Company Registration Number 04228305
Charity Number 1088593
JUMPED UP THEATRE
(A Company Limlted by GuarantO8)
Unauditsd Financial Ststsments
ft•r the perlod from 1 June 2022 to
31 March 2023
JUMPED UP
THEATRE

JUMPED UP THEATRE
Index
for the porlod from 1 Juno 2022 10 31 March 2023
Legal and Administrattve Irrfonnation
Trustee8' Annu81 Rgport
Independenl Examlnerfs Report
Slal8ment of Flnanci81 Activlli¢s
Balance Sheet
10
Notgs to the Financlal Statement8
11-19

JUMPED UP THEATRE
Legal and Administrative Inforniatlon
for the period from 1 June 2022 to 31 March 2023
Trustees
Jennifer Huygen
Rev Helena Mary Del Pino
Mark John Smedley
Claire Diane Ward
Sailesh Panchal
Chair
Resigned 9 February 2023
Appointed 10 May 2023
James Duncan Brindle
Secratary
Katharine Louise Hall
Company Reglstratlon Number 4228305
Ch•rlty R•gl8tTatlon Numbor
1088593
R8918ter•d offle•
29 All Saints Road
Peterborough
PE12QT
Independont •xaminer
Kennoth James Maggs
Hoekman way
Spaldlng
PE113HE
Banker8
National Weslmlnster Bank PIC
Watsrslde Court
Westem Avenue
Chatham Maritime
Kent
ME4 4RT

JUMPED UP THEATRE
Trustees. Annual Report
for the porlod from 1 June 2022 to 31 March 2023
The Iru51ees. who are also dlrectors for the purposes of the Companies Act, hav6 pleasur8 in pr8senting
their report and the financlal statements of tho charitable company for the p6rfiKI from 1 Jun8 202210 31
March 2023.
The Irustees have adopted the provislons of the Statement of Recommendod Practice {S0RPI-A￿Unting
and R8PQrting by Charl￿eS- in preparing the annual report and financial stat8ments of th8 charity.
STRUCTURE. GOVERNANCE AND MANAGEMENT
Constitutlon
Jumped Up Theatro is 8 company Ilmlled by guarantse no Jhare capltal, was Incorporated on 4
June 20018nd w8s registered in England and Wales 88 a ¢harity on 28 S•plemb•r 2001 (charity number
1088593, company number 42283051.
Trusto•$
Th8 Iruslaos, who are also dlrector8 durfng the pthlod from l June 2022 to 31 M8rch 2023. were:
Rev Helena Mary D81 Plno
Mark John Smedley
Jgnnlfer Huyg8n
Clair8 Diang Ward
Sai198h P8nchal
Rgsignfd 9 February 2023
SinG• the pgrlod ond, the follo%￿ng ¢hange8 have occurred ￿￿thIn the Iru81ge8.'
Jam•$ Duncan B￿ndle
Appolnted 10 May 2023
Appolntmont and Inductlon ol Iru•t•o8
New trustees aro appolnted through an opgn recrultmenl procèss ond appointed by oXi8llng Irusle88.
Polentlal candldal8s submlt a CV and oxpresslon of Intere81. CAndidalès fulfilling the crited8 are pre88nled to
at le881 one exlsling trustee and the Crgatlve Producer. Th8 roles and r05ponsibiliUes of a Trustee are
frxplalned 8nd infomiallon about tho ch8ritsbl8 eompanywtll be shared, Includlng the OppOr￿nIty lo obsorve a
Board meeting rf appropriat8. The trusloes will agree together on 8ny appointments lo ￿ madè. At the
following 8oard M8obng. the Trusteg %￿11 be cfyoptad atter declarlng that there rs no r88son why ih8y should
not bg a Twstee or are eliglble under the Charilles Act 2011.
Successful 4ppolnlments will bè oiv•n inductltlll tralning wlth th• or9AnI¢a￿on %thi¢h ￿11 inGlude Goni4ct tlm•
wth all the Staff, briofing on the StrUc￿ra and operation41 actNilles of the compony 8nd a¢￿5 to all key
Strategic documents Includlng fundlng bid8 and ¢urrsnl bu$ine88 plan.
Organl8atlonal 8tru¢tur• and d¢¢lslon maklng
The board of trusteès meet rggulartyto admlnister the charty and delermlne It8 $tr#1oglc and general
licles. The day to day management of th& charitys operations 59 the responsibility of the Creative Producer
and Charitable company secrètary.
l of the d1￿clor8 are members of the company and guarantee to contribute £1 in tho event of a wtnding up.
A creative team of freelancers are recruited for indivldual proj8¢ts, wth contracts based on the relevant
Industrtes COnd￿onS of employment. alongside a te3m of three part-time staff equtvalent lo 22 full timo staff.

