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ANNUAL REPORT 2014 01 ———————————— CORE VALUES & MISSION 02———————————— CHAIR’S REPORT 04———————————— EXECUTIVE REPORT 06———————————— 2014 SEASON 18 ———————————— ARTISTIC DEVELOPMENT 20———————————— PROMPT 22 ———————————— ADDITIONAL ACTIVITIES 26———————————— BOARD & STAFF 28 ———————————— KEY PERFORMANCE INDICATORS 32 ———————————— ANNUAL FINANCIAL STATEMENT CONTENTS MALTHOUSE THEATRE CORE VALUES & MISSION Malthouse Theatre is at once a treasured building, a theatre company, a creative site and an engine for change. It is also the imaginative expression of a committed team of artmakers reaching out to an even larger number of local, national and international artists. All are dedicated to an ongoing conversation with audiences of exciting diversity and character. This conversation chooses contemporary theatre as its vehicle: a compelling annual program of adventurous, multi-disciplinary work inspired by writers, directors, designers, choreographers, audio artists and performers. Here, the combined possibilities of all theatre arts are offered centre stage – for entertainment, for inspiration, and even for fun. The quality, depth and longevity of the relationship between artists and audiences are at the heart of everything we do and our creative aspirations are driven by three core values: RISK Works created at Malthouse aim to test and extend the boundaries of our art form. In order to be vital, cultural practice needs to be challenged and renewed. By acknowledging otherness and embracing experimentation as part of our day-to-day work, our assumptions are tested, our perspectives are expanded and our practice is rejuvenated. A celebration of difference, a desire to reach beyond our known limits and a willingness to venture into the thrilling unknown are how we define creative risk. RIGOUR Malthouse Theatre is committed to research, creative development and the ongoing examination of our practice. A work of art is created in the time and space between the first idea and its realisation. Its potential for intelligence, passion and beauty is the measure of how ideas are tested, developed and supported over time. While we have permission to fail, we have the right to create the best conditions for achievement: our rigour builds the strongest platform from which to leap towards greatness. QUEST Malthouse Theatre lives its values both onstage and off-stage: diversity, access and social inclusion are at the core of the world we want to represent and shape. Theatre allows us to imagine and interact with the wondrous spectrum of human possibility: it allows us to picture a different world and know that it can be one of our own making. Through theatre, we participate in an ongoing quest to define who we are and what we value. 2014 ANNUAL REPORT // 1 MALTHOUSE THEATRE CHAIR’S REPORT A year of achievements both at home and away, 2014 saw Malthouse Theatre extend the footprint of its creative endeavours. The breadth and diversity of work done by this company continues to impress: from mainstage works of scale to independent productions; from residencies for artists to programs for school students; from regional Australia to mainland China. At the heart of all this activity, there remains an unwavering commitment to the unknown possibilities, intellect, precision and adventure of being at the theatre. At The Coopers Malthouse in Melbourne’s Southbank, the company presented 272 performances across three performance spaces, reaching an audience of over 41,000. The 2014 season was daring, unpredictable and enthralling. Malthouse Theatre’s artistic leadership in making, developing and curating new Australian work brought us some unforgettable moments in the theatre: The Riders brought together Artistic Director Marion Potts and Victorian Opera; Richard Frankland garnered rousing ovations in the