COMPANY REGISTRATION NUMBER.. 5334551
CHARITY REGISTRATION NUMBER.. 1126403
Waterfront Gallery
Company Limited by Guarantee
Unaudited Financial Statements
28 February 2023

Waterfront Gallery
Company Llmlted by Guaranlee
Flnanclal Statements
Year ended 28 February 2023
Pages
Trustees. annual report lincorporaling the director's report)
1 to3
Independ8nt examiner's report lo the Iruslees
Siaternent ol lin8nci81 activities (including In￿rne and expenditure accounll
Statement ol financial position
Notgs lo the linanual statements
7t013
Tho lollowlng pay8 do not form part of th• Ilnancl81 gtalements
Dgiai19d slatoment ol financial activities
15

Waterlront Gallery
Company Limiled by Guaranlee
Trustees. Annual Report Ilncorporating the Director's Report)
Year ended 28 February 2023
Th¢ tTu%1¢¢4, wh() 41sc) Ihe dire¢t()Th fc)r lh¢ purpoK% of cotnpany Idw, pre%¢nt their repon and the unaudited finanri
Sldiernenis of the chariry for ihe year ended 28 February 202.1.
Reference and administrative detaTrls
Registered ch&rit!'
Waierfroni Gallery
Charity registration nurnber
112(AOI
Cvmpany regfjstratlvn number
5334551
Principal and registered
office
The Old Sail Loft Discovery Quay
The DuLk
Miltord Hai'en
Petnbrok"eRhire
SA73 3AF
The trustees
Mr DRS Clarke
Mr DA Rdndell
Mr AF Sang%rer
Mr TC Arthur
Ir RWC Thompson
Mr Pl) P.dginglo
Mr4 TJ Priui
(Resigned 2 March 20231
IRe%igned_30 September ?0221
(Reiigned ! Mdrch ?O!Jl
Company secretsry
Mr AE SarKJster
Inde￿ndent examlner
FVF.NS & CQ LTD Chdrt¢red ALLX)Urtianis
HdTnilti)n Hi)u%e
Htiinilton Terrace
Milfc)rd Hdi'en
PLinbroke5hire
SA7.1.IJP
Structsxr& governance and management
(voverning document
The chdJiiy is controlled by irs rnetnorandum and arricles of &5sociation adnptLxl 15 December 2tW and consiiwte% a
litnited ¢ompany. I1￿11C[l by guaran*e &% (lefin¢d by the Cump4rties Ath 2tKI6.
Trustees
In ac¢or(Idnce with Ihe con51iiurion. mernbers ()t' Ihe eAeculive elecied Jnnudlly dnd all executive commillee Th¢tnber5
are tlecred TNstee5 of ihc Lharity. Trusiees holdjng oifice during the year are included ID thi% Tepurt.

