REGisrr.RED COMPANY NU￿1￿f.R- CE026118O Ir.n&ilAnd #lid Wales)
Rf.I:ISTf.iiTr-.I) CllARITY NIIMIII". 11.. I11)6101
R¢i)ort of the Truste¢5 and
Unaudited FinanLi#l Stateinents
for th¢ Year Ended 31 Marcli 2025
for
Artists Th¢Atre School Fouiidatioii

Artists Thcatre Scliool Foundatio
Contents of the Finanf ial SlatemL&nts
for the Year Ended 31 M#reh 2025
P3ge
Report of tht Trustees
Statemcnt of Fin#nci#l Activities
Balance Sheet
Notes tts the Financial Statements
tkt#iled Statemcnt of Financial Activities

Artists The%tre School Foundation
Report of the Trust¢es
for the Year fnded 31 M#rL'h 202$
The trustees who are also director% of the cliarity for Ihe pui'po8c5 ofthe Coiiipaiiics Act ?006. pre%eiit thcii. rLwri witli
the financial stalemenls of the cliarity far the yeai. endLd .1 I ML2IElI 2025. The Ii'uslcc8 hHve adopted Ilic i)rovisioiis of
Accounting and Kepoiling by Charities.. Slateiiieiit of RLLOllllI)Lnded I'i?clicc applicabll to cliai'itiL5 pieparing? thLir
account5 in aCLordaiice will) Ihe F'iiiancial Rcportiiig st￿￿1)dal.d api?IicdblL In Ilie UK aiid RcpubliL ol- IIElatid {I.-IIS 1021
{effe¢tive l Jaiiuary 2019}.
The Artists Theatre School Fouiidalion {the 'l.oundation") was iiicoipoi?l¢d aiid approved by tIiL Cliarily Coiiiiiii%%ioti
on I I th October 2021. As at thc IdSt Ai)i)ual repoi1, it had cibilil Ti'uslees- Aiiidiida Rediiic1n. l)aiiiiaii SLIIi)<ibel. Susaiiiic
l)avciiport, David Tl)reifall, Hilary Vysc, Mai'k Ellis, Juliaiiii¢ Ball aiid Bei'iilc I'd Ricliiiioiid. Oi) l D, OclolK'r 20?4 11)e
Truslees appointed one new Trllslee.. Lawrence Scott Vy% Ellis. 'l-l)eie reiiiaiii these i)iiie 'l'rustccs at ihe eiid of Ilie
financial year.
The Foundation coiitiiiue5 to opei'ale via ils two, wholly owned subsidiai'ies.. Ilie Ai1isls 'fiicdtre SLhool 5.td Iilic
'S¢hool") and A TS Pi'oductions Ltd. I'A TS I'ro'}.
Throiishout the period. the fouiidatiun has worked lo raisc donaiiuns aiid fiiiidiiibT In or(lei' lo suppuit tliL work of Ilic
School ai)d ATS Pro. -I'he Foundgtion raised a tolal of £4,303.07 In￿)de lip ol. 10.30.07 ill Duncilioiis aiid £3.753.00 fiDIII
fund raisin¥7 activities.. £236.1 was also claiined Vic1 (tift Aid fix)iiTr I IMRC. 'l-IIL l.oundatioii lei)1 £7.000.00 lo Ilie Scliool
in order to further its work in educating it pupils.
Artists Th¢atre S¢lJool Ltd.
The Foundation sui?pnil8 tlie work of Ilie School by iiiakin& loaiig to coyer 8diMinisirative expeiises aiid Lost Ove￿[1115 011
the leaching and pcrforiiiiii&J activities of the Scliool.
Due lo the support of the fouiidalitsn, the School was able to c(Iniinue Il)e teacliiiibT iiiid creative devclopimeiii of ovcr 2
clors and put oli a produclioii of"A Question of Iiitciit"
collaboiilioii witli ihL Mi(IdlL .1 ciiiple ii) Londoii wliicli
furthe15 tlie training of ncwly Liualified barristei's alniigTside Il)e Scl)0018 pupils ii) a Iiiock Ii'ial ￿li)d 'revcal" The
SLliool's slioivcase produ¢tlOll 5Lheduled for suiiiiiier 2025 is "D<irknel" a iiiadcrii pieLe exaiiiiiiinL tIIL poiei)lial rolL of
social media and"BigJ Twh" in the near future.
ATS Productions Ltd.
The Found8tioii %upport5 Ihe work of ATS Pro by Indkin¥ loans in ordci. t(1 Lovei. adiniiiislizlive LxpeiTrsis and cosi
overruns oli thc leacliin¥i ai)d pei'lonning activitics of A TS Pro.
ATS Pro is currcntly focused on workii)g up a collection ol- Sli2￿ kespcarc SLLnLs to be prc%ented as (1 pronienddL ltir ils
next perfonnaiicc. targeted for suiiiiner 2026. Tlic pi'odiiLtion ivill ulili%L Ilie School's aliiniiii a way of bLIILratiiib
professional acting experiei)ce and exposure to a new audience.
O&IECTIVES AND ACTIVITIES
Obje¢thve5 and aiims
The objectives of th¢ F'oundatioii are to advance educJtioii fur thL public bciicfil iii Iheaire aiid pcrforiMingF 11S, ti) adults
wlio could not otheiwise access a draina school trcl11)in&. by i?I'ovidin&T ivorksliops willi iiidu511'y pi'ofe$8ioiidls. providiiig
students with a platform lo sliowcase Ilicir ski115, an(1 pi'ovidiiigi studLiils will) tlie opi)()rtiiiiily lo pi'ogiiss ILI <l b)I'adiiat¢
heine and to becoine professional actors.
SignKfieaMt activities
'I'he Founddlion has continued to raise ￿ndS froin donors aiid by holdinbw reg?uliir social evenlg: typically aroiind a pul)
quiz. The social events have proved to be a very popular way ol Misiiig fuiids and building a 8uppurter base in the local
coiiiinunity.
The School lias conlillued to educ<11e actors iii thc tliLatre aiid pLI'foi'iiiiiig) arts. l-lie yLcir In SLI?tLiiiber ?02.3 Liiliiii1il< ILd
in tlie showease productioii as plaiiiied although audi¢iiccs WLIL down on pievioLIS yVdf5 due lo tlic Idil ¥i)d ellecis i)I' tliL
pandeinic and ilie iiiability to seLllI't the prefei'red tiiiie slots lor Il)e i)ei'foriiiaiices. Tlie iLacliing of the Lurreiit colii)i'l ol.
students continues and they are iji rcliears#ls lor iheir suiniiier perlonM<ll)ees.
Page I

