Regist¢r¢d number.. 02016836
Charity number: 294399
THEATRE PECKHAM
(A Company Limited by Guardntco)
AUDITED FINANCIAL STATEMENTS FOR THE YEAR ENDED
31 MARCH 2025

Theatre Peckbam
Annual Report and Accounts
FOT the year ended 31 March 2025
Company Infornlation
Trustees
Dr A Domingo- Chair
A G￿rid0 SerrAto
D W R Richards
J AkiT)wande
G Broornes
O Oyel¢ye
M Prendergast
A Chakrapani- appointed 25 June 2024
A HaThis- appointed 25 June 2024
R JeaTrPierre- appoint¢d 25 Jun¢ 2024
L Whitsway- appointed 25 June 2024
S Yeboah- appointed 17 November 2025
M Knight- appointed 17 November 2025
Comp8ny r¢gislered number
02016836
Charity registered number
294399
R¢gis¢ered office
Theatre Pe¢khatn
221 Havil Street
Londoj)
SE5.7SB
Company secretary
Miss A Hubbard
Chief executive officer
Ms S McLean
Independent ayaminers
Simp$on Wffford LLP
W¢ll¢sl¢y House
Duke of Wellington Avenue
Royal Arsenal
London SE18 6SS
Bankers
Lloyds Bank plc
34 Moorgate
London
BC2R 6PL

Theatre Peckham
Annual Report and Accounts
For the year ended 31 March 2025
Contents
Trustees, report
Independent auditors report
10-13
Accounts comprising..
Statement of financial activities
14
Balance sheet
15
Statement of cash flows
16
Notes to the accounts
17-29

Tbeatre Peckbam
Annua] Report and Accounts
For the year ended 31 March 2025
Trustees, Report
The Tn￿¢¢5 of Theatre Pecklwn are delighted to PT&%eni their annual report with the audited financial
statements of the Company for th¢ year ended 31 March 2025. The Trustees Gonfirni that the Annual
Report and financial statun¢nts of the ¢ompany comply with the current statutory requirementy the
requirernent of the company'5 governing document and the provisions of the Ststement of
R¢commended Practice (SORP}, applicable to charities prepariT]g their a¢wunts in Ac¢ordance the
Financial Reptsrtirtg Stsndard appl]￿ble in the LTK and Republic of Ireland {FRS 102) &8 amended by
Update Bulletin l.
ctives and Activiti
The charity's principal object. as detailed in th¢ Mcmorandum and Articles of Asso¢jati￿, was updated
on 25th June 2024 to rellert the organisAtim)'$ growth and develotment. The pulpose is tg advan¢¢
education for the public benefitthroush the promotion of the perfomhing ans, in particular by Mqdening
the public's a¢¢ess to the perfonning arts, in so doing. fosterin¥ greater ereativity and inclusivity in
socieiy. With this update th¢ Trust¢es also updated the Memorandum of Articles to be more accessible
and inclusive.
Thrtyjgh the power of theatsr, we illuminate young voices, developing skills and Opportunities to
platforn) ¢xcell¢nt cre&iives who 8re lo¢a]ly fo¢u5¢d with a national and international visi¢)n. At our
South Lotmlon home, we commit io d¢velopin8 new writing al￿ performance focusing on young tal¢nL
repres•tstive of IA)ndon's comm￿lity.
Our Vi8ioD and Mi55iOD
We are buildin8 * 8¢nui￿]Y reprcscntstiV¢ and inclusive society where ¢v¢ryon¢ can participate in,
lead. work in, and enjoy Creativity and ¢ultur¢.
Theatre Peckham is a l¢arnin8 theatre that is bui]t to champion artistic excellence and swial change for
youn8 rKople and our hyper-lo¢al ￿mmUnIty. Alongside the perforniances on our stsge, w¢ provid¢ a
voie4 a platforni, and opportunitie5 for young peopl¢ from utthrr¢pr¢sented ba¢kgrounds to reajise
their potential and thrive in professional environments. creative and othenvi%. Founded over 38 years
ago, we are ambilious, we are brav¢, and w¢ inspire all those who come through our doors.
Our organisalional values are reficcted in everything we do. Theatre P￿khaM values:
R¢pr¢sentstion
Collaboration
Jnnovation
Ambition
ReLationships
New ideas. New stories and New pa￿¢rShipS are made in Theatre Pe¢ktMm. By championin8 yOUTh&
nderrepresented Voices, w¢ are op¢ning the 8*¢5 for perfomiers technicians to ¢nter the ¢r¢ativ¢
industries, fomiin8 lifelong relationships M'ith patty¢ipants. audiences, and pattw organisations. In
doin8 so, Theatre Peckham leads the change that L$ influencing ow sectiy.
Our 2024-2025
72 young ￿ople gained experience through our work plavm¢nt and volunteering programme
699 yo￿8 people were engaged tbmugh Young Peckham and Academy
12191 hour5 tsf ¢ngag¢ment through our Ac&&my
5546 hour$ of free mast¢r¢lass workshops for our yo￿8 Peckham Members
1144 hour# of free rehearsal sp￿e to artists d¢veloping n¢w work in the ¢r¢ative industries
73 pioductions were platfomied across our Yenues hosting 166 perfornithces.

Theatre Peckham
Annual Report and Accounls
For the year ended 31 March 2025
Trustees, Report
SUpr￿j 270 creatives and pcrforn)crs to Stagc work in our 5eason5 (YGB and Peckham
Fring¢}
Following on from 4 flurry of awards18st ye￿. Theatre Peckhfim's Board of Trustt¢s were a finalist in
the Chariry GoY¢rnance Award for their G(xnmitsnent to Equity, Diversity and inclusion. A5 runntt up
the pa￿LIst$ ￿knoWledgeS the traDsfonD&ion ihe Board have undergone since 2018 Lo ensure a
repr¢seDtative leadership t¢Am that r¢fl¢¢ts the dtversity of the young people we setrv¢. Out of over 100
inspiring entrits, bein8 shortli5ted and re¢ognised alongsid¢ so many in¢r¢dible Organisatio￿ L5 an
honor.
Theatre Peckha￿ Acadtmy Youllg P¢¢kham
Our prin¢ipai a¢tivity is a core trainillg prtsgramme 1$ divided into our Academy and Young
Peckham Programnw.
Our Academy provide5 weekly trainingfor 3-16 year olds. Through affordabl¢ trainin& we break down
barriers for youn8 people who are underrepresen*d in the creative industri¢s providing them with the
opportwiity to g¢t th¢ir first taste of the arts.
Thi5 year
139 place5 were 8iven at a SOVO di5￿)￿nI with 22 fvlty paid bursories supportittg young people from
low 50cioeeollomic baek8Tounds to still access creativity in their local theatre. Our focu5 on increasing
e I*￿SIbIlity of our training is evident with 75•/D IiviDg in the highest 113 ar￿$ of deprivation. Our
members are reflective of the rich diversity in the area with 83Vo living in in Southwark. 6Ph being
from Bla¢k Asian or ethnI￿1]Y diverse and lTr/• being neurodiverse or having a disabiltty.
Our cornmitment to high qua]ity training was r￿08￿1$¢￿ by the Music and Drama Edu¢4tson Awards
who sde(*Ed The￿re Peckham as award winn¢rs for Excellence in Musical Th¢otre. This r¢o)8nises
not only the I￿redIble training our A¢ademy offer provides but ￿$0 the pcrfomianee opportunitie5
which provide a plarfi)rni for young people io learn how to ¢ondu¢t themselves in professional ￿tting5
and perforni to an audience. We are parti¢ularly pmud of ouryoung twile's achievements in the Jack
Petchey's Glee Club competition in which 5tudetts m￿¢ it to th¢ finals and perforrn￿ at the 02
Arenato thousfftnds of people.
Young Peckham continufd to provide over 100. 17-29 year olds wiih free tr&ining in aciing, arts
leadership and pN)du¢ing. Through h8nds-on weekly trainin8 delivered by industry proftssionals,
young ￿0p1¢ concluded each programm¢ with a p¢rforniance or event to show¢as¢ their leamings
providing them witll the skills, ¢xp¢rien¢¢ and networks to thvelop eareers in th¢ ¢￿at]Y¢ industries.
Guided by our Artistic Director's pedag(y- rooted in the belief thai every Indlwdu￿ the potential
to su¢ved and that the art5 are a powerfvl catalyst for personal and s(¢ial development - our work
¢ttaks nurNring, empowering environments where young people build confidenc¢, ¢xplor¢ th¢ir
idtntities, and gain real-world experien¢es. Through this approach, th¢y cultivate ￿rSonal 8row¢h,
so¢ial awarenes5. and a lifelong lov¢ of th¢ afts.
nots17ft￿On* who Ilka th wkfor help thlvlee ondJleel like I neerf¢• do th*rylhlxgmysey.
Thethe Peckham il'$ gÉnMln¢ly been Ilke, no• yoil eiiii• YOU ¢ukfor thlngs. I ihlnk It
pushed pne topMI in those spaces ihul rtherwise I dom'l ihlnk I wwtld belong IN.. LIa￿Ura
Bequiri

