REGISTERED COMPANY NUMBER: 07565394 (England and Wales)
REGISTERED CHARITY NUMBER: 1146226
REPORT OF THE TRUSTEES AND
FINANCIAL STATEMENTS FOR THE YEAR ENDED 31 MARCH 2025
FOR
THEATR GWAUN COMMUIYITY TRUST
(A COMPANY LIMITED BY GUARANTEE)
William Marshall & Co
Financial Accountants
Park View House
RopLwalk
Fishguard
Pembrokeshire
SA65 9BT

THEATR GWAUN COMMUNITY TRUST
CONTEP4TS OF THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 21)25
Page
Report of the Trustees
Independent Examiner's Report
Stalement of Financial ActiTrities
Statement of Financi￿1 Position
Notes to the Flnanrl41 Sla¢ernents

THEATR GIVAUN COMMIINITY TRUST (REGJSTERED NUMBER: 07565394)
REPORT OF THE TRUSTEES
FOR I'HL YEAR ENDED 31 MARCH 2025
The Iruslees who are also directors of ihe charity for the purwses of Ilie Companies Act £006, present their report with the finaiicial
btulcmunt4 of thL Lliurit). t-or thu ycar cndud 31 MuTLh 2025. Thc truslLL% havL udoptcd tlic provisions uf ALLouiiling RLportin¥ by
Charilies.. Sialemenl of Recommended Practice applicable 10 charities preparing their a¢coun¢g in accordance with the Financial
Reporting Standard applicable in the UK and RepLibliL of Ireland (FRS 102) (effective l JaIiuary 2019).
OBJECTIVES ALYD ACTIVITIES
()bjectives and aims
The objects ofilie chariiy are..
The advaiiceinent of public educatioii in the arts including draima, theatre, music, daiice and film.
ThL pruillotion uf Ilic art% and in partlLLilar but not cxLILi%ivcly thc art of film.
To prornote for the bei)efit of the inhabilanls of Fishguard, Pembroke5hire, and the surrounding area the provision of facilities for
recreation or other leisure tinie occupation of iiidividiialts who have need of such facilitie% by reasoii ot their youth, agFe, iiifirniity or
disablement. fii)ancial l)ardship or social and economic circumstances or for Ille public al large in Ilie inieresls of Sobial welfare and
with Ilie objLLI of improving thL Londition of lifc ol. Ihc said iiihabilanls.
Volunteers
Tlie Iru4t operates with the as4i%tdnce of a leum of volunteers.and the support ot" it.4 &%sociute company, The Friend% ot"Thedlr Gwdun
cic.
STRUCTURE, GOVERNANCE AND MANAGEMENT
Governlng doeun)eiit
Tlie charity 14 controlled by il% governing document. d deed ot. Iru?it, aiid con.4lilute% d limited company. limited by guarantee, <LS
defined by tlie Companies Act 2006.
REFERENCE AND ADMI]YISTRATIVE DETAILS
Reglstered Company number
7565394 (En¥l&lld dnd Wale4)
Registered Charit.v number
1146226
Reg15tered ufflL'e
Theatr Gwaun
West Street
Fi5hguard
Pernbrokeshire
SA65 9AD
Trustees
H W Jones (resigTned 31.10.2024}
Mrs P L Morgan Re.lired
Dr N P Tlioma4 Retired Profe.%%or
Ms B R Giacci Relired Civil Servant
S A Coton Informatioti Systems Consultant
M Ponsford Retired (appointed 28.10.2Q241
Ms C Y willi￿115 (appoiiileLI 20.(1.2025)
Page I

THEATR GIVAUN COMMIINITY TRUST (REGJSTERED NUMBER: 07565394)
REPORT OF THE TRUSTEES
FOR I'HL YEAR ENDED 31 MARCH 2025
REFERENCE AND ADMINISTRATIVE DET AILS
Independent Examiner
C W F Mur&hJll FFA
William Marshall & Co
Financial Accouniants
Park View House
Ropewalk
'ishguurd
PeTnbrokeshire
SA65 YBT
This report has been prepared in accordance willi the special provisions of Parl 15 of the Companies Act 2006 relatiiiR io small
L'ompuniL.%.
Approved by order of the board of trustees on 29 December 2025 and signed on ils behalf by:
Dr N P Thoma% - Tru.4tee
Page 2