Waterfront Gallery
Company Llmlted by Guaranlee
Trustees. Annual Report (Incorporaling the Direclor's Report)
Year ended 28 February 2023
Stru¢thrG gowernwnre and rnanagement(rvAWAwd)
Risk Management
Th¢ tTusl¢e4 have a dur). io iderbiify and Tei'iew ihe risks ￿ which the chan.ty ks ¢XWJal 3Thd to ensure appTtJprbale controls
are in pldce 10 PFOI'ide assurawe againm fraud and error.
Obiectivts aDd attiiities
The chaThiable Objeal￿eS of ￿ Organi￿tion ￿ to Ptom(Ae. rnainlain. i[np￿V¢ aJKI adi'ance educaiion bv the
enLoufdgetn¢nl of the an5 including. M'ithoui limiiaiion. Ihe arts of dram& mime. darK*. singing dnd mu%it.
The benefiis thai flow from ihe atM)ve obJ"e¢iiv¢% and xtiNiti¢s inrlude prO￿ding all participants u'iih an enhanced qualiry
of life achieved through the understandkng and PifftiLIIYdtiOrt in the atL%. Surh V￿leT5￿￿dj1jg 15 P￿>[no[¢d by bringing
people lu¥eiher and achiei.ing greater S￿la1 cohtsion and community lile.
Acbievements atMI perfonnanLT
The SLqtr ol ?022-20?_3 saw a continudlioTh of p)QT t5￿131)Y in relaiion io ihe more exFnsive pieces of W￿k. li
shO￿.ed a relUcta￿e by customers io S￿nd alth￿Igh w'e cuntinu¢d lo haie pleniy of list￿r5 who enjoyed Ihe eAhibir.4.
We Idunched th¢ WaJ¢s Coniemw)rary in the srfftng and had an amazing resp￿Se with over 21MX) etttries fmm 42
couniries worldwide. The of entty fee5 for thi% was a gr¢iit ￿1P io TThainiain ihe 0￿r￿[lon of the gallery. our
5ch(K)I& ¢Ahibiiions arKi 10 Showcase the work of our regulat drtists.
The exhibition of W'ales Coniemtw COM￿11110￿ i(Kik place in ￿ autumn *)d we a]50 trdnsp)rted the show LO
London ￿here it was exhibi*d fi)r d week th¢ OXO Gallery.
A huge blow to the ga]l¢ry rame when Paer. (wr most reliable volun￿er. and 8￿￿Ki fneEKI 10 the 8aliery. t*came ill in the
Summer a￿1 s*lly patsed away in Noi"¢tnixT.
We were abk io recommence our Pembrokeshire st)￿LS ¢xhibiiion in Felw and this was very well rettivcd and a
exLelleni end iu the y¢ar_
Website
The LhJTity a w¢lTh"ii¢. wWw.Ihe￿.alerfr0￿lgaIIery.co.llk. Ii is intethl thai the website gives infornation of aaiviiie5
ai the g￿]ery and pronM)ie5 It lo a wider cu4toTher base.
Financial re￿¢￿
The rest￿eS held ai the Ve￿ end ￿ £15.536 surplus (?02? . £.17.192 WTpIu51. The gallery uiiltse4 115 fuHds to Ttwimisc
ils applicatii)n io meei rhe objeai&es in promoting the arts. The gallery does ]M)t knld unnece%sary funds bui is able to
meet il4 ubligdti(3Ds due 10 ihe kind C￿￿1bJtions by its benefaC￿rS.
Plan5 for future peri(*ts
In the cvming y¢ar we plan io coniinue &￿'elOping the Wales corÈieM￿rdr¥ Inkrnational Exhibiiion. launching in Spring
20?3. judging in late Summer 20?3. and ethibili¥Jg shonlived entries in Milford Ha￿¢￿ ai ihe W'aterfJvnl G311¢ry. in
OL'lu￿rlNUyetnber )lTr?.l. Ai sarne time a Chrisrmas exhibition LS planned for the Wa*rfA)ni between late November
and the ¢1￿ of Dec¢m￿r 2023.
Our Pembrukeshir¢ YkKvls' eKhibiiion is planned to be held again during the month of February 2024.

Waterlronl Gallery
Company Limiled by Guaranlee
Trustees. Annual Report Ilncorporatlng the Dlrector's Report) irt%JthwdJ
Year ended 28 February 2023
11 ¢￿sPanY provisions
This rerx)rt has trten prepartd in accordance wilh the wDvisi(￿s atvlicabk w ¢0m[￿leS entsded ￿ the small co]npanies
exemFrfiOn.
Th¥ ¢tustre%' annual rewn was approved on 13 (kEdJ¢r 21r13 aNI signed on ithlf of Ihc t*Jard of irumtts by..
Mr DA Randell
Tru%lee

