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2025-04-05-accounts

Trustees’ Annual Report for the period

From

Period start date 06 / 04 / 2024 To

Period end date 05 / 04 /2025

Charity name:

Centre Stage London

Charity registration number:

279647

Objectives and Activities

Summary of the purposes of the charity as set out in its governing document

The object of the Group shall be to educate the public in the dramatic and operatic arts and to further the development of public appreciation and taste in the said arts; and in furtherance of this object but not otherwise the Group through its Committee shall have the following powers:

Summary of the main activities in relation to those purposes for the public benefit, in particular, the activities, projects or services identified in the accounts.

2.1 to promote operas, operettas and other dramatic and operatic works of educational value (“Productions”); 2.2 to perform or show any such Productions;

2.3 to purchase, acquire and obtain interests in the copyright of, or the right to perform, or show any such Productions; 2.4 to purchase or otherwise acquire plant, machinery, furniture, fixtures, fittings, scenery and all other necessary effects; 2.5 to raise funds and invite and receive contributions from any persons whatsoever by way of subscriptions, donations and otherwise; provided that the Group shall not undertake any permanent trading activities in raising funds; and

2.6 to do all such other things as shall further the objects of the Group.

Trustees will have regard to the guidance issued by the Charity Commission on public benefit.

Statement confirming whether the The Trustees confirm that the charity’s objectives and operations are trustees have had regard to the for the public benefit with regard to the Charity Commissions guidance guidance issued by the Charity on public benefit. Commission on public benefit

At this time, Centre Stage London has no plans on making grants or spending on social investment programmes.

Centre Stage London’s board of trustees are all unpaid volunteers and oversee the management and administration of the charity. Additionally, the creative teams for the productions that are put on by Centre Stage London are also unpaid volunteers.

Achievements and Performance

Summary of the main achievements of the charity, identifying the difference the charity’s work has made to the circumstances of its beneficiaries and any wider benefits to society as a whole.

Provided opportunities for creative teams, technical crew, and performers to take part in and present dramatic and musical performances to the public including:

Financial Review

Review of the charity’s financial position at the end of the period

Centre Stage made a loss on its 2024/25 season (£5,337).

The trustees are closely monitoring future show expenditure to ensure we keep adequate reserves to maintain the charity.

Centre Stage has ended the year with cash in hand of £25,137, which the committee deems to be sufficient reserves to finance the 24-25 season and beyond.

Statement explaining the policy for holding reserves stating why they are held Amount of reserves held

Reserves are maintained at a level to allow adequate cash flow for a production and to protect the charity against any major risks.

£25,000 n/a

Reasons for holding zero reserves n/a Details of fund materially in deficit The charity operates with only one unrestricted fund that is not in deficit.

Explanation of any uncertainties about The cost of all activities due to inflation has made it hard to budget for the charity continuing as a going future shows as costs are rising daily. The biggest increase in cost has concern been theatre hire, rehearsal space and equipment hire. The trustees will keep a close eye on budgets as these need to be constantly adjusted for these increasing costs. With that said, the charity is still in a good financial position, therefore the trustees believe the charity is a going concern.

The charity’s principal sources of funds Funds for the charity are raised primarily through ticket sales, (including any fundraising) participation and membership fees, and fundraising and donations. A description of the principal risks The biggest risks to the charity are the ever-increasing costs of putting facing the charity on a show across the board due to inflation (including increased theatre rents, rehearsal space costs and sound/lighting hire). The charity will try to offset these rising costs by increasing our show fees and fundraising more funds through cast events.

Centre Stage London does not have any material amounts of cash to invest, therefore has no investment policy.

Structure, Governance and Management

Description of charity’s trusts: Type of governing document Constitution How is the charity constituted? Membership Group

Trustee selection methods including Election at AGM by Members details of any constitutional provisions

The induction of new trustees is carried out by the trustees that are leaving and trustees that remain on the board.