final moments of Walking Into the Bigness; Matthew Lutton’s inspired and ambitious interpretation of Patrick White’s Night on Bald Mountain; Paul Capsis’ captivating diva in Calpurnia Descending; Jane Montgomery Griffiths as the monster of THE RABBLE’s Frankenstein; and the honest voices captured in Roslyn Oades’ Hello Goodbye and Happy Birthday. In its third and final year, the Helium initiative in the Tower space brought us thrilling new works from five independent companies. Given time and space, and crucially, freedom, the Helium artists offered some of the most intriguing and volatile theatre of the year, including improvised comedy (Last Tuesday Society’s The YouTube Comment Orchestra), a live rockumentary (Applespiel Make a Band and Take on the Recording Industry), devised dance theatre (Torque Show’s Intimacy) and multisensory adaptation (Meta based on Kafka’s Metamorphosis). As ever, Helium provided glimpses of a future art, one that fearlessly pushes ideas and talent to the very edge of possibility. Looking beyond Melbourne, 2014 was an enormous year for touring and serves as an indicator of the reach of Malthouse Theatre’s influence. The national tour of Michael Kantor and Tom E. Lewis’s The Shadow King took this landmark production to international arts festivals in Perth, Adelaide, Sydney, Darwin and Brisbane, as well as some special performances in Katherine, with a total audience of 7,688. Blak Cabaret continued touring regional Victoria and Stories I want to Tell You in Person also hit the road with performances in Albury and Adelaide. 2 2014 ANNUAL REPORT // But it was the international activity that rose to prominence this year as we saw a number of long-term collaborations and strategic partnerships come to fruition. Following its successful Melbourne premiere, The Good Person of Szechuan toured to prominent arts festivals in Shanghai and Beijing. Marion Potts and Lally Katz attended Mexico’s premier new writing festival Dramafest as part of an extensive Australian program. Lally performed Stories I Want to Tell You in Person and gave playwriting workshops and Marion directed a new play by an Indigenous Mexican writer. Marion also travelled to India to collaborate with Jagriti Theatre in Bangalore. The commitment of philanthropic funds from Maureen and Tony Wheeler is what makes this kind of sustained conversation and presence overseas possible. All our partners have made an invaluable contribution to the life and success of this company and on behalf of the Board I warmly thank our major partners Coopers, Monash University and Victoria University for their confidence in our mission. I also acknowledge our 2014 partners: accommodation partner Art Series Hotel; media partner Time Out Melbourne; corporate partners Roy Morgan Research and Allens Linklater; corporate associate Avant Card; and supporters Gorman and Avenue Bookstore. These thanks extend to all the philanthropic trusts, foundations and individual donors who have invested directly in the making of new work and the employment of exceptional artists with Malthouse Theatre in 2014: The Besen Family Foundation; The Danielle and Daniel Besen Foundation, Malcolm Robertson Foundation, Tom Kantor Fund, Playking Foundation and the Sidney Myer Fund as well as all our treasured Muses. We also acknowledge the invaluable funding from all levels of government, Creative Victoria, Australia Council for the Arts and the City of Melbourne. Finally, I thank my fellow board members and the staff of Malthouse Theatre for their hard work and dedication that made 2014 an exceptional year. Michele Levine / Chair } 9 } MALTHOUSE THEATRE 54,680 } 196 2014 ANNUAL REPORT // 3 MALTHOUSE THEATRE EXECUTIVE REPORT 2014 was a phenomenally busy year. Some memorable productions took place alongside other important company initiatives: Simon Stone’s hilarious version of The Government