RFLC.ISTERED COMPANY NUMBER: CE005379 (Englanil Walos)
RE4GisfEREDCHARII'Y NUMBER.. 1165516
Report of Ihe'l rustee5 and
Uiixudited TrinAneiAI Statements
for the Ycar Ended 30 September 2020
for
Open Art Foundation
ansteybond
1-2 Charterhouse Mews
London
ECIM6BB

Open Al't Foundatioii
c.ontent$ of the FKnancIAI StAiemeiits
ror the yeAr ended 3D,Sepleml)ev 2020
PAxe
Report of the'l i'ustees
sthtem¢nt of fininci#l Activities
Balance Sheet
Notes to tlie financiHI Statement5
Detgiled StAtement of FinAncial Activities

Open Art Fow￿dItIO￿
Report of Ibe T￿￿te￿5
forthe ye4remded 3fl Stpt¢mber 20211
The try￿tee£ who are also directors of the charity for the puryoses tsf the Comp￿1¢8 Act 2006. pres¢nt their report with
the fi￿ancIal strtements of the ¢hataty for yvr eEJded 30 Septsmber 2020. Th¢ tn￿ttts hav¢ 8thptd the provigiolls
of Acci)utthg and Reporting by Choriti¢s'. Statement of Keeonllnended Pftactic¢ applirthle to ¢h8rities preparing their
ccounts in aceordance with the WIM￿1#1 REPOrting Slwjdard applicable io the UK and Republi¢ ofkniand (FRS 102)
(effe<tiv¢ l Jamtary 2019).
STRUCTIJRE GOVEIITrIANCK AND MANAGEMKNT
Governi￿g document
The ¢harity is ¢mtrolled by its governing a dEcJJ of tsusL aTkd rA)rnStitirt￿ a litnital company, limited by
guaMIt¢4 as d¢fin￿ by the Compani¢s Ad 2006.
R¢glsteThl CoThpany nuwljer
CE005379 (Ensland and Walcs)
Rtgis¢eYed Chality
1165516
R*gls¢¢)Yd olll¢¢
1.2 Chartethomse M¢ws
ECIM 6BB
Trnstees
Ms Z AIDgenhaag
A J Scardino
Compw Seerntsry
Approvd by 0FtsofthebO￿d Oftt￿ on
on its by:

Opeii Al't fioiiiidAtiorJ
StateineiLt of FinAiiti#l Activities
roi. tlie yeai. erjiled JO Sep*einbei' 2020
2020
UnreslTlCted
fund
2019
Toial
fijiids
Nlotes
INCOVI IE AND ENDOWMENTS FROM
Donalions aiid legacies
2,939
EXPE4 N'DI'fuRE ON
Chml'itable artivitits
Expe115es
855
NET INCOMEI{EXPF,NI)ITURE)
2,084
(1,1791
REC0Tr4CILIATION OF FUNDS
Total fund5 broughi foiivai.
17.756
'roi'Ai. i."UNDS CARRIED fioRWARD
19,840
17.756
The notes fom) part of these financial siaten)ents
Page 2

