Report of the DireGlovs and
UnavdiEed Finonciol St¢￿ements for the Year Ended 31 Muy 2023
for
Incubation Art5 Lid

In¢v6alion Arts Lld
Conlenls of Ihe Winan¢ial Slulement5
tor ihe Yetti Ended 31 Muy 2023
Page
C•mp4ny Inf•rmution
Rep•rt of the D4ve¢t•i¥
Inc*Me Stqtemenl
Balance Sheel
Slatemenl ¢*f ChanBes in Eqvity
Notes lo the Yjnuneidl SttttèM¥nls
Chgrtered AcGovntunls' Report
Dd4iled qnd Expenditvre Arrovnl$

In¢ubatlon Art$ Ltd
Company Inf•tmali•n
foT the Y¢av Ended 31 M4y 2023
DIRECTORS:
M5 J A Hamtrr
Mr J P T¢¢sdul¢
SECRETARY:
Ms J A Horner
REGISTERED OFFICE..
12 Haldene Rood
Macclesfield
Che5hir¢
SKI 1 8WE
REfj15TERED NUMBER-.
08053266 (England ond W•lesl
ACCOUNTANTS:
Harts knrnited
Westminster House
l O We5hnin5ter Rood
MucclÈsfJ¢ld
Cheshire
SKIO IBX
Page I

Incuh¢rtEts￿ Art5 Ltd
R*port gf the DiredoTS
fvT the Year End•d 31 M•y 2023
Th> dlr¢ctors prese￿ rhelr rèport with thè fiionciol statèments of the compttny for Th• y•ar ￿d¢d 31 Mgy 2023.
Chority Incorporation Organisution Nvmber- 1164275
PRINCIPAL Acrivrry
The prirKipal adivity ot the c4Mpttny In thè yeer md2r feylew WQS thar of prom￿1n9 creativity in ond for the benefil of
I￿￿1 comrnunitie
DIRECTORS
directors shown below hove held Offi￿ during the thole cf the period from l JunÈ 2021 to the date of thls report.
M5 J A Hamer
Mr J P Teusdelc
Th15 fepDrt hos been Prepared in accordunce wlth the provlslons of Port 15 01 Compohies Ad 2006 relating i# sm¢ll
companie
ON BEHALF OF THE BOARD:
Ms J A H#meY - Dlr*ctor
21 F?bruary 2024
Page 2

Incubation Arts Ltd
Incomfy Ststemenl
for lh* Y•41 End•d 31 May 2023
31.5.23
Notes
TURNOVER
072
314
Adrninistrcstiye expensÈs
12,220
14A3AI
11 A481
14,2201
Other operating
1,500
4,000
OPERATING DEFICIT
DEFICIT BEFORE TAXATION
1481
12201
T¥¥ on d2*1th
DEFICIT FOR THE FINANCIAL YEAR
48
12201
The note5 form purt of these finondal ￿￿ter￿entS
Page 3

Incuba+sDn Arts Ltd {R•s15terod 080532661
31 Moy 2023
315.23
31.5.22
Note5
FIXED ASSETS
Inr¢Jn9ible as52ts
Tunglbl¢ c55et5
74
99
74
99
CURRENT ASSETS
Cush ai btsnk
T7.97Q
19,È73
CREDITORS
Arnovnts fallin9 duty Within one yeaT
121,8171
23.0971
NET CURRENT UABILITIES
3,8471
13.824
TOTAL ASSETS LESS CURRÈNT LIABIUTIES
73
3125
RESERVES
Incom? ohd expenditure acccunt
137731
37251
3J25
The compuny is en*ltlÈd to exemption frow oudit wder S¢cli¢D 477 of th¢ Compttnles Act 2006 for the y*or *rJd•d
31 Mgy 2023.
The members have not r•quired the company lo obtain an audit of its firtatteiol st4lery4¢nts for the yeur ended
31 May 2Q23 in u£wrd¢n¢e Wirh SoEllon 476 of the Companies Act 2006.
The directors acknowledge thelr responsibilities for=
en5ufiDg thai the company keeps acccuntillg records which cornply with Sttllons 386 #nd 387 of th¢ Companie5
Act 2006 attd
Ibl preparing finuncial *utements whkh 9TvÈ tt tru2 and lolr vlttw of Ihe state of affoirs of the compuny us ai the end
of eL7th finonriul yeur and of its wrplus or deficir for each financial yeur in uccordance ￿th th? requirem2nts of
Seclion5 394 and 395 and whltth tsthÈrwlse cofflply With the fequlrements of the Cornpanies Ad 2006 relvting to
finonciol stat?rnent5. so far 0$ appli¢able tg th¢ company.
The financial Statements h¢¥e b¢¢n prep¥red in a¢¢ordun¢e with the provisigns opplicuble to companies svbjett to the
5moll cornpanie5 regime.
Th¢ *lnon¢ial sraiemen15 were approved by the Board of Directrors ond uuthori5ed for 155vtr ¢n 21 F•￿￿￿Ky 2024 and
were signed on its behttlf by-
Ms J A H￿ther. Dirertor
ThE hDt¢5 fonn port of th¢s¢ fittonslol st¢tements
Page 4