INDEPENDENT EXAIWINER'S REPORT TO THE TRUSTEES OF
THEATRGWAUN COMMUNITI TRUST
Independent examiner's report to the trustees of Theatr Gwaun Community Trust ('the Companv,)
I report to the Lharity trustees on my examination of the atitiounts of the Company for the year ended 31 March 2025.
Responsibilities and basis of report
As thc eht)rit>'s trustLL4 of ihL Compaiiy (and also its dirL¥tor% for thc purpotsL4 of Lvnip#ny luwl you arc rcspon4iblL fur thu
preparation of the accounts in accordance witli tli¢ requirements of the Companies Act 2006 ('Ihe 2000 Acl'}.
Haviii&v satistied Inyselt, that the accounts ot the Company are not required lo be audited uiider Part 16 of the 2006 Act and are
eligible for independent examinalion, I report in respecl of my exaininalion of your Lliarity's acbounls as carried out under Section
145 ot thL LharitiL% ALI 2U I I I'IIIL 2U I I ALt')- In Larrying out tlly L'xaininulion I huvL followLd IhL LlircLtions givLn by Ihc charity
Commission uiider Section 145{51 (b) of the 201 l Act.
Independent exarniner'5 Stglement
I have completed Iny examination. I confirn] that no Inalters have come to iny attention in connection with Ilie examination xivinR me
L'au%c lo bLIiLwL':
accounting records were not kept in respect of the Company as required by Section 386 of the 2006 Act; or
the accountb do not accord with those record5. OT
the ac¢oun18 do nol comply with the accounting requirements of Section 796 of the ?006 Acl other Ihaii any requireineni Ihal
thc aLLounrs givc a truL and t.air viLw whicli is not a rnattLr Lonsidcrcd as part of an indLpcndLnt cxamination; or
tlie accounts liave nol been prepared in ac¥ordance with Ilie metljods and principles ol. the Siateinent ol. Recoinmended
Practice for accounting and reporting by charities (applicable to cliai'ities preparing their accounts in accordance willi tlie
Financial Reportingy Stdiidard dpplicable in the UK and Republic ot Ireland (FRS 102)).
I hdvL no conLLrns and have eorne aLross no other n)atlLrs in LonncLILOli Willi thL cxamiiiation lo whiLh fltlcntioii sholild bL drnwii in
this r¢port in ord¢r to enable a prop¢r und¢rslanding ot. the accounts to b¢ r¢a¢h¢d.
C. W F Marshall FFA
The Institute of Finaiicial Accouniants
William Murshall & Co
Financial Accountants
Park Viem, House
Ropewalk
Fishguard
Pernbroke%hire
SA65 9BT
29 Deceniber ?025
PagFe 3

THEATR GWAUN COMMUNITY TRUST
STATEMELNT OF FINANCIAL ACTIVITIES
FOR I'HL YEAR ENDED 31 MARCH 2025
2025
Total
tunds
2024
Total
funds
rLSlutcd
Unrestricted
fund
Restricted
fund
Noles
INCOME AND ENDOWMENfs FROIII
Doiialions and legacies
88,656
88,656
87,864
L)tl)er trading activities
Other inLome
Tolal
118,373
983
208 012
I1¥,373
9113
208.012
112 l)95
1,704
202,561
EXPENDITURE ON
Rai4iiibF tunds
155,804
155,1104
104,222
Ch*rit#ble *ctivities
Abigail's fund awards
1.250
1,250
1,250
Other
Total
46.212
203 266
20.1266
193 122
NET INCOME
Traiisfers bet￿ten funds
Iyet movement in funds
4,746
4,746
9,441
16
12,496
(7,750)
4,746
9,441
RECONCALIATIOLN OF FUNDS
Total fiincl% brolighr fnrward
5S,444
TOTAL FUNDS CARRIED FORWARD
The notes form part of these financial sl&iemen¢s
Page 4

