OpenCharities

This text was generated using OCR and may contain errors. Check the original PDF to see the document submitted to the regulator.

2021-01-31-accounts

THEATR Annual R•port Mnanclal Year End￿ Jl January 2021 Charlty Number. 1179903 7*4f

CONTENTS

CONTENTS
REPORT OF THE TRUSTEES FOR THE FINANCIAL YEAR ENDED 31 JANUARY 2021 2
CHAIR’S STATEMENT 3
COVID-19 STATEMENT 5
OUR CHARITABLE AIM 6
Productions 6
Audience Engagement 6
Classes and Workshops 6
Diversity 6
Solid Ground for the Future 6
REFERENCE AND ADMINISTRATIVE DETAILS 7
STRUCTURE, GOVERNANCE AND MANAGEMENT 8
Governing Document 8
Appointment of Trustees 8
Trustee Induction and Training 8
Organisation 8
Related Parties 9
Risk Management 9
TRUSTEES RESPONSIBILITIES IN RELATION TO FINANCIAL STATEMENTS 10
TREASURER’S STATEMENT 11
FINANCIAL OVERVIEW FOR THE PERIOD ENDING 31 JANUARY 2021 12-14
INDEPENDENT EXAMINER’S REPORT ON ACCOUNTS 15-16
RABBLE THEATRE ANNUAL ACCOUNTS YR 2021 17-37

RABBLE Theatre Annual Report for the year ended 31 January 2021

1

REPORT OF THE TRUSTEES FOR THE FINANCIAL YEAR ENDED 31 JANUARY 2021

The Trustees are pleased to present their annual report together with financial statements for the Charitable Incorporated Organisation for the year ended 31 January 2021 which are prepared in accordance with the requirements of the Charity Commission.

RABBLE Theatre Annual Report for the year ended 31 January 2021

2

CHAIR’S STATEMENT

When putting together my first report last year, with the ambitious plans we had for our second year to have it actually be a year full of uncertainty with the world devastated by Covid-19 has been heart breaking.

In March 2020 we were forced to stop everything we were doing and re-evaluate. The financial impact of Covid-19 is still being felt today and it’ll be some time before we know the full extent of the impact. The RABBLE Theatre team have done an incredible job reacting with immense speed and decisiveness, moving classes online and coming up with inventive ways to ensure the continued success of our aims despite the ongoing crisis. Their focus and commitment to delivering artistic and educational productions for the people of Reading throughout the challenges has been commendable. I’d like to take this opportunity to thank the whole RABBLE Theatre team for their unshakeable dedication to ensure its future success.

More information on our Covid-19 response can be found on page 6.

Despite the pandemic, we achieved so much in FY20, launching our website rabbletheatre.com which absolutely encapsulates RABBLE’s passions to be bold, inclusive and inspirational, everything we hoped it would be. Our commitment to accessibility has strengthened with the launch of the RABBLE Hardship fund in partnership with Aviva Community Fund creating free opportunities for social interaction, skill development and meaningful cultural engagement at productions and classes. In 2019, thanks to fundraising efforts, we got 900 Reading pupils into our shows who ordinarily would not have been able to attend, the opportunity to extend this further is truly wonderful.

The support we have received for the campaign to save Reading Gaol has been overwhelming with messages coming from Sir Kenneth Branagh, Dame Judi Dench, Natalie Dormer, Shazad Latif, Reading’s own Kate Winslet and even Banksy paying a visit to adorn the Gaol with his artwork.

While we are unable to entertain you in person, we thoroughly enjoyed our foray into radio and online productions with Who Killed Alfred Oliver in partnership with BBC Radio Berkshire, our Christmas show, The Online Nativity and are proud to share our Monologues from The Conquerors Trilogy . We are working hard in the background to bring you productions in the Summer of 2021 starting with The Last Abbot of Reading hosted in the Abbey Ruins.

2020, while only being our second year from a reporting perspective, was actually our third active year so we underwent our first review of trustees. We were sad to accept the resignation of Steven Pidcock but look forward to 2021 with the remaining original trustees and space for new expertise and insights to join us.

Everything we do would not be possible without the generous support of our RABBLE Rousers, Sponsors, Partners and the many of you that will come along to

RABBLE Theatre Annual Report for the year ended 31 January 2021

3

our productions, workshops and educational events when we are up and running. I thank you unreservedly.

With the post Covid-19 landscape still unknown, it is necessary for us to be cautiously optimistic and adaptable and I believe RABBLE Theatre is perfectly positioned to accept this challenge. This Board is committed to working with the Executive team to ensure RABBLE Theatre produce critically acclaimed theatrical productions in person once more.

Victoria Lavery-Ball Chair of the Trustees

RABBLE Theatre Annual Report for the year ended 31 January 2021

4

COVID-19 STATEMENT

While it will take some time for us to realise the full impact across the economy of the events caused by the Covid-19 pandemic, we know a wide range of businesses across all industries have felt the effect. Charities in particular have seen fundraising slow and donations reduce significantly.

In March 2020, in accordance with Government guidelines we announced that RABBLE Theatre moved our education programmes and masterclasses onto Zoom meaning that we were able to not only continue teaching, but also maintain the community that we’ve built up over the years. This really did keep the morale going.

We shall continue to monitor events and adapt accordingly, investing in our online strategy as well as our in person strategy in order to meet our goals and ensure the future of RABBLE Theatre.

RABBLE Theatre Annual Report for the year ended 31 January 2021

5

OUR CHARITABLE AIM

The aim of RABBLE Theatre is to:

advance education of the public in the arts, in particular through training and workshops in the performing arts and through providing performances for the benefit of the public, in order to inspire people of all ages and backgrounds in Reading and England to appreciate and access the performing arts.

As this was the charity’s inaugural year, it was all about shaping our future and setting off on the right path in accordance with the RABBLE Theatre Constitution.

As a charity, the objectives of RABBLE Theatre can be described under the following headings: productions, audience engagement, classes and workshops, diversity and solid ground for the future.

Productions

RABBLE will provide a variety of productions in each year to benefit the public. All productions will be for the education of the public in general, giving everyone the opportunity to learn, regardless of their background, financial position or any other factor.

Audience Engagement

RABBLE will continue to develop new ways of engaging audiences, in particular to engage new audiences who might not normally attend theatre.

Classes and Workshops

RABBLE will offer term time classes, work experience and regular workshops to individuals, schools and the public in general to educate and inspire. All charges for classes and workshops will be made to be as affordable as possible and RABBLE will seek grants and/or donations to enable the charity to offer interested parties both merit scholarships and hardship scholarships.

Diversity

RABBLE will continue to develop new ways of engaging a diverse range of actors and theatre creatives who reflect the wide-ranging community that we call home in Reading and are passionate about the aims of the charity.