Tbeatre Peckham
Annual Rewrt and Accounts
For the year ended 31 March 2025
Trustees, Report
llhe8tre Pockb8m Perforni8nces by young people
Ev¢ry ¢hild had the QPPOTttJnity foralive perfornianceon our5ta¥e. Ind in the local community, sharing
nd Showcasi￿ their tslent io friends ond family auditncts. In 2024125 our youn8 peopl¢ I￿ and
perfornied rn..
Jack Petchcy Glee club
Com
iiion A r-24
Origitjate
show¢as¢
June-24
The Powtt of One
monologu¢ show￿se
June-25
Within the Windrush
By the lakeside July-
Rwts & Riddutn O¢t-
Dr¢8m Jun- 24
24
24
We a150 have our monthly pcw foyer events whieh provÈde opportunities for young people and
artists to )erform s
ioken word:
Poety Foyer: Earth
Poetry Foyer. Lyri¢ism
Day Apr-24
Jul-24
Safari Singing Jul-24
Ignite Music Video I Cleopotta's Anthony
Launch Au4-24
l Nov-24
Ignite Music Video Panl Peter's com¢ oul
Launch Au -24
I to PIFA D¢¢-24
Un.-roul¢ Scpt-24
NT Conn¢¢tions Mar-
25
Jungl¢ Jivin, July-25
The Wildlift in our
Wild Lives Jul-24
Poety Foy¢r- Black
Panthers Editio￿ O¢t-
Po¢ty Foy¢r Op¢n
Letters Feb-25
Po¢lly
Foyer-
cre￿1vIty May- 24
Foyer-
Nostslgia Au8-24
Poe
Solidarity
li'ov-24
Poetry Foyer
Refle¢ and Renew
Edition, Jan-25
Foyer Poety Foyer- Word$
EditithL For Pea¢eMar-25
Poety Foy¢r
Shade Jun- 24
No
P4xty Foyer Athunn
Editioffj S¢pt- 24
W¢ also programmed shows ihrough our Festival aThl Season which were wrltten and perfomed by
young peopl¢ from ouriraining wogrommes.
PeekbArn FTiDge
Run Black Girl Run
No but...where areyov reslly from?
Brothers Kttper
Veyll
Last Goal Wins
Voung Gifted and Black
Roots and Riddum
The P(>wer of Representation
Scratch Night
Cl¢opatra'$ Anthony
Thegtre Peckkam Thture leaders
utLwe Leaders ¢nfApsula*d the development opportunitics we provide our youn8 pcople to support
them progress into the <*eative industri¢s. This includes work experience opportunitie& paid fa¢ilitthr
rol¢s, internships, and l￿dership opportunities thrtsugh our Young P¢¢kham programme omd Eeyond.
Through ¢)ne40-on¢ support and group mentoring, we've helped yourtgpeople identify career pathways
and gain real-world experience to expli)Te them confidently. Participants engagrd with a wide range of
crcative prof¢55ionals aGros5 dis¢Aplin¢s - design, tthical theatr¢, producin& dire¢ting, ¢ommunity
arts. project managemenL mark¢tin& fi]ndraisin& aThl more - broadenin8 their understanding of the
creative ¢cosy#em.
65 /u of participants have completed at Icast 80 hoLfS of training or cxperi¢ncc. With 36 participants
still in progres& programme fft¢ntion is projeL*ed to rise to 88•/0 with those not eornpletin8 Ixin8 du¢
to securing jobs in the industry which ¢lash wtthtrainin8. 75 young peoplehavc secured paid ¢xp¢rienc¢
sin¢¢ joining the pro￿￿rne- cleaT evithnce of thr bridge we build betweeth training and ¢mploymenL

Theatre Peckham
Annual Report and Accounts
For the year ended 31 Mar¢h 2025
Trustees, Report
85•A of participatts are frorn the glob￿ majority
IP/o disclosed a disability. neurodiv¢rsity, or long-t¢rn) illn
51.kn l%v¢ in th¢ bottiNn 300A of the Index of Multiple Deyrivation (IMDI, with 2W• in the
bottom 15°
'Thedtre Peckhim b•oslin ryprofeJsioMlll devel0pmeRtandIhd￿MeIpE0pl£ iht* I
will continue to conlied wilh thidvork Wffk'_ Fmlure Leader
TheAtre Peckbam PartD¢rships And Hir&¥
We hosted a wide variety of hires for ￿rf1)m￿J¢¢J produdi¢m work and community focus¢d ¢V¢Dts
which resonate with our tar
et audien¢e. These ar¢ listed below.
Almond Careers
Ha.leis Cornet
PandeMoni￿rt Institute
Southwark Council
ASA Koudai Arts
Ltd.
Avalon
In st¢ Dan¢¢
Kumon Canada Wat¢r
Pa-er Bird%
Pe¢kham Settlcrnenl
Southwark Librarie5
Subterranea Britannica
BB Broadway
Bizzie Bodies
London Bubble Theatre
L4KTUB
Pilot Theatre
Poetic UniiK'
The w1ndn￿h Warrior
Theatre Amethl'st
CaTTr LTD
Matantha Church
Prim
. Shakes eare
I¥ison Advice and Care
Hub (PACT
| Puresoul Cr¢aliv¢ Arts
cic
Ra aniuk¢s TeatTts
Th¢atre Train Gr¢¢nwi¢h
Trumpet and Roses
Ba]loons and Events
Chalkline Theatr¢
Community
Southwark
DABB
Maria in the Stars
Mourtview
Music Archive
Unusual Production
Veolia Southwark
Gl85shouse theatre
Neon Perforniin
Arts Ltd
Razzamattaz
Versed Pa 7e
Royal Shake5pcare
Com
an%.
Golden Toad
Gra¢¢ Chur¢h
Old Vic
PAN intercultsjral Arts
Youn Creative Collective
BuildÉng Resili¢lle¢
Our resilience to withstand cultural ¢hange, fundin8 cuts to art spaces and growing di5CU5sions on EDI
in the creativc industries each year. does not deter us from our goHI, mwking u$ mt)re det¢rn)ined than
ever io show up for our cornmunity and young people. Our values gre mirrored in our ¢ommuniry and
we invite them to partK¢ipat¢, perforni and have a greater stske in a ¢ommunity theatre in the heart of
South London.
We have developed three multi-y¢ar projects to ¢reot¢ swtAinabl¢ ¢hange md platfom]
und¢rrepr¢sented vtiices:
Ract Equity
Exploring Taci5m in s¢bool$ and ¢￿ating safer and more inclusive School envirotrnents for Bladt
children in Lambcth and Southwrt. The project is rooted in the strellgth of collective experience
working within thes¢ COMM￿li1¢S aThl ¢xt¢nsiYe n¢tworks th?1 enable meaningful ¢n8agemeni with
k¢y stsk¢hold¢r5. A communily-led approa¢h has been tsken from th¢ start, focusing on amplifying th¢
voices of students, parents, educalor5. and community lead¢rs to develop practi¢al, lo¢ally relevant
solutio￿. The goal is to produce ouwts that complement and enhance ¢￿S11n8 frumeivorks. offerin8
h)q)er.local insights and fostering cross-5ector collaboration.

Theatre Peckbam
Annual Report and Accounts
For the year ended 31 March 2025
Trustees, R¢port
Elevatlng Spoken Word Th¢8tre
A research project led by young people to defJn¢ the temi '$￿ken word theatre" and develop a new
genre of the3tr¢. Buildill8 on our PO￿1¢ Relief, a partnership to develop spoken word P¢)etie Unity
and the Black Culiural Archive5, this project aims to make space for an emerging art fomi and
en¢ow&ge ¢r¢ativ¢s to use spoken word within theatre and grow a ¢ommunity forthe genre.
F￿(￿r¢I￿nd
In parthetBhip with Word5 of Colour, this multiyvdr project woyking with s¢hools in Southwark will
en8ase young people from und¢rr¢presented background5 in literacy. oracy and Creativity. Over thrtt
years, nearly 200 students will participate in 10 cr¢otiv¢ play 5ession% l¢arning to ¢xpr¢ss themselves
through different creative writing meAiiums. On ¢ompl¢tion, they will devise a fill￿ perfornian¢e,
showcasing th¢ir new skills and visiorL8 for a better futwe. This new initiative is a brilliallt exatnple of
our past outrea¢h work- by enga8in8 young people in creative activitte5 they find a space they belon
they are CllCOLrag¢d to pursue the arts. (knr best example of this i5 award-winntn8 actor. and Theatre
P¢cKtham patron John Boye8a who w&5 inwted to Theatre Pe¢itham following workshops at Oliver
Goldsmith- a lo¢al primary whcol.
Our plgns for th¢ fijbjre tam Into three eategori¢s:
Supporting the growth of a more representstive secior, providing oppOrt￿ltieS forpeopl¢ from
the Thidest backgrounds to g¢t into theatre and the creative sector.
Continuing to champion a festival approach to programming, attrarting the widest t7nge of
audien¢es and participants through our broad offer.
Ensuring a brighi fitsure, diversifying inwme streams and prioritising our ongoiD8 finaneial
viability.
Develop plans with our 40th c¢l¢bration to hL8hli8ht le8ary and raise our profile as a leading
learning theatr¢
FID*Del#l r¢vi¢w
This financial yeai hhs a very po$itiv¢ outcome in what has been a challenging peri￿1 for the sector.
The Theatr¢'5 final￿la] statt l5 resilient, and w¢ have seen an incre4sed diversity in fundin8 souires.
both external and internally generated. to rnake us p051tive about the futur¢. Thi5 has r¢5u]ted in a small
surplus of £21,446 contributin8 to the building of our reserves. Our ￿restriCted res¢rv¢s as of 3 1st
March 2025 are £216,948. This 15 5i8nificantly larger than lasiyegj and underpins the growing financial
resiliencc of Theatre P¢¢kham. FiDaDCW eontinue to be carefu]ly managed by the te￿n to maximize
potential earnedincixne a￿1 [￿l￿erxpe￿d1ture, fo¢u$in8 on a¢hievIt￿the¢harity'S mission and vision.
The strategy has been succtssful in securing long-t¢mi ￿nding new partntrships that not only
support stafy ¢apa¢ity but ilso shaT¢ resources and bring in exwtise from other orgoni￿li0tt8 both
locally and in the arts se￿Or.
Principal fuDding sourt¢$
We would like to thank all those who have supp)rted us financialty through the year. thri)ugh both
itidividua] 2nd grant funded donatior￿,. and those wtK> attertd the the*tr¢ as paying customers.
A detailed list of all gr8nt5 and our grant 8ivin8 bodie5 is wven in Note 2 to the aGcounts on page 19.
Reservts policy
The Trustee5 Shall:
Build up reserves until they rewe5ent an amount equal to an av¢ra8e 3 month's Nnning ¢osts
bas¢d on the prior yetrs financia] statements.

