Company Number 12571419
(England and Wales)
Registered Charity
Number 1194711
ARCADE ARTS LTD
(A company limited by guarantee)
FINANCtAL sfATEMEwrs
Year ended
31 MARCH 2025
Phoenix Accountancy and Business Consultancy Limited

ARCADE ARTS LTD
Company No: 12571419
Charity No: 1194711
Contents to the Financial Statements
For the year ended 31 March 2025
Page
Company Information
Independent Examiners Report
Report of the Board of Trustees (Incorporating the Directors
Report)
Income and Expenditure Account
17
Statement of Financial Activities
18
Balan￿ Sheet
19-20
statement of Cash Flows
21
Notes to the Financial Statements
22

ARCADE ARTS LTD
Company No.. 12571419
CharityNo: 1194711
Company Information
For the year ended 31 March 2025
DIREcfoRS
T Stephenson (Appointed 0611012020)
(Resigned 0911212025)
(Appointed og/1212024)
(Resigned 27110125)
(Appointed 1310912022)
(Appointed 1910312022)
(Appointed 2310912022)
(Appointed 0810812023)
(Appointed 0911212024)
J Avison
Dr K Acton
J Crowley
Y Wombwell
M Romer
K Mcmullen
REGIsfERED OFFICE
Bridlington Hub
2a Mashall Avenue
Bridlington
East Yorkshire
Y015 2DS
OPERATIONAL ADDRESS
W(￿)dend Gallery
The Crescent
Scarborough
North Yorkshire
Yoll 2PW
REGIsfERED COMPANY NUMBER
12571419
REGISfERED cHAR￿y NUMBER
1194711
INDEPENDENT EXAMINER
Rebecca Triffitt, MAAT
Prdctice Accountsnt
Phoenix Accountancy and Business Consultancy
Limited
4-6 Robert Street
Scunthorpe
North Lincolnshire
DN15 6NG
BANKERS
Virgin Money
15¥158 Kensington High Street
London
W8 7RL

ARCADE ARTS LTD
Company No: 12571419
Charity No.. 1194711
Independent Examinerfs Report to the Members of Arcade Arts Ltd
I report on the accounts of Arcade Arts Ltd for the year ended 31 March 2025, which are set out
on pages 17 to 33.
Respective responslbllities of trnstees and examiner
The trustees (who are also the directors of the company for the purposes of company law) are
responsible for the preparation of the èccounts. The charitys trustees consider that an audit is not
required for this year under secknon 144 of the Charities Act 2011 (the Charities Attl and that an
independent examination is needed.
It is my responsibility to:
examine the accounts under section 145 of the tharities Art,
to follow the procedures laid down in the general Directions given by the Charity Commission
(under section 145(5)(b) of the Charities Act, and
to state whether parkncular matters have come to my attention.
Basls of independent examinerfs report
My examination was carried oui in accordance with general Directions given by the Charity
Commission. An examination includes a review of the accounting records kept by the charity and
a cornparison of the accounts presented with those records. It also includes consideration of any
unusual items or disclosures in the accounts and seeking explanations from the trustees
concerning any such matters. The procedures undertaken do not provide all the evidence that
would be required in an audit, and consequentsy no opinion is given as to whether the accounts
present a 'true and fairf view, and the report is lirnited to those matters set out in the statement
below.
Independent Examinerfs ststement
In connection with my examination, no matter has come to my attention to indicate that:
accounting records have not been kept in accordance with secbon 386 of the Companies Act
2006.
the accounts do not accord with such records:
where accounts are prepared on an accruals basis, whether they fail to comply with relevant
accounting requirements under section 396 of the Companies Att 2006, or are not consistent
with the Charities SORP (FRS102)
any matter which the examiner believes should ￿ drawn to the attention of the reader to gain
a proper understanding of the accounts.
Rebecca Triffitt, MAAT
Phoenix Accountancy and Business Consultancy Limited
4.6 Robert Street, Scunthorpe
North Lincolnshire DN15 6NG
DATE. 41 Ila

ARCADE ARTS LTD
Company No: 12571419
ChaTity No.. I l94711
Report of the Board of Trustees (incorporating the Directorfs Report)
For the year ended 31 March 2025
The Trustees present their report with the financial statements of the charitable Company
for the year ended 31 March 2025.
The financial statements comply with the Charities Att 2011, the Companies Act 2006, the
Memorandum and Articles of Association, and Accounting and Reporting by Chartties..
Statement of Recommended Practice applicable to charities preparing their accounts in
accordance with the Financial Reporting Stsndard applicable in the UK and Republic of
Ireland (FRS 102) (effettive l January 2019).
Reference and Administrative Details of the Charity, its Trustees and Advisers
Name
fch
Arcade Arts Ltd
Chari
Re
istration NumLEr:
1194711
an
Re
istr
n Number.
12571419
Re
istered A
dress:
Bridlington Hub
2a Marshall Avenue
Bridlington
East Yorkshire
Y015 2DS
Princi
ratin
dress:
Woodend Gallery
The Crescent
Scarborough
North Yorkshire
Yoll 2PW
Direttors and Trust&s.'
The Directors of the charitable Company (the Charity) are its trust￿ for the purpose of
charity law and throughout this report are collectively referred to as the Trustees.
Names of Trustees (Directors) who served during the year and since the year end were as
follows..
Dr K Acton - Appointed 13.09.22
Y Wombell - Appointed 23.09.22
T Stephenson - Appointed 06.10.2020 Resigned 09.12.2025
J Crowley - Appointed 19.03.2022
M Romer- Appointed 08.08.2023
J Avison - Appointed 09.12.2024 Resigned 27.10.2025
K Mcmullen - Appointed 09.12.2024
The Company is limited by guarantee therefore none of the Directors have an inter￿t in
share capital.

