Company registration number.. CE015497
Charity registration number.. 1180504
The Folkestone-Hythe Operatic & Dramatic Society
IA Charitable Incorporated Organisationl
Annual Report and Financial Statements
for the year ended December 31, 2023
Contents
Trustees Report
Independent Examiners Report
Statement of financial activitie5- Income and Expenditure Account
Statement of fin3nti31 actiwties- Balance Sheet
Notes on the Flnancial Statements
io
Detalled Income and Expenditure Account
13

The Folkestone-Hythe Operatlc & Dramatlc Society
Trustees. Report for 2023
The tru5teES present their repoit with the financial statement5 of the charity lor the year ended December 31,
2023. The trustees have adopted the provisions of the Statement of Recommended Practice ISORPI FRS 102
REFERENCE AND ADMINISTRATIVE DETAILS
Re8lSteied Charlty number
1180504
Prlncipal address
The Tower Theatre
North Road
Folkestone
Kent
CT20 3HL
TRUSTEES
The Executive Cornmittee ol the Ehèrity arÈ its trustees for the purpose of charity law and throughout this
report are collectively referred to as the trustees. The trustee5 serving during the year were as follows with
their dates of appointinent..
Chair
Michael Chi5nall ljune 2018 March 20231- Chair ur*til March
2023
Merewyn Forrest ljanuary 2022- October 20231- Chair from
M3rch to October 2023
Alice Hawkins (January 20221- Chalr from October 2023
Myra Collingridge (November 20221- Vice-chair until October
2023
Ben Forrest IOctt)ber 20231- Vice-chalr from October 2023
Natalie Holness INovÈmber 2020- re-electÉd November 2Q221
Michael M3nton ljune 2018- re-elecied January 20201
Rithard Hawkins (October 20231
Paul Milton INovember 20221
Vi£&chair
SÈcretary
Treasurer
Other Members
The followine assisted in running the Society in 2023 but gre not trustee posittons..
Theatre Manager
Events and Marketing Manager
Technical Manaeer
Duty Manager
P&P sub-committee Chair
John Pritr.hard
Reana Herthenhan
Ben Laverty
Gary Ingoldby Spate
Michelle Hartley (until November 20231,. Julie Morrow Ifrom
November 20231
Mlchelle Hartlev
Kate Rlchmond
AdTnini5trator
Accounts Manager
Youth Section Chair
Independent examSner
Mr Neil Hope
10 Jame5 Close
Lyminge
188NL

STRUCTURE GOVERNANCE AND MANAGEMENT
Governance
On October 31$1 2018, following agreement at the June 2018 AGM, a new FHODS was set up as a Charitable
Incorporated Qrganisation ICIOI. On December 3, 2018, 811 assets and l*abilitie5 were transferred from the old
Society to the new Clo. Its charitable status remalns unaltered although the Charity Nufflber has changed
Irom 1001311 to 1180504.
Appolntmenl of Trustee5
Any member of the society 3ged 18 or over is ellgible to serve on the Executive Cornrnitlee provided they are
nomlnated and seconded by other members of th@ society, and properly elected. Members of the Executive
CommSttee are Trustees. The Vice-Pre5ident and all mpmbers ol tlie Executive Commlttee are elected at the
Annual General Meetin8 held 85 near to the end ol June a5 15 practitable.
The overall responsibility for the Society lie5 Wlth the ExECUtlve Committee. The Hon.Treasurer is responsible
for overseeing the finances of the Society. All membÈrs 3rÈ circulated with invitations to nominate trustees
prlor to the AGM advising them of the reliring trusteÈ5 and requesting nominations for the AGM.
Organlsatlon
The trustees administer the charity. The Executive Committee meets monthly and there is a Performance and
Planning Sub-committee covering the planning and staglng of plays, mu5i£al and pantomlmes.
08JECnVES AND AcfiviTIES
The charitable objeclives of FHODS areto educate the public in the dramatic and operarlc arts and to IuTther
the developrnent of public appreciation and taste in the said arts. The Society also aims to contribLJte to the
quality of life of the local comrnunity and wlder area by expanding their horlions through the provision of
excitlng, challenging and 3cces5ible productlons of plays, musicals and youth performances.
The Soclety is very involved in the communlty and is dependent on voluntary help. OveT ihe past lew year5,
the Soctety has had Bround 100 Actlng Members and 80 Friends, with a lurthef 90 mÈmbers ol the Youth
Secrlon.
In shaping our objectives for the year and planning our a£tivitie5, the tru5tee5 have tonsidered the Charity
Commi5sioner5 guidance on public benefit, including the guidance on public bÈnefit 8nd fee charging. The
charity relies on grant5 and the income from charges to cover it5 operating costs. In setting the level of
charges and conces510nS. the trustees give careful consideration to the accessiblllty of the theatre lor those on
low income.
FHODS w3s formed in 1902; we leased the Little Theatre in Sandgate in 1965, purchasing its freehold in in
1972,. bought the Shornclilfe Garrison Church las it then w351 in 2001- and moved Into it as wr permanent
home in 2006 after it had been converted into the presefit TowerTheatfE.
PRODUCTIONS IN 2023
There was a full Calendar of FHODS production5 in 2023. The table shr)ws FHODS productions during 2023
al the Tower Theatre with their audiences and liGket revenue.

