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||||||Page|
|---|---|---|---|---|---|
|Trustees'<br>report||||||
|Reference|and administrative|||details||
|Structure,|governance|and management||||
|Objectives|and activities|||||
|Review of|achievements||and|public benefit for the year|10|
|Financial<br>review and results for the year|||||16|
|Reserves policy|||||18|
|Fundraising|policy||||19|
|Investment|policy||||19|
|Plans for future years|||||20|
|Statement|ofTrustees'|responsibilities|||22|
|Statement|of disclosure||to auditor||23|
|Auditors'<br>report|||||24|
|Consolidated<br>statement<br>of financial||||activities|28|
|Charity statement|of financial||activities||29|
|Consolidated<br>and|charity balance sheets||||30|
|Consolidated<br>and|charity cash||flows|||
|Notes to the financial<br>statements|||||32|
|2023 Season|||||48|





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|||||||||2023|2022|
|---|---|---|---|---|---|---|---|---|---|
||||||Unrestricted||Restricted|Total|Total|
|InCOme and|endOWmentS|||frOm:|Note|E|E|E|f|
|Voluntary|income|||||||||
|Donations,|legacies and||Friends' subscriptions|||15,922||15,922|22,770|
|Charitable|activities|||||||||
|Income from theatre|||||1&.6|||||
|Minack|productions||||2|645,617||645,617|436,821|
|Visiting|companies||||2|311,752||311,752|429,238|
|Education<br>income|||||6|45,517||45,5'l7|4,801|
|l3ooking charges||||||112,042||112,042|113,155|
|Visitor admissions||||||986,589||986,589|864,957|
|Catering||||||368,165||368,165|385,216|
|||||||2,469,682||2,469,682|2,234,188|
|Other trading<br>activities||||||||||
|Commercial|trading|operations|||3|68,786||68,786|73,821|
|Investment|income|||||75,665||75,665|7,898|
|Other||||||||||
|Theatre Tax Relief reclaim|||||2|114,570||114,570|73,533|
|Total||||||2,744,625||2,744,625|2,412,210|
|Expenditure|on:|||||||||
|Raising funds||||||||||
|Commercial|trading|operations||||33,839||33,839|4'l,772|
|Charitable|activities|||||||||
|Minack productions|||||2,5&6|645,267||645,267|466,320|
|Education|projects||||2,5&6|180,694||180,694|95,208|
|Operating|the Theatre and|||Visitor|'l,5,6&7|1,865,934||1,865,934|1,681,220|
|Centre||||||2,691,895||2,691,895|2,242,748|
|Total||||||2,725,734||2,725,734|2,284,520|
|Net income|||||4|18,891||18,891|127,690|
|Transfers<br>between<br>funds||||||||||
|Net movement<br>in funds||||||18,891||18,891|127,690|
|Total funds brought<br>forward||||||4,665,253||4,665,253|4,537,563|
|Total funds carried forward|||||20|4,684,144||4,684,144|4,665,253|





## 

|incorporating|theincome|Ltt|expenditure|accoun|t for the yea|r ended 31D|ecember 2023||
|---|---|---|---|---|---|---|---|---|
||||||||2023|2022|
||||||Unrestricted|Restricted|Total|Total|
|Income and|endowments||from:|Note|f|f|f|f|
|Voluntary|income||||||||
|Donations,|legacies and Friends' subscriptions||||15,922||15,922|22,770|
|Charitable|activities||||||||
|Income from theatre|||||||||
|Minack|productions||||645,617||645,617|436,821|
|Visiting|companies||||311,752||311,752|429,238|
|Education<br>income|||||45,517||45,517|4,801|
|Booking charges|||||112,042||112,042|113,155|
|Visitor admissions|||||986,589||986,589|864,957|
|Theatre and Visitor catering|||||368,165||368,165|385,216|
||||||2,469,682||2,469,682|2,234,188|
|Other trading<br>activities|||||||||
|Commercial|trading<br>operations||||24,600||24,600|21,200|
|Investment|income||||82,271||82,271|15,156|
|Total|||||2,592,475||2,592,475|2,293,314|
|Expenditure|on:||||||||
|Charitable|activities||||||||
|Minack productions||||2,58t6|535,629||535,629|395,572|
|Education|projects|||1,2,58t6|180,694||180,694|95,208|
|Operating|the Theatre|Bt Visitor Centre||1,5,68t7|1,857,261||1,857,261|1,674,844|
||||||2,573,584||2,573,584|2,165,624|
|Total|||||2,573,58-'I||2,573,584|2,165,624|
|Net income|||||18,891||18,891|127,690|
|Transfers<br>between<br>funds|||||||||
|Net movement|in funds||||18,891||18,891|127,690|
|Total funds brought<br>forward|||||4,665,253||4,665,253|4,537,563|
|Total funds carried forward||||20|4,684,144||4,684,144|4,665,253|