ARCADE ARTS LTD
CompanyNo'. 12571419
Charity No: 1194711
Report of the Board of Trustees (Incorporating the Directorfs Report)
For the year ended 31 March 2025
Da
toDa
Co-Director
Co-Director
Mana
ernent of the Chari
Rachael Drew
Sophie Drury-Bradey
Inde
endent Examiner:
Rebecca Triffitt, MAAT
Phoenix Accountancy and Business
Consultancy Limited
4-6 Robert Street
Scunthorpe
North Lincolnshire
DN15 6NG
Bankers:
Virgin Money Bank
154-158 Kensington High Street
London
W8 7RL

ARCADE ARTS LTD
CompanyNo: 12571419
CharityNo: I 194711
Report of the Board of Trustees (incorporating the Director's Report)
For the year ended 31 March 2025
Structure, Governance and Management
Governin
Document
Arcade Arts Ltd is a registered charity and a company limited by guarantee governed by
its Memorandum and Articles of Association adopted on 24 April 2020 and amended on 08
December 2020 and 27 May 2021.
Arcade Arts registered as a charity on 07 June 2021.
Every member of the Charity undertakes to contribute a maximum of £1 in the event of
the charity winding up.
Recruitment and a
ointment of Trustees
The board of directors may from time to time and at any time appoint any member of the
company as 3 member of the Board of Directors, either to fill a casual vacancy or by way
of addition, provided the prescribed maximum is not exceeded. Any member so appointed
shall retain his or her ofFice only until the next annual general meeting but shall then be
eligible for re-election.
No person who is not a member of the Company shall in any circumstances te eligible to
hold office as a member of the Board of Directors.
The Articles of Association states that the number of Trustees must never be less than 3
and, until otherwise determined by a General Meeting, shall not be more than 7.
Trust e Inductlon and Trainin
New Trustees undergo inducknon training, provided by the Co-Direttors. The induction
includes a discussion about the role and respop,sibilities of Trustees, the activities, aims
and objectives of the Charity, the structure of the organisation, Board of Trustees, general
procedures of the organisation. New Trustees are introdiJced to members of staff and
other Trustees and are provided with the Chayty Commissions'Roles and Responsibilities
of Trustees,, the Articles and Memoranduni. of Association, the business plan, the latest
statutory financial statements, Annual Report, and financial reports provided to the Board
of Trustees. Any additional training required by new Trustees will be identified during
induttion, and may be requested at any point by Trustees, where it is considered useful to
their role as Trustee, Trustees are also invited to attend charity events and activities in
order to develop a better all-round understanding of the organisation.

ARCADE ARTS LTD
Company No: 12571419
Charity No.. 1194711
Report of the Board of Trustees (incorporating the Director's Report)
For the year ended 31 March 2025
anisati
nal S'Lrutture
The Board of Trustees manages the Charity and aims to consider only strategic decislons
at its Meetings. Trustees are aware that any conflirts of interest are declared and
minuted. The Board meets quarterly, The Co-Directors are appointed by the Trustees to
manage the day-to-day operations of the Charity, (Rach Drew & Sophie Drury-Bradey) and
also have authority to delegate as appropriate to other staYI mernbe￿.
Risk Mana
ement
The Trustees of the charity regularly review the major governance, operational and
financial risks which the charity faces through quarterly trustee meetings and annual
business planning process and confirm that Systems have been estsblished to mitigate
these risks.
ARCADE has a risk maiagement Strategy in place which comprises: an annual review of
the strategic risks the charity may face via the organisational risk register, the
establishment of systems and procedures to mitigate those risks identified, the
Implementation of procedures designed to minimise any potential impact on the charity
should those risks materialise.
The Trustees are satisfied that appropriate financial systems and controls and employment
policies and prartices are in place. The Trustees consider the key ris￿ facing the charity
at this time to be:
l. The financial risks arising if the organisation is unable to attract sufficient funding
to realise its planned activity to the scale and quality to which the organisation
aspires.
2. The relatively modest scale of the organisation leaves It vulnerable to the
temporary absence or permanent loss of key team members.
The Trustees have managed the potential impatt of these risks by ensuring that..
Income generation and fundraising plans in place in order to develop core funding
streams for the organisation, enabling the charity to offer long term employee
contracts to staff
Prudent budgets have been set for the next financial year
The charity maintains a low-cost base
Contingency plans are in place for the actions which would be taken if income
appears unlikely to reach it5 target
Contingency plans to adjust activity delivery format if income appears unlikely to
reach its target
Reserves Policy will be adopted which will always enable the charity to meet all its
liabilities even if income targets are not achieved

