Co Reg No.. 10024463
Charity Red No.. 1176668
THEATRE UNCUT PRODUCTIONS
REPORT AND FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025
Company No: 10024463 IEngland & Wales)
Charity No.. 1176668

Co Reg No.. 10024463
Charity Red No.. 1176668
THEATRE UNCUT PRODvcfioNS
CONTENTS
Page
Report of the Board
Independent Examiners Report
io
Stalement of Financial Activities
li
Balance Sheet
12
Statement of Cashflow5
13
Notes forming part of the financial Statements
14-16

Co Reg No.. 10024463
Charity Red No.. 1176668
THEATRE UNCUT PRODUCTIONS
DIRECTORS, AND TRUSTEES, REPORT FOR THE PERIOD 31 MARCH 1025
The trustees are pleased to present their annyal directors, report together with the financial statements of the
charity for the period 01 April 2024 - 31 March 2025 which are also prepared to meet ihe requirement5 for
directors, report and accounts for Companies Act purposes.
The financial statements comply with the Charities Act 2011, the Companie5 Ad 2006, the Articles of Association
and Accounting and Reporting by Charilie5.' 51atement of Recommended Practice applicable to charities preparing
their accounts in accordance with the Financial Reporting Standard applicable in the UK and RepLsblic of Ireland
IFRS 1021 effective I january 2019.
Aim and Objectives
The Charitvs objectives are to advance the arts for the public benefit through htÉh quality theatrical productions
and participatory programmes which explore social issues to facilitate public discussion and nurtvring creative
voices from a wide range of backgro*Jnds.
Publ1¢ Benefit ststement
The charity trustees have complied with their duty to have due regaid to the guidance on public benefit published
by the Charily Commission in exercising their powers and duties.
Achlevements and Perfomian¢e
About Theatre Uncut Productions
Theatre Uncut creates bold, progressive, uncompromising political theatre. The company strive to attract
audiences and participants who want to be challenged and actively seek to engage in the world around them.
The company collaborates with the world's leading playwrights and extraordinary new voices to create trailblazing
work that examines the world we live in today. So far they have commissioned over 57 playwrights from 14
countries to create politically responsive work for anyone to perform anywhere. Theatre Uncijt play5 have been
performed by participants in community centres. schools. libraries. on the streets, on buses, in town halls a5 well
as major stage5 in 32 countries across 4 continents.
Theatre Uncut have produced their own work at the Royal Court, Youn8 Vic, Soho Theatre, Traverse Theatre,
Bristol Old Vic, the Southwark Playhouse. Paines PIou8h's Roundabout, Southwark Playhouse and have toured
across the UK. They have created work in collaboration wtth DOT Tiyatro in Istanbul. Turkey and Teater GROB in
Copenhagen Denmark and performed on Theater Row in New York City.
The company's work has been nominated for an Olivier Award and the Amnesty International'5 Freedom of
Expression Award. It has won two Fringe First Awards, the Lustrum Award. the Herald Angel Award, the Spirit of
the Fringe Award.

