RAOST
Accountant's Report
For The Year Ended 31 July 2024
We h4ve prepored the accounts, which comprSse the Profti ènd Loss attounr, the Balat4ce Sheet and the relateij notes, from
the accounting records. information and explanations provided to us.
This rery>rt Is mède to you in 6ccordance with the terms of our engagement. Our work h45 bÈen undertaken to enable u5 to
prepare the accounts on your behalf and for no other purpose. To the fullest extent permltted by law, vle do not accept or
assume responsibility to anyone othèr thèn to you. the client, for our work or for this report.
You havÈ 3pproved and acknowledged your responsibility for these accounts.
have not been instructed to complete an audit of the accounts. For thls reason, we havè not verified the acturacy or
completÈne5s of thÈ accounting records, infomation or explanations you have provided. Therefore we do not e¥pre5s any
opinion on the account5.
SlgnÈd
Brh January 2026
Hov4ard5 Accountsnts
Suite 17
Camborne Business Centre
Camborne
Cornwall
TR14 7DB
P39e 3

RAOST
Accounts Approval Statement
For The Year Ended 31 July 2024
I approve these unaudited accounts which comprise a Profit and Li%s Account. Balance Sheet and related notes.
I acknowledge my responsibility for the accounts including the provision of all the information and explanations necessary for
the completion.
Signed
Bth January 2026
Page 2

RAOST
Profit and Loss Account
For The Year Ended 31 July 2024
2024
2023
Turnover
Ticket Sales
Sub5
Roa5ties Subscriptions
Show Fees
Progra￿rne ￿vert5
Programme Sales
RafflÈs
126,452
2,050
3,575
2,190
800
74,597
5,345
8,142
3,383
1,300
5,429
2,041
1,920
4,687
2,207
6.887
1.028
soo
1,736
1,000
HlrÈ Income
Merchandise
Net Choir Income
146,218
109,051
Othèr Intome
Sundry income
3,355
860
149,573
109,911
Expenditure
Advertising and markety.ng costs
Sundry expenses
Fundrd15ing Expenses
Production Expenses
General Headquarters
Royaltie5
Venue Hire
7,180
816
3,317
56,632
13,295
25,236
18,010
6.098
522
3,456
42,851
13,640
16,478
23,908
124.486
106,953
25,087
2,958
Depreaation
DeprÈciation of plant and fflachinery
Depreciatlon of fixtures and fittings
16,693
5,935
22.628
NET PROFIT
2.459
2,958
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RAOST
Balance Sheet
As At 31 July 2024
2024
2023
Notes
FIXED ASSETS
Tangible ￿set5
CURRENT ASSErs
Cash at bank and in haFKI
211,256
230,964
89,251
65,045
CURRENT LIABILITIES
Trade creditors
Other creditors
Accruals and deferred Income
960
1.388
308
2.348
309
NET CURRENT ASSETS
86,903
64.736
TOTAL ASSETS LESS CURRENT
LIABILITIES
298,159
295.700
NET AS5ET5
298.159
295,700
CAPITAL ACCOUNT
Balance at l August 2023
ProfiVILossl for the period/year
295,700
2,459
292.742
2,958
Balante Carrled Forwjrd
298,159
295,700
Page 5

RAOST
Notes to the Accounts
For The Year Ended 31 July 2024
l. Accounting Policy
These unaudited accounts have been completed in accordance wlth UK Generally Accepted Accounting Practice guldellnes and
provide5 sufficient and relevant Snfomation to enable completion of a tax ￿turn.
2. Tangible Assets
L•nd &
Propèrtv
Fr¢•hold
Equipment Wardrobe &
S¢enery
Total
Cost
As at l August 2023
Additions
127,543
63.852
2,920
39,569
230,964
2,920
As at 31 Juty 2024
127.543
66.772
39,569
233,884
Depreciation
As at l Au9USt 2023
Provided durSng rhe period
16.693
5.935
22,628
As at 31 July 2024
16,693
5,935
22,628
Net Book Value
As at 31 July 2024
127,543
50,079
33,634
211,256
As at l August 2023
127,543
63.852
39.569
230,964
page 6