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2022-03-31-accounts

Fluid Mo)on Theatre Company (A company limited by guarantee)

Report and Financial Statements From 1st April 2021 Period Start Date to 31st March 2022 Period End Date

Charity Number: 1192793 Company Number: 07227917

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Report from the Chair of Trustees

The fallout from the pandemic has had a devasta)ng effect on mental health across the country making the work of Fluid Mo)on even more important. I was therefore delighted to see the impact that the Recovery Project had, with young people feeling the posi)ve benefits of the work and being empowered to find the words to express themselves. Similarly, the Gathering Project enabled communi)es to come together aUer being forced apart for nearly a year. Fluid Mo)on con)nues to expand, with the success of the Take Ten performance piece leading to a Na)onal tour which, I am sure, will be the first of many. All in the Mind con)nues to be successful, with audiences for the fes)val growing and the company becoming more ambi)ous in the programming. With many arts organisa)ons struggling to recover aUer the pandemic, I am proud of the work Fluid Mo)on have done and am excited to see what the future holds as the company con)nues to grow in reach and ambi)on.

Annabel Cook

Objec5ves and Ac5vi5es

The objects for which the Company is established are :

To advance the arts for the public benefit by the promo)on in par)cular, but not exclusively, of the art of drama.

About the company:

‘We are Fluid Mo)on. We use theatre to create happy brains.’

We are facilitators of lightbulb moments, unforgeYable experiences that nurture and support people’s mental health. We push the boundaries of how theatre can help make happier brains. We make performances and deliver projects for communi)es and with them, using their own lives as inspira)on. We want as many people as possible to experience the power of theatre and to be wowed by its impact on their wellbeing.

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Fluid Mo)on does this through a crea)ve engagement and touring programme, built around one overarching theme connected to mental health, culmina)ng in the All in the Mind Fes5val .

The aims, objec)ves and ac)vi)es of the charity are reviewed annually within the staff team and with trustees and achievements and learning are assessed and evaluated. This helps inform future plans. When reviewing the aims and objec)ves of the charity, and in planning future ac)vi)es, the trustees have complied with the duty in sec)on 17 of the Chari)es Act 2011 to have due regard to public benefit guidance published by the Commission

Achievements and Performance

Fluid Mo)on successfully delivered Year one, The Resilience Programme, of our brand new three year plan in the shadow of the Covid-19 Pandemic. The Resilience Programme was designed to respond to the challenges people faced as a result of the Pandemic.

The programme was divided into three parts and delivered across the year.

Part 1

‘The Recovery Project’ uses theatre to aid the recovery of young people’s mental health. The project was delivered in secondary schools across the south east of England from April 2021 to July 2021. The project worked with 280 young people across five secondary schools. Each school received four prac)cal, three hour, theatre based workshops, all Covid-19 safe and delivered by specialist youth arts prac))oners. The specific workshop themes were Isola)on, Loss, Coping and Emergence and the focus was to support the rebuilding of friendships and social engagement following the impact of the Covid-19 pandemic. We know the project gave many young people the opportunity to stop, reflect and process their thoughts and feelings in rela)on to their experiences of Covid-19 and the project had an important role in providing schools with data to use in highligh)ng and dealing with mild and moderate mental health problems before they were exacerbated. Data collected showed that on average at the project end only 1 in 5 young people showed levels of low wellbeing, compared to 1 in 3 at the project start showing our interven)on had a posi)ve increase on young people’s wellbeing. Addi)onally 85% of young people said the project had a posi)ve impact on their mental health and 77% said they now feel more able to understand and process their feelings, anxie)es, worries and ac)ons.

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We conducted a case study of a student in Year 8 who took part in the project. They stated that the project had helped them understand how they were feeling, commen)ng: ‘some)mes you don't actually realise how you are feeling. You don’t know because you can’t put it into words and some)mes I will be like “I am fine” but I am not fine but I don't know how to tell people. This has just kinda given me the words and the descrip)on and how I can show people that I am not actually fine.’ We asked the student if they had been given any opportunity to process their thoughts and feelings or if this project was the first )me she had been able to do that. They replied: ‘This is kind of the first )me, cos I think the only other )me was when I was at my house and I had just lost someone and I was like, I just cried for like four hours straight and I was like I don't know how to talk about this, how do I talk about this? And now I am actually able to talk about this’.

‘The Gathering Project’ is a crea)ve community programme designed to respond to societal challenges arising from Covid-19. The project aimed to bring communi)es back together through theatre to promote community cohesion, resilience and posi)ve health and wellbeing. The project began in May 2021 and finished in March 2022 and worked with 149 adults in six community groups across four Hampshire loca)ons, Basingstoke, Eastleigh, Gosport and the New Forest. The project had a posi)ve impact on the majority of the par)cipants taking part and levels of wellbeing amongst the par)cipants rose as a result. Data showed the project gave many adults the opportunity to stop, reflect and process their thoughts and feelings in rela)on to their experiences of Covid-19 and the project had an important role in suppor)ng their wellbeing during a challenging )me. At the project end only 1 in 13 adults showed levels of low wellbeing, compared to 1 in 2 before the project started. One adult said: ‘I needed to do this because I thought that there was nothing leU to help me anymore. I have done this today and even though it feels scary at )mes and theatre isn't my thing at all, I am able to see some sort of clear path through the mist.’

Part 2

Fluid Mo)on has created auto/biographical performance since our forma)on in 2010. Between May and August 2021 we created two new pieces of outdoor performance. These were developed using the ideas, responses and stories gathered from par)cipants during part one during delivery of The Recovery Project and The Gathering Project. The first piece ‘Listen Up!’ is a sound installa)on made up of five large wooden structures with speakers embedded in them that play the voices and lived experiences of six young people who took part in the Recovery Project. The audio descrip)ons reflect how Covid-19 impacted the lives of these young people

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and includes some of their darkest moments as well as their aspira)ons and hopes for the future.

The second piece ‘Take Ten’ was made in collabora)on with Lorna Rees of Gobbledegook Theatre and is a performance installa)on made up of three, colourful swing chairs that encourage audiences to take a moment for themselves to stop and take no)ce. Our performers, the ‘Swing Supervisors’, get people to relax in the swing chairs whilst listening to an audio soundscape designed to slow them down. One audience member said: ‘Even amongst the sounds around us, you could let yourself relax into the swinging and breathing. I felt myself relax and stop the thousand thoughts whirling around for a moment’.

We successfully premiered ‘Listen Up!’ and ‘Take Ten’ at our All in the Mind Fes)val on 11th September 2021 and then embarked on an eight day tour of East Durham in March 2022, performing in some of England’s most deprived areas. Audiences for both pieces reached an audience of around 500 people. ‘Take Ten’ will go on Fluid Mo)on’s first na)onal tour in April 2022 including dates in Worcester, Devizes, Stoke-on-Trent, Liverpool and Grimsby.