ARCADE ARTS LTD
Company No: 12571419
Charity No: 1194711
Report of the Board of Trustees (incorporating the Dlrector's Report)
For the year ended 31 March 2025
Objectives and Activities
As set out in the Memorandum of Association, the Charity's objects are:
"To advance the arts for the public benefit by the promotion in particular, but not
exclusively, of the art of drama.
Achi
vements
urin
the
ear:
GRUE
In February 2025 Grue by Wintercroft and ARCADE travelled the 83 miles from its
home in Scarborough to Bradford 2025 UK City of Culture. Built by over 1000 cornmunity
members and made entirely from regcled and repurposed materials, this fourth iteration
of Grue was double the size of previous versions, allowing us to Upscale the fantastical
world in its new home of Damart Mill, in Bingley.
Grue was sold out and attended by 2319 audience members who stepped into a
fantastical world to explore a series of enchanting landscapes. Over 1000 community
members were involved In building the pieces. Feedback was excellent from both
audienc￿ and volunteers. Scaling up of the project has been successful, and we are going
to look at whether we can roll out this model in another fomi.
"The experience w3s amazing. That an entire eXpenen￿ could be construtted from
cardboard absolutely blew our children s minds. fhey could talk about nothing else all
day.-
Bradford 2025 UK City of Culture Audience member
'We really enjoyed working with the ARCADE team, who we found to be responsive,
dynamic and creative. The audience response to Grue was ovenvhelminglypositive, it sold
out its run and the loca/ community took it to heart. We were delighted to have it as part
of our festivalprogr3mn7e.'
Jenny Harris, Director of Progrnmme Bradford 2025 UK City of Culture
PIED PIPER
We were proud to be able to bring the Battersea ArL% Centre & rODIUM'S Pied Piper - A
Hip Hop Musical to Bridlington as part of a national tour. The show featured a hugely
talented cast of professional beatboxers and musicians as well as local children and

ARCADE ARTS LTD
CompanyNo'. 12571419
Charity No.. 1194711
Report of the Board of Trustees (incorporating the DirectO￿S Report)
For the year ended 31 March 2025
young people.
Thr* community casts from Headland5 Secondary School, Hilderthorpe Primary School,
and Spotlight Youth Theatre took part in a series of beatboxing workshops with artist
Conr3d Murray and performed on stage at Bridlington Spa alongside the professional
cast.
The shows were a sell out, with hundreds of local families attending and thanks to the
support of East Riding of Yorkshire Council, AMP, Ats Council England, The Lords
Feoffees and Theatre Works! we were able to support 1000 local school children to see
the show.
NEW SHORES
This year, Springhead SEND School created their own museum, Scarborough PRS made a
football song, a mysterious alien egg landed at Northstead School and Gladstone Road
School helped special visitor Eady bring volcanoes to life! New Shores is funded by Paul
Hamlyn Foundation as part of their p￿StIgiOuS,arLS-ba$ed learning, fund.
°child￿n who at other times appear disengaged with learning, have been fvlly engaged in
the project - I had one child .
. recalling all sorts of knowledge alx)ut volcanoes,
earthquakes, tectonic plates that I had no idea he had actually retained." Teacher
°PMLD pupils showed some incredible responses to Nanoo. Pupils were able to
experience a range of emotions and awe and wonder.. Teacher
CREATIVE YOUTH
ARCADE'S Creative Youth Projett is delivered in partnership with Scarborough Pupil
Referral Service, where we provide creative enrichment activities for the students
across the year. We bring world class artists to work with the young people in a variety
of art forms, increasing confidence, promoting wellbeing and developing social skills.
In summer 2024, pupils worked with visual artists Anna Bean and Graham Sykes to
design skateboards. These were featured in North York Moors Trust's Birds on the Edge
exhibition at Danby Lodge.
In September 2024, we launched the first of a three year progrdmme funded by the
Youth Music Catalyser Fund which supports children and young people who face
barriers to make, learn or earn in music. The young people worked with playwright,
musician and world record holding beatboxer Testsment on lyrics inspired by the
themes of identity and place.
here are expressions on their faces I've never seen before."
io

ARCADE ARTS LTD
Company No.. 12571419
Charity No.. 1194711
Report of the Board of Trustees (incorporating the Director's Report)
For the year ended 31 March 2025
Teacher
As part of this project, we supported a young person in a paid intern role to attend and
assist the weekly sessions and develop their confidence and creative skills.
' This internship has helped my confidence grow. I feel like two differentpeople from when
I first came, to how l am nosv. When I started, I was quiet- in my own little bubble, even
in the creative debriefs the meetings after the sessions I didnt dare speak. l//just
say it say what I mean, with no shame.-. Intem
SPOTLIGHTYOUTH THEATRE
In 2024, we launched a Youth Theatre in Bridlington with our partners Spotlight
Theatre, providing the opportunity for IOGII young people from the ages of 12-18 to
perform in shows.
They've performed a sold out run of musicals 'The Addams Family Young @Part, and
'Matilda Jrf and have also taken part in the North York Moors Trust's Birds on the Edge
Project. This included a residential trip to Dalby-Forest with creative activit'es in nature
which inspired a devised theatre show perfomied to an audience.
My girl has grown in confIden￿ so much and made fantasts"c fn"ends. .
Parent of Youth Theatre participant
CREATIVE CONNEcf]ONS
This one-day symposium for creative people, artists and fr￿lanCerS, produced by
ARCADE and Stephen Joseph Theatre offered an exciting programme of specialist
industry speakers, practical workshops, taster sessions and accessible networking. We
wanted to create a space for our creab've community to develop, nurture and refresh
their skills.
Keynote speakers includ&: Jess Thom (Touretteshero), Danielle Daglan, Head of Culture
and Archives for Noth yorkshi￿ Council, and artist Toni-Dee Paul.
Workshop style sessions included: marketing, budgeting and fundt7ising, as well as
hands-on creative sessions in pottery, public speaking and working with young people.
"The event was absolutely buzzing andpeople are still talki.ng about itl It Was gre3t to
see so many artists and community representatives in one place and realise how much
talent is here...
Symposium Attendee
li

