(HARIIY
Trustees. Annual Report for the period
Period start date
ofj
09
Period end date
08
2021
From
Section A
Reference and administration details
Charity name
Up Close Theatre
Other names Gharity is known by
Roglstered Gharity number (if any
118414=
Charlty's principal address
34 Orchard Hill
Bideford
Postcodo
EX39 2QY
Names of the charity trustees who manage the charity
Date¥ acted rf not for whole
Tru$t•è name
Olllco Ilf any)
Name of person lor body) gntitled
toa
olnt twstee
ifan
Robert Sharrock
Mark Clark
Rosemary Dymond
David Ludlam
Julie Scott
Peter Lawrence
Matthew Garrod
Chair
AGM
AGM
AGM
Secretary
Treasurer
AGM
AGM
AGM
AGM
AGM
Sharon Murphy
10
12
13
14
15
16
17
18
19
20
Names of the trustees for the charity, if any, {for example. any ¢ustodian trustses)
Name
Datss acted if not for whole
ear
TAR
March 2012

Names and addresses of advisers (Optional infomiatlon)
of adviser
Name
Address
Name of chief exècutive or names of senior staff membèrs (Optional infomiation
Section B
Structure,
overnance and mana
ement
Description of the charlty's trusts
Constitution
Type of governing doGument
How the charity is constituted
Charitsble Incorporated Organisation
Trustee selection methods
By vote of members at AGM
Addltional governance issues (Optional information)
The trustees appoint the Artistic Director who is responsible for day to day
decisions and running of the group.
The Artistic Director consults with the trustees over the choice of
programme for the year. the acquisition of new technical equipment and
other major 8xp8nditure.
You may choose to include
additional information, where
relevant, about..
policies and procedures
adopted for the induction and
training of trustees-
the charity's organisational
structure and any wider
network with which thè charity
works,.
relationship with any related
parties.,
trustees, consideration of
major risks and the system
and procedures to manage
them.
Section C
Ob"ectives and activities
To advance public education in the arts of theatre and drama through the
production and presentation of theatrical performances.
To develop skills in performance and the stage crafts.
Summary of the objects ofthe
charity set out in its
governlng document
TAR
Marth 2012

In planning our activities for the year, the trustees kept in mind the
Charity Commission's guidan￿ on public benefit.
Restriction caused by Coronavirus regulations restricted our nomial
theatrical activities, so energy went into developing the on-line
community radio ststion "Soundwave Radio Southwest" A studio was set
up, training was given, and broadcasting began.
During the Summer we were able to take advantage of relaxation in
regulations to rehearse an outdoor play production and give two
perfomiances.
Summary olthe maln
activities undertaken for the
public ben8fit In relation to
these objeGts (in¢lude withln
this section the statutory
declaration that trustees have
had regard to the guidance
issued by the Charity
Commission on publlc
beneflt
Additional details of objectives and activities (Optional inforniation)
You may choose to include
further statements, where
relevant. about..
policy on grantmaking;
policy programme related
investment",
contribution made by
volunteers.
TAR
M8rd) 2012

