REGISTÉRÉD COMPANY IIUM8ÉR: 09703111 (ETr*•nd •nd Wi1•1)'
REOISTEREO CHARrrY IwM8ÉA.. 1117811
Rgport of th• TnMts•g and
Flnanclal Statom•nts for th• Y•af End•d 31st Juty 2025
for
Park 8troet Pgrfornilng Arts C•ntr•

8tr••t P•rfornilng Art• C•ntr•
Cont•nts of th• Hn•nelil 8tit•ffl•rftl
for th• y••r •nd•d 31it Juty 2025
Pag•
Rehr•nc• •nd Admlnl8trntlv• D•tallg
R•port of th• Tru•t•
2 to S
Report of th• Ind8p•nd•nt Examln•rs
Statsm•nt of Flnanclal Actlvitle8
B•lanc• ShMt
Nots8 to th• Flnancl81 Statements
9 to 13

Park Strèet Porfomilng Arts Contr•
Referenc• and AdmlnlBtr8tlv• Dotall8
for tho year Onded 31st July 2025
TRUSTEES
Jamie Penn
Mlchael J Allen
Emma J Lewis
Chair (Resigned 8 Juty 2025)
Chair (Appointed 9 July 2025)
Treasurer
(Appointed 9 July 2025)
(Appointed 1 October 2025)
(Appointed 1 October 2025)
Angela Thornton
Julle Blackie
Robert Milner
REGISTERED OFFICE
29 Park Street
Hull
East Riding of Yorkshire
HU2 8RR
REGISTERED COMPANY NUMBER 09703276 (England and Wales)
REGISTERED CHARITY NUMBER
1167611
INDEPENDENT EXAMINER
Samantha Hesford
BANKERS
TSB
PO Box 373
Leeds
LS14 9GQ
Page 1

Park Street P•rfomilng Arts C•ntrn
Report of th• Tru8te•g
for tho y•ar end•d 31•t July 2026
The trugtees who 8re 8130 dlrectors of the charlty for the pury)oseg of the Companleg Act 2006, pr89ent thelf report ￿th
the fin8ncial statements of the charity for the year ended 31 gt July 2025. The trustees hav8 adopted the provigions of
Accounting 8nd Reporting by Ch8ritles: Statement of Recommended Practice applicable to charltieg preparing their
accounts In occord8nce wlth the Fln8ncial Reporting Stand8rd 8ppIic8ble in the UK and Republic of Ireland (F
102)
(effective 1 J8nuary 2019).
STRUCTURE, GOVERNANCE AND MANAGEMENT
Gov•mlng document
The organisation is a charitable company Ilmited by guarantee, Incorporated on 25th July 2015 and reglstered as a
charity on 25th July 2015. The company wa8 egtablished under a Constitution which established the objects and pcme
of the charitable company and is governed under its Articles of Association.
Recrultment and appolntment of new tru8te88
The directors of the company are also charlty tru8tee8 for the purposes of charlty law.
All trustees are provided with a welcome pack upon appolntment Including a copy of Park Street Performing Arts Centra
(PSPAC) Constitution, Articles of Association, pollcles, procedures, and other relevant trustee Information. New Trustees
are also directed to read all avaolable relevant Informatlon on the Charity Commisslon website.
New trustees a￿ mentored by an existing Trustee for any queries on govemance or procedure until they both feel
confident this is no longer required.
PSPAC also encourages further relevant training I courses (including extemal providers) for any Trustee who requires I
requests it to progress their knowledge, benefiting the organisation as well as the individual.
All confllcts of interests are duly considered prior to trustee appointments.
In the Artides of Associatlon it is stated that all declsion maklng must be quorate. Any decisions of the trustees must be
a majority decision and quorate to eliminate major risk.
OBJECTIVES AND ACTIVITIES
Objectives and aims
Our charity's purposes as set out in the objects contained in the company's Articles of Association are;
1) to advance the education and promotion of creative perfomiing arts and to foster,
2) encourage and sxovide opportunities for people of all ages to paiticipate,
3) incxease their confidence and enjoy being involved in creative perfomiing arts, in particular but not exdusively by offering
dasses, workshops and staging local perfOrman￿S.
PSPAC is a not-for-profit charity; any monies made by the charity are reinvested into achieving its objectives.
PSPAC has not been involved in (or has yet required) any policy on grant-maklng - this will change as necessary.
PSPAC relies heavily on the contribution of volunteers and therefore Is fvlly committed to assisting with their personal
and continuous development. The volunteers mainly consist of local people with previous relevant l interchangeable
skills, however PSPAC offer trainlng wherever relevant or requested.
Page 2

