Trustees. Annual Report for the period
Pgrioj 8tsrt dats
peri￿1 end date
To
Reference and administration details
Charity na
Theatro Tachnis
Othor names charlty 18 known
Rgglstergd charlty nuffl￿r {if any
harlty No. 280885
Charity8 prfnGlpal address
Crowndal• Road
ndon
ostcode
N•m08 of the charlty IrustOO5 who manag& tho charlty
•dod11
not for whol•
Trts•tsg n4m•
Offlc• ltt any)
Nwn• of p•r•on lor body) •ntftl•d
to •ppolnt bw8t••111 •nyl
Christos Araclid8s
H. 01992 764339
Lucy Christy
lucy_c'hris
ahoo.co.uk
M 07956 334910
Signatory
Comrnunication8
Andreas Gavriglid88
Imdil
H.020 8883 4949
Treasurer
Michael Constantine
,￿￿.801¢On$1antln
M. 07712 205054
Steve Constanllne
Legal Advisor
ail.¢o.uk
PR
M. 07712 205054
Oorota Krimm81
krimmel
M,07704 923CQ9
Costa$ Louis
Coslaslouis
H. 020 7837 S274
Intomational
rglati¢)ns
Equality, Diverslty
and Indusion
Dr Marilyn Panayi
maril
lheatrotechni8.com
M: 07783181938
Panos Savvid88
anos savvides
Chair
Health and Safety
ahoo.co.uk
M. 0782 4559516
10

Name5 of the trustees lor the charity, if any. (for example, any cu$todian trusl•es)
Ilame
ates acted rf rbot for whole
ear
Names and address•s of advisers Ioptlonal Inforniation)
of advlser
Address
Accountants
b Stroud Green Road. London N4 3ES 020 7 281 1188
3rr
,flharrviTriwlaou co uk https:IlwMw.harrynlcolaou.co.ukl
Hany Nicholaou
N8m• ol chlef exe¢ullvo or name$ of sanlor staff memb•rs (Optional Inforniatlon)
ni
. 020 7424 9498 M. 07445 864465
Structure,
overnance and mana
ement
Descrlptlon of lh• Chartty's trusts
TY￿ ol g)veming document
andwn
How the charity 1$ constituted company Ltd
Trustee sel8c)'on methods
ec¢)mmondatKKI8 to Company Secretary and election at AGM
Addltlonal gov•rnanc• Issues {Optlonal Infom•tlon)
Tho trusloas ar& continuing to review all polici65 and profxdurè8 i￿lUdIng
Iho88 that relate to H8alth and Safely in th8 light of the COVID parK18mic
and lifting of re8triGtions that will enabte to the reaopenlng . rtrlaunch of our
activib'es.
As Theatro Technig conlinues il 65 year and moves furth8r along in rts 6
decade ol operation the trustees af8 continuing their overnight of the 'nexl
generation. develop plan. This wntir¢ues to enixjmpass an ongoing r8view
and monitoring of the charity's Viorks for il's ￿nefi ciaries and lo ensure
succession planning together ￿th secursng its work for th8 fvture. The
trustees WOTk wiltt Kerry Kyriacos Michael MBE contlD.ues. The 8xecutiv8
team has impl8m8nl8d risk man8gemenUmitlgalion op8rab.onal prctesses,
procedijfes. This h,as induded govemmenl guidan¢e as the COVID Crisis
evolved. They report to the board on a règular basis.
Ob'ectives Activties, Achievements and Performance
The main objects of th8 charity arè sel out in its 9oveming do￿￿onI.