JUMPED UP THEATRE
Trustees. Annual Report (contlnued)
for the perlod from 1 June 2022 to 31 March 2023
Rl$k managemont
The Board of Trusl88s hAS conducted its own review of the major risks to whi¢h the charftabte company is
8xpose(l and systems have been eslablishod lo mitigate those rlsks. The company is d8p8ndenl on project
fundlng lo support ils planned aciivities bul has controls In place lo manage th8 risks a$50cialed wilh a
¥horrfall In funding. Flnancial $yslem$ are reviewed annually and the Board Is kept informed of tho flnanclal
position of the company through quarterly managgment reports.
Intèrnal risks are minlmisod by the implementation of proc8dures for aulhorisation of all transaclions and
projects and to ensur8 quality of delivery for all operational 8specl$ of the charitablo company. These
prowlures ar8 pgriodically ravlewed to ensure Ihat they still meet the noeds of th9 ¢harlty.
OBJECTIVES AND ACTIVITIES
Charitsble obj8¢ts
Tha objects of the chanty are to advance education for the public benefit by the promotion of the 8rt$, in
Particular but not exclu5NgEy, the art of drama.
Our viglon
To cre8te a fair and thriving s￿10ty shapgd by art8 and culture.
Our ml••lon
To m8ke a positiv8 ¢hange for ¢ommunlllo8 through acco9¥ to the •rt8.
Our go41•
Our goal$ aro to..
Make Pelerborou9h's Gultural programme more succe$sfvl 8nd relevant:
Incrn889 parttcipali¢)n in the arts lor 811.
3. Support ardsts lo Create ngw audlen¢&$ for 8rt8.
In pl8nnlng th8 ch8riVs activiU8s. the Trustse& h8v8 given due considgralion lo guidanc8 published by the
Charity Commission rdaling to public benefit as well as the charitys own vislon, misslon and goals.
REVIEW OF DEVELOPMENT. ACTMTIES AJ4D ACHIEVEMENTS
Activltl•s and achi8v•ments
PROGRAMME
Summary: Partnershlp eontinu88 to b8 a coro foa￿re of our delwery model. wlth increaslng inclusion belng a
focus for project design and dellvery. Dance continues to grow as an Jumped Up activily and evaluallon
demonstrates similar values of inclusion, and also addresses a local need for health. well-being and
re¥ilienca. The challenge of planning the legaoy for projects and p8rticipanl$ wll be addressed as the
Otganlsation moves from projecl-b8s8d to a strategic 3-year fundlng programmg. as opportunities for ilgratlve
dovelopmenl can be d8livered quicker and more offectivgly, ￿th addldon81 malch-fundlng belng & priorlty.
Collaborat1￿ Tourlng N•lwgrk
Bunker of Zion by John Pfvmojena toured Into The Key Thealro in Jun8 2022, and Included creative
contributions by lo￿1 8rt181. Lee Ashton {Beal This CICI and community cast participation from High Heritage,
Pelerborough College. our Soltnding Board and Thomas D8a¢on Academy rrDA)- The production drew in
audionces of 220 to 3 Performan￿$. travelllng from as far afield as Bodford and Covèntry because of the
non-westem nature of the pi8ce.
Autlience feedback from a TDA student. NoM￿llY to me il's justKs kind of •n7barr8ssing g￿ng up on stage.
bui when Ihgy did it, fhey lookedliko SUJcerhero8s or som8lhing. It W8s really impresswe and I reallylikèd it
8nd kind ofinsplr6dme a little bil to acluallythlnk aboth th8atre andperf0m￿nG8.'

JUMPED UP THEATRE
Trustees, Annual Report {contlnued)
for the pèrfod from 1 Jun• 2022 to 31 March 2023
Activlttes and achigvements {¢ontlnu•d}
Collaborative Touring NetWOTk {continued}
The next CTN commission will be Bumt Out In Biscuiuand by Tour8tteshero. which wll include 8 commlssio
of local dance artist. Jenna Uwn, funded by Unlimlled, at The Key in June 2023. Considerable work is
bolng done wth Landmark Trusts to improve inclusive provision by staff and venues.
Movlng Roots N•twork
The Ihlrd and fln81 ¢ommi881on In this commissionlng partnershlp wa$ How Shall We B8gln Again by Jo
Fong. A 12-monlh progr*mme of la$lgr sessions and en9agemenl aelmly building lo a 6-week rghearsal
poriod with 35 parttcipanls. a combination of sludenl. cc>mmunlty and professional dancors, and communlty
lead8rs inlerosted in resillence, c￿CreatIon and inclusivity. The final day, a len-hour performance 8t The Key
Thgatre on 18 March 2023, r8sulled In attendance of 200 audience ov9r tho day. A short documeniary film
by Emity Sleèlo, documenting th& impact of the proJ8Ct. is in production.
Th8 Impact on the paTUcip8nts. audi8nGe and venue was slgnificant. -It W8s likg olllhe barriers that hav9
baen put up around the wortd w& Ilva in ha￿ been 18mporanly droppad and frnedom gxistgd for a mom&nt in
different W8y wlth each por¥on who It￿k up Ihe stage.,
Thls wol•ct was match fund•d by an Art8 Coun¢ll England Projoct Grant.
Dan¢• Partlclpatlon
Dglfvery of 8ollywood se$8ion8 in Autumn 2022 wera In￿n$￿StOn1 due lo travel disruption. bLrt gained slablllty
In Sprlng 2023. wlth conslst8nl attendanco of 20+ Pa￿n9 pa￿t1pants per s&sslon, ￿th a combinatlon of ages
and cultures r8fl8¢ting Pototborough's populatlon. The ambition is to devèlop this programma to more
classes for women and children in responsè to dem8nd and to Increase financial viability. th58 18 rellant on o
long lerm commitment r8quired from venu8 and Shiamak.
8oundlng BoaTd
FollovAng 39 workshops (dan￿, cr•ativg wrlttng. dlgltal 8nd street art) with 119 young poople, curatsd by tho
Sountylnp Boird, the Right Haro Rlght Now ZSne cr•aled with Amanda Rigby IP8por Rhlnol resulllng In
923 onllng views. New partnerships were develop￿ wlth Hlgh Heritsga, RiGhard Borngs Académy, 8nd Korp
larlisll and ongolng work wtth oxisb'ng partners of Gladstone Academy, Chloe's Dance Academy and Chadey
Genevèr.
Right Hore Rlght Now wa8 fttnd8d by the Moving Rools netsvork. and projèct grnnts from Arts Council
Engl*JrLfJ and Ca[nb￿d9e Communlty FOuna3￿on.
Feedback from one Sounding Board summadses our ambilon for th1$ proorammo.. "ffs a Ghgnce to work
Ih 8 168m who donljust $mi70 8nd nod-yots are rnmembored. known and treated Ilke 8 professional..
Dlsrupt
The Guildh¥ll ¢omml$$loned the Creative Produur to writ• two ¢haplers for a toolkit about wreation 8nd
disfupling power $tructure$. The foe wa8 used lo cover addltlonal $18ff tlme to write the NPO bid.
P•tèrborough Cutture Forum
Capaclty and resources to continue this forum have bgen limited but Pelerborough Cultural Alliance have
funded some netr￿rking sessions and three Open Space sessions in January 2023, to test the premise of
their plaC￿baSed bid.
Pgterborough Cultural Alllanco
The Creallv9 Producer conllnues to cTrchair this city le8dershlp group. A successful bid was made lo the
Combined AuthoritleslLevelling Up Shared Prosperity Fund.

