RE(aSTEf¢EOCOMPANYNUMBER.' 05626997 IEnElandand W?le$l
REGLSTERED CHARITY 14UMBER: 1113259
ReM oftheTrustses

Saffron Wahlen
rnited
fortheyear Ended 31 Decem￿2022
Page
Report oftheTru5tee5
Ito6
Independent Examinerfs Rerx)rr
Statementof Financial Atti¥it*s
Balaftce Sheet
9toio
Notes to the Financkil Statements
llto17
Detailed Statery*nt of FinarThl Actpirbes
18to19

al
Cinema Limited
rt of thÈ
forthe Ye¥ Ended 31 Detember 2022
The Trustee5 who are also directors of the charsty for purposes ¢)f the Cornpanie5 A£t ?￿6, present their report with the
f(nanoal statements ofthe charttyfortheyearended 311)ecernber 2022.TheTwstees haveadopted tk provisions of Accounting
and Reporttng by Charities.. StateM￿t of Recomn*nded Practice applicable to charrties preparing theii a(tounts in accordance
with the Flnancial Reporting standa￿ appliCa￿e in the UK and RepublK of t￿land IFRS 1021 leffettNe l January20191.
OBJEcfivES AND ACTivmES
Objettfves Jnd aims
ffron Sc￿en and Royston Pitture paL￿ are iftdependent comffwnbty ciftemas screening a range of films and events.
seekin8 through clnema to entertain. educateanduea* a Sha￿ eyw*nceto Impro¥tthe qualityof lrfe foreveryone in Saffron
Walden, Roy5ton the surround*n8 areas.
The Charity's objert5 are..
- to advance the education of the publK in the knth￿edge. ￿nder5￿nd1ngand appwi8tw oFthearts. particularlythe art of filrns
and allied visual techniques-
- to advance the education of pupiLsat Saffron Walden c￿rity H*h WKJol I"SVICHS-I by providir¢g and as%sting in the provlslon
of facilities for educatk)n at the sthoDI-, and
-to promoteforthe beneftt of the inhabf(antsof Sthon Waklen. Aoyston andthe surroundingareasthe provtsion of recreational
nd other ￿lsure time f&ilTt*s in the iDteTest of soch31 welFare and with the object of improving their cofidtlK)ns of life.
Siqniftsnt a¢El¥llJ¢$
The pritnary attNtty 15 the provision of c*nerna Screenings at the or*rna aud*orium in Saffron Walden (located in thÈ Saffron
Walden County H4qh khooll and at the auditorium ifi Royston (located in Royston Town Halll. Saffron Screen offers between si¥
and eight screenin85 etth weekfrom Friday night to Monday nwdht as well as extra sc￿enIngst1UriMg the school holKtay5 and Arts
on Screen $c￿enIng$, which a￿ often mktweek. Roy5ton Piaure Pala￿ IRPPI offers fewer screenlngs at presenL p￿dOmIna￿tIY
at weekends.
Both cinema5 show a range of films includire mainstream blty*busters. the 05car currtender5. thildren'5, art-house and foreign
langu8gefilms, docurr*ntaries and archNe rnaterrdl. Salfron Screen 3150 airns to enhance the cinema experience by offering guest
speakers. hosted discusssons and other events le.g. talks and workshops). In additK)n, our Art5 on kTeen 5tr3nd provide5 5ive and
encore screenings of plays, operas, ballets, art exhibr(ion5 and corKert5 bToadcast frorn thetr Yenues to the cinerna by satellite. In
2022 we introduced live and encore screenings at RPP. The onerna ha5 previousty run"Pop-up" screenlngs in cornmunlty venues
in Saffron Walden and its surrounding villages but due tothe operational d1ffKult￿S of the COMD-19 pandemK. these have been
limited. It 15 our intention to rtrintroduce these ITr 2023.
The Trustees are gratefvl to SWCHS and Saffton Hall for their SUPWbrt and over shared use of the school premises.
and to the Saffron Walden Tour￿ Informatiork Centre for thesr hard work and support sellingtickets for Saffron Screen. Further,
we Bre also grateful forthe sUPPOrt olthe Royston Town c￿ncil arsd. in particuLi¥.the stsff attheTown Hall tor providing the box
offlcé functions d￿rInE thè
Wrth the COVID-19 pandemlc ￿h1nd LFswe have abletooperate ¢M a rt¥ye"norrnaf bas￿ in 2022. However, we havefound
that audTren￿ numbers have been athrsely affetted bythree maln causes..
Reluttance by people attending due to ongoiftg COn￿r￿S over COMtk19
Lad< of suitsble content available
Increase of streamingfilms at hOr￿{broUght oly)ut bythe ￿ndemIC l0(kdDwr￿}
Fllrn 8vai13bllrcy was rA)or thrcmjghout the year as prThtucbon was restritted durtng the paTrJetnic. Many di5tributor5 were Still
moving release dates of bigger movies to try and m3￿MiSe their wenue. However. there were some 5tand-OUt film5 which
Included Roald Dahfs Matilda the Mus4cal.The Duke. BebsL Top G￿n." MavÈricK Prima Facie and Eric Ravilious.. Drawn to War, 311
of which attratted an aveiage of over 150 at Saffron Sfxeen. Top sellsr4 INe events induded The Nutcracker, LeotK)Id5taOt and
Swan Lake.
Average attend3ft￿$ at Saffron kreen We￿ just under fll and * RO￿00 Pi(tuo PaL*e just under 40. Funding from the Arts
Council finished and therefore with the reduced nurrt)er of atterkdees we irKurred a ￿$5 for the year. Work to reduce losses Is
being planned by the Trustees. It should be noted that the exhibrtx)n settor as a whole is sufferiftgfrom around a 30% reductK)n
on normal attendances and Is not expetted to rèttjm to tomparable 2019 figures until end of 2023 or later in 2024.