Park Str•et Porfomlng Arts Centr•
Roport of the Trugtee8
for the year endod 318t July 2025
OBJECTIVES AND ACTIVITIE8
Maln actlvltl••
The main activities undertaken by PSPAC in relation to the objectNeg are to provide a safe, inclusive and inspirational
Space for chIld￿n and adults within the local community to practice and enjoy perfomiing arts and associated creative
skills.
This Space allows all attending to be involved In various discussiong and experiences involved in the planning,
preparation, production and presentation of theatric81 productiong, leading to increased seff-dlscovery, empathy and
social connections.
PSPAC aims to improve the mental health and well-being of all involved, including students, volunteers, audience
members and others.
PSPAC endeavours to achieve this wlth the provision of varlous workshops, performances and communrty events. The
performances and events are advertised to the public and PSPAC will continue to build relats'ons with both the public and
other groups in the area. This will increase awareness of PSPAC and its offerings to the widef community.
Public benefit
All charity trustees have had due regard to the Charity Commission's Public Benefit Guidance ￿en exercising any
powers or duties to whlch the guidance is relevant.
ACHIEVEMENTS AND PERFORMANCE
Main achievements
At the start of this financial year, we welcomed two new roles, a Financial Director and a Creative Director to run
as a senior management team. The role of the management team was to take over the day to day running of the
charity and put more robust financial procedures in place.
During this year PSPAC obtalned an Income of £57,100 through class fees. This was a steady income stream
throughout the year with notsble reduction in August and April which is when the school's typical closed period falls
for Summer and Easter breaks.
The classes provided were in the areas of performance, slnging, dancing, spoken word, adult musical theatre, SEN
musical theatre, set design and theatre technician skills.
In September 2024 we continued to offer free enrolment to all students and a first class free trial. We continued our
collaboration with local organisation CASE providing an SEN class until July 2025.
We trailed a pay what you can scheme for selected shows to help keep ticket costs low.
The students who wished to work towards examinations in their chosen area were fully encouraged and assisted
by PSPAC, working closely with the examining bodies on the students, behalf. Exams were held in March, June
and December 2025. Our students obtained 100 % in merits and distinctions.
PSPAC continued the development of both volunteers and young people by keeping the mentor scheme in place.
PSPAC contlnued to engage with the local community, children from the charity were also invited to perform at
another local charity ball (December 2024) raising the profile of the charity with local businesses. We continued to
collaborate with a number of local organisations providlng venue hire for events and shows. We had a regular dance
fitness class hire the studio between October and May. We also offered space to local company Jon Godber
company for rehearsal space.
Page 3

