FEVERED SLEEP
Rtglstered Ctsmp*my No. 3524224 (England and Wales)
Regislered Charity No 11)69144
FEVERED SLEEP
(A CHARtTABLE COMPANY LIMITED BY GUARANTEE)
ANNUAL REPORT AND UNAUDITED FINANCIAL STATEMEwrs
FOR THE YEAR ENDED 31 MARCH 2022
*ABHQ08HE'
2811112022
COMPANIES HOUSE
A15
#7

FEVERED SLEEP
CHARITY INFORMA TION
Trustees
Ros Attille
Natasha Freedman
Nicole Fu {appointed 27 July 2021)
Glenda King (resigned 27 July 2021)
Conrad Lynch
Selina Ocean (appoinied 27 July 2021)
Angela Mcshery (Chair. resigned 19 October 2021)
James Simpson
Bernadette Taylor (appointed 10 May 2022)
Alex Tyrrell
Peie Staves (resigned 4 May 2021)
Céline Gagnon (Interim Chair)
Secretary
Dirnity Nicholls
Key management personnel
David Ha￿adine, Co-Artistic Director/CEO
Sam Butler. Co-Artislic Director
Dimity Nicho115, Executive Director
3524224 (England and Wales)
1069144
Registered company nllmber
Registered eharity number
Registered office
15A Old Ford Road
London
E2 9PJ
Independent ex2min¢rs
Simpson Wreford LLP
Wellesley House
Duke of wellin￿On Avenue
Royal Arsenal
London
SE186SS
Bankers
Triodos Bank
Deanery Road
Bristol
BSI SAS
Shawbrook Bank Limited (CAF)
Lutea House
Warley Hill Business Park
The Drive
Brentwood. Essex, CM13 3BE
The Charity Bank Limited
Fosse House
182 High Sireet
Tonbridge, TN9 1 BE

FEVERED SLEEP
CONTENTS
Pgg¢
Trustees, Report
Independent examiners rew)rt
Statement of Financial Activilies
Balance sheet
10
Statement of Cashflows
Notes to the financial statements
12-20

FEVERED SLEEP
TRUSTEES, REPORT
FOR THE YEAR ENDED 31 MARCH 2022
The trustees aff pleased to present their annual directors, report tO8ether wlth the financial
statements of the charity for the year ending 31 March 2022 which are also prepared to meet the
requirements for a directors, report and accounts for Companies Act purposes.
The financial statements comply with the Charitie5 Act 2011, the Companies Act 2006. the
Memorandum and Articles of Association. and Accounting and Reporting by Charities: Statement
of Recommended Practice applicable to charities preparing their accounts in accordance with the
Financial Reporting Standard applicable in the UK and Republic of I￿ land (FRS102).
Structure. governan¢e and managemenl
Governlng document
Fevered Sleep (the charity) was fonned in April 1998 and is ￿gIstered wilh ihe Charity
Commission of England and Wales under re8lStrdtion number 1069144. It is a company limited
by guaranree (company registration number 3524224 (England and Wales)) and is governed by its
Memorandum and Articles of Association. The head office. which is also the registered office, is
currently at I SA Old Ford Road. London, E2 9PJ.
Truslees
The Trustees (who were also directors for the purpose of company law) who served the charity
during the period were as follows:
Ros Attille
Natasha Freedman
Nicole Fu
Glenda King
Conrad Lynch
Selina Ocean
Angela Mcsherry (Chair)
James Simpson
Bernadette Taylor
Alex Tyrrell
Pete Staves
Céline Gagnon
Day to day management of the charity is the responsibility of Dimity Nicholls, Executive
Director
Truslee Recruitn￿￿1, appoinlménl and Induction
Trustees are recruited in line wilh our Equity, Diversity and Inclusion policy, and initially
interviewed by the Chair, CEO and Executive Direclor. They are then invited to observe a Irustees
meeting before being voted onto the board by Iwo existing trustees. A full induclion tskes place
ahead of the following rneeting.
Objects and activities
To advance education for the public benefit by ihc promotion of the arts, in particular but not
exclusively the art of drdma.
The Trustees have cornplied with their duty in section 17 of the Charities Act 2011 to have due
gard to the public benefit guidance published by the Charities Commission.