ARCADE ARTS LTD
Cotllpany No: 12571419
Charity No.. 1194711
Report of the Board of Trustees (incorporating the Director's Report)
For the year ended 31 March 2025
NOW THEN! Tadcaster
Now Thenl is two year Place Partnership project which sees our team working with
The Barn, Tadcaster. Funded by North Yorkshire Council, Arts Council England and UKSPF,
we are working together to create joyful and memorable experiences, made in
partnership with local people.
We have supported Tadcaster Youth Theatre led by Thunk-It Theatre, set up a Young
Producers scheme and held a creative ca￿erS day. Young people have created The Big
Tiny Volces podcast and recruited arknst, Eduard 'RICE' Sacrest to create a series of
beautiful co-created rnurals in the town.
Mural l at the local library saw 3 x Tadcaster primary sch(K)I classes (90 children in total)
work with RICE to create a new interior mural for Tadcaster community libffiry.
Mural 2 took place at The Barn in the Easter holidays.
Mural 3 was created at Tadcaster Albion Football Ground, working with young people
from their football youth groups.
INS a fantastic contnbution and Fve re lucty to have this in our town.-
Parent of Tadcaster Youth Theatre participant
ORGANISATIONAL DEVELOPMENT
The charity has grown to an all-female team of 7 including l Administrator, who was
previously a Trainee. In addition, a range of experienced freelancers support the work of
the charity.
The charity has its own office at Woodend Creative, which is fully accessible.
A lean business plan and three-year prograsTme plaii has been written, in collaboration with
partners. We have created a Theory of Change for the organisation and an evaluation
framework which we continue to use.
We had a new website designed and implemented.
Co-Artistic Director and CEOS were invited to a parliamentary reception held by Ats Council
England to celebrate their achievements alongside other organisations.
SUPPORTING LOCAL CREATIVES
Our online nemork, Scarborough Creatives now hosts 2,400 people and is growing all the
time, with Tadcaster (200) and Bridlington Creatives (400) remaining stable,
12

ARCADE ARTS LTD
Cotnpany No: 12571419
ChaTity No.. 1194711
Report of the Board of Trustees (incorporating the Dirertorfs Report)
For the year ended 31 March 2025
Our symposium for creative freelancers, Creative Connections a+ the Stephen Joseph
Theatre was attended by 127 people (sold out), including students, and has had very
positive feedback. There were 26 speakers across the day: 20 women, 6 men, 5 from the
global majority and 2 disabled artists.
IOOO/o of feedback forms said attendees would recommend the symposium to a friend.
ArrENDANCE AT STRATEGIC GROUPS
Our attendance on these groups show5 commitment to the development of the settor and
we can 5UPPOrt and be sUPPOrted by others
Cultural Collisions
East Riding of Yorkshire Council, Local Cultural Education Partnership
North Yor*shire Cultural Education Partnership (Forge)
Scarborough Cultural Partnership
New NPOS Group, we coordinate this group, and it is open to partnership bids
Public Benefit- Who Arcade's work benefits and in what way
The trustees have reviewed the current activities of the charitsble company and
confirmed that they are in line with its objectives. All the activities of the
organisation carried out during the period are in pursuance of the company's aims
and objectives. The trustees also confirm that the organisation's aims and
objectives fall within the "descriptions of purposes in the Charities Act 2011 and
are recognised as charitsble and are carried out for public benefit.
22,556 people engaged with our work (18,103 Audiences/4,553 Participants) and 199
Artists were engaged in paid work.
Our flagship project Grue enjoyed its best year yet for media success reaching
235,469,526 people across 11 regional and 2 national media outlets.
Many audiences and participants live in wards which are the bottom IOQ/0, 60/0 & 10/0
of deprived areas in England. Areas we serve have the lowest rates of social mobility
in the country & lower than average cultural engagement & literacrf levels, along with
feeling the other impacts of deprivation, such as high teenage pregnancy, offending
and reoffending rates.
ARCADE'S activity focuses on families and children, young people at risk of offending
andlor attending non-mainstream schools e.g., Pupil Referral Unit5 and SEND
Schools, and young working-class women and girls.
13

ARCADE ARTS LTD
CompanyNo'. 12571419
Charity No.. 1194711
Report of the Board of Trustees (incorporating the Director's Report)
For the year ended 31 March 2025
The trustees are not remunerated. Any connection between a trustee or senior
manager of the charity with business partners, sponsors or suppliers is disclosed to
the full board of trustees in the same way as any other contractual relationship with
a related paty.
Financial Rev?ew
The outturn for the year is a surplus of £5,126 (2024: surplus £63,891) this is made up of
an unEstritted surplus of £4,570 (2024: surplus £62,066) and a restrirted surplus of £556
(2024., surplus £1,825).
The Trustees consider the financial performance of the charty to be ￿tISfactory.
Resetve
The reserves policy is to hold 3 months of core running costs including salaries and
overheads, built from earned income through our consultancy work, ticket sales, school fees
and producing fees. The Board of Trustees review this policy ainually.
Treasu
olic
The Company's main banking facilities a￿ wtth Virgin money bank and have OFened a
second account with Lloyds to ensure all funds are covered by the FSCS £120,000
compensation scheme.
The Company is required to have its fvnds readily accessible and so spread its cash
balances across notice accounts and instant access deposit accounts.
Princi
l Fundin
Sources
See note 13 of the notes to the accounts for a detsiled explanation of the Company's
restricted funds. The main income source to the'core, unrestricted funds was through
grants and charged for services. During the year all expenditure has been concentrated
on the key objettives of the charity.
Plans for Future periods
NEW SHORES
The start of the second year of a programme of work in Scarborough Schools, called New
Shores, funded by Paul Hamlyn Foundation. Includes a creative Teacher CPD programme
& immersive theatre in the classroom as part of Adventures in Leaming model by K
Theatre. The project responds to teacher feedback ail d focuses on supporting pupils to
understand difference and increase tolerance. Key partners include IcKal primary schools
in Scarborough, including Gladstone Road Primary, Springhead SEND School and
Scarborough Pupil Referral Setvice, as well as Scarborough Museums and Galleries.
14