## 

||||||The Group|The Group|The Charity|The Charity|
|---|---|---|---|---|---|---|---|---|
||||||2023|2022|2023|2022|
|Fixed assets||||Note|f|f|f|f|
|Tangible<br>assets||||9|2,514,194|2,234,095|2,514,194|2,234,095|
|Investments||||10|||2|2|
||||||2,514,194|2,234,095|2,514,196|2,234,097|
|Current<br>assets|||||||||
|Stocks||||1&.11|25,057|26,868|8,133|9,321|
|Debtor||||12|182,821|138,181|246,572|180,819|
|Short term investments|||||1,021,707||1,021,707||
|Short term deposits|||||1,070,048|2,453,146|1,070,048|2,453,146|
|Cash<br>in hand|and at bank||||77,308|71,937|24,511|41,420|
||||||2,376,941|2,690,132|2,370,971|2,684,706|
|Creditors|||||||||
|Amounts<br>falling due within||one year||13|(206,991)|(258,974)|(201,023)|(253,550)|
|Net current assets|||||2,169,950|2,431,158|2,169,948|2,431,156|
|Total assets less current||liabilities||15|4,684,'l44|4.665,253|4,684,144|4,665,253|
|Funds|||||||||
|Unrestricted|Designated|||1&20|1,650,000|1,650,000|1,650,000|1,650,000|
||Capital||reserve|1&20|2,514,194|2,234,095|2,514,194|2,234,095|
||General|||1&20|519,950|781,158|519,950|781,158|
|Total funds||||20|4,684,144|4,665,253|4,684,144|4,665,253|





## 

||||The|Group|The|Charity||
|---|---|---|---|---|---|---|---|
||||2023|2022|2023||2022|
||||6|f|6||f|
|Cash flow from operating|activities||(30,203)|233,393|(59,089)||214,185|
|Cash flow from investing|activities|||||||
|Investment<br>income|||75,665|7,898|82,271||15,156|
|Purchase of tangible<br>fixed|assets||(401,482)|(78,990)|(401,482)||(78,990)|
|Proceeds from disposal of|tangible|fixed assets||||||
||||(3Z5,817)|(71,092)|(319,211)||(63,834)|
|Net change<br>in cash and cash equivalents|||(356,020)|162,301|(378,300)||150,351|
|Cash and cash equivalents|at start|of the year|2,525,083|2,362,782|2,494,566|2,344,215||
|Cash and cash equivalents|at end|of the year|2,169,063|2,525,083|2,116,Z66|2,494,566||



## 

|||The Group||The Charity||
|---|---|---|---|---|---|
|||2023|2022|2023|2022|
|||6|f|6|6|
|Net income for the year||18,891|127,690|18,891|127,690|
|Adjusted for:||||||
|Fixed asset depreciation||109,355|99,726|109,355|99,726|
|Loss on the sale of fixed assets||12,028||12,028||
|Investment<br>income||(75,665)|(7,898)|(82,271)|(15,156)|
|Movement<br>in stock||1,811|1,843|1,188|2,558|
|Movement<br>in debtors||(44,640)|(36,573)|(67,050)|(46,574)|
|Movement<br>in creditors||(51,983)|48,605|(51,230)|45,941|
|Cash flow from operating|activities|(30,203)|233,393|(59,089)|214,185|





## 

## 



## 



## 

|2.1|Income||||||
|---|---|---|---|---|---|---|
||||||2023|2022|
||||||f|f|
||Rental income due||to|Minack Theatre Trust CIO|311,752|429,238|
||Minack production||income (see note 2.2)||760,187|510,354|
||||||1,071,939|939,592|
|2.2|Minack Productions||||||
||||||2023|2022|
||||||f|f|
||Minack production||income||518,042|307,206|
||Minack Productions||Limited Theatre Tax Relief reclaim||114,570|73,533|
||Storytelling|income|||127,575|129,615|
||||||760,187|510,354|
||Minack production||expenditure||(625,326)|(454,451)|
||Storytelling|expenditure|||(19,941)|(11,869)|
||||||(645,267)|(466,320)|
||Net Minack|production||income|114,920||