Reference and Administrative details

Charity name Centre Stage London Other name the charity uses Registered charity number 279647 Charity’s principal address Flat 2 80 Jeffreys Road, London SW4 6QP

Names of the charity trustees who manage the charity

----- Start of picture text -----
Name of person (or body)
Dates acted if not for
Trustee name Office (if any) entitled to appoint trustee (if
whole year
any)
1 Alexis Rose President Centre Stage members
2 Zsolti Szabo Chair Apr 24 – Sep 24 Centre Stage members
3 Tal Hewitt Chair Sep 24 – Apr 25 Centre Stage members
4 Navin Nair Treasurer Apr 24 – Sep 24 Centre Stage members
5 Stephen Hewitt Treasurer Sep 24 – Apr 25 Centre Stage members
6 Jin Sun Business Manager Apr 24 – Jun 24 Centre Stage members
7 Navin Nair Business Manager Sep 24 – Apr 25 Centre Stage members
8 Stephen Mitchell Secretary Apr 24 – Sep 24 Centre Stage members
9 Darcy Phillips Secretary Sep 24 – Apr 25 Centre Stage members
10 Giovanni Pillittu Box Office Manager Apr 24 – Sep 24 Centre Stage members
11 Rosie O’Rourke Box Office Manager Sep 24 – Apr 25 Centre Stage members
12 Emma Gemoli Membership Apr 24 – Sep 24 Centre Stage members
13 Hannah Hunter-Reid Membership Sep 24 – Apr 25 Centre Stage members
14 Tal Hewitt Artistic Apr 24 – Sep 24 Centre Stage members
15 Will Garrood Artistic Sep 24 – Apr 25 Centre Stage members
16 Deborah Stanton Events Apr 24 – Sep 24 Centre Stage members
17 Mickey Polon Events Sep 24 – Apr 25 Centre Stage members
18 Emma Recknell General Apr 24 – Sep 24 Centre Stage members
19 Lisa Crook General Sep 24 – Dec 24 Centre Stage members
----- End of picture text -----

----- Start of picture text -----
20 Deborah Stanton General Feb 25- Apr 25 Centre Stage members
21 Gia Benjamin Marketing Apr 24 – May 24 Centre Stage members
22 Cleo Powell Marketing Sep 24 – Nov 24 Centre Stage members
23 James-Lee Campbell Marketing Sep 24 – Dec 24 Centre Stage members
24 Maria Alexandrou Education Sep 24 – Dec 24 Centre Stage members
25 Claire Brewin Education Centre Stage members
----- End of picture text -----

Centre Stage London does not have any Corporate trustees.

Centre Stage London does not have any trustees that hold title to property belonging to the charity. Moreover, the charity does not own any property.

Funds held as custodian trustees on behalf of others

Centre Stage London is not the custodian trustee of any funds or other assets.

Names of advisers

Type of adviser Name Independent Examiner Amy Matthewson

Exemptions from disclosure

Centre Stage London has disclosed all key personnel

Declarations

The trustees declare that they have approved the trustees’ report above.

Signed on behalf of the charity’s trustees

Signature(s)
Full name(s)
Position (eg Secretary,
Chair, etc)
Date
Stephen Hewitt
Tal Hewitt

Treasurer
Chair

Treasurer
Chair

04.02.2026

04.02.2026

Centre Stage London

Annual Accounts for the year ended 05 April 2024

Receipts and Payments Accounts Receipts and Payments Accounts
2024/25 2023/24
£ £
Receipts
Tickets 47,581 55,975
Programmes 1,027 1,276
Participation 8,240 9,620
Sponsorship & Donations 1,239 2,024
Fundraising 3,510 5,591
Clothing Fundraising (Note 8) 954 1,588
Membership 3,405 3,206
Bar 8,587 9,330
Bank Interest 216 199
Other (Note 6) 752 5,874
Total Receipts 75,511 97,204
Payments
Venue 14,264 11,663
Rights / Licence 10,198 13,625
Script & Score 1,921 2,650
Band 9,199 9,672
Set 3,830 5,697
Props 1,119 1,345
Wardrobe 9,235 9,337
Lighting 4,361 4,451
Sound 7,605 8,572
Transport 2,276 1,279
Programmes 697 163
Marketing 1,193 1,388
Bar 1,588 2,493
Rehearsal Venue 7,606 9,534
Fundraising 1,140 2,042
Website 1,158 52
Noda 537 -
Insurance - 520
Clothing Fundraising (Note 8) 627 1,578
Other (Note 7) 2,295 2,257
Total Payments 80,848 88,507
Total Cash Movement (5,337) 8,707
Opening Cash Balance 30,474 20,767
Closing Cash Balance 25,138 30,474