Artists Theatre Schoul Foundatio
Report uf the Triistees
for the Year Eiid¢d 31 Mai'ch 2025
OIIIECTIVES AND AcfiviTIES
Public bcncfit
benefii. The I'ruslees believe that the work of the Poundalion iii i)ruiiiuiinb ilie ddvaii¢ciiiLiii of the art of draini￿ aiid
encouraging a broader public appi'¢ciation ol. SkicII (111 Llec1rly clciiiuii%liules 11)al oui. ¢lijiril8blL aiiiis are iiidccd lur Il)e
benefit of the piiblic and that tl)e Iruslees have coniplied willi Seclioi) 4 of IlTrc cl1￿71.111¢S ALI 211DI?. l-.iii'iliL'I'. IIIL IILVILW of
Actlvilies deiiionstiates exactly how tlie trustees c1re coiiiplyiiiL) witli Il)e Lliic I'lly Coiiiini%%ioi)ei'b bJLiidaiicc rLb7dr roliii¥
public benefit.
FINANCIAL REVIEW
Re5erve5 p￿1￿£Y
'I'he Triistees have forecagt the level of uiiirstrictcd rLserves Iieeded to siistaiii tl)e cl)<2rily's opci'atioiis ovei. a perind
Appropriate level ofthese rescrvc5 at 31 sl Mk)rcl) 2024 Ivoiild l)c £.S,000. Tliis iipirsuiil% siifliLILIII iesLI'vL% to IllLel Il)e
annual costs of the Cl)arily and would pi'ovide sufficiciit liille 10 allo1¥ for ali oi'gTaiiis¥d appi'oacli to IIiL oiibyoiiig busiii¥ss
of the So¢icty. At 31 st Maich 2024 the Charity had casli o1.£8,031 dnd reserves nl'£31,993
STRucfuRE, C.OVERNANCE AND MANAGEMENT
Governing doeun)cnt
'rhe charity is conli'olled by lis governing docuincnl, a deed of irust. arid ci)ii%tilutes a liinited coinpai)y, liiiiiled by
Juaranite. as defined by the Coiiipaiiics Act 2006.
REFERENCF. ANI) AI)MINISTRATIVE DETAILS
Registered Cornpany number
CEO?6880 (Englaiid aiid Wales)
Registered Charity numbtr
Register¢d olTice
39 Clarendon Road
London
W114JB
Trust￿$
M l. Llli5
Ms A J Redinan
D Schnabtl
Miss S C Davei)port
D J Threlfall
MsHAVyse
Mrs J T Batt
B G Richinond
LSV FIIis
Approved by order of tlie board of trustees on...... .
and sigyiiod oli its bLI)all-by'.
Ms A J RedinaM- Ti'ustee
PabFe 2