Brief Summary
Theatro Technis is a professional arts venue rC￿ted in rt8 ever-Chan￿ng communlty. We hav8 been
operatlng for six decadès and is an essential part of the broad and divers8 Cultural ecolcNJy of London. both
in lemis of the 8verryctsnging locat larÈdsc4po 8fwJ for Ma[￿nalised and emerging companles.
Theatro Technis continues to seNe it its roie as a player in one of London'$ more signifiLxnt regeneration
initiatives Ihe Klng's Cross. Cultu￿[ Capital. On the Surfa￿ KiThJ's Cross o)ntsnues to attract inward
investmenL and yet our txttnmunity still sees extremes Lrf wealth and poverty. This uncerLginty around
r8g6neratson, g8ntrifJGation and change continues to risk alienating local audiences.
In the coming year8 Theatro Technis plans to play an even more cwcial role to help all our stakeholders
understand, proc8ss and to ￿rne lo terms with th8 Opportunit￿$, challenges and changes around Lts. We
have, and will always bè committed, to Ihe young people. art￿ts arNd community aUd￿nceS 01 Camden and
th8 surrounding boroughs,
Thealro Te¢hni8 has grown from one of the first Minority Ethnic I￿1 organisations In the UK, founded by
George Eugeniou. It later b8came a permanent theatre lor th8 Cypflot ￿MMUnitY in London, one of the few
professional and community theatre organigalions presenting and roinigrpreting classical Gr8ek Th88tre.
Now it is home fof all Global Maiorty artists, a nexus for n8w and emerging ta18nt, and tho$8 with more
expeiienced in the irKlustry, from a51 ov8r thg wortd.
Our artlstlc prioritiès foojs t)ur Wofk with Mw and omorging compani85 and ttw)se working with marginalised
groups. Located al th8 centre of one of the woNd most diverse city we must refiect both our local
international ￿mMunIty.
The COVID 19 pandemic coupled wlth the falk)ut from BTèxIt and rK)W the UK cost of15ving crisis conllnues lo
impact health, well.b8lng and economlc challenges ol th8 cornmunitie8 Wè 8erve. As we enter furth6r
un¢ertainlies especially 8conomically, the n8èd for ihe creative arts and support for the oft8n unheard voices
of our communiti88 rnedg to be highlighted.
Theglro T8chni8 conllnué8 118 aCtIv￿1&S lor the pwpow of wblic b8n8ffl in line with thelr article of
memorandum and the charttlgs commission. Our income gen8ration comes from b)th pTogrammino our
theatre auditorium and our hlres ol the building . theatr8 offices and rehearsal spac8s.
We programme a 120rfap8city th8alre. Iwo sludiolrehe8rsal rttsms and offer OiT1￿ Space for the cr8atlV8
industri6s. The thèatre is behind our front building 'The house,. The house has ￿0 grourKI floor aceegslble
8tudioliehoarsal rooms for hire. our theatre office and two lloors of office spac8. The house continues to
provide support for two anchor tenant companies lo continue th8ir wor* in film and work with childr8n from
the Somgfs towns are8. One of those cornpanFe8 moved ITOM Th9alro Tochnis offico Space and was given
new premises in Camden, but will conlinue to have it's product￿n6 in our theatr8. Our studios arg used by a
range of professional, amateur and C4)mmunity organizatTrons for various cr88tive industry actlvities such as
rahaarsals, audition, filming. meèknngs, dance d&sse$. language cla8888 and as popup exhibit￿n space8.
Our thre84ided audilofium is available for hire lo professional and ￿Mmunity organisatlons as box offic8
guarantees and Some time with an addilTronal first call on lickel sala$. Th8re is also secondary inc¢xne from
our small bar and café.
As part of our re-stwcturing, wo have two part-time freelan(* slaff, a G6nor81 Manager and a Strategic
Advisor. Other staff are employed on a sessional basès, as freelancers to support our activiues including
Front of House and Duty management when the Thealre anrj h¢)us& are b8ing hired.
Th8 trust8es continue to work closely with Kefry Kytiacos Michael MBE and our General Manager Annabol
Williamson Kery and Ihe executive gFOUP {Lucy Chrislofi, Pannikos Savvides, Marilyn Panayl, Afis
Eugeniou, Karry Kyriacos Michael), have taken a prominent role in securing one-off funds from C9mden
Council and donations that have supported operational work Induding upgr•Jes to the building and
supported young ath"8ts development. The group have overseen necessary upgrades to th& buildlng
infra$lructure both in the house and the theatre to ensure continued ￿MplianCe wth Health and Safety and
that we w•r8 ready to re-open and r&launch post Ihe lifting ol COVID re5tricbons. The executive group
togetheT with Irusteeldireclors continue to devebp funding str8ams, Ihe strategic plan. Including the plans for
the slle develo mènl.

Tleatro Technis conkn.nues io be a nexus for up￿d￿￿Kning talent and WOTities these emerging artists in its..;
work. Activity vi 2021-2022 'ncluded professional companies. trwning ￿llegeS and intemaltonal visitors. We ',
I were also able to secure ts support of a prs>bono archivist to *ork ￿ the Thaatro Techn￿ archive and j
create material for a Yirtual ethibilion to be !aiJnth p.8Xt vear.
We o)ntinue our c(￿DmItMerrt to I￿1 and fX)mmunty arts work induding classical Gréek Ih&atre and ';
I￿ntemporary re-￿118TPreIal9ons ol these *￿rks. Upcoming plans indude a greater focus on partnership work
with p,'ofessional c4)mpanies within the Arts Council of Engll3r￿ NatK)nal Portfolio: and festivals induding ,,
I Shubbak Festival, UK'S larg8st festiv￿ of cnnlemporary Arab culture and the London Jaz2 Festival, ¥Ve also
have ongoing dialogues with ccffimercial theatre producers to davelop our program o,, profossional theatr8.
Our bullding conlinu8s to our largest asset and are W￿king with Camden Coundl, phllanthropic and
ethical developofs in exploring ils rede&gn and pot8ntial expanwn. Con'JersalÈons have recommenced and |
l are al &ady gtag6s. Howèver, we recogni88 the opp)rtunit￿S this can give us to strengihen our operational |
modgl and financ￿[ basis, indl￿￿1￿g increasing our turnover. securing our infrastructure, which in lum allows
us to bettér fulfil and dev61op our chaTttable aims and obJ8ctives.
Although the charity is not subi8¢t to statutory audit Ihg trust￿ our finanual modelmng and risk a58e88ment I
tell us we need to adapt our busin8ss mod81 to r￿Uc8 our risks. Thp. trusle6s continu8 to overseè our
$lralegic, risk manag8ment and succession review and lo evaluatè strengths and weakness of Ihe charity's
operatlonal activlli8s ttsaglher wtth key p9rforman￿ indicators wher8 r818vant to inform thi8 process.
Staiutory O￿laratIon on Publlc B•nefit
The truslges dedarg that they have corn￿18d with iheir duty to have due ragafd to Ihe guidanco on public
benefit publi8h8d by the Charity c(Mnmi8*'￿ in exercising their powers or dulles.
Financial review
Brlef
statement of
the charlty's
pollcy on
rè8erw08
We h8ve maintainéd a surplus lor th8 last len years and have a roserves policy of thr•8
monihs overhead6. Any ternk￿ary use of reserv￿ wa5 agrsyad by Ihg trustees,
From accounts
As part of our r&$tructuring, w8 have two fr88lanra staff. a General Mana98r and
Strategic Advisor. Othor staff are 8mF4oyed on a sessional bases, as fr8elanc&r8 10
8UPWrt our activltt•s induding Front of House and Duly manag￿Ent tho Theatre
and house are béing hired.
See account notes.
Furthor flnanclal r•vlew briel detalls
Prlnciple source of funds:
I Set$￿enerating In￿Me from hinng of tho buildirKJ. offtce spaix, studM)s and auditonum.
i Expendfturn:
All expenditu￿ is use to supwrt the charty in continuing its key objectives and sel out In Ils
| m8rrrfJrandum
,' Investment policy
The charity does not currently cperai8 at a bvel that warrants ethical Investment
0￿111• of any
funds
malerlalty In
d•fl¢lt