Inspector saw the company creatively bouncing back from the nerve-wracking loss of The Philadelphia Story, and its fabulous company of actors set the tone and spirit for the year. 2014 was in fact book-ended by our trademark irreverence with Calpurnia Descending delighting audiences in the lead-up to Christmas. Along the way, there was a lot more – not only on site at The Coopers Malthouse, but offsite and even offshore. In addition to our busy mainstage program we extended our reach with our own tours and coproductions playing in various cities around Australia. The Government Inspector as a co-production with Belvoir played further seasons in Canberra, Geelong and Sydney. Ugly Mugs, our co-production with Sydney’s Griffin Theatre Company played both cities, as did Calpurnia Descending as a co-production with Sydney Theatre Company. The most ambitious of our touring projects was undoubtedly The Shadow King, which after its 2013 début in Melbourne toured to all of Australia’s major festivals: opening in Sydney, followed by Perth, Adelaide, Brisbane, Darwin, and finally, a memorable season in Katherine. This exposure generated an invitation to the Barbican Centre in London for 2016. Other co-productions included Roslyn Oades’ Hello, Goodbye and Happy Birthday with Melbourne International Arts Festival and my last production for Malthouse Theatre, The Riders with Victorian Opera. Thanks to the support of Maureen and Tony Wheeler, our international program literally took flight: as part of this, Lally Katz’ Stories I Want to Tell You in Person toured to Albury and Adelaide and was also presented as part of Dramafest in Mexico, an international event in which a number of Australian artists were invited to participate. Our co-production with The National Theatre Company (NTC) in China of The Good Person of Szechuan, directed by Meng Jinghui was part of NTC’s International Theatre Program as well as the Shanghai International Arts Festival. These were memorable experiences that permeated the cultural fabric of the company and extended its horizon line. 4 2014 ANNUAL REPORT // The Wheeler’s support also allowed us to set up collaborations for the future. As part of Malthouse Theatre’s development arm ‘The Engine Room’, we were able to initiate conversations with USA’s The Debate Society, Belarus Free Theatre and Jagriti Theatre in Bangalore, India. Back at home we honoured the Australian repertoire with Matthew Lutton’s mesmeric, haunting production of Night on Bald Mountain and Richard Frankland’s moving and big-hearted play Walking into the Bigness. We supported THE RABBLE as Company in Residence with their challenging adaptation of Frankenstein and made young people shriek with delight at Roald Dahl’s The Witches. We also went on Alirio’s Zavarce’s madcap journey into the Book of Loco. It has been my joy to have curated six seasons of plays along with the brilliant Malthouse Theatre team. My special thanks go to the wonderful Sarah Neal who has been my constant companion in the last 18 months; to our intrepid associates past and present, in particular Matthew Lutton who has been with me from the beginning. And to Jo Porter whose expertise helped us achieve such memorable productions as The Shadow King. I am deeply indebted to our Malthouse Theatre audiences who are imaginative, fearless and who hunger for big ideas and theatre that matters. Marion Potts / Artistic Director MALTHOUSE THEATRE ‘THE MALTHOUSE HAS NEVER SHIED AWAY FROM TESTING ITS AUDIENCE AND PUSHING THE ENVELOPE.’ 