Solid Ground for the Future

RABBLE Theatre relies on donations, grants, sponsorship and the generosity of the public to cover both production and operating costs. It is important we develop income streams, invest appropriately into our physical infrastructure and operate responsibly to run at a small surplus, build up an operating reserve and move to sustainability.

RABBLE Theatre Annual Report for the year ended 31 January 2021

6

REFERENCE AND ADMINISTRATIVE DETAILS

Charity Number: 1179903 Registered address: 153 Bourne Road, RG8 7JT

The trustees of the Charitable Incorporated Organisation (RABBLE Theatre) are trustees for the purposes of charity law. The trustees serving during the year and since the year end were:

RABBLE Theatre Chair: Victoria Lavery-Ball Deputy chair: Kirsti Wilson Treasurer: Julie Gregory Trustees: Madeleine Brain Joseph Marsh Jules James Nick Barnett

RABBLE Theatre Annual Report for the year ended 31 January 2021

7

STRUCTURE, GOVERNANCE AND MANAGEMENT

Governing Document

RABBLE Theatre is governed by its Constitution dated 12 September 2018. It is registered as a Charitable Incorporated Organisation with the Charity Commission.

Appointment of Trustees

In accordance with the Constitution, apart from the first charity trustees, every trustee must be appointed for a term of three years by a resolution passed at a properly convened meeting of the charity trustees. In selecting individuals for appointment as charity trustees, the charity trustees must have regard to the skills, knowledge and experience needed for the effective administration of the charity.

Trustee Induction and Training

In accordance with the Constitution, the trustees will make available to each new trustee, on or before his or her first appointment: (a) a copy of the current version of this constitution; and (b) a copy of the CIO’s latest Trustees’ Annual Report and statement of accounts.

Organisation

The board of trustees, which must have a minimum of 3 members, administers the charity. The board meets quarterly and there are subcommittees covering finances and development. An Operations team has been appointed by the trustees to manage the day to day running of the charity. The Operations team consists of:

Executive Director: Dani Davies

Responsible for the day-to-day running of the RABBLE Theatre and all its operations. Working closely with the Artistic Director to plan and implement strategies for future growth. Other responsibilities include but are not limited to: finances, production and education budgets.

Artistic Director: Toby Davies

Responsibilities include overseeing all aspects of the artistic production, including, but not limited to: assessing and selecting the performances that will be shown, recruiting actors and performers, setting production schedules, marketing and community engagement.

General Manager: Emma Lawrence

Responsibilities include but are not limited to overseeing the administration for productions, all elements of education and operational management.

RABBLE Theatre Annual Report for the year ended 31 January 2021

8

Education Officer: Louise Gilmour

Responsibilities include building the audiences of the future for RABBLE Theatre.

Community Fundraising and Marketing: Evi Pagrati

Responsibilities include finding inventive ways to meet our fundraising goals and ensuring we make the most of all communication channels available to us.

Bookkeeper: Ania Haskins

Related Parties

None of the trustees receive remuneration or other benefit for their work with the charity. Any connection between a trustee or senior manager of the charity with a production company, actor, performer, exhibitor must be disclosed to the full board of trustees in the same way as a relationship with any other contractual relationship with a related party. In the current year, no such relationships were declared.

The charity has a close relationship with Reading Between the Lines (RBL) Theatre Company, an established theatre company set up in Reading in 2012. It is a company limited by guarantee, and directors Dani Davies and Toby Davies have been running the company for the last 6 years. The company is very successful, funding its work through Reading Borough Council, Arts Council England, The Wellcome Centre, The Earley Charity, local businesses and individual donors. Over time, RBL Theatre Company will transfer its assets, including name and goodwill, to RABBLE Theatre and we the trustees, will continue the work that RBL Theatre Company has started.

Risk Management

The Trustees have a risk management strategy which comprises:

The use of this strategy has identified the primary risks to the charity are financial stability and the lack of a dedicated rehearsal/performance space. The key elements to mitigate these risks are sufficient working capital to be maintained in the charity and working with other local organisations to find a “home”.

RABBLE Theatre Annual Report for the year ended 31 January 2021

9

TRUSTEES RESPONSIBILITIES IN RELATION TO FINANCIAL STATEMENTS

The charity trustees are responsible for preparing the trustees’ annual report and preparing financial statements in accordance with applicable law and United Kingdom Accounting Standards (United Kingdom Generally Accepted Accounting Practice).

The law applicable to charities in England and Wales requires the charity trustees to prepare financial statements that give a true and fair view of the state of affairs of the charitable organisation. The trustees are responsible for keeping proper accounting records that disclose with reasonable accuracy at any time the financial position of the charity to ensure they comply with the Charities Act 1993, the Charity (Accounts and Regulations) 2008 and the Constitution. They are also responsible for safeguarding the assets of the charity and take reasonable steps for the prevention and detection of fraud and other irregularities.

RABBLE Theatre Annual Report for the year ended 31 January 2021

10

TREASURER’S STATEMENT

Our inspiring forecast for the year ending 31 January 2021 soon became something of a distant dream once the COVID-19 pandemic closed the country down in March 2020. Like so many others, all our planned productions were unable to take place, with creativity and innovation driving everything to ensure some form of education, training and possible productions could continue.

The team worked relentlessly to deliver a successful year which included a radio airplay on BBC Berkshire “Who Killed Alfred Oliver?” They transformed all their education and master-class training programmes into live online interactive workshops. They participated in Reading’s Twilight Trail community event and managed to produce a successful live streamed production ‘The Online Nativity’ over the Christmas period.

All of this was made possible by the loyalty and generosity of all our patrons, donors and corporate sponsors, who during unprecedented times enabled our immerging charity to continue to succeed.

This year’s financial report has been prepared on an accrual basis, in accordance with the 2008 Regulations and the SORP. The financial accounts have been approved by the Board of Trustees and externally verified by an independent examiner – see Independent Examiner’s Report.

Julie Gregory Treasurer

RABBLE Theatre Annual Report for the year ended 31 January 2021

11

FINANCIAL OVERVIEW FOR THE PERIOD ENDING 31 JANUARY 2021

These accounts should be read alongside the Statement of Financial Activities and Balance Sheet – see Accounts.

Total Net Income
Total Expenditure
Income less Expenditure
£173,453
(£116,742)
£56,711

Key events with fnancial impact during the Charity’s year of operation were as follows:

  1. Covid-19 meant that the planned productions were unable to take place at all and seriously impacted the forecast income for the year. Instead, the following innovative productions were showcased :

  2. a. Who Killed Alfred Oliver? - A radio play aired on BBC Berkshire - this was not an income generating production.

  3. b. Twilight Trail - a walkthrough light trail with recorded theatrical readings - generated a small profit.