ma Limited
theyear Ended 31 Decem￿2022
OBJECTIVESANDAcniThES
Publlc benefft
Charity Trustees have a duty to ￿p(rt In the TnJstee< AnThJal Rew)rt on the Chaws ￿br￿ benefiL They sh￿Id dem(￿Strate
that they are clear ab￿ the Oenefrts that are ge￿rated by the ac￿￿tIeS of the Charity. The Challty Commwion gulrtance on
publt£ benefrt In Settion 4 of the char￿tieS Act 2011 has been noted in preparing thisAnnual Report.
Saffron Screen and Royston Picture pala￿ wekom audIeTr￿S all batkgrounds. We ale cornmitted to serving the whole
comrnunlty by providing a wide range of films and other events at reasonabk prKes. including a range of contrssion tickets. In
partKular. we have ne8Otiated wtth the distributors of Event Cinema to albw us to offerttckets for those who are 18 & under at
reduced rates to aifowyour* people kKal a￿55 to nat*)nal and Internat￿rIal ryra, Iheatre, bal￿t ar)d exhibitions. We have also
IntrodU￿d In early 2018 srEnrficantty discounted tickets on all films for audience merniErs between the ages of 16 to 30 to
encourage increased participation of that age group. In addition. we offer Concess￿nary prices for those over 65 years old,
students. unemployed, registered disabled pets￿e. Liiilesford con￿$S1on Card hokler5 and military personnel. For customers wfch
disabilities we provwje aud*) description for partially stghtedlwind ¢ustornef5. and indNidual hearing loops forthose with hearing
dtKiculties. Saffron Screen and Roysron PKture Pakxe continues it5 cornmitment to social responsibilitythrou8h special screenings
forthose living wrth autism and dementia, the latter beingffinanoa1tysup￿rted by Saffron Walden Dementia Action Alliance. We
continuetoconslder and ￿pONd ttiall leedbackfr0mouraud￿r￿e. w￿herpostrwe0r ne£ative.and to k)ok*oiwaysto improve
our offering.
ACHIEVEMENT AND PERFORMAPXE
CharitsNe aul￿tIeS
The objectives ofthe charity atthe stsrt Of 2022 we..
- to continue to provide an exc¥tingandvarted piLwamrne of films. spec*1 events aThd educatrjftal acti¥itiÈs-
- to seek to ￿ach outto new and upder-ser¥ed •JdIer￿eS andts devekjp oyrexistineaudEtKe.'
- to generate core incorfie of £225.IKXland generate break e%en free osh flow peT annumto rnaintain self-sufficiency,-
- to continue good corw)rate governance by ensuiingthat all polioes. procedure5 and d(Kunpntation are up to date,.
-and to consideroptionsfor movin8or expanding thecurfentoperations to servethegrowlnademand fromthe local communitv,.
In 2022. the amount of 5Uttabk filrn and events screened was again fimited due to the impart ol t1￿ COVIO-19 pandernic. We
were, however. able tts rneet fll05t of the above objettwes within the limtrdt￿nS imposed. However. it should be noted that we
have been unable to generate e[￿ugh income to kxeake¥en. and thi5 isa prv)rity for the TrusteÈs to consider going forward into
2023.
Key Perf0m￿nCe Indlcators:
TheTru5tees set four Key Perf0mian￿ IndiotorsfoTthe cinema,annual keyeore incoFne. custon7er satisfattion. averageèudience
numbers and number of speakets. outreach and education events. Dueto the COMD-19 paftdemK anYfwj￿ lft these categories
*ro mownin8105S.
We wll. howÈvÈr. cothtinue tts monitor and review these KPIS in 2022 when can offer a full programme to ensure that we
prowde a broad range ofevents and to maintsin or iMp￿Ve1￿*se fyures.
AudIe￿e development
As with last year. we have had a Verylimlted opportunltyto developouraudence in 2022. Audience5 have been hesitant to return
to cinema in general. but as time progresses, hopethatweon erwurage Ix)th ourexisting customers and new ones to attend
screenings at our cinemas.
Page 2

