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2025-05-31-accounts

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Company registration number: 01155555 Charity registration number: 1078605

Louth Playgoers Society Limited

(A company limited by share capital) Annual Report and Financial Statements for the Year Ended 31 May 2025

Forrester Boyd Chartered Accountant Waynflete House 139 Eastgate Louth Lincolnshire LN11 9QQ

2% ForresterForrester BoydBoy CHARTERED ACCOUNTANTS

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Louth Playgoers Society Limited

Contents

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|||||||| |---|---|---|---|---|---|---| |Reference|and|Administrative|Details|4| |Trustees'|Report|2to8| |Independent|Examiner's|Report|9| |Statement|of Financial|Activities|10| |Balance|Sheet|+f| |Notes|to the|Financial|Statements|12|to|24|

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Louth Playgoers Society Limited

Reference and Administrative Details

Chairman JL Harris
Trustees VJS Allison
G Anderson
M L Browne
C E Burton
C Gosling
JL Harris
C Holland
R M Precious
J Spittle
C Tinkler
JM West
Secretary C DTinkler
SeniorManagement/
Leadership Team
M Kirk, TheatreandTechnicalManager
S Elliott, Assistant Manager
Registered Office Louth Riverhead Theatre
Victoria Road
Louth
Lincolnshire
LN11 OBX
Company Registration Number 01155555
Charity Registration Number 4078605
Bankers Lloyds Bank ple
24 Mercer Row
Louth
Lincolnshire
LN11 9JH
Independent Examiner A MillsonACA
Chartered Accountant
Waynflete House
139 Eastgate
Louth
Lincolnshire
LN119QQ

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Louth Playgoers Society Limited

Trustees’ Report

The trustees, who are directors for the purposes of company law, present the annual report together with the financial statements and auditors' report of the charitable company for the year ended 31 May 2025.

Structure, governance and management

Nature of governing document

The charity is a company limited by guarantee without share capital. The Guarantee of the members, being the theatre card holders, is limited to a contribution of £1 each in the event of a winding-up. In the event of dissolution any property whatsoever remaining is to be transferred under Clause 7 of the Memorandum of Association, to be held on trust for charitable purposes or given to some other institution having similar objects to the company. Recruitment and appointment of trustees

The committee, who are also the directors for the purpose of company law and trustees for the purpose of charity law, who served during the year were: Jamie Harris - Chair Claire Burton - Treasurer Carol Tinkler- Company Secretary Vanessa Allinson - Safe Guarding Officer Claire Gosling - Appointed 17th September 2024 Janet West Richard Precious Jed Spittle - Appointed 5th March 2025 Clare Holland - Appointed 24th April 2025 Michelle Browne Gary Anderson - Appointed 17th September 2024 Gareth King - Appointed 17th September 2024, Resigned 19th March 2025 Philip Marshall Junior - Resigned 27th November 2024 Gary Starkie - Resigned 15th December 2024 Simon Kettle - Resigned 31st August 2024 Stuart Spendlow - Resigned 30th July 2024

None of the committee has any beneficial interest in the company. All the committee are members of the company and guarantee to contribute £1 in the event of a winding up. In accordance with the Articles of Association the following retire at the 2025 Annual General Meeting;- Jamie Harris, Carol Tinkler, Richard Precious, Michelle Browne, Claire Burton, Jed Spittle and Clare Holland

Claire Burton, Jamie Harris and Richard Precious, who being eligible, offer themselves for re-election.

Induction and training of trustees

Trustees are provided with an induction to the Charity that includes information and advice from the NCVO. Roles and responsibilities are discussed and policies and procedures of the charity introduced and then regularly reviewed.

The Board are the decision makers of the charity with delegated responsibility for day to day management and budgetary spend being given to the Theatre Manager.

There are no relationships with interested parties.

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Louth Playgoers Society Limited

Trustees’ Report

Organisational structure

The charity's organisational structure consists of the main committee, sub committees and other volunteers.

The committee in conjunction with the Theatre Manager have overall control and are the decision makers of the charity. The sub committees are finance, internal programming, external programming, health and safety, marketing and safeguarding. These committees make recommendations to the main committee. The volunteers are local people who help to maintain the efficient running of the theatre, and make it possible to produce theatrical performances and other events.

Committees

There are 3 principle committees that provide an opportunity for the wider membership to be involved in consulting on the running of the Charity. These are:

Staffing, Volunteering and Fundraising Committee Marketing Committee Governance, Risk and Finance Committee

All committees are governed by Terms of Reference and report directly to the Board.