  4. c. The Online Nativity - a live streamed Christmas show - broke even financially.

  5. d. Expenditure was incurred in relation to The Last Abbott and in relation to The Snow Queen, both were postponed productions, which are now scheduled to take place in the 2021/22 year.

  6. e. The Get Up On Stage and Acting School classes had to be moved online for a large part of the year. This meant additional costs were incurred.

  7. The Head Partnership and Macbeth Insurers continued to kindly support RABBLE as sponsors. Unfortunately, there was a loss of some anticipated sponsorship due to Reading Festival having to be cancelled due to Covid-19.

  8. Reading Between the Lines (RBL) made two very generous donations, in accordance with their articles of association in specifying the distribution of any remaining assets on winding up of the company for a community purpose. The sums consisted of funds to be used for general purposes, and an additional deposit that is to be used for restricted purposes, as designated by RBL.

  9. Grants were received from ACE and The Leche Trust. These were allowed to be re-purposed from their original purposes. In addition, a discretionary government Covid-19 grant was received from RBC.

RABBLE Theatre Annual Report for the year ended 31 January 2021

12

  1. Grants from Garfield Weston and from The Earley Charity, for restricted purposes in 2021/22 were received and these have been reflected in the balance sheet under restricted funds.

  2. The Caversham Centre was unable to be used during lockdown whilst still incurring ongoing costs such as business rates and utilities. Unfortunately, notice to vacate at short notice was given by the landlord in November 2020 and subsequently, room hire costs at alternative venues had to be incurred for in-person classes that took place in between the lockdowns.

  3. One-off expenditure was incurred on the development of a brand new website and ticket booking system.

  4. Ongoing staff costs were incurred during the year in respect of the executive and artistic directors, the office manager and additionally the bookkeeper and marketing officer. In addition a fundraising officer was engaged in January 2021. None of the staff are employees or Trustees of the Charity.

The Charity funds as at 31 January 2021 are represented by:

Net Assets:
Cash at Bank
Debtors
Prepaid expenses
Current Liabilities:
Creditors
Deferred Income
Accruals
Charity Funds:
Restricted Funds
Retained Earning
Surplus 20/21
£66,650
£ 7,971
£ 1,780
£76,401
£ 1,976
£ 6,516
£ 6,021
£ 14,513
£35,091
£ 5,177
£21,620
£61,888


Cash at bank includes:

RABBLE Theatre Annual Report for the year ended 31 January 2021

13

Debtors include:

The amount held by EventBrite relating to the Christmas production.

Prepaid expenses include:

The amount in respect of annual costs paid in advance, such as website running costs and insurance as well as a deposit and advance payments in respect of room hire.

Creditors and Accruals:

These are now mostly settled other than a significant accrual for £2,000 known costs incurred relating to The Snow Queen and £600 accrued for the agreed fee for the Independent Examination of the Accounts .

Going forward it is intended that the annual accounts will reflect 3 terms of education income (spring, summer and autumn) as well as 3 shows per annum concluding with the Christmas show which may run into January.

RABBLE Theatre Annual Report for the year ended 31 January 2021

14

Independent examiner's report on the accounts

Section A Independent Examiner’s Report

Report to the trustees/
members of
On accounts for the
year ended
Set out on pages
Rabble Theatre Rabble Theatre Rabble Theatre
31 January 2021 Charity
no (if any)
1179903
Pages 17 to 37

I report to the trustees on my examination of the accounts of the above charity (“the Trust”) for the year ended 31/01/21.

Responsibilities and As the charity's trustees, you are responsible for the preparation of the basis of report accounts in accordance with the requirements of the Charities Act 2011 (“the Act”).

I report in respect of my examination of the Trust’s accounts carried out under section 145 of the 2011 Act and in carrying out my examination, I have followed all the applicable Directions given by the Charity Commission under section 145(5)(b) of the Act.

Independent I have completed my examination. I confirm that no material matters have examiner's statement come to my attention in connection with the examination which gives me cause to believe that in, any material respect:

I have no concerns and have come across no other matters in connection with the examination to which attention should be drawn in this report in order to enable a proper understanding of the accounts to be reached.

RABBLE Theatre Annual Report for the year ended 31 January 2021

15

Signed:
Name:
Relevant professional
qualification(s) or body
(if any):
Address:
May15,2021
Neil Adshead
FCA. Institute of Chartered Accountants in England and Wales
Creative Tax Reliefs Ltd, Room F14A, First Floor, Bolton Arena, Arena
Approach, Horwich, Bolton,BL6 6LB

RABBLE Theatre Annual Report for the year ended 31 January 2021

16

Rabble Theatre Rabble Theatre Rabble Theatre Charity No
(if any)
1179903
Charity No
(if any)
1179903
Annual accounts for theperiod
Period start date 01/02/2020 To Period end
date
31/01/2021

Section A Statement of financial activities

Recommended categories by
activity
Guidance Notes
Incoming resources (Note 3)
Income and endowments from:
Donations and legacies
S01
Charitable activities
S02
Other trading activities
S03
Investments
S04
Separate material item of income
S05
Other
S06
S07
Resources expended (Note 6)
Expenditure on:
Raising funds
S08
Charitable activities
S09
Separate material item of expense
S10
Other
S11
S12
S13
Net gains/(losses) on investments
S14
S15
Extraordinary items
S16
S17
S18
Other gains/(losses)
S19
S20
Reconciliation of funds:
S21
S22
Total
Net movement in funds
Total funds brought forward
Total funds carried forward
Total
Net income/(expenditure) before investment
gains/(losses)
Net income/(expenditure)
Transfers between funds
Other recognised gains/(losses):
Gain� and lo��e� on �e�al�a�ion of fi�ed a��e�� fo� �he cha�i���� o�n ��e
Unrestricted
funds
Restricted
income
funds
Endowment
funds
Total funds
Prior year
funds
£
£
£
£
£
F01
F02
F03
F04
F05
Unrestricted
funds
Restricted
income
funds
Endowment
funds
Total funds
Prior year
funds
£
£
£
£
£
F01
F02
F03
F04
F05
Unrestricted
funds
Restricted
income
funds
Endowment
funds
Total funds
Prior year
funds
£
£
£
£
£
F01
F02
F03
F04
F05
Unrestricted
funds
Restricted
income
funds
Endowment
funds
Total funds
Prior year
funds
£
£
£
£
£
F01
F02
F03
F04
F05
Unrestricted
funds
Restricted
income
funds
Endowment
funds
Total funds
Prior year
funds
£
£
£
£
£
F01
F02
F03
F04
F05
111,204 35,091 - 146,295 2,160
23,158 - - 23,158 -
4,000 - - 4,000 10,000
- - - -
- - - - -
- - - -
138,362 35,091 - 173,453 12,160
1,461 - - 1,461 6,983
66,987 - - 66,987 -
- - - - -
48,294 - - 48,294 -
116,742 - - 116,742 6,983
21,620 35,091 - 56,711 5,177
- - - - -
21,620 35,091 - 56,711 5,177
- - - - -
- - - - -
- - - - -
- - - - -
21,620 35,091 - 56,711 5,177
5,177 - - 5,177 -
26,797 35,091 - 61,888 5,177

