMITED
STATEMENT OF FINANCIAL ACTivrrIES
FOR THE YEAR ENDED 31 MARCH 21124
2024
Total
funds
2023
Total
fi￿dS
ds
Notes
INCOME AND ENDOWMEIYTS FROM
Donations and lega£ies
146
9,94S
10,094
8,338
Charitable activities
Aft projects and events
2,905
33,305
36,210
24,343
Other trading activities
Investsnent income
75
2.979
273.301
4,196
273,376
7,175
319,108
4,488
Total
6.105
320,750
326,855
356,277
EXPENDITURE ON
Raisin8 ￿ndS
1.686
E,686
257
Charltable actlvlties
Art projects and events
Support costs
98,659
4,563
229,845
328,504
4,563
326,768
4,330
Total
104,908
229,845
334,753
331,355
NET INCOME/(EXPEIYDITURE)
Transfer5 betweeo funds
{98,803)
95,738
90,905
(95,738)
(7,898)
24,922
16
Net movement in funds
(3,065)
(4,833)
(7,898)
24,922
RECONCILIATTON OF FUNDS
Total fill￿S brought forward
76,622
33,835
110,457
85,535
TOTAL FUNDS CARIUED FORWARD
73.557
29,002
102,559
110,457
Tho notes forni part of these fiDancial statements

SAME SKY LnlllTED
EGISTERED IqUMBEIL. 02244350
BALANCE4 SHEET
31 MARCH 2024
2024
Total
funds
2023
Total
fullds
Unrestrirted Restricted
funds
CURRENT ASSETS
Debtors
Cash at bank
14
80,841
18.814
80,841
47,814
72,848
66,991
29.(X)O
99.655
29,000
128,655
139,839
CREDITORS
Amounts fallingr due within one year
15
(26.096)
(26.096)
(29,382)
NET CURRENT ASSETS
73,559
29,000
I02,559
110,457
TOTAL ASSETS LESS CURRENT
LIABILITTES
73.559
29,(100
102,559
110,457
NET ASSÈTS
7i,559
29,000
102,559
110,457
FUNDS
Unrestrcted fi￿aS
Restricted funds
16
73,559
29,000
76,622
33.835
TOTAL FUNDS
102,559
110,457
The charitable company 1$ entit]ed to exe￿￿]0]) from audit under Section 477 of the Companies Act 2006 for the year
ended 31 March 2024.
The members have not requiTed tbe company lo obtain an audit of its financial statements for the year ended
31 2024 in accordance with Section 476 of the Conjpanies Act 2006.
Tr trustee$ aclaLowledge thelr reswnsibililies for
(a)
ensuring that th¢ charitable company keeps accounting records that comply with Sections 386 and 387 of the
Companies Act 2006 aDd
preparing fi[￿l¢la1 statements which tiive & true and fair view of the stste of affairs of the charitable compaoy as
at the end of each financia] year and of its surplus or deficit for each [￿anCIal year in accordance with the
requiTements of Sections 394 and 395 and which otherwise comply with th¢ requirements of the Companies Act
2006 relating to fLnancial Statemen￿ so ts as applicable to the charitable company.
(b)
These finallrial statom¢nts have been prepaffd iti aCCord￿C with the provisions applicable to chaTitable companie5
subject to the small companies regim¢.
ements wer¢ approved by th¢ Board of Th￿t¢eS alld authorisod lor isstse
. and were signed on its ithlf by:
Th¢
I st
on
owden- Trustee
Thr Jivlcs ft>uD
art ofth¢5¢ finaD¢ial slatem¢]rts