## 

||||2023|2022|
|---|---|---|---|---|
|Turnover|||f|f|
||||68,786|73,821|
|Cost of sales|||(33839)|(41,772)|
|Gross p ro fit|||34,947|32,049|
|Administrative|costs and|interest payable|(641)|(616)|
|Governance|||(3,100)|(2,975)|
|Net income from trading|||31,206|28,458|
|Net income|in the year for the group||||
|Stated after|charging||2023|2022|
||||f|f|
|Auditors'<br>remuneration||—audit|12,245|10,925|
|Auditors'<br>remuneration||—other services|1,600||
|Depreciation|||109,355|99,726|
|Loss on the|disposal of|fixed assets|12,028||





## 

## 

|Cost of op|er|ating<br>the|Theatre,|Education|Programme|BtVisitor C|entre||
|---|---|---|---|---|---|---|---|---|
|The Group|||||||2023|2022|
|||||Theatre|Education|Visitors|Total|Total|
|||||f|f|f|f|f|
|Purchases||||70,611||89,322|159,933|162,472|
|Visitor tour|costs|||||29,381|29,381|27,562|
|Wages||||321,728|40,531|398,526|760,785|695,514|
|Salaries||||74,892|35,517|91,221|201,630|139,756|
|Printing<br>and||stationery||2,340|111|2,849|5,300|6,434|
|Promoting|the Theatre's||activities|16,979|802|20,677|38,458|34,807|
|Repairs and|maintenance|||66,666|3,150|81,182|150,998|159,415|
|Light, heat,|rates and water|||18,465|873|22,484|41,822|32,506|
|Insurance||||11,492|543|13,994|26,029|20,450|
|Motor and|travel|||1,887|89|2,299|4,275|3,791|
|Telephone|and postage|||1,622|77|1,976|3,675|4,401|
|Sanitation||||17,9'I 5|847|22,385|41,147|34,881|
|Miscellaneous||||13,604|643|16,567|30,814|17,047|
|Bank charges||||1,714||2,169|3,883|3,208|
|Credit Br debit card charges||||31,662||40,052|71,714|65,945|
|VAT (Unrecovered<br>Input|||Tax)|13,995||17,703|31,698|27,969|
|Depreciation||||48,281|2,282|58,792|109,355|99,726|
|Loss on disposai offixed|||assets|5,310|251|6,467|12,028||
|||||719,163|85,716|918,046|1,722,925|1,535,884|
|Management||&administration|||||||
|Salaries||||46,400|8,500|58,365|113,265|102,288|
|Professional||fees||10,389|491|3,967|14,847|32,004|
|Trustee expenses||||276|13|337|626|119|
|Miscellaneous||||188|9|229|426||
|Governance||(note 7)||6,113|289|7,443|13,845|10,925|
|||||63,366|9,302|70,341|143,009|145,336|
|||||782,529|95,018|988,387|1,865,934|1,681,220|





## 

## 

|The Charity||||||2023|2022|
|---|---|---|---|---|---|---|---|
||||Theatre|Education|Visitors|Total|Total|
||||f||f|f|f|
|Purchases|||70,611||89,322|159,933|162,472|
|Visitor tour|costs||||29,381|29,381|27,562|
|Wages|||321,728|40,531|398,526|760,785|695,514|
|Salaries|||74,892|35,517|91,221|20'I,630|139,756|
|Printing<br>and stationery|||2,340|111|2,849|5,300|6,434|
|Promoting|the Theatre's|activities|16,979|802|20,677|38,458|34,807|
|Repairs and|maintenance||72,196|2,954|75,519|150,669|159,157|
|Light, heat,|rates and water||18,465|873||41,822|32,506|
|insurance|||11,492|543|13,994|26,029|20,450|
|Motor and|travel||'I,887|89|2,299|4,275|3,791|
|Teleph one an d postag e|||1,622|77|1,966|3,665|4,401|
|Sanitation|||17,915|847|22,385|41,147|34,881|
|Miscellaneous|||7,721|316|22,777|30,814|17,021|
|Bank charges|||1,107||1,937|3,044|2,441|
|Credit Br debit card charges|||31,618||39,996|71,614|65,945|
|VAT (Unrecovered<br>Input||Tax)|13,995||17,703|31,698|27,969|
|Depreciabon|||48,281|2,282|58,792|109,355|99,726|
|Loss an disposal of fixed||assets|5,310|251|6,467|12,028||
||||718,159|85,193|918,295|1,721,647|I,534,833|
|Management<br>Bradministration||||||||
|Salaries|||46,400|8,500|58,365|113,265|102,288|
|Pro fess i on a|I fees||10,389|491|3,967|14,847|32,004|
|Trustee expenses|||276|13|337|626|119|
|Miscellaneous|||188|9|229|426||
|Governance|(note 7)||2,097|104|4,249|6,450||
||||59,350|9,117|67,147|135,614|140,011|
||||777,509|94,310|985,442|1,857,261|1,674,844|





