Compw registratton numlxr. l(K116205
Charity re8i5tration number. 1169406
Hanthnade Theatre
(A c(rfnpny limited by giMrarrte¢)
f(ff the Year Ended 31 Match 2W24
RWB CA Limited
Northgate House
North Gwe
New Basford
Nottingha
NG7 7BQ

Handmade Theatre
Contents
Ito4
Ststement of Trustres, Re$w￿lb]Ilties
Independent Examinerfs RepDrt
Statrment of Fina￿10] Auivities
7t08
Balan¢¢ She
9t0 10
Note5 to tl* Financial Sts*m
11 to21

H*ndmxde Theatre
financial staternents of charitsblc company for the ye4r 31 Ma￿h 2024.
Objectives ￿￿1 *ctivib
Objeas and #Ims
Our work benefits a wide range of 88e5 and abllities aThJ *t keep expThlin8 our r￿¢￿. We ￿¥¢
ext¢nsively with children and young pwle inclwling tlw with SEN. (kn rexh is widening &s our projects take on
new forn)s as we WO￿ with a bnmdw of ¢(￿m• and furthu afield. Wc aim for all ages and abilitie5 to
ba)efJt from our wot
be¢n able to Physic￿]Y engage in the pasL SO ￿ selea work or WTite pro￿saI$ wh￿¢ w¢ see a gap in provision.
Our work sp8As many groups inclwling chilkn y(Mmg people aThl the elduty. We a150 aim to reach minority
groups WIM) will berth rrx>st from (rtty tKArd agrees to CLMnmissirns ¢lwly rneet these aiNLS and
obj#liv¢s and ar¢ within bwl8et and line with our trfLsintss plaD.
In shapin8 our objectives for yeJr aT¥I plarming our aL#Évities the have c4Jnsidered Ch#rity
Commlssion's guida￿¢ on public benefiL rAyin8 IMrticu]ar attemion io the arta regardRng fee charging whue we
work closely with our presenting parth¢rs to a&Jress this issue. Thr trustees o)nfimi that they have cornplied with
the wuirements of stttion 17 of the Charitie5 Art 2011 to have due r¢8ard to the public l￿fil guidan¢¢ published
by the Charity C(*nmission fry En8land and Wale
Flnand*l rtvlew
The incorne inCr￿s•j from £75256 ¢0 £88.66l. Th¢ attumulated fiuMi8 of the chwity * 31 M￿Ch 2024 were
£21912 (2023: 28,590) whi¢h neBativ¢ frtt reserve5 of £293.
Policy resep
The Chariry h&s Wive free reserves at 31 March 2024. ixrt aiming for ￿serVeS equivalent to I motrths
running costs by the end of th¢ finarKial ytar 202&2025. with an tnIe￿tE￿ to incre&* this ￿ 3 months nmning

H8xdmade Thegtre
Trnstees. Rewjrt
Aobi¢v¢o**ts athd perfonn•Dce
Trusts and foundations have inve5trJ in (wongoing thse sufftt1￿ with Deffl￿a or ￿)g￿lti¥¢ irnpirnKnts
incl￿j1￿g a substsntial long-temi investsneth from the N￿lon￿l L• CLYnmuntty Fund which helps to SUPFX)rt
atKI expand the ongoing work in c4re atxt LY)rnrnunity 5¢ttings. This w)rk Iw tIK¥efore increased along with
the OP￿rtunI1]eS have bcen able to offer to vulTmble wup5. W¢ l¥ve seen this knefit the groups wt
WOTk with as well as iYin8 on80iD8 wyyrk for regular arws.
Touring has been EKM)sted by the suecessfid Grant towatds the making of Tell Me A Story from ACE to creat¢ a new
pl￿t of wrrk with WIK￿ we kne deviscd a piece for tourin& a 5knw which can
toured to larger scale festivals and smalkr Yenues swh &$ (we IKxn4 WilderNests and Too Many c(￿ ¢ontinued
Oll a SEwller scale as well as Thirstm￿ 51KM5 of The TTh￿ve Birds of CThristiw.
We rettived a ¢A)mmi&sion from AFVIa￿ Ruraj Touring to &velop a new with pupws whieh has been
and the t(wtng of this work h&s 1*g￿ irt this ye4r and will ciKrtinue [￿xt year.
We were also able w offer a smalltt Busking slM>W for venues a￿1 evetts that had snylkn fees and yow
a￿llence& This meant a busy Surn￿ helFfd to iwst our e4rned inc1)n￿ for th¢ year and coutd support
(Nottingham Univttsity Flospitsls) ChaT1t1￿ and devel(￿1 ow wntinued Telationship with the Nottingham City
Coun¢tl.
Board meettn8s hav¢ ¢mtinued to tske pl*¢ via Zo(¥n as Th)w have a FM)ard which several cities in the UK
so ZIM)m f¢¢ls like a way to bring everyone tO8ther. We are able to wx)rk flexibty the of all of
th¢ to enwrc that continue a 8(KxI turn-0￿ at meetings.
We had two board resI￿￿til*Ll dL* to e4xity wtthin the Individ￿5. l(*d which has Se￿ the netsl fty new
tr￿tee5 and we have been wo￿lnE towarts #p￿Enting tr￿$te¢S who meet the 88ps in Iwr ix)8rd. W¢ are appro￿bing
Wc have (￿nt￿nUed to refir* and develq) bcArd aThl pAi¢i¢s.