Safeguarding statement

LPS believes that everyone we come into contact with, regardless of age, gender identity, disability, sexual orientation or ethnic origin has the right to be protected from all forms of harm, abuse, neglect and exploitation. LPS will not tolerate abuse and exploitation by staff or associated personnel.

Our policy addresses the following areas of safeguarding: child safeguarding, adult safeguarding, and protection from sexual exploitation and abuse and undergoes an annual review.

LPS commits to addressing safeguarding throughout its work, through the three pillars of prevention, reporting and response.

Risk management

The committee has assessed the major risks to which the charity is exposed, and is satisfied that systems are in place to mitigate exposure thereto.

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Louth Playgoers Society Limited

Trustees’ Report

Objectives and activities

Objects and aims Purpose of the charity

The Charity is a company limited by guarantee without share capital. The purpose of the charity is to promote the advancement and implementation of general education in relation to all aspects of the art of drama and the development of public appreciation of such art, together with the advancement of all other forms of the arts and the development of the appreciation of the public.

Our vision

Louth Playgoers Society recognise that we are in a unique position to contribute to the cultural and social welfare of Louth and surrounding communities. We aim to support this by: © Developing and promoting appreciation of the arts by the provision of facilities for the education and recreation of the public in the fields of art, music and drama.

e Contributing to the quality of life of the people in the local community through the provision of exciting, challenging and accessible events.

© Increasing accessibility and removing barriers to engagement with and participation in the Arts for the whole community.

We intend to adapt the Vision in the coming year to provide direction for the 10 year plan for the Theatre.

The strategies employed to achieve the charity's aims and objectives are to: e Present a broad range of theatre productions and art exhibitions for the enjoyment and education of our local community; e Offer opportunities for a wide range of people to get involved in the arts activity exploring their own creative powers; Provide facilities for both amateur and professional artists to develop. e Provide discounted and bursary supported educational workshops for members of the community led by professional artists; Prioritise involving young people in the arts to help encourage a culture in which different age ranges play a complimentary part; e Celebrate the diversity of cultures in society by programming presentations by, and with, artists of different cultural backgrounds.

External financial pressures remain a real concern and the Trustees have therefore created a strategic plan that involves the creation of sub-committees to the Board in order to focus on areas of resource development and management.

Public benefit

The trustees confirm that they have complied with the requirements of section 17 of the Charities Act 2011 to have due regard to the public benefit guidance published by the Charity Commission for England and Wales.

Summary of activities The Charity owns and runs the Riverhead Theatre in Louth, Lincolnshire and provides the theatre as a community venue for several other local groups, including performance and rehearsal space. The Theatre is also used by visiting professional companies to present their productions which acts as an income stream for the Charity. The foyer space is provided to local artists for the display and sale of their artwork and the Theatre also hosts the annual programme of productions from the Louth Playgoers Society from whom the Charity and Company were derived.

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Louth Playgoers Society Limited

Trustees’ Report

Use of volunteers

The Charity provides training and education opportunities for those wanting to develop skills and experience in performing arts. As a busy and fully operational theatre, there are ample opportunities for volunteers to develop skills in Box Office, Front of House, Bar and Cafe, Lighting and Sound Operation, Stage Management, Set Building and Design, Costuming, Performing and Directing.

Staff team

The Charity employs a small staff team to ensure the smooth day to day running of the facility and to implement the Policies and Procedures on behalf of the Board of Trustee/ Directors. The staff team are provided with a budget for the operation of the Theatre which is managed by the Theatre Manager.

Michael Courtney - Theatre Manager Sarah Elliot - Assistant Manager Nick Kendall Geoff Stone Eric Cahill Jason Bartlett Jon Mackenzie

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Louth Playgoers Society Limited

Trustees’ Report

Achievements and performance The June 2024—May 2025 season wasa shining example of everything Louth Playgoers does best, a perfect blend of beloved classics, bold risks, and plenty of heart. At the helm for the first time was Gary Starkie, bringing a calm confidence, a cracking sense of humour, and a real love of theatre to his debut year as President.

Things got off to a cosy and familiar start in September with Last of the Summer Wine. This stage adaptation of the world’s longest-running sitcom brought all the warmth, wit and whimsy you'd expect, it was like being wrapped in a Yorkshire blanket with a mug of tea. A gentle, nostalgic start that had audiences smiling from ear to ear.

But then came our biggest risk of the season, and perhaps one of our most powerful pieces in recent years. Anything Is Possible If You Think About It Hard Enough was a two-hander performed in our studio theatre. A tender and emotional story about stillbirth, it was delicately staged and beautifully acted. Every night ended in tears (the good kind), and it reminded us how vital and moving theatre can be when it dares to go deep. Then we turned the dial to full-on fun with Bugsy Malone. Over 40 young performers took to the stage, bringing 1920s gangsters to life with charm, talent, and (of course) plenty of splurge guns. The energy was electric, and the joy was infectious, the perfect family show in every way.