Theatre Pe¢kbgm
Annual Report and A¢¢ounts
For the year ended 31 March 2025
Tn￿ees. Report
Reserves may onty be held in cash or near cash equivalents with recognised and regulated UK
inStitulions a ¢r¢dit rating of A or greater.
While the Trustce5 and members ofthe Boanl seek to moximise retums on investments held as
r¢s¢ry¢5, this should not result in most of the resekves be¢omiyJg illiquid and in ￿CesSible in
the event of an em¢rg¢ncy, therefore at least 51Vo of the reserves should be instant acce55 and
the rest subject to notice not exceeding 3 montlks.
Reserves may only be utilised when the finance ¢ommittee recommends to the Board that such
us¢ is appropriate, ond th¢ Board ¥gree5 by majority vote off a quorate Board meeting.
Reserves may only fall below the level spe¢ified the Finance Commilt¢¢ re￿mmend$ to
the Board that such use 15 appropriaK and the Bcord agre￿ by majority vote off a quorate
Board m¢¢ting.
It has been challcn8ing to mainthin resetves at a policy level throu8houtihe year. Howev¢r. the Board
has to tr8d¢ off the need for financial resilience against the negaiive impa¢r of ¢easin¥ productions and
projects through la¢k of fiuiding. W¢ h8v¢ largely achieved this goal.
Th¢ Theatre'5 users are oft•1 th¢ vi¢tim$ of imconsistent support and.pK8ence in their livc& Our 8oal is
to be a sustained and consistent voice of hope and in1¢re￿ in their lives. The ttvste48 seek kn ensure
sufficient unr¢sthcted funding is available to maintsin the financial resilience of the Theatre but will
aim to maintain projects and programs Hthere funding ￿en cut and we are acting lo stture furthe
funding for th¢ rKoject OT rnore widely. the Theatr¢.
Going cou¢ero
After niaking appropriate enquirie4 the have a reasonable expe¢t#tion that the charity h&s
equate re50ur¢es to continue in operational existence for the foreseeable firture. Forthi5 reason, they
¢ontinue to adopt the going concern basis in preparing the finan¢ial statements. Further detsils
regarding th¢ odoption of the going corKem hsis can ￿ found in the A¢¢ounting Poli¢i¢s.
Strnctur6 8ovtrn4Dc¢ m#o#gement
Constitution
Thc charity i$ r¢gistered as a ¢haritsble ￿m￿try limited by guarantee. The Charities rebYst¢￿d office
is 221 Havil StreeL London. SE5 7SB.
The charily 1$ constinlted under a Memorandum of A5￿)elation dated 2 May 1986 and is a re815teTed
charity nurnb￿ 294399 in England and Wiles.
Metbod olappointmeDt or eketitsn of Trustees
The management of th¢ ¢harity is th¢ r¢sp)nsib7lity ofthe T￿Slee5 who are elected aDd cfropt¢d UTKi¢r
the teIIr15 of the Articles of Association.
The tn]stees who served during the 2024125 year were..
DR A Domingo
A Garrido S¢]rato
D WR Richards
E l M¢Kay- Stepp¢d down on 25th June 2024
G Broome5
G Min - Stepped on 28 November 2025
J A Aknnwand¢
M D Prendergost
N Browi)-- Stepped 19 May 2025
O Oyeleye

Tbeatre Pecltham
Annual Reptsrt and Acu)unts
For the year ended 31 March 2025
Thistees, Report
R J Prestorfr Stepped down on 25 June 2024
S L l Manyonda- Stepped dowjj on 25 Jut)e 2024
A Hattis- Appointed on 25th Jun¢ 2024
A Chakrap8ni- Appointed on 25th Jun¢ 2024
L Whiteway- Appointed on 25th June 2024
R JeanwPierre- Appointed on 25th June 2024
Approath and Yt¢rultmeDt of Trmstees
With th¢ Vice Chair and Treasurer approaching the end of their t¢nns we aTe beginning strategic
plat￿ing to recruit thw¢ key roles and ¢nsure that our Boards hold5 the keys skills atjd expErtence to
support Theatre Peckh￿. We are looking ahead to strategically plan the reGruitment for our next chair
with kni Domingo's second t¢mi coming to an ¢nd in 2027. By thinking ahead we can ensure a
smooth recrnitment, handover and onboarding process for new Tnst¢es which is PArti¢ularly ￿ltiCal
for thos¢ with additional responsibilities.
OrgADiSAtIong1 strnctsre decision mal&ittg
The Board of Tn]st¢es meet every three mojjths. or more frequently ifrequired, to considerreports from
the Senior Martagement Team, monitor finan¢ial pro8re55, agree budgets. and consider issues of
strat¢giG importan¢e. The Thstees dele8ate the day-to-day management of thc clwiry to the CBO and
Artistic Director, Suzinn McLe8ll.
The Board ¢unrndy has five sU￿COMmittees.' Pr08rdll]nll￿. Finance, Patrons, Nominations and PR
and Communication5. The ¢ommitt¢¢s meet as n¢¢ded and report proceedin88 to the full Board.
Risk m*D•g¢m¢nt
The Truste￿ a￿1 [nErn￿r$ of the managemenl committee review the major risk$ which the charity
faces on a regular basis using the risk regist¢r.
They are ￿MmItted to continuing to Incre￿ rcserves, ¢onLbined with an annual review of Ihe
Controls over k¢y fitw)cial system5. to provide suffi¢ient resour¢es in the light of adverse ¢onditions.
The Tn￿tee5 and memkrs of the mHnagrtnent wmmitte¢ have also exgmined other operational wjd
business ri$ks faeed by the Charity and eonfimi thatthey have establishcd systems to mitigate the
significoni risks.
Trnstees, responsibilities statsmwt
The Trustee5 (who are a150 directors of Theatre Peckhsm for the purpose5 of company law) are
r¢$ponsible for preparing the Trust¢¢s' Report aTMI the financ181 statements in aecordatt¢e with
applicable law and United Kingdom Accountin8 Stsndards (United Kingdom Generalty Aecepted
Accounting Practi¢e}.
Company law requires the Tn￿¢¢$ to prew¢ finan¢ial statements for each fitw]cial year. Under
company law the frustees Inu5t nDt apFwve the financial staternents unless they are satisfied that they
giv¢ a true and fair view of the state of affair5 of thc Gharitable ¢{￿panY and of the in¢oming re50urccs
nd appli¢ation of r&8our¢¢s, including the income and expeThJitutt. of the Ch￿Itable company ftr that
period. In preparing thes¢ financial statemen14 the Tru5ttts required to:
select suitable accounting polici&q and then apply them consi5t¢ntly-
obsetve the methods and principles in the Charities SORP.
make judwnems accounting estimates are re8sonabl¢ and prudent.