Walden Conwmin
Clnema Ljmlted
fotthe Yw Ended 31 Decernber20ZZ
FINANCIAL REVIEW
Flnanclol posltiom
The Statement ol Finandal Acbvity for the year ended 31 D￿ember 2022 shows total incoming resources of E281,85612021..
E299,8371 and total resources expended of £357.(K)112021= £303,Y81 ￿UlEir¥ in a net deficit of £75.145 12021." net deficit
£3.7tii.
During the flnandal year to 31 December 2021 operdtion5 retuned t0-r￿rn￿f afterthe COMD-19 pandemic, however audience
Participation is still being impatted bythe events of 2020 and 2021. The numberof screenings has redu￿d dLie tothe lower level
of content being available toexhibrf¢oTS, rnain￿ through productKJn delaysand streaming a￿etnativeS. ¢￿Tall irKlustry attenda￿e
is yet to recover and the fir*anc*al posibon beinE impacted acr05sall operators. IrKomefrom admission charges 15 Still sufferine by
redurtion of è￿nd 3(￿. The ￿ntral governmert fvnding from the Arts Council / BFI ￿Sed in January 2022. therefore the
organisatson is operating on the income r( can generate from orRrational actNit*5. We are thankful to the Arts Council
ladministe￿d by the 8FI for independent cinemas) for grant support in the current and prwjr year.
Totsl resourceseynded havèbeen ift Il￿wIth pr￿[year￿n￿Wage£OSts in 2020and 2021 wefe reducedthroughjob Retention
kherne fundin& whith is no longer avaiL)ble. The Trustees have invested in the stsff and c4nemas to attèmpt to return activity
backto pre-COVID-19 ￿Ve1$.A5 a result,the2022fina￿raI resultsslK>wa lossdue to Iov*Èr income levelsthan anticipatedtogether
WFth th15 Investment In staff. WEth the continued bwei attendanTr nUrn*￿Ts.the Trvstees are ￿￿ewIng all (nsts In the shortterm
to return backto a breake¥en p)Int In 2023.
For 2022the organisation ha5 seen a defiot of £75.14512021-. netdeficst £3.7111.1Tr 2020 and 2021. the rnajorityolour costs have
been eligible for support8T8nts. wsth onty depreciatK)n belrsgexduded. For 2022. this supportw3swithdrawn in January 2022. In
2020 and 2021 we have managed to keep losses to a rThnlmum thr(wgh VafK*LFS SUPW)rt pacpages. However. this $￿pport Is no
IoD8eY ava51able.
Total fvnds as at 31 December 2022 were £104.89512021: £180.0301 wth total unrestrthrt fvnd5 of £58,W12021.. £IM.5341.
Detalls of the restrited funds tan befound in the ￿te5 to thefinanoal statements.
The Trustees recognise the impact that COVID-19 has had on the industry. and are rneetlng frequently to see the oreanisation
through the next 5ta8e of its operations. In 2023 the charty will continue to nKJnitor its costs and income to ensu￿ a and
Secu￿ ftjture forthe anema.
Reserves polkv
The Trustees a￿ ￿$￿nSible for rnaintainlng a level of reserves that ￿ appropriate for the charfty. The reserves policy is to hold
approximately Iwo month5 of frrted ￿sts Iprirnarily to cover the msts in ￿ndIng up the operations of the charity). and 50%
repla￿ment wst of equitwrwt. Intotsl it is apF￿xlrnatety £1(￿1.0(￿. The reserve policywas reviewed and updated in 2019.
fjoln6 Con￿r￿
During the year. the charity had positive net assets and has cash reserves. TheTwstees hove no reason to believe that a material
uncertèinty exists th* rnay ￿5t signif￿ant doubt about the abilrty of the charlty to contlnue as a goingcoAcern. Accordingly. the
financial statements have been p￿pared on a £oF*con￿rn ba515.

ftythe Year Ended3ll)e￿mber20?2
FINANCIAL REVIEW
Prfncipal rlsks a*￿ ￿n￿rtaIntleS
Thecinema industrytsstill recoverlngfromtheeffectsofthe Com[￿19 pandemtandthe redU￿d audien￿ numbers. The industry
as a whole has the ChaI￿nge of poor content thcxce through tjelayed or Can￿lled prodLKt*)*s, inc￿aSe in streaming at home
offerings and risi￿ costs. It ￿ believed that the 4ndustrywll continue to recoVersb￿Y and find new ways of increa51ng audience
part￿IpatiOn. The Trustees are meeting regularty to monitor the ongoing situation and to put in place plans to protett the
organlsation, its customer5 and staff. All availablelundingoppoytunTtEs wll be assessed bythPTru5t￿tD pn5u¥ethe viabillty of
the org2ni%ation in the longterm.
The Trustees ha¥e identiRe<l a numterof other key riskswhkhc(NJkl aff*( L￿rfUlure performan￿. the most 981)ificant ￿whiCh
are..
- lower attendanceligure5 ¢Jueto economic uncertainty. ￿Verd￿￿5ab1e incomes or a￿ernat￿e entertainment Opt￿ns..
- competition from other cinemas which offer filrrs on ￿lease date. imwoved seatiftg and advanced lacilities,.
- LHck of control over cinenw auditoriurn tNJilding which is owr￿d by5WCHS..
succession planning and governance challenges as transition from a comrnunity stsrt up to a fi￿re complex mature
cwnisation.
Steps belngtaken to addressthese stratew risks a￿.
-to continuallyevaluate thefilms and eventsthe onema s￿)￿Sa5 wellas Continued dialogvewith the se1m￿V$ers to ensuyethe
rlght service 15 being provided to the cornmunlry
rolling progr8mme agreed with SWCHS of seat refurbishment whith ts on801￿ and we oflerwne and beeron Frldayand
Saturday evenings and at seletted"Everrt C1￿M3. screersings to enhance the cinema experier¥￿ asa nWt out-
-to continue to have a good relationship wrth 5WCH5 and arelotslng wth them and ￿th Saffton H311..
-to contlTrue to assess opportunit￿t0 de¥ek>p the fvrrher.
FUTURE PLANS
For Saffron Screen, the cinema YMII contiryve to operate at its (urrent Ictstiort and offer the same service to the cornnYJnlty-
However, the current lacilttie5 the cinernè operates from are a IimtbnE fattor in expandtng and improving our offerin& which is
vital for the future of the charity. Our attempts to find suitable akernatNÈ p￿rn￿e5 in or around Saffron Walden which would
borh meet the needs of our core audience and be commerdalW vlable remains a challeTrgtnÉ objertwe. We continue to look at
various DPt￿n5 and are working closely wth both the Uttlesford Distritt COU￿11 and the Saffron Walden Town Council. In May
2023. the fijll operation of RPP ceased and returned back to Royston Town Countil. We colltinue to provKle support to RPP on
consukancy basls until ottober2023.
STRucfuRE, GOVERNAN￿ ANO MANAGEMENT
Goveming document
The organisation 15 a charitable comparry limrÉed by guaranteè. incorporated on 17 Noveffjber 2005, registered as a rharityon 14
2006, whi¢h ¢ornmoncod tradin8 on 20 May 2￿6. Tho company wa& ethbjshed under a Mernorandum of Association
dated 31 October 2(K)5 which e5tsbli5hed the objects and ￿*￿rS of the charitable company and is govemed under its Articles of
A550Ci3tion. also dated 31 October 2005. In the event of the company being wound up w*mbers a￿ requiTed to contribute an
rnount not ex￿edITh8 £10.
RerEurtment and apwntmert of new Trt￿tee5
The initial Trustees ol the Charfty were recTUited from the comrnrttee formed to stsrt a cinema in Saffron Walden,. subsequently
vacanc￿$ have been avertrseil as ￿quired. The Board coTrtinve to monitorthe requ1￿rnent of new Tru5tee5 and appoint where
a skills gap is recognised. One of SWCHS. Senior Staff partKipates as an observer in Boaid di%cussioiis to ass￿ deliberations on
maxlmi8ins educath)nal opwrtUAtties fromthe onema's prcydTrrnming schedts￿.
Under the ￿quirementS of the MerTr)randurn and Articles of ASs￿lat￿?￿. Or￿third Oft￿ dirErtOf5 reltre at each annual general
meeting and may stand for re-election. Two directors retired d￿rIng 2021 and re-eletted.
Pa8E4

