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2024-03-31-accounts

Odd Eyes Theatre

REPORT AND FINANCIAL STATEMENTS

31.03.24

CHARITY REGISTRATION NUMBER 1159836

LMC ACCOUNTING SERVICES 25 MALVERN ROAD HACKNEY LONDON E8 3LP

ODD EYES THEATRE

YEAR ENDED 31st March 2024

LEGAL AND ADMINISTRATIVE INFORMATION

DIRECTORS & TRUSTEES:

DIRECTORS & TRUSTEES:
Diego Trucco Chair
Letizia Mele Treasurer
Flora Herberich
Jennifer Ellis
Sara-Jane Kaba
Dr Yasanji Chamara Ratnaike
Simrun Kaur-Rathore
Kirstin Sillitoe
REGISTERED OFFICE: The Energy Centre
Unit 4
Bowling Green Walk
London
N1 6AL
CHARITY REGISTRATION NUMBER: 1159836
EXAMINERS LMC ACCOUNTING SERVICES
25 MALVERN ROAD
HACKNEY
LONDON
E8 3LP
BANKERS: CAF Bank Ltd
25 Kings Hill
West Malling
Kent
ME19 4JQ

Page 1

Odd Eyes Theatre CIO No: 1159836

Trustees Report

The Trustees present their report together with the financial statements for the year ended 31st March 2024

The accounts have been prepared in accordance with the Charity Commission guidance on the preparation of accounts by Charities with gross incomes of less than £250,000 and comply with the charity's governing document.

Registration

The Charitable Incorporated Organisation (CIO) no. 1159836 was formed on the 7th of January 2015 and is governed by the conditions contained within its constitution.

Structures Governance and Management

The Charity is governed by the model constitution for CIOs with voting members other than its Charity Trustees, provided by the Charity Commission.

Trustees are selected by appointment of the members of the CIO, or co-opted by the Board of Trustees during the year, in which case they are obliged to retire at the AGM

and stand for re-appointment by the members, should they so wish to do so.

Objectives and Activities, Achievements and Performance

The Objects of the CIO are: to advance education for the public benefit by the promotion of the arts, in particular but not exclusively the art of drama.

During the year, the Trustees declare that they have had regard to the guidance issued by the Charity Commission on public benefit.

Programme

2023-24 held a strong focus in strengthening the organisation, expanding the Charity’s board and diversifying the revenue stream whilst continuing to develop artistic and community reach, broadening training and placement opportunities, supporting young people and artists’ career progression beyond the life of the projects undertaken with Odd Eyes Theatre.

Artistic Programme

ON THE LINE

Following the model first tested with #Haters in 2017-2019, the production is in the process of being adapted for screen. This strategy has proven successful in reducing costs whilst enabling our flagship participatory programme Creative Debate to reach larger numbers of audiences, stimulating artistic conversations and social change. On The Line was also developed in response to #Haters.

2023-24 witnessed the intense pre-production activities towards the adaptation. We worked in partnerships with Camden People’s Theatre and Camden Youth Theatre, Hackney-based organisations Immediate Theatre, Hackney Shed and ELATT and secondary schools in East and North London delivering film workshops to prepare the young people to work on set.

Cheyanne Thompson and Emily Johnson, the two young women who originally created the story as part of a Creative Debate programme, were also involved supporting the crowdfunding campaign as ambassadors.

Due to the writer/director’s unforeseen housing emergency, filming dates, originally planned for February, were postponed to April, shifting production dates to the first quarter of 2024-25.

Page 2

Participation

CREATIVE DEBATE

Odd Eyes’ flagship programme Creative Debate continued to reach young people experiencing disadvantage, including asylum seekers and those with Additional Learning Needs, across six London boroughs. Odd Eyes' unique style of workshops and mixedmedia output is designed to increase critical skills, boost confidence, and offer a platform for participants to voice their views on issues that matter to them using social media, film and live performance.

We were able to deliver the programme thanks to our ongoing partnerships with Hackney Shed, ELATT and secondary schools across London, thus reinforcing existing links and promoting Odd Eyes’ unique style in the participatory arts landscape. Moreover, we also engaged with new youth charities and schools. Forming new partnerships with organisations that support vulnerable young women (Ashdon Jazz Academy, Lambeth), young people suffering from isolation (Stuart Low Foundation), refugees and asylum seekers, will allow us to continue to shape this programme according to the experiences of its participants.