Park Street P•rtornilng Artg C•ntr•
Report of th• Tru8t••9
for th• year •nd•d 31•t July 2028
Maln achl•v•m•nts (contlnuod)
The ch8rlty continued ￿th the opportunlty to buy PSPAC merchandlse guch ag t-ghirtg and hoodiei. Thege contlnue
to be offered at cost prfce to the studentg to encourage a 8enge of group identity and Identify and promote PSPAC
students and volunteerg when at events.
The charity continued with the volunteer reward scheme for thoga volunteer9 who devote their time to Support the
charlty.
We also accrued 661 hours in volunteer support for a renovation over the Summer. Thig saw the reception area
decorated, toilet8 painted, exterior of the building lidied up, Stage reinforced and a new fire system put in place.
We held a number of fundralsers In local 8hopplng centre, a danceathon and a member of the trust ran two local
race events for the charity.
Overall, during 2024125 PSPAC has met its objectlveg of involving the community in the arts whilst fostering a safe
Inclusive space for all and raislng enough fvnds to continue successfully into the future.
FINANCIAL REVIEW
Financial posltion
The charity achieved an Income of £115,534 (2024: £105,935). This Is the result of the charity receiving more grants to
support the charity. In addition, the working relationships of the trust, management team and volunteers remained
committed to fundraising and supporting the charity to find additional income streams.
£57.100 income was achieved through Class Fees (2024: £51,667). This increase was the direct impact of having the
management team in place who could arrange cover for classes and encourage participation from our members to join
various classes on offer. The ongoing use of class manager and regular monitoring of class fees enabled the charity to
collect class fees in a timelier fashion and prevent income loss from lack of payments.
The continuous operation of the café and bar allowed us to generate an income of £10,030 (2024: £10,978). This
decrease may be accounted for the change in licensee and temporary Closu￿ of the bar during August and September
2024.
Ticket sales raised income of £16,335 (2024: £26,221). This is a significant decrease from the previous year, this may
be accounted for by: popularity of the show choices, a decrease in events that relied heavily on volunteers to support
such as Halloween paty and Easter paty. Specific one-off shows in the prevlous year that we had the rights gifted to us
to perform, change to collaborations with local creatives who would produce shows in retum for space hire and production
support and finally the financial loss due to temporary school closure for 3 weeks in the summer months.
The charity has met all its expenditure requirements this year, the largest being similar to previous years - staff costs of
£36,809 (2024: £32,559) to cover professional tutors who run the classes, then the rent £20,035 (2024: £20,035). A total
of £12,516 was spent on royalties and rights to various shows throughout the year. This was a significant increase and
reflects our opportunity to purchase more expensive shows through grants and funding.
The trustees consider the financial position of the charty at the end of the year to be acceptable, however continue to
tske steps to improve the position of the charity and ensure that a small surplus can be made most years. This additionally
will help to futureproof the charity against any unforeseen circumstances.
Reserves policy
As a not-for-profit organisation, it is the aim of the charity not to build extensive reserves. Inevitably, this cannot always
be the case and there will be nominal reserves at year end; these are reinvested into the charity and used for the benefit
of current and future students. During the 2025 financial year, PSPAC made a small surplus of £5,576 which is money
raised and ringfenced for renovations and essential repairs.
Page 4

Park stmt P•rfornilng Arts Centr•
Report of th• Trustèe8
for the y•&r ended 31•t July 2025
STATEMENT OF TRU3TEE8' RESPONSIBILITIE8
The trusteej (who •re 8150 the directorn of PSPAC for the purposeg of compary law) are responsible for preparing the
Report of the Trustees and the fin8ncial statements In accordance with 8pplicable law and United Klngdom Aceountlng
Standards (United Klngdom Gener81ty Accepted Accounting Practice) including Flnanclal Reporting Standard 102 Yhe
Financi81 Reportlng Standard applicable in the UK and Republic of Irelanrf.
Company law requires the trustee8 to prepare fin8ndal statements fof each financial year vthich géve a true and tsir vfew
of the state of 8ffair8 of the charitable company and of the Incoming resources and application of resourceg, indudlng
the income and expenditure, of the charilable company for Ihat perlod. In preparing those financial st3ternents, th
trustees are reqUI￿d to;
select suitable accounting policles and then apply them congistently;
obseNe the methods and principle8 in the Charlty SORP;
make judgements and estimates that are reasonable and prudent;
prepare the financlal statements on the going concem basis unless it is inappropriat8 to presurne that the charitable
company will contlnue in business.
The trustees are responsible for keeplng proper accounts'ng records which dlsclose wth reasonable accuracy at any time
the financial position of the charitable company and to enable them to ensure that the financial statements compty Nfflth
the Companies Act 2006. They are also responsible for safeguarding the assets of the charitable company and hence
for tsklng reasonable steps for the prevention and detection of fraud and other Irregularities.
Approved by order of the board of trustees on IS May 2026 and signed on its behalf by:
E Lewis - Trustee
Page 5