Handmade Theatre
Trnstees, Rewjrt
Refe￿nce and Ad￿]DIst￿lI¥e D¢¢*i
Charity Registration Number:
11694(
Company Registratim Numlw.
I(X)16205
The Charity is in FAElaThl aThJ Wales.
21 Carlingfwd R<N*l
H￿kn￿lI
Notiinglw
NG157AE
ID(krKndent Examintr:
RWB CA Limitrd
Nothgate Howe
Ntth Gate
New B&$f￿d
Nottingham
NG7 7BQ
Trusteeg officeTS
The trus*es aThJ officers servin8 during the year aThl siThx the year ￿ wut as folknvs:
TnL8te£s:
Miss M L Benthg)n {re5i8ned 10 May 2023)
Miss J Mcaulay {re51￿￿d 10 May 2023)
Mr A P Sloan
Mrs H C *¢veD& Cbair
Miss L Ken￿dY (reSI￿￿j I l (kaoiv 2023)
Miss C AtTrens
Miss E Hart
Miss S M Gunn
S¢rnctllr4 governa•ce m*4ag¢m¢mt
Registered charitable Company limital by S￿￿11￿. on 19 FdKuary 2016 aThl registered a Ch￿lty
on 29 SeV￿ber 2016. The COTnpany was esthblished a Memornndwn of ASS￿latiOn which c￿blished the
objectives 8nd powers of the charitable ¢4)Mp￿Y is 8overned urwjer its Articles of A55(Kiation. In the ¢veni of

Handmadt Theatre
Trnstees, Re￿rt
The Management ofthe charity is the respM]sibility of tru￿¢¢5 are elecwj and undtt the tems of
the Mernordndurn Articles of Asso¢i*ion.
TTUStee5 are recnttted by the ¢ompany for d*ir YaTied b￿k￿￿ and wialist knoWI￿ge will suppxt the
company in different areas of its exisiente.
New truste£s are gtven an indudioll to wisation and tiainirt8 where apwopri* in line with the Charity
Commis5i¢)n guida￿e.
Handmade Theatre w&s e5th1hshed in 2011 by Amy Ni¢lKJls(*) and Suzy followtn8 a long.*rm creative
parts￿r$hip as the SHRUG Ladies. Try lead all the creative and ETrlical activity UTmle￿e1t by the company,
ysing their ¢ompleTnentary skills to Cover diffemi asw of their broad wide reaching roles.
All Trnstees are familiar the practÉe41 WLYk of the thrity. attwKiing public and inclusion in the
developTnent of the curreni tKfjiness plan.
audi￿ contrtbuiing io the sm(M)th nmning of the compan). The Chatr of the PA)ard directs the meettngs aThl is i
place to deal with any isyxs that may arise re8ardin8 complaints ￿￿edUres.
Small com￿￿•¢$ provi5iOD St*temeDt
This report has been wepared Tn accord￿ with the small e(thrAnies regi￿* uththe Comp3nies Act 2006.
The annual r¢port was appn)vd by the trustees ofthe Chrity on 2 (k#ober 2024 and on its behalf by:
Mrs H C Stevens
Page 4

