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2025-09-30-accounts

Charity registration number: SC046243

HAMILTON DISTRICT YOUTH THEATRE TRUSTEES' REPORT AND UNAUDITED FINANCIAL STATEMENTS FOR THE YEAR ENDED 30 SEPTEMBER 2025

AMM Accountancy Ltd 10 Thomson Drive Motherwell Lanarkshire ML1 3FF

Hamilton District Youth Theatre Contents

Page
Trustees' Report 1—3
Independent Examiner's Report 4
Statement of Financial Activities 5
Statement of Financial Position 6
Statement of Cash Flows 7
Notes to the Statement of Cash Flows 8
Notes to the Financial Statements 9—11
The following pages do not form part of the statutory accounts:
Detailed Statement of Financial Activities 12

Hamilton District Youth Theatre Trustees' Report For The Year Ended 30 September 2025

The trustees present their report and the financial statements for the year ended 30 September 2025.

Objectives and Activities

Aims and Objectives

To provide the advancement of education to the youth of Hamilton (age 8-25) by giving them the opportunity to rehearse and perform in two high quality shows each year, learning about the various aspects of the theatre and developing socially & personally in the process. To promote the advancement of the arts by fostering musical theatre in all it’s aspects throughout the Hamilton area and providing public performances of our shows.

Public Benefit

The purposes of the charity is set out in its governing document. It carries out theatre production activities and services itself.

The charity holds weekly rehearsals with a professional artistic team incorporating singing, dancing and acting, culminating in a high quality show at the end of the rehearsal process. This is performed at a large local theatre, with tickets available to the public.

The trustees confirm that they have complied with the requirements of Section 17 of the Charities Act 2011 to have due regard to the Charity Commission’s guidance on public benefit.

Achievements and Performance

Main Achievements

The charity’s theatre productions and club fees generate the income to produce the theatre productions to a high standard and have been very successful.

We produced three shows in the year, Matilda Junior, Legally Blonde and Shrek The Musical with the full cast performing in each show. The feedback for both shows praised the talent of the cast and their professional standard.

Financial Review

Reserves Policy

The charity has considered the reserves required and have taken into account their current and future liabilities. The trustees aim to maintain free reserves in unrestricted funds at a level which equates to approximately three months of unrestricted charitable expenditure. The trustees consider that this level will provide sufficient funds to respond to applications for grants and ensure that support and governance costs are covered.

Theatre Tax Relief

The Charity is eligible for Theatre Tax relief which provides funding towards production costs of producing a show.

Structure, Governance and Management

Governing Document

The governing document is the Constitution. The charity is an unincorporated organisation.

Trustee Selection Methods

Trustees accept ultimate responsibility for directing the affairs of the charity, and ensuring that it is solvent, well-run, and delivering the charitable outcomes for the benefit of the public for which it has been set up. We recruit trustees to ensure our boards have the range of skills and experience necessary to comply with our collective responsibility.

Reference and Administrative Details

Trustees

Ms Nicole O'Rafferty - Chairperson (appointed 01/10/2024) Ms Nicola Ryan - Secretary (appointed 01/10/2024)

Page 1

Hamilton District Youth Theatre Trustees' Report (continued) For The Year Ended 30 September 2025

Mrs Sarah Ryan - Treasurer (appointed 01/10/2024)

Charity Number

SC046243

Principal Address

7 Aspen Way Hamilton Lanarkshire ML3 7NG

Independent Examiner

Jane Renwick AMM Accountancy Ltd 10 Thomson Drive Motherwell Lanarkshire ML1 3FF

Page 2

Hamilton District Youth Theatre Trustees' Report (continued) For The Year Ended 30 September 2025

The trustees' report was approved by the board of trustees and signed on its behalf by:

Nicole O'Rafferty (Jan 19, 2026 19:25:10 GMT) Ms Nicole O'Rafferty

Trustee

18 December 2025

Page 3

Hamilton District Youth Theatre Independent Examiner's Report to the Trustees of Hamilton District Youth Theatre For The Year Ended 30 September 2025

The charity’s trustees are responsible for the preparation of the accounts in accordance with the terms of the Charities and Trustee Investment (Scotland) 2005 Act and the Charities Accounts (Scotland) Regulations 2006 (as amended). The charity trustees consider that the audit requirement of Regulation 10(1) (d) of the Accounts Regulations does not apply. It is my responsibility to examine the accounts as required under section 44(1) (c) of the Act and to state whether particular matters have come to my attention.