Open ArtFouDdatiD
BHlanc¢Sheet
311 &pt¢mber2020
20
2019
Totsl
Notes
Debtors
Cash atbaDk
20560
18.704
252
21,040
18,956
Arnounts fallin8due withiRon¢yar
(1,200)
(1200)
19,840
17.756
19.840
17.756
19,840
17.756
19,840
17.756
19,840
17.756
The ¢h&ritable COMp￿Y Is ¢ntitled to exemption from &udit under Se<tion 477 of the C(wwies A¢t 2006 for th¢ year
ended 30 Sept￿l￿r202O.
The members have not reqw￿l tjie ¢I)mp￿Y to obtain 8n audit of its fi￿nCial Statem￿ for the year ended
30 Septsmtw2020 io a¢cord8ncewtth Section476 ofthe Compavias Art2006.
Thetrustees 8¢knowledgetheirrtsp¢KJstt>iliii&%for
(a)
uriThg that the charitable company keq￿ acc0t￿ling rttords that L¥m)ply with Stulons 386 and 387 of the
Companies ALt2006 and
(b) pTepariD8 finarLCi41 statanats whith give a and )%ir vtew of thc of alhits of thc ¢ompany as
at the end of eo¢h financial yw and of its s￿￿1￿S or dcficit for each financial year in artoYdan(x with th¢
rcquiretnents of Sr£ti<>ns 394 aTMI 395 and which otherwise Comply wilh th¢ requir¢ments of the Corn￿1¢$ Act
2006 rela1tn8tofitw￿I￿I ststetn&rt& so fir&8appli(¥bl¢ to th¢ clwitsbleu)mwany.
financial *ateM￿ hwe been pret￿ed in accordwKe with the provisiots applicable to charitable companies
biertto the small com￿te$ ryme.
The firtaTKipl 5t&ternEnL% wero wmved by thB Board of TnL9tees olld thrised i&
and were sigll￿¥￿ itsbdjolf ty.

Open Art Found%tion
Nfjtes to the FinanciAI Stittineijts
foi. tlie yeAI' en(leil 30 Septeinbei. 2020
ACCOUN'I'ING POLICIES
Bx.%l$ of i)rep&i'ing tli¢ financiAI stAtemeiits
Thc financial statement5 of ihe Lharthlable coinpany? which 15 a public benefit cntity under FRS 101 have bee
prepa￿d in acLordanLe willi tlie Cliaitties SORP IrK.% 102) 'Accounting aiid Reiiorting by Charities.. Siaiement
of Recommended PractiGe applicablc to chariti¢S Prepai'iiig thcir accoiiiits in ablordance willi ihe Finaiicial
Repoitsllg Slaiidard applicablc in the UK 8nd Rcpiibli¢ of Irclaiid (FRS 102) (eff¢ciive l Januaiy 20191,,
Fijjancial Repoiting Standard 102 'The Financial Reporting Standard applicable in the UK aiid Republic of
Ireland, and the C.ompanits Act 2006. The fil￿n¢[al siaieiiients have been piepared under Ihc historical Cost
convention.
Ineome
All in¢ome is rccvgnised in the Siatemenl of Financial Arlivities once thc chai'ity has cntitlement to the funds. it
is probable that the inconie will be reLeived and the amount can bc measured reliably.
Exp¢nditure
Liabilities are recognisEd as expcnditurc as soon &8 there is a legal or c0115truciive obligation Commilting the
¢harily to tliat ¢xptnditiire. it 15 ijrobable that a transfer of econO￿lL benefits will be requii'ed in settlement and
the arnount of the obligition can bc measured reliably. Expenditure is accuunied for on ali accruals basis and ha5
becn classified under hcadings that agErcgTate &ll ¢ost related io the eategoiy. Wliere costs cannot be directly
attributed ti) particular headings tliey have been allocated 10 activities on a basis consisteiit with the usc of
T8%ation
The charity is exempt from ¢orporation lax on its ¢haritable activities.
Fuiid accounting
Unrestricted funds Can be u5cd in R¢¢ordance with the ¢haritsble obj¢Ltives at the discretion of the t1115tee5.
Resli'icted funds Can only bc used for particulaT restricted purposes wiihitt the objects of the charity. Restrictions
arise when specified by the donor or wh¢n funds are raised for pariicular restricted piirposes.
Further explanation of the t)ature and purpose of each fund is included in the notes to thc financial statements.
TRUSTEES, REMUNERATION ANI) BEIYb.TrITS
There were no tru5t¢es' remuncration or other bcnefils for the year ended 30 Septembei. 2020 nor for the year
ended 30 Septemher 2019.
Trustees txp¢n.8es
There were no tnjstees, expenses paid for the year ended .30 Septembcr 2020 nor for the year ended
30 September 2019.
COMPARA'fivES FOR'I'HE STA'I'L4 MTr:NT OF FlIYANC.IAL ACTIVITIES
un￿stTIcted
fund
EXPLNDITURE ON
ChAI'it*ble activitles
Expcnst5
1.179
NET INCOIMEI(FXPENDI'TUR V.)
11,179)
Page 4
contiiiued...