17

Section B

Balance sheet

Fixed assets
Intangible assets
(Note 15)
Tangible assets
(Note 14)
Heritage assets
(Note 16)
Investments
(Note 17)
Total fixed assets
Current assets
Stocks
(Note 18)
Debtors
(Note 19)
Investments
(Note 17.4)
Cash at bank and in hand (Note 24)
Total current assets
Creditors: amounts falling due within
one year (Note 20)
Net current assets/(liabilities)
Total assets less current liabilities
Creditors: amounts falling due after
one year (Note 20)
Provisions for liabilities
Total net assets or liabilities
Funds of the Charity
Endowment funds (Note 27)
Restricted income funds (Note 27)
Unrestricted funds
Revaluation reserve
Total funds
Signed by one or two trustees on behalf of all
the trustees
Guidance Notes
B01
B02
B03
B04
B05
B06
B07
B08
B09
B10

B11
B12
B13
B14
B15
B16
B17
B18
B19
B20
B21
Unrestricted
funds
£
F01
Restricted
income
funds
£
F02
Endowment
funds
Total this
year
£
£
F03
F04
Endowment
funds
Total this
year
£
£
F03
F04
Total last
year
£
F05
- - - - -
- - - - -
- - - - -
- - - - -
- - - - -
- - - - -
9,751 - - 9,751 1,183
- - - - -
31,559 35,091 - 66,650 8,572
41,310 35,091 - 76,401 9,755
14,513 - - 14,513 4,578
26,797 35,091 - 61,888 5,177
26,797 35,091 - 61,888 5,177
- - - - -
- - - - -
26,797 35,091 - 61,888 5,177
- - -
- - -
26,797 35,091 - 61,888 -
-
26,797 35,091 - 61,888 -
Signature Print Name Date of
approval
dd/mm/yyyy
Victoria Lavery-Ball May 13, 2021
Julie Gregory May13,2021

CC17a (Excel)

05/05/2021

2 18

Section C

Notes to the accounts

Note 1 Basis of preparation

This section should be completed by all charities .

1.1 Basis of accounting

These accounts have been prepared under the historical cost convention with items recognised at cost or transaction value unless otherwise stated in the relevant note(s) to these accounts.

The accounts have been prepared in accordance with:

the Statement of Recommended Practice: Accounting and Reporting by Charities �and �i�h* � preparing their accounts in accordance with the Financial Reporting Standard applicable in the UK and Republic of Ireland (FRS 102) issued on 16 July 2014

the Financial Reporting Standard applicable in the United Kingdom and Republic of �and �i�h* Ireland (FRS 102)

The charity constitutes a public benefit entity as defined by FRS 102.*

YES

1.2 Going concern

If there are material uncertainties related to events or conditions that cast significant doubt on the charity's ability to continue as a going concern, please provide the following details or state "Not applicable", if appropriate:

An explanation as to those factors that support the conclusion that the charity is a going concern;

Disclosure of any uncertainties that make the going concern assumption doubtful;

Where accounts are not prepared on a going concern basis, please disclose this fact together with the basis on which the trustees prepared the accounts and the reason why the charity is not regarded as a going concern.

N/A

N/A

N/A

1.3 Change of accounting policy

The accounts present a true and fair view and the accounting policies adopted are those outlined in note { }.

Yes � * -Tick as appropriate No

Please disclose:

CC17a (Excel) 319

05/05/2021

(i) the nature of the change in accounting policy; (ii) the reasons why applying the new accounting policy provides more reliable and more relevant information; and (iii) the amount of the adjustment for each line affected in the current period, each prior period presented and the aggregate amount of the adjustment relating to periods before those presented, 3.44 FRS 102 SORP.

CC17a (Excel)

05/05/2021

4 20

1.4 Changes to accounting estimates

No changes to accounting estimates have occurred in the reporting period (3.46 FRS 102 SORP).

Yes � * -Tick as appropriate No

Please disclose:

(i) the nature of any changes; (ii) the effect of the change on income and expense or assets and liabilities for the current period; and (iii) where practicable, the effect of the change in one or more future periods.

1.5 Material prior year errors

No material prior year error have been identified in the reporting period (3.47 FRS 102 SORP).

Yes

No

Please disclose:
* -Tick as appropriate * -Tick as appropriate
(i) the nature of the prior period error;
(ii) for each prior period presented in the accounts, the
amount of the correction for each account line item
affected; and
(iii) the amount of the correction at the beginning of the
earliest prior period presented in the accounts.

CC17a (Excel)

05/05/2021

5

21

Section C Notes to the accounts (cont)

Note 2 Accounting policies

2.2 INCOME

This standard list of accounting policies has been applied by the charity except for those ticked "No" or "N/a". Where a different or additional policy has been adopted then this is detailed in the box below.