Intubthion Arts Lfd
Slatenienl of Chqnyes in Èqvity
f¢r lh* Y•tyi Ended 31 May 2023
Retoitted
eornings
Total
eqvity
Balance at l June 2021
13,S051
13AOS1
¢hdhge5 ity equity
Total cornprehen5ive income
22Ql
220
Baluntè 31 Moy 2022
13725
131251
Changes rn ¢gvity
Total cornprehenslve incom*
48
148
Balance 4t 31 May 2023
13,7731
3773
The notes form port of ihese financial ￿￿terne￿ts
Page 5

IncubaFion Arts Lid
Notes lo the Finumciul SfttlemÈnts
Ihe Ypor Ended 31 May 2023
STATUTORY INFORMATION
In¢ybotl¢n Arts Ltd is a private companyi liTritcd by guuranlee, re9iStored ID Engl¢nd and Wales. The company s
r2gi5teTed nurnber und registered office address can be found on the Comp<tny lthftsrmutlon page.
ACCOUNTING PQU¢IE5
Ba$1$ •1 pr•p4rlny th• $lul•m•hls
Thtrse finan￿01 hgve prepured ID awordancE With Flnonclal keporliD9 Standurd 102 "The
Financic*l Reporting Standord appllcable In the UK Republic of ITeland" including th* pr¢v5%ions of 5ettlon l A
'Smull EnTille5 the Companie5 2006. The financial 5tutements have been prepared under the historicol
Tvrnover
Turnover is measured ut the falr value o* the con51derotion received or receiv¢bl• n¢t of VAT and trade
dlsw¥nt>
Whtrn the outcome of a tran50cliDn can be estimated reliably. tumtsv•r t¥om s•r4i¢*s is recognlsed by reterencts
to the stage of completion ba10nc¢ sheer dtttr.
Stage tsl completion 15 measured by ref*r¢nc¢ to
finoll$#ti¢n #f work compleled.
Where ¢utcome cannot be measured reliably¥ bJmoveT is recognised only t• th• •xt*nt 01 the expenses
recogrlised that are recoyerttble.
Intangible ussels
Intongible us5et5 are initi(slly mec5ured at cost. After initial réctsgn1li¢)￿ Intongibl8 ossels ar* m*a5ured ai c¢sI
les5 uny uccwnv4￿?d amortisatlon and ony accvrnulated Impoi¥rnpDTr Io55tr5.
Cornpvtèr s¢ftweJre is btsing #morti$èd tvenly ove¥ Tts estirnuted ¥$eful lifÈ of thrp¢ year
Ttttt9ible fÈxed ¥sse+s
Depred#rian 15 provided at the followitvJ annuol rates in order lo write Off •a¢h 4ss*t over Its estlmated u5efvl
Offi<e equipmenl
25&h on reducing balance
Hire PU￿hase and leasing eommttm•nls
Rentals paid under opera*iTrg leases ure tharged tts surplus or deficit on a str(sight l¢ne btssis •v*r th¢ p#riod of
the leo5e.
EMPLOYEES AND DIRECTORS
Th# #veroge ￿￿rnber of employees during the year wcss 212022 21.
OPEf¢ATING DEFICIT
The operttting de+icti is Stated after churglng=
31.5.23
31.5.22
DepreLYQtI(*- ovmed a55et5
25
33
TAXATION
Analysls ¢*f the tax Ehorge
No li<JbS1ily to UK wrporalivTr tax arose for the yeor end?d 31 2023 nor for the year end8d
31 Moy 2022.
Page 6
¢ontinv¢d...