FEVERED SLEEP
TRUSTEES, REPORT
FOR THE YEAR ENDED 31 MARCH 2022
Achievements and performance
This year 42,456 people engaged with our work through perfom)ances. participatory projects. film
screenings. publications. talks and conferences, our websiie. so¢ial media, apps and online events.
We directly engaged 1.663 people in person. with 40,793 people engaging digitally.
Engagement: AudieDCfy Participation *nd Digital Summary of figure5
Project
Event Name
VlewslTlckets
Brilliant
Film screenings
214
Il's the Skin You're Living in
On Ageing
Film views on website
45
Film views on website
Sheep Pig Goal
Film views on website
149
B Tender Solitudes
Film Sereenin9s x 11. FS and lour to venues I festNals
'Online. Grief Gatherings. Conversations, Performances.
Dance filrn. audio perfomiance.
In person.. Grief Gathering. artisls sharir*J
perfomiances. 3 x market stalls
3.867
,'This Grief Thing
1,147
Thi$ Grief Thing
5251
The Heakh Tree
Two n*ure walks
35
,We Are Not Finished
In pefson.. audilKins of 75 CYPS plus 5 sh¢)WS
868
Gestures
Care Home Collaboration. poslavdigrtal
100
Iconsullancy, workshops elc.
Olher Youlubemimeo wews
From FS websile
4,841
Social Media
followerslsubscribe
9,336
,Annual visils to FS website
TOTAL
The impa¢t of Covid-19
The Covid-19 pandemic coniinued to affect our work, as various levels of public health restrictions
were in place across the year. l( pui enomious pressure on our team.. working from home increased
their workload and created some anxiety and social isolation. We were unable to raise income
from trusts and foundations, as they focussed their attention on front line needs, and commissions
were postponed. reduced or cancelled. When restrictions were temporarily lifted in the autumn,
and with the support of funding from the Culture Recnvery Fund. it enabled us to present the first
iieraiion of our new work We Are Nol Finished for a successful run at The Place in London. We
hosted a night for invited guests including poieniial partner5 and commissioners.

FEVERED SLEEP
TRUSTEES, REPORT
FOR THE YEAR ENDED 31 MARCH 2022
Presentalion of work
Despile these difficult circurnstances, we presented a successful programme with 9 UK partners
across 5 regions. one intemalional partner (for digital work) and 18 freelance artists. Highlights
of our activities include-
This Grief Thing is a project that aims to encourage people to accept grief as a healthy reS￿nSe to
dealh which doesn't need to be silenced. hidden or ignored.
In 2021 we reimagined This Grief Thing for Covid times and for London. Alongstde more online
Grief Gatherings with previous guests hosts and new hosts Tian Glasgow, Tabby Lamb, and Lou
Robbin. We commissioned artists Rayvenn D'clark and Akshay Shama to make new projects in
response to the theme of grief and presented these in June '21 at the Pavillion of Remembrance in
Thames Barrier Park. Newham. We also hosted a series of online dialogues between a whole rnnge
of 'grief experts, including academics George Gumisiriza and Linda Machin. curalor Amy de la Haye.
death doula Amanda Blainey. photographer Simon Bray. artists Paula Varjack and Priya Jay and
philosopher Will Daddario. We reimagined our shop as a market stall, which appeared in Roman
Road, Brick Lane and Bethnal Green Road street markets in the east London borough of Tower
Hamlets. The stalls were hosted by our artistic directors David and Sam along with community
engagemenl associate Nurjahan Julie Begum.
Grief Gatherings are small group conversations about grief hosted by David and Sarn, and by guest
hosts. They're a chance for people to come together to talk. learn and think aboLtt grief. During this
year. Grief Gatherings took place onlin¢ and in outdoor spaces. We offered them in partnership with
many other organisations. including Si Margar¢t'5 Hous¢. Stratford Circus. Royal Docks and
Artsdepot. In partnership with The Good Grief Trust. we commissioned grnphic designers Fraser
Muggeridge Studio to create a set of large-fomiat posters. We took over billboards and poster sites.
to make grief visible in public spaces. so that people who would never visil a shop or tske part in a
grief gathering or attend a commissioned perfomiance can still encounter the project and its Ihemes.
and still be invited to ihink, leam and talk about grief. They appeared during the summer of 2021, in
English and Bengali. at sites amund IA>ndon and Tower Hamlets, to complement the market stalls.
We Are Ivot Finished foregrounds ¢hildren'5 resistan¢¢ to a stalus quo that has failed them. It's
about children a5 polilical agenls with radical imaginalions. fierce opinions and wild hopes. In
November 2021. we presented five live shows at The Place, London. with a cast of 13 non-
professional children and young people.
Geslures
We are one of four arts partners working with Magic Me on a three-year residency projecl exploring
louch in care homes in Essex. The original three years was extended to four as the pandemic affected
our ability to work within the care home. with residents and staff. The project is funded by Paul
Hamlyn Foundation. Artists Petra Soor and Akshay Shama produced visual arts pack4 photography
and film to Share with residents. in readiness to restsrt in-per50n activity as soon as r¢stri¢tions
allow¢d.
8 Tender Solilmdes
This film exploring touch, and what we lost in the pandemic when touch was denied us, was toured
and screened digitally with several arts partners. including Th¢ Lowry in Salford. (ktagort Theatre
in Y¢ovil. Dance4 in Nottingham. Cambridge Junction and the Sydney Opera House.