Part 3

All in the Mind is the leading outdoor mental health arts fes)val in the UK. The fes)val is a free annual one-day event offering a broad range of music, dance, spoken word and theatre set within the water meadows of the River Loddon in Basingstoke. This family friendly fes)val inspires and delights audiences of all ages offering mul)ple ways to have your mind blown! The All in the Mind Fes)val exists as a plaoorm to celebrate the power of the arts in improving mental health. It gives ar)sts a safe and suppor)ve plaoorm to try out new ideas, share their work and be heard. It makes connec)ons, bringing individuals, families and communi)es together to take part in something collec)vely. It inspires people, giving them the opportunity to use the arts in their own lives.

The All in the Mind Fes)val 2021 took place on Saturday 11th September from 11am - 6pm, with 42 ar)sts performing across eight genres. Total audiences on the day were 4174, a 113% increase in foooall from 2019, our 2020 fes)val was online due to Covid-19. We live streamed the fes)val for the first )me on our website and Facebook page, giving more people the chance to engage. Feedback was hugely posi)ve, 86% of audiences said they would be ‘extremely likely’ to recommend the fes)val to a friend and 97% ra)ng fes)val quality either ‘good’ or ‘very good’.

Financial Review

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Reserves

It is the policy of Fluid Mo)on Theatre to maintain free reserves at a level which balances our objec)ves to develop and support services with our need to remain financially stable. The Trustees agree and will work towards acquiring a minimum level of free reserves equa)ng to at least four (4) months of unrestricted expenditure which is considered sufficient to cover management, administra)on and support costs and to respond to emergency needs which arise from )me to )me. In addi)on, there is also a need to designate certain sums from free reserves for an)cipated expenditure in the short to medium term.

Amount of Reserves Held

As at 31st March 2022 unrestricted reserves stood at £41,957 of which £27,339 is held as designated by the trustees in accordance with the policy above. Where grants are received in respect of a specified project, all income and related expenditure is treated as part of restricted reserves. The accumulated restricted reserves at the balance sheet date were £133,163

At the point of wri)ng this report there are no uncertain)es about the charity con)nuing as a going concern.

Structure, Governance and Management

Governing Document

The charity is controlled by its governing document, a deed of trust, and cons)tutes a limited company, limited by guarantee, as defined by the Companies Act 2006.

Recruitment and appointment of new trustees

Trustees are recruited through an open call out to ensure that we reach a wide and diverse audience. Applicants have to formally apply by either wriYen or video applica)on together with a curriculum vitae. Applicants are selected in conjunc)on with the aims of the charity and their suitability to fit the roles that we require to be filled. The selected applicant is then invited to have an informal mee)ng with the Chair of Trustees, a Trustee and the Execu)ve and Ar)s)c Director. Following this mee)ng if the applicant deems suitable they are then invited to aYend a board mee)ng as an observer. The current Board then discusses whether they wish to invite the applicant to join the Board and a formal offer is then made subject to relevant checks being carried out successfully.

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Risk management

The trustees have a duty to iden)fy and review the risks to which the charity is exposed and to ensure appropriate controls are in place to provide reasonable assurance against fraud and error.

Reference and Administra5ve details

Charity Name: Fluid Mo)on Theatre Company Other Name: ‘Fluid Mo)on’ and ‘Fluid Mo)on Theatre’ Charity Number: 1192793 First Registered: 15th December 2021 Company First Registered: 19th April 2010 Company Number : 07227917

Charity Registered Address: The Orchard, White Hart Lane, Basingstoke, Hampshire, RG21 4AH Sail Address: 37 McCartney Walk, Basingstoke, Hampshire, RG22 4NZ

Accountants and Independent Examiners

Sherringtons Accountants, Chartered Cer)fied Accountants and Business Advisers South Building, Upper Farm, WooYon St Lawrence, Basingstoke, RG23 8PE

Telephone: 01256 336 884

Email: paul@sherringtonandcompany.com

Names of the charity trustees who manage the charity

The Directors of the charitable company Fluid Mo)on Theatre Company are its trustees for the

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purpose of charitable law. The trustees and officers serving during the year and since the year end are below:

Trustee Name Office (if any) Dates acted if not for whole year G Amos 15th December 2021 F Cox 23rd March 2022 A Cook Chair Dr T Cooper 12th April 2021 E Sparkes E Suanno Founding Members AM Gill Execu)ve Director LT Johnstone Ar)s)c Director

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Declara5ons

The trustees declare that they have approved the trustees’ report above

Name: Posi5on: Signature: Date:
G Amos Trustee 10 / 11 / 2022
F Cox Trustee 10 / 13 / 2022
A Cook Chair 10/10/2022
Dr T Cooper Trustee 10 / 12 / 2022
E Sparkes 10/10/2022
E Suanno Trustee 10 / 10 / 2022

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Audit trail

TITLE Annual Report FILE NAME Annual Report 1st...st March 2022.pdf DOCUMENT ID 315892679fbfb619223fc6856ecb9b9576d05fc3 AUDIT TRAIL DATE FORMAT MM / DD / YYYY STATUS Signed

10 / 10 / 2022 Sent for signature to Dr Timothy Cooper 09:53:22 UTC (tim.cooper2@nhs.net), Farrell Cox (fcox@hotmail.co.uk), Graham Amos (martinamos99@hotmail.com) and Ettore Suanno (e_suanno@hotmail.com) from ali@fluidmotiontheatre.com IP: 81.106.201.16 10 / 10 / 2022 Viewed by Ettore Suanno (e_suanno@hotmail.com) 10:29:52 UTC IP: 84.66.208.0 10 / 10 / 2022 Signed by Ettore Suanno (e_suanno@hotmail.com) 10:56:37 UTC IP: 84.66.208.0 10 / 10 / 2022 Viewed by Graham Amos (martinamos99@hotmail.com) 12:18:10 UTC IP: 31.48.224.112 10 / 11 / 2022 Signed by Graham Amos (martinamos99@hotmail.com) 12:49:38 UTC IP: 31.48.224.112

Audit trail

TITLE Annual Report FILE NAME Annual Report 1st...st March 2022.pdf DOCUMENT ID 315892679fbfb619223fc6856ecb9b9576d05fc3 AUDIT TRAIL DATE FORMAT MM / DD / YYYY STATUS Signed

10 / 12 / 2022 Viewed by Dr Timothy Cooper (tim.cooper2@nhs.net) 15:31:02 UTC IP: 86.176.205.80 10 / 12 / 2022 Signed by Dr Timothy Cooper (tim.cooper2@nhs.net) 15:31:43 UTC IP: 86.176.205.80 10 / 13 / 2022 Viewed by Farrell Cox (fcox@hotmail.co.uk) 10:15:53 UTC IP: 86.128.102.159 10 / 13 / 2022 Signed by Farrell Cox (fcox@hotmail.co.uk) 10:17:32 UTC IP: 86.128.102.159 10 / 13 / 2022 The document has been completed. 10:17:32 UTC

REGISTERED COMPANY f4uMBER: 07227917 (England and Wales) REGISTERED CHARITY NUMBER: J 192ry93 Roporl Df the Trustees And Unhudited Finanelal Stntemeiit5 for the Year Ended 31 March 2022 for Fluld Motlon Th¢&tre Company Sherringtons Cliartered Ceriified Awouiitants South Buildiiig iJppei' fann Wootttsn St LawrEnce Basingstoke Harnpshire RG23 8PE