Other information COVID 19 change in restrictions
Thg COVID 19 pandemic and associated residctions in movem8nt. Itxkdovm and busines5 Curtailment will
Continued lo impact on lh& operatI￿S of the work of the charity. In last year the trustees have monitored
these impacts, the health and safe* of staff. buildiw users and income gefièrating 8Ctiwli&s. The trusleeg
have monitorèd the work of the executive team who are overseeing operational Matte￿ which have focused
on ¢urtailladapt aclFvities, risk assessmenl aThJ s8curing govemmenl and other funding. Th& trustees continue
to build the capacity of the board and 6xecutive team which wdl enable th8 charity to cx)ntinue its operations.
Funding secured from Camden Council enabled us to b8gin necggsary building mainl8nanc8 vnrk to ensure
compliance with H9alth and Safety indudlng COVID guidance for venue8.
Declaration
The trustees doclare that they have approved the trustees report above.
Slgnèd on behalf of tha charlty's trustO8S
Sl9nature(8)
M Panayi loloctfonlc
submisslon)
Full name{$
PosltDon (Nomlnal Chair
Dat
r Marllyn Panayl
halr
.10.22
OR Declaration
The TTuslea$ declare that they have apwoved the abov8 report and aulhoris￿ that11 b8 8lgned on th*r
behalf.

Theatro Technis Company Limited
Report and Accounts
For the year ended 31 March 2022
Camden T*)*n
London NW11

Theatro Technls Company Limlted
Forlhty
ar•nd•d 31 2022
LEGAL AMD PDIIIISIRATIVE INFfX11i4T
Charfrty na￿￿..
15>W)49
•thJrefj•
Th• dKectorn tho In offr• the yww•r*l
up to tho dote cl IN8 W•r•'.
Chn•tc• Arad*J••
P￿￿1
Ib)O•p•nd•rt Ex*nlMr
N*x**J
218rerthn Way. Errf*hX EN12LF
B•nk•rn
•8tablt8hed und•r Ihe Memwthm ol A88L*ja￿ provthd Iho obp(ts •r*l Ixprn ol the t*￿￿#b￿ C￿nY.
Contri￿ an afi￿nt mt &¥(th*ng £1.
Th8 directorn ol Ihe COm￿nY are ako tharity Iru8lee8 for the ofd*Iity18w￿d under tho rxwryanls Art￿&
TnMt•• Indve¥on and tranln

Theatro Technls Company Limited
Forth•
r•nd•d 2022
Rl•k m•Mg•m•
h8vg been eglabjrdhad tri M￿gett I￿a? Ti8kB.
¢*ty. Al preoontthe toard h88 nim from • vwiety baektyojnds.
?xecutNe toam.
08JECT8 OF The cHA9￿Y
The obj.tels of Ihe Ltsty af• k*..
• relieve FL)vtsity iic*ne8• and to S￿018¢t hoamh ty tF• p￿1￿) in taw of lor aged
These •rt d￿l wth ￿ a sopwats dorajw￿ Th8th T￿15 Rw. 202Y whk* pwl ol thNI rw>ort.
The OW8 ￿ hx Ihe y•8r w* £105,1451202t £94.7￿} and *• wa• £140,150 12Q1 tell,￿0>
tting In • net 8uW of £44,￿s12021 •UfF4Js of £33.&XI kn th• >••r. d Ixlr4 fvThJ8. Aftor •dduy4
th• 8UfF4u8 to fvryJ• brourtrt e61.276 (2tr21 £27.3701 th• l￿d5 £lL￿271 12021
£61,278).
31 March 2022 th• hold• lrne £70.671 (2021 £94.7231 Frn• ar• thow not ti•d
In a88frts or h•ld 08 rnstrid•d fvv*l8.
ndlng aTrJ lo enwjre th• foNJ twm viqwty rfth• dwfty.
IMPP£T OF THE Cov1￿19 PANDEAIC
an impoc4 ￿ tho of dwlty. tho liftwig of 8LTh th• has lesoentsj. The tru¥1￿$
tt> C<￿81￿[ the eff•cts ol Ih? ongdTrJ a￿1 •nWt•d COVID 19 tYSUti8 on Its operalKJn8 in ten￿01 h￿th
m• gov￿)IT￿nt and other fundhy th41 wll erowe sustswwbthty and •U(XXx￿ rknrrirg the aThJ luwre
Th￿ T8POrt h88 b•1 In ￿L￿rd&￿ TAth Ihe Part 15 of A(* to
c¢mpgnM 6ubiect to thts 8mdl rory9r￿
ro¥ad by thg Board on.. ..
Dire

