Company registraEÈon ftumber.. 07076892
Charity ￿gIstratIon numE¢r. 1135011
Community Recording Studio
(A company limited by guaranttt)
Ar￿Ul1 Rcport and Financial Statcmcnts
for the Year Ended 30 November 2022
Community Accountin8 Pl
Units l & 2 North West
41 Talbol Street
Nottingham
NGI 5GL
•ACB3CLXK•
3110W2023
COMPANIES HCMJSE
A15

Community Recording Studio
Contents
Referen¢¢ and Administrative Detakls
Trustres. Report
2to4
Independent Examinerfs Rep)rt
Statement of Finan¢ial Activities
6t07
Balance Sheet
Note5 to the Financial Statemcnt5
9t020

ComThunity Recording Studio
Reference and Administrative Details
Trusttt5
JoHnn¢ Spick
Nornian Oley
Georgia Moore
Daniel James
Charity Registration Number
1135011
Comp4ny R¢ys¢r•tion Number
07076892
Registered Office
Russell Youth Centre
Lowdham Street
Notttngham
NG3 2DP
Ind¢p¢ndent Ey•rnin¢r
John OBrien. employee of
Community Accouniing Pl￿%
UniL5 1 & 2 North West
41 Talbot Street
Nottingham
NGI 5GL
Page I

Community Recording Siudio
TThstees' Report
The trustre5, are drfectors for ihe purFM)s¢s of comparry law. pr¢seni the annual repcdt together with the
financial swements of the charitable company for the year ended 30 Novcrnkr 2022.
Trnsttts And officers
The trusiees and officers servin8 during the ye4r and since the ye4r cnd vKrc a5 follows:
Tnjstees..
Joanne Spi¢k
David Sinclair (resigned 20 December 2021)
Nornian Oley
Georgia Moorc
Danid James (apw)inted I l April 2022)
Nathre ofzoverning docuMr&71
The charity is a company limited by guarantee and re8isiered Charity. It is operated under the tules of its
memorandum and articles of association dated 14th NoY¢mber 2009. li has no share capital and the liability of
each member in ihe event of winding-up is limited to £10.
Recrnilment tzmd oppoin1n￿KÉ 0ftru￿e
New triJs¢ees att r¢¢Ni¢ed by ensurirtg va¢an¢i¢s art advertised Ind promoted locally through a range of
m¢(hod5 in¢luding social m¢dio, voluthtsty se¢tor supp)rt agencies and through supporting young people wl¥)
are beneficiaries LO be¢ome In￿1¢¢$. Tnstees ¢an b¢ w-OPLed during th¢ y¢ar by th¢ Misiee board or voted on
by members at the AGM.
Objectivcs and *cliviti
Objecls ond
Our aim is to create positive change for young people in the local community. We encourage yth]ng PEople in
St. Ann'5 and 5urroundin8 areLs of Nottingharn to develop their skills and abilitie5 by ccrfreating programs of
Tnu5iG. SPOrt5 and oiher creative activities. We encourage and inspire them to partÉcipate in society as
indepcndent, mature. resw)nsible adults.
CRS is a creative and swrts faciltty staffed by skilled th)rkers and volwLtcus. It includcs a r¢rordJng studio, Iti
addition to other arts-b¥ed provision efthan¢¢d with supm guidaDC¢ ar￿ hclp for the ({￿Unty based in the
St Ann's and surrounding areas ofNottingham.
CRS achievt5 its objective5 by providing a range of aciivilies and s¢rvitts ty kn¢fit young people. these
comprise..
• infornial music and arts programmrs"
• creative projects includirtg show¢ases and perforrnanrrf"
' sports programmes
' youn8 mentorship pro
• outreach Community work.
* entry to Work, through WOFk expene*K< sup]y)rt in Vol￿t￿rIng and training in a wide variety of g¢nre5;
' support and guidan¢e.
Pagc 2

