CHARITY COMMISSION
FOR ENGLAND AND WALES
Trustees. Annual Report for the period
From
31 October 2024 To 30 October 2025
Charity name: Palace Drum Clinic
Charity registrdtion number.1197529
Objectives and Activities
Summary of the purFM)ses of
the chartty as set out in its
goveming document
Pwa 1.17
The advancement and appreciation and
education in the art of music for the
public benefft in the West Midlands and
surrounding arnas through the provision
of drumming and musical ￿CreatiOn
facililies. event workshops. concerts,
recitals. demonstrations, and lessons.
Summary ofthe main
activities in relation to those
purposes for the public
benefrt, in particular. the
activities, projects or sep11￿S
identifi&l in the accounts.
Paa 1.17arxl 1.19
Delivery of dr￿nMIng workshops and
events.
Continued devolopment of an app to
create an online meMbe￿h1pIC0MMunity
Statement confirming
whether the trustees have
had regard to the guidan
issued by the Charity
Commission on wbliG benefft
Para 1.18
The trustees have had regard to the
guidance issued by the charity
commission on public benefiL
Additlonal Infomiation (optional)
You ma
choose to indude further statements where relevant abouL
NIA
P*a 1.38
Policy on grant making
NIA
Paa 1.38
Policy on soual investment
including program related
investrnent

For tha purposes of this return. this box
has been left blank
Pard 1.38
Contribution made by
volunteers
Other
Achievements and Perforniance
During the 12 months ended 30th October
2025 the Chaiity has:
- Provided Numerous workshops held in
Redditch and the surrounding area
available and open to the public.
- Periods of weekly live streaming on
social media platfonns providing
demonstrations and guidance through
interactive sessions
- Hosted clinics for international arttsts in
Redditch and further afield.
- Developmerrt of free global app
accessible to any individual which
provides practice aids and learning skllls
for drumming.
Summary ofthe main
achievements of the charTty.
identifying the differen￿ the
charity's work has made to
the circUmstan￿S of its
benefjciaries and any wider
benefits to society as a
whole.
Parn 120
Additional infomiation (optional)
You ma
choose to indude further statements where re￿vant about".
For the purposes of this retum. this box
has been left blank
Para 1.41
Achievements agair
objectives set
For the purposes of this retum, this box
has been left blank
Perfomiance of fundTaisirvJ
activities against objectives
set
1.41

For the purposes of this re￿rn. this box
has been left blank
Investment performan
against objectives
P*a 1.41
For the purposes of this return. this box
has been left blank
Other
Financial Review
Rewew of the ¢hariVs
financial position at the end
of the period
Pwa 121
During the year primary s¢)urce of the
Income was grant funding from Arts
Council of England of £23k and
PDClinics income of £1 K Some income
was also generated through
crowdfunding.
The general expense profile of the
charity relates to rent and utilities,
recording and building the app.
Sufficient cash has been rnaintsined
through the period and review of
subsequent spending provides sufficient
omfort that the charity remains a going
concern for at least 12 months after the
end date of the financial period.
Statement explaining t
policy for holding reserves
stating why they are held
Para 1.22
Th8 charity does not hold reserves over
and above those required to meet
ongoing expense requirements as
forecasL As. a reserve policy will
authored and adopted.
Amount of reserves he]d
Para 122
Reasons for holding ze
reserves
Para 122
rth the exception of cash reserve.
there are no other reserves held by the
charity.
NIA
Details of fund materially in
deficit
P¥a 124
Explanation of any
un￿rtaInt￿eS a￿Lrt the
charity continuing as a going
Con￿rn
Pas 123
The charity can meet current operating
obligations until October 2026. To
ontinue to remain a going concern the
charity we need to make grant
applications over the next year period.
Additional inf0m￿tion (opb'onal)
You may choose to indude fvjrther statements where relevant about.

For the purposes of this return, this box
has been left blank
The (*tarity's principal
sour￿$ of funds (indudiTrJ
any fundraising)
P*a 1.47
WA
Investment policy and
objedives induding any
social investment policy
adoptsd
P¥a 1.46
For the purposes of this return, this box
has been left blank
A description of the pmcipal
risks facing the charity
Paa 1.46
For the purposes of this return, this box
has been left blank
Other
Structure, Governance and Management
Description of charity's trusts:
Type of goveming d(Mxment
P*a 125
NIA
How is the charity
constituted?
Para 1.25
cio
Twstee selection methods
including details of any
constFtutional provisions e.g.
eleclion to post or name of
any person or body entitled to
appoint one or more trustees
Pwa 1.25
Trustees have been appointed on the
basis of their skills for specific activities
and postlions required for the charity.
Addrtional intorniation (optional)
You ma
choose to include further statements where relevant atK)ut:
For the purposes of thi5 Ye￿M, this box
has been left blank
Policies and Pro￿dureS
adopted for the indudion
and training of trustees
P¥a 1.51