Waterfront Gallery
Company Llmlled by Guarantee
Independent Examlner's Report to the Trustees ol Watertront Gallery
Year ended 28 February 2023
I report 10 Ihe Iru%i¢¢N (In tny eXaTninali()n ()r Ihv fin￿¢7￿] 4itiiemeni% of Wdierfroni Gallery I'the churiiy'l for the ycar
ended ?8 Februdry ?1113.
Responslbilltle% ¥nd b4Lsls of repurt
AN the chaniy'4 Iru%ie¢% i)I' lh¢ Ci)mpany Iwhci lire 41￿) the dirvLlI)ts uf IhL' Liinipany fÉ)r the purpiles of cOtllPÉ￿Y14W},
y()U 4we re4txin4ibl¢ I'i)r Ihe P￿p11[all￿n i)f lh¢ aLLouni% In aceordanie wilh the requiremenis 1)I' lh¢ Ciitnpanie4 Ail 7(￿.
HJvin8 wtisfjed myself thui ihe accounis ol. Ihe Q-i)rnwJny ure n(?1 rrquirrd io k uudiied for this year under Pan 16 of Ihe
21M)6 ALI dTKI dr¢ ¢libTihl¢ l()r ind¢￿￿￿.￿1 L'Xaniili'.Ilii)n. I rL'rAirt 111 rL'%r)eil niy Lxaininaii(In (?I' yi)ur (b￿1[Y % <KLI)uni%
My ¢xamiJ)(Illl)n ¢Jrri¢d oui in a¢¢orddnLe with ihe 8eneral l)irtiiii)n% given by Ihe Ch￿lY Commi%%ton. An
exdininiilion in¢luJL'% 4 r¢vJew (?I' Ihe JLLIIUllllllgY reLiiTd% kepi by Ihe iharily and a ic1inp4￿￿jn i)f the aLLoulliN presenled
wilh iho%e reLI)rd%. li inLlude% ion4ideialii)Th i)f unu%uol ilLmi Lir di%Llii%ur¢% in Ihe ALLI)unl5. an(J Nttkin¥
cxpliilliilil)ll4 fr()tn yiiu Iru%li¢% ¢i?nL¢min¥i %ULh NttL'Th. ThL priKedures undeMak-Ln (J(I ni)1 pri)vi(k all Ihl evidenL¢
Ihdl wuuld bv requir¢d in dli dudil lind Ll)IIIL'4UL'nily nLi iipini(In is gi￿¢17 a% iu wh¢1￿¥ thL ii¢¢ouni% pr¢seni a'irue liiir
Ind¥prnd¢nt ¢xumlner'¥ %lxternent
I hJv¢ ¢omplLiied my exdmindii(In. I L(Milirm Ihui muirrial muli¢N hJve come 10 my uiien¢ii)n whirh give% me c4UJS¢
iu believe Ih4LI'.
accounling r¥Liird% were ni)I krpi io ts¥ciinLLnie wilh %eLli()n .1116 lit ihe Ci)mpanie% ALI 21Mkn', or
the dLiiiuni% Ill) n4)¢4￿¢1)r￿ wilh %uLh rL'LI)rd).' i)r
Ihe aLLIIUnl% its) ni)l ¢(?mply wilh r¢lL'vJiII dLLI)uniins TLyuiri'meni% undcr %¢rti(In IY(i (?f IhL' Ciimpanie% Acl ?IMkn
1?Ih¢r Ihiin dny rvquir¥mL'ni Ihdl IhL' dLLiiuni4 ¥TIVL il'irue lJir %'icw whiLh li ni>1 d rndlier ii)ii%iil¢red 4L4 Part (>f dn
inde￿ndent L'xdniiiiJii()n'. IIT
Ihv aLL(iunl% hav¢ nc>l k¢n prepdred in dLLLinJdrKe wilh Ihe C'hiirilie%.SQRP IFRS11121.
I huve no ¢(?nLern% dnd hdve Li)me dLri)4% nii i>iher tnaiiern in li?nn￿li{)tt with Ihe exdminaiilin l(? whilh di*niion should
. drnwn in Ihi% re￿)[1 in (Ird¢r Iv cndbl¢ il pfiipLr underNidndiii&i {)f IhL ULL(iunl% lo bc reuLh¢d.
('() i.'ri)
ChJnered ALLI)Util￿1nt%
Inde￿nde￿I I'-XiiniineT
Hamilion H(iu
HiiMilii)n TLrrJLe
Mill'or(l HdvL'n
PL'mbrvkL'%hirL'
SA7.3_3IP
1.3 (kivber 2023