Fluid MotÉon Theatre Company Contents of the FinanciAI Statements for the Yeor Ended 31 March 2022 Page Report of the Trustees Independent Examiner's Report Sts¢ement (>f FSnan¢i41 Activities BAlanee Sheet Note$ to the Fln8nclal Stgt¢ments 7 to 11 D¢talled Stfi¢¢meDt of Flnanei*l Aetivltles 12 to 13

Fluid Motion Theatre Compaiiy Report of the Trustee$ for the Year Ei nded 31 MAreh 2022 The trustees who are also dii'eclors of tlie chai'ity foi. Ile pui'pos¢s of Uie Coinpani¢$ Act 2006, present their report with th¢ financial staiejnents of the charity for the year ended 31 M8r¢h 2022. The trustees have adopted the provision$ of A¢¢ounting and R¢poiting by Charities.. Staleinent of R¢¢ommended Pra¢ti¢e applicable to ¢harities preparing their a¢¢ovnts in accordance witl) the Finan¢ial Reportiiig Standard appli¢abl¢ in the UK and Republ1¢ of li'¢land (FRS 102) (effective l January 2019). OBJECTIVJIS AND ACTIVITIES Obj¢ctiv¢s And alin$ The ¢oinpany'y charitablc objccts are to advance thc arLg foi. the publi¢ benefit bv the proinotion in particulai., bui not exclusively, of the ait of drain&. Fiindlng The Trustees would like to acknowledge ih¢ir appreciation of Garfield Weston Foundation as a fuiider. Iii the finan¢ial year being reported on the foundation awarded a gi'ant of £15,000 to the charity. It is the policy of the coinpany to maintsin free reserves at a level which balances our objectives to develop and support sei'vices with our need to i￿niaIn finai)cially stable. The Trustees agree and will worlc ¢ow81'ds a¢quiring a Iniiiiinuin level of fiEe I'eserves equating lo at l¢ast lour months of ￿nresti.1¢1ed expenditur¢ wliich is considei'ed sufficient io cover manageinent, adniii)istration and Support costs and to respond to cmei'geiicy needs which arise fiL)iii tiine to time. additiuD, Iliere is dlso & i)¢¢d lo designale certain suins fi'oin fi¢¢ r¢serves for aoli¢ipal¢d ¢xpendilur¢ iii the shoit to medium lei'in. As at the balance slieet date unrestrictedjeserves stood at £41,957. of wliich £27,339 is held as designated by the Ti'usiees in accordaiice wilh the poli¢y above. Where grants al'e received in respect ot a spe¢ified project. all incoine and related expei)diture is treY4ted as pait of retricted I'esei'ves. The accumulated restricted reserves at the balance 5h¢¢l dale were £133,163. STRUCTURE, GOVERNANCE AND MANAGE￿￿NT Gov¢rn5nLy dtscumLbnt Tli¢ ¢h8rity is controlled by ils governiiig doLumeilt, a deed of ti'ust, and coiistitutes a limited company> liiniled by guarantee. as defined by the col￿pAnIeS A¢t 2006, Recrultment And &ppDiiitmeiit of Ihew triistees Ti'ustecs are i'ecruited tlii'ougli ail open call out to ETi$ure tliat we reach a wide and diverse audicnce. Applicants havo to fonnally apply by ¢ither written or video application together with a curriculum vitae. Applicants al'c sclo¢t¢d in Lonjunction with the aiins of tlie ¢lJai'ity ai)d Ih¢ir sui-.ability to fit the roles thot we reqiiire to be filled. The Selected pplicant is tl)en ii)vited to l)ave Hn informal meeting witl) tlie Chaii. of Ti'uyl¢¢s, a Ti'ustee and tlie Execiitive and Ai'iists'c Director. Following this Ineeling if thc applicant deems suitAble they ure then invi￿d to attend a board m¢¢ting as an obs¢i'v¢r. The clii'rent Board then discuss whether ¢h¢-.I wish to invite tho applicant to join tl)e Board and a forinal offer 15 tlien made $ubje¢t to relevant ¢h¢¢ks being carried ojt 511ccessfully. REfifRF.NCE AND ADMINISTRATIVE DETAILS Re¥lstered Companv nuniber 07227917 (England and Wale5) Registered Ch4rity number 1192793 Registered office The Orcliard White Hart Lane Basingstoke Hampshir¢ RG214AF Page I

Fluid Motion Th¢atr¢ Company Report of the Trustees for the Year Ended 31 March 2022 Trustee5 ARCook E Suanno E A Sparke$ Dr T Cooper (appointed 12.4.21) G M Amos (appointed 15.12.21) F G Cox (epptsinted 23.3.22) Independent Examlner Shcrringtons Chart¢r¢d Certified Accountants Souih Building Upper Farni Wootton St Lawrence Basingst()ke Hampshire RG23 8PE This report has been prepared in ac¢ordanc¢ wilh th¢ special provisions of Part 15 of the Companies Act 2006 relating i) to small ¢oinpanies. Approved by order of the board of trustees on 14 July 2022 and signed on its behalf by.. A R Cook- Trustee Page 2

Jndepemdent Examiner's Report to the Trustees of Fluid Motion Tlieatre Company Inifependent examiner's report to the trustse5 of Fluid Motion Theatre Company {'the Company,) I r¢porl to th¢ ¢harity trustees on my examination of Ilpw accounts of th¢ Company for the year ¢nded 31 Mawh 2022. Responsibilities aiid basi5 of report As tlie chai'ity's trustees oftlie Coinpai)y (and also its dii'ectoi's for tli¢ purposes of coinpany law) you are responsible for the preparation of the Rccounts in accordance with tlie requireinents of tl)e Coinpanies Aol 2006 {'¢lie 2006 A¢t'). Having s&tisfied Inyself that the accounts of the Coinpany Are not required to be audited under Part 16 of the 2006 Act and are eligible for independent exainination. l i'eport in i'espect of my examination of your charl￿$ account5 a5 carried out under section 145 of tlie Charities Aet 2011 ('tl)e 2011 Aet'l. In carryTiig out Iny examination I liave followed the Directions given by tlie Cliarity Coinini5sion under 5C(tion 145{5) (b) of tlie 2011 Act. Indepeihdent exAmlner's Stlltement I have coinpleted my exainination. I confirin that no matters have come to my attention in coiine¢tion with the ¢xainination giving me cause to believe.. accounting records were noi kept in respect of '.he Company as required by section 386 of the 2006 Act. or Ille hLcouiits do nul accord with tho¥e Ircoi'ds., or tlie accounts do not comply with the accounting requirements of section 396 of the 2006 Act other than any iequiremenl that the a¢¢out)Is give & true and fsir view wl)i¢li is not a Inatter consid¢red as part of an independeni examiiia¢ion,' oi. the accounts liave not been pi'epai'ed in acc4)rdance with the Inethods and principles of the Statemeni of Recominended Praclice for accounling and reportii)g by chai'iti¢¥ (upplicuble lo cliai'ities pr¢pai'iiig tlieir ac¢ounts in accordunce witl) tlie Tr'inancial Ilepoi'ting Standard applicable iii the UK and Republlc of Ireland (Flis 102)). c) I have i)0 Concerns and have Come across no otl)ei' Inattei'g in coiiiieciion with tlie exalii1n￿t1OI] to whicli Httention should bo drawn in tliis report in ol'der to enoble a proper und¢rstanding of Lhe aceouiits io be reached. PRUI Slierring Sherriiigtons Chartered Certified A¢counlaDIs South Building Upper Fai'm Wootton St Lawrence Basingstoke Hainpshir¢ RG23 8PE un FCCA 14 July 2022 Page 3