Examined and Certified Independent Examiner Miss Amy Matthewson 04/02/2026

Statement of Assets and Liabilities
2024/25 2023/24
£ £
Assets
Fixed Assets
(none) - -
Current Assets
Current Accounts 10,383 16,704 (6,321)
Savings Account 11,540 11,324 216
PayPal Account 3,214 2,446 768
Liabilities
(none) - -
Net Assets 25,137 30,474 (0)

Charity no. 279647 - 1 -

Centre Stage London

Annual Accounts for the year ended 05 April 2024

Notes to the Accounts

1.1 Basic of preparation

Centre Stage London is not a Charitable incorporated organisation and makes less than £250,000 annually. The charity therefore elects to prepare its accounts using receipts and payments accounting as outlined by the Charity Commission's Introductory Notes (June 2013) - although acrruals accounts are prepared within the notes.

All amounts are in pounds sterling, £, as stated on the face of the accounts. All amounts around rounded to the nearest pound.

1.2 Restriction of funds

No funds received by Centre Stage London have been restricted, designated or relate to endowments. All funds are unrestricted therefore not split on the face of the Receipts and Payments Accounts. As there is only one fund, the charity has not included a movement of funds section.

1.3 Going concern

There are sufficient reserves to maintain the activities of the charity. Due to inflation, costs across the board have increased and budgets need to be monitored very carefully going foward. There are sufficient funds in the bank accounts to fund future shows, therefore the trustees consider the charity a going concern.

2 Receipts and Payments Accounts - by Activity

Income
Tickets
Programmes
Participation
Sponsorship & Donations
Fundraising
Clothing Fundraising (Note 8)
Membership
Bar
Bank Interest
Other (Note 6)
Total Receipts
Payments
Venue
Rights / Licence
Script & Score
Band
Set
Props
Wardrobe
Lighting
Sound
Transport
Programmes
Marketing
Bar
Rehearsal Venue
Fundraising
Website
Noda
Insurance
Clothing Fundraising (Note 8)
Other (Note 7)
Total Payments
Balance
The Little
Mermaid
The Wedding
Singer
bare
Past Shows
(Note 4)
Future Shows
(Note 5)
Central
Total 2024/25 Total 2023/24
Apr 2024
Jul 2024
Nov 2024
£
£
£
£
£
£
£
£
19,196
12,527
15,858
-
-
-
47,581
55,975
460
186
247
-
134
-
1,027
1,276
266
2,990
2,775
-
2,209
-
8,240
9,620
14
13
34
1,079
-
100
1,239
2,024
430
961
1,388
-
465
267
3,510
5,591
335
285
334
-
-
-
954
3,206
-
-
-
-
-
3,405
3,405
9,330
8,587
-
-
-
-
-
8,587
199
-
-
-
-
-
216
216
1,588
456
150
124
-
-
21
752
5,874
29,745
17,112
20,760
1,079
2,807
4,009
75,511
97,204
4,253
2,596
3,708
-
3,708
-
14,264
11,663
3,186
1,905
758
-
4,349
-
10,198
13,625
1,216
705
-
-
-
-
1,921
2,650
4,500
2,050
2,415
-
234
-
9,199
9,672
2,207
202
1,422
-
-
-
3,830
5,697
615
245
219
-
40
-
1,119
1,345
6,488
707
631
-
1,408
-
9,235
9,337
1,200
2,000
971
-
190
-
4,361
4,451
3,103
2,388
2,114
-
-
-
7,605
8,572
1,098
475
703
-
-
-
2,276
1,279
-
-
697
-
-
-
697
163
630
370
-
-
140
53
1,193
1,388
1,373
-
-
-
-
215
1,588
2,493
242
2,282
1,000
-
4,082
-
7,606
9,534
-
387
214
-
463
76
1,140
2,042
-
-
-
-
-
1,158
1,158
52
-
-
-
-
-
537
537
-
-
-
-
-
-
-
-
520
-
285
342
-
-
-
627
1,578
523
-
432
-
-
1,339
2,295
2,257
30,633
16,596
15,626
-
14,615
3,379
80,848
88,507
(888)
516
5,133
1,079
(11,808)
630
(5,337)
8,707

