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2025-03-31-accounts

ARTS ALIVE IN SHROPSHIRE AND HEREFORDSHIRE

STATEMENT OF FINANCIAL ACTIVITIES 31st March 2025

Arts Alive

2024–2025 Year-End Review for Trustees

Executive Summary

The 2024–2025 financial year marked a period of steady progress and renewed momentum for Arts Alive. Building on previous investments in programme quality, community partnerships and organisational resilience, Arts Alive advanced its mission to expand access to the arts while strengthening its operational foundations. Despite ongoing sector-wide challenges - including rising costs and a competitive funding environment - the organisation delivered impactful programmes, broadened its reach, and maintained effective organisational stewardship.

Key highlights from the year include the successful delivery of core programmes, deeper collaboration with community and sector partners and strengthened artist development initiatives.

Programme Highlights and Impact

Core Programmes

Arts Alive successfully delivered its core portfolio of programmes, reaching rural and market town communities across Shropshire, Herefordshire, Telford & Wrekin and beyond. Key areas of activity included:

Across all programmes, affordable ticket prices and proximity to home helped remove economic and logistical barriers to participation.

Artist Development and Sector Support

Arts Alive continues to strengthen the cultural ecology by investing in both artist development and wider sector support. Through targeted training, commissioning pathways and

collaborative partnerships, the organisation enables artists to develop their skills, expand professional networks and progress their creative practice.

Alongside this, the organisation provides strategic guidance, resources and practical support to organisations, venues and communities, helping to build local capacity and long-term resilience. By investing in both people and infrastructure, Arts Alive contributes to a more innovative, sustainable and connected arts sector, particularly within rural contexts.

The Off Grid and Pitch Up (Rural) initiatives, led by Arts Alive in collaboration with sector partners, offer dynamic platforms for artists and producers to explore new ideas and engage with the rural touring network.

Partnerships

Partnerships remained central to Arts Alive’s impact. During the year, the organisation:

Accessible provision remained a priority, with subtitled, relaxed, dementia-friendly and matinee screenings and performances offered throughout the year.

Audience and Community Reach

Arts Alive reached an estimated over 34,000 participants and audience members during 2024– 2025. Demographic and geographic data indicate continued progress towards engaging a broader and more diverse community. Marketing efforts - particularly email communications and social media - supported awareness and attendance, while referrals from community partners played an increasingly important role in reaching new audiences.

Financial Review 2024–2025

Our financial position continued to strengthen during 2024–2025, supported by our two main funders, Arts Council England and the BFI . We were also supported during the year by a significant grant from the UK Government’s Levelling Up programme (UKSPF).

This funding enabled three key developments: strengthening the organisation’s staffing structure , building reserves , and continuing our work with new audiences and

communities across our area. Total income also increased compared with the previous financial year.

Expenditure rose in line with the scale and ambition of our programme. We spent significantly more on artist fees , supporting a greater number of touring companies to work in our area, and on film rights , with an expanded range of screenings requiring additional payments to distributors. Other costs also increased in line with the greater number and quality of activities delivered.

Our reserves continue to underpin the organisation’s stability. The Stability Reserve increased during the year and now meets our policy of holding six months’ reserves , providing protection in the event of significant or unexpected funding disruption.

We are also developing an Artist Development Fund (£30,000) to support a new strand of our work: collaborating closely with companies that wish to tour across our network. This initiative aligns well with the additional space we expect to rent in 2026–2027 .

The Trustees wish to express their heartfelt thanks to everyone who supported Arts Alive throughout this transformative year. The Trustees confirm that they have approved this report.

Reference and Administration Details

Arts Alive is a registered charity, number 1182373.

The principal address is Office 007, Enterprise House, Station Street, Bishops Castle, Shropshire SY9 5AQ

Trustees of Arts Alive as at 1st April 2024 – 31[st] March 2025 were:

Michael Connolly - Chair

Paul Graham

Louise Harriet Cresswell Mayor - Treasurer

Stephanie Hinton

Kai Hu

Shauna O’Reilly Pearce

Violet Hudson

Arts Alive’s bank is: CAF BANK Ltd, 25 Kings Hill Avenue, West Malling, Kent ME19.