Waterlroni Gallery
Company Llmlted by Guarantee
Slalemenl of Financial Actlvltles
(includlng Income and expenditure account)
Year ended 28 February 2023
2023
20?2
Unie%tricie(J
funds
Tutsl fund5
Totsl funds
Note
Income and end(bwments
th)ndiion5 4Lnd legdiies
Oiher Jiliyili¢%
10.181
40.-577
58.665
58,665
To¢81 IncnTne
58.665
58,665
5(1.9Q8
Expenditu
Expenditure ()n rai%iDg fund%'.
Co%1% vf i)IheT IrJding aLIiviii¢5
Expendirure on ch￿ilable aciii'iiies
Total expenditu
179.5551
17661
17YJSSI
17661
155.glul
1? 5461
180.3?11
18OJ211
158.4561
Ntt expenditure net movement in funds
121,6561
121,6561
17,5481
Reconciliation ol funds
Ti)lJl fund% hTC)ught f(Irward
Total funds carried forw&rd
37.192
37,IY2
44.740
1.S.5.16
15J36
The 5taiemeni i)r rIn￿LId] aLlivitie% in¢lu(l¢% dll an(J lo%ses recogni%e(l in Ihe year.
All incorne and eipendiiure derive from continuing￿ ￿tiVItIe5.
The notes on pag*$ 7 to 13 form p8rt of these flnanclal $tatom8nts.

Waterfront Gallery
Company Llmlted by Guarantee
Statement of Flnanclal Posltlon
28 February 2023
2023
202?
Nole
Flxed a￿ts
1'4Lngible tixed ussct
14
Current 8￿ts
15
438
31,752
1.105
53.IIA)
Cash 01 bank in h*KI
32.1
54.295
('redlttsr5: ¥mounts" f¥lllng wlihln ont ye¥r
16
116b581
117.11)8
let current 8￿ts
15J32
37,1¥7
Tvtsl auets cwrytni Il*blll¢ks
15J.16
37.192
r*el wets
15J36
37.192
F'uThL% irf the charliv
37.192
To¢#1 ch#rl¢y fund
18
JS&16
37,192
Flir The year ending ?M l-ebTuary_W?.l it￿ charbly was entiikd io cxcmoion from audii under >eaioTr 477 of the
Ci)mpaniei Ail 21MKS T¢l*ing lo small comp4nics.
DireLiofs' Tt%trfTrn%ibiliite%'.
The ML.m￿r￿ have ncA required ihe comwny 10 d)rain an audii vf 11% financiul Maicrncnls fur thc year in que%ii()n in
accordan¢¢ with icrlic?n 476..
Th¢ dire¢ts)ts ¥kththvle(Ige their rtspbniibiliiie& forcMiplyiThg wilh the r¢quirew*ni$ of the Acl with respKI Io
&ceouniin8 reLVTili and the twar4ion of finaKial stskments.
These finaKial %iatrmenis have been F¥trAttd in ￿¢￿ThIance wiih the pmisi(m5 a￿lICable to wmpani¢5 subjeei ￿ the
small compwbiC3' regime.
l'h¢￿ fiNmiiil %luletr*nl% w¢r¢ apwov¢d by lh¢ bpanj of audM)ri￿1 for issue on l.l October 202.1. a¢*i are
i¥ned on b¢hdll'c>f th¢ h)drd by".
Mr DA Randell
Trustee
The nol8$ on pag8s 7 to 13 form part of these Ilnanelal statements.