Fluld Motion Theatre Compally StAtement of Flnanelal Activities for the Year Ended 31 March 2022 2022 Tot21 funds 2021 Total funds Unrestricted R¢strl¢ttd funds Notes INCOME AND ENDOWMENTS FROM Donations and legacie8 2,491 228,680 231.171 153,985 Other trading activities Other in¢om¢ 12.665 2,659 12,665 2.659 12,778 Total 17,855 228,680 246,495 166,763 EXPENDITURE ON Raising funds 7,607 95.585 103,192 32,784 Other 7,604 67,158 74,762 55,401 TotHI 15,211 162,743 177.954 88.185 ij NET INCOME 2,604 65,937 68,541 78,578 Tr&n$feri between fvnd5 10,759 (10,759) Net movement In funds 13,363 55,178 68,541 78,578 RECONCILIATION OF FUNDS TotAI funds brought forward 28,594 77,985 106,579 28,001 TOTAL FUNDS CARRIED FORWARD 41,957 133,163 175,120 106,579 The notes forni part of these financial statements Page 4

Fluid Motion Theatre Company BHlanc¢ She¢t 31 March 2022 2022 Total funds 2021 Total fund5 Unrestrieted funds Restricted fund Notes CURRENT ASSETS Debtors P￿payMentS and accrued In¢om¢ Cash at bank 2,659 25,152 12,000 96,011 27,811 12,000 139,209 20,750 43,198 85.829 45.857 133.163 179,020 106,5*9 CREDITORS Amounts falling due within one year 13.900) (3.900) NET CURRENT ASSETS 41,957 133,163 175,120 106,5ry9 ( ) TOTAL ASSETS LEI SS CURRENT LIABILITIES 41.957 133,163 175,120 106,5", 9 NEI T ASSCI TS 41,957 133,163 175,120 106.5", 9 FUNDS Uiireslricted funds.. G¢n¢i'al fund Designatcd fund 14,618 27,339 14,618 13,9ry6 41,957 28,504 Resti'icled funds 133,163 77,985 TOTAL fiUNDS 175.120 I06,$￿9 The charitable conipany is entitled to exeinption fi'om audit undor Soction 477 of the Companie$ Act 2006 foi. the vear ended 31 March 2022. The membe1% liave not required thE eompany to obtain an audit of its financial statements for the year ended 31 March 2022 in accordance with Section 476 of the Companie5 A¢1 2006. Tho iruslees acknowledge their responsibilities for (a) ensui'ing Ihal the cliaritable coinpany keeps a-counting re¢ord$ that comply willi Sections 386 and 387 of the Coinpanies A¢t 2006 and preparing finan¢i#l stytements which give a true and fail. view of the stut¢ of affaiiE of the cliaritable companK' as al th¢ end of each fin8n¢ial yL>ur and of its iiirplus or deficit for ¢￿h financial y¢ar in accordanec with th¢ requireinents of Se¢tlOi1s 394 and 395 and which otherwise comply witli tlie i'equiitments of the Companies Act 2006 relating io financial Stat￿nentS. $0 far as applicable to the chai'itable ¢oinpany. Ib) The notes fomi part of these financial statem¢nts Page 5

Fluid MotioD Theatre Company Balance Sheet- contlnued 31 March 2022 These financial statement8 have been prepared in aectsrdance with the provisions applicable to ¢haritabl¢ ¢ompanies subject to the small companies regim¢. The financial statements were approved by the Board of Trustees and authorised for issue on 14 July 2022 and were signed on its behalf by.. COIL A R Cook- TNste¢ i) Th¢ notes forni part of these financial statements Page 6

Fluid Motiw Theatre Comp8My Notes to the Financial Statements for the Year Ended 31 Marcli 2022 ACCOUNTING POLICIES Ba$ls of pr¢parlng the flnancial statement5 The finan¢ial statements of the Cliaritable company, which is a public benefit entity under FRS 102, have been prepared in accordance witl) the Cliai'ities SOEiP (FRS 102) 'Accounting and Repoiting by Charities.. Statement of Recoinmend¢d Practice applicable to charities preparing their accoiint5 in accordance with the Financial Ileporting Standard applicable in the UK and Republic of Ireland {FRS 102) (effeLtive l Januaiy 2019),. I",inancial Reporting Standard 102 'The FinarKial Reporting Standard applicable in the UK R¢publiw of Ireland, and the Coinpanies Act 2006. Tli¢ fmftiicial slatemcnt5 have been prepared u]idei' tli¢ historical c05t onvention. Income All incom¢ is Ircognised in the Sl)l¢in¢iit or rinancial Activities oiice the chai'iry has ¢ntiil¢inent to the funds, it is prob&ble that the incoine will be rec¢ived gnd the amoiint ¢an be Ineasured reliably. Expendlture Liabilities air recognised os ¢xp¢nditure ag soon as there is a legal or ¢onsrru¢tiv¢ obligation coiminitting the ¢lidi'ity lo that cxpcndituir, it is probabl¢ tliftl a triiisf¢r of ¢conomic benefits will be requiird in s¢iil¢in¢nt and tlic ainouiit of th¢ obligation ¢an be Ineasured reliably. Expendiiur¢ is a¢¢ounled for on an accruals basis and lias been ¢lassified under lieadings that aggi'egale all Cost r¥lated lo tlie eategoiy. Wlicre costs cannot be directly ottributed to particulai. lieadin8S t]w have been llllocot¢d lo a¢tivili¢s on a basis Consistent with the use of ¥ourc¢s. c) Taxatlon The ¢liai'ity 15 exempt fi'oin corporation tax on its charil4ble activities. Fund a¢eoiiiiting Uiii'esiriel¢d fuiids ¢an be u9ed iii ac¢ordance H'ith tl)e ch&ritable objectives at the discretion of the trustees. Rcstricted fiiiids can only be used for particular r¢sti'i¢led purposes witliin the objects of tlie cliai'ity. Restriction5 arisc when spccificd by the donoi. or wl)en fiiiid5 al'e 1oi%ed for paitieulor re$trl¢t¢d purpos¢$. Further explanation of the i)a¢ur¢ and pury)os¢ <rf¢a¢l) fund is in¢lud¢d in the notes to ihe finan¢ial statements. Penslon eust¥ nnd other posl-retlrnmenl beneflts The cliai'it4ble ¢oillpony op¢ral¢s a d¢fined ¢onii'ibulion pension s¢heme. Contributions payable to the charitable cornpaiiy's pension scheine al'e charged to the Staleinenl of Financial Activities in the period to whicli they I'elate. OTHCI R TRADING ACTJVITIES 1022 2021 Spon50r8hips Ticket sales Other income 400 12,050 215 8,500 4.278 12,665 12,778 Page 7