HaDdmade Theatre
StateJDent of Trustees, Responsibiliths
The trustees {NIK) are also the dirECtor5 of Hanth￿ TIKatrc for the TMwp)sts of company law) are resp)nsible for
preparing the trustres, rqx)rt 9￿j the financial stalen￿ in accord￿￿ with applicable law and United Kingdom
Ac¢ouniing Stsndards (Unitrd Kingdom Ge¥)ernlly Accemed A¢o)unting PraLtrek incI￿]ng FRS 102 The
Financial Rqx)rtill8 StaEthd a￿li(zb1¢ in UK and Republic of IrelaThJ".
trustees not aprffove the financial Statern￿ts unless tIKy alc satisfi￿ Ilw give a aThl fair view of the
stste of affairs of the charitabje cornpw aTKI of the incoming resources and appli¢ation of res)urcts. including its
incorne and ¢xpeT¥Jiture. of the Ch￿]￿ble company foT wiThl. In weparing these finartia] statements, the
tru5tee5 are required ￿..
select suitable accounting wjlicies apply them CO￿ls1¢￿tty.
observ¢ the m¢th¢xLs and winciples in the Charities SORP.
make judgements and estimatcs that are re￿nable aThJ prthL
siaie whether applicable 8(t(MJnting ￿ar￿J￿d4 ¢(wising FRS 102 kne bEen followe<L subjett to any material
￿qWt￿ dis¢losryl and explained in the finarKial and
pr¢par¢ the finarKial ststements on the going concern basis unless it is inawrwate to presume that the
ctwritsble ComF￿nY will ¢Othinu¢ io busines>
The tntstees are respcffisible for keeping rropty acccrtuthng tlwt disclose with lets)n￿le ￿Ur8¢Y at any
time the financial ]X)sitiC￿ of the charithble comwiy aThJ ￿able them to tnsure that the fillancial statements c(rfnply
with the ComtAnies Act 2(K)6. They are a]50 reS[￿nSible for 5afcgwdtng th¢ assets ol the charitable company and
hence for tsking sw)9 for tlr prev•)iion and ddection of fraLMI (rther irre8ul&ities.
Th¢ trusiees are re$￿sIble for the maintrnance and inte8rity of the ¢OTptrate and finasJ¢ia] infI)rM￿l0rt in¢luded on
the charitable compan￿5 wd>5itr. IKgi51ation governing the prepaNI(￿ aThJ dis5¢mi￿on of financial staternents
may differ from legi￿9110rt in other jwisdiaions.
ApEX0v￿ by the trwtets of the Cl• on 2 OctLthr 2024and Si￿j on its behalf by:
Mrs H C Stevens
Truslee

HaDdmad¢ Th¢¥tre
Independent Exgminer's Re￿rt to the Irustees of Handmade Theatre ('the Company,)
I r¢p)rt to the Chrity In￿ my ex4min￿1c￿ of the ¥&XMDtyS of the Ctynpany for the year 31 M%￿h
2024.
Respon$ibilitiu •nd b￿15 of report
A5 the Charity's trustees of the C(xnwry (aThl aLso its di[tt#0￿ for the wrw>sts of law) you are
restM)nsible for the prepamion of ￿ accounts in accord￿ with the rffjuirements of the Comwies Aci 21K>6 ('th¢
2￿6 Aa.).
Havin¥ satlsfied mysdf that the accounts of the Company are nol required to be a￿Jited UTKler Part 16 of the 2006
Act and are eligible for indyndent examinatio￿ I repffj In rest*a of my ¢xamin*ion of your Charity"s aC￿Urtts
as carried Under serfion 145 of tl* Clwiiies A¢¢ ?01 l {"the ?01 l Aa'l. In carrying out my examination I hav¢
followed t￿ Directions 8iven by the Charity c￿￿MisSion under section 145{5Mb} of the 2011 Act.
IDdependettt exxMi#¢r'$ sl*t¢thMt
R have ts)mpl¢t¢d my examioaiion. I ¢￿fIrM th# Th) manets have wne ￿ my all￿110￿ in connection w¢th the
examination giving me Ca￿$¢ io tr¢lieve.'
l. accounting records wtre tK)t keN in respttt of Theatre Tequirnl by 386 of the 2(M)6 ACL
3. the accounts do not comply with the xcounting Tequirements of Sttill￿ 396 of the 2(M>6 Aa (ther than any
requiretnent that the accounts give a 'true arml fair view which is ￿t a matter consi¢knd as part of an
independent examinati(m: or
4. the ac¢ounts have not been preparwj in a¢rord#n¢¢ the me¢lKKts and principles of the Statement of
Recommended Practi(t for a¢¢<xtt)tin8 and ietmytxng by charities lappli¢•ble io chartti￿ p￿I￿n￿g their
a¢¢oiiiits in a¢¢OrdaI￿ with the FIn￿￿la1 Rewjrting Stand￿￿ applicable in UK and Republtc of l¥tland
(FRS 102)].
I have T¥) eoncern5 aTxI have come acN)5s no other rnatteT5 in C(mneCli(￿ with the exarnination to wthich attention
Sh￿]￿ be draw? in
Neil
upl
North￿¢ House
North Gate
New B&sford
Nottingham
NG7 7BQ
2 (knober 2024
Page 6

Handmade Theatre
ststement of Financial Activities for the Year Ended 31 March 2024
(Including Income 2nd EX￿ndi￿re A¢¢oynt #nd Statement of Total Reeogniqed G8ins and
Unrestrirted kntTiCte41
fuDds
Tot81
21124
Note
Intome and Endovlmemts from:
Donations and lega¢i¢s
Charttable artivitie5
Other trading activities
Inve51ment income
150
46.569
1.591
40J40
40.490
46.569
1.591
Total income
48.321
40J40
88.661
Expendit￿￿
Charitable adivities
47.21M
47.135
94,339
(47.204)
(47.135)
(94.339)
Net incomeJ(extaitwe)
Net movemetrt in fth
6.795
5.678
1,117
{6.795)
(5.678)
RttoDciliation of f•Ads
Total funds Wt forw*rd
1.410)
28.5
18
293
23205
22,912
The Tr￿5 on pages 11 th 21 fomi an integvd pan of these fir￿￿la1 statem￿.