Theatre Peckham
Annual Report and Accounts
For th¢ year ¢nd¢d 31 Mawh 2025
Trustees, Report
5thte whether applicabl¢ accounting standards have bcen followed. 5ubieet to any material
departurts disc105ed and explained in the financial ststem¢nts,' and
prepare the financial statement5 onthe going conctm basis unless it is inappropriaieto presume
that the ¢haritablc company will ¢ontsnu¢ in op¢ration.
Th¢ Trwste45 are r¢5pon5ible for keeping adequate aCco￿ting R¢ords that ar¢ sufficient to show and
explain the ¢haritable ¢ompany's trdnsactions and disclose with reasonable accurxy at any time the
fitwic1￿ posilion of the charitable ¢ompany and enable them to ensure that the financial stat¢ments
eomply with the Companie5 Act 2006. They are a150 responsibl¢ for safeguarding the assets of the
¢haritabl¢ wmp8ny and hence for takin8 reas¢)nable steps for the pre￿itiOn and detection of fraud and
other irregularities.
Th¢ TnJst¢es are responsible for the maintenance and integrity of the corporat¢ and finan¢ia]
infomtion included on the charitable company's web5it¢. Legislation in the United Kingdom
overning the pr¢par81iot) dissemination of financial ststcrnentsmay differ frorn legislation in ￿her
jurisdictiOIL%.
Indep¢nd¢nt #uditors
Simpson Wreford J.LP., w¢r¢ app)it)ted as Indewdent Auditors during the year and have cxpressed
their Willin￿eSS to continue in that ¢apa¢ity.
The trustees have ¢omplied with their duty in section 17 of the Charitie5 Act 2011 to have due regard
to the publir benefit guidance publish¢d by the Charity Commission.
Signed on bebaif of Trustees on 18 December 2025.
Dr A Domin80, Chair
Trustee

Thegtre Peckham
Annual Report and Accounts
For the y¢ar ended 31 March 2025
Independent Audilor's Report to the membet3 of Theatre Peckham
Opinion
We have auditsd th¢ financial strtem￿t5 of Th¢atre Peckham (the"ChaTity") for th¢ yearended 31 Mar¢h
2025 which comprise the Staiementof Finan¢ial A¢tiviti¢s, Ba]an¢¢ SheeL Ca5hFlow Ststem¢ntand notes
tothe financial statements including a 5urnn]ary of$ignhfi¢anl a¢¢ow)ting ￿]i¢l¢s. The flnancial reportins
framework that has been applied in their preparation is applicable law and United Kingdom Accounting
Standayds. including Financial Repo)Ting Standard 102.. Th¢ Financial Keporting Standard appli¢abl¢ in
Ihe UK and Republic of Ireland (Uniied Kingdom CrtnerAlly Accepted Accounting Praclice).
In our OP]DlI￿, the financial 51at¢ments'.
give a true and fair view of the $tat¢ of the Charity's affairs as at 31 March 2025 and of its in¢oming
re50Urtes and application of r¢sour¢¢s for th¢ y¢ar then ¢nded.
have b¢en prop¢rly ￿epared in acwrdance with United Kingdom Generally A¢c¢pt¢d A￿9￿￿ting
Pradi¢¢
have been prepared in ae¢ordatJ¢e with the requiremeths of the Charities Ac12011.
havc be¢n prepaTed ID accordance with the requirements of the Companies A¢t 2006.
Bo8]8 for opinioll
We Conduct￿ our audit aecordance with Int¢m81ional Standards on Auditin8 (ISA$ (UK)) and
applicable law. Our responsibilities under those standards are fwther des¢ribed in the Auditovs
responsibilities fw the audit of the financial 5tatcrnertts 5e¢titsn of our report. We are independent of the
charitsble company in aecordance with the dhical requirements that are relevant to our audit of th¢
finan¢iAI statements in the UK, inclllding the FRC'S Ethical Standard, aTKi we have ￿lfilled our other
ethical re5pon5ibilities in accordanre with thes¢ rquirements. We b¢liev¢ that th¢ audit ¢vid¢tK¢ we have
obtained is sufficient and approprfftate to provide a basis for our opinion.
CoDcIu$ioD$ relotillg to gOI￿g ¢ontern
In auditing the financia] statements. we have concluded that the trustees. use of the going concem basis
of accowiting in th¢ preparalion ofthe financial statements is appropriate.
Based on th¢work w¢ haveperfonned, we have not identified any material uncertaitrties relatingto events
or conditions that, Individu￿]y or ¢oll¢¢tiv¢Ay, may cast Slgnificantdoubt onthe Theatr¢ Peckham'$ abilty
to continue as a goin8 concern for a period of ot least 12 months from wh¢n the financial statements are
auihorised for issue.
Our responsibilities and the responsibili¢ies of ¢h¢ InL&t¢¢s wilh respect to going wnc¢m are d¢s¢sibed in
the rel¢vant sethions ofthis r¢p
O¢b¢r iDforni8ti•
Th¢ other inforniation et)mprises infomydtion included in the ajjnual report including the ttustees,
report. other than the financial ststem¢nts and our auditor's report thereon. The trustees are responsibl¢
for the other information contsined within the aJ)nual r¢port. Our opinion on the financial statements does
not cover the other infomiation and, ¢x¢ept to the extent otherwise explicitly stated in our rep)rt. we do
not cxpress any forni of assurance conclusion theretsn.
Ourr¢sponsibility istor¢adth¢ oth¢r tnfomiation and. in doing so. consider whetherthe other inforniation
Is materially I￿onsI$le￿r with the finan¢ial ststements or our kDowledge obtained in the Course of th¢
audii or otherwise appears to bc materially misstated. If we identify $u¢h material inwnsi5tencies or
10

Thealre Peekham
Annual Repoyl And Atcounrs
For the year ended 31 Ma￿h 2025
Independent Auditor's RepKtrrt to the members of Theatre Peckham
apparent maiwial misstatem¢nts, we are required to determine whether this wves rise tr) a rnftt¢ri81
misstatement in the f]nancial statern¢nt5 themselves. IC based on the work we have p¢rfonncd. we
nclud¢ th* there is amaterial rnisstatemertt of this other infomI￿10n, we ate required to report that fa¢L
We have nothing Lo r¢port in this regard.
Opinion5 on other Thatters prestr1l￿d by the Companles Aet 2006
In our opinion, b8sed on the work ur¥Jutaken in Ihe COLU5e of the audit..
theinfornmtion giveninthetrLtstees' r¢pkn forth¢financialyearfor which the finaJKiAI statemcnts
are prepared is ¢4)nsistent with the financial ststwents; and
the Inthes, r¢port hNs been prepared in a￿ord0￿Ce with applicable legal r￿u]r¢ment$.
Matt¢Ts QD whirh we Bre required to report by exeeption
Tn the light ofthe knowledge and understanding ofthe Charity and its rnvironmenl obtained in the course
of the audiL we have not identified material misstatements in the Tn]stces' Annual Report. We have
nothing to report in r¢spe¢t of the following m8tt¢rs in relation lo whi¢h the Companies A¢1 2006 requires
Us to reportto you if, in ow opinion:
adequ&te accow)ting r¢cords hav¢ not been kept or returns adequat¢ for ow audit have not be
re¢eivcd from branches not visit¢d by us,.
the fitwicial statements are not in a8reement with the accountin8 records and returns.
certain dis¢losures of tJust¢¢s' r¢mun&ation specified by law are notmade. or
w¢ have not obtained all the infonnation and explanatiOll5 necessary forthe pwse5 of our audit.
R¢spowibiiities of tke trusltes
As explain¢d more fully in the trustees, re5PDll5ibilitiCS 5tatetnenl set out on pa8e 8 the trustees are
resw)nsible f(* the pr¢p2ration of the financial statcmcnts and for being satl5fied that they give a tru¢ and
fairview. and for 5u¢h internal Contrtsl asth¢y d¢t¢rmine is nettssary to ¢nable the preparation of financial
statements that free from material misststement, whether due to fraud or ￿TOr.
In prtparing the financial statemen￿ th¢ tnth¢s aff responsible for assessing the Chariry's ability to
continue as agoing ronGe￿4 dis¢losing, ￿ appli¢abl¢, matters relat￿ to goin8 concern and usiog thegoitig
concern basL5 of accounting unless the tsustees either intend to liquidate the Chan"ty orto cease operydtion4
or hav¢ no r¢ali$ti¢ alt¢rnative but to do sts.
0￿r responsibiliti¢s for tb¢ 8udi¢ of th¢ fingDdai st•tements
Our objectives are to obtain reasonabl¢ assurance about wh¢th¢r the finan¢ial statements as a whole are
free from material mi5Statem¢llL ￿￿ther due io fraud orerror, andto i$su¢ an auditovs reportthat includes
our opinion. Reasonable assurance is 8 high level of as$uranee, but is not a guarantee that an audit
co))ductsd in a¢¢ordan¢¢ Trfith ISA8 IUK) will ￿waYS detect a m&terial misstatement when it exists.
Misstaternents¢an aris¢ from fra￿ or ¢rrorand are considered malerial if, individually or in ¢h¢ aggregate,
thry couldre450nably be ￿p￿￿edt0 intlu¢n¢¢ the ¢¢ononii¢ d¢¢ision$ of users tsk¢n on the b￿15 of these
financial statcmentS.
A fiuther description of our r¢spomibilities for the audit of the financial statements is lo¢ated on the
Financial Reporting COU￿11,5 w¢bsit¢ al: [www.fr¢.org.uklauditor5r¢sponsibili¢i¢sl. This dexription
forn]s part of our auditor's r¢porl.