ARCADE ARTS LTD
Company No.. 12571419
Charity No.. 1194711
Report of the Board of Trustees (incorporating the Director's Report)
For the year ended 31 March 2025
OUR CHRISTMAS
Small R&D of new immersive show 'Sprites' at Scarborough Spa, with a heritage inspired
adventure for development for family audiences at Christmas. We would like to explore
connections to Scarborough 400 (2026) and heritage partners.
OUR YOUTH
Condensed, week-long sessions taking place across the year for pupils from Scarborough
Pupil Referral Service. Led by innovative visiting artists drawn from acr055 the north of
England, with opportunity for an emerging artist to learn from best practice.
ARCADE YOUTH THEATRE
Weekly sessions continue across the year for up to 30 young people from deprived areas.
Working with NHS social prescribers for referTrls, as well as local schools.
Led by local facilitator with guest artists as r4uired, there will be 3 performance or
sharing opportunities with local artists, includiig Mab'ida the Musical, National Theatre
Connettions and a special creative project at North York M(xJrs and Parks.
PLAYING OUT
A short R&D project with young people at Gallows Close communty trntre in summer,
developing new ideas with Cheidu Ornka and Tethment, plus orchestra partners with a
view to make large scale spoken word / orchestra performance with young people.
PIED PIPER ON TOUR
ARCADE produces a national tour of acclaimed and award-winning production PIED PEPER
by BAC Beatbox Academy to Derby, Hull, Leeds, Medway, Peterborough and Scarborough.
A local community cast in each Ic(ation provides young people the chance to develop
creative skills and confidence.
Pied Piper is a raucous music31 re-imagining of a medieval fairy-tale. Featuring a hugdy
talented cast of beatboxers, musicians and special guest performances from the local
community in each tour location. An elettrifying show of vocal wizardry for all the family,
coming to Scarborough, Hull, Leeds, Peterborough, Medway and Derby in 2026.
The tour is funded by Arts Council England.
GROWING CAPACITY
Working with North Yorkshire Council we will develop multi-year, place-based projects
developing producing capacity to unleash creativity in communities
SUPPORTING LOCAL CREATIVES: Scarborough, Bridlington and Tadcaster Creatives
networks continue for local creatives (3,500+ people), skills ne￿orkS, opportunities &
15

ARCADE ARTS LTD
CoJnpanyNo: 12571419
Charity No., 1194711
Report of the Board of Trustees (incorporating the Director's Report)
For the year ended 31 March 2025
events. Attention paid to ensuring support for local creatives is inclusive and attively
involves disabled artists,
FUTURE LEADERS In partnership with East Riding Council, we continue to run a Young
Producers Group in Bridlington.
We continue to develop our Administrator in her next steps with us.
COMPATrIY DEVELOPMENT
Development of future facing partnerships and multi-year funders is ongoing. We will also
look to overhaul our policies to make them fit for purpose and in line with our values.
Co-Directors will look to diarise time for their development and training,
ArrENDANCE AT STRATEGIC GROUPS
Our attendance on these groups shows commitment to the development of the sector and
we can support and be supported by others
Cultural Collisions
East Riding of Yorkshire Council, Local Cultural Education Partnership
North Yorkshire Cultural Education Partnership (Forge)
Scarborough Cultural Partnership
New NPOS Group, we coordinate this group, and it is open to partnership bids
ARCADE Birthday Celebration
A small celebration and look back over 5 years with a coordinated marketing campaign
occurred in June and October 2025.
Audit/Independent Examination
As the income of the Charity is below £1 million, Arcade Art5 has opted for a Charity
Independent Examination for the year ending 31 March 2025 in line with the Charities Act
2011.
Statement of disclosure of information to Independent Examiner
We, the Directors of the Company who held office at the date of approval of these
financial statements, each confirm so far as we are aware, that:
there is no relevant information of which the Company's Independent Examiner Is
unaware, and
16