SAME SKY LIMITED
IYOTES TO THE FINANCIAL SfATEMEI¥TS
FOR THE YEAR ENDED 31 MARCH 2024
ACCOUNTING POLICIES
Basis of preparing the financial StateD￿nts
The financial statements of the charitable compary. which is a public bengfit entity under FRS102, have bee
prepared in accordance with the Charitie5 SORP (FRS102) 'Accounting and Reporting by Charities: Statement of
Recomtnended Practice applicable lo clwiti&s preparing their accounts with the Financial Reporting Standard
appli¢able in the UK and Republtc of Ireland (FRS102) (effectiv¢ l January 2019),. Financial Reporting
Standard FRSI 02 'The Financial Reporting StandaTd applicable in the UK and Republic of Treland, and the
Companies Act 2006. The financial stateFJiei)ts have been pr¢pareAI under the historical cost collvention.
The accounts are prepared in ster]nig. which is the functionat currew of the charity. monet￿ amounts in these
f￿anCIal statements are munded to the noarest£.
The trusteesldire¢tots ¢onsider that there are no material unC¢￿¢S about the company's ability to CODtinue as
a going concern.
Income
All income is recognised ID the Statement of Financial Activities once the cbarity bas entitlement to the funds, ÉÉ
is probable that the income wlll be receivtd and tbe alnount ¢an b¢ m¢asured reliably,
Grants from the GoveroÈneDI aDd other ag¢ncies including grants for the purrhase of fixed assets have been
inrluded as income trom activities ill furtberance of the Charity's objects ill the year in whi¢h they are receivable
and certainty. of receipt and the an)ounl Can be measured with sufficient reliability, Such income 1$ only deferred
when:
. The donor spi¢Èfies that the grant or donation must only be used An futsre accounting periods. or
- The donor has imposed conditions which must be met befor¢ th¢ Charity I￿ unconditional entitlement.
Investtnellt income is a¢¢ounted for on a receivable basis.
No amounts are included in thE accounts for services donated by volunteers.
Expendlture
Liabilities are recognised ag expenditure as soon as there is a legal or conS￿etive ob￿g￿li0n committing the
cbarity to that expenditure, it is probable ihat a transfer of econo￿1¢ benefits will be required in settlement and
the amount of the obligation can be measured rellably. Expendi(ure is a¢¢ounted for on an accTuals basis and bas
been classified under headings that agg¥e￿e all Cost rela￿d to the category, Where costs cannor be directty
attributed to particular headings they bave been allocated to acuvities on a basis consistent with the use of
resources,
Tangible fixed assets
TELe costs of tangible f￿ed assets is written-off oveT their uselul economic liv￿ as follows:.
Leasehold Property Over period of lease on a straight line basis
Office Equipment
500/0 reducing balance basis
Individual fixed assets consisting £250 ot more are capitalised at cost.
The charity carries out regulaT illumirnent Teviews of its fixed assets.
Taxation
The Charity is Considered 10 7ya55 the tests set out in Pardgrdph I Schedule 6 Finance Act 2010 and therefore it
meets the der￿LtiOn of a charitable compally for UK Con￿tiOn Tax purposes. Accordingly the Charity is
potentially exempt frotn laxation in resKKct of income or capital gains received withill categories covered by
Chapter 3 Part I I Corporalioll Tax Act 2010 or Sertion 256 of the Taxation of Chargeable Gains Act 1992, lo
the extent that such iocome OT gains are applied exclusivety to charitable puryx)ses.
Fund accounting
UJ]restricted funds can be used in acwrdance with th¢ tharitable objeCti￿S at the discretion of th¢
trustees.

SAME SKY LtIllITED
NOTES TO THE FINANCIAL STATEMEfsTS- continued
FOR THE YEAR ENDED 31 MARCH 2024
ACcoU￿rING POLICIES- continued
Fund accounting
Restricted funds can only be ￿￿ed for pa￿CU￿r Te5tricted putEX)ses within tbe objects of the charity. RestrÈctions
arise when specified by the donor or when fllnds a￿ rdised for particular restricted purposes.
Further explanation of the nature and purpose of each fimd is included in notes to the fllw]cial statements.
Research and developmenl
Expenditure on research and development is written off inthe year in which it is incurred.
Pension costs and other post-retirement bener
The company operates a stakeholder pension scbeme which is a defined colltriblltion scheme administered by
NEST. In the current year th¢ ¢mploy¢¢ ¢ontnTr)ut¢s 50/0 and th¢ ¢n]ploy¢r colltribut¢s 30/0.
D0Tr4ATIONS AND LEGACIES
2024
2023
Donations
10,094
8,338
OTFtER TRAD]NG AcT￿￿TIEs
2024
2023
Sales
Project lrtcome
75
273,301
524
318,584
273,376
319,108
LNVESTMENT INCOME
2024
2023
Rents received
Deposit account intere
7,065
iio
4,417
71
7,175
4,488
nYCOME FROM CHARITABLE ACTIVITIES
2024
2023
Activity
Art pioje¢ts and events
Art proje¢ts and evcnts
Online filing incentive
Grants
2,905
33,305
3,843
20,500
36,210
24,343
Grants re¢eiveLt included in the abov4 are as follows:
2024
2023
Arts Council England - Burning the Clocks
Chalk Cliff Trust - Bumino the Cl(Kks
Arts Council England - Winthllsh
23,000
3,000
7,305
17,500
3,000
33,305
20,500