Clr*ma Limited
forthe YearEnded 31 December 2022
REFERENCE A14D ADMINLSTrAIWE DEfAILS
Trustees
B P Willmott
C R SawFord
D A Earw FCCA
S Inkley
KAReed
K Roberts
G M Downham
C L Parkin
Chair
Deputy I￿￿￿Tred Feb 20231
rinance Dirertor
IaprwJn￿d ott 20221
lapwinted Jun 20231
lappointed Jun 20231
CoM￿nY Settetary
C L Parkin
Independent txaminer
David Richardson ACA
Institute of Chartered A¢cwntsnts in England and Wales
Bankers
Barclay5 Bank UK pk
This ￿port has been prepared in ac(ordance wrth the 5pecwl pro￿$10n5 of Part 15 of the Companies Att 2CMJ6 relatinE to small
companles.
Approved by orderof the board ofTrustees on.........................._......... ...... and si8￿d on Tts behalf by..
AQLJ
P Wlllmott - Trustee
PaF6

Limrted
oftheT
forthe Year E￿31 De¢•thr2022
STRUCTURE, GOVERNANCEAND MANAGEMENT
Organisatlonal
The Trustees are ￿spOnSible for the n¥naRen*nt of the chaiity. inrknltng proper use of its fvnds. The Trustees delegate the
powEr5 for the day-to4ay running of the cinerna to the Manage￿nt LtJrn¥rwttEe. The Tnjstees n*et Quarterly to re¥￿W the
actions of the rnanagernent committee and make Strategic deC￿lon5.
Indu¢iion and tra5nlng of new TNstees
Our Tfustees bringa wide range of ski115 tothe charty IndudlnEcinema progrdmrn1￿ marketin&finance. human resources. legal,
and business managen*nt. As the organisaiion devdops and as the external enVirOn￿nt change5, we keep under review the
skills we need. To ensuiethis 15 Upto date wè tarTied outa s￿ILSauditalthe start of 2019. When we recru4¢ we utlllse the results
of the skills audit to identfyihe qualities sought in poteniial candrdates. oppOrtLtn￿es are adV￿￿Sed and the Human Resources
sub-committee manages the retFuitrrent process, resulting in reC0mrnendat￿￿S to the full Board. Potential new Trustees are
nvited to meet with ex￿tingTruSreeS and key management pers￿ne1 to gain an urK1er5tsr¥dinB of their respettive roles and the
part they play ia the decision-makin8 pr￿eSses, are provhled with appropriate backgrou￿ dLKumentatM)n le.8. the ￿sinesS
plan, recent linancial performance. and Memorandurn and ArtKies of A$S￿l3t10m) together with access to Charrcy Comrni55ion
guidance notes. Trustees are enco¢Jragedtoattendapprowateexternalirainin8eventswherethe5ewill faalitste the tJndertakin8
of their role.
Key managernent remuneratlon
The directors Of￿ffrofi Waldèn ComrnuTrtyCirtema Umited arethechariWsTrustee5. andtheseniormanagementteèm comprise
the key rnanagement personnel olthe charrty in charge of dir@rtin8 aad controllin& runnlng and operatinE the charity on a éayto
day basis. All direttors ewe their t1￿* freety ex￿pt where their specialist skills are required. Details of directors, expenses are
dlsclosed in note 4 to the financBI statett*nts. Related party tra[￿L*lon5 are thtsclosed in note 12 to the financi31 ststements.
The pay of all 5tsff is rev*wed annualty ￿r￿alty increased in line wlth InfktKJn. In view ol the nature of the ch3rEty, the
dI￿￿Or5 benchmark against pay leveb In other provinual onemas of a similar si2e.
Related partles
None ofourTrustees receive rernuneratv)n or other benÈfft from theirwork with the charty. Amy connection between a Trustee
or senior manager of the charityvrith a produttK)nCOtnpany* distributor. perfomieror exhibltor must beoisd05edto the full board
of Trustees in the san* way as arry other contrattual ￿￿¥)￿ShiP with a related party. In the ￿rr￿nt year, no such rekted party
transattions weTe ￿pOrted.
REFERENCE AND ADMINISTRAThVE DET￿Ls
Registered Company numbvr
05626997 IEntsnd and Wales)
R•8i4t•rad Ch3rJty
1113259
Registe￿d office
Market House
10 MarkÈt Walk
saffron Walden
E$5ex
CBIO IJZ