For panto season, we returned to one of the most classic tales of them all: Dick Whittington. Written by our previous President Philip Marshall Junior, this production had it all; laughs, boos, songs, and a dancing cat. It was a hit with audiences of all ages and kept the festive spirit alive right into the new year.

In March, we had a little curveball. Originally set to stage Some Mothers Do ‘Ave 'Em, an unforeseen issue meant a quick change of plan, and what a swap it was. The Vicar of Dibley stepped in and promptly sold out before it even opened. Packed with laughter, heart, and some very familiar characters, it turned out to be one of the season's biggest crowd-pleasers.

The main season closed on a magical high with Charlie and the Chocolate Factory. With a whimsical set, a colourful cast, and all the charm of the original story, our version had kids wide-eyed with wonder and adults leaving with big grins on their faces. Pure joy from start to finish.

Alongside our main productions, there was even more to enjoy. Our Halloween Concert brought some spooky sparkle to October 2024, while the Summer Concert returned with more favourites and fantastic vocals in August 2024. Our Scratch Night Winner, Dressing Rooms, made history as our first-ever winning musical, a backstage comedy full of heart and new musical tunes, staged June 2025. And the Summer Workshop this season gave us something truly special with Legally Blonde.

With Gary leading the way, this season struck just the right balance, bold where it mattered, joyful where it counted, and full of community spirit from beginning to end. Here’s to many more like it!

Financial review

Financial controls The Board approved adoption of a financial controls Policy which supercedes any previous policies around financial management. This document clearly articulates roles and responsibilities and anti-fraud measures that will be taken by the Charity.

Policy on reserves

The Board has agreed a reserves policy of 3 months' expenditure. The unrestricted fund currently stands at £333,176 of which £249,814 is invested in tangible fixed assets. The situation arose over 20 years ago when as part of the company's share of funding on the Theatre build, over £350,000 of our unrestricted funds had to be used. Current Liabilities includes £4,026 of income received in advance, the average holding over the year being in the region of £10,000.

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Louth Playgoers Society Limited

Trustees' Report

Budgetary Controls

The budget is set for the year and projects an overall loss on the year. This will be a consistent feature following the loss of the Arts Council Grant. The Theatre Manager is provided with spend parameters and limits on financial authority so that live decisions regarding spend can be made with the potential annual deficit in mind.

Financial risks Financial risks are posed by the age of the building and internal fixtures and fittings which have now experienced over 20 years of constant use. The Theatre Manager and Governance Finance and Risk Committee consider the renewal issues arising in the coming year and a schedule of fundraising to address the building needs is in place.

Going concern The Trustees have been fully briefed on the challenges and risks as identified in this report and consider that the Charity remains a going concern.

The principle source of income for the charity remains the Louth Playgoers Season of productions and the investment in growing and sustaining new talent is critical for the continuation of the Charity. The Charity has a robust financial model which provides for the continuation of the charity for the coming year.

Our strategic plans include the following key priorities: e Developing governance structures and increasing transparency and accountability e Investment in attracting and retaining new volunteers, including Trustees that will enhance the diversity of the board e Creating a larger youth theatre and opening access to remove boundaries to the arts

The trustees are responsible for keeping proper accounting records that can disclose with reasonable accuracy at any time the financial position of the charitable company and enable them to ensure that the financial statements comply with the Companies Act 2006. They are also responsible for safeguarding the assets of the charitable company and hence for taking reasonable steps for the prevention and detection of fraud and other irregularities. The trustees are responsible for the maintenance and integrity of the corporate and financial information included on the charitable company's website. Legislation governing the preparation and dissemination of financial statements may differ from legislation in other[jurisdictions.]

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Louth Playgoers Society Limited

Trustees’ Report

Disclosure of information to auditor

Each trustee has taken steps that they ought to have taken as a trustee in order to make themselves aware of any relevant audit information and to establish that the charity's auditor is aware of that information. The trustees confirm that there is no relevant information that they know of and of which they know the auditor is unaware.

The annual report was approved by the trustees of the charity on 26 September 2025 and signed on its behalf by:

Chairman and Trustee

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Louth Playgoers Society Limited

Independent Examiner's Report to the trustees of Louth Playgoers Society Limited (‘the Company’)

| report to the charity trustees on my examination of the accounts of the Company for the year ended 31 May 2025.