Artists Tht#trc School FouNdution
Statcmcnt of Tr inllncial Actil'itie
for the Year Ended 31 Morcli 2025
Yeai. F.'iided
Yeai. Lndcd
31.3.25
NotCS
INCOME AND ENDOWMENTS FROM
t)onations and legacies
893
Othertrading activities
3,753
6,654
Total
4.646
8,196
EXPENDITURE ON
Raising funds
325
291
NET INCOME
4,321
7,905
RECONCILIATION OF FVNDS
'rotal ￿lld5 broubFhi fonvard
27,671
19.7(
TOTAL FUNDS CARRIED FORWARD
31,993
27,671
The Iiotes forin part of these fiii<lllLial 51ai¢iiieiils
Pag)e 3

ArtislsTheatre School Fouiidalknn
Balunet Sheet
31 March 2025
31.3.25
31.3.24
Notes
CURRENT ASSETS
Debtors
Investmei)ts
Cash at bank
22.170
2.031
8.032
2,031
6.805
32,233
20,006
CREDITORS
Amounis falling du¢ withiii one year
{240)
(2401
NET CURRENT ASSETS
19,766
TOTAL A￿￿ETs LESS CURRENT
LIABILITIES
31.993
19,766
NET ASSETS
31.9()3
19,760
FUNDS
Unrestricted funds
31.993
19,766
TOTAL FUNDS
31,993
19,766
The charitable coinpany is entitled to exciMI)tioii fron) audit uiider Se¢tioii 477 of ihe Coini)anies Act ?006 for the yeai.
ended 31 March 2025.
The Inembers have not reqyiied Ilie Lompany to obtain ali aiidit of lis ti11lc iicigl 5taieii)ei)ts for thc year ended
31 Marcli 2024 in accordance with Section 476 of the Coinpanies Act 2006.
The trustees acknowledge their rc%ponsibilitits for
e115UTIIIL that the cl)arilable coinpaiiy k¢eps accuuiiliiig iecords Iliai coinply with S¢ctions 386 aiid 387 01. Il)e
Coimpanies Act 2006 and
preparing financial stateinciits whiclTr give a true and Idir VILW of Ilie stlc le of dlTaii-s 01-Il)e charitable Luii)Pdlly as
at the ei)d of each financial year and of its surpliis or d¢fi¢il loi. e<iLh 1111cliicial yL2L I. 111 <lCCOI'daii¢c with thL
requireiiients of Section% 394 and 395 and ivhicli othLI'WISL LOlI)i)ly i¥iil) tlIL rL(iuiI-eiiieiits of thL Coi)Ipa11ies Act
2006 relating to financial stat¢inents, so fai. as applicgblc to Il)e cliai'iiable Coiiipdny.
These financial stateiiieiits hgve been prepaied in accordaiice wilh the provisions applicable lo charitable coiiipanies
subject to the small coinpanies regiine.
The fiiianci
slalenienls
were appi'oved by the Board of 'fn15teLS wid autlioi'isL'd lor
aiid were siLJned 01) ils belialf by..
iSSilC
A J Redii)an- I ru8lco
Tlie i)ote5 foiii) part of tliese fiiiiii1Ll￿7] slalvineiils
Pa&Je 4