Inde
nderrt Examiner's Re
Saffron Walden Commun
rt to the Twstees of
Cinema knm4tÈd
Indepertdent examiner's reportto the Trustees of Saffron Walden Community Cinema LÉmited I'the CompanWI
I report to Ihe charity Trustees on my examiftation of the accourrts of the Companyfor theyear ended 31 December 2022.
Responsibllltles and basis ol report
A5 the charity's Trtsstees of the Company land also its dirertors for the purp)se5 of company lèwl you are ￿5￿On$1bJe for the
preparation of the accounts in accordance with the requirements of the Companies Act 2W6 Ilhe 2￿6 Act'l.
Having satisfied rny5elf that the accounts gf the Cofflpany are not required to be a4Jdtted under Part 16 of the 2￿6 Act ènd are
eligible for indEpendent examinatson, I report In respect of rny examination of your charity'5 accounts 35 carried out under section
145 af the Charitie5 Act 2011 l*he 2011 Art'l. In carrying Out my examination I have follow￿1 the directions given by the Charity
Commi55ion under 5ettion 145151 Ibl of the 2011 Art.
Independent examinerfs statement
Sinceyour chèrr(y's gTOS5 income exceeded £250,(X)O your exarniner must be a member of a bDdy listed in sErtion 145 of the 2011
Act. I can confirm th8t l arn quaIrfi￿ to undertakÈthe Exatnination iEcause l am a registered member of the Instrcute of Chartered
Accountants in England and Wales which is one of the listed bod￿$
I have completed my e¥amination. I confirm thatno rnatters havecometo myattention in £onnÈctlOn WTth the examination &ving
rne cause to believe..
accounting records were not kept in re5pert of the Company as required by section 386 of the 2006 Art.. or
the accounts do not accord with those records,. or
the accourTrts do not compty wrth the act￿ntIng requirements of section 396 of the 2(K)6Art otherthan any requirement
that the accounts give a truÈ and fair view which is not a matter considered as part of an Independent examination." or
the accounts have not been prepared in accordance wsih the methods atKI winiiples of the Sraternent of Recommended
Practicelor accounttng and reporting by charrlies leffettive l January 20191.
I no eoncerns and have come across no other matters in connettionwith the examinationto which attention should be drawn
in this report in ordertC* enable a proper understsndingoé the accourbts to be reathed
David Richardson ACA
Croucher Needham
Market House. 10 Market Walk. SaffrDn Walden, CBIO IJZ
Instifute of Chartered Accountant5 In England and Wales
DatE'.
Page?

forthe Year Ended 31 Dec*M￿l021
31.12.22
Totsl fund5
31.12.21
Totsl funds
UnRstrKted
fvnds
Restricted
funds
Note
INCOME AP4D ENDOWMEln5 FROM
Donatiofts and le8acies
Charitsble artb¥itles
nematic operations
7.872
7,872
5,517
243.374
29.481
272,855
293.457
Investment Income
1,129
Total
252,375
29.481
281.856
299,837
EXPENDITURE ON
R315ing funds
Charlt•bh •¢tldtl•s
Clnematic operations
26.852
26B52
18.321
230.327
230,327
201.896
Other
67.761
32,061
99￿22
83.331
Total
324.940
32.061
357.SJ)I
303,548
NET INCOMEIIEXPENDITUREI
172,5651
12,5801
175.1451
13.7111
Tfan5fers betweenfunds
li
3,rxiJi
N•t mov•mènt In funds
I75￿)
420
175,1451
13,7111
RECONCIUAnON OF AJNDS
Total funds trouRhtfor*ord
134.534
45,496
0.030
183.741
TOTAL FUND5 C*JIIIIED FOIIWARD
45,916
Thenotesfomi partof Vt5efina¥Kia 5tatemer

mtted
31.12.22
Totsi funds
31.12.21
Total *unds
Unrestrfcted
funds
Restritted
fijnds
Notes
RXED ASSÉTS
Tangible assets
24,
24.0
14,494
CURRENT ASSETS
Stocks
Debtors
Investments
Cash at bank
1.250
10,103
76,552
1,250
55,862
75,767
64,676
10.103
45.916
25.444
67.433
45.916
113,349
197.5
CREDITORS
Amounts falling due w¢thin oneyear
io
32.554
32.554
32.019
NET CURRENT ASSETS
34*79
45,916
80.795
165.536
TOTAL ASSETS LÉSS CURRÉNT UABILMES
45.916
104.885
180.030
NEf ASSETS
58.969
45.916
104,885
180.030
FUNDS
Unrestritted funds
Restrirted fund5
li
58,969
45.916
134,534
45.496
TOTAL FUNDS
104,885
180.030
The notes form part ofthese financial stslemeThts
Pa8e9
tin￿d...