Responsibilities and basis of report _ As the charity’s trustees of the Company (and also its directors for the purposes of company law) you are responsible for the preparation of the accounts in accordance with the requirements of the Companies Act 2006 (‘the 2006 Act’).

Having satisfied myself that the accounts of the Company are not required to be audited under Part 16 of the 2006 Act and are eligible for independent examination, | report in respect of my examination of your charity's accounts as carried out under section 145 of the Charities Act 2011 (‘the 2011 Act’). In carrying out my examination | have followed the Directions given by the Charity Commission under section 145(5)(b) of the 2011 Act. An independent examination does not involve gathering all the evidence that would be required in an audit and consequently does not cover all the matters that an auditor considers in giving their opinion on the accounts. The planning and conduct of an audit goes beyond the limited assurance that an independent examination can provide. Consequently | express no opinion as to whether the accounts present a ‘true and fair’ view and my report is limited to those specific matters set out in the independent examiner's statement.

Independent examiner's statement 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. | confirm that | am qualified to undertake the examination because | ama member of The Institute of Chartered Accountants in England and Wales, which is one of the listed bodies.

| have completed my examination. | confirm that no matters have come to my attention in connection with the examination giving me cause to believe: 1. accounting records were not kept in respect of Louth Playgoers Society Limited as required by section 386 of the 2006 Act; or 2. the accounts do not accord with those records; or 3. the accounts do not comply with the accounting requirements of section 396 of the 2006 Act 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 accounts have not been prepared in accordance with the methods and principles of the Statement of Recommended Practice for accounting and reporting by charities [applicable to charities preparing their accounts in accordance with the Financial Reporting Standard applicable in the UK and Republic of Ireland (FRS 102)].

| have no concerns and have come across no other matters in connection with the examination to which attention should be drawn in this report in order to enable a proper understanding of the accounts to be reached.

Adam Millson[ACA] Chartered Accountant The Institute of Chartered Accountants in England and Wales Waynflete House 139 Eastgate Louth Lincolnshire LN11 9QQ 30 September 2025 Page

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Louth Playgoers Society Limited

Statement of Financial Activities for the Year Ended 31 May 2025 (Including Income and Expenditure Account and Statement of Total Recog nised Gains and Losses)

Unrestricted
funds
Restricted
funds
Total
2025
Note £ c £
Income and Endowments from:
Donations and legacies 3 9,731 - 9,731
Charitable activities 4 400,550 100,000 500,550
Other trading activities 5 13,697 - 13,697
Investment income 6 640 - 640
Total income 424,618 100,000 524,618
Expenditure on:
Charitable activities
(445,224) (84,181) (529,405)
Total expenditure (445,224) (84,181) (529,405)
Net (expenditure)/income (20,606) 15,819 (4,787)
Net movement in funds (20,606) 15,819 (4,787)
Reconciliation offunds
Total funds broughtforward 353,782 994,185 1,347,967
Total funds carried forward 19 333,176
Unrestricted
funds
1,010,004
Restricted
funds
1,343,180
Total
2024
Note £ £ £
Income and Endowments from:
Donations and legacies 3 15,122 - 15,122
Charitable activities 4 379,893 - 379,893
Other trading activities 5 29,948 - 29,948
Investment income 6 730 - 730
Total income 425,693 - 425,693
Expenditure on:
Charitable activities
7 (418,855) (36,908) (455,763)
Total expenditure (418,855) (36,908) (455,763)
Net income/(expenditure) 6,838 (36,908) (30,070)
Net movement in funds 6,838 (36,908) (30,070)
Reconciliation offunds
Totalfunds brought forward 346,944 1,031,093 1,378,037
Totalfundscarriedforward 419 353,782 994,185 1,347,967

All of the charity's activities derive from continuing operations during the above two periods. The funds breakdown for 2025 and 2024 is shown in note 19.

The notes on pages 12 to 24 form an integral part of these financial statements. Page 10

Louth Playgoers Society Limited

(Registration number: 01155555) Balance Sheet as at 31 May 2025

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|||||||||| |---|---|---|---|---|---|---|---|---| |2025|2024| |Note|£|£| |Fixed|assets| |Tangible|assets|14|1,259,818|1,252,289| |Current|assets| |Stocks|15|3,444|2,117| |Debtors|16|13,805|14,383| |Cash|at|bank|and|in|hand|17|87,839|111,062| |105,088|127,562| |Creditors: Amounts|falling|due within|one|year|18|(21,726)|(31,884)| |Net current|assets|83,362|95,678| |Net assets|1,343,180|1,347,967| |Funds|of the|charity:| |Restricted|income|funds| |Restricted|funds|19|1,010,004|994,185| |Unrestricted|income|funds| |Unrestricted|funds|333,176|353,782| |Total funds|19|1,343,180|1,347,967|

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For the financial year ending 31 May 2025 the charity was entitled to exemption from audit under section 477 of the Companies Act 2006 relating to small companies.

