## **TYLDESLEY LITTLE THEATRE (TLT)** 

## **Trustees’ Annual Report: 2023-24** 

2023/24 was another very successful year for the society which enjoyed good audience attendance with a stable number of season tickets holders and general patrons attending our productions. Our annual family pantomime continues to be a huge community attraction, with the majority of tickets selling out within the first day of going on sale. This is probably due to us offering a good quality production at a price which is considerably less than professional theatre, so bringing live theatre to those who may not either be able to afford the ticket price or even the cost of transport to a city centre venue. 

We continue with our plans to make substantial improvements to the theatre building by replacing our stage, improving and enhancing our heating system and insulating the roof, to improve the comfort and theatre experience of both theatre members and, of course our patrons. We continue to accumulate funds with a view to having these very expensive jobs done, along with planning for the eventual replacement of the roof of the building which continues to be of concern. 

As with all charities and businesses in general, rising costs continue to affect the theatre, but due to prudent financial management, we have been able to continue to provide entertainment to the local community without the need to increase our ticket prices. As in previous years, we still need to be mindful of having financial security due to inflation and rising general costs (especially the continuing increase in energy costs). 

On the whole the theatre is in a sound position both financially and with onward forward planning. 



TYLDESLEY LITTLE THEATRE
FINANCIAL
TATEMENT 1 APRIL 2023 TO 31 MARCH 2024
Balances 8
CurTent AC￿nI Natwest
Deposit Account Natwest
Civrert Account Santsnder
Reserve Account Santander
1 Y¢ar Bond Redwood
35 Day Notlce Redwood
Pety Cash
EXPENDITURE
365.54
10.76
1,327.09
10,00222
70.121.75
14,063.45
551.98
Insurance
4,054.59
1200.00
1.800.00
732.62
69.12
Electriciiy
Water Rates
B￿lnesS Ratss
7,856.33
96,442.79
INCOME
Season Tickets
Ti¢ket Salo$
Rafftes & competsb￿S
Cottage Rental
t￿￿atiOnS/sPQnsOwS
Refreshments
Memberslip Fees
Pfogramme Salo8
Other Income.
Adjuthcatton Fees
co8￿me8-H1re & PLwtha8e
Licence Fees
Make-up
Music
Programme Prinling
Props
Pub4¢ity
Scrpts
Set Construction
Raffle
Refreshmer
300.(K)
687.66
2,285.37
111.95
800.00
315.24
309.37
324.16
385.67
2,245.18
418.46
697.91
51.22
2,979.75
27,746.74
2,600.00
3,495.00
391.29
2,075.59
397.50
743.00
79.60
40,508.47
Bank Interest
Colection for Charity
2,749.73
792.27
8,932.19
Cleanr
Donatior
Memberthp Subscription8 Paid
Postage
112.79
865.00
496.00
13.45
145.74
120.00
240.00
127.80
' Other Income
Reoydwig
Ink-jet Cartridges
79.60
0.00
Totsl Other Income
79.60
AudFt Fees
Telephone
Travel Expenses
2.120.78
Repair* R•n•w41s Etc
Budding
Lighting
So[￿d
other
Cottage Exper
2,602.48
3,687.34
669.70
829.99
273.31
8.(￿2.82
,CuTrent Account Natwest
Deposit A￿ount Naiwest
CuThent A¢coLmt Santandef
Re8erve A¢count Santander
35 Day Notice Re(fv￿od
95 Day Notice Rètknod
Pety Cash
1233.12
10.88
2,771.36
22,130.75
72,259.08
14,547.20
568.75
113,521.14
140N9326
140,493.26
BALANCING TOTALS
l am satisfied that the above financial statement can be relied upon to
show a true and fair view of the income and expenditure for the year ended
31 st March 202
,,i<J>y

TYLDESLEY LITTLE THEATRE
FINANCIAL
TATEMENT 1 APRIL 2023 TO 31 MARCH 2024
Balances 8
CurTent AC￿nI Natwest
Deposit Account Natwest
Civrert Account Santsnder
Reserve Account Santander
1 Y¢ar Bond Redwood
35 Day Notlce Redwood
Pety Cash
EXPENDITURE
365.54
10.76
1,327.09
10,00222
70.121.75
14,063.45
551.98
Insurance
4,054.59
1200.00
1.800.00
732.62
69.12
Electriciiy
Water Rates
B￿lnesS Ratss
7,856.33
96,442.79
INCOME
Season Tickets
Ti¢ket Salo$
Rafftes & competsb￿S
Cottage Rental
t￿￿atiOnS/sPQnsOwS
Refreshments
Memberslip Fees
Pfogramme Salo8
Other Income.
Adjuthcatton Fees
co8￿me8-H1re & PLwtha8e
Licence Fees
Make-up
Music
Programme Prinling
Props
Pub4¢ity
Scrpts
Set Construction
Raffle
Refreshmer
300.(K)
687.66
2,285.37
111.95
800.00
315.24
309.37
324.16
385.67
2,245.18
418.46
697.91
51.22
2,979.75
27,746.74
2,600.00
3,495.00
391.29
2,075.59
397.50
743.00
79.60
40,508.47
Bank Interest
Colection for Charity
2,749.73
792.27
8,932.19
Cleanr
Donatior
Memberthp Subscription8 Paid
Postage
112.79
865.00
496.00
13.45
145.74
120.00
240.00
127.80
' Other Income
Reoydwig
Ink-jet Cartridges
79.60
0.00
Totsl Other Income
79.60
AudFt Fees
Telephone
Travel Expenses
2.120.78
Repair* R•n•w41s Etc
Budding
Lighting
So[￿d
other
Cottage Exper
2,602.48
3,687.34
669.70
829.99
273.31
8.(￿2.82
,CuTrent Account Natwest
Deposit A￿ount Naiwest
CuThent A¢coLmt Santandef
Re8erve A¢count Santander
35 Day Notice Re(fv￿od
95 Day Notice Rètknod
Pety Cash
1233.12
10.88
2,771.36
22,130.75
72,259.08
14,547.20
568.75
113,521.14
140N9326
140,493.26
BALANCING TOTALS
l am satisfied that the above financial statement can be relied upon to
show a true and fair view of the income and expenditure for the year ended
31 st March 202
,,i<J>y