Art15ts Theatre Scliool FoundatLUII
Notes tts the Financihl StAtciiicnts
for the Ve2r Endtd 31 March 202%
ACCOUNTING POLICIES
Basis of preparing the finaneial statements
The financial slateiments of th¢ cliaritable LUlI)pany, iiliicli 1% a publiL benefit tyiitily iiiider FRS 102.11IlV¢ bLL'II
prepar¢d iii accoi'daiice with the Cl)arities SORP IFRS 1021 'AceouiitiiiLi aiid Rtrpoi'liii¥ by Cliarilics.. SiaieiiiLnl
of Recoininendcd Practice applicable tLI cliarities pi'cp%i-iii¥ Il)eir LLOUIII% 111 dLLurolaiicL willi Ilic Fii)dl)Lial
Reporting Siaiidard applic1c ble in tlio IIK aiid RLpLiblic of IielLiiid IFRS 1021 (el'fectlVL l Jdl)Llcll'y 201I)I',
Financial Reportiiig Staiidai'd 102 'The Finaiicial R¢i?oi'liiig St<iiid<11'd ppli¢ablc iii tlie UK aiid IlcpubliL ol.
Iieland, and the C0211panie5 Act 2006. Tl)e financi?¢18talLIMLI)1s liave beeii picpdred iiiidei. tlie hi%torical Lost
conventson.
Income
15 probable Il)al the incoine will be Irceived aiid Il)e aiiioiiiil cali bc iiica%urLd reliably.
Expcnditure
L.iabilitic% arc rccoLTnised as expenditure as soon as tIiLie is a le¥yal or coiisti'uctive oblibT1c lioii co&iiinitliiib tl)e
the aii)ounl of Ilie obligation cali b¢ nieasured reliably. ExpLiiditurc is accouiiiLd lor oli 811 basis <iiid lias
beeii classified under l)eadii)gg that agg)ieg)l¢ tc all cust iil£iied to Ilie catLLT()iy. Wliere costs caiitioi bL diieLIIy
atti'ibuted to partieular headings they have been alloL4)ied io activities oli a basis coi)sisi¢iit willi thv 115e of
resources.
Taxation
The ¢harity is exeimpt froim corporation lax on its Chai'itable aclivilies.
Fund accounting
Unresii'icted fuiids can be uscd in accordanLe will) the cliai'itablc objectives ai ihe discr¢lioii uf the lyusie￿.
R¢stricted fiinds eaR only be used for particular reslrictLd pui'poses witliin thL objLLlS ofilie charity. Re5triLIioi)s
arise when specified by tlie doIioi' or whgn funds are I'aised foi. pdiliLulai' resti'iclud i)Lll'l)O%LS.
Further explanation of the nature and purpos¢ of each fund is included iii Ilie notes lo ihe financial slalLI)iei)Is.
OTHER TRADING ACTIVITIES
Ycai. Ended
31.3.25
Year F.Iid
31.3.24
Fundraising events
.753
£6.665
Pag7e S
Ll)Illiiiued...