Directors' responsibilities: + The members have not required the charity to obtain an audit of its accounts for the year in question in accordance with section 476; and

» The directors acknowledge their responsibilities for complying with the requirements of the Act with respect to accounting records and the preparation of accounts.

The financial statements on pages 10 to 24 were approved by the trustees, and authorised for issue on 26 September 2025 and signed on their behalf by:

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CS: \—
Chairman and trustee
2 sae net, Seen amerea
Trustee
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The notes on pages 12 to 24 form an integral part of these financial statements. Page 11

Louth Playgoers Society Limited

Notes to the Financial Statements for the Year Ended 31 May 2025

1 Charity status The charity is a charity limited by guarantee and consequently does not have share capital. Each of the trustees is liable to contribute an amount not exceeding £1 towards the assets of the charity in the event of liquidation.

The company was incorporated in England and Wales.

The address of the registered office is: Louth Riverhead Theatre Victoria Road Louth Lincolnshire LN11 OBX These financial statements were authorised for issue by the trustees on 26 September 2025.

These financial statements cover the individual charity, Louth Playgoers Society Limited.

2 Accounting policies

Summary of significant accounting policies and key accounting estimates The principal accounting policies applied in the preparation of these financial statements are set out below. These policies have been consistently applied to all the years presented, unless otherwise stated.

Statement of compliance

The financial statements have been prepared in accordance with 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 Ireland (FRS 102)) (issued in October 2019) - (Charities SORP (FRS 102)), the Financial Reporting Standard applicable in the UK and Republic of Ireland (FRS 102) and the Companies Act 2006.

Basis of preparation

Louth Playgoers Society Limited meets the definition of a public benefit entity under FRS 102. Assets and liabilities are initially recognised at historical cost or transaction value unless otherwise stated in the relevant accounting policy notes. The financial statements are prepared in sterling which is the functional currency of the company and have been rounded to the nearest pound.

Going concern

The trustees consider that there are no material uncertainties about the charity's ability to continue as a going concern nor any significant areas of uncertainty that affect the carrying value of assets held by the charity.

Income and endowments All income is recognised once the charity has entitlement to the income, it is probable that the income will be received and the amount of the income receivable can be measured reliably.

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Louth Playgoers Society Limited

Notes to the Financial Statements for the Year Ended 31 May 2025

Donations and legacies

Donations are recognised when the charity has been notified in writing of both the amount and settlement date. In the event that a donation is subject to conditions that require a level of performance by the charity before the charity is entitled to the funds, the income is deferred and not recognised until either those conditions are fully met, or the fulfilment of those conditions is wholly within the control of the charity and it is probable that these conditions will be fulfilled in the reporting period.

Deferred income

Deferred income represents amounts received for future periods and is released to incoming resources in the period for which, it has been received. Such income is only deferred when:

Expenditure All expenditure is recognised once there is a legal or constructive obligation to that expenditure, it is probable settlement is required and the amount can be measured reliably. All costs are allocated to the applicable expenditure heading that aggregate similar costs to that category. Where costs cannot be directly attributed to particular headings they have been allocated on a basis consistent with the use of resources, with central staff costs allocated on the basis of time spent, and depreciation charges allocated on the portion of the asset’s use. Other support costs are allocated based on the spread of staff costs.

Charitable activities

Charitable expenditure comprises those costs incurred by the charity in the delivery of its activities and services for its beneficiaries. It includes both costs that can be allocated directly to such activities and those costs of an indirect nature necessary to support them.

Governance costs

These include the costs attributable to the charity's compliance with constitutional and statutory requirements, including audit, strategic management and trustees meetings and reimbursed expenses.

Taxation The charity is considered to pass the tests set out in Paragraph 1 Schedule 6 of the Finance Act 2010 and therefore it meets the definition of a charitable company for UK corporation tax purposes. Accordingly, the charity is potentially exempt from taxation in respect of income or capital gains received within categories covered by Chapter 3 Part 11 of the Corporation Tax Act 2010 or Section 256 of the Taxation of Chargeable Gains Act 1992, to the extent that such income or gains are applied exclusively to charitable purposes.

Tangible fixed assets Individual fixed assets costing £500 or more are initially recorded at cost.

