CCEW Charity Commission profile

CURVINGROAD

Registered charity 1121987 · organisation 4036002

01 Identity

Registration and reporting

Registration status
Registered
Reporting status
Submission Received
Charity type
Charitable company
Registered
14 December 2007
Removed
Not supplied
Company number supplied
06114448
Financial period
1 March 2024 – 28 February 2025
Latest income
£691,275
Latest expenditure
£678,669
Gift Aid
Yes
Owns or uses land
Yes
In administration
No
Insolvent
No
CIO
No

Public contact address: 107 Leadenhall Street, LONDON, EC3A 4AF

Website recorded by the regulator: www.theatredeli.co.uk (displayed as text)

02 Activities

What the charity does

CurvingRoad works to increase public engagement, awareness and appreciation of theatre and the arts by- Conceiving, producing and staging theatre productions- Supporting and mentoring emerging theatremakers and artists working in other art forms- Establishing creative hubs, providing working space and facilities for artists and the wider creative community to develop their practice

03 Official extract

Charity Annual Return History

Fin Period Start Date
1 March 2024
Fin Period End Date
28 February 2025
Ar Cycle Reference
AR25
Reporting Due Date
28 December 2025
Date Annual Return Received
11 December 2025
Date Accounts Received
11 December 2025
Total Gross Income
£691,275
Total Gross Expenditure
£678,669
Fin Period Start Date
1 March 2023
Fin Period End Date
29 February 2024
Ar Cycle Reference
AR24
Reporting Due Date
29 December 2024
Date Annual Return Received
28 November 2024
Date Accounts Received
28 November 2024
Total Gross Income
£642,388
Total Gross Expenditure
£760,010
Fin Period Start Date
1 March 2022
Fin Period End Date
28 February 2023
Ar Cycle Reference
AR23
Reporting Due Date
28 December 2023
Date Annual Return Received
16 November 2023
Date Accounts Received
16 November 2023
Total Gross Income
£443,572
Total Gross Expenditure
£459,158
Fin Period Start Date
1 March 2021
Fin Period End Date
28 February 2022
Ar Cycle Reference
AR22
Reporting Due Date
28 December 2022
Date Annual Return Received
17 November 2022
Date Accounts Received
17 November 2022
Total Gross Income
£497,811
Total Gross Expenditure
£304,211
Fin Period Start Date
1 March 2020
Fin Period End Date
28 February 2021
Ar Cycle Reference
AR21
Reporting Due Date
28 December 2021
Date Annual Return Received
19 January 2022
Date Accounts Received
19 January 2022
Total Gross Income
£305,557
Total Gross Expenditure
£116,234