Walerfront Gallery
Company Llmited by Guarantee
Noles lo the Financial Slatements
Year ended 28 February 2023
General infornJ&tion
The chariiy 1% d public benetii eniiiv dnd J privaie company lirniied bv gudrantee. regisiered In Engldnd and Wales
and d regisiered Lh￿tY in Engldnd and Wdle%. The addre%% ()f ihe Tegi%ier¢d otfice is Th¢ Old Sail Loft Discov¢ry
Qudy, The D￿'k￿. Milfc)rd Haven. PeTnbr(ik¢4hiTe. SA73.IAF.
Statement of compliance
These finaEJcial 5raietnetLrs haN'e been prepared in compliance with FRS 102, The Findncidl Rewrting Stdndard
dppliLabl¢ in ¢h¢ UK dn(I The Republic of Ireland,. Ihe Staietneni ot Recommended Pracitce dpplicable io chariiies
P￿P￿1￿Dg theiT acciiuni.¥ in dccordance with the Financial Reporting Sianddrd dpplicable in the UK and Republic of
Ireland IFRS I(121 IChiirilir% SORP IFRS 10211 dn(I the C(Itnpanies Aci 2(Th.
Accounting polTrcie5
Basis of preparathon
The findncjal suiement% hdve been prepared on the his11)riL411 c￿1 b&si%, m()difJ¢d by the reV￿lUation of certain
ritidncial d5.ws and liabiliiie% and investrneni Pro￿ttle$ tneasured at fair value Ihrough 2ncotne or eKkKnditure.
The findnrial Sts*ment% prepared in sierling. which is the funciional currency of the entsty.
Going concern
The]¥ dre no tnat¢rial unrertainiie4 aboul the chdriry'4 abiliiy lo continue.
Judgernents and key sources of estimati(bn uncertsinty
The prepardtion of th¢ fiD<inLidl %iai¢tnenls ￿quiT¢S rnanagemeni EO nidke judg¢Tnenl.4, ¢%titnates and assumption
thai atfect Ihe amoun1% reported. These e%lirndle% judbiernent% L()n(lAu￿lY re￿Iewed and arL based OE)
exFetieniY and v¢her f<iLI(?Pi. including eAtKciaiion% of fuiur¢ ei'enis Ihdi ￿1[¢ beliei'ed lo ￿ TedwnJble under the
CLrcum%tsnL*%.
Fund accounting
Unrestricted funds dte avrfiilable for use dt th¢ di%cretion of the tru%le¢% lo funh¢r <￿Y vf the Lhariiy s purw>ses.
De5kgnaied funds are unre%tricted funds by the injsiees for P￿irt1￿uI￿ fuiure project or cortJmitm¢nL
RestriLod fund% ￿re lubject￿ 10 tr5triclions on their CAt￿ndItUre declaTed by lh¢ donoT l)r thtt)ugh the ierm5 of an
apFea]. and fa]1 inio ot)e ol two sub-Ll&%xe%'. re%triLied inLome funds or endowrneni funds.

Waterfront Gallery
Company Llmiled by Guarantee
Notes lo Ihe Financial Slalements {¢ortAx¥
Year ended 28 February 2023
Ar￿￿￿11￿¥ pAlcks
Incomin% resounes
All 1￿Coming resources are included in the sta*￿￿ni of finaKia] xiiviiies when eniiilemeni has passed 10 the
charity: li is probabl¢ thill th¢ ¢rtsn(TrTnif ￿nefIts &i%(Kiiiid with thc transaction will flow ¢0 ihe rharity Hnd the
amuni can ￿ reliably me￿Ured. Th¢ following S￿￿1r1¢ p)liLi¢s ar¢ applied iu partilu￿r L4ti¢gurie% uf iOLome'.
incom¢ fn)m donaiiotb or grants ￿ re¢ognis¢J there is ¢viden¢e of enTiilemeni ¢0 thc gift. r¢¢eipi is
PTobabl¢ aTrJ ILS amouni can be measured reliably.
kgacy income is r￿OSnI5ed when receilx is wthble and entiilemeni is established.
income fTOm donaied gLxKls ts measured ai the fair value ol the 80￿J5 unless ihi% is impraaical 10 meosure
reliably. in whiLh case lh¢ va]u¢ 1% tsrii¢d from lh¢ CO￿ ￿ lh¢ dorK)r or Ik e%lLmdted re￿1¢ %dlu¢. Dondied
faLiliiies al￿ services are recogni￿ in the Jccounis when received Éf the value be reliably med%ufL'd. No
amoun15 aTr Inclu(1￿ for the contr1￿1b0￿ of 8eneTal volun*eT5.
illLVmC fTDrn LvfbifuLL% for %upply of services i4 reco8fbi*ed wilh delii'ery of the contr￿1¢￿ %ervi¢e.
Thi% 1% cla5%ified unTe%tricied fund% unleK¥ thcre is a coniTaclual requiremeni for it ￿ be speni on 4L
pJrtiLular pu￿0%¢ and reiumed if in which case li may ￿ reg*ded &% tt&tyi¢*d.
Re50urce5 expended
Expttxliiure is re¢ognised on an a¢¢Nals btsi5 as a liability 1$ Exp¢ndiIu￿ i¢)clud¢s any V AT whieh
Cann￿ bt fully rwov¢red. ￿ is ¢lassifi¢d ynd¢r he￿ing5 of tk su¢m¢nt of financial acti￿￿￿e5 10 which li Tela*s'.
exFtndiiure on rdi%in8 I￿lu{le% the COSL8 of ajl fundraisin8 Xtivities. events. non-charitsble iradinB
aLiiviiie%. and ih¢ ￿1¢ of dotui¢d
¢xFtxtiiure on Lknritabl¢ Jciiviiies include*. all cosis incurred by a chsriry in unden*king affliviiies th
funher 11% Lh￿l￿b]e dirn% for the ￿nefIt of li% ￿nefiCia￿t￿. irbcludin8 those co515 and cost% Tcldling
to thc governancc of the charity IPW￿lOntd io chui¢ablc &1iviti¢&
r ¢1￿￿dIture irKludc% all eipendilurc thal i¥ ncithcr rrlated ￿ rni5inB funds for thc Eharity nor port of its
expermliiure on LhJntdble aLiiviiie%.
All w%1.¥ are all(Kalcd io cxtrndiiur¢ rale80riO Trflerling thc of the WrfKLrtt. Dirrfi costs attr1￿&ble ¢0 4
ingle J¢¢ivily ore all(KJlcd diffrtly ti) Ih41141ii"ily. Sha￿d ¢oits ar¢ aptXJnLoned beN¢¢n the activitie% they
coniribuit 10 on a Te&%onable. jusiifiabie and LY)nsisient trA8is.
Tanglble
Tangible a%seis are iniiidlly reLOTdeil ai cos1. a￿1 subse4uenily sthied ai c051 le55 an) accumulaied deprecilltion and
irnpairnleni losses. Any thn8ible &%sets carried ai Tevalued amounis are recorded ai Ihe fair valuc at the ddl¢ of
rrvalualion ks5 any Subw￿￿1 arrumul*d dep￿rIation and SU￿1￿¢￿1 a¢cumulat¢d impairn￿nt losses.