Co Reg No.. 10024463
Charity Red No.. 1176668
THEATRE UNCUT PRODLiclloNS
DIREcfoRS' AND TRUSTEES, REPORT FOR THE PERIOD 31 MARCH 2025
The Theatre Uncut Political Playwrrting Award was created in 2019 to discover the playwrights of the future, in
partnership with the Young Vic England, Traverse Theatre Scotland, Sherman Theatre Wales and Lyric Theatre
Northern Ireland in partnership with Nick Hern Book5 and Independent Talent. The winning plays have been co-
produced with and premieied at the Royal Court alld the YounE Vic. Shortlisted plays have been co-produced by
Sherman Theatre and Grace Dickson Production5 and performed at the Soho Theatre. Paines Plough's
Roundabout, the Bristol Old Vic and the Belgrade Coventry.
Theatre Uncut wa5 founded by Hannah Price in 2011. Emma Callander joined as Co-Artistic Director in 2012 and
became sole Artistic Director in 2021.
Theatre Uncut dellvered the following activity between March 2024- 2025.
The financial year 2024-2025 was an excitin8 period for the company, marked by a critically acclaimed premiere,
the creation of a nationwide engagement programme created in collaboration with venue partners and youth
mental health charities, the development of the board of trustees. and confirmation of core funding to support
the roles of the general manager and the artistic director.
Playfight by Julla Grogan- Production
Theatre Uncut co-produced the shortlisted political play'PlayFight' by Julia Grogan with Grace Dickson Prodvction.
The play premiered at the Edinburgh Festival (Paines Plough's Roundabout) to an overwhelming pre55 response.
Theatre Uncut is dedicated to supporting emerging playwrights from underrepresented communittes so producing
this new play by a female from the Midland5 directly 5UPPOrts OUT company mission.
"stunningly accomplished" The Ob5erver- 5 stars
"marvellous jewel of a play" The Times- 4 stars
"each element is so assured" the Guardian- 4 Stars
With the support of an Arts Council England project grant, a collection of generous philanthropic supporters and
the support of the Bristol Old Vic we were ihen able to take the play on a national tour ending in a run at the Soho
Theatre in April.
The total audience figures for PlayFight in 24125 were..
Edinburgh Festival run.. Paines Plough's Roundabout.. 2360
National tour.. Bristol Old Vic, Belgrade Coventry, Soho Theatre London 5374
Playnght Engagement Programme
Exploring the play'5 themes of consent and control within adolescent rel3tionship5 we secured funding from the
Arts Council England to develop an engagement programme suitable for schools, colleges, and universities across
the UK.
To develop this programme, we collaborated with Kindling Interventions to create le$50n plans and workshops.
We engaged with te8chers, facilitators, and youth workers to inform the pro@famme's de5trgn, and worked with
group of young people to re5ear¢h and develop the content and tools. Additionally, we produced a high-quality
film recording of the production for use in future workshops.

Co Reg No.. ICM)24463
Charity Red No.. 1176668
THEATrE UNCUT PRODU￿10N5
DIRECTORS, AND TRUSTEES. REPORT FOR THE PERIOD 31 MARCH 2025
The Political Playwritin8 Workshops at the Bristol Old Vic, Belgrade Coventry, Soho Theatre, and online attracted
participants from a diverse range of ages, ethnicities, geDdeTS, and backgrounds from the UK, USA, Turkey. and
the Netherlands.
'It was such a valuable and inspiring session an incredible opportunity to explore new writing techniques,
discuss the themes of Playfight, and gain insights into the industry. Julia was fantastic, and the workshop created
such a supportive and thought-provoking space," B Tistol Old Vic Playwriting Participant.
We ran six workshops acros5 Bristol. Coventry, and London, reaching over 100 young people aged 16 to 24. These
resoLtrces are designed to be utilised in schools, colleges, and universities to explore the theme5 of Playfight in the
future.
Board & business development
Two new board members were identified with skills that will forward the mission of the company= Debbie Hannan
and Amy Davies Dolamore
The company completed a 5 year Business Plan in collaboration with the Trustees that will run from 2025- 2030.
Other projects
In playwrightin8 development. Ned Bennet started work with emerging writer Jordon Grant to develop the play
Great Northern Diver5 that was shortlisted for the TUPP Award.
Financial Review
The company'5 lurnover in 2024-25 was £26,282.94. The income from the PlayFi8ht production was run through
Glace Dickson Productions so the productions income is not included here.
Funding secured was £37,93S.69.
Company unrestricted reserves intreased from £3,572.001231241 to £ 14,404.
The charity held £29,358 in reserves1£14,404 unre5tricledl at the balance sheet date.