04 Official extract

Charity Annual Return Parta

Latest Fin Period Submitted Ind
Yes
Fin Period Order Number
1
Ar Cycle Reference
AR25
Fin Period Start Date
1 March 2024
Fin Period End Date
28 February 2025
Ar Due Date
28 December 2025
Ar Received Date
11 December 2025
Total Gross Income
£691,275
Total Gross Expenditure
£678,669
Grant Making Is Main Activity
No
Count Govt Contracts
0
Count Govt Grants
£0
Charity Has Trading Subsidiary
No
Does Trustee Receive Any Benefit
No
Trustee Payments Acting As Trustee
No
Trustee Receives Payments Services
No
Trustee Receives Other Benefit
No
Trustee Resigned Employment
No
Employees Salary Over 60k
No
Count Volunteers
0
Latest Fin Period Submitted Ind
No
Fin Period Order Number
2
Ar Cycle Reference
AR24
Fin Period Start Date
1 March 2023
Fin Period End Date
29 February 2024
Ar Due Date
29 December 2024
Ar Received Date
28 November 2024
Total Gross Income
£642,388
Total Gross Expenditure
£760,010
Grant Making Is Main Activity
No
Count Govt Contracts
0
Count Govt Grants
£0
Charity Has Trading Subsidiary
Yes
Trustee Also Director Of Subsidiary
Yes
Does Trustee Receive Any Benefit
No
Trustee Payments Acting As Trustee
No
Trustee Receives Payments Services
No
Trustee Receives Other Benefit
No
Trustee Resigned Employment
No
Employees Salary Over 60k
No
Count Volunteers
0
Latest Fin Period Submitted Ind
No
Fin Period Order Number
3
Ar Cycle Reference
AR23
Fin Period Start Date
1 March 2022
Fin Period End Date
28 February 2023
Ar Due Date
28 December 2023
Ar Received Date
16 November 2023
Total Gross Income
£443,572
Total Gross Expenditure
£459,158
Grant Making Is Main Activity
No
Count Govt Contracts
0
Count Govt Grants
£3
Income From Government Grants
£100,654
Charity Has Trading Subsidiary
Yes
Trustee Also Director Of Subsidiary
Yes
Does Trustee Receive Any Benefit
No
Trustee Payments Acting As Trustee
No
Trustee Receives Payments Services
No
Trustee Receives Other Benefit
No
Trustee Resigned Employment
No
Employees Salary Over 60k
No
Count Volunteers
0
Latest Fin Period Submitted Ind
No
Fin Period Order Number
4
Ar Cycle Reference
AR22
Fin Period Start Date
1 March 2021
Fin Period End Date
28 February 2022
Ar Due Date
28 December 2022
Ar Received Date
17 November 2022
Total Gross Income
£497,811
Total Gross Expenditure
£304,211
Charity Raises Funds From Public
Yes
Charity Professional Fundraiser
No
Charity Commercial Participator
No
Charity Receives Govt Funding Contracts
No
Charity Receives Govt Funding Grants
Yes
Count Govt Grants
£4
Income From Government Grants
£142,315
Charity Has Trading Subsidiary
Yes
Trustee Also Director Of Subsidiary
Yes
Does Trustee Receive Any Benefit
No
Trustee Resigned Employment
No
Employees Salary Over 60k
No
Count Volunteers
0
Latest Fin Period Submitted Ind
No
Fin Period Order Number
5
Ar Cycle Reference
AR21
Fin Period Start Date
1 March 2020
Fin Period End Date
28 February 2021
Ar Due Date
28 December 2021
Ar Received Date
19 January 2022
Total Gross Income
£305,557
Total Gross Expenditure
£116,234
Charity Raises Funds From Public
Yes
Charity Professional Fundraiser
No
Charity Commercial Participator
No
Charity Receives Govt Funding Contracts
No
Charity Receives Govt Funding Grants
Yes
Count Govt Grants
£3
Income From Government Grants
£165,312
Charity Has Trading Subsidiary
Yes
Trustee Also Director Of Subsidiary
Yes
Does Trustee Receive Any Benefit
No
Trustee Resigned Employment
No
Employees Salary Over 60k
No
Count Volunteers
0