Theatre Peckham
Annual Report and Accounts
For the yexr eAhJed 31 March 2025
Independent Auditor's Report to th¢ m¢mb¢rs of fheatr¢ Peckham
Ex¢¢nt to whlch the xudlt was eonsldered cApg4ble of detettiDg irregularitiesj ineludlnE fraud
the engagement partner ensured that the engagemeni team ¢olleaively had the appropriale
eomrKtets¢e. capabilities skills to identify or Tewgni$¢ non-C(xnplianc¢ wilh applicable laws
and regulations.
weid¢ntified th¢ law5 and re8ulotion$ applicableto thecornwdnythrough discussions with ttl￿e¢S
and oth¢r managemenc and from our eommercial knowledge atsd experience of the social c4r¢
5ector'.
we focused on srrtifi¢ laws and regulations which we ¢(￿Sidered may have a direet M￿trial
effect on the financial statements or the operation5 of the ¢ompanyi indudin8 the Companies
Act 2¢X16, data wot¢¢fion and the Chariti¢s Act 2011;
we a$$￿$£d th¢ eXt￿t of complignce with the laws and r¢guiations identified 4b¢)ve throu
moking enquiries of management and iThspectin8 legai correspondence,. and
id¢ntifJed laws and rew]lations wert eornmunicatcd within the Y4udit t￿n re8ular]y and the team
remained alert to in5tance5 of non￿OmplIan(t thr￿ghout the a￿lt.
Audit ruponse to risk% identified
We assessed the susceptibility of the charities. fInatKI￿ Sta￿ents to material misstatement. inc]￿lirtg
obtsining 8n w)derstsnding of how fraud might occur, by..
making ertquiries of mon&gem¢nt asto wher¢they ¢onsid¢red th¢r¢ was susceptibility to frau
their knowledge of actual, suspected and alle8ed fraud. and
¢onsid¢ring the internal controls ith place to miti8ate risks of fraud and n(Trcompliance with
laws and r¢8ulations.
To address the Ti5k of fraud throu￿1 nJanag¢m¢nt bias and ov¢nide of ¢ontrols. we..
perfom)ed ana]yti¢al pro¢edur¢s to id¢ntify any unusual or unexpected relationships,.
tested joumal entries to id¢niify unusual trdnsactions;
ass¢ss¢d wh¢ther judgements and 8ssumtrtions made in deterniining the a¢counting estimates
set out in Note I w¢re indicative of potential bi&s.' and
illvestigated the rdtionalc bchind 5LgnLfi¢ant or unusual transactioThs.
tn response to the risk of inegulosities othd non-¢omplian¢e with laws 8nd ￿guE#tiOn$, we designed
procedures whieh included. but were not litnited to..
agr¢eing finan¢io1 stat¢m¢nt dis¢losur¢s to underlying supporting documentalion and.
enquiring of managcm¢nl as io actual and tx>t¢ntial litl8ation snd claims.
• reviewing ¢orr¢s￿ndenCe with The Charity Commission.
There are inherent lirnitatioTJS in our audit prcKedures described above. Th¢ more removed that laws 21
regulotions ate from fJnancia] transaction5. the Ic5s likely it is that we would become aM'aTe of non-
cornpliance. Auditing standards also limit the audit procedures required tr> identify non-complizn¢¢ with
laws and regul￿10n$ to enquiry of the directors and other management and the inspection of regulatory
and legal correspondence. rf any.
Material misststements that ar]￿ due to fraud can be harder to detect than those thal arise from error
they may iDvolv¢ d¢liberate concealment or eollusion.
12

Theatre Peekham
Annual R¢port and A¢eounts
For the year ended 31 March 2025
Independent Auditor's Report lo the members of Theatre Peckhom
Otb¢r Mgtter
The ¢orresponding figurw ar¢ unaudited. lThe prior year fJ8ures havc becn indep¢ndentiy examin￿.
Use of our report
This rew1 is made sokly to th¢ Charity's member5. &8 a body. in accordance with Chapter 3 of Part 16 of
the Companies Act 2006. Our audii work has be¢n undertaken so that we mi8ht stat¢ to th¢ Charity's
rnernbers those matters we are required to statr to them in an auditor's report and for no other purpose. To
th¢ fvll¢st Lxtent pemiitted by law, we do not accept or assume respot)sibility to anyone ¥)ther than the
Charity's members as a b(Kiy. for our audit work, for this r¢porL OT forih¢ opinions w¢ havc fcnned.
Kate T#ylor FCA (Senlor Statutory AllditOT)
For slld behalf of si1np50￿ Wreford LLP, StAtut•ryAuditors Cbart¢r¢d AeeoThllt*￿ts
Wellesl¢y Howe
Duke of W¢llington Avenue
London. SE18 6SS
13

Theatre Peckham
Annual Report and Accounls
For the year ended 31 Ma￿h 2025
Statement of Financial ActÉvities
(IncoTpofdting Income and Expenditure account)
UnTrstricted
2025
Restricted
2025 Totsl 2025
Totsi 2024
Notc
Ineome fi￿rn:
Grants and donat￿nS
265221
526.011
537,005
Charitabk activitRs
429.640
429.640
360,858
ot￿r trading actiytes
35218
35218
3&018
79,425
79,425
81fj94
Totsl Intome
260,7
,070
Expenditure on:
Charitsbk a¢tivi*s
784.758
I.IM8,848
993.113
Totsl Expellditllre
784,7)8
264,0
1,048,848
993.113
Trallskr belween ￿ndY
13
60,782
(60.782)
Net Movement ofFunds
85528
(64,082)
21,446
24,462
RetoDclllailoD of
Funds al l Apri] 2024
Ftmds ai 31 March 2025
131420
216,948
212.801
148,719
344221
365,667
319,759
344221
The Statement of Financial Activities includes all gains and losses in the year. All income and
expenditure derive from continuing a¢tiviti¢s.
Th¢ not¢s on pages 17 to 29 fom) part of these financial statements.
14

Theatre Pecliham
Atmual Report and Accounts
As at 31 March 2025
Balance Sheet
202S
2024
FIXED ASSETS
Inta￿￿ asscts
Tan*k ass¢
7323
io
141 J69
1%.184
CURRENT A&SETS
Debtors
Cash at FAnk and in hDnd
20&020
12&882
336.9)2
145,030
149.698
291,728
CREDITORS: atnijurts falling due year
12
NET CURRENT ASSETS
210537
CREDITORS: amOw￿S faikn)g after thon (Me
year
12
215(K>I
NET ASSETS
365,667
344221
CHARITY Fuf4DS
RcstyKted fi]
Unrestri¢ted
TOTAL FUNDS
14
14&719
.211801
131.420
344221
14
365067
For the yegx ending 31 March 2025 the company was entitled to exemption from audit undersection 477 of the
Compani¢5 A¢t 2006 r¢lating to small compaTJies.
The director5 acknowledge theirresp)nsibiliti¢s for ¢omplyin8 withth¢ ro4uirements of th¢ Aa with respect to
a¢counting re¢ords and th¢ preparation of flnancial statements.
Th¢tru5tees have not required the company to obtain an audit of its financial $tst*n¢nts forthe year in question
in accoTdance with section 476
Thcse financial statements have been prepared in accordance with the provisions applicable to companies
subje¢t to th¢ small companies. regime.
The financial 51atements on page5 16 to 28 were approved by the Truaees on 18 D￿ember 2025 and 5igncd on
th¢ir behalf by
Dr A Dolningo, Chair
Company Number.. 02016836 {England & Wa]¢s)
15

Tbeatre Peckham
Annual Report and Accounts
For the year ended 31 Ma￿h 2025
Statement of C&sh flows
2025
2014
Funds
N•te8
Ca51L flow5 from op¢rntiti8 attEv5tk$'.
Net pmvided by operdtiDg activities
24
570
115369
C&8h lows from Thestknz aetfvltles:
Pwtha.4t of I￿r￿rry ]knt and ciyjrpmcnt
Net provided by {used in) Inytsthbg #etlvltk$
I22￿)
I22￿>1
19,568
frgm IDAllfI￿ Hctivi¢ie5:
Repayments of iuroHwg
Net t￿b pmyided by {used in) fiD*ttcing #¢tlvltl¢$
18
Lhunge in cash and cash equi￿￿r￿ n thc rcwtll¥ perA7J
Cash ond c&%h equivaknts at thc t¢gll￿mi@ of the reikning perxNJ
Cash and cash equivaknts at the end of the rewrtng p¢rK
120.816)
149098
128,882
113,1 19
25
25
149698

