minack
4£
PORTHCURNO CORNWALL
The Minack Theatre Trust CIO
(Registered Charity Nupnber 1166799)
Trustees, Report and Financial Statemeiits
31 Decembei" 2022
The Mirb3ck Theaii-e Trust CIO
A Ch31'ill£ ble Incorpoi-ared Oi ganis3tion wirli a i-egisLei-ed c1171-ity No.. 1166799
RegisLered in Englaiid & Wales. PriiicipRI Owice.. Minic1( Tliel¢ ti e, Poi'ihcurno. PenzRnce, Coriiwall. TRI 9 6IU

## 

||||Page|
|---|---|---|---|
|Trustees'<br>report||||
|Reference|and administrative<br>details|||
|Structure,|governance<br>and management|||
|Objectives|and activities|||
|Review of|achievements|and public benefit for the year|IO|
|Financial<br>review and results for the year|||l5|
|Reserves<br>policy|||l7|
|Investment|policy||17|
|Plans for future years|||18|
|Statement|ofTrustees'|responsibilities|20|
|Statement|of disclosure|to auditor|21|
|Auditors'<br>report|||22|
|Consolidated<br>statement<br>of financial<br>activities|||26|
|Charity statement|of financial|activities|27|
|Consolidated<br>and|charity<br>balance sheets||28|
|Consolidated<br>and|charity<br>cash|flows|29|
|Notes to the financial<br>statements|||30|
|2022 Season|||45|





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|CONSOLIDATED|CONSOLIDATED|STATEMENT OF|STATEMENT OF|STATEMENT OF|STATEMENT OF|FINANCIAL ACTIVITIES|FINANCIAL ACTIVITIES|FINANCIAL ACTIVITIES|FINANCIAL ACTIVITIES|
|---|---|---|---|---|---|---|---|---|---|
|incorporating<br>the income|& expenditure|||account|for the year|ended 3/ December 2022||||
||||||||2022||2021|
|||||Unrestricted||Restricted|Total||Total|
|Income and endowments|||from:|Note|f.||E|||
|Voluntary<br>income||||||||||
|Donations,<br>legacies and|Friends'||subscriptlons||22,770||22,770||18,044|
|Grants receivable||||9|||||86,240|
|Charitable<br>activities||||||||||
|Income from theatre||||I&6||||||
|Minack productions||||2|436,821||436,821|471,004||
|Visiting companies||||2|429,238||429,238|360,289||
|Education<br>income||||6|4,801||4,801||768|
|Booking charges|||||113,155||113,155||69,813|
|Visitor admissions|||||864,957||864,957|754,246||
|Catering|||||385,216||385,216|361,548||
||||||2,234,188||2,234,188|2,017,668||
|Other trading activities||||||||||
|Commerdal<br>trading operations||||3|73,821||73,821||70,996|
|Investment<br>income|||||7,898||7,898||137|
|Other||||||||||
|MPL Theatre Tax Relief Redaim||||2|73,533||73,533|||
|Profit on the sale of fixed assets|||||||||750|
|Total|||||2,4<br>12,2 I0||2,4 I2,2<br>10|2,|193,835|
|Expenditure<br>on;||||||||||
|Raising fun ds||||||||||
|Commercial<br>trading operations|||||41,772||41,772||35,602|
|Charitable<br>activities||||||||||
|Minack productions||||2,5&6|466,320||466,320||326,842|
|Education<br>proiects||||2,5&6|95,208||95,208||42,827|
|Operadng<br>the Theatre|and Visitor|||1,5,6&7|1,681,220||1,681,220|1,372,801||
|Centre||||||||||
||||||2,242,748||2,242,748|1,742,470||
|Total|||||2,284,520||2,284,520|1,778,072||
|Net income||||4|127,690||127,690||415,763|
|Transfers<br>between<br>funds||||||||||
|Net movement<br>in funds|||||127,690||127,690||415,763|
|Total funds<br>brought<br>forward|||||4,537,563||4,537,563|4,|121,800|
|Total funds camed forward||||21|4,665,253||4,665,253|4,537,563||