Handmade Theatre
Statemettt of Finaneial Activities for the Ye¥r Ended 31 Mgrch 2024
(Including Ineome gnd Expendithre Account and Statement of Total Recognised Gains and
Unrestrirt￿ Restricted
Dd5
fo•ds
Total
Note
lTrcorne *Dd Endowme•ts from:
Donations and legacies
Charitable activiiies
Other tradin8 activities
Totsl illcome
14.240
28,015
33,(XK)
47,240
28.015
42.256
33.(KKI
75256
Expenditure on".
C.haTitable activities
(43.319)
(3.(
46.319)
Totsl expenditure
(4.3.3191
46,319
lexpenditureyiTKome
{1.(kn3
30.000
Net movemeTrt in fiuKL
(1.(63)
30,0(K)
28,937
R¢coDeiliation of funds
Total fvnds tffoutht foThv8rd
{347)
(3471
Total fjjnds carried forward
18
30.(M)O
?8,590
.411 of th¢ Charity's activities knve from Continuing OF¢￿10n$ during the alK)ve two peri(Nl<
The tKrt¢s ort pase5 11 th 21 form an Inte￿al part of these finarKial statemen

HaDdmade Thegtre
(Registration number: I(￿16205)
Balance Sheet ￿ at 31 Mareh 2024
2024
2023
N•)¢e
Fiied *&Yts
Tangible &ss¢ts
13
1.150
674
Current assets
Stocks
Debtor5
Cash ￿ bank and in hand
14
15
16
18,464
7.408
30,032
2.564
25.972
32.696
Creditor5: Amownts fxuimg witbiA yt*r
17
{4.210)
(4.780)
Net eurrent aS￿ts
21,762
27.916
Net g58ets
22.912
28.590
F*•ds Of the Ch*rity:
Restricted intome hnds
Restricted fiLTwJs
18
23205
30,(X)O
Utyr¢strit¢¢d i#com¢
Unrestricied funds
(293>
(1,410
Tolal funds
22.912
28.590
For the fjnanctal year ending JI March 2024 the CIMrity entitl￿ to exemoion frorn audit WKkr sedion 477 of
the Companies Ad relating to small C￿MPanI
Director5, res￿nsibIlitieS.
The members have not require41 the (]wity to (*ytsin an audii of its X¢(￿nts for the year in quemion in
a¢o)rdan¢e with seaion 476; aryl
The director5 acknowled8e tIKir re5FXXLsibilitie5 fly thmplyin8 with ts rtquirnn¢nts of Act with resFrtt to
These financial Ststern￿ have been wqwrcd in XCOTdance with the S￿la1 provisions Tel￿1ng to companies
subjea io the small ¢(Mnpanies ￿gIMe within Part 15 of the Comwies Alt 21kn.
The n(rtes on pages 1110 21 fomi an Inte￿ prt of these finarKial statern￿.

HaDdmade The4tr¢
(RegistratKbD a4JDber: l(M)16205)
Balance Shed as at 31 March 2024
Th¢ finart¢ial s131¢ments on page5 7 to 21 Mtre apryoved by the trus*¢s, aThJ a￿th￿*Se￿ for issue on 2 (knober 2024
and on their behatf by:
Mrs H C Stevens
Trustrf
The t￿¢$ on pageg 1 I w 21 fom) an ithe8r￿ part of the* financial s￿tem￿.
Pa8e 10

Handmade Theatre
otes to the FinaDcial Statements for the Year Ended 31 March 2024
I Cbarity stat￿$
The Charity is limited ty Biw￿¢¢, iWJr[K￿ed in England 8nd W8le% ￿ld consequently does not have share
capital. Each of the truth5 is liable to c1x)tri￿C an amount not excaing £1 towards the assets of the Charity in
the event of Ikquidation.
The address of its regi5tcred office is".
21 Carlin8f(Kd R(Md
Hucknall
Nottingham
NG15 7AE
2 Accollmting polities
Summary of signific*mt acc¢w*ti•g PAI￿ k¢y •cco¥ntimg
The principal accouMing p)li¢ies applied it) the pretthmion of the￿ finarKia] $wem￿ts ar¢ s¢t out below. These
policies have been consistenty appli￿ to all the yes15 unless
StstemeTrt of tornpli*nee
The financial statements have lrtn in x¢ordance with Accounting and Rep)rting by Charitie5'. Ststement
of Recommended Prxtict (applicable ￿ ¢lwtli¢s preparin8 ￿1r xciyjnts in with th¢ Financial
Reponing Stsndard applicable in the UK and Rq)ublic of Ireland {FRS 102)) {issued in (ktolxr 20191- (C.hartties
SORP {FRS 1021). the Financiat Repcrfing stsnd￿d I￿11¢3b￿ in the UK arwj Republic of Ireland (FRS 102) 8nd
the Companies Act 2￿6.
Basis of prep*r*tion
Handmade Theatre rneets the defirution of a ￿bItC kn¢fii emiry uThler FRS 102. Assets aThJ liabilities art initially
re¢ognised at historits] cost or transaction value unless <rth¢rwis¢ sthted in the relevant accwjting policy note
Going concern
Exemptiom from ea5b flow st*tsN￿¢
The Charity opted to carly ado0 ￿11¢11￿ I p￿)lIsh￿ on 2 Fe￿ 2016 lthve thurr￿¢ ncrf inclwled a c&th
flow statement in tkn fitwKial stattmcnts.
Incotne And ettdown*nts
All income is reco￿ls¢d 0￿e the Charity has entitlernent to the Inc￿￿. it is probable that the ino)m¢ will be
eived and the amouni of th¢ i￿Orne receivable (xn be Measu￿ reliably.
Pag¢li