Recognition of income
Grants with performance
conditions
Where the charity gives a grant with conditions for its payment being a specific level of service or output
to be provided, such grants are only recognised in the SoFA once the recipient of the grant has provided
the specified service or output.
Grants payable without
performance conditions
Where there are no conditions attaching to the grant that enables the donor charity to realistically avoid
the commitment, a liability for the full funding obligation must be recognised.
Support costs include central functions and have been allocated to activity cost categories on a basis
consistent with the use of resources, eg allocating property costs by floor areas, or per capita, staff costs
by the time spent and other costs by their usage.
Income from membership
subscriptions
Membership subscriptions received in the nature of a gift are recognised in Donations and Legacies.
Membership subscriptions which gives a member the right to buy services or other benefits are
recognised as income earned from the provision of goods and services as income from charitable
activities
Settlement of insurance
claims
Insurance claims are only included in the SoFA when the general income recognition criteria are met
(5.10 to 5.12 FRS102 SORP) and are included as an item of other income in the SoFA.
Investment gains and
losses
This includes any realised or unrealised gains or losses on the sale of investments and any gain or loss
resulting from revaluing investments to market value at the end of the year.
2.3 EXPENDITURE AND LIABILITIES
Liability recognition
Liabilities are recognised where it is more likely than not that there is a legal or constructive obligation
committing the charity to pay out resources and the amount of the obligation can be measured with
reasonable certainty.
Governance and support
costs
Support costs have been allocated between governance costs and other support. Governance costs
comprise all costs involving public accountability of the charity and its compliance with regulation and
good practice.
Support costs
The charity has incurred expenditure on support costs.
Volunteer help
The �al�e of an� �ol�n�a�� help �ecei�ed i� no� incl�ded in �he acco�n�� b�� i� de�c�ibed in �he �����ee��
annual report.
Income from interest,
royalties and dividends
This is included in the accounts when receipt is probable and the amount receivable can be measured
reliably.
Gifts in kind for use by the charity are included in the SoFA as income from donations when receivable.
Donated services and
facilities
Donated services and facilities are included in the SOFA when received at the value of the gift to the
charity provided the value of the gift can be measured reliably.
Donated services and facilities that are consumed immediately are recognised as income with an
equivalent amount recognised as an expense under the appropriate heading in the SOFA.
The cost of any stock of goods donated for distribution to beneficiaries is deemed to be the fair value of
those gifts at the time of their receipt and they are recognised on receipt. In the reporting period in which
the stocks are distributed they are recognised as an expense at the carrying amount of the stocks at
Donated goods for resale are measured at fair value on initial recognition, which is the expected
proceeds from sale less the expected costs of sale, and recognised in 'Income from other trading
activities' with the corresponding stock recognised in the balance sheet On its sale the value of stock is
Goods donated for on-going use by the charity are recognised as tangible fixed assets and included in
the SoFA as incoming resources when receivable.
Tax reclaims on donations
and gifts
Gift Aid receivable is included in income when there is a valid declaration from the donor. Any Gift Aid
amount recovered on a donation is considered to be part of that gift and is treated as an addition to the
same fund as the initial donation unless the donor or the terms of the appeal have specified otherwise.
Contractual income and
performance related grants
This is only included in the SoFA once the charity has provided the related goods or services or met the
performance related conditions.
Donated goods
Donated goods are measured at fair value (the amount for which the asset could be exchanged) unless
impractical to do so.
In the case of performance related grants, income must only be recognised to the extent that the charity
has provided the specified goods or services as entitlement to the grant only occurs when the
performance related conditions are met (5.16 FRS 102 SORP).
Legacies
Legacies are included in the SOFA when receipt is probable, that is, when there has been grant of
probate, the executors have established that there are sufficient assets in the estate and any conditions
attached to the legacy are either within the control of the charity or have been met.
Government grants
The charity has received government grants in the reporting period
· it is more likely than not that the trustees will receive the resources; and
� the monetary value can be measured with sufficient reliability.
Offsetting
Grants and donations
Grants and donations are only included in the SoFA when the general income recognition criteria are met
(5.10 to 5.12 FRS102 SORP).
There has been no offsetting of assets and liabilities, or income and expenses, unless required or
permitted by the FRS 102 SORP or FRS 102.
� the charity becomes entitled to the resources;
These are included in the Statement of Financial Activities (SoFA) when:
Yes
No
N/a
Yes
No
N/a
Yes
No
N/a
Yes
No
N/a
Yes
No
N/a
Yes
No
N/a
Yes
No
N/a
Yes
No
N/a
Yes
No
N/a
Yes
No
N/a
Yes
No
N/a
Yes
No
N/a
Yes
No
N/a
Yes
No
N/a
Yes
No
N/a
Yes
No
N/a
Yes
No
N/a
Yes
No
N/a
Yes
No
N/a
Yes
No
N/a
Yes
No
N/a
Yes
No
N/a
Yes
No
N/a
Yes
No
N/a
Yes
No
N/a
Yes
No
N/a
Yes
No
N/a
Yes
No
N/a
Yes
No
N/a
Yes
No
N/a

22

2.4 ASSETS
Intangible fixed assets
Heritage assets
POLICIES ADOPTED
ADDITIONAL TO OR
DIFFERENT FROM
THOSE ABOVE
Debtors
Current asset investments
Stocks and work in
progress
Investments
Basic financial instruments
Tangible fixed assets for
use by charity
Deferred income
Creditors
Provisions for liabilities
Redundancy cost
They are valued at fair value except where they qualify as basic financial instruments.
Debtors (including trade debtors and loans receivable) are measured on initial recognition at settlement
amount after any trade discounts or amount advanced by the charity. Subsequently, they are measured
at the cash or other consideration expected to be received.
The charity has has investments which it holds for resale or pending their sale and cash and cash
equivalents with a maturity date less than one year. These include cash on deposit and cash equivalents
with a maturity date of less than one year held for investment purposes rather than to meet short term
cash commitments as they fall due.
Investments held for resale or pending their sale and cash and cash equivalents with a maturity date of
less than 1 year are treated as current asset investments
Stocks held for sale as part of non-charitable trade are measured at the lower or cost or net realisable
value.
Goods or services provided as part of a charitable activity are measured at net realisable value based on
the service potential provided by items of stock.
Work in progress is valued at cost less any foreseeable loss that is likely to occur on the contract.
The charity has intangible fixed assets, that is, non-monetary assets that do not have physical substance
but are identifiable and are controlled by the charity through custody or legal rights. The amortisation
rates and methods used are disclosed in note 9.5
The charity has heritage assets, that is, non-monetary assets with historic, artistic, scientific,
technological, geophysical or environmental qualities that are held and maintained principally for their
contribution to knowledge and culture. The depreciation rates and methods used as disclosed in note
9 6 1 4
They are valued at cost.
Fixed asset investments in quoted shares, traded bonds and similar investments are valued at initially at
cost and subsequently at fair value (their market value) at the year end. The same treatment is applied
to unlisted investments unless fair value cannot be measured reliably in which case it is measured at cost
less impairment.
They are valued at cost.
The charity accounts for basic financial instruments on initial recognition as per paragraph 11.7 FRS102
SORP. Subsequent measurement is as per paragraphs 11.17 to 11.19, FRS102 SORP.
These are capitalised if they can be used for more than one year, and cost at least
They are valued at cost.
The depreciation rates and methods used are disclosed in note 9.2.
No material item of deferred income has been included in the accounts.
The charity has creditors which are measured at settlement amounts less any trade discounts
A liability is measured on recognition at its historical cost and then subsequently measured at the best
estimate of the amount required to settle the obligation at the reporting date
The charity made no redundancy payments during the reporting period.
Yes
No
N/a
Yes
No
N/a
Yes
No
N/a
Yes
No
N/a
Yes
No
N/a
N/A

Yes
No
N/a
Yes
No
N/a
Yes
No
N/a
Yes
No
N/a
Yes
No
N/a
Yes
No
N/a
Yes
No
N/a
Yes
No
N/a
Yes
No
N/a
Yes
No
N/a
Yes
No
N/a
Yes
No
N/a

23

Section C Notes to the accounts (cont)