|CHARITY STATEMENT|CHARITY STATEMENT|CHARITY STATEMENT|CHARITY STATEMENT|OF|FINANCIAL ACTIVITIES|FINANCIAL ACTIVITIES|FINANCIAL ACTIVITIES|FINANCIAL ACTIVITIES|||
|---|---|---|---|---|---|---|---|---|---|---|
|incorporating<br>the income|&expenditure|||account|for the year|ended 3/|December 2022||||
|||||||||2022||2021|
|||||Unrestricted||Restricted||Total||Total|
|Income and endowments||from:||Note|E||E|f.|||
|Voluntary<br>Income|||||||||||
|Donations,<br>legades<br>and|Friends'||subscriptions||22,770|||22,770||18,044|
|Grants<br>receivable||||9||||||86,240|
|Charitable<br>octivities|||||||||||
|Income fram theatre|||||||||||
|Minack productions|||||436,821|||436,821||471,004|
|Visiting companies|||||429,238|||429,238||360,289|
|Education<br>income|||||4,801|||4,801||768|
|Booking charges|||||113,155|||113,155||69,813|
|Visitor admissions|||||864,957|||864,957||754,246|
|Theatre<br>and Visitor catering|||||385,216|||385,216||361,548|
||||||2,234,188|||2,234,188|2,017,668||
|Other trading activities|||||||||||
|Commeraal<br>trading operations|||||21,200|||21,200||19,334|
|Investment<br>income|||||15,156|||15,156||12,774|
|Other|||||||||||
|Profit on the sale of fixed assets||||||||||750|
|Total|||||2,293,3<br>I4|||2,293,3 I4|2,|154,8<br>10|
|Expenditure<br>on:|||||||||||
|Raising funds|||||||||||
|Commerdal<br>trading operations|||||||||||
|Charltoble<br>activities|||||||||||
|Minack productions||||2,5&6|395,572|||395,572||326,842|
|Education<br>projects||||1,2,5&6|95,208|||95,208||42,827|
|Operating<br>the Theatre|&Visitor||Centre|1,5,6&7|1,674,844|||1,674,844|1,369,676||
||||||2,165,624|||2,165,624|1,739,345||
|Total|||||2,165,624|||2,165,624|1,739,345||
|Net income|||||127,690|||127,690||415,465|
|Transfers<br>between<br>funds|||||||||||
|Net movement<br>in funds|||||127,690|||127,690||415,465|
|Total funds<br>brought<br>forward|||||4,537,563|||4,537,563|4,|122,098|
|Total funds canied forward||||21|4,665,253|||4,665,253|4,537,563||





## 

|at 3I Decem|ber 2022|||||||
|---|---|---|---|---|---|---|---|
|||||The Group||The|Charity|
|||||2022|2021|2022|2021|
|Fixed assets|||Note|6|6|||
|Tangible assets|||10|2,234,095|2,254,831|2,234,095|2,254,831|
|Investments||||||2|2|
|||||2,234,095|2,254,831|2,234,097|2,254,833|
|Current<br>assets||||||||
|Stocks|||1&12|26,868|28,711|9,321|11,879|
|Debtors|||13|138,181|101,608|180,819|134,245|
|Short term deposits||||2,453,146|2,322,631|2,453,146|2,322,63 1|
|Cash<br>in hand|and at bank|||71,937|40,151|41,420|21,584|
|||||2,690,132|2,493,101|2,684,706|2,490,339|
|Creditors||||||||
|Amounts<br>falling due within||one year|14|(258,974)|(210,369)|(253,550)|(207,609)|
|Net current|assets|||2,431,158|2,282,732|2,431,156|2,282,730|
|Total assets|less current|liabilities|16|4,665,253|4,537,563|4,665,253|4,537,563|
|Funds||||||||
|Unrestricted|Designated||1&21|1,650,000|1,650,000|1,650,000|1,650,000|
||Capital reserve||1&21|2,234,095|2,254,831|2,234,095|2,254,831|
||General||1&21|781,158|632,732|781,158|632,732|
|Total funds|||21|4,665,253|4,537,563|4,665,253|4,537,563|