Handmade Theatre
Notes to the Financial Statements for the Year Ended 31 Mareh 2024
Donatton5 are ￿gnI￿d when the Charity has been ￿tir1ed in MTiting of tK)th the arwK)unt arml settl¢meTrt date. In
the event that a donation is subjttt to corKliti￿S that require a level of [*rf0mw￿ by the Charity kfore the
Charity is en11￿¢d to the fimds. the In￿Me is deferred and n(* [￿0￿1$*1 Lmtsl either those ¢oThJitions are ￿llY mel
or the fulfilmeni of those Cl￿ditionS is wholly within the contrd of Charity and it is wobable that these
conditions will be fvlfilled in the re￿￿ting period.
Groffts receiwble
Grants are recognised when the Charity an entitlement to the fi￿ts and any o)ndiiions linkal to grants have
been meL Whcre perform8nc£ Ll)rxlitions are attxhed io the gfdnt and are ya io be me( the inLX)me is recognised &$
liability and in¢lutsJ on the ba]an¢¢ shed as defeNvJ itKtxne ￿ t* released.
Expettditure
All expenditure is rcwi5ed once there is a legal or con5truLXive obligation to th* exTKThJiture. it is probable
settlement is ryuired and the anM)unt can be measured reliably. All costs ar¢ allth*d io the applicable exlxndiiure
he￿lIng that aggregaie similar w to th* cakgory. IlThere ¢osts be djytrtly *tritNJt¢d to pMrti¢ular headings
they have been alloL*ed on a basis ¢onsist¢ni with th¢ w of resou¥￿ with (tntraj stsff ¢0s1s a]l(Kated on the
basis of time ￿n( and depreciation charges allocated on the tM)rtion of the &s5et'5 use. Other supry>rt costs are
allocated based on the SFKtad of staff CO￿5.
Charitable 4diTrTI
Charitable expenditure comprises tIm￿ cosLs irKurred by the Cljarity in delivery of its activitie5 and Servic￿ for
its ￿ner￿clarieS. It includes b(th ¢16ts th¥ can ￿ allotatrd dir¢£dy •ivities and those costs of an indirect
ature ￿￿￿Sary to suprA)rt them.
Covern*Dtt ¢osts
These include the costs aUrit￿￿ble to the Charity's compliance with c0nqitirti0n￿ aThJ wuiremen
including a￿j7( stiatcgic Tnatjwent 8ThJ trustees meetings and rermiyjrsed ex￿)5
Gov¢rnm¢nt grnnts
Government grants are rtcogn1s￿ bastyj on the x&Yual nKxkl aNJ are measuroj ai the fair wal￿ of the asset
receivcd or receivable. Grdnts are cl&ssified as relatin8 either to revenue or to &S5ets. Grants relatin8 to revenue are
reco8nised in income over the peri(xl in which th¢ relatrd costs are rtwgnise& Grants Tel￿an8 to &ssets are
re¢ognised over the expected usefitl life of the asseL Ivhere part of a grn)t relating to an asset is deferrf it is
recw)ised as deferred fftncixne.
T¥4xatioth
The c.harity is CO￿lder¢d to pass the tests set in Parag￿ I Scl*dule 6 of the Finance Art 2010 and therefore it
meets the definition of a charitabl¢ company for UK corrH)￿l0ft tsx pwp)ses. A¢eordingly, the Charity is
tentially from tsxation rn of iw)me or capithl g￿￿5 receivaj wthin catrgories CoVe￿d by Chapter
3 Part t l of the Corporatton Aa ?010 or s￿l0n ?56 of ￿ Taxa¢ion of Chargeable Gains A<a 1992. to the
exteni that such intome or gwn5 ar¢ applied exclusively lo rlwitabl¢ PUTP05¢5.
P4ge 12