SHOW
PERFORMANCES
AUDIENCE
TICKET REVENUE
Goodnlght MrTom
1074
£16,504
8ugsy Malone
529
£4,685
593
E8,653
Joseph and the Amazing Technliolor Dreamcoat
SweeneyTodd
A Nlght ol MusÉcals and Songs (Youth Sectiotkl
Ablgall's Party
1,769
£29,314
1,097
E18,017
216
El.775
845
£12,643
Sleeping Beauly
18
4,415
£73,357
TOTAL
47
10,538
£164,948
Total FHOf)5 ticket revenueof E164,948 wès a +28Yo increase on 2022,5 £129,255,
In addition to these FHODS productions, the theatre was used ltsr an additional 64 performances from outslde
hires. lortheatre, rnusicals, da￿ce and youth prodL4Ctions. These outside hires had a lotal audience of 8,595,
+10% increase on 2022.
Therefore, In summary, there were 111 performances in the main auditorium, playing to a total aLidience t>*
19.133. This compares to a total aLsdience 0116.766 lor 2022 and 15,915 lor 2019. the last two years th3t we
were fully open.
FINANCIAL REVIEW
2022 <omparatlve
As 2022 wa5 the first year we ran a lull calendar of events since the enftsrced closure of the theatre lor 18
months due to the global pandemic, we can compare 2023 performance ag)inst 2022.
Income
Afrer a positive recovery In 2022, 2023 continued to show improving sales. Total FHODS ticket Sales ol 10,538
was our best year 51nce movln8 into The Tower Theatre and was 1.6101+18%) more than 2022.
Bar profits increased to £40,283 from £31,169 in 2023. Margin oll bar sales was 51% last year, which was the
same as 2022, but below 2019.5 57%. and below our target of 50-65%.
We only received £1,540 in Erants last year, a Significant drop from the £27,074 received in 2023.
The rental incorne from thejumping Jack5 Nursery contributed E14,010. This also includes their contributions
to our energy costs.
In all. our income for the year was £340,849, which was £80,367 more and a +32% Increase on 2022,
Expendituie
Wages I￿ 2023 increased to £96,195, a +18% increase on 2022. Unlike the previous year, there was no expense
on casual bar staff in 2023.

