Cliarlty conirni55ion Reference Niimbtr- 1176729
]YEW SURREY PERFORMIIYfp ARTS I,JBRARY
TRUSTEES, ANNUAI. REPORT AND AC.C.'OUNT8
FOR THE FINANCIAI. YF.AR I APRII. 2023 1-0 31 MARCII 2024
BULLIMORES LLP
Cliail¢red Accountaiits
Old Prinlets Yard
156 %c)uil) Sireel
I)orking
Surrey RF14 2HF

Page I
Tr4KW SURREY PERFORMING ARTS LIBIL4RY
SIGNIFICANT INFORMATION
FOR THE FINANCIAL YEAR I APRIL 2023 TO 31 MARCH 2024
TRUSTEES:
Carol Hall
Su Kin8sley
Peter Linnitt (appointed 5 March 2024)
Sharon Moloney
Paul McKay
Kate Mcwhirter
Ges Ray
Mark Welling
Anna Wright {resigned 9 January 2024)
REGISTERED OFFICE: Bourne Hall
Spring Street
Ewell
Epsom
KT17 IUF
(I) CAF Bank.. (2) Saniander
ACCOUNTANTS:
Old I'riiilcT4 Y4ird
%uriry

Page 2
NEW SURREI Y PERFORMING ARTS LIBRARY
TRUSTEES, REPORT
FOR THE FINANCIAL YEAR I APRIL 2023 TO 31 MARCII 2024
STRUCTURE, GOVERNANCE AND MANAGEMENT
New Sutrey Perfurniing ATt5' Librdry l NewSPAL' or ihe "CIO") was formed on 18 January 2018 as a Chai'ilable
InLO[por￿Ied OTglliii5alion and is govenied by a constilulion based on the Foundation model foi. CIOS Apan from Ilie firbi
Tnjslees, every Trustee Inubl be appointed for a iemi of three years by a resolution passed ai a properly coiiveiied Ineeiing
of the Tti]%iee%. The TN$iees listed above liave, where not othenwise specified, been duly appoinied or reappvinteJ for
Il)ree-year ienns in ac¢ordaii¢e willi this requireineni.
OWECTIVES AND ACTIVITIES
Tlie cliaiily'% ubjeLlives are ih¢ piuinolitsn. iniprovem¢nl, dtv¢lupment and mainlenanLe ol public educalioii in, and
appr¢Liuliun of, thg ail dnd .4Lje]IL¢ uf Inusic, drama and other perforniin¥ iiris throuuyh Ihe provi%ion ol. a lendin¥ libr?￿ ry of
rnusiLal, drdill£iliL (Jnd other perloTmin8 arts material and lileralure. In setting our objectives, Ilie Trustee8 have considered
Ihe Cliarily Commi5sivn's publiL benekit guldance.
ACTIVITY DURINC THE ACCOUNTINC PERIOD
The accoviiiing period Lovers the first full year of operalions as a hire or lenLlin¥ library uf p¥rfurn]ingF dr15 IndltTial
{orLliebiral seis. Choir sets. oiher sheei music. play seis and books relaiing Io dll the pgrfonninLT arts). Pur5Udnl lo
agreements. wilh Surrey Couniy Council {"SCC") NewSPAL li) occupies L¢rt¢Jin dediLaled space withiii Ewell LibTary
(contributing) on an Jgreed basis to the property-relatrd overheads aityibu¢able io Ihai spaL¢I dnd lil) Ill&tndgTes on a wholly
indepeiideni basis the Lolle¢iioii of perforn)ing arts maierials owned ai)d fomjerly manag7ed by SCC linilially foi a Iwu-y¢ar
lrial period ending> in Augusi 2024) as well as siock acquired by NewSPAL or donated to it.
Key developmenis during ihe a¢Louniing period were ihe following..
143 new groups {drawn from all part5 of the Uniled Kit]gdoml registered as group borrowers during the
IiLcounling period {representing 12 on average per month). A 8mall number of individual borrowcrs Imaijily fron)
lh¥ Sutrey artil) also joined. At 31 March 2024 NewSPAL liad.. 348 regislered muqic &Jroup borrowers: 57
regTjSl¢ied play Bioup bO￿oWers,. ￿)d 142 registered individual borrowers. Group borrowers pay a oiie-off
re&Tislralion lee aller whicli they just pay for stock they borrow (i.e. there is no aiinual subscripiionl and any
asbocialed post and packaging charges. Individual members pay an annual subscripiion and may ilien borrow
bouks or sheet music (up to specified limilsl withoul further charge.
Ncw8PAI. henefilled from a number of donations of 8iock lin¢ludiDg or¢l)c.siral and clinral 8ei81 whiLh liave bceii
added io Ihe collection. In addition, certain donatcd items ICDS and shcci mu.%lLI which were Iioi appropiiaie 10
add lo the siock were {wiih rhe conseni of tl)e donors) sold 10 raise mode%1 ai?iounL% of iiioney to 5￿ppOi"l
operaiions.
The Clo's cohort of approximalcly 20 voluntccrs havc provided important support 10 the l-salariedl l.ibrary
Managcr at]d DcpLily Library Manager a8 well a8 continuing lo work on a comprehcn.8ivc rcvicw of tlic catalogue
cnlric.% lo providc enhanced information for users.
In Novenjber 2023 NtwSPAL lield ali open nieeling Iby £oom} lo whirl) 411 regisLtr¢d Ubers were invilrd. Ai Ilie
n)eeiiJig the NewSPAL 'lwsiees repoded Ilie resulis of operaiivns. discussed opporluiiitie5 lor lurilier
developmen￿. aiid Lliallenges and aT]bw¢i¥d qu¢stlOlJb raised by thos¢ (Itteiiding.
In Jaiiuary 2024 Anna WrigThi. d toundii)K Iruylee of NewSPAL. resigned to Lonceniraie on her other inlere5ts.
Her deep knowledgie of Ihe library seLlof dnd IiJn&T experienLe ol nlill)aLTillLI a larLie Jnu5iL library had been
invaluable 10 NewSPAL. parilLUl<￿IY durin& the prujeLt period b¢luie NewSPAL becaine operational. At the
5anie lime, NewSPAL lurlundte to iijentily anuiher experienced music librarian (Peler Linniti) as a possible
repl£icenieiil Irusle¢. Peter was turrnally appointed to the Iruslee boaid iji N4arcl) 2024.
In Febiuary 2024 NewSPAL prop0￿ed lo SCC a ba.%i$ on which the ¢urrei)t operaiing arraiigeinents should
conlijiue afier the expiry lin Augusi 2024) of the ii)itial trial period.