## 

||||The|Group||The|Charity||
|---|---|---|---|---|---|---|---|---|
||||2022||2021|2022||2021|
||||6||6|6||6|
|Cash flow from operating|activities||233,393||589,187|214,185||560,598|
|Cash flow from investing|activities||||||||
|Investment<br>income|||7,898||137|15,156||12,774|
|Investment<br>in Minack Productions||Ltd||||||(I)|
|Purchase of tangible<br>fixed assets|||(78,990)||(11,994)|(78,990)||(11,994)|
|Proceeds from disposal of tangible||fixed assets|||750|||750|
||||(71,092)||(11,107)|(63,834)||1,529|
|Net change<br>in cash and cash equivalents|||162,301||578,080|150,351||562,127|
|Cash and cash equivalents<br>the year|at|the start of|2,362,782|1,784,702||2,344,2<br>1 5|1,782,088||
|Cash and cash equivalents<br>year|at|the end ofthe|2,525,083|2,362,782||2,494,566|2,344,2 15||



|Reconciliation|Reconciliation|ofnet income to cash|ofnet income to cash|flow from operating<br>activities|flow from operating<br>activities|flow from operating<br>activities||
|---|---|---|---|---|---|---|---|
|||||The Group||The Charity||
|||||2022|2021|2022|2021|
|||||6|6|||
|Net income|for the|year||127,690|415,763|127,690|415,465|
|Adjusted|(or:|||||||
|Fixed asset|depreciation|||99,726|108,464|99,726|108,464|
|(Profit) on|the sale|of fixed assets|||(750)||(750)|
|Investment|income|||(7,898)|(137)|(15,156)|(I2,774)|
|Movement|in stock|||1,843|2,123|2,558|(1,0 16)|
|Movement|in debtors|||(36,573)|(1,697)|(46,574)|(I4,334)|
|Movement|in creditors|||48,605|65,421|45,941|65,543|
|Cash flow from||operating|activities|233,393|589,187|214,185|560,598|





## 

## 



## 

## 

||||2022|2021|
|---|---|---|---|---|
||||E|E|
|Rental|income due|to Minack Theatre Trust CIO|429,238|360,289|
|Minack|production|income (see note 2.2)|510,354|471,004|
||||939,592|831,293|



## 

|||||2022|2021|
|---|---|---|---|---|---|
|||||E|E|
|Minack production||income||307,206|366,874|
|Minack productions||Limited Theatre Tax Relief redaim||73,533||
|Storytelling|income|||129,615|104,130|
|||||510,354|471,004|
|Minack production||expenditure||(454,451)|(302,172)|
|Storytelling|expenditure|||(11,869)|(24,670)|
|||||(466,320)|(326,842)|
|Net Minack|producdon||income|44,034|144,162|





## 

||||2022|2021|
|---|---|---|---|---|
||||f.||
|Turnover|||73,821|70,996|
|Cost of sales|||(41,772)|(35,602)|
|Gross profit|||32,049|35,394|
|Administrative|costs and interest|payable|(616)|(500)|
|Governance|||(2,975)|(2,625)|
|Net income|from trading||28,458|32,269|



|4.|Net income<br>in the|year for the group|year for the group|||
|---|---|---|---|---|---|
||Stated after chargingi(credi||ting):|2022|2021|
||||||6|
||Auditors'<br>remuneration|- audit||10,925|7,425|
||Depreciation|||99,726|108,464|
||Profit on the sale of fixed assets||||P50)|