THEATR GIVAUN COMMIINITY TRUST (REGJSTERED NUMBER: 07565394)
STA TEMENT OF FINANCIAL POSITIOIY
31 MARCH 2025
2025
Total
tunds
2024
Total
funds
rLSlutcd
Unrestricted
fund
Restricted
fund
Noles
FIXED ASSETS
Tan￿ble asse15
12
.IlJ84
31,384
.37,687
CUAiREN'I' A5SL'I'S
DebiLirs
Cash al bank and in hand
13
7,375
7,.175
12,807
fi7,040
67,040
44,783
CREDITORS
Ainount8 tallingi due within one year
14
(21,679)
(21,679)
(14,585)
NET CURRENT ASSETS
TOTAL ASSETS LESS CURRENT
LIABILITIES
76,745
76.745
67,885
CREDITORS
Amounts falling due after more than one year
(4,114)
(4,114)
NET ASSETS
FUNDS
Llnreslricled funds..
General fund
Resli'icled funds..
Abi¥uil's Ai1.% Aw4ird Fund
TOTAL FUNDS
16
72,631
60,135
The chariiable companv is enlilled to exempiion from audit under Section 477 of the Companies Act 2006 for the year ended 31
Marlh 20?5.
The members liave not required the company to obtain an audit ot" ils financial statements for the year ended 31 March 2025 in
accordance with Seclioii 476 of the Coinpanie5 Act :. 006.
The Irusl¢es a¢knowl¢dge their responsibilities for
(a)
ensurin&F that the chariLdble Company keeps accountin&y records that ¢oinply with Section$ 38() and 387 ot. the Companies Act
2006 and
PILPdriiig finaiiLidl %latLincnt.% which gii'L a truL and fair viLw ut tliL %latc uf iiffair% of thL LharitdblL Lotnpany at IliL Lnd of
each financial year and of ils surplus or deficit for each financial year in accordance with the requireinents of Sections .194
and 395 and which othetwise comply with the requiremenis of the Companies Aci 2006 relatiiig to finaiiLial staiemenis, so
far as appli¢able to the charitable ¢k?IMpllny.
Ib)
The notes form part of these financial sl&iemen¢s
Page 5
continued..-

THEATR GIVAUN COMMIINITY TRUST (REGJSTERED NUMBER: 07565394)
STATEMENT OF FINANCIAL POSITION - eontinued
31 MARCH 2025
These finanLi81 statements have been prepared in accordance with the provisions applicable lo charitable Lompanies subject lo the
small companies regitlle.
The fjnancial slateinents were approi'ed the Board of Truslees and aulhorised for issue on 29 December 2025 and were signed oil
its behalf by-
Dr N P Thomas - Trustee
P L Morgai) - Trustee
B R GiaLci Trustcc
S A Coloii - Trustee
The notes form part of these financial sl&iemen¢s
Page 6

THEATR GWAUN COMMUNITY TRUST
P40TES TO THE FINANCI.4L STATEMEINTS
FOR THE YEAR ENDED 31 MARLH 2025
ACCOUNTING POLICIES
Basis of preparing the finanei#l tytatements
The financial slaienieiils of tlie chariiable company, which is a public benefil eniily under FRS 102, have been prepatEd iii
accordanLe with the Charities SORP (FRS 102) 'Accounting and Reporting bv Charities.. Sialernent of Recommended
Practice applicable to charities preparinbF their accounT5 in accordance with the Financial Reporting Standard applicable in the
UK and Republic of Ireland (FRS 102} (effectiiie l January 2019),, Financial Reporting Standard 102 'The Financial
KLpuning Slanddrd appliLablL in thL' UK dnd RLpubliL of IrLland' and IhL LonipuniL% Act 20U6. 1.hc tinanLial sthtLmLnt
have been prepai'ed under the hisLorical cosl convenlion.
Incorne
All incorne is recoAnised in the Siateinenl of Financial AclivLties once ihe chariiy lias entitlement lo ihe funds, il is probable
that th= inLome will be reLeivcd und thc dmounl Lan bc mLd%urcd rLliably.
Expendlture
LiLlbil ities are recogTnised as expeiiditure as soon tliere is a legyal OT constrLiCtive obligvation cominittingy the charity to that
exi)endi(ure, il is probable thai a tran.sfer of ecoiiomic benefits will be required iii seiileinenl aiid the amoiii)l of the obligation
can bc mcasurcd rLliably. ExpcndilurL is dLcountcd for on an aLcruals basis and has bccn Llassified undcr hcadings that
aggregate all cost relaled to the Lalegoiy. Wliere costs cannot be directly allribuled to particular headings tliey have been
Ilocaled to Ilclivilies on a basis Lonsibienl witli tlie use ol resources.
Gi-an15 offered subject lo conditions which have not been Inei al Ihe year end dale are noled as a cominilmenl bul not accrued
YAS Lxpcnditurc.
Tanglble fixed assets
Depreciation 1% provided <11 the tollowing annual riJle.% in order to write off eacli over it4 e4timated u%eful life,
Plaiil aiid rnachinery
Computer equipmeni
00/0 on redu¢ingy balance
)30/th on cosi
Taxation
The Lharily is exempt from corporation tax on ils charitable aLlivities.
Fund accountlng
Uni'eslriLied fundt> cun be used in uLLordanLe with the Lharilable objeL'iives ut the ditr>Lreiion ot Ihe irusiee8.
Restricted fund& can only be used for particular restricted purposes M'iihin the objeLls of the charity. Restrictions arise when
specitied by the doiior or when funds are rais¢d lor particular restricted purposes.
DONATIONS AND LEGACIES
2025
as restated
Donations
Grant
34,603
27,626
87.864
Page 7
continued..-