Community Recording Studio
Trustees, Report
Public beneJ71
The ttwstees confimi ihat they have ¢ompli¢d with the requircments of scrtion 17 of the CharitlC5 Act 2011 to
have due regard io the publi¢ benefii guidance published by thc Charity Cornmission for England and Wales.
CRS supw)rt5 young people in developing skills in arw such &5 rn￿51¢, medi4 p¢rforniing, photography,
recording, fashion, drama and filming; ther¢by developing their ￿sonal and social skills. and achieving their
aspLrations and fvifilling their potential_
AChieVeme￿ts and perfornlance
The rJnan¢l￿ year 2022 stsrted with sc*ne wniinu¢d un¢¢ffainty due to the ongoing impaci of the Cov[￿19
pandemic, but our team responded with agility, pragmatism and dedi¢aiitin io thc ¢hall¢nge5 broughi about by
the re￿pEnIng of the facilities at Lowdham Stre¢t in St. Ann'5. Nottingham. The cnthu5ia5m and efftctivenes5
with which we movcd to offering support to thc community both in the form of c0vIr￿Safe oUtd￿r and
digitally supportcd. rcmote scssi¢Jns is testament to our creativity and dcdication. Towards the end of the year.
we were able to re￿Pen our faciliiic5 and coThtinue to offer a safe space in whith young people can develop and
learn.
Financial review
lft the financial year. CRS re[￿rt¢d an i￿rne of £208,73012021.. £221238) Th¢s¢ fvnds enabled us io provide
the youThg people in our ¢ommunity with mentorin& SUPWpQ iuilion and the opportunity to takc part i
perfonnanc¢s for the g¢ft¢ral public at whi¢h w¢ showewd or tsl¢nts. We also ettjoyed opening our doors to
families, supporters and in May 2022 and l¢ttirtg our yourtg people display their t￿r￿ts and positivity.
W¢ continued to invesi in th¢ establishm¢ni of more. robust governan¢¢. Safeguarding and sllpporf Stru¢trJres in
gnisance of the fa¢t thai CRS is larger and more ￿MpleX than 1¢ was thirty yeats ago.
The deficit of income over expenditsire was £22.815. which together with the fvnds brought forwards of
£130.155 resulted in reserves carried forvdrds of £107.340. This consisted of unrestricted funds of £12.820 and
restricted funds of £94,520, represented by a bank balance of £47,845 and other net assets of £59,495.
Policy on reserK
CRS policy is to maintain sufficient level of reservcs ro enablt normal opcratin8 activities to continue for a
period of up io three ￿nthS should * shortfall in income (Kcur and to take account of potential risks Ind
contin8encie5 that may arise from time to lime.
Pl*ns for futurt periods
All￿ •mdkey objeclivuforlulureperiodF
Community Rccordin8 Studio acquirtd the faciliiie5 formerly known as R￿1 Youth Club in 2020. We are
planning some exciting refijrbishments and expansion of our sports facilities in 2023 and 2024, and we plath to
continue the diversification of our service provision with rnor¢ s￿rtS and 5pe¢ifi¢a]ly. football progtamm¢s.
Pag¢ 3

CommuDity Recording Studio
Trnstees, Report
Ststement of Responsibilities
The trustees (who are also the dircctors of Community Recording Swdto ftir the purposes of¢ompany lawl art
rcsponsible for preparing thc trustce5' and the financial ststements in a¢¢ordan¢e wth applicable law and
United Kingdorn Accounting Standards (United Kingdom Gtnerally A¢c¢pied A¢¢ounting Prncticc). including
FRS 102 'Thc Financial Reportin8 Standard applicable in the UK and Republi¢ of Ireland" Thr rcwrt and
accounts have becn prepared in accordance with the provisions in the Companic5 Ad 2006 ￿lating to small
companies.
Company law requires the Mistees to preparc financial 5taternents for each flnancial year. Under company law
the truuees must not approve the financial st8tements unlcss thcy are 5ati5fJed that they give a tsue and fair view
of the state of affairs of th¢ chaTitable company and of the ineomin8 resources and application of resourcrs.
rncluding its income and expendiiurc. of the charitsble company f￿ penod. In preparing ihese financial
atements. Ihe tsustees are required to..
selecl suitable accounting policies and apply them ¢￿Siste￿iEy'
observe the methods and principles in th¢ Chariues SORP"
make judgements and esiimat¢s that arc rca50nablc and PTudenL
state whether applicablc accounting standards. eompri5in8 FRS 102 have been followed, subjrct to any
material departure5 disclosed and explained in the financial Statemet￿. and
prepare the financial swements on the going concern basis unless it is inaFvfopTiate to presume that (he
charitable company will continue irt I￿1￿¢$S.
Th¢ irn$t¢es ar¢ responsLbl¢ for keeping proper accounting records that can diK105e with reasonable ac¢ura¢y at
any time the fJThancial posi(ion of the ¢haritable company and tnablc them to ensure that the financial 5taiements
comply with the Companies Act 2006. Th¢y are also resp)nsibl¢ for 5afcguardivg the a55ets of the charitable
¢ompaoy ar)d hen¢e for taking reasonable slep5 for the prevention and ddection of fraud and oth¢r irregularities.
The trustCC5 are rc5ponsiblt for the maintenan¢¢ and iniegTity of thc ￿TpD￿¢e and finanrial information
includcd on the charitable company's websiie. Legisl•ion governing the preparation and dissemination of
financial Statements may differ from legislation in other jurKsdJ¢¢ioD5.
Small Corn￿￿7¢5 provi51011 Stxtemem
This rep)rt has b¢¢n pr¢parEd in acconknce with the Small companies regime under the Compani¢s Ac¢ 2006.
The annual report was approved by the twstees of the ¢harity on 30 August 2023 and Signed on it>behalf by..
Joanne Spick
rntsiee
Page 4