SAME SKY LIMITED
NOTES TO THE FINANCIA L STATEMENTS- continued
FOR THE YEAR ENDED 31 MARCH 2024
RAISING FUNDS
Raising donations and legacies
2024
2023
Marketing
Research and Development
89
168
1.686
1,686
257
CHARITABLE ACTIVITIES COSTS
Direct
Costs (see
note 8)
Support
costs (see
Dote 9)
Totsls
Art projects and events
Support co3ts
328,504
328,504
4,563
4,563
328,504
4.563
333,067
DlkECT COSTS OF CHARITABLE AcfIviTIES
2024
2023
Workets Fees and Project Costs
Rent and Services
Li8ht alld Heat
Rat¢$ and Water
Buildi￿1 Maintenan¢e
lllsurance
Postage
Telephone and Illternet
Equiptnellt Repairs
Staiionery
Subscriptions and Mernberships
Bank and Credit Card Charges
CoTllPUter costs
Motor and Travel
285,068
1 &092
9,174
1.,202
1.,463
7,837
286,205
17,760
5,110
1,826
2,432
7,340
186
995
1,568
28
419
190
207
423
1,224
119
1,773
885
328,504
326,768

SAME SKY LIMITED
I¥OTES TO TH E FINANCIAL sfATEMEKfs- continued
FOR THE YEAR EIYDED 31 MARCH 2024
SUPPORT COSTS
Govemance
costs
Support costs
4,563
Support costs, included in the atK)ve. are &s follows:
2024
Support
costs
2023
Total
activities
Independent Examinalion
Bookkeeping
Filing Fee
1,500
3,050
13
1,450
2,880
4,)63
4,330
10.
TRUSTEES, REMUNERATION AND BENEFITS
TELere were no trustees, remuneration OT other benefits for the year end¢4J 31 M￿Ch 2024 nor for the year ended
31. March 2023.
Trustees, expenses
There were no tnE8tees' expenses paid for the year ended 3 l March 2024 nor for the year ended.31 March 2023.
11.
STAFF COSTS
The average rllonthly munber of employe¢s was 3 (2023 . 3).
The oosts in respect of these ernployees were .
2024
2023
Salaries
Employers National Insuran¢e
Pension Costs
48,340
2.905
752
50,690
3,843
939
Trjo employee r¢ceived emolumelrts in excess of £60.OIX) (2023 . none).
The Charity consider it$ key managenutt pvrsonnej comprises the twsÉee8 and the ceo artistic director.Total
employment benefits to its key lljanagejnert personnel (Including eIt￿loyerS llational illSUTance and pension
contributions) was £20.879 {2023 = £35.485).

SAME SKY LIMITED
NOTES TO THE FII¥4ANCIAL STATEME]¥TS- Continued
FOR THE YEAR ENDED 31 MARCH 2024
12.
COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTivrrIES
Unrestricted
funds
Restricted
fmds
Total
funds
INCOME AIYD ENDOWMENTS FROM
Donations and legacies
1.030
7.308
8,338
Charitable activities
Art projects and evenls
3,843
20,500
24,343
Other trading activities
Tnvestsnent income
13.154
3,486
305,954
1.002
319.108
4,4S8
Total
21,513
334,764
356,277
EXPENDITURE ON
Ratsin&7 funds
257
257
Charltable actlvltlps
projects and evenls
Support ¢osts
102,106
4,330
224,662
326,768
4,330
Total
106,693
224,662
331,355
NET INCOME/(EXPENDITiiRE)
Transfers between funds
(85,180)
85,350
110,102
(85,350)
24,922
Iyet movement In funds
170
24,752
24,922
RECDNCILL4TION OF FUNDS
Totsl funds brougbt fonvard
76,451
9,084
85,535
TOTAL FUNDS CARRIED FORWARD
76,621
33,836
110,457
13.
TANCIBLE FIXED A￿ETs
Fixtures
and
fittings
Short
l¢agebold
Totals
COST
At I April 2023 antt JI March 2024
181,305
40,903
?22,208
DEPRECIATIOIY
At l Aprd 2023 and 31 Match 2024
181J05
40,903
222,208
NET BOOK VALUE
At 31 March 2024
At 3 1 March 2023