## **s of Independent Examiner's report to the truste Theatro Technis Company Limited** 

**I report on the accounts of the company for the year ended 31 March 2022 set out on pages 4 to 8.** 

## **Respective responsibilities of trustees and examiner** 

**The trustees (who are also the directors of the company for the purposes of company law) are responsible for the preparation of the accounts. The trustees consider that an audit is not required for this year under �ection .144 of the Charities Act 2011 (the 2011 Act) and that an independent examination is needed.** 

**It is my responsibility to:** 

- **examine the accounts under section 145 of the 2011 Act;** 

- **to follow the procedures laid down in the general Directions given by the Charity Commission under section 145(5)(b) of the 2011 Act; and** 

- **to state whether particular matters have come to my attention.** 

## **Basis of independent examiner's statement** 

**My examination was carried out in accordance with the general Directions given by the Charity Commission. An examination includes a review of the accounting records kept by the charity and a comparison or the accounts presented with those records. It also includes consideration of any unusual items or disclosures in the accounts, and seeking explanations from you as truste s concerning any such matters. The procedures undertaken do not provide all the evidence that would be required in an audit and consequently no opinion is given as to whether the accounts present a 'true and fair view' and the report is limited to those matters set out in the statement below.** 

## **Independent examiner's statement** 

**In connection with my examination, no matter has come to my attention to indicate that:** 

   - **accounting records have not been kept in accordance with section 386 of the Companies Act 2006;** 

   - **the accounts do not accord with such records;** 

   - **where accounts are prepared on an accruals basis, whether they fail to comply with· relevant accounting requirements under section 396 of the Companies Act ·2006, or are not consistent with the Charities SORP (FRS102);** 

- **any matter which the examiner believes should be drawn to the attention of the reader to gairi a proper understanding of the accounts.** 

- _ _  .\�----�-� **-** ----- **-** ---------- **-** -- **-** 

**HARRY NICOLAOU FCA Of Harry Nicolaou &Co Limited Chartered Accountants 38b Stroud Green Road London N4 3ES** 

**17 November 2022** 

**3** 



Theatro Technis Company Limited
Stat•ment of Flnancial ￿￿1vIlle$ {Includlng Income and Expenditurn Account)
For th• Year Endod 31 March 2022
T*ital fvnd•
Tol•lfvnds
2(Y21
INCOME from:
Donatlons and grants
85.108
Charftabh actlvltl••:
Theatre
Letllng ofoffKe 8PHCè
Bar Inoome
(Jhor inc￿ne
88,748
21,(k89
8,168
21,308
6,OCKJ
2,742
8.1
Total In¢om•
185,140
94,706
expENDfTURE on".
Charltabl• actlvitl
140,150
Total •xwidftur•
140.100
Mot Incomo and n•t mov•m•nt
lunds
995
RECONCIUA TION OF FUNDS
Total fiJnd8 br￿9￿ forward
81276
27,370
Total fund• wrl•d fonArd
106371
61,276

Theatro Technis Company Limited
Balance Sheel
C• P40. 1509049
As at 31 March 2022
2022
Fixed •M4ts
TaThJible a$8•ts
204,891
134,823
Tolal Ilx•d as••ts
20V91
134.823
Cuff•M ••••th
Dèblo
Cash at b8r*
10,481
70,438
2,082
94.841
80,899
96.923
Cr•dltorn: Amounts hlllng du• itslthln on• y•ar
(10,228)
12200)
70,671
94, 723
2YS,$62
229.548
•mounts fallln9 du• aft•r morn th•n
on•
(169.2911
(168,2TOJ
108271
61,2T6
Fund¥
1￿271
61.278
Totsl charfty fund•
106,271
61.276
The dkfjctrs are satsll•Y that Iho tt¥npany 18 enw to exemptson from the rOq￿r￿fi•nt to obtatn an
athjtt undor sectkM 477 of thg C(xnpanFe8 Act 2fKI% aThS m•mbgrn havo n¢* r￿U￿1 thg comp8ny to
obtakn an in ac¢¢Kd•n￿ 7Allh 478 IA Ihe
Tho dlrnctLY8 ackiw)IIl* thelr reS￿$1￿[[tses for r)ynth vAth Iho requirTht8 oflho Cc*np1￿8s Act
20C￿ th res￿ to occountir*J r￿0￿8 arxd tho preparaticfft of ac￿)unts.
The gccI)iints have beèn prgp8red in acwdonce pr￿￿￿)￿3 In Part 15 of th• Comp•rAM Act 2C
gppIKable to Com￿￿ 8L*kn* to ¢yJmpanlg8
d t*3ned on Ihthr b**lf ty.
Mty P8nqJ4