nema i•Mited
At 31 Dec*thr
The chariiabk company is entr(led to exempt￿￿ from audit under Section 477 of the CfjMpan￿S Act 2LIJ6 for the year ended
31 December 2022.
The members have not required the company to obtain aTraudr(of Iisffinantial 5taterrentsfwthe yearerHled 31 D￿rnber 2022
in accordance with Section 476of CompaniesAct 2W6.
Thè Trustees acknowledge therr re5ponsitsil￿es for-
ensurlng that the charitable company keeps aco)unting reccfdsthat compty with Section5 386 and 387of the Cornpanles
Act 2006 and
preparing flnancial 5tstements whkh tye a tyue athj falr vlew of the state of affairs of ￿ charftable cornpany a5 at the
end of each linanoal year and of its yjrplus or deficit for eath financial year In actordance ¥￿th the reqijlrements of
Settions 394 and 395 and othep*i5e cornplywtth the requliements of the Cornpanles Att 2fy)6 relatlnB to flnanclal
starements, $0 far a5 app1kats￿ to the charitable company.
These financial 5taternents h•¥e been prtpared In acmrdance wlth the prtrh5Dns appllcal)le to tharltable tompanle5 subject io
the small Companies regime.
The fI￿ncIal staternents were •pproved by the Board of Trustees on .............
by..
and were signed on behalf
-Truste•
The I￿lorM partottlEsefinorThl statema
Pale 10

Note5tothe
AccouKnNG pouaES
Basls of ?￿￿￿￿tr*fInamJal slaten*nts
Thelinancial statementsotthe charitable company. whkh s a publtbenefft entty under FRS 102. have been prepa￿d in
accordance wlth the Charities SORP IFRS 1021 'Awntlng and Re￿￿￿% by Charit￿S.. Statement of Recommended
Prattice applicab￿ tocharities preparlTr8 thelr accounts in accortlèrt￿ wlth the Financial Reportingstandard applicable in
Ihe UK and Republic of Ireland IFRS 1021 leffecthe l January 20191.. FlnanEial ReportinB Standard 102 The Financlal
Reportlng Standard applicab￿ in the UK and RepublK of I￿10nd. and the CornpaTrE5 Act 2C4)6. The tinancial statements
have been prepartd underthe historlcal costconvents)n.
Golng Concern
The Trustees have assessed whether the use of gdng tt$r￿rn Is approprlate and have consIde￿d posslble events or
ondltlons that migth cast $18nrfi£ant doubt on the abillty Oft￿ charitsble comporyto contlnue a$ 8 80in8 concem. The
Trustees have mède this assess￿￿TrI lor a period ol * beast one yeor from the date of the approval of these Ilnancial
statement5. After rnakiry enquiries, the Yrustees have CO￿￿￿e￿ that there is a reasonable expectation that the
charltable company has adequate resources to cortlnue In operatksnal existence tor the foreseeable future. The
charitable cornpanytherefore Comlnues to 4(k*pt the 8oln8 con￿r￿ bas1$ In preparln¥ its Ilnanclal statements.
In¢om•
Income Is reco8nlsed when the tharity ha5 entitlement tothe fijnds. any perforn¥rKe condft6ons attached to thé i(èrnlsl
of Income have been met, It Is probable that thè income wlll be T￿￿?￿. and the amount can be meaSU￿d rellably.
Incornè frorn government and other 8r•nts, whether cal￿1 8rants or revenue 8rants. 15 reco8n15ed when the charty ha5
entrf(lement to the fvnds, any performantecondith)nsattachtdtothègrants been rrrt Itls probablelhatthe Income
will be received. and the anK*unt can be measured rellabty and Is not delerred.
Incomè re¢elved In advance of a clnematt perfOrrnan￿ Is delerred unEIi the crIte￿a for Income rocognltlon are mèt.
Intorne from clnernatkoperatbn515 the arrnunt derl¥ed from the provlsbn of goods and servlces, net of VAT.
Government grants a￿ ieco8nlsed at thetalf value of the asset rece￿ed orre¢d¥ablewhenthere Is reasonable assurance
thai the 8rant condit1￿$ will be and the grantswlll be recelved.
A 8rant that 5￿c*￿e5 performance conditions is reco8nised in Incorne when the performance condition5 are met. Wher•
grant dc*s not specfy perkJrn)ance condthons11 is ￿C0£￿•sed in Income when the proceeds are received or reteivable.
A grant ￿CeNed beforetht retO8nition urterra are 5atlsfied is recwised as a liabilty.
Exp•ndltur•
Liabilities are ￿COgniSed as expendtture as won as the￿ is a legal or ¢onstrurtNe obltgaton eornmittinE the char￿¥ to
that expendlture. It is probable that a transfer of economic tenefits will be requI￿d in settlement and the amount of the
obl jation tan be measured reliabty. ÉxpeThJr(ure Is accounted for on an accruals basls and has been classlfied under
headings that a88reBate all cost related to the category. Where costs cannffj be difttuy attributed to particular headin8S
they have been allocated to aclivf(ies on a ba5iSCOnSi5tent with the use of resour￿$.
T•rqlbl• flxed 09sets
Deprecktbn Is pra￿ded atthe followlrvd annual rates in orderto wrlte off eath asset Tts estlrnated useful life.
Prolettion equipment
Seating and screen
Fixture. fittirw & computers
Motor vehlcle5
- 20%on cost and 11)% tsn co#
- overthe Iwe oFthe license
- 25% or¢ cost and 33% on cost
- 25%on cost
Pa8e 11