05 Official extract

Charity Annual Return Partb

Latest Fin Period Submitted Ind
Yes
Fin Period Order Number
1
Ar Cycle Reference
AR25
Fin Period Start Date
1 March 2024
Fin Period End Date
28 February 2025
Ar Due Date
28 December 2025
Ar Received Date
11 December 2025
Income Donations And Legacies
7277
Income Other Trading Activities
0
Income Charitable Activities
683966
Income Investments
32
Income Other
0
Income Total Income And Endowments
691275
Income Legacies
0
Income Endowments
0
Expenditure Raising Funds
£0
Expenditure Charitable Expenditure
£678,669
Expenditure Other
0
Expenditure Total
678669
Expenditure Investment Management
0
Expenditure Grants Institution
0
Expenditure Governance
0
Expenditure Support Costs
271433
Expenditure Depreciation
2166
Gain Loss Investment
0
Gain Loss Pension Fund
0
Gain Loss Revaluation Fixed Investment
0
Gain Loss Other
0
Reserves
£110,902
Assets Total Fixed
5274
Assets Own Use
5274
Assets Long Term Investment
0
Defined Benefit Pension Scheme
0
Assets Other Assets
£382,257
Assets Total Liabilities
£276,629
Assets Current Investment
0
Assets Total Assets And Liabilities
£110,902
Creditors One Year Total Current
199606
Creditors Falling Due After One Year
77023
Assets Cash
£32,471
Funds Endowment
0
Funds Unrestricted
110902
Funds Restricted
0
Funds Total
110902
Count Employees
35
Charity Only Accounts
Yes
Latest Fin Period Submitted Ind
No
Fin Period Order Number
2
Ar Cycle Reference
AR24
Fin Period Start Date
1 March 2023
Fin Period End Date
29 February 2024
Ar Due Date
29 December 2024
Ar Received Date
28 November 2024
Income Donations And Legacies
48033
Income Other Trading Activities
0
Income Charitable Activities
594314
Income Investments
41
Income Other
0
Income Total Income And Endowments
642388
Income Legacies
0
Income Endowments
0
Expenditure Raising Funds
£0
Expenditure Charitable Expenditure
£759,936
Expenditure Other
74
Expenditure Total
760010
Expenditure Investment Management
0
Expenditure Grants Institution
0
Expenditure Governance
0
Expenditure Support Costs
353101
Expenditure Depreciation
2166
Gain Loss Investment
0
Gain Loss Pension Fund
0
Gain Loss Revaluation Fixed Investment
0
Gain Loss Other
0
Reserves
£95,346
Assets Total Fixed
6196
Assets Own Use
6196
Assets Long Term Investment
0
Defined Benefit Pension Scheme
0
Assets Other Assets
£467,788
Assets Total Liabilities
£375,688
Assets Current Investment
0
Assets Total Assets And Liabilities
£98,296
Creditors One Year Total Current
375688
Creditors Falling Due After One Year
0
Assets Cash
£11,243
Funds Endowment
0
Funds Unrestricted
95346
Funds Restricted
2950
Funds Total
98296
Count Employees
23
Charity Only Accounts
Yes

06 Official extract

Charity Area Of Operation

Geographic Area Type
Region
Geographic Area Description
Throughout England And Wales
Welsh Ind
No

07 Official extract

Charity Classification

Classification Code
305
Classification Type
How
Classification Description
Provides Buildings/facilities/open Space
Classification Code
109
Classification Type
What
Classification Description
Arts/culture/heritage/science
Classification Code
207
Classification Type
Who
Classification Description
The General Public/mankind
Classification Code
310
Classification Type
How
Classification Description
Other Charitable Activities

08 Official extract

Charity Event History

Charity Name
CURVINGROAD
Charity Event Order
1
Event Type
Standard registration
Date Of Event
2007-12-14T00:00:00
Charity Name
CURVINGROAD
Charity Event Order
2
Event Type
Asset transfer in
Date Of Event
2024-06-13T00:00:00
Reason
Removed by application
Assoc Organisation Number
5133458
Assoc Registered Charity Number
1185183
Assoc Charity Name
MAUDE THEATRE

09 Official extract

Charity Governing Document

Governing Document Description
MEMORANDUM AND ARTICLES OF ASSOCIATION INCORPORATED 19 FEBRUARY 2007 as amended on 29 Apr 2020
Charitable Objects
TO ADVANCE EDUCATION FOR THE PUBLIC BENEFIT BY THE PROMOTION OF THE ARTS, IN PARTICULAR BUT NOT EXCLUSIVELY THE ART OF DRAMA AND THE VISUAL ARTS
Area Of Benefit
NATIONAL

10 Official extract

Charity Policy

Policy Name
Trustee conflicts of interest policy and procedures
Policy Name
Risk management
Policy Name
Safeguarding vulnerable beneficiaries
Policy Name
Complaints handling
Policy Name
Financial reserves policy and procedures
Policy Name
Social media policy and procedures
Policy Name
Conflicting interests
Policy Name
Safeguarding policy and procedures
Policy Name
Trustee expenses policy and procedures
Policy Name
Serious incident reporting policy and procedures
Policy Name
Complaints policy and procedures
Policy Name
Internal risk management policy and procedures
Policy Name
Paying staff
Policy Name
Internal charity financial controls policy and procedures
Policy Name
Volunteer management
Policy Name
Bullying and harassment policy and procedures