JUMPED UP THEATRE
Tru8tees' Annual Report (continued)
for the porlod from 1 June 2022 to 31 March 2023
AetivStlos and a¢hl•voments Icontinugd)
ORGANISATIONAL OEVELOPMENr
Gov•rnan¢o
Jennrfer Huy98n continues as Ch8lr and M8rk Smedley as Vic&Chalr. Sailesh Panchel stood doym as a
trustee in February 2023. James Brindlo, Executive Director at Magna Vitaa TNst for Loisure and Culture,
will ba joining the board of trustees In Aprll 2023.
Thè Irust•os held quart•rfy me8llngs In June, Septembgr, November and March, an¢J away-day in January.
R8vl8ed Artl¢les ol Memorandum and Associatlon, that allowèd for onllne Iwstse mealings and conseculivo
trustee t¢rms, were adopted and submittod to the Charity Commission and C¢)mpanios Houso.
PrTrbcno support has been brought in lo develop the compan18 financi81 procedures and an appli&?tion for
Theatre Tax Ralief for How Sh811 We Begin Again?
Staffing ind R•$our¢•$
A leam of 2 part tlma 8tsff ICr8attve Producer 0.8 and Assistant Producer 0.6) dellver the programme, with
addittonèl fr88lan¢èr markèting support. and commissiongd freelanee Brtlsls.
A Klckslart Apprfjnlice was18k8n on betsveen Mar¢h- Sept 22, support•d by Cr¢aUvo Arts, and pald è Llvlng
Wage. A company offico eonllnu•s to ba provided by P*te￿Orough Clty Councll at Contral Library.
Flnanelal Suitalnablllty
Thg compan1$ first applicallon to becomg an Arts Councll England's National POrtft￿l9 Organi$atlon was
Suc￿sSfUl, wlth fundlng secured from April 2023- M8r¢h 2026. The propos81 1$ focused on dev6loplng the
company from project based lo strategic delivery. diverSr￿.ng partnership r91atlonshi￿, and match
fvndr8ising or èarned in¢ome of at least £214K over the thro8 years.
Envlronm•ntal Sustalnabllty
Prforilies havg boen lo ensure racycllng at evonls, ro8ponslblo purcha8lng of prlnl #nd consumables, and
•ncouraglng wsillng artlsl$ use public transpo
FUTURE DEVELOPMENTS
Fundlng
From APAI 2023, Jumped Up Theatre wlll beeome an Arts Council England's National Portfolio Organisation
andls commltted to a specffi¢ programme of work which builds on tha companys past successes and
notr￿rk of r81atlonsh1￿. To delr¥ertho programme. addltional matcP￿fUnd]ng is requirod.
Progr•mm• April 2023- March 2026
The main elements of tho programme wlll be..
P8rticlpalion programme- focused on dènce, d8v•loping new partlclpants and groups, and a support
no￿ork for dan¢e artl$ls and community leadors inleresled in dance.
Feslval programme- focus8d on provldlng Immarsfve and Inl8Tadva perfomi8nco exp8rfence$ for
children. families ond young adulis.
Research and Developm8nt on a haritage and a social action projècts for future delfvery.
The Peterborough Culture Forum. on behalf of Peterborough Cultural Aliance.
New c￿atIves- creative campaigns delivered through workshop acllvity and publlc events, co-crgated
a young lead8rship group, whom wll have d8v8lopment opportunities and act as a sounding board
revrewing the company's wdgr programm8.
Developing Jumped Up's govemanc8 structure in¢ludlng tsyo Agents For Change acting as Crflical
Friends, in particul•r addresslng how Jumped Up 8eNes the noeds of dlsabled 8rti$ts and audlencos.
and arusts and audl8nces from Polerborough's diver8e communitie5.