The independent examiner of the accounts is Shaheen Uddin - Aims Accountants for

Business

Structure, Governance and Management

Arts Alive has existed as an unincorporated trust since 1999. On 7th March 2019, Arts Alive became a Charitable Incorporated Organisation and all assets from the old Charity were transferred to the new one on October 1st 2019.

Arts Alive is governed by its constitution adopted on 7th March 2019.

Trustees are elected for a three-year term on the expiry of which they may stand for reelection.

Objectives

The objectives of Arts Alive, as set out in the constitution, may be summarised as fostering and developing artistic taste, knowledge, and appreciation of the arts in Shropshire &Herefordshire and the surrounding areas.

In planning activities for the year, the Trustees have considered the Charity Commission’s guidance on public benefit, including the guidance on fee charging. For the most part admission prices are set by the individual promoters but Arts Alive issues strong recommendations on the level at which they should be set.

ARTS ALIVE IN SHROPSHIRE AND HEREFORDSHIRE STATEMENT OF FINANCIAL ACTIVITIES FOR THE PERIOD ENDED 31 MARCH 2025

Incoming resources
from generated funds:
Voluntary income:
Grants
Donations
Investment income
from charitable activities:
Income from live and flicks events
Total incoming resources
Resources expended
Charitable activities
Operation of live and flicks events
Governance costs
Total Operation of events
Transfers to reserve funds
Total resources expended
Net incoming resources
Note

2
3
4
4
31.03.2025
Restricted
£

341,948
2,247
1,078
-------------
345,273
111,906
-------------
457,179
-------------
440,173
4,140
-------------
444,313
-------------
16,227
460,540
-------------
(3,361)
=======
31.03.2024
Restricted
£
227,486
476
4,080
-------------
232,042
107,764
-------------
339,806
-------------
334,972
1,184
-------------
336,156
-------------
0
336,156
-------------
3,650
=======

5

ARTS ALIVE IN SHROPSHIRE AND HEREFORDSHIRE BALANCE SHEET AS AT 31 MARCH 2025

Fixed assets
Fixtures and fittings
Flicks Equipment
Current assets
Debtors
Cash at Bank and in hand
Creditors: Amounts falling
due within one year
Net Current Assets
Net Assets
Funds
Restricted funds
Unrestricted funds
B/F Reserve Earnings
Current Year Earnings
Total Funds
Notes
£
£
£
£
5
2,018
2,706
5
11,669
15,559
---------
---------
13,687
18,265
6
24,620
26,058
189,443
136,359
---------
---------
214,063
162,417
7
45,798
68,240
---------
---------
168,265
94,177
---------
---------
8
181,952
112,442
=====
=====
26,095
26,495
155,432
82,160
---------
---------
181,527
108,655
3,787
137
(3,361)
3,650
----------
----------
181,952
112,442
======
======
31.03.2025
31.03.2024

Michael Connolly For and on behalf of the Managing Committee

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ARTS ALIVE IN SHROPSHIRE AND HEREFORDSHIRE NOTES TO THE FINANCIAL STATEMENTS FOR THE PERIOD ENDED 31 MARCH 2025

The following accounting policies have been used consistently in dealing with items which are considered material in relation to the charity's financial statements.

Basis of accounting

The financial statements have been prepared in accordance with applicable accounting standards and follow recommendations in Statement of Recommended Practice: Accounting by Charities.

Voluntary income and fundraising expenditure

Voluntary income represents amounts received and recorded at events and projects during the year. Except in the case of charity shops and fundraising events such as fetes and galas, no costs of fundraising have been netted against voluntary income.

Fundraising expenditure represents the direct costs of fundraising and includes the salaries and other direct costs of fundraising staff. Publicity costs directly related to fundraising are included in the fundraising costs.

Fees, contributions and grants

These comprise amounts receivable during the year.

Investment income

This comprises interest received in the year.

Tangible fixed assets

Depreciation is provided at the following annual rates in order to write off each asset over its estimated useful life. Fixtures and fittings and Flicks equipment - 25% on reducing balance.

Taxation

No provision has been made for corporation tax or deferred tax as the charitable company is a registered charity and is therefore exempt.