I report to the trustees on my examination of the accounts of Hamilton District Youth Theatre (the Trust) for the year ended 30 September 2025.

Responsibilities and Basis of Report

As the charity trustees of the Trust you are responsible for the preparation of the accounts in accordance with the requirements of the Charities Act 2011 (“the Act”).

I report in respect of my examination of the Trust’s accounts carried out under section 145 of the 2011 Act and in carrying out my examination, I have followed the applicable Directions given by the Charity Commission under section 145(5)(b) of the Act.

Independent Examiner's Statement

I have completed my examination. I confirm that no material matters have come to my attention in connection with the examination giving me cause to believe that in any material respect:

  1. accounting records were not kept in accordance with section 44(1) (a) of the 2005 Act and Regulation 4 of the 2006 Accounts Regulations; or

  2. the accounts do not accord with those records; or

  3. the accounts do not comply with the applicable requirements concerning the form and contents of accounts set out in the Regulation 9 of the Charities (Accounts and Reports) Regulations 2006 other than any requirement that the accounts give a 'true and fair view' which is not a matter considered as part of an independent examination.

I have no concerns and have come across no other matters in connection with the examination to which attention should be drawn in this report in order to enable a proper understanding of the accounts to be reached.

Jane Renwick

18 December 2025 10 Thomson Drive Motherwell Lanarkshire ML1 3FF

Page 4

Hamilton District Youth Theatre Statement of Financial Activities For The Year Ended 30 September 2025

Notes
INCOME AND ENDOWMENTS FROM:
Charitable activities:
Theatre Productions
Other trading activities
3
EXPENDITURE ON:
Charitable activities:
5
Theatre Productions
NET (EXPENDITURE)/INCOME
NET MOVEMENT IN FUNDS
RECONCILIATION OF FUNDS:
Total funds brought forward
TOTAL FUNDS CARRIED FORWARD
10
2025
Unrestricted
funds
£
76,542
1,500
2024
Unrestricted
funds
£
92,427
300
78,041 92,725
(80,087) (47,043)
(2,046) 45,682
(2,046)
70,223
45,682
24,541
68,177 70,223

The notes on pages 8 to 11 form part of these financial statements.

Page 5

Hamilton District Youth Theatre Statement of Financial Position As At 30 September 2025

Notes
FIXED ASSETS
Tangible Assets
9
CURRENT ASSETS
Cash at bank and in hand
NET CURRENT ASSETS (LIABILITIES)
TOTAL ASSETS LESS CURRENT LIABILITIES
NET ASSETS
FUNDS OF THE CHARITY
Unrestricted Funds
TOTAL FUNDS
10
On behalf of the board
Ms Nicole O'Rafferty
Trustee
18 December 2025
Nicole O'Rafferty (Jan 19, 2026 19:25:10 GMT)
2025
Unrestricted
funds
£
1,855
2024
Total funds
£
1,732
1,855
66,322
1,732
68,491
66,322
66,322
68,491
68,491
68,177 70,223
68,177 70,223
68,177 70,223
68,177 70,223

The notes on pages 8 to 11 form part of these financial statements.