SAME SKY LIMJTED
NOTES TO THE FINANCIAL sfATEMENT5- continued
FOR THE YEAR ENDII D 31 MARCH 2024
14.
DEBTORS: AMOUNTS FALLING DUX wrrHIN ONE YEAR
2024
2023
Trade debtors
Prepaytnents
77,314
3.527
69,321
3,527
80,841
72,848
15.
CREDrroRS: AMOUNTS FALLING DUE wrrHtN ONE YEAR
2024
2023
Social security and other taxes
VAT
Other creditors
Accrued expenses
447
23.540
309
1,800
736
25,917
150
2,579
26,096
29,382

SAIIIE SKY LIVi IiTED
NOTES TO THE Fll¥ANCIAL STATEMEwfs- continwed
FOR THE YEAR IIYDED 31 IViARCH 2024
16.
MOVEMENT IN FUNDS
Trlet
movement
itk funds
Transfer5
between
funds
At
31.3.24
At 1.423
Unrestricted funds
Generat fund
Designated Fund - Research and
Development re:Sustainabi]ity Planning
59.302
(98,801)
95,738
56,239
17,320
17,320
76,622
(98,SOI)
95,738
73,559
Restricted lunds
Brighton Sussex Medical School
Burning the Clocks
Cambridge
Ceiligh
Children's Parade 2023
Children's Parade 2024
Chime
Diwali
Festival of L￿t
Glow Wild
Horsham
Hythe
Jack on the GreEn
Lconardsl¢e
Lindfield
Maidenh¢ad
Michelbam Priory
Mis¢ellaneou5
Polesden
Polesden Lacy Winter Ligbts
Sh¢ffield Park
Springy Forward
St Georges Gravesend
Thurro¢k
Totton
Windrllsb
937
{4J24}
3,770
(67)
(24,170)
37,394
6.110
2.849
2,529
l3,310
6,172
865
1,887
4,741
3,106
5,482
65l
S,128
2,920
3,904
3,29l
3,647
2,431
1819
2,159
3,362
(937)
4,324
(3,770)
67
(8,665)
(9,394)
(6,110)
(2,849)
(2,529)
(13,310)
(6,172)
(865)
(1,887)
(4,741)
(3,106)
(5,482)
(651)
(5,128)
(2,920)
(3,904)
(3,291)
(3,647)
(2,431)
(2,819)
(2,159)
(3,362)
32,835
28,000
1,000
1,000
33,835
90,903
(95,738)
29,000
TOTAL FufiDS
110.457
(7,898)
102,559

SAME SKY LIMITED
NOTES TO THE FIIYANCIAL STATEMKIYTS- continued
FOR THE YEAR £IND£D 31 MARCH 2024
16.
MOVEMENT IN FUNDS- continued
Net movement in fund4 included io the knve are &s follows:
Incoming
resources
Resources
expended
Movement
in funds
Unrestricted funds
General fund
6,105
(104,906)
(98,801)
Restricted funds
Brighton Sussex Medica] School
Burning the Clocks
Cambridge
Ceiligh
Children's Parade 2023
Children's Parade 2024
Chime
Diwali
Festival of Light
Glow Wild
Horsbam
H>rtbe
Jack on the GTe¢n
Leonardslee
Lindfield
Maidenbead
Miche]ham Priory
M1scellaneous
Pole5den
Polesden Lacy Willter Ligbts
Sbeffield Park
Spring ForM•rd
St Georges Graves¢nd
Thurrock
Totton
Windrush
2,0(K)
41.947
4,600
I,075
6,530
52,379
16.500
4,300
6,707
53.000
22,931
4,400
8,316
8,203
8.600
14,260
2,5(K)
8J25
8,700
8,000
7,000
9,665
3.707
3,850
3,950
7,305
(1,063)
(46,271)
(830)
(1,142)
(30,700)
(14,985)
(10,390)
(1,451)
(4,178)
(41,690)
(16.759)
(3,535)
(6,429)
(3,462)
(5,494)
(8,778)
(1,849)
(3,197)
(5,780)
(4,096)
(3,709)
(6,018)
(1,276)
(1,031)
(1,791)
(3,943)
937
(4.324)
3,770
(67)
(24,170)
37,394
6,110
2,529
13,310
6,172
865
1,887
4,741
3,106
5.482
651
5,128
2,920
3,904
3,291
3,647
2,431
2,81.9
2,159
3,362
320,750
(229,847)
90,903
TOTAL FUIYDS
326.855
(334,753)
(7,898)