JUMPED UP THEATRE
Trustoe$' Annual Report {contInu￿1
for the period from 1 Juno 2022 to 31 March 2023
FINANCIAL REVIEW
The reviw of aclivitses throughout the period expfains much about the income and expendI￿re bul the full
details of the financial activtbes and th8 financial positson at the year end are dotailèd In th8 financial
statements on pages g and 10 In addition to the notes followng thereafter.
RESERVES POLICY
Reslrictsd funds musl be spent on the projects dictated by the donor and therefore Ihe detalls in note 9
prowdes full detsi15 of how these funds can bo sponl in future perfods. In summary. the r8stri¢i8d fund8 lolal
£15,18212022- £41,8951- This was primarily as a result of pmjecls boing stalled by the pand•mlc.
The lem "Re8ervo$" is used lo describe that p8rt of a charitys income funds th81 is freely available for Its
oporating purpos88 not subject lo commllmenls, planned 8xpendilur8 and spending limi18. Reserve8 do not
Includ• endowmont fund6, restricted fund8 or do8lgn8led funds.
The r8serv6s that wo have $81 aslde provld¢ fin8nclal stsbillty and the moans for the developmeni of our
principal a¢￿VIty. We intend lo malntsin our reserves al a levei which is al least equlvalenl lo £23K. which
allows for a minimum perfod of operation, plus grants funds that refle¢t projected exp8ndilur8 in that quarter
and financial Commitments for the following quarter. Other unrestrlcted reserv88 Wtll bo used for Research
and Oevelopm8nt acJwty th8t d8v8lop ongolng fundraising plans
Tho lèval of Yree raseThes' at 31 Marth 2023 amounted lo £23.072. The Board regulady revigws lh8 amount
of reserv88 every quartgr lo ensure that they 8re adequate lo fvlftl our conbnuing obligations. Thè board
con81der this level of reserves to bg adpquat6 but not excessrve.
INDEPENDENT EXAMINER
A resolullon to rfrappolnt Mr K J Maggs A& Ind•pendent OX8min•r for th• ensuing ￿rw￿l1 bo proposod
th• annual general meellng.
TRUSTEES. RESPONSIBILITIES
Tha trusl88s {who are also the dire¢tor3 of Jumped Up Thealro for the purposgs of COrn￿ny lawl ar•
sponsibl• for prop8ring the Trustees Annual Report and the financial 8latoments In accordAnc• ￿th
8pplicabl8 law and United Kingdom Aecounllng Standards (Unitod Kingdom Generally Acceplod Accounting
Practice).
Company18w requires th8 Irusleos to prepare Itnanci81 stalem8nts for each flnallcial year whtch gNè 8 true
8nd falr view of tho slalo of affairs of the charltable company and of the incoming resources and applicalion
of resources, including the in¢ome 8nd ex￿ndItUrn. of th8 chwritabl• tompAnyf¢r th4t p•rtod. In preparin9
these flnancial statements, the trustees arg requirèd to..
5glect suitable a¢countlng pollcies and Ihgn apply them consl8lenlly.
obsorve Ihè melhods gnd principles in the CharflS8$ SORP;
mak9 judgements and estimates that 8re roasonabla and prudent.,
$t810 whether appllcablg UK Accounting Standards h8vg been followod, #ubSe¢t to any maleri*l
dèp8rtures disclosed and exp18ined Sn the financial statements-
prep8ro the financial statements on tho golng concgin basis unless It 15 Inapproprfè19 to presumt that
thg ch8ritsble company will continu8 In operation.
The trustees are responsible for keeping proper accounlir¥J records that ¢Jisclose with reasonab18 accuracy
at any tim8 Ihe financial position of the charltable ￿MpanY an¢Y enable them lo ensure that the financlal
statam&nts comply the Companies Act 2006. The trustees a￿ also responslble for safeguarding the
assets of the charttable company and hence for t8￿ng reasonable steps for the provention and detection of
fraud and other irregularities.

JUMPED UP THEATRE
Tru8tees' Annual Roport {continued)
for the porlod from 1 June 2022 to 31 March 2023
SMALL COMPANY PROVISIONS
This rèport has been propared in accxydanee with tha sp6¢1al prowsions for smdl companies under Part 15
of the Companies Act 2006.
Signed by order of the Trusleeg
J•nnlfeT
uyg•n- Chalr
Dalo.. ...
io...Nouth

Indopendont Examinotrs Roport to the trustees ot th•
JUMPED UP THEATRE
I report to the charity trustees on my examinaUon of the accounts of the charityfor the pgriod from 1 June
2022 to 31 March 2023. ￿1¢h are set out on pages 9 10 19.
Rgsponslbillrfes and basls of report
As the charity trustses ol the company {and 8150 ts directors for the purposes of company law) you aro
responsible for the preparation of the 4¢counts in a¢cordance wth the requirementg of tha Companie5 Act
2006 Ilhg 2006 Act,).
Having sali8fi8d M￿tIf that th• ac¢¢xJnts of the company are not required to be audited under Part 18 of thè
2006 Act and are ellgible for Independènt examination, I report in re$pgct of my examinatlon of your
compan18 aecounts as carrièd out undèr section 145 of the Chafitie5 Act 20111'the 2011 kl,). In c8rrylng
out my examination I have lollowed the DirecUon¥ given by the Chartty Commlsslon under 88C￿On 14515)Ibl
of the2011 Act.
Ind•p•ndent frxamlno￿S $tatsm•nt
I havo compl8tsd my examlnatEon. I conflrm that no m8tt8rs have com910 my attention In connectlon wlth
the examinatson giving me cau88 to belSev8 that in any m81erial respect..
accounllng r•cord8 wgre not kopl In respgcl of the charty as requlred by ¥edon 130 of th• Act. or
2. thg accourbts do not aceord wlth tho$6 records: Or
3. the accounts do not comply the accoUn￿n9 requlremenls 01 $9Ctlon 396 of the 2006 Act other than
any requlremènl that th• accounts glve ¥ and f¥ir vie%V whlch Is not 8 m8tter ¢onsid8red as part of
on Indopend•nl èxamination; or
4. the accounts have not been prepared in AccordanGe with the methods and prindple8 of the Statement
of RewMMend￿ Praclice for accounting and reporbng by charities applicable lo charities preparing
their aecounls in accordance wlh tho Finan￿01 Reporting Standard applicabl8 in th8 UK and Republlc
of Irèland (FFiS 1021.
I havo no concorns and have come a¢ros5 no other m8ttgr$ in conn8don wSlh the ¢xamlnatlon to whtch
attention should bo drawn In Ihls report in order lo •nable a propor und8r61andlng of th• accounts lo b•
ro8ch¢d.
K.J. M
Chartgre
Sp81ding
gs
untant
Dale..