H*ndm#de Theatre
Notes to the Financial StstemeDts for tbe Year E•ded 31 Marcb 2024
Individual fixd assets are initialty reec￿ded at Iw any subsequrnt ￿nnulat￿ deprec1atft￿ and subsequtht
Depreei*tlon *•d *wrtiMIi
Depreciation is wovided tan8ible fLxed so to ThTite off the c05t or valU￿1th￿ less any e￿lma￿d ttsidual
value, overth¢tr exp#i>J useful eoJy)mi¢ life as folkn¥s:
Asset cl
Equipmeni
Motor Vehiclc
Depr¢dxtion metkod #nd r•
250/• reducing baiance
25% lcd￿1￿$ b
Stock
StsKk 1$ vatuAI at lower of co* aod selling wi¢¢ o)5ts to compl&e and Sell. after due regard for
otsolete aThJ s]ow nThing st(th. is thtemiirto using the fi￿.1￿ IFJFO).
Trndt debtors
Trade debtors are r￿o￿lised iniiially at th¢ tranwlion Ffice. A w0visi￿1 for the imrAkrnte4rt of trade debtors is
esthblish￿ when there is objective the charity will not be able to collea all &m￿nts due ac£ording to
th¢ oriwal t¢m)s of ts wivable&
C*sh xDd cAsh ¢qviv41ents
Cash and cash quivalents comwis¢ Ash 2t¥l LXII I￿￿51￿ atmi other SI￿.terni hi8hly liquid inves1￿ts
thAt are readily ¢￿v￿lbIe to a kTh)wn am¢Jtsx ofcash amd are gjbiea ￿ an lAsignifi￿nI risk of in V￿uc.
Borrowings
Interest.bearing t*)rrowi￿ ale initialty rxoTd>J * fair valu4 of transackn ¢o¢s. tntuest.be4ring I￿roWing3
amount ¢Jn rthptiryh b¢ing rwi%d &5 a ¢lwrg¢ to th¢ Statemert of Financia] ALtivities over the period of
the rel￿2￿1 i￿rOWI
Int¢r¢st is ff¢ogniS￿ on tl* of th¢ ¢ffe£tive intu¢st nthd aDd is in interest payabl¢ and
similtr ctrthr
Borrowings cl&8sified as Lxmtnt liabilities unless the Chwity has an unc(ffith(rfwl right io defu s￿l￿￿ent of the
liability forat least twelv¢ aft¢r th remirs date.
Fund strllelure
objectives of the Cknrity.
Page 13

H4ttdmgde The4tr¢
Notes to the Financial Statements for tbe Year Ended 31 Marcb 2024
restricted to that ar¢a or purws¢.
3 Incom¢ from donatms *•d legKi
Restrieted
Totsl
2024
Celler•l
D(wions and lega¢ies;
tknnations from it￿1vIdUalS
GTrnts, includtng capital grants"
GT#nts frorn other charities
150
150
40.340
40J40
40,490
nds
Gep¢r*l
R¢strf¢t¢d
Tot•1
2023
Donations and lewi
LknnatiO￿8 frorn tThlividuaLs
Grani4 Incl￿j1ng
G)vernmeni grants
5(Ml
30,(KK)
30,(KJO
16,740
13.740
14240
33.IKJO
47240
4 Income from ch*ritsbie *etrvits
Totsl
2024
GeD¢r*l
Proj¢rt aThJ iwimg income
46.569
46.569
U•rtstritted
Tot*1
2023
G¢n¢r*l
Project and lowing inc(*
28.015
28,015
Page 14

Handm¥de Thegtr¢
Notss to the Fin¥n¢i*l Statements for the Year Ended 31 March 2024
5 lo¢om¢ from olh*r tr*di#g letivities
Umrestricted
funds
Gethtr*l
Tot*1
(￿￿￿5
Events income:
Theatre t&x claim
.574
1.574
Total for 21)24
1,591
1.591
Tot*1 for 21
6 Imvestmellt income
fu•ds
Totsl
fwnds
IDt¢rest rettivable and 5imiSar incimnw,
Interest receivable on th￿lts
Totsl for 2024
7 Expe*dlt•rt on eh*rit*blt *etivÉlios
U•r¢stricted
funds
GeM¢r
Total
2024
Dds
31,615
3.728
47.135
78,750
3.728
995
Travelling
Subwimions
Sundry
Det*e£iation
(Profityloss on disr#AaJ of ￿gible fix￿1 asfj¢ts
5.969
334
334
462
233
2J83
462
233
2.383
45.835
47.135
92.970
Page 15