fimndal Staièmerts. u>ntinued
fortht Yèar enthd 31 De(ember 2022
ACCOU1471NG I¥JUCIES- tortinwd
5tock5
Stocks are valued att￿ iowerof cost and net realisable value. after rna￿n8 alh)wance forobsolete and slow rnoving
items.
Taxatlon
The tharty Is exempt from corp)ration tax on h5 charitab￿act￿llthe5.
Fund accourttl
Unrestricted fund5 can be used ITh accordance wlth the charhable oblertlvesat the dlscretk)n of theTN$tees.
Restricted fvnds can bt Used fof particular restrKted purFose5 ¥￿thin the objetts of the charity. Restrlctlons arise
when specifled by thé donof orwhenlynds are ralsedforpartScy￿I restrkted purkh)ses. Further explanatlon ol the nature
and purp05eof each fvjnd Is lnduded in the notes tothe flnandal statements.
INVESTkffNT INCOME
31.12.22
31.12.21
Deposlt account Inte￿$t
863
NET INCOMEIIEXPENOITUREI
Net InCorne/lexpend￿y0lI5 ststed after char81n￿{credltkn$):
31.12.22
31.12.21
Depreclatlgn- owned assets
Independent examinatlon fee
7.301
1.5
7,360
TRUSTEES, REMUNERATION AND BENEFITS
There were no Trustees. rernunefétion or Oiher LvbEfft5 tr Ihe yeor endeo 51 oecerntyer zuzz noi tuf tne year ended
31 December 2021.
Trusteos, •xpÈnMs
Travel costs and expense reiMlyJrse￿nts amountinqto E10812021: £191 paid to 112021.. 11 Trustee.
No Trustee, orother person re￿ted tothecharlty hadzny persorwl Interest In any contrdLtortran5attkJn entered Into bv
the charityi tl* year.
STAFF COSTS
The avera8e mOnth￿r numberof empk)yees durin8theyear was as folb)ws.'
31.12.22
23
31.12.21
22
AdministratK)n and front of h￿se
No employees received emoluments In excess of £￿.1))).

Notes tothe Fina￿101 Staterr*nts.£ontlnt*d
lortheyear Ended 31
TANGIBLE FIXED ASSETS
Proiecixjn Seating and FIXtsJ￿. flttlngs
equlpment
screen & computets MotorvèhK*s
Totsls
COST
At l January 2022
Add￿t￿On9
177,557
44,919
250,361
16,897
15,951
At 31 December 202Z
178,503
44,919
35.956
267,258
DÉPAEaATION
At l January 2022
Charge for year
168.621
28
41.927
1.519
19.081
1.312
6.238
1.642
235,867
7.301
At 31 Decern￿r 2022
171.449
43.446
20,393
243,168
NET B￿KvALuE
AI 31 DKember 2022
1.473
15,563
24.090
At 3L DKemter 2021
8336
2,992
924
1,642
14,494
srocK5
31.12.22
31.12.21
1.250
1.250
DE8TORS: AMOUNTS FALUNG DUE wmiiN ONE YEAR
31.12.22
31.12.21
Trade debtor5
Other debtor5
Pr•o•vm•nts
2.685
5,489
1.9?9
2,056
52,362
1.444.
10,103
55.862
CURRE14T ASSEf V4bESTMEN75
31.12.22
31.12.21
95 days. notice
35 days, notice
55.561
20,YJI
55.011
20.756
76,552
75.767
Page 13

ed
rEth 31 De(ember2022
CREDITORS: AMOUNTS FAWNG DUEWITHIN ¢￿EYEAR
31.12.22
31.12.21
Deferred ticket Inco￿
Trade cred&tors
Social security afid otlErtsxe5
VAT
Other creditors
Accrued expenses
lo,8￿3
8.499
2.202
4.132
5,067
12,393
2.492
15961
524
12,139
6,437
32,554
32,019
ii.
MOVEMÉ1￿ IN FUNDS
Plet movement
Transfers
in funds between funds
At l.L22
At 31.12.22
Unrestricted fund5
General fund
Deslgnated fund
1(13,298
1715651
22,236
125,2361
58.969
134.534
17156SI
13.Cl)Jl
58,969
RettrfrtedfvAd$
Digvcal equlpment
Audttorivrn fund
BFI Sustainability Grant
4,529
40.%7
12.S801
1,949
43.967
45.496
115801
45.916
TOTAL FUNDS
180,030
175.1451
104.885
Page 14