Theatre Peckham
Annual Rewrt and Accounts
For the year ¢nd¢d 31 March 2025
Notes to the financial statements
Aceountillg Polici
1.1 Basis of preparation of finaneial statements
The financtal statements have been prwed in aecordance with Accounting and Reporting by Chorities:
Statement of Recotnmended PJa¢tice appli¢able to ¢harities preparing their acCo￿tS In a¢¢ordaTKe ￿￿th
the Financial Reporting standard applicable ln the and Republic of tr¢land (FRS 102) - (Charili&4
SORP IFRS 1021), the Financial Reporring Standard applicable in the UK and Republic of JreloJ)d (Ftis
102) and the Compani¢s A¢1 2006.
Th¢atr¢ Pe¢kham meets the definition of a publi¢ Eenefii entity under FRS 102. Assets and labilities are
initially r¢c¢wised at historical cost or transaction value unless otherwise stated in the relevant
ccounting policy.
12 Company status
The cbarity is a c￿npanY limit¢d by 8uarant¢e incotporatrd in EDgland and Wales under register
numlxr 02016836. The mrmbets of the cotnpany ai¢ the Trustees named on the ¢ompany infortnaiion
page. In the event of the charity kirtg wound up, the liability in respect of the 8uaraniee is limited to £1
per mcmber of the charity.
The registered office is 221 ￿Vil Stre¢( LoDdon. SES 75B
1.3 It￿Orne
All incorne is rt¢ognised once the charity has cntitlement to the iThcome, it Is probabl¢ that the in¢om¢
11 be re¢eivoJ, and th¢ amount of income receivable ean bc measured reliably.
For legacies, entitlement istakenas theearlier of thedate on whi¢heither. lh¢ chartty is aware thatprobate
has been grnt)ted, the ¢$tste h&E be¢n finalised and notification has been made by the executorf5) to the
Trust that a distribution will be mad¢, or a distribution is received from the estsr¢. R¢r¢ipt of
legacy. in whole or in parL is only considered probable when th¢ 4mouDt can k measured reliably. aThJ
th¢ charity ha5 been n￿]fied ofthe ex&utoEs intention to make a distribution. Wher¢ lega¢ies have been
notified to the charity, or the charity is awaTf of the granting of probate And the critcria for incixne
r￿OgnitIon ha￿ not been m¢L then the legacy is treated a contingent asset and disclosed if mat¢riai.
DonY4ted servi(¢s or fa¢ilitie$ ar¢ re¢ognis¢d when the charity ha5 control over the itern. any Gondition5
a550ciated with the don*ed Item have been meL the TC¢ClPt of ¢¢onomi¢ b¢nefit from the use of the
charity of th¢ it¢m is probable and th* ecorM)mic benefit Can be measured r¢liably.
On receipt. donated prof¢ssIon￿ s¢tvi¢es aftd d0t￿ted facilities are recognised on the basis of th¢ valu¢
ofthe gifl tothe ¢harity whi¢h Is the amount the charity would have been willin8to pay to obtain services
or facilitie5 of equivalent e¢onorniG benefii on the open market. a corresponding amount 15 then
reco￿]sed in expcnditure in the period of receipt.
1.4 Exp¢ndltt￿e
Expenditfft is recognised on¢¢ there is a l¢g3] or Con$t￿Ctive obligation to transfu e¢onomi¢ benefrt to
a third party. it is probable that a transfer tsf e¢oDomi¢ b¢nefits we be required in settlement and the
amount of theobligationcan be ￿e0S￿ed i¢liably. Expenditsre is cl&ssifLed by activity. The Gosts of ea¢h
17

Theatre Pecltham
Annual R¢port and Accounts
For the year ended 31 March 2025
N￿e3 to the financial statemen15
activity are tnade up of th¢ tirtaj of direct ¢osts and shared eosty including support c(rt8 involved in
undertaking ¢xh adivity. Dtrect costs attributable to a Single activÈty are allocated directty to that
activity. Shgx¢d Costs which ¢ontribut¢ to more than one activity and support costs whi¢h are not
attributable to a sin8le activity are Apportioned between those a¢tivili¢s on a basi5 ¢onsLStent with the use
ofresourees. Central staffcosts are allocatedonthe ba5i$oftimespenL anddepreciation ehargesallocated
on the wtion of th¢ assel'5 use.
Govemance ci)sts arethoseiJKury¢d in ￿nneCtIOn wth administration ofthe charity and complian¢ewith
constitutional 8nd statutory requirtiiieiits.
Charitable activities and Governan¢¢ ¢￿ts ar¢ Costs incurred on the charity's ¢du¢ational operattons,
in¢luding support costs aTLd costs relating to the gtsvemartre of the ¢harily apportioned to charitable
activities.
All expenditure i5 Lnrlustve of Irre¢overable VAT.
Redundancy payments are reco￿LSed in the period im which an agreement is reaehed.
1.5 Intangible fL¥ed &85ets and amortis8tion
Intangible assets Costing £200 or more aT¢ Copits]is¢d and reCo￿lSed when futur¢ econorni¢ benefits are
probable, and the cost or value of the asset can b¢ measurtd reliably. tntangible assets are initially
re¢oBnised at cost and are subsequently measured at G05t net of grnorti5ation and any provision for
Impairnient.
Website developmettt
6•A ￿duCing balance
1.6 Tangible fixed as5et$ hnd depre¢batio
All asyets costing morethan £2(4) are (apitaliscd.
A review for impainnent ofa f]xed asset is earried out if events or changes in ¢irctsmstADtts indicat¢ that
the Carrying value of any fixed ossel may not be T¢¢overabl¢. Shortfalls b¢tw¢¢n th¢ wrying v￿u¢ of
f]xed assets and iheir r¢cov¢rabl¢ amounts are recogThised as impainnents. impairnient losses are
reco8Thised in the Statement of Finanrial A¢tivities incory￿rating incom¢ and Expenditure Account.
Tangible fixed assets aTe Carried at C051 net of dcpreciation and amy provisKon for impairnienL
depredatitsn isprovided at rni¢s ¢al¢ulat¢dtoMrit¢ offthe cost of fixed &s5&S, l¢$s th¢irestimat¢d r¢sidu&l
value. overtheir expected useful live6 on th¢ following b￿¢s.
Long.temJ letsehold property
Motor vehi¢les
Th¢4tr¢ fixtur¢s and fitiiDgS
Theatre equipmeThi
Compth¢requipm¢ni
Portable s￿nd equipment
L¢asehold improvem¢t)ts
overthe temi of th¢ l¢as¢
25Vo reducing balart¢e basis
I￿15/• redu¢ing balan¢¢ basis
25Vo reducing balance b&8is
33Vo strai8ht line basi5
s￿/tr straight line b￿lS
I S4/r* reducing balance basis
18

Tbeatre Peekha
Annual Report and Accounts
For the year ended 31 March 2025
Notes lo the financial statements
1.7 Interest re¢eivabl¢
Interest on fund5 held on deposit is in¢luded when ￿¢¢]vable and the amount c&n be mc4sured
reliably by the charity. this is nomially uport rtotification of the interest paid or payabl¢ by th¢ Bank.
1.8 Debtors
Trade and other debtors are reco￿]sed at the settlement amount after any trade discount offered.
Pr¢payments arc valued at the amount prepaid rhel of any trade dis¢out)ts due.
1.9 Cash at bank in hartd
Cash at bank and inhand includes and shortterni highly liquid investments with &short matUTity
of three months or less fr(Kll th¢ the of acquisition or opening of the deposii or 5i]nilar accoLmt.
1.10 Liabilities and provisio
Liabililies are Teco8nised when there ts an obligation at the Balance Sheet date ai a result of a past
¢ven( tt is probabl¢ that a transftrof ￿onoMiC benefit will k required in settlement. and the amount
of the sett]ement can be estimated reliably. Liabilrtie5 arc Tecogllised at the aMo￿t that the charity
artti¢ipat¢s it will pay to settle the debt c>r the aMo￿t it has received as advanced payments for th¢
goods or services it rnust provide. Provisions arr measured at the best estimate of the amounts
required to settle the obligatioll. Where theeffcct ofthe tirnevalueofrnoney is material, the provision
is based on the present value of thuse alnounts, diseount¢d at the prtrtax discount rate that reflects
the risks specifit tothe liability. The ynwinding ot th¢ disco￿)[ is rc¢ognised wthin interest payable
and similar char8es.
1.1 l Financial instruments
The clthrity only has fingJ)cial assets and finan¢ial liabilities of a kind that qualify as basic financial
instruments. Basie ftnancial Instruments are Lnitially recogni5ed at transaction valu¢ and
subsequently measured at their s¢tt]em¢nt value with th¢ ¢xcei*ion of bank loan5 which 8
subsequently me8sured at amortised cost usin8 the effective Interest method.
1.12 Pe￿10￿$
The charity operate5 a defined eontribution pension 5chcrne and the pension charge r¢pres¢nts the
amounts payable by the charity to the in resp¢¢t of the y¢aT.
1.13 Fund a¢¢ouniing
General fi￿￿8 are un￿stricted funds which are available for use at the discr&ion of the Truske5 In
further&n¢e of the gener￿ obj¢clives of th¢ ¢harity and which have not been d¢signat¢d for other
purposes.
Restri¢t¢d fynds aT¢ filnds which are to b¢ used in acc(TrrdaTrce with specific r¢stri¢tions impos¢d by
donors or whi¢h have been ra￿ed by the eharity for particular purposes. The ¢osts of raising and
administ¢Ting su¢h ¢h8rg¢d against th¢ specific fwid. The aim and of ¢ach restricted
fi￿d is set out in the notes to the financial statements.
19