JUMPED UP THEATRE
Statement of Financlal Activities (includlng Income and Expenditure account)
for tho perlod from 1 June 2022 to 31 March 2023
Year ended
3110512022
Total
Fund5
10 months ended 31 Mareh 2023
Unrestrfctsd Restricted
Total
Fund$
Funds
Funds
Note
Incomo from:
Donations and grants
Charitable activities
8,950
25,479
34,429
56.236
65.186
25.479
90,665
49,417
50,053
99,470
Total Income
56,236
Exp•ndlture on:
Charitable a¢Uvltles
20,709
20,709
82,949
82,949
103,658
103,658
91,305
91,305
Total expand1￿r0
Nel Incomo 1 (frxpendlture)
Tran8fer8 betweon funds
13.720
126,713)
(12,993)
8,165
Ngt mov•m•nt In fvndg
13,720
126,713)
(12,993)
8.165
R•¢onclllatlon of funds:
Totsl lunds brought forward
Totsl fund8 carrled forward
25,362
39,072
41,895
15,182
67,247
54,254
59,082
67,247
All of the acllvilies of the ¢harlty a￿ dassed as contlnulng a¢￿VIties.
The statement of Financial Activibes Inciud8s all gains and1085e5 recognlsed In the year.
The notes on pages 1110 19 fom part of these finandal stslements.

JUMPED UP THEATRE
Balanco Sheet
At 31 March 2023
31 March 2023
31 May 2022
Note
Flx8d ass•ts
Tanglble assets
723
782
Cutrent assety
Debtors
Cash at bank and In harKI
5,300
50.922
56.222
9,236
58,746
67.982
Cr•dStorn: Amount8 falllng du•
wlthin on• y04r
N•t eurr•nt ass•ls
{2,691)
11,517>
S3,531
54.254
66.465
67,247
Total ass•t* l¢u currant Ilabiliti•s
Funds
Unrtstrtcted
Re8lrithd
39,072
1S.182
54,254
25,352
41,895
67,247
10
The 8ccountB h8ve b••n prnpared In aceordance the prov181on$ appllcable lo companles sublgct lo th•
small companSes reglme for the perlod from 1 Jun8 2022 to 31 M8r¢h 2023, the charlt8bl8 Gompany w&s
6ntiY•d lo èx•mptton from audll undor Sgctlon 477 of the Comp8ni•s Acr 2008 (th• Act) relaung 10 8mall
TN8lee¥ re8F)onslblliles'.
li) Thè members hav8 not requiTrd the charity lo obtAin an audit of Its accounts for th8 year In question
In accordance Section 476
{11) tho direct￿8 acknowl8dge Iholr resp0nsbll￿0S for C¢)m￿Y7n9 with the requIrem￿ts of th8 A￿ wlth
respect to 8¢eounting record5 and Ihg prep8rallon of accounts.
neiAI stat•mènts wère Approvad And authori8•d by tho TruiJt•etS On the
..2023 and arg signed on thelr behalf by.
J•nnlf•r Huyg•n- ChaSr
Cornpany Number. 4228305
Th8 notes on pages 11 to 19 fonn part of thes8 financlal statsments.

JUMPED UP THEATRE
Notes to the Financial Statements
for the period from 1 June 2022 to 31 March 2023
l. Accountlng pollclos
Gen•ral Infomiatlon and bas1• of accounting
Jumped Up Thèatre is a company limited by guarantee registered in England and Wales. In the event of
the chantable company being wound up, the liability in respect of the guarantee Is limited to £1 per
member of the charity. The trustees form the membership.
The address of the registered office of the charity is given In the charity infonnation on page 1 of these
financ￿1 statements. The natu￿ of the charitys operations and principal acl"vib"es are detailed in the
trustees report on pages 2 to 7.
The charity constitutes a public benefit enbty as defined by FRS 102. The financial statements have
been prepared in accordance with Accounting and Repoitng by Charities." Statement of Recommended
Practi￿ applicable to charities preparing their accounts in accordance with the Financial Reporting
Standard applicable in the UK and Republi¢ of Ireland issued in October 2019. the Financial Reporting
standard applicable in the United Kingdom and Republic of Ireland {FRS 1021, the Charities Act 2011
and UK Generally Accepted Accounting Practice.
The financial stalements 8re p￿Pared on 8 golng ¢oncern basls undèr tha hlstorfcal cost conventlon,
modified lo include certain Stems al fair value. The financial statements are presented In sterling whtch is
the funcllonal currency of the charity and rounded to the nearest £.
The 8ignifieant accounting policies applled In the preparation are sel out below. These pollctes have
been consistently applied lo all years presented unless olherwise slated.
Year end
The accounting reference date for the charity has been amend8d to bring it in line with a m8jorty of the
funders and therefore changed to be the fiscal year end. This wll simplify the reporting and infomialion
feedback to those key parbes
Fund8
Unrestricted fvnds are available fof Use at the discretion of the trustees in fvrtherance of the general
objective8 of the ch8rity and which hav& not bean designated for other purposes.
Designaled fund5 Gompris? unrgstriGted funds that have been sel aside by the trustees for particular
purposes. The aim and use of each designated fund 18 set out in the notes to th8 finandal stalemenls.
Reslricled funds are funds which are lo be used in accordance wth speGific r8StriGlions imposed by
donors or which have beèn raised by the charity for particular purposes. The cost of ralsing and
adminlsienng such lunds are charged agalnst Ihe 8peclfi¢ ￿nd. The alm and usa of each restrtcrad wnd
is sel out In the notes to the financlal Ststements.
Income rncognEtlon
All incoming resources are included in the Staternent of Financial Activities when the charity is legally
entitled to the income after any performance conditions have been mec the amount can be measured
reliably and it is probabl8 that the income wll be received.
For dOna￿"OnS to be recognised the charity will have been nottThed ofthe amounts and the settlement
date in writing. It there are conditions attached to the donation and this requires a level of performan
befo￿ entitlement Can be obtained then income is deferred until those conditions are fully met or the
fulfilment of those condition5 1$ within the control of the charty and it is probable that they wll be fulfilled.
Donated facilities and donated professional services are recognised In income at their fair value when
their economic benefit is probable, it can be measured reliably and the charity has control over the item.
Fair value Is detemineé on the basis of the value of the gfft to the charity.
No amount Is Induded In the financlal stalements for volunteer tlme In Ilne with the SORP (FRS 102).
Income from govemment and other grants are recognised at fair value when the charity has entilkment
after any performanc8 conditions hav8 been met it is probable that the Income will be received and the
amount Can be measured reliably. If entiuement ts not met then the$& amourts are defeTr8d.
11