Depreciation and amortisation Depreciation is provided on tangible fixed assets so as to write off the cost or valuation, less any estimated residual value, over their expected useful economic life as follows: Asset class Depreciation method and rate Freehold buildings Over 50 years Equipment, fixtures & fittings 5-20 years straight line

Stock Stock is valued at the lower of cost and net realisable value, after due regard for obsolete and slow moving stocks. Net realisable value is based on selling price less anticipated selling costs. Items donated for resale or distribution are not included in the financial statements until they are sold or distributed.

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Louth Playgoers Society Limited

Notes to the Financial Statements for the Year Ended 31 May 2025

Trade debtors

Trade debtors are amounts due from customers for merchandise sold or services performed in the ordinary course of business.

Trade debtors are recognised at the transaction price, less provision for impairment. A provision for the impairment of trade debtors is established when there is objective evidence that the charity will not be able to collect all amounts due according to the original terms of the receivables.

Cash and cash equivalents

Cash and cash equivalents comprise cash on hand and call deposits, and other short-term highly liquid investments that are readily convertible to a known amount of cash and are subject to an insignificant risk of change in value.

Trade creditors

Trade creditors are obligations to pay for goods or services that have been acquired in the ordinary course of business from suppliers. Accounts payable are classified as current liabilities if the charity does not have an unconditional right, at the end of the reporting period, to defer settlement of the creditor for at least twelve months after the reporting date. If there is an unconditional right to defer settlement for at least twelve months after the reporting date, they are presented as non-current liabilities.

Trade creditors are recognised at the transaction price.

Borrowings

Interest-bearing borrowings are initially recorded at fair value, net of transaction costs. Interest-bearing borrowings are subsequently carried at amortised cost, with the difference between the proceeds, net of transaction costs, and the amount due on redemption being recognised as a charge to the Statement of Financial Activities over the period of the relevant borrowing.

Interest expense is recognised on the basis of the effective interest method and is included in interest payable and similar charges.

Borrowings are classified as current liabilities unless the charity has an unconditional right to defer settlement of the liability for at least twelve months after the reporting date.

Fund structure

Unrestricted income funds are general funds that are available for use at the trustees discretion in furtherance of the objectives of the charity.

Restricted income funds are those donated for use in a particular area or for specific purposes, the use of which is restricted to that area or purpose.

Pensions and other post retirement obligations A defined contribution plan is a pension plan under which fixed contributions are paid into a pension fund and the Company has no legal or constructive obligation to pay further contributions even if the fund does not hold sufficient assets to pay all employees the benefits relating to employee service in the current and prior periods.

Contributions to defined contribution plans are recognised as employee benefit expense when they are due.

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Louth Playgoers Society Limited

Notes to the Financial Statements for the Year Ended 31 May 2025

3 Income from donations and legacies

Unrestricted
Total Total
General
£
2025
£
2024
£
Donations and legacies;
Donations and gifts 9,731 9,731 15;122
9,731 9,731 _—__15,122

4 Income from charitable activities

Unrestricted
funds Restricted Total Total
General
£
funds
=
2025
£
2024
£
Otherincome 2,292 - 2,292 1,147
Refreshments 84,456 - 84,456 69,742
Musical 44,938 - 44,938 39,419
Workshops 5,308 - 5,308 2,331
Pantomime 27,522 - 27,522 36,616
Grants receivable 2,630 100,000 102,630 17,605
Programmes
Box office
3,197
227,171
-
-
3,197
227,171
2,979
209,049
Theatre cards 3,036 - 3,036 1,005
400,550 100,000 500,550 379,893

5 Income from other trading activities

Unrestricted
funds Total
General 2025
£ £
Lettings 13,697 13,697
13,697 13,697
Unrestricted
funds Total
General 2024
£ £
Lettings 29,948 29,948
29,948 29,948

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Louth Playgoers Society Limited

Notes to the Financial Statements for the Year Ended 31 May 2025

6 Investment income

Interest receivable on bank deposits

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Unrestricted
Total Total
General 2025 2024
£ £ £
640 640 730
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Louth Playgoers Society Limited

Notes to the Financial Statements for the Year Ended 31 May 2025

7 Expenditure on charitable activities

Unrestricted
Total Total
Note General
£
Restricted
£
2025
£
2024
£
Cost ofgoods sold 31,849 - 31,849 30,512
Royalties & play copies 241 - 241 4,631
Sets, properties, costumes &
rehearsals
8,675 - 8,675 9,453
Visiting artists
& companies
140,825 - 140,825 101,518
Publicity 20,229 - 20,229 20,015
Workshop fees 10,125 - 10,125 3,507
Depreciation, amortisation and other
similar costs
11,466 42,752 54,218 53,564
Staffcosts 11 TAT AST - 117,197 116,028
Allocated support costs 8 99,070 41,429 140,499 111,349
Governance costs 8 5,547 - 5,547 5,186
445,224 84,181 529,405 455,763