## 

## 

|Cost ofoperati|Cost ofoperati|ng<br>t|he Thea|tre, Educa|tion<br>Progra|mme<br>&V|isitor Centre||
|---|---|---|---|---|---|---|---|---|
|The Group|||||||2022|2021|
|||||Theatre|Education|Visitors|Total|Total|
|||||||f|6|6|
|Purchases||||73,700||88,772|162,472|96,930|
|Visitor tour|costs|||||27,562|27,562|34,010|
|Wages||||300,948|32,075|362,491|695,514|571,391|
|Salaries||||48,880|32,000|58,876|139,756|113,788|
|Printing<br>and|stationery|||2,919|119|3,396|6,434|4,780|
|Promoting|the Theatre's||activities|15,789|646|18,372|34,807|23,724|
|Repairs<br>and|maintenance|||72,196|2,954|84,265|159,415|110,179|
|Light, heat,|rates and water|||14,745|603|17,158|32,506|16,187|
|Insurance||||9,276|380|10,794|20,450|14,186|
|Motor and|travel|||1,720|70|2,001|3,791|1,553|
|Telephone|and postage|||1,996|82|2,323|4,401|3,456|
|Sanitation||||15,823|648|18,410|34,881|28,936|
|Miscellaneous||||7,721|316|9,010|17,047|15,378|
|Bank charges||||1,446||1,762|3,208|1,696|
|Credit &debit card||charges||29,914||36,031|65,945|52,441|
|VAT (Unrecovered||Input|Tax)|12,687||15,282|27,969|24,994|
|Depreciatio|n|||45,237|1,851|52,638|99,726|108,464|
|||||654,997|71,744|809,143|1,535,884|1,222,093|
|Management<br>& administration|||||||||
|Salaries||||46,400|8,500|47,388|102,288|106,524|
|Professional|fees|||14,518|594|16,892|32,004|36,759|
|Trustee expenses||||54|2|63|119||
|Governance|(note 7)|||4,956|203|5,766|10,925|7,425|
|||||65,928|9,299|70,109|145,336|150,708|
|||||720,925|81,043|879,252|1,681,220|1,372,801|





## 

## 

|Cost ofoperati|Cost ofoperati|ng<br>|the Thea|tre, Educa|tion<br>Progra|mme<br>&'V|isitor Centre||
|---|---|---|---|---|---|---|---|---|
|The Charity|||||||2022|2021|
|||||Theatre|Education|Visitors|Total|Total|
|||||E|E||E|E|
|Purchases||||73,700||88,772|162,472|96,930|
|Visitor tour|costs|||||27,562|27,562|34,010|
|Wages||||300,948|32,075|362,491|695,514|571,391|
|Salaries||||48,880|32,000|58,876|139,756|113,788|
|Printing<br>and|stationery|||2,919|119|3,396|6,434|4,780|
|Promoting|the Theatre's||activities|15,789|646|18,372|34,807|23,724|
|Repairs<br>and|maintenance|||72,196|2,954|84,007|159,157|110,179|
|Light, heat,|rates and water|||14,745|603|17,158|32,506|16,187|
|Insurance||||9,276|380|10,794|20,450|14,186|
|Motor and|travel|||1,720|70|2,001|3,791|1,553|
|Telephone|and postage|||1,996|82|2,323|4,401|3,456|
|Sanitation||||15,823|648|I8,4 I0|34,881|28,936|
|Miscellaneous||||7,721|316|8,984|17,021|15,378|
|Bank charges||||1,107||1,334|2,441|1,196|
|Credit & debit card||charges||29,914||36,031|65,945|52,441|
|VAT (Unrecovered||Input|Tax)|12,687||15,282|27,969|24,994|
|Depreciation||||45,237|1,851|52,638|99,726|108,464|
|||||654,658|71,744|808,431|1,534,833|1,221,593|
|Management<br>& administration|||||||||
|Salaries||||46,400|8,500|47,388|102,288|106,524|
|Professional|fees|||14,518|594|16,892|32,004|36,759|
|Trustee expenses||||54|2|63|119||
|Governance|(note 7)|||2,097|104|3,399|5,600|4,800|
|||||63,069|9,200|67,742|140,011|148,083|
|||||717,727|80,944|876,173|1,674,844|1,369,676|