JUMPED UP THEATRE
Notes to the Financial Statements IGontinued)
for the period from 1 June 2022 to 31 March 2023
1. Accountlng poll¢les l¢ontlnugd)
In¢ome rocognltlon (continued)
Income from trading a¢twtlies in¢lud&s income earned from fijndraising events and trdding activities to
raEse fvnds for the charty. Income is re￿iVed in exchange for supplying goods and services in order to
Ta￿e funds and is recognlsed when entill8ment has occurred.
Interest on fvnds held on dèposit is included when receivab￿ and Ihe amount can be measured reliab
by the company,. thls is norn￿1￿ upon nOtsfi(21￿ of th& Interest paid or payable by the bank.
Expenditure recognition
l expendrture 15 acGounted for on an accruals basis and has been dassified under headings that
aggreg*e all costs related lo the category. Expenditure is rec(¥nised where Ihere is a legal or
constructive obligation to make payments to third parties, il is probable that the 5etUement will be
required and the amount of the obligalton can be measured reliably.
Irrecoverable VAT is charged as an expense agalnst the a¢tivty for whlch expenditurè arose.
Charitable aclivty expenditure Is detslled In note 510 the financlal slatements. These expenses are
subcalegori8ed betsveen charftable acllvltles, support costs and governanc8 costs.
Support costs ara Ihose that assist the work of the charity but do not directly represent charitable
activilles and include office costs. computer ￿Sts, and bank charges. They are Incurred dlrectly In
8UPPOrt of expendlture on the oblects of the charlty.
G0Veman￿ costs are costs of charitablè activities but th08e which relate to the govemance and
8teward8hip of the charity rather than directly lo the activities themselves.
Support costs and Govemance costs are allocated to applicabte restri¢led funds based on the level of
irKx)rne that each project aams for the charfty.
Employ•• b•n•tit•
When employees have rendered service to the charity, short-torm employee benefjts to which the
employee5 are entitled are recognised at the undiscounted amount expected to b8 pald In exchange for
that 8ervlce.
The chartty operates 8 defined conlrlbutlon plan for the benefft of Its employees. Contributsons are
expensed as they become payable.
Flx•d •￿*￿
Tan9ible fixed 889ets are Slated at cost less arxumulated depreclatlon and aceumulaled impalrmenl
losses. Cost Includes costs directsy attributabl8 lo making th8 asset capable of operating as intended.
The charity has a policy to only capitalise items whlch exceed a cost of over £150.
Depreciatlon
Depreciation is provided on all tangible Axed assets, at rates (xlculaled to write off the cost I￿8
estimated residual value, of each asset on a systematic basis over tts expected usefvl life as follows".
Computer equipment
20% per annum straight line
Debtors and credltors reoelvablelpayable wlthln ono ygar
Debtors and creditors with no stated interest rate and receivable or payable within one year are reoorded
at transaction price. Any losses arislng from impaiment are recognised In oxpenditure.
Taxation
The charity is an exempt charity within the meaning of schedule 3 of the Chanties Act 2011 and is
considered to pass the t&sts Set out in Paragraph 1 Schedule 6 Finance Act 2010 and therefore it me&ts
Ihe definition of a charitable company for UK corporation tsx purposes.
12-

JUMPED UP THEATRE
Notes to the Flnancial Statemonts (contlnued)
for the period from 1 June 2022 to 31 March 2023
1. A¢¢ountlng policle8 {contlnued)
Golng concern
The financial ststemenls have been prepared on a going Con￿rn basis as the trusteès ￿lIeVe that no
material uncertainties exist. The trustees have considered the level of hjnds held and the expected level
of income and expenditure for 12 months from authorising these financial statements The budgeted
income and expenditure is sufficionl with the level of reserves for the charity to be able to continue as
going concem.
Judgom•nts and key Bour¢e8 of 08tfmatlon uncert•lnty
Th& preparation of the linancial slalements requires management lo make judgements, èstimates and
assumpllons that affeet the amounts reported. These estimates and judgements are continually
reviewed and are based on exFerience and other factors, including expectations of future events that are
believed to be reasonable under the circumstances. ReviS￿nS lo a¢¢ounling estimates are recognised
in the period in which the esbmale is revised rf the ￿vIsion affects only that period or in the period of the
revision and fv￿re perKJds rf the revision affects both current and future penods.
Operallng leasg agroernonts
Rentals appli￿ble to operating leases wh8re substsntlally all of the benefits and risk of ownership
remaln wlth the lessor are charged against proilts on a Straight linè b8s1s over the perlod of the lease.
2. Incomo from donatlon• and grants
Tol•l
Funds
2023
unres1￿cted
and Total
2022
Unre8trf¢t•d Restrlcted
Funds
Funds
Donatlons
500
500
952
Employers All¢)wance
C•ntral g0￿mm￿t9r*nts
3,229
3,229
3,229
3,229
1,460
1,460
Grants recelv8d from partners
Pelerborough Clty Councll
BAC programme
CTN3
Local gov•mm•ntgrants
5,000
6,705
16.025
27.730
19,339
19.339
19,339
19,339
Grants received from partners
Arts Council Emergency Fund
Kickstsrt Apprentice grant & in¢ome
Norfolk and NoThvi¢h Festival Trust
ln8tltutlonalgrants
Total grants
Total donations and grants
3,540
13,491
2,244
31.897
31,897
5,221
5,000
42,118
5,221
5,000
36.897
5,221
19,275
8.450
8.950
56.236
56.236
64,686
65,186
48,465
49,417
13-