Section D
Achievements and performance
Since our AGM in 2020 Covid has continued to keep us from our activity
of producing theat￿ however we have pushed forward with the radio
station. Soundwave Radio made progress with equipping and training
going ahead during the latter months of 2020. Training was problematic
given the restrictions imposed by keeping individuals safe from Covid but
ways were found through it. The 24 hour a day 7 day a week programme
of broadcasting began at the beginning of 2021 with a mix of studio
broadcasts, syndicated programmes, rewrded programmes, and
streamed music. The FYOPOrtion of studio broadcasting was steadily
increased as trained presenters became available. Listening figures were
very good. A data report showed 1100 unique listeners with 1960 listens
in a month and an average listening tim8 of 45 minutes (compared with
national average of 20 minutes}.
Our policy is to provide community and eclectic listening, a policy that
clearly was working. We expect presenters to understand the policy and
to stick to some Glear and simple guidelines when broadcasting.
Unfortunately running a radio station created on-going costs and didn
bring an income so without a supporting income from theatre the decision
was taken to mothball the majortty of the live part of our OLrtput from the
end of June. Thanks to the goodwill of"The Mediasite. which is the
company providing streaming services, the station continued streaming
music and was still available to log into or find by Alexa. We continued to
have a morning four hour show from Martin King and a hour
syndicated live breakfast show. Full live broadcasting will Continue at the
end of September although an exact date has not yet been set for this. It
speaks to the qualily of the training and experience that we were able to
give that some of our broadcasters have moved to a local cornmercial FM
Station. Training of future present8rs and engineers is, and will be.
ongoing.
It was necessary to Mothball the majority of live radio broadcasts as a
¢onsequence of financial concerns. We had not been able to put on our
usual theatre shows or perfomiances becaus8 of the restrictions caused
by the Covid pandemic. The reserves in the bank would not cover our
ongoing cosls over the next few months. It was essential to bring in an
income. We applied for and received grants. but these were eamiarked
for particular purposes, not running Costs. It was essential for us to create
a theatrical production to raise some money but also to affirm our
theatrical credentials. The solution was The War of the Worlds adapted
as a radio play by our Artistic Director, Marf( Clark, and produced and
directed by him as an OLrtdoor perfomiance. We have had I￿0
presentations of this play in Dulverton and at Tapeley Park. It was not
expensive to stage this show and it brought in just under £1000. It was
well received at both venues so there are now plans to take the play to
other venues in our region dun'ng the next few months.
Summary of the main
achiovements of the charity
during the year
TAR
March 2012

Section E
Financial review
Brief statement of the
charity's pollcy on reserves
The organisation is not in a position lo maintain a financial reserve. The
income from each theatrical show pays for the production of the next one
and also for ongoing costs of running the radio ststion
Details of any funds materially
in defl¢lt
Further financial review detalls (Optional inforniation)
Income has come froffl ticket sales and grants from local councils that
was eamarked for Insuran￿ and equipment.
Our financial risk liès in not making sufficient ticket sales to cover the cost
of another production.
You may choose to include
additional infomation, where
relevant about..
the charty's principal
sources of funds (including
any fundraising).,
how expenditure has
supported the key objectives
of the charity.,
investment policy and
objectives including any
ethical investment policy
adopted.
Section F
Other optional information
We wish to continue to be a thriving theatre group. Circumstances caused by Covid have led us to explore
the possibilities of perfomiance in the on-line space. This has led to intemet radio which we feel shares
many of the performance and technical aspects of live theatre.
Section G
Declaration
The trustees declare that thoy have approved the trustses, report above.
Signed on behalf of the charlty's trustees
Signature(s)
Full name(s)
Position (og Secretary, Chair,
etc)
Robert Eden ShatTock
Lvfj)LAm
Chair
TQEA5vQC4I
Date
Iiliol2ozl
TAR
Marth 2012

**Charity Name** 


## **UPCLOSE THEATRE** 

## **Receipts and pay** 

Period start date 

## **For the period from** 09/01/2020 

## **Section A Receipts and payments** 

## **Unrestricted Restricted funds funds** 

## **to the nearest      £** 

**to the nearest £** 


**----- Start of picture text -----**<br>
A1 Receipts<br>Ticket sales            2,012                   -<br>Northam council grant               650                   -<br>Bideford council grant            3,000                   -<br>Devon county council grant               800                   -<br>Loans to group               486                   -<br>              303                   -<br>Donations to group<br>Sub total (Gross income for AR)             7,251                   -<br>**----- End of picture text -----**<br>



**----- Start of picture text -----**<br>
A2 Asset and investment sales,<br>(see table).<br>                                -                                  -<br>                                -                                  -<br>Sub total  [                                - ]                                 -<br>Total receipts             7,251                     -<br>A3 Payments<br>Props               110                   -<br>Advertising               297                   -<br>Rent               390                   -<br>Office                 70                   -<br>Venue hire               700                   -<br>Copyright               475                   -<br>Insurance               630                   -<br>Equipment            5,057                   -<br>Broadband               850                   -<br>Transport               382                   -<br>Electric               626                   -<br>Sub total            9,587                   -<br>**----- End of picture text -----**<br>