Reserves

Reserve Funds are monies that have been set aside to cover unforeseen events such as equipment failures or renewals (Equipment Reserve), the major loss of funds (Stability Reserves)

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ARTS ALIVE IN SHROPSHIRE AND HEREFORDSHIRE NOTES TO THE FINANCIAL STATEMENTS FOR THE PERIOD ENDED 31 MARCH 2025

2 Grants

nts
31.03.2025 31.03.2024
Restricted Restricted
Funds Funds
£ £
Herefordshire Council 7,000 0
Cheshire West and Chester 0 250
Shropshire Council
(levelling up)
50,765 11,269
Shropshire Council 0 5,094
Arts Council England 166,863 166,863
BFI Grant 62,000 44,010
Other grants 24,070 0
Deferred Income 31,250 0
---------- ----------
341,948 227,486
====== ======

We acknowledge the support of Shropshire Council and the Department for Levelling Up, Housing and Communities (£50,765)

We are grateful for the support from The Elmley Foundation (£7,000)

Both projects are to help us reach new communities.

3 Investment income

estment income
31.03.2025 31.03.2024
Restricted Restricted
Funds Funds
£ £
Interest received 1,078 4,080
===== =====

4 Analysis of charitable expenditure

Fundraising Charitable Governance Total Total
Costs Activities Costs 31.03.2025 31.03.2024
Artists fees 159,219 159,219 109,941
Salaries 2,000 154,263 3,000 159,263 152,216
Overheads 1,000 18,508 19,508 21,974
Project costs 51,204 51,204 33,429
Other expenses 53,979 1,140 55,119 18,596
---------- ----------- ---------- ----------- -----------
3,000 437,173 4,140 444,313 336,156
===== ====== ===== ====== =====
31.03.2024 0 334,972 1,184 336,156
===== ====== ===== ======

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ARTS ALIVE IN SHROPSHIRE AND HEREFORDSHIRE NOTES TO THE FINANCIAL STATEMENTS FOR THE PERIOD ENDED 31 MARCH 2025

5 Tangible fixed assets

5 Tangible fixed assets
Fixtures Flicks
& fittings Equipment Total
£ £
Cost
At 31 March 2024 20,960 157,286 178,246
Additions 0
Disposals 0
--------- --------- ---------
At 31 March 2025 20,960 157,286 178,246
--------- --------- ---------
Depreciation
At 31 March 2024 18,254 141,727 159,981
Charge for year 688 3,890 4,577
Eliminated on Disposals 0
--------- --------- ---------
At 31 March 2025 18,942 145,617 164,558
--------- --------- ---------
Net Book Value At 31 March 2025 2,018 11,669 13,687
==== ===== =====
6 Debtors
31.03.2025 31.03.2024
£ £
Trade debtors 24,620 26,058
Other debtors 0 0
--------- ---------
24,620 17,826
===== =====
7 Creditors: amounts falling due within one year
31.03.2025 31.03.2024
£ £
Trade creditors 13,118 23,865
Other creditors 5,453 5,125
Deferred Income 27,227 39,250
--------- ---------
45,798 68,240
===== =====

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ARTS ALIVE IN SHROPSHIRE AND HEREFORDSHIRE NOTES TO THE FINANCIAL STATEMENTS FOR THE PERIOD ENDED 31 MARCH 2025

8 Analysis net assets by fund

Analysis net assets by fund
31.03.2025 31.03.2024
Restricted Total Restricted Total
Fixed assets 13,687 13,687 18,265 18,265
Current assets 214,063 214,063 162,417 162,417
Current liabilities (45,798) (45,798) (68,240) (68,240)
---------- ---------- ---------- ----------
181,952 181,952 112,442 112,442
====== ====== ====== ======
Reserves to fund future depreciation 13,687 13,687 18,265 18,265
Other reserves 168,265 168,265 94,177 94,177
---------- ---------- ---------- ----------
181,952 181,952 112,442 112,442
====== ====== ====== ======

9 Trustees remuneration and expenses

No remuneration directly or indirectly out of the funds of the charity was paid or payable for the year to any trustee or to any persons known to be connected to any of them.

No reimbursement of expenses has been made or is due to be made to any of the trustees in respect of the year.

10 Related party transactions

There were no related party transactions during the year.

10