Fluld Motion Theatre Company Notes to the Financial Statements- tontinued ror the Year Ended 31 March 2022 TRUSTEES, REMUNERATION AND BENEFITS There were no trustec$' r¢muneration or other benefits for the year ended 31 March 2022 nor for the year ended 31 March 2021. Trust¢¢$' expenses There wer¢ no trustees, ¢xpenses paid for the year ended 31 March 2022 nor for th¢ year ended 31 Mar¢h 2021. STAFF COSTS The average monthly number of employees during the year was as follows-. 2022 2021 General administration No employees received emoluments in excess of £60.000. i) COMPARATIVES FOR THE STA TEMENT OF FINANCIAL ACTIVITIES Unreslriete fund$ Restricted fuiid Total funds INCOME AND ENDOWMENTS FROM Donation5 and lesacies 5,404 148,581 153.985 Other trading ￿tIvitIeS S,983 6,795 12,778 Total 11,387 15J,376 166,763 EXPENDITURE ON Raising fijnds 442 32,342 32,784 Other 14 55,387 55,401 Totgl 456 87,729 88.185 r4ET INCOMV. 10,931 67,647 78,578 Transfers between fynas 421 (421) Net movement in funds 11,352 67.226 78,578 RECONCILIATION OF FUNDS Total funds brought forward 17,242 10,759 28,001 T(yfAL FUNDS CARIUED FORWARD 28,594 77.985 106,579 Page 8

Fluid Motlon Theatre Company Notes to the Fingnelal Statements- continued for the Year Ended 3J Marcli 2022 DEBTORS: AMOUNTS FALLING DUE WITHIN ONE YEAR 2022 2021 Olli¢r debtors 25,152 2,659 20,750 27,811 20,750 CREDITORS: AMOUNTS FALLINC DUE WITHIN ONE YEAR 2022 202] Accrued expenses 3,900 MOVEMENT IN FUNDS N¢t movemeiit In fuiids Transf¢r8 between funds c) At 31.3.22 At 1.4.21 Uiirestrlcted funds CJeneral fund Designated fund 14,618 13,976 2,6C,4 {2,604) 13,363 14,618 27,339 28.594 2,6C4 10.759 41,957 R¢8tri¢led funds Re$trl¢ted fund 77,985 (10,739) 133.163 TiyfAL PUNDS 106,579 68,541 175,120 N¢L moveinenl in funds, included in tlle above are as follows.. Incomin% re50urce5 Resourc¢5 expendod Movernenl In funds UnrLslrlcted funds Genei'al fui)d 17,815 {15.211) 2,604 Restrleled funds Rcstrictcd flind 228,6 (162,743) 65,937 TOTAL FUNDS 246,495 (177,954) 68,541 Page 9

Fluid MotioTh Theatre Company Note$ to the Financial Statement$- Continued for the Year Ended 31 Marth 2022 MOVEMENT IN FUNDS- continued Comparatlve5 for movement In funds Net movement in funds Transfers between funds At 31.3.21 At 1.4.20 Unrostrlcted funds General fund Designated fund 14,618 2,624 10.931 (10,931) 11,352 14,618 13,976 17,242 10.931 421 28,594 Restricted funds Restricted fund 10,759 67,647 (421) 77,985 TOTAL FUNDS 28.001 78,578 106,579 i) Comparative net movement in thnds, included in the above ar¢ as follows: Incoming resources Resources exp¢nded Movement In funds Unreitrlct¢d funds General fuiid 11,387 {4S6) 10.931 Restrlcted funds Re$tricted fund 155,376 (87.729) 67,647 TOTAL FUNDS 166,763 188.185) 78,578 A Qu￿ent year 12 months and prior year 12 monihs combiiied position is as follows- Net rnovement In fiin(1s TNnyfcr5 betwee funds At 31.3.22 At 1.4.20 Unre$trlcted fund$ General fund Designated fund 14,618 2.624 13,535 (13.335) 24,715 14,618 27.339 17,242 13,535 11,180 41,957 Restricted funds Restricted fund 10.759 133,584 {11,180) 133,163 T(YfAL FUNDS 28,001 147.119 173,120 Page 10

Fluid Motion Theatre Company Notes to tlie Fln2ncl*l Statements- contlnued for the Year Ended 31 Marcli 2022 MOVEMEI NT IN fiUNDS- continued A ¢uThent year 12 Inonths and prior year 12 in)Iiths Colhbiiied net movement in funds. included in the above are as follows.. In¢omlnE resources Resources expended Movement ill funds Unrestrlcted funds Generdl fund 29,202 (15,667) 13,535 Restricted funds Restricted fund 384,056 (250,472) 133.584 TOTAL FUNDS 413,258 (266,139) 147,119 (1 9. RCI LATED PARTY DISCLOSURES There were no I'elated party transactiong for tlie year ended 31 Mai'¢li 2022. Page 11

Fluid Motion Th¢4tre Company Detailed Staternent of FTnancial Activities for the Year Ended 31 March 2022 2022 2021 INCOME AND ENDOWMENTS Donations and legacles Donytions Grants Workshop f¢¢$ 456 229,680 1,035 2,154 148.581 3.250 231.171 153,985 Other trnd5ng activiti¢$ Sponsorship5 Ticket sale$ Other income 400 12,050 215 8,500 4,278 12,665 12,778 Olher income TTR tax credit 2,659 Tol41 Incomlng resources 246.495 166,763 EXPENDITURE Ralsln¥ donations ond legaeles Insiiran¢e Postu¥¢ and $toiionery Sundries Advcrtising and hospitality 1'ravelling Repairs and computer ¢051s 1,733 2.389 405 12,116 5.292 1,089 1.074 126 39 6,768 (81) 3,530 23,024 11,456 Other tradlng aelivitlfs Artistic materials Venue hire Performer fees S¢ts and props 1,988 1,886 67.072 9.222 417 20,911 80,168 21,328 Other Wages Pensions Accountancy and bookkeeping Bank charges Profcgsional development Professional and consultan¢y fees Storage r¢ntal 53.834 550 6,900 43,771 4.588 193 12,165 1.120 452 6.587 74.762 55.401 This page does not forn] part of ihe statutory financial statem¢DIs Page 12

Fluid Motion Thetttre Company Detailed Statement of Finanelal A¢tivities for the Year nded 31 March 2022 2022 2021 Totsl I'esources expeiided 177,954 88,185 Net Income 68.541 78,578 This page does not foi'm part 9f the statutory financial staieinent$ Page 13