Note 3 Analysis of income

Unrestricted
funds
Restricted
income
funds
Endowment
funds
Total funds
Prior year
£
£
Donations and gifts
20,854 35,091 - 55,945 2,160
Gift Aid
- - - - -
Legacies
- - - - -
General grants provided by government/other
charities
90,350 - - 90,350 -
Membership subscriptions and sponsorships
whichareinsubstance donations
- - -
Donated goods, facilities and services
- - - - -
Other
- - - -
Total 111,204 35,091 - 146,295 2,160
Production/ Education income
23,158 - - 23,158
- - - - -
- - - - -
Other
- - - - -
Total 23,158 - - 23,158 -
Sponsors
4,000 - - 4,000 10,000
- - - - -
- - - - -
Other
- - - - -
Total 4,000- - 4,000 10,000
Interest income
- - - - -
Dividend income
- - - - -
Rental and leasing income
- - - - -
Other
- - - - -
Total - - - - -
- - - - -
- - - - -
- - - - -
- - - - -
Total - - - - -
Conversion of endowment funds into income
- - - - -
Gain on disposal of a tangible fixed asset held
forcharity's ownuse
- - - - -
Gain on disposal of a programme related
investment
- - - - -
Royalties from the exploitation of intellectual
propertyrights
- - - - -
Other
- - - - -
Total - - - - -
138,362 35,091-173,453 12,160
Other information:
TOTAL INCOME
Other:
Other trading
activities:
Income from
investments:
Separate
material item
of income:
Analysis
Donations
and legacies:
Charitable
activities:
Unrestricted
funds
Restricted
income
funds
Endowment
funds
Total funds
Prior year
£
£
Analysis
Unrestricted
funds
Restricted
income
funds
Endowment
funds
Total funds
Prior year
£
£
Analysis
Unrestricted
funds
Restricted
income
funds
Endowment
funds
Total funds
Prior year
£
£
Analysis
Unrestricted
funds
Restricted
income
funds
Endowment
funds
Total funds
Prior year
£
£
Analysis
Unrestricted
funds
Restricted
income
funds
Endowment
funds
Total funds
Prior year
£
£
Analysis
Unrestricted
funds
Restricted
income
funds
Endowment
funds
Total funds
Prior year
£
£
Analysis
Donations and gifts 20,854 35,091 - 55,945 2,160
Gift Aid - - - - -
Legacies - - - - -
General grants provided by government/other
charities
90,350 - - 90,350 -
Membership subscriptions and sponsorships
whichareinsubstance donations
- - -
Donated goods, facilities and services - - - - -
Other - - - -
Total 111,204 35,091 - 146,295 2,160
Production/ Education income 23,158 - - 23,158
- - - - -
- - - - -
Other - - - - -
Total 23,158 - - 23,158 -
Sponsors
4,000 - - 4,000 10,000
- - - - -
- - - - -
Other - - - - -
Total 4,000 - - 4,000 10,000
Interest income - - - - -
Dividend income - - - - -
Rental and leasing income - - - - -
Other - - - - -
Total - - - - -
- - - - -
- - - - -
- - - - -
- - - - -
Total - - - - -
Conversion of endowment funds into income - - - - -
Gain on disposal of a tangible fixed asset held
forcharity's ownuse

-
- - - -
Gain on disposal of a programme related
investment
- - - - -
Royalties from the exploitation of intellectual
propertyrights
- - - - -
Other - - - - -
Total - - - - -
138,362 35,091 - 173,453 12,160
All income in the prior year was unrestricted except for: (please
provide description and amounts)
Where any endowment fund is converted into income in the
reporting period, please give the reason for the conversion.

824

CC17a (Excel)

05/05/2021

Where any endowment fund is converted into income in the prior period, please give the reason for the conversion.

Within the income items above the following items are material: (please disclose the nature, amount and any prior year amounts)

CC17a (Excel)

05/05/2021

925

Section C Notes to the accounts (cont)

Note 4 Analysis of receipts of government grants

Arts Council England
Arts Council England
Reading Borough Council
Other
This year
£
Description
This year
£
Description
The grant was originally made for the purpose of funding a production
on the Tudor history of Reading. However, with agreement with the
Arts Council England, it was repurposed as a Covid recovery grant
50,000
Covid recovery grant 30,000
Covid recovery grant 8,350
-
Total 88,350
Government grant 1
Government grant 2
Government grant 3
Other
Please provide details of any
unfulfilled conditions and other
contingencies attaching to grants
that have been recognised in income.
Please give details of other forms of
government assistance from which
the charity has directly benefited.
Last year
£
Description
Last year
£
Description
Last year
£
Description
-
-
-
-
Total -
Thisyear
Lastyear
-
Thisyear
Lastyear

CC17a (Excel)

05/05/2021

10 26

Section C Notes to the accounts (cont) Notes to the accounts (cont) Notes to the accounts (cont) Notes to the accounts (cont) Notes to the accounts (cont) Notes to the accounts (cont) Notes to the accounts (cont) Notes to the accounts (cont)
Analysis
Expenditure on raising funds:
Note 6 Analysis of
Unrestricted
funds
Restricted
income funds
Endowment
funds
Total funds
Unrestricted
funds
Restricted
income
funds
Endowment
funds
Total funds
£
£
expenditure
This year
Last year
Incurred seeking donations - - - - - - - -
Incurred seeking legacies - - - - - - - -
Incurred seeking grants - - - - -
Operating membership schemes and
social lotteries
- - - - -
Staging fundraising events - - - - 1,021 1,021
Fudraising agents - - - 605 605
Operating charity shops - - - - -
Operating a trading company
undertaking non-charitable trading
activity
- - - - -
Advertising, marketing, direct mail and
publicity
- - - - 186 - - 186
Start up costs incurred in generating
new source of future income
- - - - - - - -
Database development costs - - - - - - - -
Other trading activities - - - - -
Investment management costs: - - - - -
Portfolio management costs - - - - - - - -
Cost of obtaining investment advice - - - - - - - -
Investment administration costs - - - - - - - -
Intellectual property licencing costs - - - - - - - -
Utilities and office expenses - - - - 2,971 - - 2,971
Personnel costs 1,461 - - 1,461 2,200 - - 2,200
Total expenditure on raising funds 1,461 - - 1,461 6,983 - - 6,983

CC17a (Excel)

05/05/2021

1127

Expenditure on charitable activities:
Production/Education expenditure 43,137 - - 43,137 - - - -
Staff costs 23,850 - - 23,850 - - - -
- - - - - - - -
- - - - - - - -
Total expenditure on charitable
activities
66,987 - - 66,987 - - - -
Separate material item of expense
- - - - - - - -
- - - - - - - -
- - - - - - - -
Total - - - - - - - -
Other
Staffcosts 36,453 - - 36,453 - - - -
Utilities 4,316 - - 4,316 - - - -
Website 4,994 - - 4,994 - - - -
Sundry 2,531 - - 2,531 - - - -
Total other expenditure
TOTAL EXPENDITURE
48,294 - - 48,294 - - - -
116,742 - - 116,742 6,983 - - 6,983