After wo began pèying for our electricity in October 2022 fDr the lor the first time since the Tower Theatre
opened, our eneT8V Costs lor 2023 Ilight. heat and powerl was £20,558, compared to E7.403 in 2022.
We also spent £44.361 on rep8lrs and maintenance in 2023, IDmpared to £24,171 in 2022. The main
contributor tD this were essentlal electricity work undertaken throughout the theatre.
Total expenditure for the year was £339,418, which wa5 £85,1641+33y.I more than 2022.
Financial Overview
The prDfit and loss account shows a small prof¢t of £1,431. ThSs compares to a proflt of £6,228 in 2022.
We rÉmain. as ever, balanted on 3 financlal knife edge and cèsh flow rernains a concern. We must continue to
publici5e and support 311 of the show£ that are staged at theTower Theatre, improving our yield managemeni
and filllng the theatre as much as possible.
Reserves Pollcy
The trustees are committed to Èstablishing the level of reserves Ithat Is those fund5 that are freely availablel
the Soclety ought to have. Reserves will provide the lin£ncial saleiy net which we need but have never
achleved.
Due to a requirement to invest in tsne-off technical expenses and infrastrvcture investment in 2024. we do not
feel confident in significantly incred51nB our reserve5 In 2024, but from 2025 onwards propose 3 net movemer*t
in funds of around £30K over threE to four years to help achieve a target of a minimum of three month's
reserves. This is in line with charity cammission recommendations.
Flnancial Policy and ProcÈdures Document
The tru5tee5 have approved a new Flnancial Pollcy and Procedures Document. The main aim5 Of thls document
are to..
Ensures all staff and voluntee¥5 are aware of their obllgatlons in relation to flnancial transactions
wlthin the busine55
Help our Stall and volunteers to make con515tent and reliable deiisions
Give each employee and society member a clear understanding as to what we expect and allow
All statr and volunteers involved with financial transactlons in the business will have to read this document and
confirm this iii writing.
Prlor ye8r VAT adjustment
We have had to make an adjustment to the 2022 accounts due to irr￿0Ver8ts1e VAT from 2022 that we have
had to pay b3ck in 2024.
PLANS FOR FUTURE PERIOD5
The Trustee5 consider the charity to be a viable golng concern.
A full schedule of FHODS production5 for 2024 has been approved by tho Executive and Performance &
Planning committees. Ticket 5ale5 for 2024 have so far been encouraglng, with ticket revenue for FHODS
performlnÈ in line with budgeted target5 and non-FktODS outside shows slightly ahead.

The Folkestone-Hythe Operatic & Dramatlc Soclety
Statement of Trustees. Re5pun5Lbilltles
The rrustees are responsible for preparing the trustees. repDrt and the financial statement5 i# accordancè with
the United kingdom Accounting Standards (United Kingdom Generally Arcepted Accounting Practlcel and
applicablE la%v and reÈu13tions.
The law appllcabl& to charities requires the trustees to prepare financial Statements lor each financial ye8r
which give a true and fair view of the State of affairs of the charity and of the iniomlng resources and
application ol resourcès of the charity lorthat period. In preparing these financial staternent5, the tTUStees are
required to..
Select suitable accountin6 policles and then 3pplythem conslstently-
observe the methods and principles in the Charities SORP,.
make judgements and estimates that are reasonable and prudent,.
state whether appllcable accounting standard5 havp been ftsllowed. subject lo any material
departures dlsclosed and explained in the financial st8tements.' and
prepare the flnancial sl3tements on the 8olng concern basi5 unless it 15 inapproprlate to pre5urne that
the charlty wlll contSnue in business.
The trustees #re responsible for keeping proper accountlng records that di5c105e with rÉèson3ble 8ccuracy at
any time the financial p051tii)n of the charity and enable them to ensure that the financlal statements comply
with the Charitie5 ALt 2011, the applicable Ch&rities (Account5 and Reports) Regulations, and the provisions of
the constitution. The trustees ère also responsible for safeEuarding the assets of the Iharlty and hence for
taking reasonable stEP5 for the prevention and detectlon of fraud and other irregularities.
Approved by order of the board of trustees on
nd signed on its t>ehall by-
Alice Hawkins. chair