Saffron W
Cinerna L*
Notes
nan¢iol
forthèyear E
ber2022
MOVEMENT IN FUNDS-(wtlwed
Net ffK>vernent in fijnds. Induded In the at￿ye areas folkms:
Irthmiftg
resources
Resources
expended
Movement in
fund5
Unrestrlcted fvnds
General fun
252,375
1324.9401
172,565
Restrkted fvnd5
Digital eqUIp￿Tht
Auditorlum fund
BFI Su5talnablllty Grant
12.5801
12.5801
29.481
129.4811
TOTAL FUNDS
281.856
357 fM)11
75,1451
Comp•r•tl¥esfor mob*rMrt In fvnds
Net rnovemeni
Tr•n5tefS
In fvnds bthetn fuTra5
At 1.1.21
At 31.12.21
Unr•strirt•d Funds
General fund
Deslgnated fur
I13.￿1
25,236
11.6031
13,(MxII
109.298
25,236
139.137
IL6031
13,(ml
134.534
R•strf¢t•d Funds
Digita5 equipment
Auditorium fund
BFI Su5tainabllty Grant
6.637
37,967
12,1081
4.529
40,967
111081
45,496
TOTAL FUNDS
183.741
13.7111
180,030
P4e IS

Ncts5 tothe A
frKth•Yo•r Ernjtd 31 Derern
ii.
MOVÉMEPIT IN FUlIDS-(¢>ntir￿ed
Comparative net moverr*nt infuThJ¥ Included inthe a￿ as folhm."
I￿Orn1r
resour￿5
Resources
expended
Movement Sn
funds
Unrestrlctedfvnds
General fund
184,529
1186.1321
11,603
Restrfcled fund5
Digital equipnRnt
Audltorlum fund
BFI Sustalnabillty Grant
12.1081
12,1081
115.308
115,3081
115,3(
1117.4161
12,1081
TOTAL FUNDS
299.837
13,711)
The Dlgklal equlpment lund represent lund5 spedfKalty ratsed to acqulre dl8tt•l ewipment. Expendtture represents the
depreclatlon of the equlpmenL
TheAudttorlumfund ￿preSentsthe rnainten•nceof thèfabrltof theaud￿9rlyrnaThd bbby,asa8reed wkh Saffron Walden
County Hlgh School, Thls fvnd represents Saffron knen'sann￿l net of expendltufe.
The BFI Sustainèbility Grant rep￿sentS fundin8 for allowable costs to be covered by the Cuhural Recovery Fund, a central
government lundln8 programrne operated by the Brltish Fllm Institute. The fvjnd 15 to cover 105ses Incurred while the
or8anisatlon operate5 at redutrd capa£6ty due to soclal distandw and restrltttd attendante.
Tr•nsfers betweenlunds
A5 per 3 licence a8reement between Saffron Walden Communltyclnema LIm￿ed and Saffron Walden Cgunty Hlgh 5th001,
dated 17 January 2013, there Is a requlremeni for each organisation to contribute £3.Cl)O per annum into a fvnd for the
maintenance cf the fabric ol ihe auditorlum and lobby. The iransfer of £3,OCQ between unrestritted and ￿$trItted fund$
Iyr thry yv•r ended Ji Oectfftber 2022 i% Il* a8ree¢ olsouiion ol funds to meet iu(uie costs In relaiiDn tu th15 aBrEÈmeni.
Details of the restrlrted fund can be fr￿nd In the notefor restrkwl fvnds.
Page 16

Umlted
I St*ments. continued
f￿the Yw Errfled 31 De¢ember 2022
RELATED PARTY DISCIOSURES
There were no related partytransaetion5 forthe year ended 31 DKember 2022.
Pa8e 17

Clnema Um
rtof Flnandal
ltxthe Y*arEnded 31 Decem
31.12.22
31.12.21
INCOME AND ÉNI)OWMEiirs
Donatlons and legacles
Friends of Saffron Screen
Other donations
5,822
2,050
3.716
1.801
7.￿2
5,517
ID¥estment Income
Deposlt account interest
1,129
863
Charltsble act[￿tIeS
Income from admisslon char8es
Refreshments
Sponsorshlp ind advertlslnz
Fundralsln8 events
Grants
Other income
194.607
36.280
107.616
18,186
4,011
32,S83
876
163,068
576
272.855
293,457
Tot•1 Incomln8 r•sourt
281.856
299.837
EXPENDITURE
R•lslng domtlons •nd l•p¢l•s
Marketln8 wa8e costs
26,852
18,321
Ch•rlt•blt •¢tl¥ftl•s
Clnematic operation wa8e costs
Refreshment purchases
Dlstrlbutor fee5
software charges
Ad4iiion•l tsoo)kln8 fEVJ
Event and course costs
Équ1pW￿nt repalrs
106.CM)2
16.292
82,570
126,543
9,556
48,942
4,777
8,863
75
3.140
12,099
186
5.773
230.327
201,896
Support costs
MaA#8trNrtt
Management W38e costs
Insurance
Telephorbe
Postage and stationery
Advertlsins and marketin8
Carried foTward
35,591
1.207
1.077
448
17,343
55,f66
31.679
1.365
1,278
506
11,778
46,606
Thls paRe does notfomi partoftt* statutoryfin&*ial Sl•Ements
Page 18

Detaiknl S
offinarn￿1A(II
fortheyear Ended 31 Decernber2022
31.12.22
31.12.21
Management
8rought forward
Svndries
IT co￿5
Travel and entertainment
OffKe expenses
Subscriptions arKI li￿rKe fees
Van running costs
55.666
386
2.557
1.865
9,020
1,201
1,333
46.606
334
2.552
1.156
4,442
1.241
1.295
72,028
57,626
Flnanre
Bank charge5
Other
Depreciatio
rJo¥emance costs
Pr¢fessional fees
Accountancyfees
8,026
6.723
7.301
7,360
10.967
10,122
L500
12.467
IL622
Total ¥esources expended
357,ODI
303,548
Net Idefldtl I suWu$
175,1451
13,7111