5 2014 ANNUAL REPORT // MALTHOUSE THEATRE 2014 SEASON THE GOVERNMENT INSPECTOR FRANKENSTEIN 28 FEBRUARY 23 MARCH 2014 Venue 21 MARCH 5 APRIL 2014 Merlyn Theatre Total Number of Performances 6 22 Venue Beckett Theatre Total Number of Performances 17 Total Paid Attendances 4,685 Total Paid Attendances 1,572 All Attendances 5,535 All Attendances 1,930 A Malthouse Theatre and Belvoir co-production Malthouse Theatre presents By / Simon Stone with Emily Barclay devised with the cast Featuring / a short musical by Stefan Gregory Inspired by / Nikolai Gogol Set Design / Ralph Myers Lighting Design / Paul Jackson Sound Design & Composition / Stefan Gregory Choreography / Lucy Guerin Costume Design / Mel Page Cast / Fayssal Bazzi, Mitchell Butel, Gareth Davies, Robert Menzies, Zahra Newman, Eryn-Jean Norvill and Greg Stone Proudly supported by / Art Series Hotel Group Created by / Kate Davis & Emma Valente Directed by / Emma Valente Set & Costume Design by / Kate Davis Lighting & Sound Design by / Emma Valente Cast / Jane Montgomery Griffiths, Emily Milledge, Dana Miltins, David Paterson and Mary Helen Sassman Stage Manager / Jenn Taylor JUMP Mentees / Amelia Lever-Davidson and Lucy Thornett ASM Secondment / Stephanie Dimitriou Proudly supported by / The Danielle and Daniel Besen Foundation ‘A scrupulously polished backstage farce… deliriously funny… Simon Stone has always been a showman. And here he has let his inner showman out to play, sequined jacket and all.’ ‘Reversing gender in Mary Shelley’s classic tale of monstrosity is an ingenious conceit… nature is violated in radically new ways when both creator and creation are women.’ ANNUAL REPORT // 2014 SEASON MALTHOUSE THEATRE NIGHT ON BALD MOUNTAIN UGLY MUGS 5 MAY 25 MAY 2014 16 MAY 7 JUNE 2014 Venue Merlyn Theatre Total Number of Performances 22 Venue Beckett Theatre Total Number of Performances 21 Total Paid Attendances 3,503 Total Paid Attendances 1,755 All Attendances 4,203 All Attendances 2,188 A Malthouse Theatre production By / Patrick White Directed by / Matthew Lutton Set & Costume Design / Dale Ferguson Lighting Design / Paul Jackson Sound Design / David Franzke Composition & Double Bass / Ida Duelund Hansen Stage Manager / Lisa Osborn Assistant Stage Manager / Caitlin Byrne Besen Placement / Amelia Lever-Davidson Cast / Peter Carroll, Melita Jurisic, Sue Jones, Julie Forsyth, Nikki Shiels, Luke Mullins, Syd Brisbane and Ida Duelunda Hansen ‘Lutton has found the lifeblood of the work; stripping it back and building it into a theatrical experience as vast and towering as the mountain itself.’ ANNUAL REPORT // 2014 SEASON A Malthouse Theatre and Griffin Theatre Company co-production By / Peta Brady Directed by / Marion Potts Assistant Director / Margaret Harvey Set & Costume Design / Michael Hankin Lighting Design / Lucy Birkinshaw Sound Design / Darrin Verhagen Stage Manager / Tia Clark Cast / Harry Borland, Peta Brady, Steve Le Marquand and Sara West Proudly supported by / Malcolm Robertson Foundation The play’s great achievement is humanising the victim … powerful and memorable. 7 MALTHOUSE THEATRE 2014 SEASON THE WITCHES THE GOOD PERSON OF SZECHUAN 16 JUNE 5 JULY 2014 27 JUNE 20 JULY 2014 Venue Beckett Theatre Total Number of Performances 23 Merlyn Theatre Total Number of Performances 24 Total Paid Attendances 2,691 Total Paid Attendances 3,615 All Attendances 3,098 All Attendances 4,405 Malthouse Theatre presents a Griffin Theatre Company production A Malthouse Theatre and National Theatre Company of China co-production By / Roald Dahl Adapted from the stage play by / David Wood Re-imagined by / Lucas Jervies Designer / Hugh O’Connor Dramaturg / Chris Summers Lighting Design / Christopher Page Sound Engineer / Nate Edmondson Cast / Guy Edmonds Proudly supported by / Betty Amsden OAM By / Bertolt Brecht Adaption by / Tom Wright Translation by / Nina Wei Direction / Meng Jung Hui Set & Costume Design / Marg Horwell Lighting Design / Richard Vabre Assistant Director / Felix Ching Ching Ho Composition and Sound Design / The Sweats Stage Manager / Lisa Osborn Assistant Stage Manager / Lindy Li Wan Po Cast / Aljin Abella, Moira Fincuane, Daniel Frederiksen, Genevieve Giuffre, Bert LaBonté, Emily Milledge, Genevieve Morris, Josh Price and Richard Pyros Supported by / Maureen and Tony Wheeler, Playking Foundation and Sidney Myer Fund The Witches was originally produced at NIDA in 2012 and co-designed by Becky-Dee Trevenen and Hugh O’Connor. ‘The Witches is a stellar example of simple theatrical storytelling at its best.’ 8 Venue ANNUAL REPORT // 2014 SEASON ‘The cast is exceptional, throwing itself into the demands of the show with a sense of almost reckless courage.’ MALTHOUSE THEATRE THE BOOK OF LOCO WALKING INTO THE BIGNESS 17 JULY 2 AUGUST 2014 1 AUGUST 23 AUGUST 2014 Venue Beckett Theatre Total Number of Performances 19 Venue Merlyn Theatre Total Number of Performances 24 Total Paid Attendances 1,032 Total Paid Attendances 3,367 All Attendances 1,331 All Attendances 4,287 A Malthouse Theatre production A Malthouse Theatre production By / Alirio Zavarce Produced by / Janine Peacock, Loose Canon Art Services Direction by / Sasha Zahra Designer / Jonathan Oxlade Video & Graphics / Chris More Composer / Duncan Campbell Lighting Realisation / Neil Jensen from original design by David Gadsden Artist’s Associate / Bradley Williams Production Manager / Neil Jensen Cast / Alirio Zavarce Supported by / Avant Card Story by / Richard Frankland and Wayne Blair Written by / Richard Frankland Co-Directed by / Wayne Blair and Chris Mead Dramaturgy / Chris Mead Choreography / Katrina Olsen Set & Costume Design / The Sisters Hayes Lighting Design / Rachel Burke Co-Musical Directors / Richard Frankland and Monica Weightman Stage Manager / Tia Clark Cast / Tammy Anderson, Paul Ashcroft, Luisa Hastings Edge, Rarriwuy Hick and Tiriki Onus ‘Zavarce offers a vivid migrant experience, entwined with familiar tales of love and loss and grappling for understanding. It’s a small story with big ideas and a bigger heart.’ ‘The five actors are magnificent. Directors Wayne Blair and Chris Mead have drawn an incredible and moving collaborative portrait… you have to see this show. ANNUAL REPORT // 2014 SEASON 9 MALTHOUSE THEATRE 2014 SEASON THE RIDERS HELLO, GOODBYE AND HAPPY BIRTHDAY 23 SEPTEMBER 4 OCTOBER 2014 9 OCTOBER 26 OCTOBER 2014 Venue Merlyn Theatre Total Number of Performances 8 Merlyn Theatre Total Number of Performances 17 Total Paid Attendances 2,312 Total Paid Attendances 2,200 All Attendances 2,815 All Attendances 2,556 A Malthouse Theatre and Victorian Opera co-production A Malthouse Theatre and Melbourne Festival co-production By / Iain Grandage and Alison Croggon Based on the novel by / Tim Winton Directed by / Marion Potts Set & Costume Design / Dale Ferguson Lighting Design / Matt Scott Sound Design / Jim Atkins Assistant Director / Cameron Menzies Cast / Jessica Aszodi, Jerzy Kozlowski, David Rogers-Smith, Barry Ryan and Dimity Shepherd By / Roslyn Oades and collaborators Directed by / Roslyn Oades Composed by / Bob Scott Lighting Design / Paul Jackson Sound Design / Russell Goldsmith Set Design / Christina Hayes Movement Designer / Nat Cursio Stage Manager / Tia Clark Cast / Matthew Connell, Jim Daly, Diana Perini, Haiha Le, Evelyn Krape and Roger Oakley Supported by / Australia Council, City of Yarra, Arts Victoria Brotherhood of St Lawrence, Campbelltown Arts Centre Robert Salzer Foundation Besen Family Artist (Set & Costume Design) / Eugyeen Teh Besen Family Artist (Composition) / Evan Lawson Besen Family Artist (Directing) / Samara Hersch ‘An opera of rare dramatic power, utmost musicality and first-rate performances.’ 10 Venue ANNUAL REPORT // 2014 SEASON Besen Family Artist Program (Lighting Design) / Amelia Lever-Davidson ‘Rich with character and anecdotal originality… infused with a terrific sense of life rarely felt in a theatre.’ MALTHOUSE THEATRE CALPURNIA DESCENDING 12 NOVEMBER 30 NOVEMBER 2014 Venue Merlyn Theatre Total Number of Performances 18 Total Paid Attendances 4,060 All Attendances 4,884 A Malthouse Theatre and Sydney Theatre Company co-production By / Sisters Grimm Directed by / Declan Greene Set & Costume Design / David Fleischer Lighting Design / Katie Sfetkidis Sound Design / Jed Palmer AV Design / Matthew Gingold Stage Manager / Lisa Osborn Cast / Paul Capsis, Ashleigh Flanders, Sandy Gore and Peter Paltos ‘The genius of this piece is the extent to which it goes beyond parody and beyond drag… This production is clever and fun, and a lot more serious than it pretends to be. ANNUAL REPORT // 2014 SEASON 11 MALTHOUSE THEATRE HELIUM 2014 Helium reflects big ideas, high risk and the bleeding edge. In its third year, Helium presented a curated collection of the most exciting Australian independent performance work spanning culture divides, performance genres, social issues and even the abyss that is the YouTube commentariat. Given full access to our beloved space, the Tower Theatre, and all the accoutrements, these theatre practitioners explore form and content in original ways. SEETHROUGH 30 APRIL 11 MAY 2014 Venue Tower Theatre Total Number of Performances 12 Total Paid Attendances 110 All Attendances 365 A Malthouse Theatre and Sean Jorvn production, in association with Ilbijerri and Next Wave Directed, Devised and Performed by / Colin Kinchella and Gavin Walters Directed by / Isaac Drandic Video Artist / Jacqui Mills Original music by / Chris Yates and Corey Webster Dramaturges / Andrea James and Björn Stewart Lighting Design by / Tom Willis 12 ANNUAL REPORT // 2014 SEASON MALTHOUSE THEATRE INTIMACY APPLESPIEL MAKE A BAND & TAKE ON THE RECORDING INDUSTRY 13 AUGUST 23 AUGUST 2014 Venue 3 SEPTEMBER 13 SEPTEMBER 2014 Tower Theatre Total Number of Performances 8 Venue Tower Theatre Total Number of Performances 7 Total Paid Attendances 357 Total Paid Attendances 210 All Attendances 471 All Attendances 356 A Malthouse Theatre and Torque Show production A Malthouse Theatre and Applespeil production Created and devised by / Torque Show in collaboration with Michelle Ryan and Lavender Vs Rose Torque Show are / Vincent Crowley, Ross Ganf and Ingrid Weisfelt Lavender Vs Rose are / Emma Bathgate and Simon Eszeky Original music composed by / Lavender Vs Rose Directed by / Ingrid Weisfelt and Ross Ganf Performed by / Michelle Ryan, Vincent Crowley, Emma Bathgate and Simon Eszeky Lighting Design by / John Ford Set and Costume Design by / Adrienne Chisholm Production and Stage Manager / Halley Jean Buckham Devised and performed by / Simon Binns, Nathan Harrison, Nikki Kennedy, Emma McManus, Joseph Parro, Troy Reid, Rachel Roberts and Mark Rogers ANNUAL REPORT // 2014 SEASON 13 MALTHOUSE THEATRE HELIUM 2014 THE YOUTUBE COMMENT ORCHESTRA META 17 SEPTEMBER 27 SEPTEMBER 2014 22 OCTOBER 1 NOVEMBER 2014 Venue Total No of Performances 14 Tower Theatre 8 Venue Tower Theatre Total No of Performances 9 Total Paid Attendances 313 Total Paid Attendances 366 All Attendances 416 All Attendances 573 A Malthouse Theatre and Last Tuesday Society production A Malthouse Theatre and Second Cousins production Hosted, Co-Curated and Performed by / Richard Higgins Co-curated, Produced and Performed by / Bron Batten Performed and Devised by / Zoey Dawson, Liz Dunn Mish Grigor, Grit Theatre (Tom Browne, Laura Hughes and Clare Phillips), The List Operators (Matt Kelly and Richard Higgins), Anna McCarthy, Telia Nevile, Lara Thoms, Madeleine Tucker, Glen Walton Conceived by / Samara Hersch Inspired by / Frnaz Kafka’s short story Metamorphosis Directed by / Samara Hersch Produced by / Bek Berger Set and Costume by / Romanie Harper Lighting Design by / Amelia Lever-Davidson Sound Design and Composition / James Paul Stage Manager / Ainsley Kerr Assistant Stage Manager / Leticia Brennan-Steers Set Assistant / Stephanie Dimitrou Muscian / Anna Orzech Dramaturg / David Woods Performed and Devised by / Josh Ferenbach, John Flaus, Liz Jones, Aaron Orzech and Mary Helen Sassman ANNUAL REPORT // 2014 SEASON MALTHOUSE