Community Rewrding Studio
Independent Examiner's Report to the trnstees of Community Reeording Studio ('the
Company,)
Independent ex•miner's report to the trnsttt5 of Community Recording Stsdio Cthe Company.)
report to the charity trustets on my exarn1nati￿ of the accounts of the cornpany for the year etmled 30
November 2022.
Responslbilities hsis of re￿rt
As the charity's tntstees of the Company (and also its di¥euoTS for the pUry￿ of comparly law) you are
resp)nsible for the prepar*ion of the accounts in accordan¢¢ with the rCquirrm￿ts of the Cornpanies Act 2006
{'the 2006 AGt').
Having satisfied myself that the accounts of the Cornpany are not required ￿ be audited under Part 16 of the
2006 Act and are eligible for independtnt exarninaiion. I repjrt in respect of my examinatton of your charity's
accounts as out under section 145 of the Charities Act 2011 ('the 2011 Act'l. In canying out my
exarniThation I have followcd th¢ Diredion5 given by the Charity Commission uThder section 145{SXb} of the
2011 Act.
Indtyendent t￿MI￿er,$ st*ttm¢tyt
I hve ¢ompleied my examination. l ¢4)nfimi th* no mattets have come to my attention in connection with the
examination giving me cause to believe that in any rnateriai respcrL"
accountin8 record5 werc not kept in re5PCCt of the Company a5 required by section 386 of thc 2006 Act.. or
2. the a¢counis do not a¢cord with thos¢ r¢wrds,' or
3. the a¢¢ounts do nor Comply with the accouniing r¢quirements of seaion 396 of the 21K16 A¢4 other than any
requiremeni ihat the a¢counts giv¢ a 'triLe aod faiv view whi¢b is Th)t a matter considered as part of an
independent examination- or
4. the accounts have not been prepared in accofdance with the methods and principles of the Ststement of
Rtcommtnded Practict for accountin8 and re￿rtIng by charirit5 lapplicable io charitits preparin8 their
accounts in accordance with the Financial Reportltl8 Standard appltcable in the UK atld Republie of Ireland
IFRS 102)]
I have no conctrns and have come 8cr0$5 no ￿ler matters in connecti1￿ with the exarnination to which attention
should be drawn in this rep￿ in ordcrto enabk a PTvpef ulthr￿dIng of the accounts to be reaihEd.
John O'Brien MSC. FAIA. FCCA. FCIE, employee of Community Accountin8 Plus
Fellow of the AsKxiation of Charity Independent Examiners
Units l & 2 North West
41 TallxTri Street
Nottingham
NGI 5GL
30 August 2023
Page S

Community Recording Studio
Statement ofFinaneial Activilies for the Year Ended 30 November 2022
nclnding Ineome and Expenditure Account and Statement of Total Reeognised GaiDS
nd Losses)
Total
2022
Totsl
2(121
Unrtstrirted . Restricted
Note
In¢omt xtsd EDdowments frorn:
Donations and legacie5
Charitablt activitie5
5.350
,497
5,350
203.380
56.967
165,27T
201.88i
rotal income
6.847
201.883
208.730
222,238
Expenditure on:
Charitsble acttviti¢s
67.691
163,8S4)
(231,5451
284,133
rotsl expenditure
Nei lexpendiwreyincome
67,691
163.854
231.545
284.133
60.844
22,815
61.895
Net movcmcnt in funds
(60,844)
38.029
{22,815)
(61.895)
Reconciliation of funds
Total fun(Ls brought forward
73,664
56.491
130.155
192,050
Total funds carried fonydrd
12
12.820
94.520
107,340
130,155
All of the charity's activities derive frnm continuing Operatity￿ during the ai¥)ve fwo periiMI5.
The fvnds breakdoiw for th¢ period is thown in note 12.
The Tto*s on pa8e5 9 to 20 fowm an intt8ral part of these finat)¢ial swemuts.
Page 6