Handmade Theatre
Notes to the Fin¥dncial Ststements for the Year Ended 31 Mgrcb 2024
U•resir6tt¢d
funds
Res¢ri¢ttyJ
fuBds
Totsl
21123
Direct pr￿uCtIOn cosLs
35.069
38,069
3.160
887
Insurnnce
Travelling
Sub5criptiorts
Sundry
Dep￿i￿lon
Research and m8rketÉng
85
137
225
85
137
225
189
422
45.200
In addition to the eX￿dIt￿re analyscd th￿¢ ar¢ aJ50 gov¢nwn¢¢ costs of £1.369 (2023 - £1.119) which
relate directly to charitable aLlivitics. See note 8 for fijrther doails.
8 An*tysis of eDvern*mce *md support Costs
Govero*tset Costs
Unnstrirted
Totsl
21124
G*4¢r*l
Inikpend¢ni ¢x8mtn¢r fees
Exarninatioll of the fIna￿l￿1 ststernents
Legal fee5
360
13
360
13
1.369
1.369
Page 16

Handmade Theatre
Notes to the FiDancial Ststements for the Yur End¢d 31 March 2024
Unreslriet•J
fynds
General
Total
2023
Ind¢pendent examiner fee5
EXamEnati￿ of the finarKial
iw] f¢
13
13
Net (¢wingYincoming rc50urtts f(r the year i￿1￿1¢.
2024
2023
tkwe¢iation of fixed &8sets
462
225
10 Trustee5 remll•eTrtiDTr *•d expeDses
No trI￿tteS hav¢ rxeiv&l any ￿lMiM￿S*j or benefits frKxn the charity during the y¢•r.
I I l*depettdeat euminer's remumention
21124
2023
Examination of finwial
12 T￿tifj
The Charity is a rtgist¢r•l ¢harity at¥1 is thuefiwe exemo fiom tLtsti￿.
13 Tattgible fixed assets
Equipm￿¢
Motorvehieles
Totsl
C(*t
At l Awil 2023
Additi(MLS
Disposa]s
1720
1,750
4,470
1.750
1.750
At 31 March 2024
3.891
3.891
Page 17

Handmade Theatre
Notes to the Financial Statements for the Year Ended 31 March 2024
Eq*ipmemt
Motorweh6eks
Totsl
Deprtti*tioD
At l Awl 2023
Charge for the year
EliMIn￿ed on disp)sals
1357
1.439
78
{1,5171
3,796
462
(1,517)
At 31 March 2024
1741
2,741
Net book val4e
At 31 March ?024
1.150
1,150
At 31 Mar¢h 2023
363
674
14 Stfjck
2024
21123
Sio¢ks
IS Deblor8
21)24
21123
32
30.(MM)
18.420
18.464
30.032
16 amd ta5h eq•iv*lents
2024
21123
C&sh at bank
7.408
2,564
17 Cr¢ditors: hlling due within one ye4r
21n4
2023
Other credit¢)rs
Ac¢rva]s
3.509
1,271
1.301
4,210
4.780
Pase 18

Handmade Tbeatre
Notes to the Fin*ncial Statements for the Year Ended 31 March 2024
18 Fumds
B•lAmce *( I
April 21ll3
BAl811tt 8t31
March 2024
eipeHded
Unrt5tricted fwnd$
General
General fiu
(1.410)
48J21
(47204)
{293)
Restricted hod$
Tell me a s￿ry
(45.135)
(IC#K))
21.705
1.500
35¢XI
Tot*l rtstricteil fvnds
30.(KK
(47.135)
23.205
T•t*l f¥Dds
28.5
88.661
94J39
22.912
B*lance at I
April 2022
In¢omiDg
Balance At 31
March 2023
¢xp¢nded
UDTestrirted f¥nds
Genernl
Genera] fiuK
(347)
42256
(43J19)
(1.410)
Re5tTicttd
Tell rne a story
Dern¢ntia homes
30.(KK)
30.(K￿)
(3.(N)O)
Total restritted fDads
33.1kn1
13,(K)O)
30.0(NJ
Totsl funds
(347)
75256
(46.319
28.590
Page 19