ARCADE ARTS LTD
CompanyNo'. 12571419
Charity No: 1194711
Report of the Board of Trustees (incorporating the Director's Report)
For the year ended 31 March 2025
we have taken all the steps that we ought to have tsken as Directors in order to
make ourselves awa￿ of any relevant information and to establish that the
Company's Independent Examiner is aware of that information.
statement of Dirertorfs responsibilities
The charty Trustees (who are also the direttors of Arcade Arts Ltd for the purpo*s of
company law) are responsible for preparing a Trustees, Annual Report and financial
statements in accordance with applicable law and United Kingdom Accounting Standards
(United Kingdom Generally Accepted Accounting PTrctice).
Company law requires the charity Trustees to prepare financial statements for each year
which give a true and fair view of the state of affairs of the charitable company and of the
incoming resources and application of resources, including the income and expenditure, of
the charitable company for that period. In preparing the financial statements, the Trustee
are required to:
selett suitable accounting policies and then apply them consistently;
observe the methods and principles in the Charities SORP,.
make judgements and estimates that are reasonable and prudent,.
state whether applicable LIK accounting stsndards have been followed, subject to
any material departures disclosed and explained in the financial ststements;
prepare the financial ststements on the going concern basis unless it is
inappropriate to presume that the charity will continue in business.
The Trustees are responsible for keeping proper accounting records that disclose with
reasonable accuracy at any time the financial pos￿0￿ of the charity and to enable them to
ensure that the financial statements comply with the Companies Act 2006. They are also
responsible for safeguarding the assets of the charity and hence taking reasonable steps
for the prevention and detection of fraud and other irregularities.
The Trustees are responsible for the maintenance and integrity of the corporate and
financial information included on the charitable company's website. Legislation in the
United Kingdom governiiig the preparation and dissemination of financial statements may
differ from legislation in other jurisdictions.
17

ARCADE ARTS LTD
Company No: 12571419
Charity No.. I l94711
Income and Expenditure Account
For the year ended 31 March 2025
Notes
2025
2024
INCOME
400,968
390,041
EXPENDITURE
(400,041)
(330,536)
OPERATING SURPLUS/(DEFIcrr)
FOR THE YEAR BEFORE TAX
927
59,505
Interest receivable
4,199
4,386
SURPLUS/(DEFIcrr) FOR THE YEAR
BEFORE TAX
5,126
63,891
Corporation Tax
SURPLUS/(DEFicrr) FOR THE YEAR
AFfER TAX
5,126
63,891
RESERVES BROUGHT FORWARD
13
100,806
36,915
RESERVES CARRIED FORWARD
13
105 932
100 806
Total income of £405,167 (2024: £394,427) comprises £33,186 (2024.. £64,653) for
unrestricted funds and £371,981 (2024: £329,774) for restritted funds. A detailed analysis
of income by source is provided in the statement of financial activities.
The surplus for the year of £5,126 (2024.. surplus £63,891) comprise5 a surplus of £4,570
(2024: £62,066) for unrestricted funds and a surplus of £556 (2024.. surplus £1,825) for
restricted funds as shown in the statement of financial activities.
There are no recognised gains and losses other than those passing through the income
and expenditure account. All operations are continuing operations.
The notes on pages 24 to 35 form part of these Financial statements.
19

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ARCADE ARTS LTD
Cotnpany No.. 12571419
Charity No.. 1194711
Statement of Cash Flows
For the year ending 31 March 2025
Notes
2025
2024
Net Movement in Funds
Add back depreciation charge
Deduct interest income shown in investiii g
activities
Decreasel(increase) in debtors
Incre3sel(decrease) in creditors
Net cash used in operating activities
5,126
3,089
(4,199)
63,891
1,152
(4,385)
10
li
12
(74,141)
155,663
41,979
108 522
Cash flows from investing activities
Interest Income
Profit on disposal of asset
Purchase of tangible fixed assets
Cash provided by (used in) investing
activities
4,199
4,386
10
(5,720)
3,096
Cash flows from financing activities
Repayment of borrowing
Cash used in financing activities
Increase/(decrease) in cash and cash
equivalents
79,818
111,618
Cash and cash equivalents at the beginning of
the year
142,564
30,946
Totsi cash and cash equivalents at the
end of the year
222,382
142,564
The notes on pages 22 to 33 form part of these financial statements.
23

ARCADE ARTS LTD
Company No: 12571419
Charity No: 1194711
Notes to the financial statements
for the period ended 31 March 2025
1286580560.
Accounting policies
1286580560.1.
Accounting convention
The financial statements have been prepared in accordance with Accounting and
Reporting by Charities.. Statement of Recommended Prattice applicable to charitie5
preparing their accounts in accordance with the Financial Reporting Standard
applicable in the UK and Republic of Ireland (FRS102) (effective 1st January 2019) -
(Charities SORP (FRS102)), the financial reporting Stsndard applicable in the UK
and Republic of Ireland (FRS102) and the Companies Aec 2006.
Arcade Arts Ltd meets the definition of a public benefit entity under FRSIO2.
Assets and liabilities are initially rec(KJnised at historical cost or transaction value
unless otherwise ststed in the relevant accounting policy note(s).
1286580560.2.
Company status
The Charity is a company limited by guarant￿. The members of the Company are
the Directors named on page 3.
The Company is actively engaging in the recruitment of its membership.
1286580560.3.
Going Concern
The Trustees consider the Charity to be a going concem. The accounts have been
prepar& on this basis.
1286580560,4.
Incoming resources
Income is recognised when the charity h.as entitlement to the funds, any
performance conditions attached to the item(s) of income have been met, it is
probable that the income will be received and the amount can be measured
reliably.
servI￿s provided, investment income and rents are accounted for on the accrual's
basis. Other income is accour,ted for when ￿Ceived. All income is shown gross with
associated costs included in expenditure.
Grants received to fund the purchase of fixtsd assets are credited to the Statement
of Financial Activities when the Company is legally entitled to the income. The
related expenditure is charged to Fixed Assets in the Balance Sheet.
24