## 

|The Group||||||2023|2022|
|---|---|---|---|---|---|---|---|
||||Theatre|Education|Visitors|Total|Total|
|||Note|f|f|f|f|f|
|Dimct income||2|957,369|45,517|986,589|1,989,475|1,735,817|
|Booking charges|Minack|events|43,369|2,049|52,812|98,230|98,068|
|Booking charges|external|events|13,812|||13,812|15,087|
|Catering|||162,546||205,619|368,165|385,216|
||||1,177,096|47,566|1,245,020|2,469,682|2,234, 'l88|
|Direct Expenditure||2|(645,267)|(180,694)||(825,961)|(561,528)|
|Charitable<br>Expenditure||5|(782,529)|(95,018)|(988,387)|(1,865,934)|(1,681,220)|
||||(1,427,796)|(275,712)|(988,387)|(2,691,895)|(2,242,748)|
|Net income/(expenditure)||by activity|(250,700)|(228,146)|256,633|(222,213)|(8,560)|
|The Charity||||||2023|2022|
||||Theatre|Education|Visitor.|Total|Tota<br>I|
|||Note|f|f|f|f|f|
|Direct income||2|957,369|45,517|986,589|1,989,475|1,735,817|
|Booking charges|Minack|events|43,369|2,049|52,812|98,230|98,068|
|Booking charges|external|events|13,812|||13,812|15,087|
|Catering|||162,546||205,619|368,165|385,216|
||||1,177,096|47,566|1,245,020|2,469,682|2,234,188|
|Direct Expenditure||2|(535,629)|(180,694)||(716,323)|(490,780)|
|Charitable<br>Expenditure||5|(777,509)|(94,310)|(985,442)|(1,857,261)|(1,674,844)|
||||(1,313,138)|(275,004)|(985,442)|(2,573,584)|(2,165,624)|
|Net income/(expenditure)||by activity|(136,042)|(227,438)|259,578|(103,902)|68,564|



## 




## 

|||2023|2022|
|---|---|---|---|
|||f|f|
|Wages and salaries||991,505|845,679|
|5ocialsecudty|costs|71,469|62,839|
|Pension costs||32,956|29,040|
|||1,095,930|937,558|



## 

|(the Group and|the Charity)|Land 8r<br>Buildings|Fixtures<br>Br<br>Fittings|Total|
|---|---|---|---|---|
|Cost||f|f|f|
|At 1st January|2023|2,847,199|584,522|3,431,721|
|Additions||174,451|227,031|401,482|
|Disposals||(19,947)|(111,318)|(131,265)|
|At 31st December 2023||3,001,703|700,235|3,701,938|
|Depreciation|||||
|At 1stJanuary|2023|724,049|473,577|1,197,626|
|Disposals||(9,120)|(110,117)|(119,237)|
|Charge for the|year|55,755|53,600|109,355|
|At 31st December 2023||770,684|417,060|1,187,74'-l|
|Net book value|||||
|At 31st December 2023||2,231,019|283,175|2,514,194|
|At 31st December 2022||2,123,150|110,945|2,234,095|





## 

|nvestments||||||||
|---|---|---|---|---|---|---|---|
|||||The Group||The Charity||
|||||2023|2022|2023|2022|
|100%investment<br>in The Minack Theatre||Limited||f|f|f|f|
|and Minack Productions<br>Limited, companies||||||||
|incorporated<br>in England<br>and|Wales|||||||
|At 31"December 2022 and 31"December|||2023|||||
|A summary<br>ofthe trading<br>results of The Minack||||Theatre<br>Limited|is shown|below:—||
|||||2023|2022|||
|||||f|f|||
|Turnover||||68,786|73,821|||
|Cost of sales and administrative|expenses|||(61,580)|(66,363)|||
|Interest payable||||(600)|(200)|||
|Amount<br>gifted to the charity||||(6,606)|(7,258)|||
|Retained<br>in the subsidiary||||||||
|Current<br>assets and<br>liabilities of|the subsidiary||were:|||||
|Current<br>assets||||29,843|32,186|||
|Creditors: amounts<br>due within|one year|||(29,842)|(32,185)|||
|Total net assets||||||||
|Aggregate<br>share capital and reserves||||1|1|||