Artisls The¥ti'e Seliool Foundation
Notes to the Finaneial St#t¢ments- cniitinued
for the Year Ended 31 M#rch 2U25
RAISING FUNDS
Raising donations and lega¢i¢5
¥￿1. Elided
31.3.25
YLar EiidLxI
31.3.24
Sundries
Support costs
72
72
Investment management costs
Yeai. F.i)d¢d
31.3.25
Year EiidL
31.3.24
Support costs
253
240
Aggregate ainounts
291
TRUSTEES, REMUNERATION AND BENEFITS
TheT¢ were no trllstees, ien)uneralion or otlier beiiefits lor the yeai. elided 31 Mai'ch 2024 1)oi' for tlif PLI'iod
ended 31 March 2023.
Trustees, expenses
Their were iio
trustees, expenses paid for the year ended J l M<lrcli 2025
nor for t1￿ pei'iod ended
31 March 2025.
COMPARATIVES FOR THE sfATEMENT OF FINANCIAL ACTIVITIES
Uniis11'iLied
fund
INCOME AND F.NI)OWMENTS FROM
Doiiations ai)d leLiacies
Other trading activities
234
Total
28.319
EXPENDITURF. ON
Raiging funds
648
NET INCOME
27.671
TOTAL FUNDS CARRIED FORWARD
27,671
PabFe 6

Art15ts Thc#lre School Found¥tion
Notes lo tht Financial St#t¢inents- evnlinued
for the Year Ended 31 March 2025
DEBTORS: AMOUNTS FALLING DUF. WITHIN ONE YEAK
31.3.25
31.3.24
Otherdcbto
1.5,170
CURRENT ASSET INVESTMENTS
31.3.25
31.3.24
Other
2,031
2,031
CRV,DITOiLS: AMOUNTS FALLING DUE WITHIN ONE YF,AR
31.3.25
31.3.24
Accrued eX￿nSeS
240
240
MOVEMENT IN FUNDS
Net
At
31.3.25
Al 1.4.24
Unre5trictod funds
General fund
4.321
31.992
TOTAL FUNDS
27.671
4.321
31.992
Net Inovenient in fui)ds, included in ihe above are as followg..
RLsourtts
expeiidcd
Moveimeni
in funds
Irsoiiites
Unrestricted funds
General fvnd
4.646
13251
4,321
TOTAL FUNDS
4,646
(325)
4.321
Comparatives for movemcnt in funds
Nel
At
31.3.24
in funds
Unrestricted funds
General fund
27.()71
97.671
TOTAL FUNDS
27,671
27,671
Pa&¥e 7
coiitiiiued...

Artists Theatr¢ Schoul Fuundation
Notes to the financial St#leii)tnts- ¢ontinucd
for the Year b.iided 31 March 2025
MOVEMENT IN FUNDS- eontiNu¢d
Coinparative net Inoveimciit in funds. included iii tlie above are a5 lollows..
Incoiiiing
iysoiiires
Kesoiirces
LxpLiided
Moveinent
UNrtstrieted funds
General fund
28,319
16481
27,671
TOTAL FUNDS
28,-319
(648)
27,671
10.
RELATED PARTY DISCLOSURES
There were no related party traiisaLrfions for the yeai. eiidcd 31 MdTLlI 2025.
PaLJc 8

Artists Thtatre Scli()ol Fuundgtion
Detailed Stattnient of FhnAILLial A¢tivilies
for the Year EiidL.d 31 March 2025
Yeai. F.iided
31.3.25
Year Ended
31.3.24
INCOME AND ENDOWMENTS
Donations and Icgacies
Donaiions
Giftaid
630
263
893
Othcr trading activitits
Fundraising events
3,753
6,665
Total incoming resources
4,646
8,1(}6
EXPENDITURE
Raising donations and legacies
Sundries
Support costs
Finance
AcLountaiicy
Bank ¢haT&TL
240
325
291
'rotal restsurteg expendeil
325
291
Net ineome
4.321
7.905
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