Thè Folkestone.Hythe Operatic & Dramatlc Society
Independent eKamlneY's report to the trustees
I report to the trustees on my exarninatlon of the accounts ol The Ftslkeston2-Hythe Operatic & Dramatic
Society Ithe Socletyl for the year ended 31 December 2023.
Responslbllltles and basls of report
As the eharSty rrustees of the Society ytru are responsible for the preparation of the accounts in accordance
with the iequlrements of the Charities Act 20111.the Act'l.
Having satlsfled myself that the accounts are not required to be audited, I report in respect of my e)tamlnation
of the Society'5 aLLounls carried out under secrion 145 of the 2011 Act 3Trd In carrying out my examination I
have followed all thE 8pplicable Directions glven by the Charity Commission under section 14515llbl of the Act.
Independent examIne￿S statement
I have completed my exarnination. I confirm that no m8teriBI matter5 have come to rny attentlon in connection
with th2 examination giving me cause to believe that in any material respect:
accounting record5 were noi kept in respeci of the Society as required by section 130 of the Act., or
the. 3Eiounts do not accord with those records,, or
the accounts do not comply with tho applicable requirements concernin8 the form and co#tent of
accounts set out in the Charities (Accounts 8nd Reports) Regulations 2008 other than any
Tequirement that the accounts glve a 'true and fair view which is not a matter considered as part of
Indepenijent exarnination.
I have concerns and have come across no other mattels in connection with the exarnination to whlch
attention should be drawn in this report In order to enable a pioper understanding of the accovnts to be
reached.
Name.. Neil Hope
Address.. 10 J8mes C105e, LymlngE, FolkÈstone, Kent. CT18 8NL
c /FF61.
Date..
Neil Hope

The Folkestone-Hythe Operatic & Dramatlc Soclety
Statement of Flnanclal Actlvities for the year to December 315t 2023
Year to
3111212023
Yèar to
3111212022
Note
Income and Endowments from..
Donations, giants & Interest
Charitable and trading aGliviliES
Total income
8003
332846
34D849
3(),222
230,260
260482
ExpgnditLrr¥ on:
Raising funds
Charitable activities
other expenditure
Total expenditurè
134295
81962
123161
339418
113,774
77,441
63.039
254 254
Net moveinent in funds
1431

The Folkestone-Hythe Operatlc & Dramatlc Society
Balance Sheet as at December 31st 2023
Note
3111212023
3111212022
Fixed a55ets
Tangible assets
602681
607,348
Current asset
Stocks
Debtors
Cash al bank and in hand
10
4938
10181
127661
3,946
1,390
102,193
107,529
12
142780
Crodltors: Amounts falling due
withln one year
106652
59.698
Nèt current assets
36128
47,831
Total net assèts
638809
655 179
Crgditors.. Amounts falling due
after more than one year
Net assets
14
16055D
168.550
478259
486,629
Funds of tha charity:
Unreslricled funds broughl forward
Prior year Adjustment
Profit for the year
486629
-98D1
1431
480,401
6,229
Total unrestricted funds at yèar ènd
478259
486,629
Approved by the trustees on
and 5iEned its beh31f by..
Michael Manton, Treasurer

The Folkestone-Hythe Operatic & Dramatlc Soclety
Notes to the Flnancial Statements for the year to December 31" 2D23
q. Charlty Status
The charity is a Charitable Incorporated Organisalion, incorporated in England and Wdles.
ancl consequently doés not have share capital.
yèar to 3111212023
y&ar to 31M212022
2. Income frThn Donation5, l&ga¢l&s & Bank Interest
Donations
Grants
Bank Interesl
5484
1540
979
8003
3.148
27.074
30.222
3. Income from trading and charitable a¢tLVlti@s
Trading Incoma
Sales ofgoods
Propety rental
Other trading income
78373
14010
617
61,623
4,320
204
Charitable income
Theatrical events income
Membership subs￿1p110ns
234756
5090
161,098
3,015
332846
230 260
4. Expenditure on raising funds
Cost of goods sold
Staff salaries
38100
96195
30.454
83,320
134295
113774
No employee received moré than £40,000 in the year.
5. Expenditure on charitable activitlès
Production costs
Other costs
Bank interest
Bank chargès
Insurance
62571
6806
5609
764
6212
58,755
6,902
5,850
568
5,366
81962
77.441
io