THEATR GWAUN COMMUNITY TRUST
NOTES TO THE FINANCIAL STATEMENTS - continued
FOR I'HL YEAR ENDED 31 MARCH 2025
DONATIONS.4ND LEGACIES- continued
CJrunts rclcivcd, inLludcQ in thu abtsvL, ttrL follow's-.
2025
2024
as reslaled
Uther &Trants
OTHER TRADING ACTIVITIES
2025
2024
as reslatd
Fundrnising evenls
Social lolt¢ries
6,1137
840
1,175
705
54,915
9,420
27,S79
2,274
1.954
5,289
4,483
SatLllilc scrccnin¥s
Live ￿rrOrnia￿bes
Booking r¢¢eipis
Adverlisiiig
Meinbersliip fee%
Hire of Theatr
Support services
17.956
22,625
2,648
118373
RAISING FIINDS
RAi5ing donations and legacie5
2025
2U24
as resialed
Support cos15
Olher trading ictivities
2025
2024
as reslaled
Siatl costs
Film rintal & tr4n.qport
Perforniaiice fees
Manabieinent fee
Technical fees
Booking services & lickeling system
27,300
37,233
25,480
3U.610
26.359
2,042
5,(KlO
6.484
Page 8
continued..-

THEATR GWAUN COMMUNITY TRUST
NOTES TO THE FINANCIAL STATEMENTS - continued
FOR I'HL YEAR ENDED 31 MARCH 2025
RAISING FUNDS- continued
Investment management costs
2025
2024
as reslatd
Property repairs
Agoregate amounts
155 804
CHARITABLE ACTIVITIES COSTS
CTrant
funding of
{see note
Abigail's fund awards
GRAL¥TS PAYABLE
2025
2024
as reslaled
Abigail's fund awards
SUPPORT COSTS
Iiiformation
lechiiolob'y
Governance
Finance
Other
Tnlal
Raiging donations and
leg¢i¢ies
Other re%ource% expended
47818
32.912
47,418
39.9fi9
124
124
IYET INCOME/{EXPEP4DITURE)
Net iiicomel(expendilure) is stated after charging/(crediling}:
2025
2024
as restated
Depre¢ialion - owned assels
Other uperdling led%es
6,303
4,350
Page 9
continued..-