REGISTERED COMPANY f4uMBER: 07227917 (England and Wales) REGISTERED CHARITY NUMBER: J 192ry93 Roporl Df the Trustees And Unhudited Finanelal Stntemeiit5 for the Year Ended 31 March 2022 for Fluld Motlon Th¢&tre Company Sherringtons Cliartered Ceriified Awouiitants South Buildiiig iJppei' fann Wootttsn St LawrEnce Basingstoke Harnpshire RG23 8PE

Fluid MotÉon Theatre Company Contents of the FinanciAI Statements for the Yeor Ended 31 March 2022 Page Report of the Trustees Independent Examiner's Report Sts¢ement (>f FSnan¢i41 Activities BAlanee Sheet Note$ to the Fln8nclal Stgt¢ments 7 to 11 D¢talled Stfi¢¢meDt of Flnanei*l Aetivltles 12 to 13

Fluid Motion Theatre Compaiiy Report of the Trustee$ for the Year Ei nded 31 MAreh 2022 The trustees who are also dii'eclors of tlie chai'ity foi. Ile pui'pos¢s of Uie Coinpani¢$ Act 2006, present their report with th¢ financial staiejnents of the charity for the year ended 31 M8r¢h 2022. The trustees have adopted the provision$ of A¢¢ounting and R¢poiting by Charities.. Staleinent of R¢¢ommended Pra¢ti¢e applicable to ¢harities preparing their a¢¢ovnts in accordance witl) the Finan¢ial Reportiiig Standard appli¢abl¢ in the UK and Republ1¢ of li'¢land (FRS 102) (effective l January 2019). OBJECTIVJIS AND ACTIVITIES Obj¢ctiv¢s And alin$ The ¢oinpany'y charitablc objccts are to advance thc arLg foi. the publi¢ benefit bv the proinotion in particulai., bui not exclusively, of the ait of drain&. Fiindlng The Trustees would like to acknowledge ih¢ir appreciation of Garfield Weston Foundation as a fuiider. Iii the finan¢ial year being reported on the foundation awarded a gi'ant of £15,000 to the charity. It is the policy of the coinpany to maintsin free reserves at a level which balances our objectives to develop and support sei'vices with our need to i￿niaIn finai)cially stable. The Trustees agree and will worlc ¢ow81'ds a¢quiring a Iniiiiinuin level of fiEe I'eserves equating lo at l¢ast lour months of ￿nresti.1¢1ed expenditur¢ wliich is considei'ed sufficient io cover manageinent, adniii)istration and Support costs and to respond to cmei'geiicy needs which arise fiL)iii tiine to time. additiuD, Iliere is dlso & i)¢¢d lo designale certain suins fi'oin fi¢¢ r¢serves for aoli¢ipal¢d ¢xpendilur¢ iii the shoit to medium lei'in. As at the balance slieet date unrestrictedjeserves stood at £41,957. of wliich £27,339 is held as designated by the Ti'usiees in accordaiice wilh the poli¢y above. Where grants al'e received in respect ot a spe¢ified project. all incoine and related expei)diture is treY4ted as pait of retricted I'esei'ves. The accumulated restricted reserves at the balance 5h¢¢l dale were £133,163. STRUCTURE, GOVERNANCE AND MANAGE￿￿NT Gov¢rn5nLy dtscumLbnt Tli¢ ¢h8rity is controlled by ils governiiig doLumeilt, a deed of ti'ust, and coiistitutes a limited company> liiniled by guarantee. as defined by the col￿pAnIeS A¢t 2006, Recrultment And &ppDiiitmeiit of Ihew triistees Ti'ustecs are i'ecruited tlii'ougli ail open call out to ETi$ure tliat we reach a wide and diverse audicnce. Applicants havo to fonnally apply by ¢ither written or video application together with a curriculum vitae. Applicants al'c sclo¢t¢d in Lonjunction with the aiins of tlie ¢lJai'ity ai)d Ih¢ir sui-.ability to fit the roles thot we reqiiire to be filled. The Selected pplicant is tl)en ii)vited to l)ave Hn informal meeting witl) tlie Chaii. of Ti'uyl¢¢s, a Ti'ustee and tlie Execiitive and Ai'iists'c Director. Following this Ineeling if thc applicant deems suitAble they ure then invi￿d to attend a board m¢¢ting as an obs¢i'v¢r. The clii'rent Board then discuss whether ¢h¢-.I wish to invite tho applicant to join tl)e Board and a forinal offer 15 tlien made $ubje¢t to relevant ¢h¢¢ks being carried ojt 511ccessfully. REfifRF.NCE AND ADMINISTRATIVE DETAILS Re¥lstered Companv nuniber 07227917 (England and Wale5) Registered Ch4rity number 1192793 Registered office The Orcliard White Hart Lane Basingstoke Hampshir¢ RG214AF Page I

Fluid Motion Th¢atr¢ Company Report of the Trustees for the Year Ended 31 March 2022 Trustee5 ARCook E Suanno E A Sparke$ Dr T Cooper (appointed 12.4.21) G M Amos (appointed 15.12.21) F G Cox (epptsinted 23.3.22) Independent Examlner Shcrringtons Chart¢r¢d Certified Accountants Souih Building Upper Farni Wootton St Lawrence Basingst()ke Hampshire RG23 8PE This report has been prepared in ac¢ordanc¢ wilh th¢ special provisions of Part 15 of the Companies Act 2006 relating i) to small ¢oinpanies. Approved by order of the board of trustees on 14 July 2022 and signed on its behalf by.. A R Cook- Trustee Page 2

Jndepemdent Examiner's Report to the Trustees of Fluid Motion Tlieatre Company Inifependent examiner's report to the trustse5 of Fluid Motion Theatre Company {'the Company,) I r¢porl to th¢ ¢harity trustees on my examination of Ilpw accounts of th¢ Company for the year ¢nded 31 Mawh 2022. Responsibilities aiid basi5 of report As tlie chai'ity's trustees oftlie Coinpai)y (and also its dii'ectoi's for tli¢ purposes of coinpany law) you are responsible for the preparation of the Rccounts in accordance with tlie requireinents of tl)e Coinpanies Aol 2006 {'¢lie 2006 A¢t'). Having s&tisfied Inyself that the accounts of the Coinpany Are not required to be audited under Part 16 of the 2006 Act and are eligible for independent exainination. l i'eport in i'espect of my examination of your charl￿$ account5 a5 carried out under section 145 of tlie Charities Aet 2011 ('tl)e 2011 Aet'l. In carryTiig out Iny examination I liave followed the Directions given by tlie Cliarity Coinini5sion under 5C(tion 145{5) (b) of tlie 2011 Act. Indepeihdent exAmlner's Stlltement I have coinpleted my exainination. I confirin that no matters have come to my attention in coiine¢tion with the ¢xainination giving me cause to believe.. accounting records were noi kept in respect of '.he Company as required by section 386 of the 2006 Act. or Ille hLcouiits do nul accord with tho¥e Ircoi'ds., or tlie accounts do not comply with the accounting requirements of section 396 of the 2006 Act other than any iequiremenl that the a¢¢out)Is give & true and fsir view wl)i¢li is not a Inatter consid¢red as part of an independeni examiiia¢ion,' oi. the accounts liave not been pi'epai'ed in acc4)rdance with the Inethods and principles of the Statemeni of Recominended Praclice for accounling and reportii)g by chai'iti¢¥ (upplicuble lo cliai'ities pr¢pai'iiig tlieir ac¢ounts in accordunce witl) tlie Tr'inancial Ilepoi'ting Standard applicable iii the UK and Republlc of Ireland (Flis 102)). c) I have i)0 Concerns and have Come across no otl)ei' Inattei'g in coiiiieciion with tlie exalii1n￿t1OI] to whicli Httention should bo drawn in tliis report in ol'der to enoble a proper und¢rstanding of Lhe aceouiits io be reached. PRUI Slierring Sherriiigtons Chartered Certified A¢counlaDIs South Building Upper Fai'm Wootton St Lawrence Basingstoke Hainpshir¢ RG23 8PE un FCCA 14 July 2022 Page 3

