Side By Side Theatre Company Stourbridge. 

Est. 1997.   Charity Number 1202841 

Multi-Award Winning Company of Learning Disabled Actors and Dancers. 

## Trustees Annual Report to August 31[st] 2024. 

In line with our legal requirements, we submit our Annual Report along with the published Audited Accounts. 

The address for correspondence:  49 Greyhound Lane, Norton, Stourbridge, West Midlands.  DY8 3AD. 

The trustees for this accounting period were:  Susan Wallin, Derek Lidington, Mark Williams. 

For this accounting period Susan Wallin acted as Chairpersonand Derek Lidington ,Vice Chairman/ Treasurere. 

Our Objectives and  Activities, as described in our Constitution, remain unchanged. 

At the AGM held on Tuesday 8[th] April 2025 at The SideSpace, the Annual Accounts were presented to all the members who were present and were approved. 

This was the first AGM  since we converted Side by Side from an Unincorporated Charity ( 1113540) to a Charitable Incorporated  Organisation. (  1202841 ). 

We confirm that all paperwork connected with the changeover for Utilities, Bank Accounts  and all assets etc. have been completed successfully. 

## !. Objectives and Activities. 

As detailed in our Constitution, our objectives are ‘ to promote, maintain, improve and advance the education of the public, in particular those people 



with physical or learning disabilities, in the Arts generally and by the production of plays. The encouragement of the Arts, including ( by way of example only and not limitation ) the Arts of Drama, Mime, Dance, creative writing, Set design and Construction. 

All our learning disabled actors continue to be fully engaged in helping to devise and then to perform in productions. Members of all abilities are valued equally and through this process their life chances are improved with enhanced social and work skills, generating self confidence and improved self esteem. 

With the belief that our members and the public benefit enormously from engaging with each other, we expanded our participation in competing in Festivals and as well as Dudley Festival we also entered our members into the dance, music and drama classes at Worcester Arts Festival. 

The Monday/ Tuesday Drama group were also invited to perform, once again, part of our main production ‘ Pirates of Stour Bridge ‘ at Moreton Hall Private School, this was then followed by the main production  at Stourbridge Town Hall in June with great success. 

We are pleased to report that The SideSpace is working very well for all our Groups and activities we undertake. 

2. Future Capital Projects 

We have two main projects planned for the summer break ,  one will be removal of the old organ remains and the general decorating of the space, building the new partition with the Chancel area and the general decorating of the whole area including the old Vestry. 

The second project will be up-grading the under sized main boiler and all associated equipment. 

3.  Our general financial position has been stable and we were particularly delighted to receive the donation of £100k  that is specific to maintaining/repairing our Grade 2 Listed building. 

The Trustees declare that they approved the Trustees Report above. 



Signed, 

Derek Roland Lidington. Vice Chairman/ Trustee. 



SIDE BY SIDETHEATRECOMPANY STOURBRIDGE
CHARITY NUMBER.. 1202841
FINANCIAL STATEMENTS
FOR THE PERIOD ENDED 31 AUGUST2024

IDE BY SIDETHEATRECOMPAIYY STOURBRIDGE
EST. 1997
CHARITY IYO. 1202841
ACCOUNTANTS REPORT
FOR THE PERIOD ENDED31 AUGUST 2024
W¢ report on the accounts foT the period ended 31st August 2024.
Resptctive re5porJsibilitie5 of Irll$tte5 sttountants
As the Charity's trustses you are responsible for the pr¢paraiion of ihe finan¢i81 statements,. YO￿ consider that
the audit requirements of section 43 121 of the Charitie5 Aci 2011 (the Acil does noi apply. li is our responsibility
10 State, on Ihe basis of procedures specified in the Qeneral Directions given by the Charity Commissionets linder
section 43 171 Ib} of the Ati, whether particular mallers have come to our all¢DllOn.
B*$i$ of our report
Our examinaiton carri¢d out in accgrdance with the Genernl Directions given by the Charity Commissioners.
An exaTnination include5 a rEvieiY of Ihe accounting records kepi by th¢ chariry and a comparison of the accounts
presented with those records. It also includes consideration of any unusual ilEms or disclosures in the accounis,
and seeking explanations from you ￿ irusi¢es concerning such Inatters. The procedures undertaken do not
provide all the evidence that would be Tequited in an audit. and ¢onsequenily we do not express an audit opillion
on iht vi¢w giv¢n by ihe accounts
Reporting 2ccountant5' Statement
In connection with OUT exatninalion, no matter has tome to our attention..
111 which gives us reasonable cause to b¢li¢v¢ that in any m*¢rial respect the requirements
to keep accounting records in accoTdanEe ivith section 41 of the A¢i',
and
- to preptre a¢¢ounts in accord with the accouniing records and io comply with th¢ accounting requirements
of the Act
have not been m¢1: or
12) in which. in our opinion, attention should ￿ drawn in orderto enable PToper understanding of the accounts 10
be reached.
Folke5 Worton LLP
Chartered A£eoulltanls
15 & 17 Church Street
Stourbridge
West Midlands
DY8 ILU
Dale.. 17th Febrllary 2025
Page I