Page 6

Hamilton District Youth Theatre Statement of Cash Flows For The Year Ended 30 September 2025

Notes
Cash flows from operating activities
Net cash (used in)/generated from operations
1
Net cash (used in)/generated from operating activities
Cash flows from investing activities
Purchase of tangible assets
(Decrease)/increase in cash and cash equivalents
Cash and cash equivalents at beginning of year
2
Cash and cash equivalents at end of year
2
2025
£
(1,582)
(1,582)
(587)
(2,169)
68,491
66,322
2024
£
48,086
48,086
-
48,086
-
48,086

Page 7

Hamilton District Youth Theatre Notes to the Statement of Cash Flows For The Year Ended 30 September 2025

1. Reconciliation of (expenditure)/income to cash (used in)/generated from operations

.
Reconciliation of (expenditure)/income to cash (used in)/generated from operations
Net (expenditure)/income
Adjustments for:
Depreciation of tangible assets
Net cash (used in)/generated from operations
2025
£
(2,046)
464
(1,582)
2024
£
45,682
2,404
48,086

2. Cash and cash equivalents

Cash and cash equivalents, as stated in the Statement of Cash Flows, relates to the following items in the Balance Sheet:

2025 2024
£ £
Cash at bank and in hand 66,322 68,491
. Analysis of changes in net funds
As at 1 Cash flows As at 30
October 2024 September
2025
£ £ £
Cash at bank and in hand 68,491 (2,169) 66,322

3. Analysis of changes in net funds

Page 8

Hamilton District Youth Theatre Notes to the Financial Statements For The Year Ended 30 September 2025

1. General Information

Hamilton District Youth Theatre is an unincorporated charity registered with the Charity Commission, registered charity number SC046243. The principal address is 7 Aspen Way, Hamilton, Lanarkshire, ML3 7NG.

2. Accounting Policies

2.1. Basis of Preparation of Financial Statements

The financial statements have been prepared in accordance with the Charities SORP (FRS 102) "Accounting and Reporting by Charities: Statement of Recommended Practice applicable to charities preparing their accounts in accordance with the Financial Reporting Standard applicable in the UK and Republic of Ireland (FRS 102) (effective 1 January 2019)", Financial Reporting Standard 102 "The Financial Reporting Standard applicable in the UK and Republic of Ireland" and the Charities Act 2011.

The charity is a Public Benefit Entity as defined by FRS 102.

2.2. Incoming Resources

Unrestricted income funds comprise those funds which the trustees are free to use for any purpose in furtherance of the charitable objects.

2.3. Tangible Fixed Assets and Depreciation

Tangible fixed assets are measured at cost less accumulated depreciation and any accumulated impairment losses. Depreciation is provided at rates calculated to write off the cost of the fixed assets, less their estimated residual value, over their expected useful lives on the following bases:

Plant & Machinery

20% Reducing balance

2.4. Cash and Cash Equivalents

Cash and cash equivalents are basic financial assets and include cash in hand and deposits held at call with banks, other short-term highly liquid investments that mature in no more than three months from the date of acquisition and are readily convertible to a known amount of cash with insignificant risk of change in value, and bank overdrafts.

3. Income from Other Trading Activities

.
Income from Other Trading Activities
2025 2024
Unrestricted Unrestricted
funds funds
£ £
Sponsorships 1,500 300
  1. Net Income/(Expenditure)

The net (expenditure)/income is stated after charging/(crediting):

he net (expenditure)/income is stated after charging/(crediting):
2025 2024
£ £
Depreciation of tangible fixed assets - owned 464 2,404

Page 9

Hamilton District Youth Theatre Notes to the Financial Statements (continued) For The Year Ended 30 September 2025

5. Analysis of Expenditure

5.
Analysis of Expenditure
Theatre Productions
Theatre Productions
6.
Support Costs
Premises expenses
General administration
Depreciation
Premises expenses
General administration
Depreciation
7.
Independent Examiner's Remuneration
Independent examination of the financial statements
Other assurance services
Tax advisory services
Other financial services
Activities
undertaken
directly
£
70,305
Support costs
(see note 6)
£
9,782
2025
Total
£
80,087
Activities
undertaken
directly
£
36,731
Support costs
(see note 6)
£
10,312
2024
Total
£
47,043
2025
£
700
-
-
-
700
2025
Theatre
Productions
£
1,460
7,858
464
9,782
2024
Theatre
Productions
£
660
7,248
2,404
10,312
2024
£
900
-
-
-
900
  1. Average Number of Employees