Community Recording Studio
Statement of Financial Activities for the Year Ended 30 November 2022
(Including Ineome and Expenditure Account and Statement of Total Recognised Gains
and Losses)
Th¢se ar¢ the figures for the previows aeeounting ptriod And *re induded for compArgtive purp)se5
R¢siri¢t¢d
Tffj#l
runds
2021
lunds
Ineome and EndowTheAts frorn:
Donaiions and lega¢ies
Charitsble aciiviiies
56,967
1.490
56,967
165,271
163,781
rotal In￿M¢
58,457
163,781
222,238
Exp¢nditure 0￿.
Charitable activities
150.950)
(233.183)
1284.133)
rotsl expendinire
150.950)
(233,183
1284.133)
Net incornellexpcnditurel
rrdn5fer5 between fi]r
7.507
2,188
(69.402)
12.188
(61.895)
Net movement in funds
9,695
(71.590)
{61.895)
Rtconciliation of funds
rotal fvnds brought fonward
63,969
128,081
192.050
Toial fi]nds carried forward .
12
73,664 .
56,491
130.155
Thc notes on pa8es 9 to 20 fonn an intt8ral part of these financial ststcments.
Page 7

Community Recording Studio
(Registration number: 07076892)
Balance Sheet ￿ at 30 November 2022
2f122
2021
Note
Fixed Assets
Tangible &ssets
45,900
Currthi assets
Debtors
Cash at bank and in hand
30554
47,845
19,527
79.872
78,399
99,399
Creditors: AM0￿￿ts fg11int due wiihin oTre yur
15,144
Net current a55ets
66.031
84,255
Net assets
107.340
130,155
Funds ofth¢ tharity:
Restrlded intome funds
Restri¢tcd funds
12
94.520
56,491
Unrestricted ineorne
Unrestricted funds
12.820
73.664
Tot41 fund5
12
107.340
130,155
For the finan¢ial year ending 30 November 2022 the charity vrds entitled to exemption from audit under section
477 of the Companies A¢t 2006 relaiing to sma]I companie5.
Director5, restKJnsibiliiies'.
The members have not required the charity to obtain an audii of its accowits for the year in question in
ac¢ordan¢¢ wth section 476. and
Th¢ dircctOf5 acknowledge their r¢stKJnsibiliii¢s for ¢ompfying with the requirements of the Ad wilh respert
to accounting records and the prepaNion of a¢cowits.
Tht5c financial statements have bttth prepared in wtth the S￿la1 provision5 relatin8 to companie5
subject to the small companies regime within Part 15 of th¢ Compani¢s Ad 2(K)6.
The financial statements on pages 6 to 20 were apwoved by th¢ trustees, and authoris¢d for issue on 30 August
2023 and slgned on their behalf by=
Joanne Spi¢k
TNuee
The rK)trs on pages 9 to 20 fonn an inlegral pan of thes¢ finan¢ia] statements.
Page 8

Community Recording Studio
Notes to the Financial Sta¢ements for the Year Ended 30 November 2022
l Accounting polifies
Summ*ry o(5ignifi£ant *ccounting policits and kry accountiDg tstimatts
The principal a¢¢ouniing policies applied in the preparation of these fjnancial statements are set out below.
Thesc polirics have been wnsistcnily applied to all thc y¢ar5 Plf5¢nted. unless otherwise 51ated.
Statement of eomplianee
The financial statements have b¢ert prepared in ac¢ordan¢e wth Accounting and Reporting by ChaTities'.
Sraiement of Recommended Pra¢ii¢e (applicable io chariiies preparing their accounts in accordance wilh the
Financial Reporting Standard applicable in the UK and REpublic of Ireland ffRS 102)) (issued in October 2019)
{Charities SORP IFRS 102)), the Financial Reporting Standard applicable in the UK and Republic of Ireland
IFRS 102) and th¢ COMP￿leS A¢t 2006.
Basis of prtpAration
Community Recording Stjjdio meets the dcfinition of a public bcnEfit cntity under FRS 102. Assets and
liabilitie5 arc initially rccogni5ed at ht5torical c05t or transaction value unlc55 othcM5e stated in the relcvant
accountin8 policy notcs.
Going ¢one¢rn
The financi￿ sta*meTts have been prepared on 8 going concern basik
The trusiees assess whether the use of going ￿ncern is appropriate i.e. whether there are any material
uncertainlics related to events or conditions may cast significant doubt on the ability of the charity to
ontinue as a going Concern. Thc trustccs makc this assessmcnt in re5PCCt of a period of ¢)nc ycar from the dale
of approval of the firwicial statcmcnts.
Exemption from pr¢p*ring • e*sh flow
The charity opted to early adopi Bulletin I published on 2 February 2016 and have therefor¢ no¢ included a cash
flow sratement in these financial sts*ments.
Income and tndoivments
Volun¢ary in¢ome including dOn￿10th$. gift& legacies and grants that provide core fiwding or are of a general
natur¢ is rcrogniscd Wh￿ the rharity has ¢nts¢lerDrnt to thr iD¢4)mc. it is probablr tha¢ th¢ in¢omr will b¢
rcceivcd and thr amount can be Measur￿ with suificicnt rcliability.
Donalions are re¢ognised when the charity has been T￿tIr1ed in WTs1ing of both the amount and settlemeni date.
In the event that a donation is subject to condiEions that require a level of ￿[OrManCe by the charity before the
charity is ¢niitled io ihe fi￿d$, the ill￿Me is d¢ferr¢d artd not recognised witil ¢ither those condition5 are fiLIIy
meL or the ffiJlfilm¢nÉ of thos¢ ¢ondiLkons is wholly within the ¢ontrol of th¢ charity and it is probable that these
Conditions will be fvifilled in the reporting period.
Grants reeelvoble
Grants are re¢ognis¢d when the charity has an et)iiilement ￿ the fiu)ds and any conditions linked ￿ the grnn¢s
have beert met. Wher¢ perfornJan¢c wndiliotjs ore at¢a¢ha to th¢ wt and arc yet to be m¢L the income is
reco8nised as a liability and included on the balance sheet as def￿r¢d income to bc rcleased.