ARCADE ARTS LTD
Company No: 12571419
Charity No: 1194711
Notes to the financial statements
for the period ended 31 March 2025
Accounting policies (continued)
1.4. Incoming resources (continued)
Grants received of a revenue nature are accounted for when the company is legally
entitled to the income and the amount can be quantified with reasonable accuracy.
1.5. Fund accounting
Restricted funds are funds which are to be used in accordance with specific
restrittions imposed by donors. Restritted funds are accounted for separately to
each other and to the core funding of the Company.
General funds are unrestrirted funds which are available for use at the discretion of
the Trustees in the furtherance of the general objecknves of the charity and which
have not been designated for other purposes.
1.6. Expenditure and irrecoverable VAT
Expenditure is recognised once the￿ is a legal or constructive obligation to make a
payment to a third party, it is probable that settlement will be required and the
amount of the obligation can be measured reliably. Expenditure is classified under
the following activity headings..
• Expenditure on charitable activities includes the costs of all activities
undertaken to further the purposes of the charity and their associated support
costs.
The Charity is VAT registered from February 2024.
1.7. Allocation of support Costs
Support Costs are those funrtions that assist the work of the charity but do not
directly undertake charitable activities. Support costs include back-office costs,
finance, personnel, paymll and governance costs which support the Charities
activ¥ties.
All activities undertaken by the Charity are in furtherance of the Charitable objects
therefore all support costs have been allocated to charitsble activities. A full
breakdown of all costs related to Charitable Attivities has been provided in Note 5.
1.8. Intangible & Tangible fixed assets and depreciation
Intangible & Tangible fixed assets are ststed at cost less depreciation. Depreciation
is provided at rates calculated to write off the cost less estimated residual value of
each asset over its expected useful life (except as detailed below) as follows:
Office Equipment
Furniture and Fixtures
Website
330/0 on the straight-line basis
250/0 on the straight-line basis
330/0 on the straight-line basis
25

ARCADE ARTS LTD
Coillpany No: [2571419
Charity No: l194711
Notes to the financial statements
for the period ended 31 March 2025
1.9. Debtors
Trade and other debtor5 are recognised at the settlement atnount due after any
trade discount offered. Prepayments are valued at the amount p￿paid net OF any
trade discounts due.
1,10, Cash at bank and in hand
Cash at bank and cash in hand includes cash and short temi highly liquid
investments with a short maturity of three months or less from the date of
acquisition or opening of the deposit or similar account.
1.11. Creditors and provisions
Creditors and provisions are recognised where the charity has a present obligation
resulting from a past event that will probably result in the transfer of funds to a
third party and the amount due to settle the obligation can be measured or
estimated reliably. Creditors and provisions are normally recognised at their
settlement amount after allowing for any trade discounts due.
Income and Expenditure Account
The Company is a registered charity and so achievements cannot be measured by
normal commercial criteria. Accordingly, the Directors consider that It would be
inappropriate to present a Profit and Loss Account in one of the formats set out by
the Companies Att 2006. Therefore, as permitted by the Companies Act, in order to
reflett the special nature of the Company's activities, the Directors are of the
opinion that it would be more appropriate to present an Income and Expenditure
Account.
26

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ARCADE ARTS LTD
Company No: 12571419
Charity No: 1194711
Notes to the Financial Statements
for the year ended 31 March 2025
staff costs
Total
2025
Total
2024
Wages and salaries
Employers Nl
Employers Pension Contributions
Payroll & Pension Fees
Directors Emoluments
Travel and Subsistence
Training
ArtISts Fees (Project costs from 2025)
Subcontract Fees
Other Staff Costs
174,056
10,889
7,167
131,320
7,165
5,782
393
9,503
1,596
3,345
712
67,832
7,251
440
224 240
1,825
207 001
Average number of paid staff
Total
2025
Total
2024
Headcount
There are no higher paid staff.
8. Operating surplus
The operating surplus is arrived at after charging..
Totsl
2025
Total
2024
Depreclation - Owned Assets
Directors Emoluments
Accountants Remuneration
3,089
1,152
720
3,809
720
1,872
30

ARCADE ARTS LTD
Company No: 12571419
Charity No.. 1194711
Notes to the Financial Statements
for the year ended 31 March 2025
Taxation
As a charity the Company is exempt from Corporation Tax.
10. Intangible & Tangible Fixed Assets
Office
Equipment
Furniture &
Fixtures
Website
Total
Cost
At 01 Apr 2024
Additions
Disposals
At 31 Mar 2025
5,019
120
5,139
8,300
8,300
5,019
120
8,300
Depreciation
At 01 April 2024
Charge for the year
On Disposals
At 31 Mar 2025
1,711
1,438
1,795
3,089
36
1,615
3,149
120
4,884
Net Book Value
At 31 Mar 2025
At 31 Mar 2024
8,555
1,689
36
11. Debtors
Total
2025
Total
2024
Trade Debtors
Bad Debt Provision
Prepayments and Accrued Income
Theatre Tax Rebate
79,610
(3,347)
5,898
15,104
(3,347)
7,216
31