Average number of employees during the year was: NIL (2024: NIL)

Page 10

Hamilton District Youth Theatre Notes to the Financial Statements (continued) For The Year Ended 30 September 2025

9. Tangible Assets

Cost
As at 1 October 2024
Additions
As at 30 September 2025
Depreciation
As at 1 October 2024
Provided during the period
As at 30 September 2025
Net Book Value
As at 30 September 2025
As at 1 October 2024
0.
Movement in Funds
Unrestricted funds
General:
General unrestricted fund
Total funds
Unrestricted funds
General:
General unrestricted fund
Total funds
As at 1
October 2024
£
70,223
Income
£
78,041
Expenditure
£
(80,087)
Plant &
Machinery
£
12,057
587
12,644
10,325
464
10,789
1,855
1,732
As at 30
September
2025
£
68,177
70,223 78,041 (80,087) 68,177
As at 1
October 2023
£
24,541
Income
£
92,725
Expenditure
£
(47,043)
As at 30
September
2024
£
70,223
24,541 92,725 (47,043) 70,223

10. Movement in Funds

11. Transactions with Trustees

None of the trustees received any remuneration or any other benefits from an employment with the charity or a related entity during the current or previous year.

  1. Related Party Disclosures

Page 11

Hamilton District Youth Theatre Detailed Statement of Financial Activities For The Year Ended 30 September 2025

INCOME AND ENDOWMENTS FROM:
Charitable Activities:
Theatre Productions
Member fees
Ticket sales
Sale of merchandise
Theatre tax credit
Other trading activities
2025
Total
funds
£
28,590
33,631
1,530
12,791
2024
Total
funds
£
31,675
22,883
1,825
36,044
76,542 92,427
Sponsorships
EXPENDITURE ON:
Charitable Activities:
Theatre Productions
Set and props
Merchandise for resale
Storage expenses
Royalties and licence fees payable
Artistic team
Rent
Small equipment and repairs
Insurance
Printing, postage and stationery
Advertising and marketing costs
Travel and subsistence
Telephone and internet
Independent examiner's fees
Sundry expenses
Depreciation of plant and machinery
NET (EXPENDITURE)/INCOME
1,500 300
1,500 300
78,041
(17,755)
(3,250)
(4,734)
(13,042)
(31,524)
(1,460)
(97)
(300)
(2,614)
(100)
(1,619)
(332)
(700)
(2,096)
(464)
92,725
(12,707)
(964)
(1,200)
(8,610)
(13,250)
(660)
-
(249)
(2,709)
(1,340)
-
(310)
(900)
(1,740)
(2,404)
(80,087) (47,043)
(80,087) (47,043)
(2,046) 45,682

Page 12

HDYT001 Full Financial Statements Sept 2025

Final Audit Report 2026-01-19

Created: 2026-01-19 By: Jane Renwick (jane@ammaccountancy.co.uk) Status: Signed Transaction ID: CBJCHBCAABAAikaCBekB6YkUjw91ihfh-1tqqvqDGWhi

"HDYT001 Full Financial Statements Sept 2025" History

2026-01-19 - 6:44:08 PM GMT- IP address: 86.136.126.12

Document emailed to hdytheatre@hotmail.co.uk for signature

2026-01-19 - 6:44:33 PM GMT

Email viewed by hdytheatre@hotmail.co.uk

2026-01-19 - 6:55:43 PM GMT- IP address: 146.75.168.38

Document e-signed by Nicole O'Rafferty (hdytheatre@hotmail.co.uk)

Signature Date: 2026-01-19 - 7:25:10 PM GMT - Time Source: server- IP address: 86.154.182.45

Agreement completed.

2026-01-19 - 7:25:10 PM GMT