Community Recording Studio
Notes to the Financial StatemeDts for the YeAr Ended 30 November 2022
ExpeDdithre
All expenditure is recognised once thtrr is a legal or constsiKiive obligalion to that expenditure, it is probable
settlemtnl is required ar￿ the amount can be measured teliably. All costs are allocated to the applicable
expenditure heading that aggregate similar costs to thai tategory. Where costs ¢annoi be dJre£tly attribuied to
particular headings they have been allocated on a basis tonsJ5tcnt with the use of resources. with central staff
Costs allocated on the b&sis of time spen4 and deprtciation Charges allocatrd on the portttsn of the a55et'5 Use.
Other supwjrt costs ar¢ allocated b&sed on the spread of stsff costs.
Chariloble adivili¢F
Charithble expenditure comprises those costs incurred by ihe chariry in th¢ d¢liv¢ry of its a¢(ivities at)d serv¥re5
for 11$ beneficiaries. It includts both costs that can be alii)u*d dirtcdy lo swh aaiviries those Costs of an
indire¢i necessary to support them.
Gtsvtrnment grAnt$
Government grants are recognised b&sed on the accrna] Tnodel and are njcasurcd * thc fair value of the &sset
received or reccivable. Grants are classified as ￿lating either io revenue or ￿ assets. Grnnts rtlaling to rcvenue
arc recognised in income over the period in which the rtlattd costs are recognised. Grknts relating to as5cts are
recognised ovcr thc eX￿cted useful life of the &wt. Whtrt part of a Brant relating ¥sei Is defer￿d. it 15
recognised as deferred income.
Taxaliort
The ¢harLty is Considered io pass the tests sel i)ut in Pardgraph I Schedule 6 of the Financc Act 2010 and
Iherefore li meets the definition of a ¢haritsbl¢ ¢otnpany for UK Corporation tL¥ PUTP05C5. Accordingly, the
charity is poientially exempi from tsxatiort In respect of income or capital gain5 rcccivcd within categories
cov¢red by Chap¢er 3 Part I l of ihe Corporation Tax Act 2010 or Scciion 256 of the T￿atiOn of. Chargeable
Gains A¢1 1992, 10 the t￿¢￿1 that such income or gains arc applied exclusivcly to charitable purw5C5.
T4ngiblt fixed assets
Individual fixed &%sets costing £300.00 or mrKe ar¢ iftitially recorded * ¢OSL less any subsequent a¢¢umulated
depreciation and sub5ew]ent accumulated impaimi¢nt losses.
Depreciation and arnortisation
Depreciation is provided on thngible fixed assets so as to write off the c05t or valuation. less any estimated
r¢sidua] value, over their expected usefvl econorni¢ life as follows".
Asset cla59
Computer equipment
Furniwre and equiwllcrtt
Land and buildings
Depretiation rneth￿ nte
33.3% strai8ht lili¢
33.3% straight line
Trade debtors
Trade debiors are amounts due from cv5tomer5 for rner¢handise sold or SCTVICCS puforned in the ordinary
course of business.
Trade debtors arc reco8ni5ed initially ￿ thc transaction price. They are subsequently measured at amortiscd cost
using thc effcctive inttrest method, less provision for impajmem. A pmvision for the impairnient of trade
debtor5 is establrshed when there is objective evideft¢e that the ¢harity will noi be able io ¢olle¢i all amounts due
accordin8 to the original terms of the receivables.
Page 10