Theatre PeekhaDY
Annual Report and Accounts
For th¢ y¢gr ¢nded 31 March 2025
Not¢s to the financial statements
2 Intome from donltions l¢g4¢i¢s
Unt%$tricted Re8ti%ttd
21125
2025 T•tsl 2025
Gr*llts *#d Don*tio
Ttri*l 2024
Do#AIiDos
617
21617
21617
21617
15329
15J29
Grants
Arts Council- CIKe
Berk¢￿Y Hon*8
&v¢ Match Donat>
Charterhow¢ S￿k
D'oyty Carte
f8llbatrn
EIiKakth & Prnce Za¥er Trust
(hrys and St ThDmas F{￿kni. Impact ur]￿ htahh
Jack Petcl*y foutwJatth- Award%
Jack Pet¢l%y Folltht￿n- Snlern
Ja¢k Petcky FourKlatKm- row
J4¢kP¢t¢ky FourvJatin- Atademy
Jack Pckky Ftyjthtbjn
145554
145J54
145J54
25(K>
8250
32(K)
32tx)
SO,(KK)
5200
114721
4AOJO
l.B. SouthwaTk. Cuknjre ToBetl*r
L.B. SotsbwrtPtt)pcts
LB. SoudMaJk- P05*ivg Ful￿5
L.B. SoMhwaAE. Wa£e
LB. so￿Wa￿- M•na8emeni of Canada Wai
L.B. SQ￿waTk- Rye4in8wdh PrKk
L.B. SouhwaTk. B￿ck History
Ixxthj Y*yJth (ktt•w A¢trye
Mak¢ MoY¢s [￿d. CAr
Mercers Truyt
Mer¢bart Taybr
FLY An
NHkn&lHerÉ88e Fwxl
alk￿lLOttery. Poetic Unny
Th¢atr¢. CQrffj¢￿￿
NeWc{m￿ co￿1
Nl<¢l Coward FLwtht>)n
Pa￿ HamtyD Fo￿￿ati
Peckham SelllEmBnl
Royal V*tr*ia Ilill
Swrt¢d Fomdat¥
Tr Portal TnL8t
Unied St
15.1(X>
5,1
212SO
475
47J
21IKK)
lJ78
1173
iJ78
2,173
125
90,124
9Q124
77,176
776
22219
T76
21219
W19
30,0(XI
3.110
3.110
3875
3,¥75
44,0
20,0
242.604
160,790
303.394
521.676
265
52

Theatre Peckham
Any)ual Rewjrt and Accounts
For the year ended 31 March 2025
Notes to the financial staiements
3 Income Ir&m charitabl¢ Ind trgdiThg 8ttivitie#
Unrestiicted
2O1S
Total 2025
Tot812024
Cknarftable artlvltles
In house produ¢tN)n ti¢k¢t sths
Box office splits
Other a¢tivkies
Other ¢v¢nt fee5
External Workshop fvs
Workshop fees and manber5hip fees
Courses and mast¢r ¢]ass¢s
Room and ¢qu4) hire
Services
Sundry
113,410
4.820
7,373
113,410
4,820
7,373
85.842
51,782
4.595
(76)
19.493
80,036
1.172
90,554
735
155.084
46.351
10.141
1,172
90,554
735
155,084
46,351
10,141
103,819
13224
2.143
360.858
Trdding activiti¢$
Café, bar and tuck tskin85
Dan¢ewear
er¢handis¢ and pubkation8
32.697
2.350
171
32,697
2,350
35,542
2.321
155
35.218
35.218
4 Direet Costs
Activitie5 wnd
prody¢ti•n5
Totsl 2025
Total 21124
WorkslK)p publicity
MarketiJ)8
Productio
Programn* development
Duncewear and merthaJMlise
Tuckshop aThJ bar purchases
costs
Other theat￿ 8¢tivities
Tutor lees
CoTJsultants
Staff expenses
Staff training
Wages a￿1 salaries
National in5uraw¢
Pension cosi
3224
18.717
111284
70.107
2334
23235
37205
62.438
3,224
18,717
111284
70.107
2,534
23235
3720S
62.438
112,113
3,070
1.753
1,827
345,459
23,870
7,163
8,582
17J51
164,062
4.894
4,175
24,878
14,603
50.019
96,525
5,870
2J91
2.986
339.086
19,674
5,994
3,070
,753
1.827
345,459
23,870
7,163
823 999
823
99
761
21

Theatre Peckham
Annual Report and Accounts
For the year ended 31 Mawh 2025
Notes to the financial statements
5 Goverllan¢e coJ¢$
UD)TStrieted Restricted
Fund8 2025 Fund 2025 Totsl 2025
TotAI 2024
Rate5
Light and heat
Repaws and ren¢wa15
Computer costs
Insurance
Hyg￿ne SeTh￿es
Pr￿)1￿)% p)stsge aTrJ sthtb)nery
Sub5trpli)ns
Tekphone
Caterng and hospitakny
General expense$
Bank charge5
Equwent
Profrssional fees
Audit fees
D¢pr¢CWt￿)n of tanglk]E fred assets
A￿K)rt￿￿tiOrt of trrtan811)k frxed assets
1114
46,616
19,182
5.660
9279
39297
5,060
11.853
3.551
25
(3.650)
8,992
2,114
48,616
43J32
3,682
48.163
41,402
5J75
9,502
46.￿5
7J61
3.761
3,673
422
2,850
13J29
245
6,718
7,8(A)
30,978
497
24.150
9279
39297
6J99
12568
3561
113
2.034
8997
lJ39
714
10
88
5,684
6.635
11.8fA)
23.916
467
6.635
11,860
23.916
467
190.860
33990
224,8Y)
231,823
6 Anatysls of expeDditure by typ¢
Dep￿tillIOn
nd
Staff Costj Amortis•tioD OthErC.0sts
202S
2025
202S Total 2025
Tot￿ 2034
Chartabk
38Q072
443927
21)0.467
644J94
23999
224,850
1.048,848
16ll2￿)
231,8
993,113
24,383
24J83
7 Net ovtgoikng resoDrce4
This is stated after Chargiw.
202S
2024
Depreciatx)n of tan8Bbk fDKed a55ets
A￿(￿li￿alK)n of ￿tAng￿k assets
Auditors, remullerati)n
23.916
467
82
30,978
497
21

Thcatre Peckham
Annua] Report and Acwunts
For the year ¢nd¢d 31 March 2025
Notes to the financial statements
Stgff fos
S¢#ff ro$¢$
Staff costs for rk year wrre 3s fol]oMs:
2025
2024
Wag¢s Otxl salari¢s
Redundancy pavnrnts
cial ¢OSts
Oiiw p¢nsion costs
341,228
4,231
23.870
7,163
376492
339.086
19.674
5,994
average nurt*erof enwloy¢¢s during the year, calculated ontrt ba5LS of full tinx 5tatF. was as follows."
2025
21124
Direct charitabl¢ work
30
27
No ¢mploy¢¢ paid a salary grt&ttr thaA£60,000.
9 Int4￿gIble fixed assets
Websitr
Develtspment
Cost
At l April 2024
Additions
Disp05als
At.31 Ma￿h 2025
11,912
11.912
Arnorti58tion
At l April 2024
Charge for tk year
Eliminated on disposal
At 31 Mar¢h 2025
4.122
467
4,589
CarJ)dng amount
At 3 1 March 2025
At 31 March 2024
7.323
7.790

TheAlrc Pecltham
Amiual Rep)rt and Accounts
For th¢ year ¢nd¢d 31 Matrh 2025
N￿eS lo the financial ststements
10 TaDEible fixed assets
TheatrE The￿IE and
FixtsTES
Soind
Flttlng$ Equlpment
Cottwuttr
iAasthold
Equipment lrnpnivemehts
Totsi
Cost
At l 2024
407ffj69
6￿38
21103
424
26,653
3,105
19.730
477.153
9J67
Ai 31 Mar¢h2
23
19730 ￿722
DeP￿(atiO
Ai l 2(Q4
Charge for the y¢4r
Ejrnujafrd (yn dE￿al
Ai 31 hdar¢h 2025
r52&5
20,495
18248
I￿7
26ffi53
513
32&760
916
1,671
27,166
Cinyiig amownt
Ai 31 March 2025
Ai 31 2024
117947
U92
94
11 Debtors
2025
2(J24
Trad¢ delkors
PrepaytrRnts and accrued
9,929
198,lJ91
208.020
15,882
129.148
145,030
12 Credittsrs
2025
21124
Trad¢ ¢ffdilots
Accrua15 and deferred itKome
Grant in adva￿¢
Taxation atmj social security. p¢tL4ion
Bou]Ke back loan
20,563
31,781
32,099
7,480
20,728
44283
9,180
10,000
103,740
Crtditon due #fter more than oDe year
2025
2024
Bounce back loan
8,864
25