Fluld Motion Theatre Compally StAtement of Flnanelal Activities for the Year Ended 31 March 2022 2022 Tot21 funds 2021 Total funds Unrestricted R¢strl¢ttd funds Notes INCOME AND ENDOWMENTS FROM Donations and legacie8 2,491 228,680 231.171 153,985 Other trading activities Other in¢om¢ 12.665 2,659 12,665 2.659 12,778 Total 17,855 228,680 246,495 166,763 EXPENDITURE ON Raising funds 7,607 95.585 103,192 32,784 Other 7,604 67,158 74,762 55,401 TotHI 15,211 162,743 177.954 88.185 ij NET INCOME 2,604 65,937 68,541 78,578 Tr&n$feri between fvnd5 10,759 (10,759) Net movement In funds 13,363 55,178 68,541 78,578 RECONCILIATION OF FUNDS TotAI funds brought forward 28,594 77,985 106,579 28,001 TOTAL FUNDS CARRIED FORWARD 41,957 133,163 175,120 106,579 The notes forni part of these financial statements Page 4

Fluid Motion Theatre Company BHlanc¢ She¢t 31 March 2022 2022 Total funds 2021 Total fund5 Unrestrieted funds Restricted fund Notes CURRENT ASSETS Debtors P￿payMentS and accrued In¢om¢ Cash at bank 2,659 25,152 12,000 96,011 27,811 12,000 139,209 20,750 43,198 85.829 45.857 133.163 179,020 106,5*9 CREDITORS Amounts falling due within one year 13.900) (3.900) NET CURRENT ASSETS 41,957 133,163 175,120 106,5ry9 ( ) TOTAL ASSETS LEI SS CURRENT LIABILITIES 41.957 133,163 175,120 106,5", 9 NEI T ASSCI TS 41,957 133,163 175,120 106.5", 9 FUNDS Uiireslricted funds.. G¢n¢i'al fund Designatcd fund 14,618 27,339 14,618 13,9ry6 41,957 28,504 Resti'icled funds 133,163 77,985 TOTAL fiUNDS 175.120 I06,$￿9 The charitable conipany is entitled to exeinption fi'om audit undor Soction 477 of the Companie$ Act 2006 foi. the vear ended 31 March 2022. The membe1% liave not required thE eompany to obtain an audit of its financial statements for the year ended 31 March 2022 in accordance with Section 476 of the Companie5 A¢1 2006. Tho iruslees acknowledge their responsibilities for (a) ensui'ing Ihal the cliaritable coinpany keeps a-counting re¢ord$ that comply willi Sections 386 and 387 of the Coinpanies A¢t 2006 and preparing finan¢i#l stytements which give a true and fail. view of the stut¢ of affaiiE of the cliaritable companK' as al th¢ end of each fin8n¢ial yL>ur and of its iiirplus or deficit for ¢￿h financial y¢ar in accordanec with th¢ requireinents of Se¢tlOi1s 394 and 395 and which otherwise comply witli tlie i'equiitments of the Companies Act 2006 relating io financial Stat￿nentS. $0 far as applicable to the chai'itable ¢oinpany. Ib) The notes fomi part of these financial statem¢nts Page 5

Fluid MotioD Theatre Company Balance Sheet- contlnued 31 March 2022 These financial statement8 have been prepared in aectsrdance with the provisions applicable to ¢haritabl¢ ¢ompanies subject to the small companies regim¢. The financial statements were approved by the Board of Trustees and authorised for issue on 14 July 2022 and were signed on its behalf by.. COIL A R Cook- TNste¢ i) Th¢ notes forni part of these financial statements Page 6

Fluid Motiw Theatre Comp8My Notes to the Financial Statements for the Year Ended 31 Marcli 2022 ACCOUNTING POLICIES Ba$ls of pr¢parlng the flnancial statement5 The finan¢ial statements of the Cliaritable company, which is a public benefit entity under FRS 102, have been prepared in accordance witl) the Cliai'ities SOEiP (FRS 102) 'Accounting and Repoiting by Charities.. Statement of Recoinmend¢d Practice applicable to charities preparing their accoiint5 in accordance with the Financial Ileporting Standard applicable in the UK and Republic of Ireland {FRS 102) (effeLtive l Januaiy 2019),. I",inancial Reporting Standard 102 'The FinarKial Reporting Standard applicable in the UK R¢publiw of Ireland, and the Coinpanies Act 2006. Tli¢ fmftiicial slatemcnt5 have been prepared u]idei' tli¢ historical c05t onvention. Income All incom¢ is Ircognised in the Sl)l¢in¢iit or rinancial Activities oiice the chai'iry has ¢ntiil¢inent to the funds, it is prob&ble that the incoine will be rec¢ived gnd the amoiint ¢an be Ineasured reliably. Expendlture Liabilities air recognised os ¢xp¢nditure ag soon as there is a legal or ¢onsrru¢tiv¢ obligation coiminitting the ¢lidi'ity lo that cxpcndituir, it is probabl¢ tliftl a triiisf¢r of ¢conomic benefits will be requiird in s¢iil¢in¢nt and tlic ainouiit of th¢ obligation ¢an be Ineasured reliably. Expendiiur¢ is a¢¢ounled for on an accruals basis and lias been ¢lassified under lieadings that aggi'egale all Cost r¥lated lo tlie eategoiy. Wlicre costs cannot be directly ottributed to particulai. lieadin8S t]w have been llllocot¢d lo a¢tivili¢s on a basis Consistent with the use of ¥ourc¢s. c) Taxatlon The ¢liai'ity 15 exempt fi'oin corporation tax on its charil4ble activities. Fund a¢eoiiiiting Uiii'esiriel¢d fuiids ¢an be u9ed iii ac¢ordance H'ith tl)e ch&ritable objectives at the discretion of the trustees. Rcstricted fiiiids can only be used for particular r¢sti'i¢led purposes witliin the objects of tlie cliai'ity. Restriction5 arisc when spccificd by the donoi. or wl)en fiiiid5 al'e 1oi%ed for paitieulor re$trl¢t¢d purpos¢$. Further explanation of the i)a¢ur¢ and pury)os¢ <rf¢a¢l) fund is in¢lud¢d in the notes to ihe finan¢ial statements. Penslon eust¥ nnd other posl-retlrnmenl beneflts The cliai'it4ble ¢oillpony op¢ral¢s a d¢fined ¢onii'ibulion pension s¢heme. Contributions payable to the charitable cornpaiiy's pension scheine al'e charged to the Staleinenl of Financial Activities in the period to whicli they I'elate. OTHCI R TRADING ACTJVITIES 1022 2021 Spon50r8hips Ticket sales Other income 400 12,050 215 8,500 4.278 12,665 12,778 Page 7