Oiieij Ail FuLLn(IAlÉon
Notes to the Tr'iiJHiici￿1 St*tements- conliniicil
roi. the yeRI' ¢f]cled 30.SepteinlJci' 2020
COMPARATIVLS FOR'I'IIE sfATCI MTr,M' or rENAINCIAL AcfiviTIES- eontinued
Unirstricted
RCI CO]YCILIATION OF FUNDS
Total funds brought foi'ward
18,935
TOTAL FUNDS CARRlb.D FORWARD
17,756
DEBTORS.. AINIOUNTS FALLING DUE WITHIN ONE YEAR
2020
2019
Open Art Productions
20,560
18,704
CREDITORS: AMOUN'rs riALI.ING DUF. WITHIli ONF. YEAR
2020
2019
A¢GnJed cxpensc5
1,200
1,200
MOVEMEN[ ITr4 FUNDS
Net
movement
n funds
At
1.10.19
At
30.9.2Q
Uni'¢5ti'icted fund5
General fiiiid
17,756
2,084
19,840
'r(yrAL FUNDS
17,756
2,084
19,840
Net tnovement in funds, inGludrd in the above are as follows..
Incoming
resources
Resources
expended
Mov¢ni¢nt
itt funds
Unrestricted funds
Gcneral fund
2,939
(8551
2.084
TOTAL FUNDS
2,939
{855}
2,084
Pa8e 5
continued...

Open Ait Foiiodgtion
Notes to th¢ f4in&itcilll Statemi'nl$- coijtiniieil
roL- tlie yeni. ended 30 S¢pteiJibei' 2020
MOVLI MF.NT IN b'UND8- coiitinued
C.ompRratiYe$ fiji. niovement in funds
At
movement
At
30.9.19
uri)￿St1.1Cted furtds
General fiiiid
18,935
17,756
TiyfAL FUNDS
18.935
11,179)
17.756
CompaEBiive net movement in filnds, included in the Abov¢ are as follows..
Incomiiig
resoutt¢s
ResoLirces
expeiided
Movement
in fiind%
ljnitsti'icted fund$
(icncral fiind
T(yfAL FUNDS
(1,179)
{1,179)
A ¢urr¢nt year 12 Inonths and prior year 12 month5 combin¢d position is as follow5..
Net
moveinertt
in funds
At
At
30.9.20
Ullrebtricted fund5
Gene]al fu51d
18.935
905
19,840
T(yfAL FUNDS
18,935
905
19,840
A current year 12 months and pi'jOT year 12 montlis cornbined net movement in funds. included in the aly)ve I￿r
as follows=
Incoming
resources
Resour￿$
expended
Movement
in funds
Unrestricttd fund5
General fiind
2,939
12.034)
905
TOTAL FUNDS
2,939
12,034)
905
Page 6
wntinued...

OpeTk Art JlouiidAtio
Notes to the Fiiidincial Stalenieiits- cot)tinEieil
ror the yefir en<leil 30 Septembei. 2020
RELITII D PARTY DISCLOSUREI S
There were no related party ITartsactions for the yeai. ended 30 Scptcmbcr 2020.
Page 7

Open Art Foiliidxtio
for the year eTriled 30 Sept¢mbei' 2020
2020
2019
INCOIME AND ENDOWMENTS
Donatiuns legacies
Other incorne
2,939
Total liitomillg resources
2,939
EXPENDI'I'URE
Support Costs
Finxrtce
Postage and stationeiy
Bank ¢harge5
78
78
129
78
IluDi#n vesoiirce
Softwai'e lic¢n¢e%
126
501
GovernAiice eosts
Accouniancy fee5
600
600
Total Tesources expended
855
1,179
Net irEcomellexpenditUT¢)
2.084
This page does not form part of the statutory financial statCTn¢nts
Page 8