R•port ol th• Ind•iMftd•ffi È*•mlTr•rn to th• knib•f• ol
p*￿ 8trn•t P•rfonTrlng Art• C•ntr•
Ind•p•nd•ftt È%•fflln•e• R•port to th• tnMl••• ol P•f* 8tr••t P•floftnlng Art• C•ntr•
I report to the eh•rlty trusteei on my •x•mln•tkni of th• •¢¢￿￿tt ol el*rft8bh eompary for th• ye•r éflded 31 st J(fy
2025 vthlch •rn W out on pw 7 to 13.
R•*pon•lbllftl•• Ind ￿11• of r•port
the ch•rrt8ble ￿mP&ny,$ truslees (•nd •l•o fts dtreet￿ ft* the SXffPOStt ol eornpary i￿> ￿ •f• f
Ihe prep•r8llon of the •ccounts In •ce4rd•nce the reryttements of the Chafitfies Act 2011 ('fv Arf) and Cofflwn*g
Acl 2008 ('the 2006 Act).
H8vlng B•tlified myseff th8t the •c¢￿T￿9 of tho charftSb￿ Cofwry we nol feqwed to the I￿111•d undef Part 16 of tho
2006 Act 8nd are ellglble for Independenl examln8tion, I report in regped of my examinatlon of your charltable cofflpaftf•
•ccounts as carried out under 8ectlon 145 of the Ad. In c8rying (xrt rrry examination I have fofffftd the DérecOonJ gfve
by the Charity Comrnl8$lon under sectic￿ 145(5)(b) of Act.
lftd•p•nd•nt •x•mln•rf• gtat•m•nt
I have completed my ex8minatlon. I confirm that no materfal mattern have come to my 8ttentkM fft connection the
examlnatlon glving me cause to believe:
amjntlng rwds ￿ere not W In regpecl charltth C￿ry as re(pJr&l ty ￿ 130 crf ty Secfj
386 ofthe 20C6 ￿. c
3. ￿ actOLmts do c<xnF*y wth the 8ppltabie requirements of SedKm 396 of the 2C￿ kt I￿￿ ary
trwt the 8cEtyJnts glve a ￿Ve and falr vw vh)rJ)1g not a mattff consKlered 89 part of an indeperKlent exThth; cy
aca)unts have not been prePa￿d in xcordarKe with n￿tIKXts aTrJ Pri￿pIeS of Staterrnrt of Recc¥M
PrxtKe ICY axountry reFXXtirrfJ by charities (aN)fts￿e to charloes rKeparfng their xcwrts n xccrfttarte vath
FnwKial Rwbng StaTr3wd appllcable UK ￿ Repubk of Ireland (FRS102)).
I have no concems and have come across no other matters In connection with the examination to which atteritTh Sh￿Id
be drawn in this report In order to enable a proper understanding of the accounts to be reached.
S Hesford FCCA
I S May 2026
Page 6

Park 8tr•et Porfornilng Arts Centr•
Stat•m•nt of Flnanclal AcUvltl•g
(Includlng Income and •xpendlture account)
for th• yoar •nded 31st July 2025
2025
Tofal
funds
2024
Total
fvnds
Unrestricted
funds
Restrlcted
funds
Notes
INCOME AND ENDOWMENTS FROM
Donations, legacies and grant8
Charitable activitie8
Other trading actlvities
26,131
76,645
11858
1,000
27,131
76,545
11858
11,083
81,592
13,260
Totsl
114,534
1,000
115,534
105,935
EXPENDITURE ON
Raising funds
Charitable activities
4,290
104,668
4,290
105,668
6,525
99,037
1,000
Totsl
108,958
1,000
109,958
105,562
NET INCOMEI(EXPENDITURE)
5,576
5,576
373
Transfers between funds
Net movement In funds
5,576
5,576
373
RECONCILIATION OF FUNDS
Total funds brought forward
8,470
8,470
8,097
TOTAL FUNDS CARRIED FORWARD
14,046
8.470
All unrestricted funds are general funds.
The notes fom part of these financial statements
Page 7

P•r* 8tr••t P•rtoffilng Art• C•ntr•
(R•gl•t•r•d numb•r: 0gT032761
Bil•nc• 8h••t
3191 July 2026
2029
Totsl
lund•
2024
Total
fijnds
Unregtrkt
Regtrkted
Notes
CURRENT A83ET8
Stock
Debtorn
Cash at bank
11
12
1,318
1,S84
12 287
1,318
1,884
12
1,182
8698
15,189
16,189
12,484
CREDITOR8
Accruals and deferred income
13
1,143
1,143
3,994
NET ASSETS
14 046
14 046
8470
FUNDS
14
un￿strICted funds:
General fund
14,046
8,470
Restricted funds
TOTAL FUNDS
14 046
8470
All unrestricted funds are general fvnds.
For the financial year in question the charitable company was entltled to exemption under 477 of the Companies Act
2006 relating to small companies. No members have required the charitable company to obtain an audit of its accounts
for the year in question In accordance wlth section 476 of the Companies Act 2006. The trustees acknowledge their
responsibilty for complying with the requirements of the Act with respect to accounting records and for the preparation
of accounts.
These financial statements have been prepared In accordance with the provisions applicable to charitable companies
subject to the small companies, regime.
The financial statements were approved by the Board of Trustees and authorised for issue on IS May 2026 and were
signed on its behalf by:
E Lewis - Trustee
The notes fomi part of these financial ststements
Page 8