FEVERED SLEEP
TRUSTEES, REPORT
FOR THE YEAR ENDED 31 MARCH 2022
The Healih Tree
A social prescribing partn¢r5hip with St Margaret's House and several Tower Hamlets based arts and
wellbeing organisations. with primary care services in east London. We delivered three walks in
nature. focussing on drawing, lighL sound and the senses.
Consuliancyj leadership and thlvocdcy..
In 2021-22, our Co-Artisti¢ Diffctors Sam Butler and David Harradine led the following professional
development sessions-
Dolphin School workshop. Sunday Alternative. Choreography of Care Symposium in Dijsseldorf.
Gerniany. Producing Theatre for Children workshop for the British Council- Camden Arts Centre
work5hop- Prdctice Research Workshop for PhD students ai Royal Central School of Speech &
Drama. Digital Creatives research workshop5. Bradford- professional development workshop for
Japanese iheatre maker5. Creative Consultation workshop for Leeds23 Children's Day.
Postponed Projects:
Due to the impact of Covid-19, the following projKts We￿ put on hold unlil later in 2022.
The Instiluie of Eyerything
Our school residency programme championing creativity and critical thinking. with Clifton Green
Primary School in YorL r¢maiDed on hold in 2021122. Funding has been identified io reslart ihis
project in Autumn 2022.
The Sky Is Filled Wilh Thunder
A mulii-layered audio artwork about home. migration. family history. hop¢. anger. fear and joy.
which Celebrates and foregrounds ihe voices of children. Our commission from Greenwich +
Docklands International Festival. originally for August 2021. was posiponed. We will present the
first public iteration in 2022.

FEVERED SLEEP
TRUSTEES, REPORT
FOR THE YEAR ENDED 31 MARCH 2022
M#na
erial re
We successfulSy raised £219,000 of Arts Council England's Cultural Recovery Fund (CRF)
emergency funding, which enabled us to present We Are Noi Finished ai The Place and create
film version of that project. CRF funding also supported This Grief Thing activity and Inslilule of
Everyihip7g project managemenL for activity in 2022-23.
We remain associate artists at Royal Central School of Speech and Drama. University of London.
Our association provides us with an annual fee and the ability to apply for research grants. to
deliver research ouicomes through our practice.
Our office at 15A Old Ford Road since 4th March 2020 has provided secure and cost-effective
accommodation from which to operate. We are one of many voluntsry and art5 sector organisations
based at the community hub. Si Margaret's House.
Future Plans
Many of Fevered Sleep's plans continued to be postponed in 2021-22. so 2022-23 is a year to build
back our programme and audiences. We will capithlise on the success of We Are Not Finished
through a residency al Brighton Festival in May 2023 or beyond, and a tour of the film version, to
generate income and further raise ihe profile of the company. Further organisalional development
will enable our expansion into wider digital markets and offer broader digital contenL including a
pilot podcasL and online fora for young people. We will launch a publication in 2023 with
Performance Research Books as part of their 'lnside Performance Practice. series. The book will
combine texl, crilical ￿fleC110ft. scholarly and theoretical analysis of the practice, the voices of
partners, praciitioners and participants. and the views of the makers. We are also developing new
projects in partnership with Leeds 2023 Festival and with West Kowloon Cultural Distrid in Hong
Kong.
We plan to develop and promote a wide range of items in our online shop, including publications,
clothing. cards and accessories. We intend for this digital strand to open up new opportunities to
increase earned income as well as accessibility. participation and engagement in our projects.
Fevered Sleep starts the next financial year with a strong financial foundation and is a going concern.
Financial Review
For the year ended 31 March 2022 the total income was £474.354 (in addition to £304.637 brought
forward), this cornpare5 to the previous year when gross income toialled £339.398. There were no
restricled funds brought forward.
We are showing £243.019 of funds remaining at year end. These funds will be used to support the
work of the company from 2022-23. all of these funds are unrestricted fiinding (Arts Council
England). General free reserves amount to £143.019. and total designated reserves now total
£ 100,000 (pSease see reserves policy below).
Eamed income (£39,305) was significantly higher than in 2020-21 (£18,954).