SAME SKY LLvirrED
NOTES TO THE FINANCIAL ￿ATEMENTs- continuol
FOR THE YEAR ENDED 31 MARCH 2024
16.
MOVEMENT TN FUNDS- Continued
Comparatives for movtment in funds
Net
movement
in fiinds
Transfers
between
fllnds
At
31.3.23
At 1.422
Unrestricted funds
General fund
Desigllated Fund - Research and
Dev¢1opment re'.Sustainability PlaDnihg
59,131
(85,179)
S5.350
59,302
17020
17,320
76.451
(85,179)
85,350
76,622
Re5trict¢d funds
Bore Place
Burning tbe Clocks
Chichester
Children's Parade 2022
Children's Parade 2023
Diwali
Festival of Ligl]t
Gloriana
Glow Wild
2,348
(1,970)
3,655
(13,429)
32,835
1,929
15,623
1,488
15,873
3,914
6,548
2,023
6,151
6,740
1,812
6,804
12,332
583
(2,348)
1,970
(2,544)
4,078
(i.iii)
9,351
32,835
(1,929)
(15,623)
(1,488)
(14,873)
(942)
(6.548)
(2,023)
(6,151)
(6,740)
(1,812)
(6,804)
(12,332)
(583)
(984)
(4,955)
(2,008)
(711)
1,000
(2,972)
Hounglow
Jack on the Gr¢¢n
Leonardslee
Maidenhead
Miscellaneous
National Trust - Xmas
Platinum Jubilee Pageant
Sheffield Park
Si Georges Gravesejjd
Totton
Uckfield
Wildheart
4,955
2,008
(3.105)
3,816
9.084
I10,ioi
(85,350)
33,835
TOTAL FUf4DS
85.535
24,922
110,457

SAME SKY LIMITED
NOTES TO THE FINANCIAL STATEMENfs- continutd
FOR THE YEAR ENDII D 31 MARCH 2024
16.
MOVEMENT IN FUN]XS- continued
Comparativ¢ net rtlovement in fimd& includ¢d in the above are follows:
Incoming
resources
Resources
expended
Movement
in funds
Unrestricted funds
General fund
21.513
{106,692)
(85,179)
Restricted funds
Bore Place
Burning the Clocks
Chichester
Chitdreft's Parade 2022
Children's Pardde 2023
Diwali
Festival of Light
Gloriana
Glow Wild
Horsham
Hounslow
Jack on the Green
Leonardslee
Maidenh¢ad
Mis¢¢llaneous
National Tn]st - Xmas
Platinum Jubilee Pageant
Sheffield Park
St Georges Graves¢nd
Totton
Uckfield
Wildheart
3.600
32,S95
5,(X)I
19,636
41,143
4.300
3l,988
5,000
57,033
16,436
l8,000
8511
8,068
15.605
5,719
15,117
28,OIN)
3,000
3,401
7,140
5,171
(1,252)
(34,865)
(1,346)
(33,065)
(8,308)
(2,371)
{16,365)
(3,5l2)
(41,160)
(12,522)
(11,452)
(6,488)
(1,917)
(8,865)
(3,907)
(8,31.3)
(15,668)
(2,417)
(2,417)
(2,185)
(3,163)
(3,105)
2.348
(1,970)
3,655
(13,429)
32,835
K,929
15.623
1,488
15,873
3,914
6,548
2,D23
6,151
6,740
1,812
6,804
12,332
583
984
4,955
2,008
(3,105)
334,764
(224,663)
I10,ioi
TOTAL FUNDS
356,277
(331,355)
24,922
Th¢ purpose of eacknTestricted fimd was as follo
Brigbton Sussex Medical School
Banner making project with staff and stlldents c¢lebrating 20 years of thE medical school.
Burning the Clocks
annual large scal¢ comm￿llY lalllcrn parade with 20.0(K) audi￿Ce and 2,500 participants.
Cambridge
ConllnissiotL for Royal Botanic gard¢ns-
Ceilidb
Brighton festival bcDefit evellt.
Children's Parade 2023
Children's Parade 2024
Larg¢ scale annual schools. participation proiecl with 5.000 Childr￿ and 65 schoo]s. Delivered Èn a 6 month
period from October to earty May.
Chin]e