Co Reg No.. 10024463
Charity Red No.. 1176668
THEATRE UNCUT PRODucrioNs
DIRE￿oR5. ANO TRUSTEES, REPORT FOR THE PERIOD 31 MARCH 2025
Strurture and Governance
Governing Document
The organtsation 15 a charity company limited by guarantee, incorporated on 24 February 2016 and registered as a
charity on 15 January 2018. The company was established under Articles of Association which established the
objective5 and powers of the charitable company and is governed by its Articles of Association. In the event of ihe
company belng wound up members are required to contribute an amount not exceeding £10.
Appointment Df Trustees
The directors of the company are also charity trustees for the purposes of charity law. Under the requirement5 of
the Articles of Association. Trustees shall be appointed by resolution of the Trustees. Every Trustee Wbll hold office
until they vacate office in accordance with the Articles of Association.
All members of the Board @tve their time voluntarily and received no benefits from the charity.
Legal and Admlnlstrative Information
Charity Registration Numbei..
1176668
Company Registration Number..
10024463
Registered Office and Operational Addiess..
l Knowle Giound
West Compton
Shepton Mallet
BA4 4PD
Dlrertors and Trustee5
JP Kennedy
S WoodTOW
V Grace Ire5igned 12 Feb 20151
PW Findlay
D Hannan
A Davies DolamoTe
S Cottle
R Beelaerts
P Sitpura

Co Re8 No.. 10024463
Charity Red No.. 1176668
THEATRE UNCUT PRODUCTIONS
DIRECTORS, AND TRUSTEÉS, RÈPORT FOR THE PERIOD 31 MARCH 2025
Independent Examlners
Downside Accounting Services
28 Beech Avenue
Shepton Mallet
Somerset
BA4 5XW
Bankers
Tiiodos Bank UK Ltd
Deanery road
Bristol
BSI 5SA

Co Re8 No.. 10024463
Charity Red No.. 1176668
THEATRE UNCUT pRODu￿10N5
OIREcfoRS' AND TRusfEES' REPORT FOR THE PERIOD 31 MARCH 2025
Statement as to dls¢losure of information to Independent Examiners
At the time of approving our tfU5tee5' annual report..
There is no relevant information, being infofmation needed by the examiner in connection with preparing
their report and,.
The trustees, having made enquiries of fellow diiectors and the examiners ihat they ought to have individually
taken, have each iaken all steps that he is obliged to take as a directoi in order to make ihemselves aware of any
relevant audit information and to establish that the examiner is aware of that informaiion.
Trustees, Responsibility Statement
The charity trustees are responsible for preparing a trustees, annual report and financial statements in actordance
with applicable accounting law and United Kingdom Accounting Standards Iunited Xingdom Generally Accepted
Accouniin8 Practice).
The law applicable to charities in England Wale5 require5 the chaflty tru5tee5 to prepare financial statements
for each year which give a true and fair view of the state of affair5 of the charity and of the incominE resources
and application of resources, of the charity for that period. In preparing the financial statements, the trustees are
required to..
Use sultable accounting polieie5 and then applied them consistently,.
Observe Ihe methods and principles in the applicable Charities SORP;
Make jLtrdgements and estimates that are reasonable and prudent,.
State whether applicable accounting standards have been followed, subject to any material
departures disclosed and explanations in the financial statements,. and
Prepare ihe financial statements on the going concern basis.
The Trustees have fesponsibility for maintaining proper accounting records which disclose with reasonable
accuracy at anytime the financial position of the charity and enable it to ensure that the financial statements
comply with the Companies Act 2006. They also have responsibility for safeguarding the assets of the charitable
company and hence for taking reasonable steps to prevent and detect fraud and other iriegularbties.
Membets of the Board
Members of the Board, who are directors for the purpose of company law and trustees for the purpose of charity
law. who served during the year are set out on page 5.
In accordance with company law, as the company's directors, we certify that..
So far as we are aware, there is no relevant accounts information of which the companw examiners are
unaware, and
As directors of the company we have taken all the steps that we ought to have taken in Order to make
ourselves aware of any relevant accounts information and to establish that the charity'5 examiners are aware of
that information.