## 

|Net income|Net income|by ch|aritable<br>acti|vity|||||
|---|---|---|---|---|---|---|---|---|
|The Group|||||||2022|2021|
|||||Theatre|Education|Visitors|Total|Total|
||||Note|E|E||E||
|Direct income||||866,059|4,801|864,957|1,735,817|1,586,307|
|Booking|charges|Minack|events|44,485|1,820|51,763|98,068|60,435|
|Booking|charges|external|events|15,087|||15,087|9,378|
|Catering||||174,741||210,475|385,216|361,548|
|||||1,100,372|6,621|1,127,195|2,234,188|2,017,668|
|Direct Expenditure|||2|(466,320)|(95,208)||(561,528)|(369,669)|
|Charitable|Expenditure||5|(720,925)|(81,043)|(879,252)|(1,681,220)|(1,372,801)|
|||||(1,187,245)|(176,251)|(879,252)|(2,242,748)|(1,742,470)|
|Net income/(expenditure)|||by activity|(86,873)|(169,630)|247,943|(8,560)|275,198|
|The Charity|||||||2022|2021|
|||||Theatre|Education|Visitors|Total|Total|
||||Note|E|E.|E|E|E.|
|Direct income|||2|866,059|4,801|864,957|1,735,817|1,586,307|
|Booking|charges|Minack|events|44,485|1,820|51,763|98,068|60,435|
|Booking|charges|external|events|15,087|||15,087|9,378|
|Catering||||174,741||210,475|385,216|361,548|
|||||1,100,372|6,621|1,127,195|2,234,188|2,017,668|
|Direct Expenditure|||2|(395,572)|(95,208)||(490,780)|(369,669)|
|Charitable|Expenditure||5|(717,727)|(80,944)|(876,173)|(1,674,844)|(1,369,676)|
|||||(1,113,299)|(176,152)|(876,173)|(2,165,624)|(1,739,345)|
|Net income/(expenditure)|||by activity|(12,927)|(169,531)|251,022|68,564|278,323|



## 

|||The|Group||The|Charity||
|---|---|---|---|---|---|---|---|
|||2022||2021|2022||2021|
|||E||E|E||E|
|Auditor's|remuneration|10,925||7,425|5,600||4,800|
|||10,925||7,425|5,600||4,800|





## 

||2022|2021|
|---|---|---|
|Wages<br>and salaries|845,679|716,177|
|Social security costs|62,839|49,825|
|Pension costs|29,040|25,701|
||937,558|791,703|



## 

|||||2022|2021|
|---|---|---|---|---|---|
||||||6|
|Coronavlrus|lob|retention|scheme||61,490|
|Covid19 business||grant funding|||24,750|
||||||86,240|





## 

|(the Group and the Charity)|(the Group and the Charity)|Land &<br>Buildings|Fixtures<br>&<br>Fittings|Total|
|---|---|---|---|---|
|Cost||E|E|E|
|At 1stJanuary 2022||2,847,199|531,349|3,378,548|
|Additions|||78,990|78,990|
|Disposais|||(25,817)|(25,817)|
|At. 31st December|2022|2,847,199|584,522|3,431,721|
|Depreciation|||||
|At 1stJanuary 2022||669,243|454,474|1,123,717|
|Disposals|||(25,817)|(25,817)|
|Charge for the year||54,806|44,920|99,726|
|At 31st December|2022|724,049|473,577|1,197,626|
|Net book value|||||
|At31stDecember 2022||2,123,150|110,945|2,234,095|
|At 31st December|2021|2,177,956|76,875|2,254,831|