Theatre Peckbam
Annual ReFK)rt and Accounts
For the year ended 31 March 2025
Notes to the fJnan¢ial stst¢ments
13 StAt¢m•nt of
BAl*rt¢ *t
TrwfE
l Awil 2024
lieomt ExpEDdltw
2025
Restii¢ttd th￿d$
Arts CowKJ Fj)￿1￿￿. CovxiRtcowry F
Aud*JL¢e Cknb
BacksEa8e TnL¥t
Be￿￿Y HrAnes
B]8 GNe Mai¢h
20.056
JJ&)
13.195)
11950)
13.0401
11,4351
{17.1(￿)
1320}
{4ffj01
(9b60)
11,7501
1321M))
111451
{6)￿}
D'ovb C8rt¢
BsJll¢e Fatyba
37W5
iJ66
1293
JackPelcWFthDktstK
L.B sallhw￿k. BTackH1st￿ Mix
l..R. &xthwÈtk-Cuknurt Together
L.B. S￿￿hWatk-Ll%thj L￿g Wa8¢
L.B. Swthwatk-M8Tra8¢n*J# of Canada Wa
L.B. Sthwark-R)t4ngwrfb Prdc
L.13. Sthrthwark ProFc
L.B. S￿￿hw￿lkP[ofttts. Fthrts
L£ch¢ Tr￿*
Lonthx y(￿ Ach
Make mo￿3 f￿￿. CAF
MeTcers T[￿t
Mtr¢hLtt Tayl)r
MUS￿ Fty All
NaIkw￿l51crtid1e L<rtttry
NatK)n81 Ldtery FuThd- PoEtK Ulltiy
Nat¥)n8] T￿atre. C(X)￿CtI)￿%
Noel Cw8Td Foundath
Pecklwn SettkD*tst
RoyolVKltrJa HBU
Tht P(ffth1Tn￿t
United S¢ Saillows
Iy611
111581
111,757)
11641
(atKM)I
(JJ78)
11
15,1
475
1830
{3J40
2F27
1.378
4￿2
4952
3518
14821
19541
(iyoi
11399DI
{65.9201
13.(K
1770
14Q067)
115ffj35)
116751
(157
{5.14D)
{3.(XlO)
870
96,a85
74.881
),124
776
22219
21,802
27.451
113.fl)O)
(1.7841
435
23)5
3.110
3.875
{i.wi}
11&631}
133.4751
(2fA.Cg01
{] J69)
11.848
211801
28).790
16Q7821
148,7J9
Unr¢Jtricfrd tQDds
GeneTalfur&
131.420
344221
1784,758
11 O98.B481
60,782
216948
365.667
1.0702
14 Analy$i0 of net betwee￿ fumds
{TnTt5tricted Restricted
Total
FuDd¥ 2025 Fwnds 2025 Futhdb 2025
IMan8W fL¥ed as5cts
T¥]W fL¥ed 8SSt
Cwreni ass¢ts
CTeditLYS th¢ wxhii ￿ year
Credtors ¢kn aft¢rmw¢ thoor* y¢ar
7)
134.046
188.1
(103.7401
18.¥64
21
7323
134.046
336,gY2
1103,7401
14719

Theydtre Peckba
Annual Report and A¢¢ounls
For the year ended 31 March 2025
Not¢s to the financiai st4t¢m¢nts
15 Trustees expenses
Th¢ following transAGtions o¢¢urred with known r¢lat¢d parties during th¢ financial y¢aT:
J Akinwande rrtV5te¢l- dir¢¢t reimbursernent of expenses t1)t￿lIng £24.35.
L Whiteway trtuste¢l - direct reimbursemcnt of ¢xpenses totallin8 £106.
16 Taxatloll
The charitable company is ex¢mpt from corporation tsx as all its incomc is charitable and is applied f(
¢harit2ble purpose5.
17 Pénslon eommitmellts
Th¢ following payrnents were made to the company p¢nsion $¢h¢mes Èn the year.
2025
2024
Defirted Contribution Scheme
17,907
12,642
A liability of £1.312 {2024- £2,505) wa$ outstat￿l￿g at the year end.
18 Restyl¢t¢d
Merc¢r5 Trust Fund-This futld is for the joint ventwewith Worth ofcolourto develop liieracy and oTr¢y Skill
in year 8 stsdcnrs, th¢)rough Worksho￿ and perfomianc&s.
National Lottery Fund. PO￿1¢ Unity Fund- Thi5 fund 1$ for th¢ partnership with Poeti¢ Unity io employ 2
¢ulwral amb￿Sador4 who deliver Spokenword workshops a[￿ monthly Poety fo)'er events.
Management Fces for Canada Water-This is a management fee grant from southwa￿ Council to support
the wnningofCanadaWaterLibrary The￿re SP￿¢. The venue expands ourd¢livery providing free rehearsal
5pa¢e to Southwark arts$ty an ¢xtension of our Seas(￿& through pro￿9mm￿ shows and hires for loul
community gro￿ and ¢ompani¢&
Esmee Fairbaim - A 3 y¢ar-long research and development project providing young peopl¢ th¢
opportunity io Iwl the curation of the new. up al￿ coming genre, spoken word theatre.
19 Fund tMtssf¢
The following fimd ttw￿ftrs have been made durin8 the year:
Frorn re5tri¢ted fijnd Arts Coun¢il Covid R¢¢ov¢ry Fund for £17.106 to unr¢stri¢ted reserve as
contribution to the purch￿ offixed a&sd$.
From restri¢t¢d ￿nd AUd1¢n￿ Club for £320 to U[￿estricted reserve to cover the costs of providing
studio hiT¢ for workshops to the local conmnunity.
Fiom restricted futMI Berkeley Home5 for £9,660 to unre5trict¢d r¢$¢ry¢ (o COV￿ thr ro5ts of providing
5rholaTsbi￿ for the local community for aeademy fees.
27

Theatre Peckham
Annual Report and A¢¢ounts
For the year ended 31 fAllarch 2025
Notes to the finan¢ial statements
From unTcstricted futKls to the Big Give Match Donation fLmd for £168. This transfer has be¢n mad¢ to
suppkm¢nt a small defjcit on the rtstriGt¢d fund.
From restricted fimd Charterhou5e in Southwark for £6.500 10 unr¢stri¢tsd resetves to cover the ¢05t5 of
offering a¢aduny spa¢es to th¢ Iwai community free of ehorge.
From r¢stri¢ted fund I￿nd0Th Borough of Southwark- Culture Togeth¢r fund for £3,346 to unrestricted
res¢Eves to ¢over the costs of offerin8 theatre s]Mc¢ rental to the local community free of charge and the
festive show production tickets.
From unr¢strict¢d fund5 to the L¢¢he T￿￿ for £4. This transfer h&8 been made to supplement a
small defi¢it on the ￿$trIcted fimd.
From restricted fund Mercers Trust fund for £3,000 tounrestrieted reserve5 to ￿Verthe¢0#$ of offeTing
show produ¢tion tickets to schools in the local community.
From restricted fund National Lottery Fund- Poeti¢ Unty for £13,600 to unrestrirted res¢ry¢s to ¢over
the costs of offeringtheatre space rental io the local community free of charge.
From restrided fund Nik¢ for £5,140 to unrestricted reserves to Cover the costs of offering theatr¢ 5ppce
r¢ntsl to the local Community free of char¥¢ and providiD8 bursaries to young people for ac4d¢my fe¢s.
From unttstri¢tsd funds to the Royal Victoria Hall ￿nd for £1. This transf¢r has been made to
supplement a small deficit on th¢ T¢StriCt¢d fund.
From restricted fund The Pot1al Th￿¢ for £1,369 to unrestricted re5erve5 to Cover the costs of offering
theatre space rental to tht lo￿] ¢ommutJity free of charge.
Frorn re5tri¢ted fund United St Saviours Fund foT £914 to unrestricted reseryes to eover the costs of
offering theatre space rentsl to the local community free of charge.
20 Rel#¢ed party tr4D$attions
The following tranSa￿lOnS oc¢urTed with k[￿wn related partie5 during the finan¢ial ye*r'.
S McL¢an (Exe¢uiiv¢ Offi¢¢r)- £314 of director reimbursemtnt of ¢XFcnscs
There w¢r¢ no OUtsta￿ling balances with any known related parties at th¢ ye•r ¢nd.
21 Limited liability
The TIustees ofihe compony 8U4rant¢e to ¢ontribute all amount not exceeding £1 to the assets of the d￿rity
in the evenl of winding up.

Theatre Pe¢kham
Annual Rep)rt and Accounts
For the year ended 31 Mar¢h 2025
Notes to the financial statements
22 Operating le*5¢ Commitments
At 31 MaTch 2025 the company was ¢ommitrlto mzkingthe following payments under nonrfancellabl¢
opernting leases..
2025
21124
Payments thje
4,128
3,812
23 D¢ferr¢d incorne
Income of £50277 {2024.. £29,661) has been deftrred either to match the pcriod of tern15 on th¢ grant
documentation or the temis of the invoi¢¢s. for the following:
V¢nu¢ hire at)d other income
£20,678
£32.099
Grants in advan¢e
In¢om¢ of £29,661 was released in the ¢utr¢nt period.
24 R•¢ollclllation of n¢t in¢omel{eippnditure) lo net ¢*$h flow from 0￿ratIng activities
2025
2024
Net intomt for the rtwrting pertod
Adjustments f￿.
D¢wecMtKin thar8es
AMortisat￿In charges
(In¢rease}Idecrease in debtiys
Increas¢/(d¢cre)$e) til ¢reith1￿S
Net t￿h pmvfidtd by operntiDg attiYilitS
21,446
24,462
23,916
467
(6lW))
30,978
497
3&105
21 J27
11SJ69
570
25 An*lysis of cAsb and cash equivaltmts
2025
2024
Cash ll) hand
Totsl and cash tqufvaltnts
149,698