Other information:

Analysis of expenditure on charitable activities

Thisyear Thisyear Thisyear Thisyear Lastyear Lastyear Lastyear Lastyear
Activity or programme Activities
undertaken
directly
Grant
funding of
activities
Support
Costs
Total this
year
Activities
undertaken
directly
Grant
funding of
activities
Support
Costs
Total last
year
£ £ £ £ £ £ £ £
Activity1 - - - - - - - -
Activity2 - - - - - - - -
Other - - - - - - - -
Total - - - - - - - -

CC17a (Excel)

05/05/2021

1228

Section C Notes to the accounts

Note 10 Details of certain items of expenditure

10.1 Fees for examination of the accounts

Please provide details of the amount paid for any statutory external scrutiny of accounts and other services provided by your independent examiner. If nothing was paid please enter '0' in the appropriate box(es).

Other fees (for example: financial advice, consultancy, accountancy services) paid
to the independent examiner
I�de�e�de�� e�ami�e��� fee�
Assurance services other than audit or independent examination
Tax advisory fees
This year
£
Last year
£
600 -
- -
- -
- -

CC17a (Excel)

05/05/2021

13 29

Section C Notes to the accounts (cont)

Note 19 Debtors and prepayments

Please complete this note if the charity has any debtors or prepayments.

19.1 Analysis of debtors Trade debtors Prepayments and accrued income Other debtors

Total This year
£
Last year
£
7,971 -
1,780 300
883
9,751 1,183

Please complete 19.2 where a material debtor is recoverable more than a year after the reporting date.

19.2 Analysis of debtors recoverable in more than 1 year (included in debtors above)

Prepayments and accrued income
Other debtors
Total
Trade debtors
This year
£
Last year
£
- -
- -
- -
- -
- -

CC17a (Excel)

05/05/2021

1430

Section C Notes to the accounts (cont)

Note 20 Creditors and accruals

Please complete this note if the charity has any creditors or accruals.

20.1 Analysis of creditors

Accruals for grants payable
Bank loans and overdrafts
Trade creditors
Payments received on account for contracts or
performance-related grants
Accruals and deferred income
Taxation and social security
Other creditors
Total
Amounts falling due within
oneyear
Amounts falling due within
oneyear

Amounts falling due after
more than oneyear

Amounts falling due after
more than oneyear
This year
£
Last year
£
This year
£
Last year
£
- - - -
- - - -
1,976 293 - -
- - - -
12,537 4,285 - -
- - - -
- - - -
14,513 4,578 - -

20.2 Deferred income

Please complete this note if the charity has deferred income.

Please explain the reasons why income is deferred.

come.
This year Last year
Fees have been received
in the year for courses to
be delivered in the
following year
Movement in deferred income account
Balance at the start of the reporting period
Amounts added in current period
Amounts released to income from previous periods
Balance at the end of the reporting period
This year
£
Last year
£
- -
- -
- -
- -

CC17a (Excel)

05/05/2021

15 31

Section C Notes to the accounts (cont)

Note 24 Cash at bank and in hand

Note 24 Cash at bank and in hand
Other
Cash at bank and on hand
Total
Short term cash investments (less than 3 months maturity date)
Short term deposits
This year
£
Last year
£
- -
10,051 -
56,599 8,572
- -
~~66,650~~ ~~8,572~~

CC17a (Excel)

05/05/2021

16 32

Section C Notes to the accounts (cont)

Note 27 Charity funds

27.1 Details of material funds held and movements during the CURRENT reporting period

Please give details of the movements of material individual funds in the reporting period together with a balancing figure for 'Other funds'. The 'Total funds' figure below should reconcile to 'Total funds' in the balance sheet.

* Key: PE - permanent endowment funds; EE - expendible endowment funds; R - restricted income funds, including special trusts, of the charity; and U - unrestricted funds

funds
Fund names Type PE, EE
**R or UR ***

Purpose and Restrictions
Fund
balances
brought
forward
£
Income
£
Expenditure
£
Transfers
£
Gains and
losses
£
Fund
balances
carried
forward
£
Unrestricted fund UR Furtheringcharitable objectives 5,177 138,362 - 116,742 - - 26,797
Core support fund R Grant towards support costs for a 12
monthperiod from October 2020
p
- 20,000 - - - 20,000
Specific production expenditure
fund
R expenditure for a performance on
Reading's Tudor history to be held in
summer 2021
- 5,040 - - - 5,040
General production contingency
fund
R To ensure adequate funding is available
for futureproduction expenditure
- 10,051 - - - 10,051
- - - - - -
- - - - - -
- - - - - -
- - - - - -
- - - - - -
- - - - - -
- - - - - -
Total Funds 5,177 173,453 - 116,742 - - 61,888

CC17a (Excel)

05/05/2021

17 33

Section C Notes to the accounts (cont)

Note 27 Charity funds (cont)

27.2 Details of material funds held and movements during the PREVIOUS reporting period

Please give details of the movements of material individual funds in the reporting period together with a balancing figure for 'Other funds'. The 'Total funds' figure below should reconcile to 'Total funds' in the blanace sheet.

* Key: PE - permanent endowment funds; EE - expendible endowment funds; R - restricted income funds, including special trusts, of the charity; and U - unrestricted funds

funds
Fund names Type PE, EE
**R or UR ***

Purpose and Restrictions
Fund
balances
brought
forward
£
Income
£
Expenditure
£
Transfers
£
Gains and
losses
£
Fund
balances
carried
forward
£
Unrestricted UR Furtheringcharitable objectives - 12,160 - 6,983 - - 5,177
- - - - - -
- - - - - -
- - - - - -
- - - - - -
- - - - - -
- - - - - -
- - - - - -
- - - - - -
- - - - - -
Other funds N/a N/a - - - - - -
Total Funds - 12,160 - 6,983 - - 5,177

CC17a (Excel)

05/05/2021

18 34

Section C Notes to the accounts (cont)

Note 28 Transactions with trustees and related parties

If the charity has any transactions with related parties (other than the trustee expenses explained in guidance notes) de�ail� of ��ch ��an�ac�ion� �ho�ld be ��o�ided in �hi� no�e. If �he�e a�e no ��an�ac�ion� �o �e�o��, �lea�e en�e� �T��e� in the box or "False" if there are transactions to report.