Community Recording Stsdio
Notes to the Financial Statements for the Year Ended 30 November 2022
Cash and eash equivxlents
Cash and cash ¢quivalents comprise cash on hand and c211 depDSits, and other shon-iemi highly liquid
it*v¢sttnents th* are readily convertible ￿ a known amount of cash and art subject 10 art Insigtjifjcant risk of
change in valuc.
Trid¢ Creditors
Trade creditors are i)bligations to pay for goods or savices have been wuired the ordinary course of
business from suppliers. Accounts payable are classified as currcnl liabilities if the charity doe5 not have an
uncondiiional ri8ht, at the end of the reporiing period. to defer settlement of the creditor for at le&st twelve
months after th¢ reF<Jrting date. If there is an unconditional ri8ht to defcr settlement for at le&st twelve months
after th¢ reportitjg da*, they are presenied as non-current liabiliiies.
Trade creditor5 arc recogni5ed initially at the transaction pnce and subsequently measured at amortised cost
using th¢ ¢ff¢ctiv¢ in(erest method.
Fund strnrture
Unrestricted incom¢ funds are g¢n¢rni fvnds are available for use ￿ th¢ tsvst¢¢s' dis¢reiion in fiwtherance of
Ihe objectives of the ¢harity-
Restricted income fund5 are those grdnts for use in a pirticular art4 or for spccific purpose5. the use of which is
resthcted ￿ that area or PUTPOS
Pensions and other post ret5remeAt obligation5
The ¢harity operates a defined ¢onthbution p¢nsion s¢hem¢ for employe¢s. Th¢ assets of the s¢heme are held
srpardlcly from those of the tharity. Petsion costs ¢harg¢s in th¢ Ststvnen¢ of Financial Artsvities r￿TEs¢￿t th¢
ontributions payablc by the charity during th¢ y¢ar.
2 lrycom¢ from donxtion$ and legx¢i¢s
Unr¢strid¢d
funds
Total
2022
2021
Donations and legacaes"
Donatiotjs from ¢ompanies. trusts and similar
procceds
Dtsniiions from ￿Mmunity groups
Grants. including capitsl grants.
Governmcnt grdnt5
14,467
SJ50
5,350
42,500
5,350
5,350
56,967
Pa8ell

Community Recording Studio
Noto8 to the Finan¢ial Statements for the Y￿r Ended 30 November 2022
3 Income from ch•ritAble a¢tiviii¢s
Utsrestrieted
futyds
Gttttrnl
Restricted
f￿ndS
Total
2022
Tot*1
2021
201.883
201.883
1,497
163,781
1.490
Fees
.497
1,497
201,883
203,380
165.271
4 Gvdnts & donations
Umrtstri¢ted
IIiD
R¢stridEd
fynd5
Totsl
Boots tharitsble
Childresj in Need
Comic relLef
Kiekstart
Nottingharn City Council
Nottinghamshire Police Crime Commissioner
Reachin8 eommuniu¢s
Youth Must¢
8,943
9,400
8,943
9,400
5,350
18,390
26,361
25,000
46.047
67,742
5J50
18 J90
26 J61
25.000
46,047
67,742
5.350
201,883
207,233
Page 12

Community Recording Siudio
Notes to the Fin2nC121 Ststements for the Year EDded 30 November 2022
5 Expendithre on charitabl¢ a<liviti¢s
Uftrestrieted
General fvTrds Restricted fu￿d$
Tt)tal
2022
Toi*l
2021
Ac¢ountsncy fees
Advertising & prornotional
BaThk char8C5
Consultancy
Depreciation
Hospitality
Insvrances
Legal & professional fees
Office & general admin
Phone costs
1,611
878
878
39
10,945
4,591
178
2,835
2,315
1,962
2.680
42,065
331
37
5,295
4.591
io
2,267
1,860
1.413
2,599
9.502
5.650
25.630
6.130
168
568
455
549
81
32563
184
520
25
2,192
2,495
2.018
Programm¢ costs
Repairs & ren¢wals
Subscription5
Training
Tyavel
Wage￿, NI & pension
Workshops.. Fr¢¢lan¢¢ Maff
Ex-grat12 paymeni
Premises, repairs & maintrTwi¢e
6.965
346
1,301
1.062
599
41)0
233
27.396
30
1.119
425
244
146.286
3.176
118.890
3.146
174.490
32,175
6,000
1,500
16.133
300
9.848
10.012
Sundry expenditurè
67,691
163,854
231,545
284.li3
6 Net Intomingloutgoint re50UTtes
Net outgoing rc50urcc5 for the year include..
2022
2011
Depreciation of fixcd Is￿ts
4.591
6.130
Page 13

