Recognised with The Charlty Cornmission for Nortbern IrelAnd NIC102821
Charity Number: XR44575
Company Number. N1050682
ARTS FORALL
TRUSTEES, REPORT AND FINANCIAL STATEMENTS
YEAR ENDED 31 MAY 2022

FOR ALL
CONTE
P4e
LEGAL AND ADMINISTRATIVE TrIFORMAT10N
REVIEW OF A￿[VITIEs AND ACHIEVEMENIS
INDEPENDENT EXAMINERS, REPORT
STATEMENT OF FINANCIAL ACTIVITIES
BALANCE SHEET
NOTES TO THE FINANCIAL STATEMENTS
9-10

ARTS FOR ALL
LEGAL AND ADMINI
RIIIATION
Stalus
The ch8Jity is reeognised as such by the Commissioners of the Inland Revenue and thus is not
Subje¢t to Income or Corwraiion t2X.
Truste£g
Muriel Bowyer
Jennifer Crockard
Rosemary MulvenTJa
Helen Johnston
John Lee Charles Reynolds
lan Crozier
Jacqueline Greer
Joe Crainey
Treasurer
Chairperson
COm￿nY Number
N1050682
Ch4Ylty Number
XR44575
Reglstered Offlee
Unit D
Ground Floor
Cityside Retail Park
York Street
Belf
BT15 IWA
ReportlDg Accountants
DMW Ac¢ountants (2011) Limited
Townsend Enterprise Park
Tts￿T￿nd Street
Bclfast
BT13 2ES
Business Address
Unit D
Ground Flwr
Cityside Retail Park
York Street
Belfast
BT15 IWA
Bankers
Ulster Bank Limiied
202-206 York Str¢cl
Belfast
BT15 IHY

R¢vi¢w of Activities and A¢bieYemeDts
Arts for All promotes community develoFrfnent through the arts in north B¢lf&4. To &thieve thi& the
organisalion woiks in Imrtsiership with community groups and s¢hools to deliver besFoke community 8rts
workshops in I￿1 venues and inhouse. The tr￿ ar¢ pleawj with the rasults of the organisation both from
a community arts and financial manag¢m¢nt persmive.
W¢ ail have been WOTking hard over the p&st y¢ar to build uwn the delivery of our s¢rvic¢s rKJ5t th¢ parthmi
c(Jncentr81in8 on producing high-quality 8fL8 experience& developing strong parn)erships wilh I(￿1
C4)mmunity wup& share good prxtic4 moking best Use of community r&qour¢¢s to address
community nee(L
As we approach year 4 in Citysidc Re¢ail Park. we (y)ntinue to attract n¢w visitOTS and artists each week, and
hav¢ had a great response lo small retsil offer¢n8 showwing IIKa] artists work. With over 12000 squatt fe¢t
of workshop space. we continue to welcome over 7(K) people tKr week into our venue. Footfa]I for the centre
&$ rer door ¢ountcrs amount to 7LKX) ptr day. This has allowed us to develop and our audiences at
grassroots level.
Ans for All is registered with the Chariry Commission for Ncrthern Ir¢land under reference NIC1028218nd is
governed by a constitution. Recruitsnent 8TMJ apFL)intment bcwd meMbe￿￿ru￿e£s.
Ststtment of Trustees, RwonsibSlltl¢%
Cornpany and charity law require the tr￿trts to wepfire finerKial st8*ments for each fIn￿cIAl year which
give a try￿ and fair view of ihe state of affairs of the charity and of the surplu5 or deficit of the dwity for that
period. In preparing those financiai Statemen￿ the tr￿¢¢$ aTe requir￿1 to:
- select suitable accounting ￿lICIeS and then 4yly them consistently.
. m￿e jud8ements and estimates that are reawnable and pn￿en(.
- State whether appli¢abl¢ ac¢ounting standards and st4t¢ments of recommended Practi￿ have been followed
subject to any departures disclosed and explained in ihe fiT￿nCial statements
- prepare the flnanclal statements on the goin8 concern b￿ts unless it is Inappropria￿ to presume that the
charity will continue in bLLqiness
Review of Actlvltles •nd Acbievements .... ColltiDued

The trugtees have overall responsibility for ensuring that the charity has appropriate system of controls,
financia] and otherwisc. They are also responsible for keeping proper accounting records which disclose with
rea9)nable accuracy at any time the financial ￿sItIon of the charity ond enable them to ensure th￿ the
financial stai¢En¢nts comply with the Companies Act 2006. They are also responsible for safeguarding the
assets of the charity and hence for taking reasonable steps for the prevention and ddedion of hud and other
iTregularities.
The ttustees recommend that DMW Aeeountants (2011) Ltd Temain in office until further notice.
This report was approved by the trustees on 31st August 2022 and signed on its behalf by:
Muriel Bowyer
Treasurer