Page 3
NEW SURREY PERFORMINC. ART8 LIBRARY
TRUSTEES, REPORT {cvntinued)
FOR THE FIf4ANCIAL YEAR I APRIL 2023 TO 31 MARCH 21124
FINANCIAL REVIEW
The a¢¢OUntin￿ period covers Ihe tir51 full year of. opuations by NewSPAL {op¢ralions started on 22 Augu$1 2022) and,
accordingly, direci Comparison ol'results fiom operalioiis in ihe previous a¢Lounling period is not possible.
Throughout Ilie accounting period NewSPAL has been generating incorne from operations while still benefiiiing from
donalioiis (includinb, wliere available, GiltAidl, includijig donali¢)ns in kind (for exdn)ple. of puteniial ¥to¢k io adJ tu the
olleclion). Soliware support to the value of £3,950 was also provided free of charge by a supporter. NewSPAL is
regislered lor VAT and, overall, has beeii able to benelit lijiancially from refunds of VAT. Total income from all s()urLe8
in the accounting period was £78,140, of which £14,152 ¢omes from donations (ind grdnts.
Total expcnditure durijig Ihe wliole ol Ihe a¢counlin¥ period was £92,125. Apart from expendi(uie incurred for ihe proper
administration and governance ol. Ihe CIO, all expenditure duiiiig th¢ financial period was used Io support oper<ilions.
More inforniation on income and expendilurc Gan be found in the financial staten]ents ihis document.
In 2023 Ihc British Library, whieh administers the Inier Library Loat] IILLI scheme in which NewSPAL participates. wa5
the siibjcct of a .%ignificoJlt ¢yber-aiiack. -I'his led 10 the suspension of paytnents to or by the Biilish Library involvlng
participaiing librari&8. Ai 31 March. NewSPAL had a net exposuie to the British Library of £1,705. Jn July 2024 tlie
ilriii8h Library introduced a new schenie to enable scttlcmcnts, at)d at the time of signin8 these accounts, £821 has been
received. The lrns¢ec8 are confid￿lt thai ihe remainder will also be rccovercd.
During Ihc a¢ctsunting period, expenditure exceedcd incornc. Whcrc dircct coniparison is possible {i.e. from Au8U%t 20231,
income from operations in each quarter ha.% becn highcr than in the correspnnding quarter in the previi)us accounting
period. Thi.$ 1.8 mainly aiiributable 10 inore groups 1< nd individuals (from all ovcr thc Unitcd Kingdom) involvcd in amatcur
music-making and amaieur drania activity registering lo borrow stock fron] NCWSPAL. Whilc cyclical in naturc,
cxpenditure ha8 becn cai"efully conlrolled, leading to a net gradual convcrgcncc of incomc and expenditure ovcr thc collrsc
of ihc accounting period. The Trustee% cxpect tliis trcnd to continuc. Ab8ent any unforeseen eveni$, the Trll$rCe.￿ are
reasonably ablc io forc¢a%i cxpcndilure for the actouniing perii>d started l April 2024. During that accounting pcriod, thc
Trusiees expect to see the ¢onverEeiice of income and expenditurc conlinuing and, on thi.￿ b&%is (and having rcgard to
NewSPAL's exLSling finai)cial resources), the Tru¥lecs con8idcr thc CIO to bc a g(>ing concern. Thc Tn]%icc.% inicnd io
ensure that. at all times, the CIO lias sufficicnt fund8 to pcnnit an orderly winding up of the CIO should that ever ia become
necessary.
FORWARD-LOOKING CONSIDERATION
While NewSPAL ib operationally independet)t, the majority of ihe stock which it manages, continues to be owned by SCC.
The hire charges arising from lending siock to registered borrowers constitutes the majoriiy of New SPAL'S income.
NewSPAL occupies space in Ewell Library (o SCC public library) which in turn is pari uf Bourne H(Ill la mulii-purpose
building owned by Epsom and Ewell Borough Council). NewSPAL In￿lag¥S th# LulleLtion dnLI occupies space in Ew¢ll
Library under legal ¢igreemenis entered inio wilh ihe relevani pariies in Augus¢ 2022 for an inilial lridl peTiod of Iwo yeaTS.
NewSPAL has made fomial proposals 10 SCC to Lonlinue Ihe current Arrangements bvih for the maniigem¢Tht uf ihe SCC
sto¢k and oc¢upaEion of space in Ewell Libiary. At the time of signing thebe £icLountS the Trusteeb have nu reason to
expect that agreemeni will nul be leached lu extend the fLuYent atTangement¥ on tern]￿ acceptable to all partiey.