FEVERED SLEEP
TRUSTEES, REPORT
FOR THE YEAR ENDED 31 MARCH 2022
Risk assessmenl, d¢prttiation. banking and reserves p)licy
The company is dependent on project funding to support ils activities but has controls in place to
rnanage the risks associated with a shortfall in funding. The Board of Director's finance sub-
committee reviews accounts thoroughly each quarter, financial syslems are ￿vieWed anually and
the Board is kept infornied of the financial position of the company ihrough quarterly management
accounts and reports.
The company has established a depreciation policy to optimise any capital expenditure over
£2,000. A Canon Mark IV camera was purchased in the year for £3,300.
tk5ignatd reserves of £ I00.(KKJ have been retained at the end of 2020-21. These reserves are
only releasable by the board for the following: £85,000 core operdling costs for three months to
fulfil all necessary commiimenis in the event of the demise of the company; £15,000 strategic
reserve to support work which the board decides is of strategic artistic value.
Trustees, Re5pon$ibilities
The trustees are responsible for preparing the Trustees, Annual Report and the flnancial statements
in accordance with applicable law and regulations and in accordance with United Kingdom
Accounting Standards (United Kingdom Generally Accepted Accounting Prdciice).
Company law requires the charity trustees lo prepare financial ststements for each year which give
a true and fair view of the state of affairs of the charitable company and of the incoming resources
and application of resources, including income and expendiiure of the charity for that period.
In preparing the financial ststements the trustees are required to..
select suitable a¢counting policies and then apply them consistently-
observe ihe methods and principles in the Charities SORP.
make judgements and estimates that are reasonable and prudent.
slate whether applicable accounting slandards have been followed subject io any
material departures disclosed and explained in the financial statements- and
prepare the financial ststements on the going concem basis unless it is inappropriate
to presume the charity will continue in business.
The trustees are responsible for keeping proper accounting records that disclose with ￿aSOnable
accuracy at any time the financial position of the charity and enable them to ensu￿ that the
financial stalements comply with the Companies Aci 2006. They are also responsible for
safeguarding the assets of ihe charity and hencE taking reasonable steps for the prevention and
detection of fraud and other irregularities.

FEVERID SLEEP
TRUSTEES, REPORT
FOR THE YEAR ENDED 31 MARCH 2022
The trustees are responsible for the maintenance and integrity of the corporate and financial
information included on the charitable company'5 website. Legislation in ihe United Kingdom
goveming the preparation and dissemination of financial Statements may differ from legisl*ion in
other jurisdictions.
So far a5 each Trustee 15 aware, there is no relevant inforn)ation (inforniation needed by the
charity's independent examiners in connection with preparing their report) of which the Charity's
examiners are unaware- and each director has taken all the steps ihat they oughi to have iaken as
a director in order to make themselves aware of any relevant audit infomialion and to estsblish
that the eharity's examiners are aware of that infom]ation and to establish that the charity's
examiners are aware of that infonnation.
Independent Examine
Simpson W￿f0rd LLP were appointed as Independent Examiners during the year and have
expressed their willingness to continue in that Capacity.
The above ￿port has been prepared in accordance with the special provisions ofsection 419(2) of
the Companies Act 2006 relating to srnall comp3nies.
Dale approved by the Board on .
CoF)rad Lynch - Inlerim Co-chair