INDEP
NDEKf F.XAMINER'S REPORT TO THE TRUSTEES
ON THE UNAUDrfED FINANCIAL STATEMENTS OF ARTS FOR ALL.
E￿￿]Der'S Report to the Charlty Trtsstets of Arts for AIL
I re￿rt on th¢ A¢¢ounts of the f(Y the ye4rended 3111 May 2021 which sd cw2t on Pages S-9.
R¢$pe¢tivt Responsibilities of Charlty Trust¢¢s Ex•]ni•er
As th¢ ¢haTity'5 tru5teCS YOU &Te re5fAMJsible for the of th¢ Acoxmts in accord￿ with the Charities A
(N(thcrn Ireland) 2(M)8.
It is my responsibility to:
Examine the Accounts under Section 65 of the Chariues A
Follow the pr(ttdures laid th>wiL in thc 8rnual dir¢¢ts"ons giv￿ by the Commission under Section 65(9Xbl of
th¢ Ch8rilies Act
Slate whether p3rticui&r matter5 havc come w my attention.
Basls of Independent ExamineVs Report
I have examined your charity Accounls ￿ requir&1 uThJer Section 65 of the Charities Act and my examination
was carried out in a¢¢ordance with the generd directio￿$ given by the Charity Commission for Northern
Ireland under Section 65(9Xb) of the Chariii¢s Act.
My examinaiion included a review of the accounting rewrds kept by the charity and a comparison of the
accounts presented with those records. li ￿$0 in¢luded consideration of any unusual items or disclosures in
the a¢¢ouni& and seeking explanatiorLS from you as charity trustees C4)nceming any su¢h matters.
My rol¢ is to state whether 8ny mat¢ri8] matters have come to my attenlion giving me lo believe:
l. The accounting r¢wTds wue t￿t kw in accordan￿ with ￿lon 65 of the Charities Act.
2. Thai the Accijunts do nol aLYord with thctt accounting r￿d&
3. That the do comply with the ¥¢wnllng requirements of the Charities ACL
4. That th¢r¢ is further inf0m￿lon need)I for a WNIer￿in8 of the Accounts to b¢ rea¢hed.
Independent Ex•mlner'J Statement
I have compl¢¢¢d my ¢xaminaiiorLS and have no ￿n¢tr￿ in reSp￿t of the matters (l ) 10 (4) listed al)ov¢
in connection with following the Directions of the Ctwity Commission for Northern I￿land, I have found no
matters that Ttquire drawin8 to YOUT attenticrfL
A¢¢ountants (2011) Ltd
Reporting Acwuntants
Townsend Entery)rL8e P*rk
TowDsend Street
Belfa$t
BT13 2ES
Date: 31st AUg￿$t 2022

ARTS FOR ALL
STATEIIIENT OF FINANCIAL ACTIVITIES
YEAR ENDED 31 MAY 2022
2022
2021
Notoq
Incomlng Resources
228.682 201,922
Totsl Incoming R￿0￿ree5
228,682 201.922
Resources Expended
Wages and saI￿1t$
Job Retention S¢h¢me
Staff Pension
Travelling & Subsistence
Artists Fees, Materials & Exhibitions
Project Costs
Rent and Services
Insurance
Light and Heat
Cleaning
maintenan￿ Expenses
Renovations
Signage
Equipment
Subscriptions
Tcl¢phone
BHSCT (iPads)
Printir￿ Brochwes and Stationery
Computer Costs & Software
Professional Fee- Lega]
Professional Fe¢- HR Advice
Accountancy Fees
Bonk Ch￿geS
General Expenses
31,165
32,867
(3.310)
3,359
209
84,161
8,000
7,503
741
7.028
2,230
3.1
23,942
1,080
2.535
484
133,743
8,121
770
18,657
4.241
999
210
1.067
914
22,571
12,197
412
900
2.345
1.080
497
18
5,994
429
1.137
487
1,186
Totsl Resourees Expended
(212.825) (211,844)
Net Movemellt in Fund5
Total Funds Brought Fonvard
15,857
2,919
(9.922)
12,841
Total Funds Carried Forward
18.776
2.919
Tbe not£4 on pages 9 to 10 forni an iDtsgrg1 part of these fingncial statsmenL%

ARTS FOR ALL
BALANCE SHEET
AS AT 31 MAY 2022
2022
2021
Not&q
Ulsier Bank No. l A¢count
Ulster Bank No. 2 A¢wunt
15,338
7,018
3,773
2,726
21356
6.499
Creditor5: Amounts falliDg
due within one year
(3,580)
(3,580)
Net Current knetsl(LiAbilttie8)
18,776
2.919
Net Assetsl(Llablllti£s)
18,776
2.919
Funds
Accumulated Funds
18,776
2,919
18,776
2,919
The Truste¢s' Statements required by Article 257B (4) shown on the following page which forn￿ p8rt of
this Balance Sheet.