PAge 4
NEW SURREY PERFORMINCF ARTS LIBRARY
TRUSI'EES, REPORT (continued)
'OII TIIE filNANCIAJ. YTr.AR I APRIL 2023 TO 31 MARCH 2024
PAYMELYI'S I'O TRUSTEES
In the a¢eouniing ￿riod, there were no paymcnts made to any of ihe TNslces.
ASSETS AND RD:SF.RVES
At 31 March 2024 the CIO had total net as8cI.$ Ica8h at bank and in hand) of £50,055.
The Trustees do not consider il appropriate lo designate any funds as a forn]al reserve. The Trustees do. however, regularly
revicw thc fu￿ncIal position ol. the CIO and regularly update Ihe CIO'$ budgct and cash-flow projections lo ensure that at
all times thc CIO is able lo meel its cotnmitted expendiwre and other debts as they fall duc.
JNCOME DISTRIBufioN
The Ttustees consider that all dislribulions of incomc made during the accounling period were consi8tcnt with its charitable
pu￿oSes.
PUBLIC BI:NLFIT
In exercising their powers and duties the Trnstees havc complied with their duly to have due regard to thc guidance on
public benefii publishcd by the Charity Commi.%8ion.
Approved and signed on behalf of thc TNslces=
M& Coe￿
Chairn)an- Mark Welling
Datc..
30 S kmbe( 202+

Page S
NEW SURREY PERFORMING ARTS LIBRARY
INDF.PENDEN'f EXAMlJ¥kR'S REPORT TO THE TRUSTEES
"OR THE PERIOD FROM I APRIL 2023 TO 31 MARCH 2024
I report tn the lrn$ic¢8 on my examination of Il)e accounis ofNewSPAL {Ihe CIO) for the period ended 31 March 2024,
which are set out on pageq 7 to 9.
Responsibilities and basis tsf report
As thc charity Irusieel of the CIO you arc respon4ible for the preparation of the accounts in ac¢ordance with the
requircmcnis of the Charities Act 2011 I'ihe A¢t').
I report in rcspcct of Jny examinaiion ol Ilie CIO'5 accounts carried oul uiidEf section 145 of the Acl and in carrying out my
cxamination I have followed all Ilie applicablc Diieclions givcn by lh¢ Cliarily CoJnmi5sion under section 14515Mb) of ilie
Act.
Independent examiM¢r's statement
I have compleied my exan)ination. I confjnn that no material inaiicr$ have coimc to my allenlion in conncction with the
examination giving me cause io believe that in any maierial rcspect..
accounting records were not kept in respe¢l of the CIO as required by section 130 of the Act- or
the accounts do not Acctrrd with those record8.
I have no conccm.8 and have conic acros5 no oihcr maiicf8 Its ¢OT)iieclion witli the exarninalton to which alleniion should be
drawn in Ihis rcport I￿ order to cnable a proper und¢r8ianding of the accounts lo be reached.
Nome of principal..
Margarei Breti FCA
Name of firni..
Bullimores LLP Chartered Accountan15
and Kegislcrcd Auditor5
Address..
Old Prinier8 Yard
156 South Sireei
Dorking
Surrcy RJ44 2HF
Date =
// 202(*

