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2024-06-30-accounts

Musselburgh Amateur Musical Association Trustees’ Annual Report July 2023 to June 2024

Charity contact information

Musselburgh Amateur Musical Association Scottish Charity Number: SC050568

c/o 19 Bridge Street, Portobello, EH15 1DB

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Charity Trustees

Objectives and activities

Musselburgh Amateur Musical Association (MAMA) recruits' people from a young age and gives people experience in stagecraft and an education in music and musical theatre. As an organisation we give people the opportunity to take part in theatrical productions and the opportunity to socialise with different social groups and cultures. People have a variety of opportunities; acting, singing, dancing, backstage, technical and commercial aspects of running a theatre company for the community to enjoy. Alongside this, we regularly take part in community events. We have also had a focus on providing a supportive friendly space to nurture members well being and mental health.

We started this season differently again with a series of workshops, due to the closure of the Brunton and the feeling that doing two large shows would be too much. The Charity felt though it was also a chance to upskill our members and build on the opportunities we could offer members. We held workshops in

All the workshops were successful at increasing members confidence and it was felt that if we could add a skills workshop every season this would increase the abilities of the company.

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Structure, governance and management

Type of governing document

Musselburgh Amateur Musical Association’s governing document is a SCIO constitution.

Trustee recruitment and appointment

The current trustees remained the same apart from Laura Murray who stood down on the 9[th] August 2024. At this time her position has not been replaced.

Achievements and performance

One of our key achievements was not seeing a drop in members as were not working on a full musical. As a company we achieved this by the great support from members and the introduction of a 24hr musical, which we were the first company in the Lothians to do this. This year we had 46 main members and 25 non performing members. The ages of our members ranged from 10 to 88, with 5 life members.

One area we were keen to build on was to increase the support in rehearsals for members with additional support needs. We introduced a wellness team who were available for members to speak to concerning problems in rehearsals, the wellness team were also able to advise the production teams and speak with them to solve issues.

We produced year 2 of our Christmas show, by changing venue and introduced a meet the Santa opportunity, and improved raffle prizes. We were able too profit from the show. We also saw double the number of members taking part in the performance. This was also a key musical event aimed at younger children.

Our first 24hr musical -Adrian Mole, was an amazing performance and social event. Highlights were:

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Our Annual revue took place in May and showed great company resilience as we yet again moved venues. We did though add more theatrical elements into the revue with a good range of songs for lots of styles. We achieved greater control of FOH and increased profit, and were able to theme these to the show.

We also held 2 beach socials for the company , a production team and committee meal during the season.

Financial review

A difficult year financially with £19,295 deficit following our two shows. With the closure of The Brunton, alternative venues were required which brought additional costs to the shows for venue hire and technical equipment hire.

Ticket sales were unfortunately low for the season which we contribute to the change of locations.

Future plans

We need to increase the membership fees to cover our basic costs to run. We need to increase non performing members and their involvement in the charity plus wider out responsibility of the work load. Review the Friends of MAMA and whether we still want to push this. We have to set realistic budgets and find a way of selling more tickets. We have to engage in our local community to increase fundraising and ticket sales.

We have to continue to increase our social media and website presence and perform locally whether in a theatre space or other venues. We want to return to performing a full musical for our 75[th] year.

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Signed on behalf of the charity trustees:

Declaration

Print name

Trustee Designation ~~fo~~ 27.3.25 Date load

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APPENDIX 3

’ Independent examiner s report on the accounts V2

Report to the trustees/members of

Charity name

Musselburgh Amateur Musical Association

trustees/members of Musselburgh Amateur Musical Association
Registered charity SC050568
number
On the accounts of the Period start date
Period end date
charity for the period Day
Month
Year
Day
Month
Year
to
01
July
2023
30
June
2024
Set out on pages 3
(remember to include the page
numbers of additional sheets)
Respective
responsibilities of
trustees and examiner
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.
Basis of independent My examination is carried out in accordance with Regulation 11 of the 2006 Accounts
examiner’s statement Regulations. An examination includes a review of the accounting records kept by the
charity and a comparison of the accounts presented with those records. It also includes
consideration of any unusual items or disclosures in the accounts and seeks
explanations from the trustees concerning any such matters. The procedures undertaken
do not provide all the evidence that would be required in an audit and, consequently, I do
not express an audit opinion on the viewgiven bythe accounts.
Independent examiner’s
statement
In the course of my examination, no matter has come to my attention
1.
which gives me reasonable cause to believe that in any material respect the
requirements:

to keep accounting records in accordance with section 44(1) (a) of the 2005 Act and
Regulation 4 of the 2006 Accounts Regulations, and

to prepare accounts which accord with the accounting records and comply with
Regulation 9 of the 2006 Accounts Regulations
have not been met, or
2. to which, in my opinion, attention should be drawn in order to enable a proper
understanding of the accounts to be reached.
Signed:
Name:
Relevant professional
qualification(s) or body
(if any):
Address:

*Please delete the words in the brackets if they do not apply. If the words do apply, set out those matters which have come to your attention on the following page.

APPENDIX 3 Disclosure section Only o)mplete rf the examiner rwds to highlight material prcolems. Glve here brfef detalls of any Items that the examlner wlshes to dlsclose

FINANCIAL STATEMENT 2023 - 2024 SUMMARY ACCOUNT 2023 2022 REVUE INCOME MAIN SHOW INCOME SUBSCRIPTION INCOME SUNDRY INCOME MONEY FROM PREVIOUS MONIES PAID TO PREVIOUS ACCOUNT OTHER INCOME CHARIry COLLECTION 9.220.42 9.730.00 2.700.00 24.68 13,109.13 £ 8,492.00 £ 2.915.00 £ 15,447.50 19,334.00 2.870.00 17.170.27 1.031.06 1.000.00 1.696.00 1.110.20 1.564.00 1.590.14 £ 1.403.28 £ TOTAL INCOh 24,349.30 27,509.55 £ 58,548.83 EXPENDITURE NODA SUBSCRIPTION NODA INSURANCES REHEARSAL ROOM RENT OTHER EXPENSES REVUE EXPENSES SUNDRY EXPENSES AIN SHOW EXPENSES FUNDRAISING EXPENSES NEXT YEAR SHOW DEPOSIT BANK FEES £245.00 £469.52 £3.619.00 £3.229.99 £11.131.47 £230.00 £ £469.52 £ £2,784.00 £ £1,385.66 £ £12,208.77 £ 119.97 431.38 1.862.00 1.180.00 15.699.37 928.80 18.214.39 1.696.00 £23,893.59 £334.37 £500.00 £221.50 £7.652.09 £ £0.00 £ £0.00 £98.16 £ 74.49 TOTAL EXPENDITURE 43,644.44 24,828.20 £ 40,206.40 DEFtClT ON YEAR SURPLUS ON YEAR 19,295.14 2,681.35 £ 1,172.16 BALANCE SHEET Accjuod Costs Awued Inco 5.606.00 1.984.68 BALANCE AT 01.07.23 DEFICIT ON YEAR SURPLUS ON YEAR 21,023.78 19,295.14 18,342.43 £ 17,170.27 2,681.35 £ 1,172.16 CALCULATED BALANCE AT 30.06.24 PErrY CASH 5.349.96 300.00 21,023.78 £ 18,342.43 21,023.78 £ 18,342.43 Financkql SlaletTEnls delailling Bank Receipts & Payments for period 1 sl JU￿ 2023 - 30th June 2024