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Louth Playgoers Society Limited

Notes to the Financial Statements for the Year Ended 31 May 2025

8 Analysis of governance and support costs

Allocated support costs

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||||||||| |---|---|---|---|---|---|---|---| |Unrestricted| |Total|Total| |General|Restricted|2025|2024| |£|£|£|£| |Premises|costs|58,119|41,429|99,548|71,008| |Bank|charges|and|cardnet fees|3,665|-|3,665|4,167| |General|office expenses|36,991|-|36,991|35,350| |Bad|debts|written|off|295|-|295|824| |99,070|41,429|140,499|111,349| |Governance|costs| |Unrestricted| |Total|Total| |General|2025|2024| |£|£|£| |Independent|examiner fees| |Examination|of the|financial|statements|4,210|4,210|4,342| |Legal|fees|814|814|452| |Premises|costs|523|523|392| |5,547|5,547|5,186|

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9 Net incoming/outgoing resources

Net outgoing resources for the year include:

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|||||||||||||| |---|---|---|---|---|---|---|---|---|---|---|---|---| |2025|2024| |£|£| |Loss|on|disposal|of fixed|assets|held|for|the|charity's|own|use|(5,918)|-| |Depreciation|of fixed|assets|60,136|53,564|

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10 Trustees remuneration and expenses

No trustees, nor any persons connected with them, have received any remuneration from the charity during the year. No trustees have received any reimbursed expenses or any other benefits from the charity during the year. Any connection between a committee member of the company with a production company, contracted actor or performer must be disclosed to the full board in the same way as any other contractual relationship with a related party. No such related party transactions were reported during the year.

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Louth Playgoers Society Limited

Notes to the Financial Statements for the Year Ended 31 May 2025

11 Staff costs The aggregate payroll costs were as follows:

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|||||| |---|---|---|---|---| |2025|2024| |£|£| |Staff costs|during|the|year|were:| |Wages|and|salaries|108,330|108,745| |Pension|costs|2,094|654| |Other|staff costs|6,773|6,629| |117,197|116,028|

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||||||||||||||||| |---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---| |The|monthly|average|number|of|persons|(including|senior|management|/|leadership|team)|employed|by|the|charity| |during|the|year was|as|follows:| |2025|2024| |No|No| |Manager,|box|office|assistants|and|cleaners|7|8|

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4 (2024 - 4) of the above employees participated in the Defined Contribution Pension Schemes.

Contributions to the employee pension schemes for the year totalled £2,094 (2024 - £654).

No employee received emoluments of more than £60,000 during the year.

The total employee benefits of the key management personnel of the charity were £76,488 (2024 - £62,223).

12 Independent examiner's remuneration

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||||||| |---|---|---|---|---|---| |2025|2024| |£|£| |Examination|of the|financial|statements|4,210|4,342| |The|above|fees|are|inclusive|of VAT.|

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13 Taxation The charity is a registered charity and is therefore exempt from taxation.

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Louth Playgoers Society Limited

Notes to the Financial Statements for the Year Ended 31 May 2025

14 Tangible fixed assets

14 Tangible fixed assets
Land and Furniture and
buildings
£
equipment
£
Total
£
Cost
At 1 June 2024 2,232,940 267,224 2,500,164
Additions - 67,665 67,665
At 31 May 2025 2,232,940 334,889 2,567,829
Depreciation
At 1 June 2024 1,033,263 214,612 1,247,875
Charge forthe year 44,659 15,477 60,136
At 31 May 2025 1,077,922 230,089 1,308,011
Net book value
At 31 May 2025 1,155,018 104,800 1,259,818
At 31 May 2024 1,199,677 52,612 1,252,289
15 Stock
2025 2024
£ £
Stocks 3,444 2,117
16 Debtors
2025 2024
£ i
Trade debtors 8,064 11,010
Prepayments 5,741 M373
13,805 14,383
17 Cash and cash equivalents
2025 2024
£ £
Cash on hand 1,025 1,025
Cash at bank 86,814 110,037
87,839 111,062

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Louth Playgoers Society Limited

Notes to the Financial Statements for the Year Ended 31 May 2025

18 Creditors: amounts falling due within one year

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||||||||| |---|---|---|---|---|---|---|---| |2025|2024| |£|£| |Trade|creditors|12,939|9,629| |Other|taxation|and|social|security|1,261|TATE| |Accruals|3,500|3,380| |Deferred|income|4,026|17,698| |21,726|31,884| |2025|2024| |£|£| |Deferred|income|at|1|June|2024|17,698|47,099| |Resources|deferred|in|the|period|4,026|17,698| |Amounts|released|from|previous|periods|(17,698)|(47,099)| |Deferred|income|at year end|4,026|17,698|

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£4,026 (2024: £17,698) of deferred income relates to receipts received in advance for future productions.