Theatro Technis Company Limited
￿￿e3 to the Accounts
For Ihg Year Endod 31 March 21y22
B•$ls ol a¢¢ountlng
Thg ￿¢0￿￿15 lfinandal strt￿￿ts) hasTr K¥VTgd In a¢¢thwc* vAth A¢ctyJntlng and Rop)rtfr
by ChaFlllas'. Stst￿nt of Prn(*8 applKablo kn ￿￿1111•8 prepa￿r￿j Ihalr a¢Lxwnts In
accordance wlth th& Fln8no81 Ropxbng StaThJard apFAl¢abl6 Sn thè UK and R•wbllc of Ireland IFRS
102118ffecthe 1 January 2015) - Ichwths SORP {FRS 102)), the Flroncl81 st*Klatd
applkab18 In UK aThJ Rwtllc of lrnl*¥J (FRS 102) aTrJ Ad 2￿.
Th¥ •¢count6 hm be￿ on a conc•m as th• t￿te@S boNev• that no matsrlal
uncertalrth ex18L The trustees havg cor￿dered th• level of fuThJs held and tht eXF•cW lovd of
charfty Is ablo 88 8 g(xr¥J
Incom• rncollnlllon
All Incryno Is mcognl8•d orK* the cwty has enttlrnt k Ihè h*mo. thorn 1$ 8uffi¢lerrt cwtalnty ol
rnealpt and 80 tt 15 wobabk ttwt tho Irtomo b¢ thtr an￿nt of Incomo reL*¥•blo can
be nwured rellthy.
Expendlturg Is r•cognlsgd Itw• Is a l•oaF or c*llJ•kn to moko a pAJryn•nl lo a thlrd
paty, tt18 th•t a 9g1U•M￿t will bo r•wlrnd and thè of th& t￿119￿11￿ m84SLw•J
rollabty.
Fund *c¢ounllng
Unmth¢t•J funds arn grants. (kThlkm8 aFKI othw rgwJrr•s rg¢4vablo for th• objgcts of I
chaty wtthout furlhér pu￿089 aThY arn avallgljle 88 gonor•l furttls.
Dgpr8¢latlon Is prothd at rat05 cqbJlat•J to wrft• oft c4)* as￿ kn8 tt8 eBttmgtod relldu
valu•, ovèr the u80fv1 Ufe ollht 8#•¢t M fc4ltrws.'
FumlluT• & 8qul1xn￿t
15% ba•n¢•
An a88•WWrt of tho rnt r•allsablo v4kn ol ImBhcld bLAhJlry8 at t￿810￿¢ w81 has twn ￿dertak•n.
On the bth tho1 freoh(Ad te wdl maintalnod and r•p8lr cfjgts wlll ba Charg￿ to th8
Slaternenl of Fln•ndd AcOvltl•s, tt 16 tha th 01 th8 dlr8¢ttys that tho nol rna115ab￿ valuo at h15torl
Jsl oquat•s D•pI￿allon 18 chwggd (Yt Ir88hc4J ￿1￿11￿ on the ctssl 18Bs thè thtod
rosldual Value over 100 y8ar& On th8 basls of th8 abovo no chwgo is deem8d nwtsary. An
hry>alTmont revknw 18 carrt￿ o¢rt on an amuat b8sL8 to a8•ess wh•th8r market valuo d th8 bulldlngs
L8 al least as mlth as the Co￿n0 value Ni tho aLX(￿1ts. ProNlslon Is m•Je any p¢nnanonl fall In
valuo.
D•btor4
Trada and ¢)th•r d8bknYs arB reccw18ed at tho s91lle￿￿t aft8r any trado dlscounts offorod.
PrepayM￿ts arn at th• amrA¥k aftw ￿y￿￿t d any trade dthwjnts dug.
Cr•dltorn
Creditors And promsions roco￿lS9d t*tMe th8 charfty has a F￿1 thllogltwt fB8ulting from a past
ovent that wll rnbatty restit in thg transfer of to 8 tNrd pwty aThJ anYAmt dug to solve th
thotr s8tllam8nt amLKmt aftw f(¥ ary trad8 du•.

Theatro Technis Company Umited
Forlh• Yw End•d 31 IAv¢h 2022
Staff 0x18 (ncla 41
16,065
Lo¢91 wlts)rity pknnnfvJ
S[th￿F#￿Il8 ar￿
k ch8rg8S
5.017
1,05)
331
Cl8anlng
1.704
3,787
1.431
2.485
T￿17
2.862
f.60S
5,792
4,002
Ught thj t￿1
Ral&8 And walor
Flr¢ •rnl I￿￿rIty
415
1.06T
47.841
6,OfAI
T41oF1￿ &)d lax
1.188
4.978
M•nagaThinl f•••
Cor*thKy f•
14.0
3.828
12.781
2.900
418
2.2fy)
140.180
TrJ• Is 8l#t•d oft•rcharglTrJ:
l¢Mlepond•rtl Examlnef8 fee
12,781
416
Sdarleo arKI wege8
1.053
3.930
13.015
3,050
16.065