6. Other expenditure
ygar to 3111212023
year to 3111212022
Staff training
ma￿eting and pvbllcity
Depreciation
Heat & Light
Building Tepairs and maintenance
Irrecoverable VAT
othèr rèsources expended
850
190
846
7,104
7.403
24.171
7917
20558
44361
24038
25437
23,325
123161
83 039
Y. Trustees remuneration and èxpènses
No tNstees have received b8nèfits from the challly dullng the year
8. Taxation
The Society is a registered ch81ily and is Iheretore exempl frem corporation tax. None was
payab￿ last year.
9. Tan9lble fixed assets
Freehold land
and buildings
Ixtures and
equipment
Total
Cost at December 31 2022
Additions
Gosl at December 31 2023
598,534
28.418
3.250
626952
3250
630 202
598 534
Depreci2tion at December 31 2022
Charge for the year
DgPTeciation al December 31 2023
19,604
19604
7917
Not book value al December 31 2023
598 $34
602 681
Capilalised items are those over £500 in value. The TTUStees policy is that fixtures and equipment
are depreciated al 25% en a straighl line bas1S.
Freehold land and buildings are not depreciatgd Since, in the opinion of the Trusloes, their value
on the opon matket exceeds their nel book value.
li

year to 3111212023
year to 3111212022
10. Stocks
Bar stocks
4938
11. Dèbtors and prepayments
DeblcTrrs
Prepayments
10181
1,390
10181
1390
12. Cash and bank
ygar to 3111212023
year to 3111212022
Cash on hand
Cash at bank
786
126875
127661
850
101.343
102193
13. Creditors - amounts fallsng due wlthin one year
Tr8dè er6ditors
other creditors
Accruals
Bank loans
6509
22518
69867
7758
106652
24,378
3,124
24,835
7,381
14. Credttors.. amounts falllng du& aft&r on8 year
Bank loan8
160550
168 551
15. Unr&strlctsd funds
Balance brought fO￿ard
Prioryear Adj IrrEcoverable VAT
Incoming resources
Resources expended
Balance carried fotward
486629
-9801
340849
339418
478259
480,401
260,482
2S4,254
486 629
16. Analysis of net assgts
Tangible fixèd assets
Current assets
Current liabilities
Liabilities over one year
602681
142780
106652
160550
478259
607,348
107,530
52,337
175,912
486 629
12

The Folkestone-Hythe Opeyatic & Dramatlc Society
Detalled Statement of Financial Actlvltles for the year to December 31. 2023
2023
2022
INCOME
Donati0115, grants, legaGie$ & interesl
Gifts & donations
Grants- other agencies
Bank Interest Received
5484
1540
979
8003
3,148
27,074
Other trading activities
Bar and refreshment sales
Ineomè from productions
Theatre and foyer letting
Subscriptions
Rental income
Booking fees
Sundry income
78373
167200
61164
5090
14010
6392
617
332846
340849
61,623
131,450
29,648
3,015
4.320
204
230 260
260.482
TrAal Incmie
EXPENDITURE
Raising fund8
Bar Purchases
VV8ges and salaries
Casual bar wages
38100
9S195
30,454
81,654
1,866
113774
134295
Charilablè aetlvltias
ProduGts"on costs
Box office fèès
Intsurance
Accounlaney fees
Legal professional fees
Bank charges
Bank interest payablÈ
e2571
6742
6212
58,755
6,513
5,366
389
764
5609
81962
568
5,850
13

other expènditurè
Staff Iralning
Light, heat and ptswer
Repairs and maintenance
Telephone
Corllpuler sofiwsre and maintenance costs
Piinling, postage and slalionery
Sundry expenses
Cleaning
General marketing
ITrecoverable VAT
Credit caid charge5
Depieciation of equipment
850
20558
44361
814
3609
2614
1177
10130
190
7,403
24,171
742
3,169
1.850
1,802
10,539
846
24038
7093
7917
123161
5,223
7,104
63 039
Total Exponditurè
339418
254,254
Net Income
1431
6.228
14