THEATR GWAUN COMMUNITY TRUST
NOTES TO THE FINANCIAL STATEMENTS - continued
FOR I'HL YEAR ENDED 31 MARCH 2025
TRUSTEES, REMUNERATION AND BENEFITS
Thurc wurc trustcc%' rLinuncrbtion or othLr bLncfil4 for thc ycttr cndLd 31 Marvh 20?5 nor tor thL yLur LndLd 31 Nqtsrch
2024.
Trustees, expenses
Tl)ere were no Iruslees, expenses paid foy Ihe year ended 31 Marcl) 2025 nor for the year ended I l March 2024,
io.
STAFF COSTS
2025
2024
as reslaled
Wagwes &iid salarie5
Oihei. pension costs
72,685
63,S33
738
64.571
The alerage nionthly nuiiiber of employees duriT]g the year was as follom's..
2025
2024
<L% res1(Iled
Cineina and support staff
10
No eniployees received emoluments in excess of £60.000,
PRIOR YEAR ADJUSTMENT
ThL original solar paiicl insiallalion in 2022 has bicn rcclassifiLd from revL'nuc L.KpcnditurL lo D fixid assct.[NLI adjuslmcni
£16,999 less depreciation £4,534 - £12.455]
12.
TANGIBLE FIXED ASSETS
The TrLisI operated Thealr GwaLin, Fishguard, in acLordaiice with the objects of the TrLISI under a lease froiii Pembrokeshire
Couiily Council until 17 Deceinber 2018. The Iheatre land and buildiiiiTS were transferred lo the Trus1 on that date by the
Council by Ineans of a fom]al C.omrnunity Asset Transfer. No costs were incurred by the TrLisI in relation to the transfer. A
vuluution ot the lund and building% wus not dVdil(Ible the time ot. this reporl.
P¥AEe l O
continued..-

THEATR GWAUN COMMUNITY TRUST
NOTES TO THE FINANCIAL STATEMENTS - continued
FOR I'HL YEAR ENDED 31 MARCH 2025
13.
DEBTORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
21125
2024
rLslutcd
Trade debtors
Other debtors
Friends of Thealr Gwaun CIC.
283
1,721
3,783
6,066
14.
CREDITORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
21125
2024
IL% re%taled
Tr4de creditors
VAT
16,478
6,958
77
Other creditors
5.201
CREDITORS: AMOUNTS FALLING DUE AFTER MORE THAIY ONE YEAR
21125
2024
as reslaled
Youtli thealer provision
16.
MOVEMENT IIY FUNDS
Nel
Inovenieiit
in funds
Transfers
helween
funds
Ai
Ai 1.4.24
Unre5trlcied funds
GLncral fund
60,135
4,746
7,750
72,631
Restrleted funds
Abigail's Arts A ward Fund
7,750
(7,750)
TOTAL FUNDS
P¥AEe I I
continued..-

THEATR GWAUN COMMUNITY TRUST
NOTES TO THE FINANCIAL STATEMENTS - continued
FOR I'HL YEAR ENDED 31 MARCH 2025
16.
MOVEMENT IN FUNDS - continued
Nct movcmLnt in funds, iiiLludcd in thu ab()N'L arL fL)IIvws'.
Incoming
resources
Resources
expended
Movement
in fruniLg
Unrestricted funds
General fund
208,012
(201,266)
4,746
TOTAL FUNDS
208 012
20.1266)
Comparatlves for movement In tunds
Prior
yLar
adjuslinent
Net
movLmcnl
in funds
At
31.3.24
At 1.4.23
UnrestriLted funds
General fund
36.988
12,456
10.691
60,135
Restricted funds
Abigail's Ai'ls Award Fund
9,000
11,250)
7.750
TOTAL FULNDS
12.456
Comparaiive nei moveineni in funds, included in Ilie above are as follows..
Incoining
resources
Resources
expeiided
Movement
iii fLiiids
Unre5trlcted funds
GLnLrJl fund
202.563
(191,872)
10,691
Restricted funds
Abisvail'.5 Art¥ A ward Fund
(1,250)
{1,250)
TOTAL FUNDS
202 f63
193 122)
P¥AEe 12
continued..-

THEATR GWAUN COMMUNITY TRUST
NOTES TO THE FINANCIAL STATEMENTS - continued
FOR I'HL YEAR ENDED 31 MARCH 2025
17.
RELATED PARTY DISCLOSURES
Thuru wcrc nv rblutcxl p#rty trun.%aLtionq for Ihc yc&r cmdcd 31 March 2025.
Page 13

This document was delivered using electronic communications and authenticated in
accordance with thc registrar's rulcs relating to elcctronic form, authentication and
manner of delivery under section 1072 of the Companies Act 2006.