Theatro Techni8 Company Llmtted
For th• Ymr End•d 31 Il•rch 2ft
T•nqlbl• knd a•*•ts
T•lal
Colt
At1W2021
lttonB
19).515
91.041
82049
241,556
82,849
At 31 Mw¢h 2022
tgJ.515
17JJ
324AOS
At 1 ￿rtI2021
Char90 brthg Jwr
18.050
88.683
12,781
108.733
12.781
At 31 Mwah 2022
14050
119.61 4
N•t l)ook valu•
At 31 March 2022
132A05
204￿1
At31 2021
134.823
b•en e•lkn•t•d by tr) h cN•r £2m.
10A61
2,082
10.461
2,082
Crodltm and a¢ax￿¥
10228
Z2(Xl
10228
Loon8 IMt• 9)
189.291
7rt270
169.291
168,270
Th• arnoLmt dl￿ to Mr G Eug8nioLt Ilthe Se¢retsry Afuslk Dk*Aor af company) at thg y88r
end £30.553 (2¢r21 £30.553) and tho A EwJth)wJu (a mgth of 81ttffj
£138.738 (2tr21 £137,7171 Tr*8e we b)rnJ kws b) th• ￿￿￿ty.
demand In Iha ¢¥￿1 ofth•
(al the of Ihe fr¢ehdd l&r•J 8fKI or
viabltyofthe ¢haTfjty.

Theatro Technis Company Limited
Report and Accounts
For the year ended 31 March 2022
Camden T*)*n
London NW11

Theatro Technls Company Limlted
Forlhty
ar•nd•d 31 2022
LEGAL AMD PDIIIISIRATIVE INFfX11i4T
Charfrty na￿￿..
15>W)49
•thJrefj•
Th• dKectorn tho In offr• the yww•r*l
up to tho dote cl IN8 W•r•'.
Chn•tc• Arad*J••
P￿￿1
Ib)O•p•nd•rt Ex*nlMr
N*x**J
218rerthn Way. Errf*hX EN12LF
B•nk•rn
•8tablt8hed und•r Ihe Memwthm ol A88L*ja￿ provthd Iho obp(ts •r*l Ixprn ol the t*￿￿#b￿ C￿nY.
Contri￿ an afi￿nt mt &¥(th*ng £1.
Th8 directorn ol Ihe COm￿nY are ako tharity Iru8lee8 for the ofd*Iity18w￿d under tho rxwryanls Art￿&
TnMt•• Indve¥on and tranln

Theatro Technls Company Limited
Forth•
r•nd•d 2022
Rl•k m•Mg•m•
h8vg been eglabjrdhad tri M￿gett I￿a? Ti8kB.
¢*ty. Al preoontthe toard h88 nim from • vwiety baektyojnds.
?xecutNe toam.
08JECT8 OF The cHA9￿Y
The obj.tels of Ihe Ltsty af• k*..
• relieve FL)vtsity iic*ne8• and to S￿018¢t hoamh ty tF• p￿1￿) in taw of lor aged
These •rt d￿l wth ￿ a sopwats dorajw￿ Th8th T￿15 Rw. 202Y whk* pwl ol thNI rw>ort.
The OW8 ￿ hx Ihe y•8r w* £105,1451202t £94.7￿} and *• wa• £140,150 12Q1 tell,￿0>
tting In • net 8uW of £44,￿s12021 •UfF4Js of £33.&XI kn th• >••r. d Ixlr4 fvThJ8. Aftor •dduy4
th• 8UfF4u8 to fvryJ• brourtrt e61.276 (2tr21 £27.3701 th• l￿d5 £lL￿271 12021
£61,278).
31 March 2022 th• hold• lrne £70.671 (2021 £94.7231 Frn• ar• thow not ti•d
In a88frts or h•ld 08 rnstrid•d fvv*l8.
ndlng aTrJ lo enwjre th• foNJ twm viqwty rfth• dwfty.
IMPP£T OF THE Cov1￿19 PANDEAIC
an impoc4 ￿ tho of dwlty. tho liftwig of 8LTh th• has lesoentsj. The tru¥1￿$
tt> C<￿81￿[ the eff•cts ol Ih? ongdTrJ a￿1 •nWt•d COVID 19 tYSUti8 on Its operalKJn8 in ten￿01 h￿th
m• gov￿)IT￿nt and other fundhy th41 wll erowe sustswwbthty and •U(XXx￿ rknrrirg the aThJ luwre
Th￿ T8POrt h88 b•1 In ￿L￿rd&￿ TAth Ihe Part 15 of A(* to
c¢mpgnM 6ubiect to thts 8mdl rory9r￿
ro¥ad by thg Board on.. ..
Dire

## **s of Independent Examiner's report to the truste Theatro Technis Company Limited** 

**I report on the accounts of the company for the year ended 31 March 2022 set out on pages 4 to 8.** 

## **Respective responsibilities of trustees and examiner** 

**The trustees (who are also the directors of the company for the purposes of company law) are responsible for the preparation of the accounts. The trustees consider that an audit is not required for this year under �ection .144 of the Charities Act 2011 (the 2011 Act) and that an independent examination is needed.** 

**It is my responsibility to:** 

- **examine the accounts under section 145 of the 2011 Act;** 

- **to follow the procedures laid down in the general Directions given by the Charity Commission under section 145(5)(b) of the 2011 Act; and** 