ARCADE ARTS LTD
Cornpany No: 12571419
Charity No: l194711
Notes to the Financial Statements
for the year ended 31 March 2025
12. Creditors
a) Creditors: Amounts falling due within one year
Total
2025
Total
2024
Trade Creditors
Payroll Tax
Corporation Tax
Pension
Loans
Accruals
VAT
Deferred Income
3,046
16,942
3,834
14,169
295
977
200
9,661
575
1,708
200
7,707
16,140
172 376
218 119
13. Accumulated funds
Unrestritted
Funds
2025
Restritted
Funds
2025
Total
Funds
2025
Total
Funds
2024
Balance at 01 April
Movement in funds for the year
Balance at 31 March
85,478
15,328
556
15,884 105,932 100,806
100,806
36.915
90,048
Analysis of net assets between funds
2025
Unrestricted
Funds
2025
Restricted
Funds
2025
Totsl
Funds
2024
Totsl
Fund5
Fixed Assets
Current Assets
Current Liabil ities
Non-current liabilities
6,886
1,669
8,555
1,725
128,905
186,591
315,496
161,537
(45,743) (L72,376) (218,119) (62,456)
15884 105932 100806
32

ARCADE ARTS LTD
Company No.. 12571419
Charity No.. 1194711
Notes to the Financial Ststements
for the period ended 31 March 2025
13. Accumulated Funds (Continued)
Restricted funds
Balar?ce at
Movement in Resources
0110412024 Incorning
Outgoing
Transfers
Balance at
3110312025
Arts Council England
East Riding Council Pied Piper
Bridlingion
Easl Riding Council Spotlight
Youth Produced
North Lincolnshire Council
NYMAZIAMP
900
180,0
5,100
(180,91)0)
(5,100)
2,500
14,043
10,375
45,218
(2,51X))
(14,043)
(10,375)
(45,218)
(8,445)
(2,5IA))
(1,000)
{4,286)
(9,303)
Paul Hamlyn Foundation
HEY Smile,
Lord Feoffees
Scarborough Borough Council
Theatre Work
Youth Music
8,445
2,500
I,ooo
4,286
9,303
Restricted Funds - Grants
Artistic Projects
Bradford - Grue
Training Income
Donation5
All Restricted Funds
900
14,428
282,770 {283,670)
14,428
85,755
2,OQO
1,456
15,328 371,981
(85,755)
(2,(J)O)
1,456
15,884
371,425
A brief description of the Restricted Funds 15 given below:
Restricted Funds
Arts Council England provided restricted funding to 5UPPOrt ARCADE'S staffing
costs and core cultural community programme costs.
East Riding of Yorkshire Council - Pied Piper Bridlington
Restricted funding received to contribute towards the development & performance
costs for the show 'Pied Piper, a hip hop musical,
East Riding of Yorkshire Council- Spotlight Youth Producedrt provided
restricted funding to contiibute towards project Spotlight Youth Produced
33

ARCADE ARTS LTD
Company No: 12571419
Charity No: 1194711
Notes to the Financial Ststements
for the period ended 31 March 2025
North Lincolnshire Council
Restricted funding received to contribute towards the development & performance
Costs for the show'Bunker of Zion,
NYMAZIAMP, restritted funding to be spent on engaging with young people,
many of whom experience poor mentsl health, trauma and chaotic home lives.
Paul Hamlyn Foundation, resbicted funding to be spent on engaging with your*g
people, many of whom experience Pcrfjr mental health, trauma and chaotic home
lives.
Hey Smlle, restricted funding to be spent on engaging with young people in
Bridlington and opening of a Bridlington Youth Treatre.
Lord Feoffees restritted funding to be spent on engaging with young people,
many of whom experience poor mental health, trauma and chaotic home lives.
Scarborough Borough Council restricted funding to be spent on engaging with
young people, many of whom experience poor mental health, trauma and chaotic
horne lives.
Theatre Works Restricted funding received to contribute towards the
development & performance costs for the show'Pied Piper, a hip hop musical,
Youth Music restricted fijnding to be spent on engaging with young people, many
of whom experience poor mental health, trauma and chaotic home lives.
14. Directors, remuneration
No remuneration directly or indirectly OLrt of the funds of the Company was paid or
payable for the year to any Director (2022., Nil paid to Direttors).
Ysabelle Wombwell received payment of £121 (2024 - £856) in the financial year.
These payments are made at arm's length.
All trdvel expenses paid to employees, volunteers and Directors are in line with
approved mileage rates set by HMRC.
14. Related Party Transactions
There were no related party transactions.
34

ARCADE ARTS LTD
CompanyNo'. 12571419
cP￿rIty No.. 1194711
Notes to the Financial Statements
for the period ended 31 March 2025
15. Other recognised gains and losses
There were no other recognised gains or losses.
16. Members
The liability of the members is limited.
Every member of the Company undertakes to contribute such amount as may be
required, not exceeding £1, to the Companys assets if it should be wound up while
he or she is a member, or within one year after he or she ceases to be a member
for payment of the Company's debts and liabilities contracted before he or she
ceases tr) be a member and of the costs, charges and expenses of winding up and
for the adjustment of the rights of the contributories amon9 themselves.
If the Company is wound up or dissolved and after all its debts and liabilities have
been satisfied there remains any propety, it shall not be paid to or distributed
among the members of the Company but shall be given or transferred to some
other charity or charities having objects similar to the objects of the Company.
17. Going Concern
The Trustees consider the Company to be a going concern for a period of at least
12 months beyond the date of the Independent Examiners report.
We have confirmed funding for 3 years (April 2023 - Mar 2026) from Arts Council
England, under their National Portfolio Orgail isation funding stream, we will
receive £180,000 per year for 3 years. We also have numerous other partnerships
in place over this same period,
35