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Louth Playgoers Society Limited

Notes to the Financial Statements for the Year Ended 31 May 2025

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|||||||||| |---|---|---|---|---|---|---|---|---| |19|Funds| |Balance|at|1|Incoming|Resources|Balance|at|31| |June|2024|resources|expended|Transfers|May|2025| |£|£|£|£|£| |Unrestricted|funds| |General| |Unrestricted|income|fund|346,975|424,618|(445,224)|(6,187)|320,182| |Other| |Building|maintenance|fund|3,530|-|-|6,187|9,717| |Seat|refurbishment fund|2|er|8,277| |6,807|-|-|6,187|12,994| |Total|unrestricted|funds|__ 353,782,|[424,618]|445,224)|(333,176| |Restricted| |European|Regional| |Development|Fund|grant|149,553|-|(6,043)|-|143,510| |Lottery|grant|768,438|-|(28,384)|-|740,054| |East|Midlands|Development| |Agency|grant|49,931|-|(1,271)|-|48,660| |East|Lindsey|District|Council| |grant|23,715|-|(1,101)|-|22,614| |Louth|Town|Council|grant|2,548|-|(95)|-|2,453| |Levelling|Up|Fund|-|100,000|(47,287)|-|52,713| |Total|restricted|funds|994,185|100,000|(84,181)|-|1,010,004| |Total funds|1,347,967|524,618|(529,405)|-|1,343,180|

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Page 22

Louth Playgoers Society Limited

Notes to the Financial Statements for the Year Ended 31 May 2025

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|||||||||| |---|---|---|---|---|---|---|---|---| |Balance|at|1|Incoming|Resources|Balance|at 31| |June|2023|resources|expended|Transfers|May 2024| |£|£|£|£|£| |Unrestricted|funds| |General| |Unrestricted|income|fund|335,312|425,693|(418,855)|4,825|346,975| |Other| |Building|maintenance|fund|8,355|-|-|(4,825)|3,530| |Seat|refurbishment|fund|3,277|-|=|-|3,277| |11,632|-|-|(4,825)|6,807| |Total|unrestricted|funds|346,944|425,693|(418,855)|-|353,782| |Restricted| |European|Regional| |Development|Fund|grant|155,596|-|(6,043)|-|149,553| |Lottery|grant|796,836|-|(28,398)|-|768,438| |East|Midlands|Development| |Agency|grant|51,202|-|(1,271)|-|49,931| |East|Lindsey|District|Council| |grant|24,816|-|(1,101)|-|23,715| |Louth|Town|Council|grant|2,643|-|(95)|-|2,548| |Total|restricted|funds|1,031,093|-|(36,908)|-|994,185| |Total funds|1,378,037|425,693|(455,763)|-|1,347,967|

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The specific purposes for which the funds are to be applied are as follows:

The above restricted grants have been received for the purpose of building a new theatre and providing some equipment for the society. It should be noted that the East Midlands Development Agency has now been disbanded. The outward movement of the restricted funds is the depreciation on the building, fixtures, fittings and equipment.

Sufficient resources have been generated, enabling the grants to be applied correctly.

The Shared Prosperity Grant (Levelling Up) has been provided by East Lindsey District Council to provide capital investment for a local community resource. This included the upgrade of much of our dilapidated equipment and replacement with more energy efficient items. It also included a complete redecoration of the Theatre, which had not been done in 20 years, and investment to support local young people to access the arts locally through performing and taking part in Youth Theatre Workshops at the Riverhead Theatre.

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Louth Playgoers Society Limited

Notes to the Financial Statements for the Year Ended 31 May 2025

20 Analysis of net assets between funds

20 Analysis of net assets between funds
Unrestricted
funds
Restricted Totalfunds
at 31 May
General funds 2025
£ £ £
Tangible fixed assets 249,814 1,010,004 1,259,818
Current assets 105,088 - 105,088
Current liabilities (21,726) - (21,726)
Total net assets 333,176 1,010,004 1,343,180
21 Analysis of netfunds
At 1 June Financing At 31 May
2024 cash flows 2025
£ £ £
Cash at bank and in hand 111,062 (23,223) 87,839
Netdebt 111,062 (23,223) 87,839

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