SAME SKY LIMITED
NOTES TO THE FINALYCJAL STATEMKNfs- continued
FOR THE YEAR EM)ED 31 MIIRCH 2024
16.
MOVEMEIYT IN FUNDS- CODtinued
Conmiunity engagemen* progFrnm leading to a town centre parade and celebratioll as part of Arts Council's
creative people and pjaces.
Diwali
Reading and Basingstoke Diwali parades 5upportffjg local Asian kd group Kala the Arts.
Festival of Light
A series of Kent based lit parades and i[￿allationS wilh and for communities ID Kent delivered with our partner
Cohesion Plus.
Glow Wild
10th annual ev¢nt working with schools. C0￿MUnity groups and staff to engage with thts aDnual ligbt trail.
Horsham
Large scale event in Horsham delivering annual bespoke Childrell's parade with 22 Horsham schools and a
tsacher and pupll trainiDg prow.
Hythe
Whole s¢bool engageDient ¢vent for winter lights.
J￿k on the Gree
Lit 3-ni8ht park event foy the communities of Worthingv no in its 7th year.
Leonaraslee
Support for artists worf(ing on this Light Trail.
Lindfield
CelobTatory spring event for vi]lage fayre schools workshops and parade.
Maidenbead
Town centre Xmas parade with s¢hools colleges and ¢onJtnunity groups.
Michelbam Priory
Halloween event at local stately holl￿ centre.
Pole5d¢n
A S¢Ties of da￿ine engagements with n&ional trust propety Pol&s¢d¢D Lacey.
PolesdeD Lacy Wjntsr Lights
Light slkow national trust propoty POles￿le￿ Law.
ShefficldPark
AntLual waterlily festival at thi5 iconic national trust site.
Spring Forward
New comtnunity and ￿h0O]S Project for Crawley town centre WOTkshops and event.
St GeoTLFes Gravesend
mult1cuitL￿al St George's parade5 in K¢nt 30 schoo]s.
ThU￿0¢k
Lit event in kent near Dartford bridge.
Totton
Support for delivering a commutiity lanternpatade in Totto
Windn]sh

SAME SKY LTMITED
NOTES TO THE FINANCIAL sfATEI*IKIYfS- continued
FOR THE YEAR ENDED 31 MARCH 2024
16.
MOVEMENT IN FUNDS- continued
Conllnunity event working with BME conmm￿tteS comrnorattng the anniversary of th¢ WilldNsh.
17.
RELATED PARTY DlSCtA>SURES
There were no related party lrn)sactions for the year ended 31 March 2024.
18.
ULTIMATE CONIIiOLLING PARTY
UltitTLate control lies with the directorshrllstees.
19.
STATUTORY INFORMATION
The oharity is a company limited by 8varantso llaving Do share capital.
Tn accordan¢e with Clause 6 of the Memornldum of Association every member is liable to coDtrtbut¢ a sum up to
M￿LM￿n of £1 in the event of the CODtyany being wound up. tll th¢ event of the willding up or dissolution of
th¢ cotnpany ally assets remaiDiD& after satisfying of all its debts and liabilities, shall be transferred to some
other Ch￿￿table institstion or institutions havillg ssmilar objects.
The company's registered number aDd registered office address can be found in the 'Legal and Administrative
Inforniation, section of the accounts.