Fluld Motion Theatre Company Notes to the Financial Statements- tontinued ror the Year Ended 31 March 2022 TRUSTEES, REMUNERATION AND BENEFITS There were no trustec$' r¢muneration or other benefits for the year ended 31 March 2022 nor for the year ended 31 March 2021. Trust¢¢$' expenses There wer¢ no trustees, ¢xpenses paid for the year ended 31 March 2022 nor for th¢ year ended 31 Mar¢h 2021. STAFF COSTS The average monthly number of employees during the year was as follows-. 2022 2021 General administration No employees received emoluments in excess of £60.000. i) COMPARATIVES FOR THE STA TEMENT OF FINANCIAL ACTIVITIES Unreslriete fund$ Restricted fuiid Total funds INCOME AND ENDOWMENTS FROM Donation5 and lesacies 5,404 148,581 153.985 Other trading ￿tIvitIeS S,983 6,795 12,778 Total 11,387 15J,376 166,763 EXPENDITURE ON Raising fijnds 442 32,342 32,784 Other 14 55,387 55,401 Totgl 456 87,729 88.185 r4ET INCOMV. 10,931 67,647 78,578 Transfers between fynas 421 (421) Net movement in funds 11,352 67.226 78,578 RECONCILIATION OF FUNDS Total funds brought forward 17,242 10,759 28,001 T(yfAL FUNDS CARIUED FORWARD 28,594 77.985 106,579 Page 8

Fluid Motlon Theatre Company Notes to the Fingnelal Statements- continued for the Year Ended 3J Marcli 2022 DEBTORS: AMOUNTS FALLING DUE WITHIN ONE YEAR 2022 2021 Olli¢r debtors 25,152 2,659 20,750 27,811 20,750 CREDITORS: AMOUNTS FALLINC DUE WITHIN ONE YEAR 2022 202] Accrued expenses 3,900 MOVEMENT IN FUNDS N¢t movemeiit In fuiids Transf¢r8 between funds c) At 31.3.22 At 1.4.21 Uiirestrlcted funds CJeneral fund Designated fund 14,618 13,976 2,6C,4 {2,604) 13,363 14,618 27,339 28.594 2,6C4 10.759 41,957 R¢8tri¢led funds Re$trl¢ted fund 77,985 (10,739) 133.163 TiyfAL PUNDS 106,579 68,541 175,120 N¢L moveinenl in funds, included in tlle above are as follows.. Incomin% re50urce5 Resourc¢5 expendod Movernenl In funds UnrLslrlcted funds Genei'al fui)d 17,815 {15.211) 2,604 Restrleled funds Rcstrictcd flind 228,6 (162,743) 65,937 TOTAL FUNDS 246,495 (177,954) 68,541 Page 9

Fluid MotioTh Theatre Company Note$ to the Financial Statement$- Continued for the Year Ended 31 Marth 2022 MOVEMENT IN FUNDS- continued Comparatlve5 for movement In funds Net movement in funds Transfers between funds At 31.3.21 At 1.4.20 Unrostrlcted funds General fund Designated fund 14,618 2,624 10.931 (10,931) 11,352 14,618 13,976 17,242 10.931 421 28,594 Restricted funds Restricted fund 10,759 67,647 (421) 77,985 TOTAL FUNDS 28.001 78,578 106,579 i) Comparative net movement in thnds, included in the above ar¢ as follows: Incoming resources Resources exp¢nded Movement In funds Unreitrlct¢d funds General fuiid 11,387 {4S6) 10.931 Restrlcted funds Re$tricted fund 155,376 (87.729) 67,647 TOTAL FUNDS 166,763 188.185) 78,578 A Qu￿ent year 12 months and prior year 12 monihs combiiied position is as follows- Net rnovement In fiin(1s TNnyfcr5 betwee funds At 31.3.22 At 1.4.20 Unre$trlcted fund$ General fund Designated fund 14,618 2.624 13,535 (13.335) 24,715 14,618 27.339 17,242 13,535 11,180 41,957 Restricted funds Restricted fund 10.759 133,584 {11,180) 133,163 T(YfAL FUNDS 28,001 147.119 173,120 Page 10

Fluid Motion Theatre Company Notes to tlie Fln2ncl*l Statements- contlnued for the Year Ended 31 Marcli 2022 MOVEMEI NT IN fiUNDS- continued A ¢uThent year 12 Inonths and prior year 12 in)Iiths Colhbiiied net movement in funds. included in the above are as follows.. In¢omlnE resources Resources expended Movement ill funds Unrestrlcted funds Generdl fund 29,202 (15,667) 13,535 Restricted funds Restricted fund 384,056 (250,472) 133.584 TOTAL FUNDS 413,258 (266,139) 147,119 (1 9. RCI LATED PARTY DISCLOSURES There were no I'elated party transactiong for tlie year ended 31 Mai'¢li 2022. Page 11

Fluid Motion Th¢4tre Company Detailed Staternent of FTnancial Activities for the Year Ended 31 March 2022 2022 2021 INCOME AND ENDOWMENTS Donations and legacles Donytions Grants Workshop f¢¢$ 456 229,680 1,035 2,154 148.581 3.250 231.171 153,985 Other trnd5ng activiti¢$ Sponsorship5 Ticket sale$ Other income 400 12,050 215 8,500 4,278 12,665 12,778 Olher income TTR tax credit 2,659 Tol41 Incomlng resources 246.495 166,763 EXPENDITURE Ralsln¥ donations ond legaeles Insiiran¢e Postu¥¢ and $toiionery Sundries Advcrtising and hospitality 1'ravelling Repairs and computer ¢051s 1,733 2.389 405 12,116 5.292 1,089 1.074 126 39 6,768 (81) 3,530 23,024 11,456 Other tradlng aelivitlfs Artistic materials Venue hire Performer fees S¢ts and props 1,988 1,886 67.072 9.222 417 20,911 80,168 21,328 Other Wages Pensions Accountancy and bookkeeping Bank charges Profcgsional development Professional and consultan¢y fees Storage r¢ntal 53.834 550 6,900 43,771 4.588 193 12,165 1.120 452 6.587 74.762 55.401 This page does not forn] part of ihe statutory financial statem¢DIs Page 12

Fluid Motion Thetttre Company Detailed Statement of Finanelal A¢tivities for the Year nded 31 March 2022 2022 2021 Totsl I'esources expeiided 177,954 88,185 Net Income 68.541 78,578 This page does not foi'm part 9f the statutory financial staieinent$ Page 13