JUMPED UP THEATRE
Notes to Ihe Financial Statements (contlnued)
for the ￿rfod from 1 June 2022 to 31 March 2023
3. Charltable actlvitieg Ineom•
Total
Funds
2023
Unrestricted
and Total
2022
Unrestricted Resiricted
Funds
Funds
Box office sales from productbjns
Project income and commissions
Other income
2,756
22.723
2,756
22,723
1.367
38.336
10,350
25.479
25,479
50,053
4. ChaAtsble aetlvltlos •xp•ndltu
Unrnstrl¢t•d Rostrlctod
Fund8
Fund•
Totsl
2023
Tot81 Funds
2022
Charltabl• actlvlties
Advertlsing and promotion of sh¢)ws and
seasons
Project evaluats'on
Project Costs
Producer fees
Tfainlng ¢05ts
Travel and accommodation
Venue hlre
104
3,100
87
47,280
87
52,976
32
49,984
10,208
139
1,339
2,122
63,822
5,718
141
1186)
68
999
1,910
53,320
209
813
1,910
59,095
5,775
Support costs
Salaries
Social security costs
Pension
Bookkeeping and payroll fees
Websrte and hosting
General marketing and promotion
In4ur•n¢9
IT SO￿are and con8umable8
Miscellaneous expens8S
Entert8lnment
D8pr6ciatlon
Noto 5
Not8 5
Note 5
7,741
561
141
1,206
443
1,605
25,425
2,668
580
33,166
3,229
721
1,206
19,119
1,460
352
1,332
403
1,463
471
275
899
2,165
555
850
217
74
138
178
13,295
178
228
26,002
29,629
Govemanee costs
Independent examination fee
Annual reiums and taxation fees
Twstee training
Companies House fees
42,924
960
550
116
13
960
550
116
13
180
305
13
1.639
20.709
1,639
103,658
1,481
91.305
Total overhead expenses
Costs all¢xated to specific projects
Cha￿table actfvities expenditure
82,949
20.709
82,949
103,658
91,305
14-

JUMPED UP THEATRE
Notes to the Financlal Stat8ments (continued}
lor the porlod from 1 June 2022 to 31 March 2023
5. Staff costs and omployeg boneflts
The aggregate payroll Costs were..
2023
2022
Wages and salaries
Social security costs
Other pension cnsts
33.166
3,229
721
19,119
1,460
352
No employee received total employee b8nefits lexduding employer pension costs) of more than £60,000
in either the current or prior year.
The monthly average number of staff during the year was 112022 - 1).
No amounts are payable to the trustees Sn wpeel of remuneration, benefits In kind or rèimbursement of
expenses
8. Tanglbl• Ilx•d •s#•ts
Offle•
equlprnont
Total
Co•t
At 1 April 2022
Addition8
1.139
351
1,139
351
At 31 March 2023
1,258
1,258
Dopreclatlon
At 1 Apnl 2022
Charge for the year
At 31 March 2023
357
178
357
178
535
535
N•t book value
At 31 March 2023
723
723
At 30 March 2022
782
782
7. Dobtors
2023
2022
Trade debtors
Other debtors
Prepayments
4,970
274
56
8,625
611
5,300
9,236
8. Credltors., Amounts lalllng due wfthln on• y￿r
2023
2022
Trad8 creditors
Taxation and social security
Pension
Accruals and deferred income
116
362
103
936
1,059
257
1,375
2,691
1,517
15-

JUMPED UP THEATRE
Notes to tha Flnancial Statements (continued)
ft*r the perlod from 1 June 2022 to 31 March 2023
9. Statament olfvnds
Movoment In rosources
Balance at 1
June 2022
Balance at 31
March 2023
Incoming Outgolng Transfer8
Unrostricted fund8
General fund
Designated fvnds
Total unrestricted funds
15.324
10,028
25.352
34.429
{20,709)
(5,972)
5,972
23,072
16,000
39,072
34,429
20,709)
Restrlctod funds
Moving Roots
ACE- Jo Fong
ACE- Right Here, Rlghi Now
Northem Soul I Soul and Body
Tribute to Bollw¢>J
Sounding Board Prole¢18
CTN3 programme
Norfolk and Norwich Festival
Bridge
Total restricted funds
19,493
19,339
30.398
1.499
(14,554)
134,947)
115,0681
(11,423}
4,549
13,569
(13,7021
12481
7,255
12)
12,855
13,702
1,007
{7,255)
14,948
{7611
(14,9461
5,000
12,673)
2,327
41,895
56,238
{82,949
15.182
Totsl funds
67,247
90,665
1103,658)
54,254
Analy818 of not a8••t8
Tangible
flxod a88•ts
Cash and
bank
Oth•r n•t
Total
Unr•$trlGted fund•
General fund
723
19,740
18,000
35,740
2,609
23,072
10,0¢)0
39.072
D•o19n•lod lundB
Total unfestricled funds
723
2,609
Roslricted fund•
ACE- Jo Fong
ACE- Right Here, Right Now
Northem Soul I Soul and Body
Moving Roots
CTN3 programme
Tribute to Bolfvc4Jd
Soundlng Board Prolects
Norfolk and Norvitch Fe$tNal Brfdge
Total restricted fvnds
12,855
12,855
2,327
2,327
15,182
15,182
Total funds
723
50,922
2,609
54,2S4
-16-