FEVERED SLEEP
INDEPENDENT EXAMINERS REPORT TO THE TRUSTEES OF FEVERED SLEEP
FOR THE YEAR ENDED 31 MARCH 2022
I report to the charity trustees of the company for the year ended 31 March 2022. which are set
out on pages 7 to 18.
Responsibilities and bas￿ ofreport
As the charity's trustees of the company (and also its directors for the purposes of company law)
you a￿ responsible for the preparation of the accounts in accordance with the requirements of the
Companies Act 20061'th¢ 2006 Act.).
Having satisfied myself thai the accounts of the company a￿ not required to be audited under
Part 16 of the 2(K)6 Act and are eligible for independent examination. I report in respe¢i of my
examination of your charity's awounts as carried out under section 145 of the Charities Act 2011
(the '2011 Act,). In carrying out my examination I have followed the Direction5 given by the
Charity Commission under seciion 145(5)(b) of the 201 l Act.
Independenl examiner's report
Since the company's gross income exceeded £250.000 your examiner must be a member of a
body listed in section 145 of the 2011 Act. I confim) that l am qualified to undertake the
examination because l am a member of the Institute of Chartered Accountants in England and
Wales, which is one of the listed bodies.
I have compleied my examination. I confirm ihat no matters have come to my attention in
connection with the examination giving me ￿uSe io believe:
{ l) accounting records were not kept in respect of the company as required by section 386 of
the 2006 Act: or
{2) the accounts do not accord with those a¢countin8 records. or
{3) the accounts do not comply with the accounting requirements of section 396 of the 2006
A¢1 other than any requirement that the accounts give a 'true and fair, view which is not
a matter considered as part of an indep¢T￿ent examination. or
(4) the accounts have not been prepared in accordance with the methods and principles of
the Statement of Recommended practice for a¢￿untIng and reporting by chariEies
applicable to charities preparing their ac¢ouniS in accordance wilh the Financial
Reportin8 Standard applicable in the UK and Republic of Ireland (FRS 102).
I have no concerns and have come across no other matters in connection with the examination to
which attention should be drawn in this re￿rt in order to enable a proper understanding of the
account to
ched.
Kate Taylor FCA
For and behalf of Simpson Wreford LLP. Chartered A¢¢ouDt*D¢s
Institute of Chartered Ac￿Unts in England and Wales
Wellesley House
Duke of Wellington Aven
London, SE18 6SS
Daled:

FEVERED SLEEP
STATEMENT OF FINANCIAL ACTIVITIES
(INCORPORATING THE INCOME & EXPENDITURE ACCOUNT)
FOR THE YEAR ENDED 31 MARCH 2022
Unrestricted Restricted
Funds
Funds Totsl fvnds Tolal ￿ndS
2022
2021
INCOME
DonatiotL8 a￿1 kga¢iES
charitab￿ activit¢S
Investrnents
Ot￿r
TOTAL INCOME
429.430
39J05
429,430
39J05
317,998
18954
1581
4.810
474J54
4310
474J54
339J98
EXPENDITURE ON:
Furxtraising
ChaTitabk activit￿5
Other
TOTAL EXPENDITURE
534.(
lJ63
535.972
534,6(
lJ63
535972
293.664
3214
296,878
NET INCOMEI{EXPENDITURE)
(61fi18)
(61fj18)
42520
Transfers be￿e¢rt fuTxts
NET MOVEMENT IN FUNDS
61,618
61.618)
42520
RECONCILIATION OF FUNDS
Tothl funds IYou￿ frmward
Totgl hnds c¥rri¢d forwan1
304,637
243,019
304,637
243.019
262,117
304.637
The resuhs for the year derive from cont￿￿￿8 aciryitrs. there are rKJ (Kher or k)sses other
Ihan those shown ab)ve.

FEVERED SLEEP
BALANCE SHEET AS AT 31 MARCH 2022
2022
2021
Fixtd A$$ets
Tangli )le Fixed Assets
1,965
Current Assels
Debiors
Cash at bank and in hand
39.401
214,402
253104
14,107
293.848
307.955
Cr¢dl¢orJ
Amwits falling due within one year
(15J92)
(5283
Net current assets
23&412
3ff2.6r2
Total net wsets
243 019
The Funds of the Cbarity
Unrestrtied Fwids
Restricted Funds
243.019
3(hl,637
243.019
3(hi,637
For the year ending 31 March 2022 the wmpany was entitled to exemption from audit under
section 477 of the Companies Act 21K16 relating to small companies.
The directors acknowledge ihcir responsibilities for complying wilh the rquirements of ihe Act
with respect to accounting records and the preparation of financial statements.
The tru￿¢¢$ have not required the company to obtain an audit of its financial statements for the
year in qU¢Sfion in accordance with seciion 476
These financial statements have been prepared in accordance with the provisions applicable to
companies subject to the small companies. regimes
The fi
ancial sratements on pages 10 to 21 were 8pproved by the board of trustee5
on.
ql Nkntsty,.. Irfu...and were signed on its behalf by
nrad Lynch
Company registraiion number- 3524224 (England and Wales)
10