In¢ubatioTh Arts Lid
Notes to the Ftnunciol Stutements- continued
for the ETrded 31 Miry 2023
INTANGIBLE FIXED A55ETS
Computer
software
COST
At l June 2022
and 31 Muy 2023
1,050
AMORTISATION
At l June 2L)22
nd 31 May 2023
NET BOOK VALUE
At 31 2C*23
At 31 May 202
TANGIBLE FIXED ASSETS
o*tl¢e
equipment
cosr
At l Jun• 2022
and 31 May 2023
861
DEPRECIATION
At l June 2022
Charge for year
762
25
At 31 Muy 2023
787
NET BOOK VALUE
At 31 May 2023
74
At 31 May 2022
99
CREDITORS.. AMOUNTS FALLING DUE WITHIN QNE YEAR
31.5.23
31.5.22
Other credittyrs
21,817
23,697
Page 7

Charteved A£¢ovntrunls' Rgport lo the Board of DiredoT5
on the Unaudiled Financial Stalemenls ot
In¢ubukion Atts L
In order tD U5515k you tD fulfil yovr dvtie$ vnder the Compunles 2006, w¢ hg¥¢ prepared for your approyitl the
flnttncÈal 51utemen*5 of lTrcubatlon Arts Ltd f•r th# ¥nd¢d 31 M¢y 2023 whlth comprise the Incom& Sietern&ntr.
BiJlaK¢ Sheei. Siotemcni of Changes in Equity und the related notes from the cornpany 5 accoLknTing rtrc•rd8 ¥nd from
informotion and explunutl¥n$ yw hov* 9lVel¥ US.
A5 a pructlslng m¢mb*r firm pf th• Inslilute of Chartered Accoun*unts in Englund ond Wo1•$ IICAEWI, w¢ or¢ sublect to
its ethical and other pro*essioncI requir¢rneDts whith ure detoilFd Within the ICAEW'S regulatlons and guidance at
http://www.1¢o*w.¢<Nn/•ft/momb*rship/regul4tions-stttndttrds-and-guid#nto.
Thls r¢port l¥ Modt s•l&ly to th• Bourd of Dlretttsrs of IneLJbarftsn Arts Ltd, 0$ u bodyi In accordance wilh our rtrms o+
ngogement. Our work has been undertuken golely to prepare for ¥our approvol the financial 5tatem¢ni¥ of In<ubat5on
Art5 Ltd ynd th¢>sE motter5 thct we have ogreed to State to th* 8oyrd of ttriredor5 of Incuhutlon Arts itd, ¢15 e btsdy¥
in this report in (sccordanc& With ICAEW Technical R¢lEose 07116AAF. To the fullest extent permitTred by l¢w, w¢ do not
ept or uuume responsibility to anyone other than Incubation Arts Ltd and its Boord of Dir¢thrs, ¢$ g bodyff éor cvr
work or for thi5 f¢pDrt.
It is yeur duty to ensure thttt Ihwbution Arts Ltd ha5 kEpt adequate eEcauniiMg Yecords und to prepare sfalutory 1kn4ndal
slatements th•t 9iv¢ ¥ irut und fuir Yiow of the a$i•ts. li￿bIliti¥%, fino#¢iol p•yili¢n ond loss of Incubation kns Ltd. You
consider th¥t IIKUb￿1on Art5 Ltd 15 ex¢mpt from the statutory audit requircmcrt for y*#r.
W• hav8 not been instructed to curry outr un audit or ¢5 review of the finaiKiol #f Irwbotl•n Art5 Ltd. For thi5
r¢g59n. we haye not verifi?d accuracy or completeness of the accounting records or jnform¢tSon and explcn(rtions
you hove given to us und we do not, thefefof@, expr¢55 any opinlon èn the statutory financial 5tatemehl
Harts Llmited
Weslminster House
l O Westmlnster Road
Ma¢desfield
Chc5hir•
SKIO IBX
21 Febru¢Jry 2024
This pcge does nct fovm part of the 5totutory financial *themenls
Page 8

1Th¢vI￿li￿n Arts Limiled
DelttilÈd Inr•me Expvoditvpe
f•r ihe Y￿r Ended 31 Mqy 2023
31.5.23
21ts.22
soles
70
Olher income
Sundry receipts
1,500
4.000
1,500
4,070
Expendilute
Rent
Compul•f C0515
Sundry expenses
A¢¢•uni¢m¢y
782
297
302
82
3.354
355
548
1.523
4,257
1231
11871
Dèprtclutlo
Office equipment
25
33
NET DEFICIT
48
12201
Th15 pvge does Dvt fvwrn purl of the 5trgtvtory finanriol stotement5
Page 9

InGvbation Arts Ltd
In<ubull¢)n Art5 Limiled - Cio
D*tttil•d In¢t)me and Exp*ndllur* AtÉ•uhi
f•r the Year Ended 31 Moy 2023
31.5.23
31.5.22
Tutnover
Donatlon5
672
244
ExpenditVF8
Computer costs
Sundry expenses
Accaurtltshcy
6Q
600
100
000
172
72
72
Bank churges
72
72
NET SURPLUS
Thls pa9e doe5 not form part of the statutory financl(715tgternpnts
Pa9e 10