Co Reg No.. 10024463
Charity Red No.. 1176668
THEATRE UNCUT pRODu￿10N5
DIRECTORS. AND TRUSTEES. REPORT FOR THE PERIOD 31 MARCH Z025
Independent Examiners
Downside Accounting Services have been appointed as the charitvs Examiners during the year and have
expressed their willingness to continue in that capacity.
Approved
This report has been prepared in accordance with the Statement of Recommended Pfactice.. Accounting and
Reporting by Charities (issued in March 20051 and in accordance with the special provision5 of Part 15 of the
Companies Act 2006.
This report was approved by the Board of Directors and Trustees on
Director and Trusiee
Name.. Amy Davies Dolamore

Co Reg No.. 10024463
Charity Red No.. 1176668
THEATRE UNCUT PRODUCTIONS
INOEPENDENT EXAMINER'S REPORT TO THE TRUSTEE5 OF THEATRE UNCUT pRODu￿10N5
I report on the accounts of the Company for the year ended 31 March 2025. which are set out on pages 10 to IS.
Respective responslbllltles of trustees and examiner5
The trustees Iwho are also the directors of the company for the purposes of cornpany18wl are responsible for the preparation
of the accounts. The trustees consider that an audit is not required for this year under the section 144121 of the Charities Act
2011 (the 2011 Act) and that an independent examination is needed.
Having satisfied myself that the charity is ￿0t subject to audit under the company law and is eligible lor independent
examination. it is my responsibility to..
Examine the accounts under section 145 of the 2-11 Act,.
Follow the procedures laid down in the general Directions given by the Charity Cornmission under section
14515llbl of the 2001 Act.. and
State whether panicular matters have come to my attention.
Ba515 of independent examlners. report
My exarnination was carried out in accordance with the General Directions given b the Charity Commission. An examination
include5 3 review ol the accounting records kept by the charity and a comparison of the accounts presented with those
records. It a150 includes consideration of any unusual items or disclosures in the accounts and seeking explanations from you
as trustees concerning any such matter5. The procedures undertaken do not provide all the evidence that would be required
in an audit and, consequently. no opinion is 8iven as to whether the accounts present a true and fair view and the report is
limited to those mètter5 Set out in the statement below.
Independent examinerfs ststement
In connertion with my examination, no matter has corne to my attention..
l. Which give me reasonable cause io believe that, in any material respect, the requiremenis..
To keep accounting records in aicordance with s386 01 the Companies Act 2001,. and
To prepare accounts which accord with the accounting records ènd to comply with the accountin8
requirements of section 396 01 the Companies Act 2006 and wit the methods and principle5 01 the Statement of
Recommended Practice". Accountlng and Reporting by Charrties
Have not been rnet.. Of
2. To which. in rny opinion, attention should be drawn in order to enable a proper understanding of the accounts
to be reached.
Gemma Pearce
Downside Accountin8 Services
28 8eech Avenue
Shepton Mallet
Sorner5et
Date.. 04 December 2025
BA4 5XW
10

Cg Reg No.. 10024463
Charity Red No.. 1176668
THEATRE UNCUT PRoDu￿10N$
STATEMENT OF FINANCIAL AcrivrriES FOR THE PERIOD ENDED 31 MARCH 2025
Summory Income and ExpendAt(JreAccounts
Notes Réstrided Unrestricted
2025
2024
INCOMING RESOURCE5
Incomefrom Choritoble Activities
Donotions
25,609
1.000
11,000
250
36.609
1,250
77
10,077
Interest Receivoble
77
Total Income
26,609
11,327
37,936
10.077
RESOURCES EXPENDED
Charitable Expenses
25,085
898
25,983
1,755
Fundraising C051s
3(X)
300
1,500
Total Resources Experided
25,085
1,198
26,283
3,255
Net Incomln8llOutgoinBI
Re50urtès for the year
1.524
10,129
11,653
6.822
Transfer betweèn Funds
Reconclliatlon of Fund5
Total Funds Brought Forward
5,410
312
17,707
10,885
Total Funds Carrled Forward
£6.934
£10.441
£29,360
£17.707
The notes on page5 14 to 16 form part of thesè accounts