28.1 Trustee remuneration and benefits

This year

None of the trustees have been paid any remuneration or received any other benefits from an employment with their charity or a related entity (True or False)

TRUE

In the period the charity has paid trustees remuneration and benefits. Please give the amount of, and legal authority for, any remuneration or other benefits paid to a trustee by the charity or any institution or company connected with it.

Name of trustee Legal authority (eg
order, governing
document)
Amounts paid or benefit value Amounts paid or benefit value Amounts paid or benefit value Amounts paid or benefit value Amounts paid or benefit value
Remuneration Pension
contribution
Redundancy
(including
loss of
office)/ex
gratia
Other TOTAL
£ £ £ £ £
- - - - -
- - - - -
- - - - -
- - - - -

Please give details of why remuneration or other employment benefits were paid.

Where an ex gratia payment has been made to a trustee, provide an explanation of the nature of the payment.

If a third party has been reimbursed for providing one or more trustees, state the nature of the payment and amount of the reimbursement.

State the number of trustees to whom retirement benefits are accruing under a defined contribution pension scheme.

35

TRUE

Last year

None of the trustees have been paid any remuneration or received any other benefits from an employment with their charity or a related entity (True or False)

In the period the charity has paid trustees remuneration and benefits. Please give the amount of, and legal authority for, any remuneration or other benefits paid to a trustee by the charity or any institution or company connected with it.

Name of trustee Legal authority (eg
order, governing
document)
Amounts paid or benefit value Amounts paid or benefit value Amounts paid or benefit value Amounts paid or benefit value Amounts paid or benefit value
Remuneration Pension
contribution
Redundancy
(including
loss of
office)/ex
gratia
Other TOTAL
£ £ £ £
- - - - -
- - - - -
- - - - -
- - - - -

Please give details of why remuneration or other employment benefits were paid.

Where an ex gratia payment has been made to a trustee, provide an explanation of the nature of the payment.

If a third party has been reimbursed for providing one or more trustees, state the nature of the payment and amount of the reimbursement.

State the number of trustees to whom retirement benefits are accruing under a defined contribution pension scheme.

28.2 Trustees' expenses

If the charity has paid trustees expenses for fulfilling their duties, details of such transactions should be provided in this no�e. If �he�e a�e no ��an�ac�ion� �o �e�o��, �lea�e en�e� �T��e� in �he bo� belo�. If �he�e a�e ��an�ac�ion� �o �e�o��, �lea�e enter "False".

No trustee expenses have been incurred (True or False) TRUE
Type of expenses reimbursed This year Last year
£ £
Travel - -
Subsistence - -
Accommodation - -
Other (please specify): Production expenses
- -
TOTAL - -
Please provide the number of trustees reimbursed for expenses or who
had expenses paid by the charity

36

28.3 Transaction(s) with related parties

Please give details of any transaction undertaken by (or on behalf of) the charity in which a related party has a material interest, including where funds have been held as agent for related parties. If there are no such transactions, please enter 'true' in the box provided.

This year

There have been no related party transactions in the reporting period (True or False) There have been no related party transactions in the reporting period (True or False) There have been no related party transactions in the reporting period (True or False) There have been no related party transactions in the reporting period (True or False) There have been no related party transactions in the reporting period (True or False) There have been no related party transactions in the reporting period (True or False) FALSE FALSE
Name of the trustee
or related party
Relationship
to charity
Description of the
transaction(s)
Amount Balance at
period end
Provision for bad debts
at period end
Amounts
written off
during
reporting
period
£ £ £ £
Reading Between the
Lines Limited
Company
owned by the
Executive and
Artistic
directors of the
charity
Donations 26,425 -
-
-
- -
-
-
- -
-
-
- -
-
-

In relation to the transactions above, please provide the terms and conditions, including any security and the nature of any payment (consideration) to be provided in settlement.

Of the above donations, £10,051was restricted to funding future production costs.

For any related party, please provide details of any guarantees given or received.

None

Last year

There have been no related party transactions in the reporting period (True or False) There have been no related party transactions in the reporting period (True or False) There have been no related party transactions in the reporting period (True or False) There have been no related party transactions in the reporting period (True or False) There have been no related party transactions in the reporting period (True or False) There have been no related party transactions in the reporting period (True or False) TRUE TRUE
Name of the trustee
or related party
Relationship
to charity
Description of the
transaction(s)
Amount Balance at
period end
Provision for bad debts
at period end
Amounts
written off
during
reporting
period
£ £ £ £
- -
-
-
- -
-
-
- -
-
-
- -
-
-

In relation to the transactions above, please provide the terms and conditions, including any security and the nature of any payment (consideration) to be provided in settlement.

For any related party, please provide details of any guarantees given or received.

37

RABBLE Theatre Annual Report 210402 incl accounts FINAL p1-37

Final Audit Report

2021-05-15

Created: 2021-05-13 By: Sandra Lee (sandra.lee@creativetaxreliefs.com) Status: Signed Transaction ID: CBJCHBCAABAAyGbDKkbUvutJA5G7GGj1OLIgP722ngvX

"RABBLE Theatre Annual Report 210402 incl accounts FINAL p 1-37" History

Document created by Sandra Lee (sandra.lee@creativetaxreliefs.com)

2021-05-13 - 10:28:31 GMT- IP address: 212.139.0.30

Document emailed to Victoria Lavery (torilavery@hotmail.co.uk) for signature

2021-05-13 - 10:32:37 GMT

Email viewed by Victoria Lavery (torilavery@hotmail.co.uk)

2021-05-13 - 19:24:26 GMT- IP address: 213.205.194.71

Document e-signed by Victoria Lavery (torilavery@hotmail.co.uk)

Signature Date: 2021-05-13 - 19:25:05 GMT - Time Source: server- IP address: 213.205.194.71

Document emailed to Julie Gregory (julesgregory@yahoo.co.uk) for signature

2021-05-13 - 19:25:08 GMT

Email viewed by Julie Gregory (julesgregory@yahoo.co.uk)

2021-05-13 - 21:41:30 GMT- IP address: 92.19.2.142

Document e-signed by Julie Gregory (julesgregory@yahoo.co.uk)

Signature Date: 2021-05-13 - 21:51:40 GMT - Time Source: server- IP address: 92.19.2.142

Document emailed to Neil Adshead FCA (neil.adshead@creativetaxreliefs.com) for signature 2021-05-13 - 21:51:42 GMT

Email viewed by Neil Adshead FCA (neil.adshead@creativetaxreliefs.com) 2021-05-14 - 08:33:12 GMT- IP address: 109.152.139.231

Document e-signed by Neil Adshead FCA (neil.adshead@creativetaxreliefs.com)

Signature Date: 2021-05-15 - 11:23:47 GMT - Time Source: server- IP address: 109.152.139.231

Agreement completed. 2021-05-15- 11."23."47 GMT Adobe Sign