Community Recording Studio
Notes to the Financial Statements for the Year Ended 30 November 2022
7 St¥f(c05ts
The a88Te8ate payroll costs a5 follows..
2022
2021
Staff ¢osts during ¢h¢ y¢*r wtr¢:
Wages and salarie5
Social security costs
Pension ￿sts
135.753
8.552
1.981
164.912
6.907
2,671
146.286
174.490
The monthly average numb¢r of persons (including senior management team) employed by the charity during
thc yrar wa5 as follow5..
2022
21121
Average number of employee5
4 (2021- 5) of the atxjve employees particip8t¢d Jn the Defined Contribwion Pension Schemes.
Contributions io the employee pension schemes for the year wtalled £1,981 (2021- £1671).
No employee re£etved emoluments of nJor¢ £60.(KKI during thc yrar.
8 Tangible fixtd ￿ets
L•md •Thd
buildimgs
Furnit¥r¢ *nd
t4￿lpt￿¢Th1
ComwJt¢r
Totsl
Co
Ai l December 2021
40.000
55.274
29,678
124,952
At 30 November 2022
40.000
55.274
29.678
124.952
DepreeiAtion
At I tkcember 2021
Charge for the year
53.042
2,232
26.010
2,359
79.052
4,591
At 30 Novemb¢r 2022
55.274
28J69
83.643
Net book valut
At 30 November 2022
40.000
1,309
41.)09
At 30 November 2021
40.000
2,232
3.668
45,900
Pa8e 14

Commuoity Recording Studio
Notes to the Financial Statements for the Year EDded 30 November 2022
9 Debtor5
2•22
2021
Trade debtors
Prepayments
Other dtbtors
216
30.221
.235
18,292
30.554
19,527
10 Credliors: Amounts falllfvg thit wlihlth otht ye*r
2022
2021
Trdde creditor5
Other taxaiion and social security
Other creditors
Accruals
342
2.Ol7
1,345
1.440
1,544
1.482
12.368
J l An*ty5i5 of net Assets between funds
2022
Total funds
Gthenl
Restrfeted
Tan8ible fixed ￿ets
Current &ssets
Current liabilities
41 J09
{16.121)
(12.368)
41.309
78,399
112,368
94.520
Total net assets
12.820
94.520
107.340
Unre5tTiCted
2021
Total funds
Gelleral
Re5tritted
T￿gible fJx¢d assets
Curreth¢ assets
Current liabilities
45.900
3 1.052
3.288
45,900
99,399
15.144
68,i47
1.856
Totsl nei assets
73.664
56,491
130,155
Page 15

Community Recording Studio
Notes to the Finxneial Ststements for the Year Ended 30 November 2022
12 Fund5
Balance at I
Deetmber
2021
B•lgtt¢¢ gt 30
P4ovemb¢r
2022
In¢oming
r¢wuttt5
Resollrces
¢xpwd
Unr¢strtrted futhds
G¢neral
73,664
6.847
{67.691)
12.820
Restricted funds
Children in Need
Full Effect fund
YEI fiJThJ
Kickstart
We All fund
Oul of Many One People
Community MCS fund
Developing Ski115 fvnd
Sound Mind fund
Sus¢airthility Plon fvnd
Covid 19 fvnd
ESF fithd
Boots
Notts Police Crirnc
Commissioner
9.41KI
(8253)
(3.9621
{30,711)
{18.723}
4.350
{64.430)
(3282)
(2.035)
1.147
7.354
l.316
30.711
18.390
(4.350)
67.742
46.047
335
227
7,015
11.667
6.711
12.050
5.311
1.859
3,539
49,780
9,632
6,630
4.246
17.804)
(4.350)
(823)
(667)
1.036
8,276
8.943
25,0(
{23,0831
1,917
Total reslricttd fun
56,491
201.883
163."854
94.520
Total fund5
130.155
208.730
231.545
107.340
Page 16

Community Recording Studio
Notes to the Fin2ttcial Statements for the Year Ended 30 November 2022
The spccific pur￿$¢$ ftir whi¢h the funds aTe to be applicd are as follows:
Children in Need - funding to delwvcr behaviour w>rkshop5 alongsidc music and video ercative aThJ iethnical
5ki115 for young people living in a disadvantaged arca.
Full Effect fund- Royal Foundation partncrship funding towards the running costs of Full Effect:
YEI fund funding from Nottingham City Council io get young people education. training and
employment.
W¢ All fund - fundin8 frorn Comic Relief to undertake social action MDrk with young people addressing mental
health ISSU￿ through Creative projects-
Community MC's- a proje¢r *rJrkLng with young people using atts and other activities to enable them w address
community issues.
Sustainability Plan fiJnd- Royal Found*ion partnership fvnding iowards developing a susthinable fijtyre for ihe
Covid 19 fvnd - funds received from the [￿ery, Children in Need and Comi¢ Relief for r¢spons¢ kn the Covid
19 pandemic-
ESF fund - the Futhres Group providc the fi￿dIng for our Growh programme which sup￿rts y￿ng peopl¢
aged 16-30 to build their confidence. explore SOTnc aspirations and gY4in ts3nsftTable skills through a range of
creative activities. These include collaboration with a producer io ¢reaie their song. vocal coaching and
recordin8 along with individua] mentoring and supporf with job related a¢tivities-
Ki¢kstart fund - funding from DWP for employmcnt opp)rtunitTres. CRS used this funding for a photography
assisianL 2 x assistant en8Lneers and an admin worker.
i of Mony One People- fi]nding from Youih Music for an album and tour.
Developing Skills fund - funding frorn Postcode Places Trust ￿ deliver a music based training and dEvelopment
-programme that. reduces the impact of ￿vertY by growing.. young people5 cmploymcnt ski115 and gaining
a¢creditation'
Sound Mind- fvndin8 from The Whcatcroft Fund to build cmolional rc5ilicnce and rncntal well being of young
people in Nottingham wlK> have bcen disproportionately affcctcd by the Covid-19 crisi5.
NottLn8hamshire Police & CrimE Commissi¢)ncr- Community 5UPPOrt work
Boots- C¢)Tnrnunity SUPPOrt fvnd
Page 17