Park Str•et P•rfomilng Art• C•ntr•
Note8 to th• Fln8ncl818tatemontg
fr>r th• y•ir •ndèd 31•t July 2025
ACCOUNTING POLICIE8
Ba818 of proparlng tho flnancl81 statem•nts
The financial statements of the Ch8rltable Company, limited by guarantee, whlch18 a public benefit entty under
FRS 102, have been prepared in accordance wlth the Charitieg SORP (FRS 102) 'Accounting and Reportlng by
Charities: Statement of Recommended Practice applicable to chaflties preparing their accounts in accordance
with the Financial Reporting Standard applicable in the UK and Repubfic of Ireland (FRS 102) (effedNe 1 January
2019),, Financial Reporting Standard 102 The Financial Reporting Standard applicable in the UK and Republic
of I￿land, and the Charities Acl 2011. The flnancial staternentg have been prepared under the hlstorfcal cost
convention, with the exceptlon of Investments whlch are included at market value, as modified by the revaluatio
of certain asset9.
The twstees con8ider that there are no material uncertainties about the Charity's ability to continue as a going
concem.
Income recognltlon
Income is measured at the fair value of the conslderation received or receivable. The policies adopted for the
recognition of income are as follows:
Income from donations, govemment and other grants, whether capital or revenue, is recognised when the charity
has entitlements to the funds, any perfomance conditions attached to the grants have been met and it is probable
that the income will be received and the amount can be measured reliably.
Expendlture
Liabilities are recognised as expenditure as soon as there is a legal or constructive obligation committing the
charity to that expenditure, It is probable that a transfer of economic benefits will be required in settlement and
the amount of the obligation can be measured reliably. Expenditure is accounted for on an accruals basis and
has been classified under headings that aggregate all cost related to the category. All expenses including support
costs and governance costs are allocated to the applicable expenditure heading.
Allocatlon and apportlonment of costs
Support costs have been allocated between administratlon and govemance costs. Governance costs comprise
all costs involving the public accountability of the charity and its compliance with regulation and good practice
such as costs related to bookkeeping and independent examination fees. There has been no apportionment of
costs.
Taxation
The charity is exempt from corporation tax on its charitable activities.
Debtors and creditors recelvablelpayable wlthin one year
Debtors and creditors with no stated Interest rate and are receivable or payable within one year are recorded at
transaction price. Any losses arising from impaiment are recognised in the statement of financial activities
allocated to the appropriate heading.
Stock
Stock is Included at the lower of cost and net realisable value.
Fund accounting
Unrestricted funds can be used in accordance with the charitable objectives at the discretion of the trustees.
Restricted funds can only be used for particular restricted purposes within the objects of the charity. Restrictions
arise when specified by the donor or when funds are raised for particular restricted purposes.
Further explanation of the nature and purpose of each fvnd is included in the notes to the financial statements.
Page 9
continued...

P•rk Str••t P•rtofftlng Art• C•ntr•
Not•• to th• Fln•nel•l 8t*t•ffl•ftts •
fot th• y••t •nd•d Jl•l July 2028
DONATIONS AND LEGACIES
2028
2024
Doniiioni
Gr•nts
6,820
21
7.8S8
27 131
11083
Grnntj recèlved, Included In thè above. 8ro 81 followg:
Arnle5t
Slr J8me8 Reckltt Ch8rlty
Dechra Ph8miaceutlcali Llmlted
Clty He8lthcare
8A95
1,000
9,316
21311
CHARITABLE ACTIVITIES INCOME
2025
2024
Theatrical Perfomiances
Class Feel
Exam Fees
Summer School Fees
16,335
57,100
2,070
26,221
51.867
2,654
1050
76 S45
81.592
TRADING ACTIVITIES INCOME
2025
2024
CafélBar
Merchandise
Venue Hi
10,030
828
1000
10,978
947
1335
11858
13,260
RAISING FUNDS
2025
2024
CafélBar stock
4290
6,525
Page 10
continued..