FEVERED SLEEP
STATEMENT OF CASHFLOWS
FOR THE YEAR ENDED 31 MARCH 2022
Notes
2022
2021
Cash used operatill8 4¢1ivi¢ies
Net cash prov#kd byl(wd in) cFratI￿ a¢tivitts
16
5,985
58,544
C&sh flo￿ from InvestiThg aetivitles
Interest iKome
1581
Purcl&se of r￿ed assets
5.701
Di8p)sal of tan8bk r￿ed assets
1,431
C¥h prov*ltd byl (used) in inv¢s¢iTrg xtivitits
3.461
lJ66
I￿re¥s¢ n cash a￿1 cash equivaknts in the y¢#r
(79,446)
57,178
Cash and cash equivaknts at the be81in1￿ of the year
293848
236fi70
Total cash aThl Cash equivaknts at eNI of th2 ￿aT
214,4tr2
293.848

FEVERED SLEEP
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2022
l Aeeounting policie5
1.1 Company infonnation
Fevered Sleep is a company limited by guaranlee. incorporated in England and Wales and
registered as a charity with the Charities Commission. The registered otTi¢e is 15A Old
Ford Road. London E2 9PJ.
1.2 Basis of preparation of financial statements
The financial statements have been prepared in ac£ordan¢e with Accouniing and Reporting
by Charities: Statement of Re¢ommended Practice applicable to charities preparing their
accounts in accordance with the Financial Reporting Standard applicable in the UK and
Republio of Ireland (FRS102) - (Charities SORP (FRS102)). the Financial Reporiin8
Sondard applicable in the UK and Republic of Ireland (FRS102) and the Companies Act
2006.
The financial statements are prepared in sterling. which is the functional ¢urren¢y of the
company. Monetary amounts in the financial stafrments are rounded to the nearest £.
The effects of events relating to the year ended 31 March 2022 which occurred before the
date of approval of the financial stslements by Ihe Trustees has been included in the financial
statemenis io ihe extent reqUI￿d to show a true and fair view of the sthte of affairs ai 31
March 2022 and the results for ihe year ended on thai dale.
Fevered sleep meets the defjnition of a public benefit entity under FRS102. Assets and
liabilities are initially recognised at historical cost or transaction value unless otherwise stated
in the relevant accounling policy note(s).
1.3 Income
Income is recognised when the chariiy is legally eniiiled io the funds. any performance
conditions attached to the item(s) of income have been met. it is probable ihai the income
will be received and the amount can be measured reliably. Except as follows..
Donations are received by way of donations and gifts and is included in full in the
Statement of Finan¢ial Activities when receivable.
Charithble activity income is recognised in full in the Statemenl of Financial Activitie5
in the period in which is specified by the donor.
When donors impose conditions which have to be fulfilled before ihe charity becomes
entitled to use such income. the income is deferred and noi included in incoming
resources uniil the p￿-cOndItIOnS for use have been met.
When donors specify that donalions and grants a￿ for a particular restricted purpose
Ihis income is included in incoming resources of restricted funds when receivable
1.4 Donated 5erviees and facilities
Donated professional services and donated facilities are recognised as income when the
charity has control over ihe item. any conditions associaied wilh the donated iiem have been
met. the receipt of economic benefit from the use by the charity of the item is
12

FEVERED SLEEP
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2022
probable and that economic benefit can be measured reliably. In accordance with the Charities
SORP {FRS 102). the general volunteer time of volunteers is not recognised.
On receipt, donaled professional services and donated facilities are recognised on the basis of
the value of the gift to the charity which is the amount the charity would have been willing to
pay to obtain services or facilities of equivalent economic benefit on the open market. a
corresponding amount is then Tecognised in expenditure in the period of receipt.
l.S Expenditure
Expenditure 15 recognised once there is a legal or conslructive obligation to make a payment
lo a third party, it is probable that settlement will be required and the amount of the obligation
can be measured reliably.
Certain expenditu￿ is directly attributable to specific activities and has included in those
cost categories. Certain other costs, which are attributsble lo more than one activity, are
apportioned across cost categories on the basis of staff costs spent on those aclivilies.
Expenditure is classified under the followin8 activity headings:
Charitable activities costs include the direct cost of providing services as well as a Share
of overheads.
Other costs include the cost of ￿MPliance with the charity's constitutional and slatulory
requirements.
The cost of fundraising relates to the costs incurred by the charity in raising funds for
charitable work.
1.6 Tangible fixed assets and depreeiatton
Fixed assets are valued at cost, with impairnient reviews perfonned annually. It is the policy
of the cornpany to provide depreciation at the following annual rate in order to write off each
asset over its estimated useful economic life.
Depreciation is provided at rates calculated to write off the cost or valuation of fixed assets.
less their estimaied residual value at 250/0 per annum on a reducing balance basis.
1.7 Foreign eurrencie5
Assets and liabilitie5 in foreign currencies are translated into sterling at the rates of exchange
ruling at the balance sheet date. Transactions in foreign currencies are translated into
sterling at the rate ruling on the date of the transaction. Exchange diffe￿nCeS are considered
in arriving at the operating profit.
1.8 Debtors
Trade and oiher debtors are recognised at the settlement amount due. Prepayments are valued
ai the amount prepaid.
1.9 Cash at bank and in hand
Cash at bank and cash in hand includes cash and short term highly liquid investments with a
short maiurity of ihree monihs or less frorn ihe date of acquisition or opening of the deposit
or similar account.
13