Community Recording Studio
Notes to the Financial Stxttments for the Year Ended 30 November 2022
Bai¥•ce 8t
B41*nc¢ *t I
De¢ember
2020
Incoming
rtsource5
Re50urt
¢sp¢nd¢d
November
2021
Tr•nsfers
Unrtstricttd funds
Gener41
General
63,969
58.457
150,9501
2,188
73.664
Restricted
Childr¢n in Need
Full Effe¢t fund
YEI fijnd
Kickstart
We All fijnd
Oui of Maoy One People
Community Mc's fvnd
Developing Ski115 fvnd
Sound Mind fund
Sustsinability Plan fund
Covid 19 fvnd
ESF fvnd
3.800
35.548
4.4
(82￿1)
(24,232)
132,011)
(5.688)
19.002)
(21.768)
{32.451)
{773)
31J81
6.876
4J50
21.995
36,503
12,440
7,1132
430
1853)
335
4.652
227
7,015
11,667
6.711
12.050
5.311
1,859
2,963
17,305
61,344
2,469
(5.255)
{85.586)
7.006
Jl,318
(1.765)
Total restricted fvnds
128081
163,781
233,183
2.188
56.491
Tot*l fund5
92.050
222,238
284.133
130.155
Page 11

Community Retording Stsdio
Notes to the Financial Statements for the Year Ended 30 November 2022
Bal*D¢¢ 8t
3D
r4ovember
2Q21
Balance at J
Deeember
2Q21
IntomiTrg
resou￿¢$
tspended
TT*Tr5fers
Unre$tri¢ted funds
General
G¢ner81
63.969
58.457
(50.950)
2.188
73.664
Resirieted
Children in Nccd
Full Effect fund
YEI fund
Kickstart
We All fimd
Out of Marty Othe People
Communiry Mc's fvnd
Developing Skills fi]nd
Sound Mind fvnd
Sus4inability Plat) thnd
Covid 19 fiLthd
ESF fijnd
3.800
35,548
4.490
(8.290)
124,232)
132,011)
(5.688)
(9,002)
121,768)
(32,451)
(773)
IlJ16
31.581
6.876
4.350
21.995
36,503
12.440
7,832
430
(853)
335
4,652
227
7,015
11,667
6,711
12.050
5,311
2.963
17.305
61 J44
2.469
(5.255)
(85.586)
7.006
31,318
(1,765)
Total r¢stri¢ted fvnds
128,081
163.781
1233.183
12,188
56,491
Total funds
192,050
222,238
284.133
130.155
13 Ftts payable to independent exarniner
Durittg the period, the fees payable {ex¢luding VAD to the ¢hatity'S Indep¢ndeni ¢xamin¢r Community
A¢¢ourtfirtg Plus are ana]ysed as follows".
2022
2021
IndcpcndrDi examinati¢
her financial seNices
1.235
1,926
1200
1,765
3,161
1965
14 Tru5tee5 remuneration tApense5 .
No tn￿te¢s, nor any persons connected with them, hav¢ received any remuneration fmm the Charity during the
No trustccs have rcccived any rcbmburscd cxpcnscs or any other benefits from the charity durin8 the year.
15 Rtlated ￿rtY tr*nsaftions
There were no related party transactions tn the year.
Page 19

Community Reeording Studio
Notes to the Finaneial Statements for the Year Ended 30 November 2022
16 Charity st¥tus
The charity És a company liinited by guardnttt and ronscquentty do¢s not have share ¢apitsl. Ea¢h of the
trustce5 is liable to conthbutt an amount noi exc¢¢dirtg £10 towds thc assets of the ¢hariry in the event of
liguidation.
Page 20