Waterfront Gallery
Company Limited by Guarantee
Notes to the Financial Statemenls l¢ontlnwdl
Year ended 28 February 2023
Accounting policie5 1rojthntt￿Il
Tangible 8ssets [c￿nIrl1￿￿)
An incTea%e in the carrying amoyni of dn dssei a resuli ola revdlualion, ]% re¢vgnis¢d in oiher recogni&¢d gdins
2nd lossei. unles% it reveTre% a rharge fc)r itnpaiTrnenl thill hag previously recognised as exFenditure within the
statement of fjnancial aciiviiies. A deLred%e in the arngunl uf an a%%et as a resuli of revaluaiion.
reLci¥nised in other recognised g￿nS and losses. excepi to whiLh ii uff%ei% arty previuu% revaluation gain, in which
c￿e the lo%$ J% 8hown within i)Ih¢r r¢¢ognised gilills and1055es on ihe ¥ialerneni of financial activjiies.
Depreciation
Depr¢Lidlion 15 calculated SO d5 to wriie off the cost or vaiuaiion of ati &%sei, le%$ its T¢sidudl value, over the useful
econom*L life vf thJl a54el a5 follows..
Plani and TnachÉnery eic
?5% ]tducing baldnLr
ImpaTrrment of fixed #&stLs'
A review for indica10￿ of impairn)ent 1% out dl ¢4ch r¢FK)rting dat¢. with rhe recoveTable amount beitlg
estimaied where such JndiLdior% exi%t. Where Ihe L￿yIn¥ value ¢xLrr(14 the recoi'erdble (itnouni. Ihe it5sei is
impaireii aLLoTdingly. Prior itnpitirrnenis are dlso reviewed for ros5ible reversal at Lach reponing ddle.
For the purrMJses of IMp￿[Ment te%ting, when il 14 ni)l Fxi%4ible lo eslitnate the reroveTiible aTnouni of an individu&l
&&sel, an ¢4titnate 1% tnade of Ihe recoverable amount of the cabh-generaiing unit 10 which the a5hei telongs. The
cL4h-geneTdling unit is the SJlliilles1 identifiable group of a5se15 thai include5 Ihe assd and generdies cash inflows
thai largely independent ol the ca%h infli)w% ITVtn oiher or gTVUP% ()f J%s¢15.
Cyovernment grunts
Goven)Tnelll grdllL% are recogni8ed ai the fair value of the &%%et received or reeeivable. Grant% we not r¢Logni%ed
until the￿ is reasonable as¥urance ihar Ihe charity will comply with (he condirions allachillg 10 thern and the grants
will bc received.
Where Ihe grani d￿5 not inipose specified future ￿rfUmidnLe-rel￿ttil Lundilion% the reLipienl, il 1% reLogniied in
inwrne when the grani proce£d5 are received or receivable. Where the grani d(*s irnpose specified furure
perforinance-relaied Londiiions un ihe reLipieni. il IS reLvgnihed in illLume unly when the perfumidnce-reldied
condiiion5 have been rnei. Where sranis receiTred are prior io satislyii)b￿ the revenue reLO8niliOrt criteria. they are
cognised ds d liability.