Stills from the short film Change, created in collaboration with Hackney Shed and Sutton House Trust

The partnership with ELATT entered its fourth year. Odd Eyes’ programme supported the curriculum of Functional English Skills and Personal and Social Development classes, as well as ESOL. Bespoke projects designed for the college included: the London Slang Project and the British Values project, both of which involved creating social media content by the students, and the Theatre for Language pilot workshop. The latter laid the foundation for a 12-week course taking place in 2024.

Instagram reels on British Values by PSD students.

PLACEMENTS AND LEADERSHIP TRAINING

Placements were at the core of the Charity’s activities this year, offering the chance to young people and participants to develop useful employability skills is central to Odd Eyes Theatre’s mission.

One student from ELATT took a comprehensive year-long placement with Odd Eyes Theatre, gaining insight into all aspects of the organization’s work, including from attending 4 Board meetings where he gained knowledge of governance and production. This placement opportunity was further supported by one-to-one mentoring from Odd Eyes Theatre’s trustee Letizia Mele. 3 new graduates shadowed Creative Debate

Page 2

ODD EYES THEATRE

Independent Examiner's Report on the Accounts

I report on the financial statements for the year ended 31st March 2024 which comprise the Statement of Financial Activities, the Balance Sheet and related notes set out on pages 6 to 8

Respective responsibilities of Trustees and Independent Examiner Charities Act 2011 (the Act)

The charity's trustees consider that an audit is not required for this year under the Charities Act 2011 (the Act)

and that an independent examination is needed.

It is my responsibility to:

Basis of Independent Examiner’s statement

My examination was carried out in accordance with General Directions given by the Charity Commission

An examination includes a review of the accounting records kept by the charity and a comparison of the accounts presented with those records. It also includes consideration of any unusual items or disclosures in the accounts, and seeking explanations from the trustees concerning any such matters.

The procedures undertaken do not provide all the evidence that would be required in an audit, and consequently I do not express an audit opinion on the accounts.

Independent Examiner's statement

In the course of my examination, no matter has come to my attention

  1. which gives me reasonable cause to believe that in, any material respect, the trustees have not met the requirements to ensure that:

proper accounting records are kept (in accordance with section 130 of the Act); and

accounts are prepared which agree with the accounting records and comply with the accounting requirements of the Act; or

  1. to which, in my opinion, attention should be drawn in order to enable a proper understanding of the accounts to be reached.

LMC Accounting Services Independant Examiner

24thJune 2024

25 Malvern Road London E8 3LP

Page 3

ODD EYES THEATRE

Statement of Financial Activities (incorporating an Income and Expenditure Account) For the Year Ended 31st March 2024

Notes
Income from:
2
75692
0
6488
8972
Total incoming resources
Resources expended
Charitable Activity Costs
3
3852
Total resources expended
Total funds brought forward
Transfers between funds
-48504
Total Funds carried forward
Restricted
Funds
Income
Capital
£
£
- Grants and donations
- Earned Income
-Miscellaneous Income
91152
0
3852
0
21037
59833
0
Net income/(expenditure)
for the year
87300
0
Notes
Income from:
2
75692
0
6488
8972
Total incoming resources
Resources expended
Charitable Activity Costs
3
3852
Total resources expended
Total funds brought forward
Transfers between funds
-48504
Total Funds carried forward
Restricted
Funds
Income
Capital
£
£
- Grants and donations
- Earned Income
-Miscellaneous Income
91152
0
3852
0
21037
59833
0
Net income/(expenditure)
for the year
87300
0
Total
Funds
31.03.23

0
89
75781
6488
149
9121
66713
0
48742
52594
73535
73535
0
48504
0
0
33037
Unrestricted
Total
Funds
Funds
Designate
d
General31.03.24
£
£
£
58720
7703
291