|||||||2023|2022|
|---|---|---|---|---|---|---|---|
|||||||f|f|
|Turnover||||||503,713|284,162|
|Cost of sales and|||administrative|expenses||(618,283)|(357,695)|
|Taxation||||||114,570|73,533|
|Retained||in the subsidiary||||||
|Current|assets and||liabilities of|the subsidiary|were;|||
|Current|assets|||||173,306|121,095|
|Creditors:||amounts|due within|one year||(173,305)|(121,094)|
|Total net||assets||||||
|Aggregate||share capital and reserves||||||



## 

||||The|Group||The|Charity||
|---|---|---|---|---|---|---|---|---|
||||2023||2022|2023||2022|
||||f||f|f||f|
|Goods|for|resale|25,057||26,868|8,133||9,321|
||||25,057||26,868|8,133||9,321|





## 

|Debtors||||||||||
|---|---|---|---|---|---|---|---|---|---|
||||||The Group||The|Charity||
||||||2023|2022|2023||2022|
||||||f|f|f||f|
|Accrued|income and prepayments||||178,813|138,181|46,948||32,964|
|Other debtors|||||4,008||4,008|||
|Amount|due from Minack Productions|||Limited|||169,010||118,744|
|Amount|due from Minack Theatre||Limited||||26,606||29,111|
||||||182,821|138,181|246,572||180,819|
|Creditors||||||||||
|Amounts|falling due within|one year||||||||
||||||The Group||The|Charity||
||||||2023|2022|2023||2022|
||||||f|f|f.||f|
|Trade creditors|||||18,279|46,661|18,144||36,301|
|Taxation|and social security||||13,521|60,551|13,521||70,608|
|Other creditors|||||22,464|19,426|22,464||19,605|
|Amount|due to Minack Theatre|Limited|||||487|||
|Accruals|and deferred<br>income||||152,727|132,336|146,407||127,036|
||||||206,991|258,974|201 023||253550|



## 

## 

|||||The|Group||The Charity||
|---|---|---|---|---|---|---|---|---|
|||||2023||2022|2023|2022|
|||||f||f|f||
|Brought|forward|||114,773||'119,817|114,773|119,817|
|Amount|released|to|income|(44,466)||(46,152)|(44,466)|(46,152)|
|Amount|deferred|in|year|55,559||41,108|55,559|41,108|
|Carried|forward|||125,866||114,773|125,866|114,773|





## 

|Analysis of group net as<br>As at 31"December 2023|sets between<br>fund|s|||
|---|---|---|---|---|
||Unrestricted|Restricted|2023||
||fund|fund|Total|2022|
||f|6|6|f|
|Tangible fixed assets|2,514,194||2,514,194|2,234,095|
|Net current assets|2,169,950||2,169,950|2,431,158|
|At 31st December 2023|4,684, 14'-I||4,684,144|4,665,253|



||||The Group||The Charity||
|---|---|---|---|---|---|---|
||||2023|2022|2023|2022|
|Operating<br>leases commitments|||f|f|f|f|
|Payable|within|one year|659|659|659|659|
|Payable|within|one to two years|659|659|659|659|
|Payable|within|two to five years|988|1,647|988|1,647|
||||2,306|2,965|2,306|2,965|



## 

## 



## 

|The Group||||Balance at<br>1 Jan<br>2023|Incoming<br>Resources|Incoming<br>Resources|Resources<br>Expended|Transfers|Balance at<br>31 Dec<br>2023|
|---|---|---|---|---|---|---|---|---|---|
|||||E|||||f|
|Unrestricted||||||||||
|Designated||||||||||
|Winter cash||outflow||150,000|||||150,000|
|Losses from||reduced|visitors|400,000|||||400,000|
|Unexpected||repairs||500,000|||||500,000|
|Education|&.productions|||600,000|||(228,146)|228,146|600,000|
|Capital<br>reserve||||2,234,095||||280,099|2,514,194|
|General||||781,158||2,744,625|(?497,588)|(508,245)|519,950|
|||||4,665,253||2,744,625|(2,725,734)||4,684,144|
|The Charity||||||||||
|||||Balance at<br>1 Jan<br>2023|Incoming<br>Re sou rces||Resources<br>Expended|Transfers|Balance at<br>31 Dec<br>2023|
|Unrestricted||||||||||
|Des ig nated||||||||||
|Winter cash||oufflow||150,000|||||150,000|
|Losses from||reduced|visitors||||||400,000|
|Unexpected||repairs||500,000|||||500,000|
|Education|&productions|||600,000|||(227,438)|227,438|600,000|
|Capital<br>reserve||||2,234,095||||280,099|2,514,194|
|General||||781,158||2,592,475|(2,346,146)|(507,537)|519,950|
|||||4,665,253||2,592,475|(2,573,584)||4,684,144|