FEVERED SLEEP .
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2022
1.10 Creditors and provisioDS
Creditors and provisions are recognised where the charity has a present obliga¢ion resulting
from a past event ihat will probably resuli in ihe Iransfer of funds to a Ihird party and the
amouni due to settle the obligation can be measured or e5limated reliably. Creditors and
provisions are norn]ally recognised at their settlement amount after allowing for any trade
discounts due.
1.11 Financial instrnments
The charity only has financial asseis and financial liabililies of a kind ihat qualify as basic
rinancial instruments. Basic financial inslruments are initially recognised at transaction
value and subsequently measured at their settlement value.
1.12 Pensions
The company operates a defined contribution pension scheme. Contributions are charged
to the Statement of Financial Activities as they become payable in accordance with the rules
of ihe scheme.
1.13 Fund accounting
General funds are unrestricted funds which are available for use ai the disereiion of Ihe
Trustees in furtherdnce of the generdl objects of the Chariiy and which have not been
designated for other purposes.
Restricted funds are funds which are to be used in a¢¢ordance with specific restrictions
imposed by donors which have been raised by the Charily for particular purposes. The
¢osts of raising and adminislering such funds are charged against ihe specific fund. The
aim and use of each resiricted fund is sei oul in the notes to the financial stateTnenis.
Siatulory grants which are glven as contributions towards the Charity's core service5 are
treated as unreslricted.
1.14 Going coneern
At ihe time of approving the accounts. Ihe truslees have a reasonable expe¢thtion that the
charily has adequaie resources to continue in operational existence for the foreseeable
fulure. Thus ihe trusiees to adopi the going concern basis of accounling in preparing the
accounts.
14

FEVERED SLEEP
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2022
2 ltyeornt
Unre$trieied Restrlcled 2022 Trtol 2021 TéKdl
2.1 Iheome from dom*ion% Itg¥i¢s
Don&lions
561
734
Gram income
Arts c￿11 EnglaThl - Nat*NAI Portfob) F￿￿¥
Arts Counca Eng￿ThI. Culkral Recovery 2
ArLS Counci] E￿land- Cukwal Recovery F￿d 3
Arts ClyjT￿l[ En8kn￿l - EMerge￿Y Resource Fwbj 3
Pa￿ Hamtyn FouTrJati)n
CoroMvirw4 Job Retent￿￿ Scheme
Royal Central Sc1K￿l of s￿ech aThJ Drama
2(4861
98521
97.901
2C4.861
98521
97901
21586
204361
24J03
2&1(K)
50LKI
2.2 lTr¢ome from charitable %tivi¢ies
PerfornwKe fees and ccrrisMKs
BIM)ks, DVD'S and 5cre¢nvgs
Box offre
36518
49)
2288
36518
17142
2288
2.3 Income from iAvestments
Bank interest recewed
81
1581
2.4 Other ineome
Other
4￿10
4.810
474J54
474J54
339J98
15