Co Reg No.. 10024463
Chèrity Red No.. 1176668
ThEATRE UNCUTPRODUCTIONS
BALANCE SHE￿ AS AT 31 MARCH 2025
Notes
2025
2024
CURRENT ASSTES
Debtor5
Cash at Bank and in Hand
30,158
18,507
30,158
18.507
CREDITORS amount falling
due within one year
18001
18001
net curfent Assets
29,358
17.707
Total Assets lessTotal Llabllltles
29,358
17,707
Capital and Reserves
£14.165
£17,707
The Directors consider that ihe company is entitled to exemption from the requirement to have an audit under the
provisions of s.477 of the Companies Act 2006. Members have not required the company under s.476 of the
Companies Act 2006, to obtain an audit fo¥ the year ended 31 March 2024. The Oirectors acknowledge their
responsibilities for ensuring that the company keep5 accounting records which comply with s.386 and s.387 of the
Companies Act 2006. and for preparing accounts which give a iruÈ and fair view of the State of affair5 of the
ompany as at 31 March 2024 and of its profit for the year then ended in accordance with the requirements of
s.396. and whith otherwise comply with the requirements of the Act relating to the accounts so far as applicable to
the companv.
The financial statements which have been prepared in accordance with the special provi5ion5 relating lo companies
subjèct to the small companies re
ime within Part 15 of the Companies Act 2006 were approved by the board on
and are signed on its behalf.
Director
ame.. Amy Davies Dolamore
The note5 on pages 14 to 16 form part of these accounts

Co Reg No.. 10024463
Charity Red No.. 1176668
THEATRE UNCUT PRooucfioNS
STATEMENT OF CASH FLOWS FOR THE PERIOD ENDED 31 MARCH 2025
Total Funds
2025
Total Funds
2024
Note5
Net Cash used in operatlng activities
li
11.576
5,650
Cosh Flowfrom Investlng actlvltles..
Interest tsn deposits
Purchase of fixed a55ets
77
Nèt cash provlded by Investlng artlvltles
77
Cosh FlowfromAinancing gctivities..
Repayment of borrowing
Reteipt of exendable endowmenl
Net cash provided by financing activitiès
Change of cash and cash equivalents in the year
11.653
5,650
Cash and cash equivalent brought forward
18,507
12,857
Cash and cash equivalent carried forward
30.160
18,507
13

Co Re8 No.. 10024463
Charity Red No.. 1176668
ThEATRE UNCUT PRODuclloNS
NOTESTO THEACCOUNTS FOR THE PERIOD ENDED 31 MARCH 2025
ACCOUNTING POLICIES
Basis of ￿COUntIng
The flnancial statements have been prepared in accordance with the Charities.. Statement of
Recommended Prattite lappliiHble to charitie5 preparing their accounts in accordance with the Financi31
Reporting Standard applicable in the UK and Republic of Ireland IFRS 10211 (issued in October 20191
(Charities SORP IFRS 10211, the Financial Reporting Standard applicable In the UK and Repub￿1¢ of Ireland
IFRS 1021 and the Companies Act 2006. Theatre Uncut Produrtions meets the definition of è public ￿n@fit
entity under FRS 102. Assets and liabilities are initially retognised at historical tost or trènsaction value
unless otherwise stated in the relevant accounting policy notel51.
Incorne rÈto8nition
All incoming resource5 are Included in the statement of fSnancial activities when the charity is entltled to
the income and the amount can be quantified with rèasonable accuracy and that it is probable that thei
Income will be received.
Expendbture Recognitlon
Liabilities are recoEnised as expendlture as soon ès there is a legal or costruct￿Ve obligation committing the
charity to that expendSture. it is probable that Settlement will be required and the amount of thÈ obligation
C8n be measured.
All expenditure 15 accounted for on an accrua15 basis.
INCOME
Restrirted Unre5trK¢ed
Funds
Funds
2015
To¢¥1
2024
Total
Incomefrom Charkable
Actfvhle5
Philanthropic
Trusts and Foundations
HMRC Grft?id
Art Council En8land Project Grant
Other
4,WO
5,000
io,ooD
1,250
21,609
77
iO,OCKI
250
10,0
I,ooo
21,609
77
77
£ 26,609
£11,327 £ 37,936
£ 10,077
CHARITABLE EXPENSES
Restricted un￿#r1ded
Funds
Funds
2025
2024
Writers
Playwright development
Royalties & License5
Actors, Directors. Sta6e Managers
Playflight Co-prodvction
Eng3Eernent C05tS
Staff
MarketinE
WebsitÈ Costs
Travel & Sub515tence
Independent Examiners Fee
Stationery and OffSce Supplies
Bank Charges
Sundry Expenses
350
350
750
I,oio
14,000
4,592
4,820
I,oio
14,000
4,592
4,820
180
551
313
313
800
643
58
-1,173
£25.085
£898
£25.983
É1,755
14