0
238
91390

0
48742
52594
12000
0
33037
39859

12000
0
71833

0
-48504
38796
-6822
3852
0
-48504
21037
87300
0
59833
0

Page 4

31.03.24 31.03.24
31.03.23
Total
FIXED ASSETS
Tangible assets 0
CURRENT ASSETS
Debtors
Cash at bank and in hand 72377 33632
Totalcurrentassets 72377 33632
CREDITORS-AMOUNTS FALLINGDUE
WITHINONEYEAR 544 595
NETCURRENTASSETS 71833 33037
TOTALASSETS LESSCURRENT
LIABILITIES 71833 33037
The Funds of the Charity
Unrestricted Funds
- General
- Designated 12000 12000
Capital Funds
Restricted Funds 59833 21037
71833 33037
A p p ro v e d b y th e T ru s tes o n 1 2 " S u r . to a h d s i g n e d o n th ei r b e h a lf b y :
12th Me JULY

ODD EYES THEATRE

Notes to the Financial Statements For the Year Ended 31st March 2024

1 ACCOUNTING POLICIES

The financial statements have been prepared in accordance with applicable accounting standards and the Charities Statement of Recognised Practice (2005).

(a) Accounting convention

The financial statements are prepared under the historical cost convention and in accordance with the Financial Reporting Standards for Smaller Entities (effective April 2008).

(b) Tangible Fixed Assets

Assets costing £100 and over are depreciated over its expected useful life, as follows:

Office and Production equipment 25% straight line method Furniture and Fixtures 25% straight line method

(c) Incoming Resources

Income derived from co-production agreements, performance fees and other sales is credited to the Statement of Financial Affairs (SOFA) in the period to which it relates on the basis of entitlement - excluding value added tax. Grants and donations represent amounts from individuals, corporations, trusts and other funding bodies and are credited to the SOFA in the year in which they are receivable.

(d) Resources expended

All expenditure is accounted for on an accruals basis.

Costs are allocated to a category in the SOFA either because such costs are directly incurred in relation to such category, or because they are support costs in respect of which an apportionment has been made between the SOFA categories.

(e) Taxation

The Organisation as a registered charity ( number1159836 ) is exempt from taxation on most investment income insofar as it is applied for charitable purposes. The Organisation is also exempt from taxation on capital gains.

Page 6

ODD EYES THEATRE

Notes to the Financial Statements For the Year Ended 31st March 2024

2 INCOME

GRANTS AND DONATIONS

OTL COMMUNITY/ GENERAL
DIGITAL CD TOTAL
ARTS COUNCIL 26992
29996
56988 GRANT
SOUTH HPC 2099 TRUST & FOUNDATIONS
IRONMONGERS FOUNDATION 4350 6449 TRUST & FOUNDATIONS
AWARDS FOR ALL 9963 9963 GRANT
PAYPAL 38
BENEVITY CHARITABLE GIVING 330 30
AMAZON 18
GIVE AS YOU LIVE 21
EBAY 20
457
DONATIONS
TOTAL GRANTS AND DONATIONS 73857
EARNED INCOME
ELATT 5313 5313
HACKNEY SHED 1175 1175
TOTAL EARNED INCOME 6488
MISCELLANEOUS INCOME
BANK INTEREST 113
113
HMRC TTR 8344 8344
COMPOSE REFUND 12 12
A SOBOWALE REFUND 37
37
CROWDFUNDER UK 616 616
TOTAL MISCELLANEOUS INCOME 9121

Page 7

ODD EYES THEATRE

Notes to the Financial Statements For the Year Ended 31st March 2024

3 RESOURCES EXPENDED

ARTISTIC/ **COMMUNITY/ ** GENERAL
OTL FILM CD TOTAL
PENSION 1780
1780
SALARY 24634
24634
HMRC 6012
6012
ADMIN FEE 1614
1614
SUBSCRIPTIONS 876
876
BANK FEE 60
60
ASSISTANT PRODUCER FEE 11827
11827
FINANCE FEE 637
637
VENUE HIRE 73 533
606
CONSULTANTS FEE 350
350
INSURANCE 338
338
MEETING 3 82

84
SET 41 41
TRAVEL 27
66
94
CATERING 114 114
OUTREACH 59 59
EQUIPMENT/SCRIPT/PROPS 956
453
1408
FACILITATOR 1778 1778
PRINTING 5 5
FUNDRAISING 224 224
MARKETING 9 9
ACTOR 45 45
TOTAL 1334 2518 48742 52594

Page 8