Waterfront Gallery
Company Llmlted by Guarantee
Notes lo Ihe Financlal Statements (contlnL￿dj
Year ended 28 February 2023
Ac¢ountlllg pollck5 Ironliffrmdl
Flnancknl instrurnents
A fin4lnLi(Il a%Nei or ￿ tinJnLial liability is recognised only when ihe vniily beromc.¥ a party io the contraLlual
provi%ion.% ()f th¢ in4irutneni.
Ba%iL findnLial iniiruinertl% ￿ initially r¢Lc)g7ni%¢d itl the atn()uni receivdble ()r payable inLluiitnb? reldied
Iran%aLlion iosls. unlL%I IhL 4rr4nbLmeDI Ic)n%¢ilUl¢% u findnLing irun%aLlion. where li is reco8ni¥ed ai Ihe pr¢seni
value of the future paymenis di%¢0￿niLd Ji a mdrkei ra* of inierest for a liijllilur debi in&truTheni.
Curreni aiiei% £utT¢nl liabiliiie4 ure %ubsequenily mei4ured ai the Ldsh or oiher iongideratstsn expelted Iv i
paid ()r received and n()1 Ji¥iounied.
l)ebl in%inJmeni% dre %ub%¢qu¢nily meu%ured at ilrnortised LQ%l.
l.ImltLYI by xuJThntee
Th¢ ¥ompuny )% litni*d by guarnnlee.
Don¥ilnns Mnd It¥#LI¥s
Unr¢lilriilLd I'(It¥l Fund
2023
Unre%ifiLieLI
Toul Fund
2U22
CJC)ILmmeni grunt inc()rne
10,381
Ulher tr8dlni actlvltle
Unre%triil¥J T¢btMI
Unr¢%lTiLled
TutsLI Fur￿
21122
21123
Gllllery incornc
511.665
511,665
40,5?7
40,527
Costs of uther iradlnkv ycilvltle5
Un￿￿trIctld I'litsl Trund.s
2U23
Unrelilriried
Tutal Fu￿A
2022
Fundraising trading Gdllery c0%15
79,555
79J55
55,910
55,910
Expendlture on chmrltsble #LllvlllLY by fund typE
UnTe%tri¢t¢d Tvtal Pund5
Funds
202J
Unresrricied
T￿al Fur￿5
2022
Support Lus15
766
766
2.546
2.546
10

Waterfront Gallery
Company Limited by Guaranlee
Noles lo the Financial Slatements {rortWN￿*
Year ended 28 Febwary 2023
Expenditure on d￿ritable actiTrities by actiTritTr tv
Total fu￿15
2023 Tool fund 2022
SupFx)rt C0515
Governa[￿¢ Costs
766
2.546
10. Net expenditure
Nei eX￿1)dItI1￿ IS afterrhaIg1n￿(Credi1ingI=
2023
2022
Depreci*Éok of tangib]e fix￿ ass¢ts
11. INdewide￿I exarnination ftts
2023
2022
Fee% payable to the indqrrthnr examÉner for.
Independent exdminaliun (Trf the financial
7511
12. Staff costs
ioral 5thff costs and employee ￿tter115 for tht re[￿]118 ana]y&ed as follows."
2023
2022
Wages and salaries
1,8(X)
The average rount of employees during rk year w&s Nil 12022= 21. The averd8e number of full-iime
equivalenr employees durin8 the year t5 dnalystsl *s follows".
2011
2022
Num￿1 of
No employee received emplovee benefiis of JtM)rt than £fA)IKX) (kni'ng y¢ar12022.. Nill.
13. Trustee remuoer#tiots #od expen4ks
PaymeTrts iotailing £845 1?0?2 . £8?] I were Mr DA Randall (frnsittl for Selv￿¢S pmvidtsl to the Chariry.
Trustees, Expenses
Payments itxdiling £4,484 12072_ £2.7511 wcre io Mr DA Rarth]l (Twusleel ty rEimlwT5e exwJ*s ]r￿￿]red
in C￿l￿g our his duties for ihe Chan"ry.
Paymet)ts iotai]ithg £24 1?011 _ £6A)Ri to Mi TC Arthw ITtusteel to ￿[￿b￿r5e expense% incllrred in
CaTrying out his duiies for Chariry.
11