JUMPED UP THEATRE
Note$ to the Flnancial Statsments (¢ontinued}
for thè perlod from 1 June 2022 to 31 Mar¢h 2023
9. Statement of fund81contlnuod)
Designated funds relate to unrestrtcted fiJTrds bthich the trustees have allolxted for SpeCt￿e projects
whi¢h are ongoing at the year end. At the year end, the designated fund related to the Moving Roots
project being undertaken by the chafity.
CTN3 programrno relates to the Collaborative Touring Nets￿Ik which aims to commission innovative
and gamÈ<hanging touring projects. Any deficit in the funds will be covered by unrestrscted funds and
any surplus will need to be refunded, although this is not expected lo be the case.
Movlng roots is a creative touring ￿8￿rk ted by Battersea Arts Centre. Funding has been made
available for th￿ projec1 but we have put aside funds as deslgnaled from our unrestrlctsd resèrve8. The
transfer relates to overheads costs allocated from previous years when the exercise had not been
conducted. This fund includes ACE - Right Here, Right Now and ACE - Jo Fong which were funds
provided for simpler programs and Iljnds were Interchangeable.
ACE - Right Here, Rlght Now represents monies received from the Arts Council England for the
purposes of our project und8r the same name being a youth Zine for Pelerborough. The Income this
year was the final instalment after reaching the required milestone in October 2022. Any excess
expenditure will be met by designated funds
Ace Jo Fong represents monies received from the Arts Councll England for Ihe purposes of our
Community and Professional Danco in Peterborough project. The 86cond part of the grant 8mountSng to
£3.377 wa8 recebved after rea¢hlng the required mllestone In June 2023. Any excess expendlture will be
met by deslgnatad funds.
Norfolk and Norwlch Festlval Brldg• relate8 to funding granted by tha Norfolk and NO￿l¢h Festival
Trust, a charitsbl8 organisation regislered in England and Wales. Thg project being funded w88 to
delbver the Research and Devebpment aGth as outlineA In a propjsal submitted to the Trust. The
actsvity explored the ques￿On. How can using creal'vity on dtgital plarfom8 develop skills and confidence
in young people to have agefity over the issues that matter to them? The chanty parbcipaled In the
'Moving IT On. cohort. The funding had a minimum expectab'on of part￿ipation in 8 project start meellng
with the Tnjst and partlcipation in Ihree meetlngs wrth the cohort convened by the Trust. This was all
8UCCe88fully a¢hleved and fvll fundlng provlded. Any exce8888 are 881 ag4ln$t staff ¢ost8 in accordance
with the agreement.
Northern soul l Soul ond Body fund covers the Intedlnking Northem Soul of Peterborough prolect and
the Body & Soul sessions which have been fvnded by the Heritage Fund and Community Fund. If the
Cornnavlrus Psndemic had not effÈetèd th8 y8ar, 8vonts and &&&&ions would havo b8•n •xp&2tod to
consume the fund$ provided and any deficit would be ¢ov8r8d from General Funds. The project was
completed dunng the year ended 31 May 2022 and excess funds weTe transferred to General Funds as
in accordance the fvnding agreemenl.
10. Transfers
Many of thè 'Restrfcted funds are Interchangeable, l.e. funds are recerved for a project but then excess
funds received ¢an b8 used for the other similar projects and therefore funds transferred b&￿een
reslricled fvnds where available.
Funds are released to the General fijndg when the project has been completed and the funder does not
require eX￿sS funds to be rebjmed in order to enable fvture similar work to be ijndertaken.
11. Control relationshlp
The charity is controlled by the trustees jointy and no individual can or does exert control over tho
others.
17-

JUMPED UP THEATRE
Notes to the Financlal Statements l¢ontinued)
for the period from 1 Juno 2022 to 31 March 2023
12. Fund Comparatives
2022
Unrostricted Restrlctod
Funds
Fund¥
Total
Fundg
Incom8 from:
Donalions and grants
Charitable activities
7,783
20,256
28,039
41,634
29,797
71,431
49.417
50.053
Total Incom•
99,470
Expendltur• on:
Ch8ri18ble activities
26,753
26,753
84,552
64,552
91,305
91,305
Total •xpendltur•
Not exp&ndltur•
1.286
6,879
8,165
Mov•m•nt in resour¢
Balance at
1 Jun• 2021
Balance al
Incoming Outgolng Transfern 31 May 2022
G•norn1 fund8
General funds
14,038
10,028
24,066
28,039
(26,753)
16,324
10,028
25,352
Deslgnated fvnd$
Total unre$lrl¢tsd fund8
28,039
{26,753)
Re•tr1¢t￿ fund•
Northern Soul I Soul and Bcjdy
Moving Roots
CTN3 programme
Tribut& to Bollwod
Sounding Board Projects
Total reslricled funds
14,402
16,644
3,970
657
11,357)
151,001}
11.147)
13,120)
17.927)
(64,552)
13,702
19,493
14,948
1,007
17,2551
41,895
53,850
12,125
4,127
672
35,016
71,431
Total funds
59,082
99,470
(91,305)
67.247
18-

JUMPED UP THEATRE
Notes to the Flnancial Statements (contlnued)
for the period from 1 June 2022 to 31 March 2023
12. Fund comparntives (continued)
2022
Analysls of net a880ts
Tangible
fix•d a8s8ts
Cash and
bank
Other not
a88ets
Total
Gon•ral fund$
General fund
Dèsignated fvnd
Total unrestrlcted fijnds
782
10.448
10,028
(9081
15,324
10.028
782
25,476
(9061
25,352
R••trfcted funds
Northern Soul I Soul and Body
Moving Rt)ot8
CTN3 programme
Trfbute to Bolwood
Sounding Board Projects
T¢)tal restricted funds
13,702
19,493
6,323
1,007
{7,255}
33,270
13,702
19,493
14,948
1,007
(7,2551
41.895
8,625
8,625
T¢)tsl funds
782
58,746
7,719
67,247
19-