## 

|vestments||||||||||
|---|---|---|---|---|---|---|---|---|---|
|||||||The Group||The Charity||
|||||||2022|2021|2022|2021|
|1009' investment|in The Minack Theatre|||Limited|and|E|E|||
|Minack Productions||Limited,|companies|incorporated||||||
|in England<br>and Wales||||||||||
|At 31"December||2021 and|31*' December 2022|||||||



|A summary<br>ofthe trading|A summary<br>ofthe trading|results of The Minack Theatre<br>Limited|results of The Minack Theatre<br>Limited|is shown|below:-|
|---|---|---|---|---|---|
||||2022|2021||
||||E|E||
|Turnover|||73,821|70,996||
|Cost of|sales and administradve|expenses|(66,363)|(57,857)||
|Interest|payable||(200)|(204)||
|Amount|gifted to the charity||(7,258)|(12,637)||
|Retained|in the subsidiary|||298||
|Current|assets and<br>liabilities of|the subsidiary|were;|||
|Current|assets||32,186|35,399||
|Creditors: amounts<br>due within||one year|(32,185)|(35,398)||
|Total net assets||||||
|Aggregate|share<br>capital and reserves|||||
|A summary<br>of the trading||results of Minack Productions<br>Limited||is shown|below:-|
||||2022|||
||||E|||
|Turnover|||284, 162|||
|Cost of sales and administrative||expenses|(357,695)|||
|Taxatlo n|||73,533|||
|Retained|in the subsidiary|||||
|Current|assets and liabilities of|the subsidiary|were:|||
|Current|assets||121,095|||
|Creditors;<br>amounts<br>due within||one year|(121,094)|||
|Total net assets||||||
|Aggregate|share<br>capital and reserves|||||





## 

||||The|Group||The|Charity||
|---|---|---|---|---|---|---|---|---|
||||2022||2021|2022||2021|
||||E|||E||E|
|Goods|for|resale|26,868||28,711|9,321||11,879|
||||26,868||28,711|9,321||11,879|



## 

|||||||The Group||The Charity||
|---|---|---|---|---|---|---|---|---|---|
|||||||2022|2021|2022|2021|
|||||||f.|E|E|E|
|Accrued|income|and prepayments||||138,181|101,608|32,964|101,608|
|Amount|due from||Minack Productions||Limited|||118,744||
|Amount|due from||Minack Theatre|Limited||||29,111|32,637|
|||||||138,181|101,608|180,819|134,245|



## 

|Amounts|falling due|within<br>one y|ear||||||
|---|---|---|---|---|---|---|---|---|
|||||The|Group||The Charity||
|||||2022||2021|2022|2021|
|||||E||E|E|E|
|Trade creditors||||46,661||30,313|36,301|30,313|
|Taxation|and social security|||60,551||14,384|70,608|14,384|
|Other creditors||||19,426||22,909|19,605|22,909|
|Amount|owed to Minack Productions||Limited||||||
|Accruals|and deferred|income||132,336||142,763|127,036|140,002|
|||||258,974||210,369|253,550|207,609|





## 

|||||The Group||The Charity||
|---|---|---|---|---|---|---|---|
|||||2022|2021|2022|2021|
|||||E||E|E|
|Brought|forward|||119,817|103,418|119,817|103,418|
|Amount|released|to|income|(46,152)|(28,489)|(46,152)|(28,489)|
|Amount|deferred|in|year|41,108|44,888|41,108|44,888|
|Carried|forward|||114,773|119,817|114,773|119,817|



|16.|Analysis|ofgroup net assets between|ofgroup net assets between|funds|||
|---|---|---|---|---|---|---|
||As at 31|December 2022|||||
||||Unrestricted|Restricted|2022||
||||fund|fund|Total|2021|
||||E|E|E|E|
||Tangible<br>fixed assets||2,234,095||2,234,095|2,254,831|
||Net current|assets|2,431,158||2,431,158|2,282,732|
||At 31st December 2022||4,665,253||4,665,253|4,537,563|