Waterfront Gallery
Company Limited by Guarantee
Notes to the Flnanclal Statements (coftlln￿￿?
Year ended 28 February 2023
14. Tangible fixed 8&sets
Pldnt and
machinery etc
Totsl
C05t
At l Mar 2022 and 28 Feb 2023
502
502
Depre¢iAtiun
Al l Mar 20??
ch￿¥¢ fi)r the year
At 28 Feb 2023
497
497
498
Carrying amount
At 28 Feb 2023
Ai 28 Feb 2022
15. Debtors
2023
2022
Oiher debtors
43
1.105
Oih¢T debtor5 include an amount of £t)il 12022 £nill due ￿f￿r mutt thdn one yedT.
16. Creditors: amounts faliÉn% due wlthln one y¢Ar
2023
2022
Trdde credjiors
Arcrulls and deferred income
Oiher crediior5
12
2.083
14,.4fi3
680
14.428
16,658
17,108
17. Govtrnment grants
The dmvunts r¢Lo¥nise(l in the flnancial 5taietnenis for governtnenr granis are as follows..
2023
2022
Recognised in incorne froTn donaiions and legacies..
Governrnent grants income
10.381
12

Waterfront Gallery
Company Llmited by Guaranlee
Noles lo Ihe Financial Slatements (cort*N
Year ended 28 Febnmry 2023
18. Analysts oftharitabk fvnds
LnrestTitted fvDds
At l Mar ￿?2
I[￿rne
Ex￿ndItU￿ At 28 Feb 21111
General funds
37.19?
58.665
180,321)
15536
At l Mar?02l
Ex￿[KIl￿re At ?8 Feb 2022
Gertrdl fuJ)d5
44.740
50.4)8
158.4561
37.192
19. ANaly5is ofnet ￿ets between fvThls
Unresrricied
Fund5
Totsl Fund5
2023
Tangible fixed assets
Cutr¢nt &55ets
Crediiots Itss than l year
1¥4et assets
32,1
11&658
116.6581
15.536
15536
Unrestricted
Fund5
Tothi FUt￿lS
2022
TaTh8ible fixed assets
Curreni assers
CteditOT5 les5 than l year
54.?95
117.1081
54,295
117.1081
4et
37.19?
37.192
Related partie5
ND tTrnsacriolls wilh related panits were uThknakeTh such &s are required disclos&J under the Charities SORP
Fmanciai Ryrting Stsndard 10?
13

Waierfronl Gallery
Company Llmlted by Guaranlee
Management Inforniatlon
Year ended 28 February 2023
Tho lollowlng p•ps do nol form p•rt of th• fln*n¢l*l *tstèmonts.
14

Waterfront Gallery
Company Llmlted by Guarantee
Detalled Ststemenl of Flnanclal Acllvltles
Year ended 28 February 2023
2023
2012
Income and tnthbwmtnts
Donxtions and lewit
I"iii%ernmeni grani IrKiirne
10.381
l)ther tr#dln% artlvltles
58.665
To￿1 IncLmse
5&665
So,￿8
.'xptrndlture
('Th%Ls ijf other tr￿1￿% ardvltlts
157.891>1
I¥I.IKMII
IIX.4101
Reni
Lighi heiil
RepJirN Maintena￿¢
In¥urJnLe
()Ih¢T mu¢orltravcl w5ts
Tel¢phi)ne
()Ih¢r i)Ifiie ¢OSL
Depreiiaiiorb
Hank lh￿se
SundTr
11.0761
12,77411
19)21
i.l.IlY.I
14.1146
196.11
1801
19761
1.I4MII
179 4451
155.910
￿.x￿nd11urt un ch#rltoble Mctlvlik
ixg41 and w()re￿$1(￿n8l ftts
17661
17461
17661
(1.5461
Total exprndl¢u
180.1211
158,4561
tt expendliure
12IAVp
17.54111
15