SIDE BI. SIDE THEATRE CONIP,INI' STOURBRIDGE
E5T. 1997
C'IIAIiI I-I, YO. 1202841
FOR THF PF.RIOD F.IDED 31 AI'.C.IIST 2024
ILICOIIE A￿D EXPENDITLIRE
Lnrc5trir*ed Re5triittd Total Trund5
Fu￿￿
2024
Inwme
50.549
118.66
169.209
Exppnditure
54.182
Exccb50f incom¢ oycrcxprnditurc
118.660
'unds broughi loNArd #i s18rt ofyear
2￿,767
28.373
288.534
Tra￿*rerof fuiids
{10.woi
110.0001
Funds c8trird Iorw8rd ai ertd of)
240.529
147.033

SIDTr-. III.
IDE THEATRE COIIP.4NI' SI'OI'RLIMI
C.'II-IRITI'.NO. 1202841
FOR THL PTr."RIOI) F.
DF.D 31.4IIC.IIST 2024
I nr4sirlcted
2024 Tutsl
FuTrd5
Fund$
Fu
FIIED ASSETS
T3nBiblL assets
225.203
29.766
254.969
CI"iiREN'I' ASSETS
Lloyd5 bank gwount
22.59)
22.593
C.I'RRENT LI,IBILII-IbS
WaBCS coTrliul aL'COunl
Sucial Sttiirity
YL'I. CI'RRENT ASSETS
ET ASSETS
246.528
147.033
393.561
REPRESE￿.1.
Restricted fund5
Unrestricted funds
246.528
Sinkin8 furtd

SII)E 151 51DL I"HEA'fRE CO￿1PANI. STOLRBRIDGE
F% 1.. 19Y7
ST,ITENIENT OF FILI.4NCl*lL Arrii'iTIF.
FOR THE PERIOD ENDED 31 AllC.IfsT 2024
Nole
Unrestricted Restricted Tot31 Funds
Fund5
FU￿d8
2024
3&575
36.575
DMC
Donations
Christmas partTr I calcndat5
118.660
S￿1¢￿1.DvDS
5.950
555
467
5.956
555
467
30
Pmgr4inme
Miscellaneous ill¢QlD¢
Trip5
Chri5ttnas Cnncert
50.549
118.660
169.209
Kndiiur¢
Toi¥n Ilall PttMluc¢ion
Insutance premiu
Walcrr3les
Hcat & li8hl
w￿tt
Plione
Facili14￿r¢0$t
7.241
.433
8.433
8undri.exFKl￿1lYr¢
29
9.4Y2
2.092
29
9.472
2.092
Running c051s
Mainlcn8ncc
EXc￿of incom¢ rJv¢r¢xpendityre
3.632
118.660

SIDE BY SIDE THL4TRE COMPANY STOURBRIDGE
ESI. 1997
HARITI. N
1202
OTES TO THF. FINANCIAL STATEMENTS
FOR THE PERIOD ENDED 31 AUGUST 2024
Improv
rnenis t
land ¥nd
To￿1
proprry
C051
254,969
10.806
DI5￿15alS
At 3151 Augll512024
254.969
244.163
10.806
Charge for period
Adjiisimeni re disposa15
Al 31st August 2024
Nèt bookvallle
At 3151 August 2024
254.969
244. 163
10.806
{41 Annual subscripiions.. Monda)'l Tue5d&) classes
Wednrsda) LIHssCS
Thursday classes
14.879
6.985
DML
39.750
151 Town Hall produeiiort.. Income
Tiekei sales
Raffle inco
855
5.956
161 Sundry eX￿ndI￿re..
Mi5cellaneou5
1.922
Consulianc}'
PLII)
240
171 Re51ri¢*d funds..
Fund5 have been collected forthe purchase and renovation of Saini John5 Church.
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