Ghostlight Perfomiers
Trustees, Annual Report
For the year ended 30 April 2025
1. Reference and Administrative Details
Charity name:
Ghostlight Perfomiers
Charity registration number.
1206085
Legal structure:
Charitsble In￿)rporated Organisation (CIO)
Prinupal office:
England
Trustees serving during the year.
Ms Jennifer Corcoran- Chair
Mr Luke Jennings- Treasurer
Mr Paul-James Green- Secretary
Mrs Helen Bennett- TrL￿e
Ms Fiona Billington- Trustee
Ms Emma Williams- Trustee
Mr Orlando Campolucci-Bordi - Trustee
Mr Jamie Boland - Twstee
The trustees are responsibte for directing the affaits of the chanty and ensuring that it is
managed in accordance with its charitable PUTposes and goveming dt)cument
2. Structure, Governance and Management
Ghostlight Perfomiers is ￿}nStituted as a Charitable In￿rporated Organisation (CIO) and is
governed by a constitution adopted on 3 September 2024.
The charity is managed by a board of trustees who oversee governan￿, strategic direction
and financlal oversight.
Trustees are appointed in aCCordar￿e with the LY)nstsiubon and nomially setve a two-year
tem. after wh￿ch Ihey may stand for re-appointment
The trustees meet regularly throughoLrt the year to:
- review the charty's activibes
' oversee perf0mlan￿ and events
monttor the financial posrf(ion
All trustees serve voluntarily and re￿Ne no remuneration. Reasonable expenses may be
reimbursed where approprtate.
Day-to-day activities are carried out by trustses and voluntsers.

3. Objects and Public Benefit
ChaT5table Objects
The objects of the charity are to advan￿ public edu(3tion in, and appreciab.on of, the
dramatic and musi(gl arts in Sefton and the surrounding area by.
. presenting artistic perforMan￿S
providing opportunities for members to parbc(pate in amateur theatre produdion including
script writing, acting, choreography, set design, costume, make-up and backstage elements
The challty may also pursue other exclusively charitable purposes for the public beneft as
detennined by the trustees.
Public Benefit
The trustees confimi they have followed the Charity Commission's public benefft guidan￿.
Ghost5ight Perfomers provides public benefft by:
' producing atxessible amateur theatrical peTfrJrnpnces
' encouraging participation in perfoming arts
. developing creative and technical skills
' supporting communty engagement in the dramatic and musical arts
The trustses are satisfied that all act£vities furthered the charivs purposes and deltvere(I
identifiable public benefit.
4. Activities and Achievements
During the year ended 30 April 2025, the charity continued trj estsblish itself as a
community-focused amateur theatre organisation.
Activities induded:
planning, rehearsing and stsging productions
providing opportunities for participation in acting, direcling, stage management, ￿$tUMe
design and technical roles
' organising rehearsals and production meetings
. engaging wtth the Community through public performan
The chaTity hired perf0rrnan￿ spa￿5 and obtain&l ne￿Sary li￿n￿S and performan
rights.
These activibes provided entertainment, edu￿ti0ft and opportunities for skill development
within the local community.
The trustees believe positive progress was made in developing activity and communty
participation.

S. Financial Review
Finanual position for the year ended 30 April 2025:
Total income: £5,290
Total expenditure: £4.144
Net surplus.. £1,145
Net assets al year*nd were £1,146, held as unrestricted fvnds.
SoUr￿s of Incorne
Income primarily came from activities assouated with theatri￿[ productions and related
events.
Expenditure
Expenditure mainly related to production and operational costs, induding:
' performance Spa￿ hire
script hire and perfomance rights
insurance
printing
membership and licensing costs
' administrative expenses
The trustees consider the finanaal position satisfactory for the charity's stsge of
developrnenL
6. Reserves Policy
The trustees aim to maintain modest unrestricted reserves to meet short-temi commitments
8nd manage income fluctuations.
ReseNes support essential costs suth as:
' venue hire
' insuran
' perforrnance liCen￿S
. administrative expenses
At year-end the charity held £1,146 in unrestricted reserves. considered appropriate for
current actrvity levels.
7. Plans for the Future
The trustees intend to continue developing the charity by:
' producing further community theatri¢xl performan
expanding participatron opportuntties
' increasing community engagement
' strengthening membership and volunteer involvement

Resources will be managed carefully to support sustainable growth.
8. Trustee Responsibilities Ststement
The trustees are responsibk for preparing the Trustees, Annual Report and financial
statements in accordance with applicable law.
They confirm thaL'
. the accounts have been prepared in a(X0rdan￿ ￿th the Charities Act 2011
the report provides a fair and balan￿d overview of the chart1￿$ activities and financial
position
9. Approval
This report was approved by the trustees on:
Date:
11 13/ iot6
Signed on behalf of the trustees=
Name:
L.ke
Position: Tre4s 6J fe f
Signature=
Date=
ii/31ioZ£

Registered Charity Number: 1206085
GHOMIGHT PERFORMERS
FINANCIAL STATEMENT5
FOR TXE YEAR ENDED 30- APRIL 2025

Ghostli9ht PerfDrmer5
Contents
Page
Charity InforftwtiDn
Profit and L05s Account
Balantr Sheet
Detailed Profrf£ aAd Lo&s Account

fjhostlight Performe
Compafty Inf0rn7ation
For The Year Ended 30- APRIL 2025
Management Commlttee Members
Mr5 Helen Bennett
Ms Jennifer Corcrdn
s fiona BilliTrJron
Mr ￿u1-}3￿&S Green
Mr Luke Jennings
Miss Emma Williatn5
Mr Ortando Camolucu-Bordi
Mrjatllte 8oland
Charity Number
1206085

Ghostlight Performers
Profit 4nd Loss Account
For The Year Ended 30- APRIL 202S
2025
TURNOVEk
Staff costs
5,290
OthEr Costs
(4.144)
NET PROFrr
1,145

Gltostlight Perform•5
Balance Sheet
As At 30- APRIL 2025
2025
Fixed assets
Current 355ets
Credirors= Amounts Falling Due Wrthin One Year
1.146
CURRENT ASSETS
1,146
TOTAL ASSETS LESS CURRENT LV¢BIifTIES
L146
Accrua15 and deferre¢J incorne
NET ASSETS
1.146
CAPThAL AND IiESEIiVES
1,146
Notes
l. General Inform#tioTh
Ghostyight Performers is a Registered Chartty in *lond & Wales. registert rtumber 1206085

Gh05tfight Perfornie
Trading Profft and Loss Account
For The Year Ended 30- APRXL 2025
2025
TURNOVER
Income
5,290
STAFF COSTS
SubcDntrèttor costs
Stsff Costs
Purcha
Purchases
223
OTHER Expenses
p￿mF$eS expenses:
Performance spa￿ Hire
General admiriistrattin costs..
Insurdnee
NODA Membership
Flye￿/PosteYS
Programs
Script Plire
Script Printing
PerfomTrattce Rites
Travel
Bar Licence
Offi
Inancial Expenses
Sundry
1,556
606
178
12
S16
146
70
204
28
21
93
400
91
14,144)
1.156
PROFrr