PY4ge 6
NEW SURREY PERFORMIf4G ARTS LIBRARY
FOR THE PERIOD FROM I APRIL 21)23'ro 31 MARCH 2024
The r￿eiptS and payments account set out on page 7 for ihe financial period ended 31 March 2024, and the statement of
asse¢s and liabilities at thai date set out on page 8 together with ihe notes set out on page 9 ar¢ approved by the Trustees.
K M¢Whirter- Treasurer
Dttte..

r4LW SURREI Y PERFORMING ARTS LIBRARY
Pagt 7
RECEIPTS AIYD PAYI4qENTS ACCOUNT
FOR THE PERIOD FROM I APRIL 2023 TO 31 MARCH 2024
2024
Unrestrffttted
FuRid$
2024
Restricted
'und5
2024
Total
Funds
2023
Total
Funds
RECEIFrs
Dtsnations received (including related Gift Aid)
Grants received
Bank inleresi
Hire cliarges
Services
Sales of Donated lieiiiy
VAT on hire chargeslservices
Mis¢ receipt
VAT refunds from HMRC
13,777
375
14,152
34,305
10.000
97
32,260
852
415
53,497
415
53,497
790
124
790
124
173
9,162
9,162
3,875
TOTAL RECEIPTS
375
78.140
81,564
PAYMENTS
Bank Charges
Stock hire ¢har8e5
Bookkeeping
Insurancc
Computer expcnses
Lcgal and profe%sional fees
Office expen%es, repairs and maintenance
Printing. postagc and stsiionery
Advertising
Rcnt & service ch4rg¢s
Salaries
Project management fees
Soliwarc
Staff training and rectuiiment
Subscription.
Travelling cxpenses
Trusiee expen8es
Evenis
Fumiture and equipment
Direct po8tage and Pic ckaging costs
Stock piirehases
VAT incurred on payments
1,471
96
3.142
151
80
1,235
652
2,107
1,471
96
3,142
151
449
1,235
652
2,107
1,099
2,247
141
1,982
974
987
3,087
57
13,776
26,395
17,700
5,041
2,755
223
72
69
I,J14
6,109
2.462
869
6,787
369
22,650
38.567
22,650
38,567
5,318
5.318
482
147
482
147
388
388
5,404
1,660
8,206
5,404
1,660
8,206
TOTAL PAYMENTS
91.368
757
92.125
94,148
NE1. IDETrICITIISURPLUS FOR THE YEAR
{13.603)
{382)
113,985)
(12,584)
Bank balan¢es ai l April 2023
62,942
1,098
64,040
76.624
Transfer between Fujjds
Total C#5h funds at 31 March 2024
716
50,055
64,040

Page 8
P4EW SURRF.Y PERFORMING ARTS LIBRARY
ST ATEMENT OF ASSETS Af4D LIABILII'lkS
AT 31 MARCH 2024
2024
Unrestricted
Fund$
2024
Restricted
Funds
2024
Tot41
Funds
2023
Tot%1
FuThds
MOF4ETARY ASSLITS
Bank cli￿ent accounts
47,518
2,537
50.055
64,040
TOTAL ASSETS
47.518
2.537
50,055
64,040
Approvcd and signed on behalf of ihe Trustees..
M Welling - Chaimian
K Mcwhirier - Treasurer
Dale..

Page 9
NEW SURREY PERFORMINC ARTS LIBRARY
NOI'LS TO THE ACCOUNTS
FOR THE PERIOD FROM I APRIL IV23 TO 31 MARCH 2024
Basis ofAecounts
The ALcounis have been preparcd a receipts and payinenis basi5 it] accordance with S133 nf Ihc Charitie.% Aci 2011.