Par* 8tr••t P•rfomilng Afts C•ntrn
Not•• to th• Flnancl•l 8tat•m•nts & contlnu•d
for th• y••r •nd•d 31•t July 2025
CHARITABLE ACTIVITIE3 CO3T8
Support
cost8 (see
note 8)
Dlrect
cogti
T￿31*
Dlrect charltable 8cttvltles
Suppof1 co3t8
65,151
65,1S1
40
40 $17
17 105 668
40 $17
65 151
SUPPORT COST8
Communication
Servlce Charge
Rent
Rates
Electricity
Cleanlng
Decorating
Card Feel
Office Supplie8
Gas
Accountancy
Insurance
1,232
4,127
20,035
3,959
7,158
$4S
160
TT2
1,912
593
NET INCOMEI(EXPENDITURE)
Net Incomel(expenditure) is stated after chargingl(creditlng):
2025
2024
Independent Examiners, remuneration
115
245
Page 11
continued...

rk Strn•l P•rfoinilng Artg C•ntrn
Not•• to th• Flnincl•l 8tst•m•nt• . conUnu•d
ft>r th• y•at •nd•d 31•1 July 2028
TRUSTEÈ8' REMUNERATION AND BENEFIT8
Thère arn no trUit￿, r•muneratlon Of Ott*f b￿￿trtI lof fv P•fknd •nded 3191 Juty 2025 Of 31gt Juty 2024.
fru•to•g' •xp•n••g
There were no truit•e•' expènse• pald f(x thé year ended 31￿ Juty 2025 nof fcrf the perfod ended
31 It December 2024,
10. COMPARATIVES FOR THE 8TATEMENT OF FINANCIAL ACTivrriE8 (RESTATED)
Unrestrlcted Regtrlcted
fundg
fvndg
Tcrtal
funds
INCOME AND ENDOWMENT8 FROM
Donatlon8 and legacleg
Charftable actfvities
Theatrlcal performance8
Other trading 8Ctivltie•
11,083
55,371
26,221
13260
11.083
55,371
26,221
13260
Total
105,935
105,935
EXPENDITURE ON
Raislng fundg
Charitable actlvltles
6,525
99,037
6,525
99,037
Totsl
105,562
105,$82
NET INCOMEI(EXPENDITURE)
373
373
Transfers between funds
Net movement In funds
373
373
RECONCILIATION OF FUNDS
Totsl funds brought forward
8,097
8.097
TOTAL FUNDS CARRIED FORWARD
8,470
8470
Page 12
continued...

Park Str••t P•rfomilng Art• C•ntr•
Not•• to th• Flnanclal 8tat•mont8 . ¢ontlnu•d
for th• y••r •nd•d 318t July 2025
8TOCK8
11.
2028
2024
CafélBar Stock
1318
1182
12. DEBTORS
2025
2024
Accrued Income
Other Debtorn
322
2,262
1,584
2584
13. DEFERRED INCOME
The deferred income for 2025 relates to summer school feeg vthich takes place over the summer after the year
end. In 2024, deferred income also Included musician sponsorship income for a post year end sh(M and a grant
received for summer renovatlons.
14. FUNDS
The general fund represents fvnds which have no specffic deslgnation and are simply for the chartsble purpose
and objectlves of the charltable company.
The restricted fvnds represent a grant recelved In year for SEN Classes whlch was fvlly expended against
teachers wages for the SEN classes.
15.
RELATED PARTY DISCLOSURES
The son of one trustee recelved remuneration of £60 (2024: £nil) during the financial year for his role as a
receptionist.
The daughter of one trustee recelved remuneratlon of £nil (2024: £50) during the financial year for her role as a
teaching assistant.
Both roles were paid at the standard rate paid for this work In Park Street.
All trustees made some payments to Park Street Perfomilng Arts Centre throughout the year to participate in the
actNlties Park Street puts on, however these were at market value, the same prices other non-trustees will pay
and therefore do not require disclosure.
Page 13