For the purposes of this return, this box
has been left blank
The thariVs organisational
structure and any wider
networf( with which the
charity Y￿rkS
Para 1.51
For the purposes of this return, this box
has been left blank
Relationship wtth any related
parties
Para 1.51
For the purposes of this return. this box
has been left blank
Other
Reference and Administrative details
Charity name
Pala￿ Drum Clinic
Other name the charity uses
Registered charity number
Charity's principal address
PDC
1197529
56a Evesham Walk
Kingfisher ShoppirvJ Cen
Reddttch
Worcs. B97 4EY

Names of the charity trustees who manage the charity
Name of petson lor body}
oirKe (rfan
(If any)
Gary Allcock
Chair
Matthew G￿en
Rosemary
Sidaway
Matthew Green
Benjamin
Benson
Secretary
3111012024-
2111012025
Matthew Green
Mithael
Sknnner
Treasurer
Matthew Green
Nick Smith
Secretary
2111012025-
30110r2025
Matthew Green
10
12
13
14
15
16
17
18
20
Co orate trustees- names of the directors at the date the
Director name
rtwasa
roved

Name of trustees hokling title to proFerty belonging to the tharity
Funds held as custodian trustees on behalf of others
Description of the assets held
NIA
in this capacty
Name and objeGts of the
charity on whose behalf the
assets are held and how this
falls within the custodian
charity's objects
NIA
Detsils of arrangements for
safe custody and segregat￿n
of such assets from the
Charity's own assets
NIA
Additional infonnation (optional)
Names and addresses of advisets {Oplional informalion}
Type of Name
adviser
Address

Name of chief executive or names of senior staff members (Optional
inforniation)
Exemptions from disclosure
Rea50n for non-disclosure of ke
rsonnel ddails
Other o
tional inforniation
Declarations
The trustees doclare that they have approved trustees. reportabove.
Signed on behalf of the charitys trustees
Slgnature(s)
Full name(s)
5kipJ*Q
Position (eg
Secretary. Chair. etc)
l710*12G

tHARITY (OMWSSK
IOR ENGIIMANDWNlfS
ftce
Ii97SZq
Receipts and payments accounts
CC16a
Forthè wiod
.Iz+
To
3o11./2
Section A Receipts and payments
Unrestricted
Restricted
funds
Endowment
fun(ts
Tolal fvnds
Lastyear
A1 Receipts
(>ant
PDClInic
15
24615
5210
Furmlw
1N13
Sub total(Gmss Inco￿ forAR)
tan
table).
A3P8
4,102
4.102
sl costs
1717
Gr*it¥Wi¢¥tson
Crèab¥e dir*T
s￿di0 tethniLyan
Equipmerrtpurcha8e aTrJ rewr
1700
1.183
179
2.012
Sub total
19A74
19.5T4
13.302
see table
Sub to
19,574
I9￿14
13.302
Net ofrn¢eipW(paJwMntsJ
A5 Transfers bétwe￿ funds
A6 Cash funds last year end
Ca$h funds this yoarend
7.199
5.780
7.199
5.780
CCXX Rl acxounts ISSI
17AJ8r2028

Section B Statement of assets and liabilities at the end of the period
Unrestricted Restsicted End¢xmiert
funds
fund5
tonts&rest£
tr+npar25t£
B1 Cash fundg
10.10$
10.105
0￿$))
funds
to npaTr5t£
CuThent valug
FuThJ towthlch
Cu￿￿￿tv41uP
nal
B4 Assets retained for the
charity's own use
on
BS Liabilities
SpJnéd by orte orlM> on beha￿Of
l the truslees
Date of
SKI
1710
CCXX R2 accounts {SSI
17108r2026

## 

## 

## 



tHARITY (OMWSSK
IOR ENGIIMANDWNlfS
ftce
Ii97SZq
Receipts and payments accounts
CC16a
Forthè wiod
.Iz+
To
3o11./2
Section A Receipts and payments
Unrestricted
Restricted
funds
Endowment
fun(ts
Tolal fvnds
Lastyear
A1 Receipts
(>ant
PDClInic
15
24615
5210
Furmlw
1N13
Sub total(Gmss Inco￿ forAR)
tan
table).
A3P8
4,102
4.102
sl costs
1717
Gr*it¥Wi¢¥tson
Crèab¥e dir*T
s￿di0 tethniLyan
Equipmerrtpurcha8e aTrJ rewr
1700
1.183
179
2.012
Sub total
19A74
19.5T4
13.302
see table
Sub to
19,574
I9￿14
13.302
Net ofrn¢eipW(paJwMntsJ
A5 Transfers bétwe￿ funds
A6 Cash funds last year end
Ca$h funds this yoarend
7.199
5.780
7.199
5.780
CCXX Rl acxounts ISSI
17AJ8r2028

Section B Statement of assets and liabilities at the end of the period
Unrestricted Restsicted End¢xmiert
funds
fund5
tonts&rest£
tr+npar25t£
B1 Cash fundg
10.10$
10.105
0￿$))
funds
to npaTr5t£
CuThent valug
FuThJ towthlch
Cu￿￿￿tv41uP
nal
B4 Assets retained for the
charity's own use
on
BS Liabilities
SpJnéd by orte orlM> on beha￿Of
l the truslees
Date of
SKI
1710
CCXX R2 accounts {SSI
17108r2026