**----- Start of picture text -----**<br>
A4 Asset and investment<br>purchases, (see table)<br>                                -                                  -<br>                                -                                  -<br>**----- End of picture text -----**<br>




|**A5**|**_Sub total_                                 -**<br>**_Total payments_            9,587**<br>**_Net of receipts/(payments)_ -          2,336**<br>**Transfers between funds**<br>**-**||**-**<br>**-**<br>**-**<br>**-**|
|---|---|---|---|
|**A6**|**Cash funds last year end**<br>**4,404**<br>**_Cash funds this year end_            2,068**||**-**<br>**-**|





## **Section B Statement of assets and liabilities at the** 

## **Categories** 

## **Details** 

## **B1 Cash funds** 

## bank account 

## _**Total cash funds**_ 

(agree balances with receipts and payments account(s)) 

## **Details** 

## **B2 Other monetary assets** 

## **Details** 

## **B3 Investment assets** 

## **Details** 

**B4 Assets retained for the charity’s own use** 

2 computers microphones lighting desk lighting stands 4 lights Trailer 

## **Details** 

**B5 Liabilities** 



Signed by one or two trustees on behalf of all the trustees Signature 



**No (if any) 1184145** 

## **ments accounts** 

## **CC16a** 

Period end date **To** 08/31/2021 

**Endowment funds** 

**Total funds Last year** 

**to the nearest £** 

**to the nearest £ to the nearest £** 


**----- Start of picture text -----**<br>
                 -               2,012                  -<br>                 -                  650                  -<br>                 -               3,000                  -<br>                 -                  800                  -<br>                 -                  486                  -<br>                 -                  303                  -<br>                 -               7,251                  -<br>**----- End of picture text -----**<br>



**----- Start of picture text -----**<br>
                                -                                -<br>                                -                                -                                  -<br>                                -                                -                                  -<br>                   -             7,251                    -<br>                 -                  110                  -<br>                 -                  297                  -<br>                 -                  390                  -<br>                 -                    70                  -<br>                 -                  700                  -<br>                 -                  475                  -<br>                 -                  630                  -<br>                 -               5,057                  -<br>                 -                  850                  -<br>                 -                  382                  -<br>                 -                  626                  -<br>                 -               9,587                  -<br>**----- End of picture text -----**<br>


**-** 




**----- Start of picture text -----**<br>
                                -                                -                                  -<br>                   -             9,587                    -<br>                 -    -          2,336                  -<br>                 -                     -                    -<br>                 -               4,404                  -<br>                 -               2,068                  -<br>**----- End of picture text -----**<br>




## **end of the period** 

|**Unrestricted**|**Restricted funds**|<br>**Endowment**|
|---|---|---|
|**funds**||**funds**|
|**to nearest £**<br>**2,068**<br>**-**<br>**-**<br>**2,068**|**to nearest £**<br>**-**<br>**-**<br>**-**<br>**-**|**to nearest £**<br>**-**<br>**-**<br>**-**<br>**-**|
|OK|OK|OK|



|**Unrestricted**|**Restricted funds**|**Endowment**|
|---|---|---|
|**funds**||**funds**|
|**to nearest £**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**|**to nearest £**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**|**to nearest £**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**|




**----- Start of picture text -----**<br>
Fund to which asset  Current value<br>Cost (optional)<br>belongs (optional)<br>                              -                                -<br>                              -                                -<br>                              -                                -<br>                              -                                -<br>                              -                                -<br>Fund to which asset  Current value<br>Cost (optional)<br>belongs (optional)<br>Cash fund                  -                    -<br>Cash fund                  -                    -<br>Cash fund                  -                    -<br>Cash fund                               -                                -<br>Cash fund                               -                                -<br>Cash fund                               -                                -<br>                              -                                -<br>                              -                                -<br>                              -                                -<br>Fund to which  Amount due  When due<br>liability relates (optional) (optional)<br>                              -<br>                              -<br>**----- End of picture text -----**<br>





**----- Start of picture text -----**<br>
                              -<br>                              -<br>                              -<br>**----- End of picture text -----**<br>



**----- Start of picture text -----**<br>
Print Name Date of approval<br>**----- End of picture text -----**<br>