Charity no. 279647 - 2 -

Centre Stage London

Annual Accounts for the year ended 05 April 2024

3 Accruals Accounts - for shows falling within the financial year 2024/25

Central Total 2024/25 Total 2023/24

Income
Tickets
Programmes
Participation
Sponsorship & Donations
Fundraising
Membership
Bar
Bank Interest
Clothing Fundraising (Note 8)
Other (Note 6)
Total Income
Expenditure
Venue
Rights / Licence
Script & Score
Band
Set
Props
Wardrobe
Lighting
Sound
Transport
Programmes
Marketing
Bar
Rehearsal Venue
Fundraising
Website
Noda
Insurance
Clothing Fundraising (Note 8)
Other (Note 7)
Total Expenditure
Balance
The Little
Mermaid
The Wedding
Singer
bare


Apr 2024
Jul 2024
Nov 2024
£
£
£
£
£
£
19,196
12,527
15,858
-
47,581
46,976
460
186
247
-
893
1,099
266
2,990
2,775
-
6,031
8,826
14
13
34
100
161
2,007
430
961
1,388
267
3,045
3,347
335
285
334
-
954
3,600
-
-
-
3,405
3,405
8,565
8,587
-
-
-
8,587
52
-
-
-
216
216
1,822
456
150
124
21
752
6,256
29,745
17,112
20,760
4,009
71,625
83,550
4,253
2,596
3,708
-
-
10,478
3,186
1,905
758
-
5,849
7,749
1,216
705
-
-
1,921
2,895
4,500
2,050
2,415
-
8,965
9,065
2,207
202
1,422
-
3,830
7,266
615
245
219
-
1,079
1,128
6,488
707
631
-
7,826
4,151
1,200
2,000
971
-
4,171
3,351
3,103
2,388
2,114
-
7,605
8,120
1,098
475
703
-
2,276
1,069
-
-
697
-
697
1,074
630
370
-
53
1,052
1,352
1,373
-
-
215
1,588
2,339
242
2,282
1,000
-
3,524
8,154
-
387
214
76
678
2,828
-
-
-
1,158
1,158
66
-
-
-
537
537
393
-
-
-
-
-
608
-
285
342
-
627
1,370
523
-
432
1,339
2,295
1,588
30,633
16,596
15,626
-
-
-
3,379
66,233
75,067
(888)
516
5,133
-
-
-
630
5,392
8,482

5 Future Shows Income for future shows relates to Head Over Heels April 2025. Expenditure for future shows relates to Head Over Heels, and rights costs for Jesus Christ Superstar December 2025 and Come From Away July 2026

6 Other Income

Other Income relates to purchase of a show libretto, aftershow parties and programme advertising

7 Other Expenditure

Other Expenditure relates to banking costs, paypal fees, gala expenses and the aftershow parties

8 Cast Clothing - overall income/expenditure for past and future periods
Income Expenditure Balance
The Little Mermaid 335 - 335
Wedding Singer 285 285 -
bare 334 342 (8)
Head Over Heels - - -
Total 954 627 327

Charity no. 279647 - 3 -

Independentexaminer's reportto thetrustees of Centre Stage London I report to the trustees on my exami nation of the accounts of the ABYTrust Ithe Trust) for the year ended 05 April 2025. Responsibilities and basis of report As the charity trustees of the Trust you are responsible for the preparation of the accounts in accordance with the requi rements of the Charities Act 2011 I'the Act'l. I report in respect of my exami nation of the Trust's accounts carried out under section 145 of the 2011 Act and in carryingout my examination I have followed all the applicable Directions given by the Charity Commission under section 14515llbl of the Act. Ind8pendentexaminer's statement I have completed my exami nation. I confirm that no material matters have come to my attention in connection with the examination giving me cause to believe that in any material respect.. accounti ng records were not kept in respect of the Trust as required by section 130 of the Act. or 2. the accounts do not accord with those records. I have no concerns and have come across no other matters in connection with the examination to which attention should be drawn in this report i n order to enable a proper understandi nE of the accounts to be reached. Signed: Name: AMY MATTHEWSON Relevant professional qu81ification or membershi p of professional bodies lif any1= NIA Address.. FLAT 2 THE ORIELS, 146 KINGSTON ROAD,WIMBLEDON. SW193NB Date: 4-FE8-2026