FEVERED SLEEP
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2022
J Ill¢•￿e l>•rtiv4y
Ol*¢r
2822
56
41W 42&869 J17204
36Jli
17J42
ioj
Rexeir¢h•￿ dr￿t￿r¢￿1
7J•l
3.1
4)9.469 471J54 539
I E4pEndkn¢ trswAl¥hy
2022
rrt
14IIM IttIc¢
3.745
7.757 185591
107J26
i)Jw¥
CrtAtrrt ft¢s
6)J
93m
9.1•)
6.WJ
I￿%j
163
&717
ltsJ63
Hrdpknlty
lo￿ 2J3&
26Jt6 27.707
27241
IJ07
JJI
Imn
tkrrtc•r
Sv*eAF¢nses
Iioj
J02J54 SJ4
293
4.) Othtrtxpt*lky
Ac¢oWir¢y
3J14
TO1￿ EXPE•JUM
3J94
17iJ60
2&25J
1&9L2 30J.S17 555.971 2S6J7B
Support costs relate to administration and overheads of running the charity. Costs are allo¢ated directly to
activity. General support cosis are fiilly funded by the Arts Council, National Portfolio funding and are
therefore directly allocated to Core costs.
16

FEVERED SLEEP
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2022
S. Staff information
Staff costs for the year were as folbws:
2022
2021
Safarts and wages
s￿la1 Securty costs
Staff pensKJn costs
130,049
9,743
2J16
141108
107243
2,864
1,468
111,575
The average number of staff employed directly by the charity during the year w&$ as
follows:
The average numlxr of staff empbyed during the year. was as folk)ws:
2022
2021
Direct proFcts
Fundrasing
Administrai
There were no employees with remuneration in excess of £60,0￿.
17

FEVERED SLEEP
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2022
6. Tangible Fixed knets
Compuler Equipmeni Technical Eqmipmenl
Cost
At l April 2021
AdditK)ns
Di5p)sab
At 31 March 2022
1947
1076
(1.433)
3,590
2.947
5.701
(1,433)
7215
3,625
3.625
Dep￿¢14(10tt
At l Aprit 2if21
Charge for the year
Dtsp)sals
At 31 March 2022
982
2,103
(477)
2.608
1,197
(477)
1,702
Ne¢ book value
At 31 March 2022
1.888
1719
4.607
At 31 March 2021
1.965
1.965
Debtors
2022
2021
Accnrd vKome
Theatre Tax Relrf
Prepayments
OtFtr debiors
31fj29
5,119
2253
6,735
14,107
4208
3.565
39,401
Creditors
2022
2021
Trade Creditor5
AccruaL8
Sccial security and other tax
Other crediiors
9.921
2.384
2.514
385
15J92
385
5.283
18

FEVERED SLEEP
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2022
9. Re¢oD¢ili2tion of fuDd$
Asall
Apri124121
A5oi31
Erpeudthwe fr•nsfers Morch 2022
RestriciedJ¥nds
U4re51riaedl¥x¢ts
Core
201,637
204ffi37
474Jy
474354
S35.972
($359721
143019
143,019
DésiKMiedf*ftd$
Core 0￿rAt￿
Strate￿-
85MKI
15m)
85.((X)
15.CO)
31Mffi37
474J54
(535.972
243.019
10. Pllr￿se of funds
Designa¢edfunds - Designated reserves of £IOO.000 have been retained at the end of 2021-22,
that are only releasable by the board for the following.. £85.000 core operating costs to ensure
the continued running of the company; £15,000 strategic reserve to support work which the board
decides is of strategic artislic value .
19

FEVERED SLEEP
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2022
11. Transfers
No transfers between funds have tsken place in the year.
12. Related party tran$2¢tions
No trustees have received any remuneration or reimbursement for any expenses.
13. Financial commitments
As ai 31 March 2022. the charity was commitied to making the following annual payments
under non-cancellable operating le&ses as follows:
2022
2021
Expire within l year
14. Pension$
The charity operates a defined contribution pension scheme. The assets of the scheme are held
separately from those of the charily in an independenily administered fund. The pension cosls
and charge shown in Noie 5 ￿Presents the contributions payable by the company to the fund.
The amount owing to ¢he pension fund as at 31 March 2022 is £nil (2021- £nil).
IS. Corporatlon Tax
The charity is exempi from tsx on income and gains falling within section 505 of the Taxes Act
1988 or section 252 of ihe Taxation of Charguble Gains Act 1992 10 the extent that these are
applied to its charitable objects.
16. Reconciliation of net movement in funds to net cash flow from operating activitie5
2022
2021
Net movem¢ms tyi
161.6181
42,520
Deduct.. lrterest $￿wA in *ivesting act￿*5
18091
115811
Athl EA¢k.. depre¢iatK)n charge
{In¢reas¢l ii deixo
(25293)
18,611
Incr¢a5¢1{decrea5¢) ui credit
10.109
(1,9861
175.985
58.544
20