## 



## 

|Dates|Production|Production||Author / Composer|Author / Composer|Company|
|---|---|---|---|---|---|---|
|February 17-|Annie Jr.|in St John's|Hall,|Strauss, Meehan|and|Rising Stars|
|18|Penzance|||Cha min||(Minack Education)|
|March 28 to<br>April 14|The Massive Tragedy <br>Madame<br>Bovary||of|John Nicholson||Minack and Ha<br>Hum<br>Ah Theatre|
|April 2-13|Giants|||John Brolly and <br>Sutcliffe|Ben|Minack Education|
|April 20 to|Further Than the Furthest|||Zinnie<br>Harris||Minack Production|
|May 4|Thing||||||
|May 7-10|One Man 8.His Cow|||n/a||Living Spit|
|May 14-18|Battling|Butlers||n/a||Bash Street Theatre|
|May 23-2S|Shake it|Up Shakespeare||n/a||Shake it Up<br>Theatre|
|||||||Barnes &|
|May 29to<br>June 2|Kipps|||Fellowes, Stiles|Br Drewe|Richmond<br>Operatic<br>Society|
|||||||Minack<br>in cahoots|
|June 7-22|Calvino|Nights||n/a||with<br>Mike|
|||||||Shepherd|
|June 26-28|Glassworks<br>Murder<br>Ballades|||Philip Glass<br>Bryce Dressner||Minack with Cheap<br>Date and Kevos|
|July 3-6|Measure|for Measure||Shakespeare||Moving Stories|
|July 10-11|Lullaby|ofthe Tides||Jan Stroud||Minack Education|
|July 12-13|Antigone|||Sophocles||Minack Acting<br>Academy|





|Dates||Production|||||Author / Composer|Company|
|---|---|---|---|---|---|---|---|---|
|July 1S||Stars on the|Cliffside||||n/a|Minack Musical|
|||||||||Theatre Academy|
|July 16-21||Twelfth<br>Night|||||Shakespeare|lllyria|
|July 24-27||Blithe Spirit|||||Noel Coward|llkley Playhouse|
|July 30to<br>August 3||Captain<br>Corelli's|||Mandolin||Adapted<br>from Louis de<br>Berniere by Rona Munro|Shattered<br>Windscreen|
|August 6-10||A Streetcar|Named|||Desire|Tennessee<br>Williams|Next Stage Theatre|
|||||||||Company|
|August 13-17||Everybody's<br>Jamie (Teen|Talking <br> Edition)|||About|Tom Macrae and Dan<br>Gillespie|British Theatre<br>Academy|
|August 18-19||13:the Musical|||||Jason Robert Brown,<br>Dane<br>Elish & Robert<br>Horn|British Theatre<br>Academy & Minack|
|August 22 <br>September|to<br>1|Tom's Midnight||Garden|||Adapted<br>from Philippa<br>Patterson's<br>book by<br>David Wood|Minack|
|September<br>4-8||Evita|||||Andrew<br>Lloyd Webber|Helston Theatre<br>Company|
|September<br>11-15||The Threepenny||Opera|||Bertolt Brecht & Kurt<br>WeiI I|Ovo|
|September<br>to October|20<br> 5||||||Adapted<br>from Jim<br>Dodge's book by Simon|Minack and<br>o-region|
||||||||Harvey||
|October 17-18||Tre|||||Sarah Connors|o-region|
|October 27-28||Madagascar|Jnr||||Kevin Del Aguila, George<br>Noriega<br>and Joel<br>Someillan|British Theatre<br>Academy<br>&.Minack|
|December|21-|A Christmas|Carol||||Adapted<br>by David Mynne<br>from Charles<br>Dickens|David Mynne|





## 