- **to state whether particular matters have come to my attention.** 

## **Basis of independent examiner's statement** 

**My examination was carried out in accordance with the general Directions given by the Charity Commission. An examination includes a review of the accounting records kept by the charity and a comparison or the accounts presented with those records. It also includes consideration of any unusual items or disclosures in the accounts, and seeking explanations from you as truste s concerning any such matters. The procedures undertaken do not provide all the evidence that would be required in an audit and consequently no opinion is given as to whether the accounts present a 'true and fair view' and the report is limited to those matters set out in the statement below.** 

## **Independent examiner's statement** 

**In connection with my examination, no matter has come to my attention to indicate that:** 

   - **accounting records have not been kept in accordance with section 386 of the Companies Act 2006;** 

   - **the accounts do not accord with such records;** 

   - **where accounts are prepared on an accruals basis, whether they fail to comply with· relevant accounting requirements under section 396 of the Companies Act ·2006, or are not consistent with the Charities SORP (FRS102);** 

- **any matter which the examiner believes should be drawn to the attention of the reader to gairi a proper understanding of the accounts.** 

- _ _  .\�----�-� **-** ----- **-** ---------- **-** -- **-** 

**HARRY NICOLAOU FCA Of Harry Nicolaou &Co Limited Chartered Accountants 38b Stroud Green Road London N4 3ES** 

**17 November 2022** 

**3** 



Theatro Technis Company Limited
Stat•ment of Flnancial ￿￿1vIlle$ {Includlng Income and Expenditurn Account)
For th• Year Endod 31 March 2022
T*ital fvnd•
Tol•lfvnds
2(Y21
INCOME from:
Donatlons and grants
85.108
Charftabh actlvltl••:
Theatre
Letllng ofoffKe 8PHCè
Bar Inoome
(Jhor inc￿ne
88,748
21,(k89
8,168
21,308
6,OCKJ
2,742
8.1
Total In¢om•
185,140
94,706
expENDfTURE on".
Charltabl• actlvitl
140,150
Total •xwidftur•
140.100
Mot Incomo and n•t mov•m•nt
lunds
995
RECONCIUA TION OF FUNDS
Total fiJnd8 br￿9￿ forward
81276
27,370
Total fund• wrl•d fonArd
106371
61,276

Theatro Technis Company Limited
Balance Sheel
C• P40. 1509049
As at 31 March 2022
2022
Fixed •M4ts
TaThJible a$8•ts
204,891
134,823
Tolal Ilx•d as••ts
20V91
134.823
Cuff•M ••••th
Dèblo
Cash at b8r*
10,481
70,438
2,082
94.841
80,899
96.923
Cr•dltorn: Amounts hlllng du• itslthln on• y•ar
(10,228)
12200)
70,671
94, 723
2YS,$62
229.548
•mounts fallln9 du• aft•r morn th•n
on•
(169.2911
(168,2TOJ
108271
61,2T6
Fund¥
1￿271
61.278
Totsl charfty fund•
106,271
61.276
The dkfjctrs are satsll•Y that Iho tt¥npany 18 enw to exemptson from the rOq￿r￿fi•nt to obtatn an
athjtt undor sectkM 477 of thg C(xnpanFe8 Act 2fKI% aThS m•mbgrn havo n¢* r￿U￿1 thg comp8ny to
obtakn an in ac¢¢Kd•n￿ 7Allh 478 IA Ihe
Tho dlrnctLY8 ackiw)IIl* thelr reS￿$1￿[[tses for r)ynth vAth Iho requirTht8 oflho Cc*np1￿8s Act
20C￿ th res￿ to occountir*J r￿0￿8 arxd tho preparaticfft of ac￿)unts.
The gccI)iints have beèn prgp8red in acwdonce pr￿￿￿)￿3 In Part 15 of th• Comp•rAM Act 2C
gppIKable to Com￿￿ 8L*kn* to ¢yJmpanlg8
d t*3ned on Ihthr b**lf ty.
Mty P8nqJ4