Handmade Theatre
Notes to the Finan¢i41 Ststements for the Year Ended 31 March 2024
N*tional IA>ttery Comrnu#ity Fllnd Gr••t-Teil Me A Story
The project proposal fits with the wisaiion's val￿S of being Inclusive. Playful a￿1 s￿laiN#ble and its ongoing
work of providing 2t￿¢re￿IVe-bI￿ed wrllbeirtg athiviiies for adults with deTneTrtialcogniiive impairments.
Through TNLCF fimding t￿ project wll i]Kreas¢ the Trumbtr of arts.based w¢llbeing activitie5 in comm￿lty
s¢ttings across Ni)ttin8ham to up to 120 parti¢ipants per wttk by the ertd of the projecL SuptKJrt ￿Mm￿lty groups
J hubs to be able to sd up regular arts-bH5ed wellt¢rrtg *iviiies with the supp(rt of key fxllitat0￿.
Will also rdise the profile of the im1￿r￿nCe of adults with Danetrtia b¢kn8 able to access adivilies which tsckle
isolalion and loneliness throu8h Harml Made Thutre's regi{x￿ and nati(*)al clJann¢ls
Out¢omes of the project incI￿le& increas&J Op[￿linEty wjults wtth demeniia and carer to engage in accessibl¢
activities and reduc¢ i501ation. Increas¢ in observed happiness and ￿lI￿1n8 arnong participants Community 8roups
aTHI hubs wll feel able to lead their sessions 1th￿dentty. developing confidence and c4)nnedions within their
own communities. Beneficiaries of the woject will be adults daneniia arKt their carern family memb
community group facilitator5 and commwiiry groups. The projea wll also provide learning (yportuniLi¢S for
Psychology *udents at Nottingham Trcni University. Data will be colleded thr
Arts Coulleil Engl*#d Gr*xt-TeU Me A S￿ry
Tell me 8 swry is an interger*rational PToj￿1 with a dmyne of colledin8 & sharing childhwl mem￿￿e5. It will
create a new r£rformance piece for diwers¢ awllenL￿ IKing togethtr diverse F•rticipants in a crrative journey whith
helps ta¢kle isolation and trM)0s1 well-being.
This proje¢t saw Comm￿111¢5 linkin8 tO8dher in ]Ygular sessioThs and the Cr¢￿ÉOn of a r*w t￿ring thekn show
with 2 Scale options:
.Mid sca]¢ for national 3irn￿ at a family audie￿ ￿ secured datr5 at large ¢(Anmunity evtnts &
¢ommer¢ia] fwivals.
.Srnall scale version for touring IKXIW nuwies & s[￿1 community events.
The ¢olialx)rative &vi5ing pr(KC55 anploya a ran8e of crt*ive& We * hard to reach conununity groups
through w¢ckly S￿1¢￿$ in 2 local care h)ST* l-we¢k residenry in a S￿1#1 Needs sch(x)l and a workshop at a
forest schiM)I nursery. We also used th¢ project to focus on some vits] core busines5 strengthening. Investing in
valued artisty buildin8 our board. ￿TIting a bysiness plan & reviewng comwy policies.
The Jones 1986 Cbarithble Trmt F•Mdi•g
(￿r regular sessions aim to sUp￿rt older people suffer with Danelrtia ¢0 f¢el Conn￿ ￿ those arou1￿ them.
The sessions bring together residents helps them to build confidence and S￿nd titne together sharing siories a￿1
aeiivities in a safe and suppottrd enVtrOnrn￿
P￿20

Handmade Theatre
Notes to the Financial Statements for the Year EDded 31 March 2024
Taeking loneliness aTMI isolation in vulnerable thlts is at the centre of the prtiie£* and we use rnusie. tffttry and
craft to deliver the 5essi(xts whieh are open to all.we ￿e coming to the eThl of retent funding and really ￿¥nt to keep
Sessions h8tf*ntng. Som¢ reSid￿ts access any (ther sesSic￿$ during th¢ week. We have seen 8 huge
dedicaiaon to ow ongoing Sessi(￿15 by resirknts and stsff at the Ib)mes Ho￿1ng aL We have F*en visiting the
same horn¢s for nearly two years now and residents ¢4)mM￿lI that it is their favourite day of th¢ wttk when we visiL
We have seen an imrAd only in confidence during Sessi￿L￿ also in ttrnjs of legacy. (hle of our re8ular
participants- Harry-cOmM￿ that io write poetsy befojr he lost his wtfe, his rn1￿. After visiting our
ses510T15 a few I￿nthS in orK day having written something new. he had felt inspired to write again aThJ
shared this with the group. This w&$ very ￿vin￿TraV1d. rettntly nK>ved into one of the hot1￿5 gnd had be£n
very isolated in his tK¢vious kne. He SWLed aneThling sessions atxl was very tsJente41 at Wdintin& we encouraged
him to lead some of our ses5ion5 hi5 art skills and in tum led to him settsttg up a regular weekly art class of
his own. This is still going now.
This grant supwd two artists to deliver W￿lY sessions in two IMMnes over the winter months Inc1￿]ing all
materials needed.
19 An*ty$l$ of *s*ts ￿twee• f•mdg
iJArtstricted
hud$
General
Totxl fund5 Xt
31 Marcb
2024
R¢stric¢•J
d5
Tangible fixed assels
1.150
2.767
{4210)
.150
25.972
(4.210)
23205
Current liabilities
Totsl net assets
(293)
23205
22.912
U•rt4liicted
Dds
G¢tserAI
Total fvTrds At
31 Marck
1023
funds
TangTble fixed assds
674
674
2.6
4.780)
32.696
(4.780)
Current liabilities
1,410
30,000
28,5
20 R¢l4t¢d p*rty ¢rawctwMs
There wcre IKI relatoj Furty trJn5&Xions in thr ye•T.
Page21