## 



## 

## 

|The Group||||Balance at<br>I Jan 2022|Balance at<br>I Jan 2022|Incoming<br>Resources|Resources<br>Expended|Transfers|Balance at<br>31 Dec<br>2022|
|---|---|---|---|---|---|---|---|---|---|
|Unrestricted||||||||||
|Designated||||||||||
|VVInter|cash|outflow|||150,000||||150,000|
|Losses|from|reduced|visitors||400,000|(29,065)||29,065|400,000|
|Unexpected||repairs|||500,000||||500,000|
|Productions||& education|||600,000||(256,503)|256,503|600,000|
|Capital|reserve||||2,254,83 1|||(20,736)|2,234,095|
|General|||||632,732|2,441,275|(2,028,017)|(264,832)|781,158|
||||||4,537,563|2,412,210|(2,284,520)||4,665,253|
|The Charity|||||Balance at|Incoming|Resources|Transfers|Balance at<br>31 Dec|
|||||I Jan 2022||Resources|Expended||2022|
|Unrestricted||||||||||
|Designated||||||||||
|Winter|cash|outflow|||150,000||||150,000|
|Losses|from|reduced|visitors||400,000|(29,065)||29,065|400,000|
|Unexpected||repairs|||500,000||||500,000|
|Productions||& education|||600,000||(182,458)|182,458|600,000|
|Capital|reserve||||2,254,831|||(20,736)|2,234,095|
|General|||||632,732|2,322,379|(1,983, 166)|(190,787)|781,158|
||||||4,537,563|2,293,314|(2,165,624)||4,665,253|





## 



## 

## 

## 

## 

## 



|Dates|Dates|Production|||Author|IComposer|IComposer|IComposer|IComposer|Company|Company||
|---|---|---|---|---|---|---|---|---|---|---|---|---|
|Sept|5 —8|Cranford|||Elizabeth<br>Gaskell adapted<br>by Robert Alderman|||||Theatre<br>Square|in|the|
|Sept|I<br>I —15|A Room with a View|||E.M. Forster <br>Ben Oldgeld||adapted||by|Bodkin Theatre|||
|Sept|22 —Oct 6|Pride & Prejudice +(Sort||Of)|Jane Austen<br>adapted<br>Isobel McArthur||||by|David<br>Pugh|||
|Oct|10 —20|Superstition<br>Mountain|||Carl Grose|||||Minack and <br>Ah Theatre||Ha Hum|
|Oct|22 —26|Horrible<br>Histories: Terrible<br>Tudors|||nla|||||Birmingham||Stage|
||||||Music & lyrics by|||Lin-|||||
|Oct|28 —29|Moana Junior|||Manuel<br>Miranda,<br>Opetaia<br>Foa'I & Mark Mancina.<br>Book adapted<br>by Susan|||||British Theatre<br>Academy<br>and Minack|||
||||||Soon He Stanton||||||||
|Dec|13 —21|Mayvern<br>Festival|||Various|||||Scary Little||Girls|
|Music and||Comedy Events||2022|||||||||
|Dates||Band|||||||||||
|April|15|People's String Foundation|||||||||||
|April|23-24|Russell<br>Brand|||||||||||
|May|7|InTune Choir|||||||||||
|May|13|The Fisherman's<br>Friends|||||||||||
|May|14|Mevagissey<br>Male Voice|Choir||||||||||
|May|20|Sea Dreaming|||||||||||
|May|27|Show of Hands|||||||||||
|July|8|Music for a Summer's|Evening||from the|Cornish||Sinfonia|||||
|July|16|Gigspanner<br>Big Band and Raynor<br>VVinn|||||||||||
|July|29|Songs Under the Stars|||||||||||
|August<br>12||The Oggymen|||||||||||
|August 26||Martha Tilston|||||||||||
|Sept|2|Leskyn Kernow<br>Big Band|||||||||||
|Sept|9|Molly Hocking and Friends|||||||||||
|Sept|17-18|Proms (Mount Charles||Band)|||||||||