Co Reg No.. 10024463
ChÈrity Red No.. 1176668
THEATRE UNCUT PRODucfioNS
NOTES TO niE ACCOUNTS FOR THE PERIOD ENDED 31 MARCH 2025
FUNORAISING COSTS
Restrirted Unre#rittÈd
Fund$
Funds
2025
Total
2024
Totsl
Fundr8Ssing
300
31K>
£0
£300
£300
DEBTORS
20Z5
Total
2024
Total
Income Receivable
Other Debtors
£0
Éo
CREDITORS
2025
To¢41
2024
Total
Atcruals
Other Creditors
800
£800
ANALYSIS OF NET ASSETS BETWEEN FUNDS
Restricted Unrestritted
14,954
15,206
18001
Total
30,160
18001
Current Assets
14,954
14,406
29.360
RESERVES
Transfers
At 01.04.24 between funds
Income
Expenditure At 31.03.25
Restricted Resetves
B(x>k Uniut
Playwright Development
Playfight En8aÈernent ProÉramme
Reserve5
Unrestrlcteé Reselves
30CKJ
2410
3.000
1.050
7,404
3,5
1,360
19,455
26,859
3500
General Funds
Desi8n8ted Funds.. GMF
312
8485
£17,707
1.077
10,000
£37,936
1,148
4,320
£26,283
241
14,165
£29.360
£0
RESTRICTED RESERVES
Books Uncut..
Publ+shin8 project to make the archive of Theatre Uncut pays available for the public to purchase online
Playwright Oevelopement..
Support for playwrights including dramaturgy, industry readings ett
15

Co Reg No.. IOD24463
Chèrity Red No.. 1176668
THEATRE UNCUT PRooucfioNS
NOTESTO THE ACCOUNTS FOR THE PE¥tIOD ENDED 31 MARCH 2025
Playfight Production and Engègement Progratnme-.
Uplift of production v81ues of touring production and R&D of engagament programme to roll our across
schools, tollege5 and univer51tie5 nationwide.
General Manager Costs..
Salary, transport and sundries to support Gener31 Manager role.
Reserves..
Company reserve
Additional notes.. Creative recovery fvnd was resistributed at 01.04.24 to Bwk Untut and Playwright
development. All objectives were cofflpleted in thÈ project.
Designated Funds.. It was deemed that although the General Manager Fund wa5 desiEnated for a Specific
cost, It was tèchnically ntst restricted and therefore ha5 been moved to unrestricted funds.
TRUSTEES REMUNERATION AND RELATED PARTY TRANSAcfioNS
No member5 of the ￿ard of trustees received any remuneratlon during the ye8r.
Notru5tees or other person related to the charity had èny personal intÈrest in any contract or transoction
io.
NET INCOMING RESOURCES
2025
2024
Net Incomin8 Resources Is stated
after char6in6'.
Independent Exarniners Fee lincludlng VATI
840
ii.
Recofi¢iliaiiofi of net movements in fund5 to net cash flow from operatlng actlvltles
2025
2024
Net Movement in funds
Interest on deposrts
ecrease lincreèsel in debtors
Increase Idecreasel in credStors
11,653
6,822
11.1721
£ 11.576
5,650
16