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2024-10-31-accounts

LIMELIGHT PRODUCTIONS

RECEIPTS AND PAYMENTS ACCOUNT FOR THE YEAR ENDED 31ST OCTOBER 2024

Receipts
Production Income
Ticket Sales
Advertising and messages
Fees
DVD Sales
Merchandise Sales
Librettos
Front of House
Other Income
Fundraising
Prize Draw
Social and Trip Income
Hall Rental
Interest received
Grants received
Sponsorship
Fife Council Venue
Tickets for Ball
Scenery Hire
Reserves
Balance brought forward
Surplus (Deficit) for the year
2024
PREVIOUS
£
£
Payments
Production Costs
106,346.20
36,604.87
Production Team Fees
840.00
995.00
Performance Rights
7,154.00
6,339.05
Band Fees
959.00
1,642.23
Light and Sound
1,132.00
1,072.00
Scenery
174.61
-
Wardrobe, Makeup, Props
4,531.38
6,556.63
Marketing and Printing Costs
121,137.19
53,209.78
Other Expenses
1,442.24
1,368.74
Limelight Youth/Kids costs & transfers
1,551.94
4,029.43
T Shirts
-
2,457.46
Hall Hire
9,517.37
10,125.40
Studio Costs
497.22
160.67
Charitable donations
-
1,000.00
Repairs and Maintenance
1,500.00
2,000.00
Website hosting
-
-
Electric
520.00
-
Insurance
1,500.00
-
Garage Hire
DVD Costs
Performing Rights licence
Gifts/general expenses
Van Costs
Social and Trip costs
16,528.77
21,141.70
137,665.96
74,351.48
SURPLUS (DEFICIT)
137,665.96
74,351.48
Assets
13,323.25
26,852.51
Treasurers bank account
6,403.76
(13,529.26)
Equipment purchases
19,727.01
13,323.25
FOR THE YEAR ENDED 31ST OCTOBER 2024
BALANCE SHEET AS AT 31ST OCTOBER 2024
INDEPENDENT EXAMINERS' REPORT
ON THE ACCOUNTS OF LIMELIGHT PRODUCTIONS
2024
PREVIOUS
£
£
Payments
Production Costs
106,346.20
36,604.87
Production Team Fees
840.00
995.00
Performance Rights
7,154.00
6,339.05
Band Fees
959.00
1,642.23
Light and Sound
1,132.00
1,072.00
Scenery
174.61
-
Wardrobe, Makeup, Props
4,531.38
6,556.63
Marketing and Printing Costs
121,137.19
53,209.78
Other Expenses
1,442.24
1,368.74
Limelight Youth/Kids costs & transfers
1,551.94
4,029.43
T Shirts
-
2,457.46
Hall Hire
9,517.37
10,125.40
Studio Costs
497.22
160.67
Charitable donations
-
1,000.00
Repairs and Maintenance
1,500.00
2,000.00
Website hosting
-
-
Electric
520.00
-
Insurance
1,500.00
-
Garage Hire
DVD Costs
Performing Rights licence
Gifts/general expenses
Van Costs
Social and Trip costs
16,528.77
21,141.70
137,665.96
74,351.48
SURPLUS (DEFICIT)
137,665.96
74,351.48
Assets
13,323.25
26,852.51
Treasurers bank account
6,403.76
(13,529.26)
Equipment purchases
19,727.01
13,323.25
FOR THE YEAR ENDED 31ST OCTOBER 2024
BALANCE SHEET AS AT 31ST OCTOBER 2024
INDEPENDENT EXAMINERS' REPORT
ON THE ACCOUNTS OF LIMELIGHT PRODUCTIONS
2024
PREVIOUS
£
£
5,549.00
6,400.00
36,576.90
11,301.24
2,309.00
-
9,600.00
21,703.68
10,459.20
12,548.00
2,509.71
9,016.55
645.22
3,974.23
67,649.03
64,943.70
48,589.58
6,685.28
2,402.00
-
2,145.76
9,655.00
1,060.92
1,266.28
52.08
52.08
130.00
57.00
217.01
210.35
2,919.43
1,536.64
1,283.35
1,235.35
220.04
-
2,909.00
180.00
-
444.86
-
578.20
879.00
-
805.00
1,036.00
63,613.17
22,937.04
131,262.20
87,880.74
6,403.76
(13,529.26)
137,665.96
74,351.48
15,527.01
13,323.25
4,200.00
19,727.01
13,323.25

I have examined the above Receipts and Payments Account and Balance Sheet for Limelight Productions for the year ended 31st October 2024 and found the statements to be in accordance with the books and records presented to me by the Treasurer.


26th July 2025

Limelight Productions Trustees Annual Report 2023/24

The year from 1[st] November to 31[st] October 2024 was a successful one for Limelight Productions.

The company performed 2 productions within that accounting period, School of Rock and Ghost the Musical, with the accounts reflecting both expenditure and Income in its entirety for School of Rock which was performed in February 2024, however only the Expenditure for Ghost is shown, as the ticket returns were not yet available to the company as of the end of October 2024. These will be captured in the returns for 2025.

Additional Ticket Income from Phantom of the Opera performed in October 2023 has been reflected in this set of accounts.

Phantom of the Opera made a profit for the company and was a very successful production both financially and by means of enhancing Limelight’s reputation. The production of School of Rock, although artistically successful, made a small loss overall for the company. Non Ticket Income for the company through Fundraising was slightly down on previous years, which is a reflection on the number of Fundraising Events the company could pursue over the year due to time commitments and lower than expected member interest.

The company has continued to develop and maintains a strong membership with over 180 adults and 100 young people and children involved in our performances over the past year.

Overall, in Summary, This has been a successful year for Limelight, ensuring an end of year profit whilst retaining a good surplus in the accounts to provide a solid foundation for the following accounting year.

Company Manager / Trustee