ARTS FOR ALL
CE SHEET
TRUSTEES, STATEMENTS RE
UIRED BY ARTICLE 257
YEAR ENDED 31 MAY 2022
In approving these fmancial ststemuts &% tr￿ste¢S of the company we hereby confinn:
(a) thar for the year stated aly)ve the comrrany was artitlal to the exemmion conferred by Companies Act
(b) that no TM)tice has been deP￿lt￿ at the regISte￿d office of the company r￿U￿tingthat an audit be
¢ondu¢ted for the year ended 31 May 2022 and
(¢) that we acknowledge our re4KX)sibiliti¢s for.
(l) enswing that the company keeps accoullti￿ record5 whith wmply with Article 229, and
(2) prep8rin8 finan¢iai stat¢m¢nts which give atrue fair view of the slate of affairs of th¢ wmpany a5 al
the end of th¢ fit)ancial year affjd of its profit or l(M forthe year tIKn ethled in accordance with the
requirements of Article 234 and which ot1￿1$t cotllply with the provisiorts ofthe Companies Act 2006
relating io financial Statemen￿ so far as applIL￿le to the cK>mp8ny.
The financi￿ statements were approvoj by the Board on 315t Augu￿ 2022 and on its bdMlf by
Muriel Bowyer
Tre4suTrr
Tbe noit3 oll Pag￿ 9 to 10 rom integral part of theye finanoal statement&

ARTS FOR ALL
NOTES TO THE FINANCIAL STATEMENTS
YEAR ENDED 31 MAY 2022
l. Accounting Policies
1.1. Basis of prep#r#tioll
The financial statements have been prepared in a￿OrdanCe wtth Accounting and reporting by ch￿1t]e4
statement of recommended pl￿]ee applieabl¢ lo ¢harities preporing their a¢¢ournS in a¢cord8nce with
th¢ fInan¢ial retx>rting standard applicable in UK and Republic of Ireland (FRS 102) (effective
January 2015) (Cknties SORP (FRS 102) the financial reporting standard applicable in the UK and
Republic Of Ireland (FRS 102) arAd the Charities Act INI ) 2008.
1.1. AC￿llntIng Convention
Th¢ financial statements are prep￿￿ under the histOriC41 c(Ist convention and in accordance with the
Financial Reporting Standard for Sma]ler Enlilies (effective June 2(K>2) afLd follow the
recommendations in 'A¢counting and Reporting by Ch￿lties.. Statement of Recommended Practice,
issued kn October 2000.
1.2. Incoming Resource5
Grdnw including grants for the purchLse of fixed assets, ore recognised in fidl in the Statement of
FIr￿lc[al Activities in the year in which they are receivable.
IJ. Resourees Expended
Resources expended are reco￿lsed in the year in which they are incurred.
Fundrdising costs are ihose incurred in seeking voluntary contributions and (lo not include the costs of
disseminating infornydtion in support of the charitable activities.
Support costs are those costs incurred directly in support of expenditure on the objects of the charity
and include project management.
ManAgement And administration costs are those incurred in connection with administrntion of the ch¥xity and
¢ompli0n¢¢ wilh constitutional and statutory requirements

FOR
NofES TO THE FINANCIAL STATEMENTS
AR ENDED 31 MAY 2022
IDcome
2022
2021
Belf&%t Health & SOCI￿ Care TrLL%t
Belfast Healih & Social Care T￿￿- The P(xJ
Arts Council of North¢rn Ireland
Belf￿ City Council
Department for Communities
Halifax Foundation for Nl
Donations
Sundry In¢ome
Small Stcps Project
Ulster Scots Agency
W￿kWaY Community Association
Sale of Art
)w¢r Oldpark CommLmity A$s￿l&tIOn
115J36 117.242
22,571
30.{￿ 30.0(x)
34.51X)
16.548
11.314
9.611
260
2(h)
IOJ02
125
1.735
1.425
lo,￿)0 3.000
560
1,000
7.105
200
1,370
228,682 201,922
Credlton: Amounts falling due
within one ytar
2022
2021
Accruals
P Mullin- Project Costs
1.080
2.500
1,080
25(N)
3.580
3.580
-1

NOTES TO THE FINANCIAL STATEMEKrs
YEAR Ef4DED 31 MAY 202