Theatro Technis Company Limited
￿￿e3 to the Accounts
For Ihg Year Endod 31 March 21y22
B•$ls ol a¢¢ountlng
Thg ￿¢0￿￿15 lfinandal strt￿￿ts) hasTr K¥VTgd In a¢¢thwc* vAth A¢ctyJntlng and Rop)rtfr
by ChaFlllas'. Stst￿nt of Prn(*8 applKablo kn ￿￿1111•8 prepa￿r￿j Ihalr a¢Lxwnts In
accordance wlth th& Fln8no81 Ropxbng StaThJard apFAl¢abl6 Sn thè UK and R•wbllc of Ireland IFRS
102118ffecthe 1 January 2015) - Ichwths SORP {FRS 102)), the Flroncl81 st*Klatd
applkab18 In UK aThJ Rwtllc of lrnl*¥J (FRS 102) aTrJ Ad 2￿.
Th¥ •¢count6 hm be￿ on a conc•m as th• t￿te@S boNev• that no matsrlal
uncertalrth ex18L The trustees havg cor￿dered th• level of fuThJs held and tht eXF•cW lovd of
charfty Is ablo 88 8 g(xr¥J
Incom• rncollnlllon
All Incryno Is mcognl8•d orK* the cwty has enttlrnt k Ihè h*mo. thorn 1$ 8uffi¢lerrt cwtalnty ol
rnealpt and 80 tt 15 wobabk ttwt tho Irtomo b¢ thtr an￿nt of Incomo reL*¥•blo can
be nwured rellthy.
Expendlturg Is r•cognlsgd Itw• Is a l•oaF or c*llJ•kn to moko a pAJryn•nl lo a thlrd
paty, tt18 th•t a 9g1U•M￿t will bo r•wlrnd and thè of th& t￿119￿11￿ m84SLw•J
rollabty.
Fund *c¢ounllng
Unmth¢t•J funds arn grants. (kThlkm8 aFKI othw rgwJrr•s rg¢4vablo for th• objgcts of I
chaty wtthout furlhér pu￿089 aThY arn avallgljle 88 gonor•l furttls.
Dgpr8¢latlon Is prothd at rat05 cqbJlat•J to wrft• oft c4)* as￿ kn8 tt8 eBttmgtod relldu
valu•, ovèr the u80fv1 Ufe ollht 8#•¢t M fc4ltrws.'
FumlluT• & 8qul1xn￿t
15% ba•n¢•
An a88•WWrt of tho rnt r•allsablo v4kn ol ImBhcld bLAhJlry8 at t￿810￿¢ w81 has twn ￿dertak•n.
On the bth tho1 freoh(Ad te wdl maintalnod and r•p8lr cfjgts wlll ba Charg￿ to th8
Slaternenl of Fln•ndd AcOvltl•s, tt 16 tha th 01 th8 dlr8¢ttys that tho nol rna115ab￿ valuo at h15torl
Jsl oquat•s D•pI￿allon 18 chwggd (Yt Ir88hc4J ￿1￿11￿ on the ctssl 18Bs thè thtod
rosldual Value over 100 y8ar& On th8 basls of th8 abovo no chwgo is deem8d nwtsary. An
hry>alTmont revknw 18 carrt￿ o¢rt on an amuat b8sL8 to a8•ess wh•th8r market valuo d th8 bulldlngs
L8 al least as mlth as the Co￿n0 value Ni tho aLX(￿1ts. ProNlslon Is m•Je any p¢nnanonl fall In
valuo.
D•btor4
Trada and ¢)th•r d8bknYs arB reccw18ed at tho s91lle￿￿t aft8r any trado dlscounts offorod.
PrepayM￿ts arn at th• amrA¥k aftw ￿y￿￿t d any trade dthwjnts dug.
Cr•dltorn
Creditors And promsions roco￿lS9d t*tMe th8 charfty has a F￿1 thllogltwt fB8ulting from a past
ovent that wll rnbatty restit in thg transfer of to 8 tNrd pwty aThJ anYAmt dug to solve th
thotr s8tllam8nt amLKmt aftw f(¥ ary trad8 du•.

Theatro Technis Company Umited
Forlh• Yw End•d 31 IAv¢h 2022
Staff 0x18 (ncla 41
16,065
Lo¢91 wlts)rity pknnnfvJ
S[th￿F#￿Il8 ar￿
k ch8rg8S
5.017
1,05)
331
Cl8anlng
1.704
3,787
1.431
2.485
T￿17
2.862
f.60S
5,792
4,002
Ught thj t￿1
Ral&8 And walor
Flr¢ •rnl I￿￿rIty
415
1.06T
47.841
6,OfAI
T41oF1￿ &)d lax
1.188
4.978
M•nagaThinl f•••
Cor*thKy f•
14.0
3.828
12.781
2.900
418
2.2fy)
140.180
TrJ• Is 8l#t•d oft•rcharglTrJ:
l¢Mlepond•rtl Examlnef8 fee
12,781
416
Sdarleo arKI wege8
1.053
3.930
13.015
3,050
16.065

Theatro Techni8 Company Llmtted
For th• Ymr End•d 31 Il•rch 2ft
T•nqlbl• knd a•*•ts
T•lal
Colt
At1W2021
lttonB
19).515
91.041
82049
241,556
82,849
At 31 Mw¢h 2022
tgJ.515
17JJ
324AOS
At 1 ￿rtI2021
Char90 brthg Jwr
18.050
88.683
12,781
108.733
12.781
At 31 Mwah 2022
14050
119.61 4
N•t l)ook valu•
At 31 March 2022
132A05
204￿1
At31 2021
134.823
b•en e•lkn•t•d by tr) h cN•r £2m.
10A61
2,082
10.461
2,082
Crodltm and a¢ax￿¥
10228
Z2(Xl
10228
Loon8 IMt• 9)
189.291
7rt270
169.291
168,270
Th• arnoLmt dl￿ to Mr G Eug8nioLt Ilthe Se¢retsry Afuslk Dk*Aor af company) at thg y88r
end £30.553 (2¢r21 £30.553) and tho A EwJth)wJu (a mgth of 81ttffj
£138.738 (2tr21 £137,7171 Tr*8e we b)rnJ kws b) th• ￿￿￿ty.
demand In Iha ¢¥￿1 ofth•
(al the of Ihe fr¢ehdd l&r•J 8fKI or
viabltyofthe ¢haTfjty.