THEATRE TOURING 2014 BLAK CABARET In conjunction with Vic Health and the Helen Macpherson Smith Trust, Malthouse Theatre has a three year touring plan for Blak Cabaret - a cocktail of comedy, music, poetry and dance featuring the deadliest mob of Aboriginal and Torres Strait Islander performers. MELBOURNE INDIGENOUS ARTS FESTIVAL 7-9 February 2014 460 attendees Beckett Theatre, Melbourne GEELONG 29 June 2014 104 attendees The Potato Shed, Geelong BALLARAT CABARET FESTIVAL 12 October 2014 54 attendees Helen Macpherson Smith Theatre, Ballarat FRANKSTON 15 November 2014 63 attendees Frankston Arts Centre A Malthouse Theatre production Producer / Jason Tamiru Performed by / Kylie Belling, Kutcha Edwards, Bunna Lawrie, Illana Atkinson, Joey Geia, Bart Willoughby, Selwyn Burns and Ce Cee, Uncle Herb Patten, Tiriki Onus, Shiralee Hood, Black Elvis, Peter Rotumah, Kevin Kropinyeri, Nikki Ashby, Den the Fish ANNUAL REPORT // 2014 SEASON 15 MALTHOUSE THEATRE TOURING 2014 THE SHADOW KING SYDNEY FESTIVAL 23 - 26 January 2014 1,460 attendees Carriageworks, Sydney PERTH INTERNATIONAL ARTS FESTIVAL 24 Febuary – 1 March 2014 2,963 attendees State Theatre Centre of Western Australia ADELAIDE FESTIVAL 5 - 8 March 2014 1,497 attendees Adelaide Festival Centre DARWIN FESTIVAL 20 - 22 August (Darwin), 26 - 27 August (Katherine) 1,451 attendees George’s Green, Darwin BRISBANE FESTIVAL 9-13 September 2014 Brisbane Powerhouse 567 attendees A Malthouse Theatre production in association with Melbourne Festival, Sydney Festival, Perth International Arts Festival, Adelaide Festival and Brisbane Festival Co-created by / Michael Kantor and Tom E. Lewis Producer / Jo Porter Associate Producer / Jason Tamiru Production Manager / David Miller Director / Michael Kantor Associate Director / Melodie Reynolds-Diarra Set Design / Paul Jackson, Michael Kantor & David Miller Costume & Props Design / Ruby Langton Batty Lighting Design / Paul Jackson Music Consultant / Iain Grandage Musical Arrangements and Direction / John Rodgers Dramaturgy / Marion Potts Stage Manager / Lisa Osborn Touring Mechanist / Andy Moore Sound Engineer / Alistair Stobo Cast / Jada Alberts, Jimi Bani, Frances Djulibing, Rarriwuy Hick, Damion Hunter, Kamahi Djordon King, Tom E Lewis, Natasha Wanganeen Band / Selwyn Burns, Jason Tamiru, Bart Willoughby This project has been assisted by the Australian Government’s Major Festivals Initiative, managed by the Australia Council its arts funding and advisory body in association with the Confederation of Australian International Arts Festivals 16 ANNUAL REPORT // 2014 SEASON MALTHOUSE THEATRE THE GOOD PERSON OF SZECHUAN STORIES I WANT TO TELL YOU IN PERSON BEIJING INTERNATIONAL THEATRE FESTIVAL WODONGA 29 October - 1 November 2014 6 - 15 March 2014 2,560 attendees National Theatre of China Hothouse Theatre, Wodonga SHANGHAI INTERNATIONAL ART FESTIVAL MEXICO 4 - 5 November 2014 25 August (Mexico City) 5 September (Cuernavaca City) 1,470 attendees Shanghai Yihai Art Theatre A Malthouse Theatre production Performed by / Aljin Abella, Moira Finucane, Daniel Frederiksen, Sheridan Harbridge, Pete Goodwin, Bert LaBonte, Emily Milledge, Genevieve Morris, Nathan Lovejoy and Richard Pyros Supported by / The Australian Government through the Australia Council, its arts funding and advisory body. Following the successful premier at The Coopers Malthouse Theatre in June, the National Theatre of China invited the Australian production of The Good Person of Szechuan to tour to prestigious international arts festivals in Beijing and Shanghai. 612 attendees 375 attendees ADELAIDE 29 October - 8 November 2014 Bakehouse Theatre, Adelaide A Malthouse Theatre and Belvoir co-production Written and performed by / Lally Katz Directed by / Anne-Louise Sarks Set & Costume Design / Ralph Myers Lighting Design / Damien Cooper Composition & Sound Design / Max Lyandvert Lighting Associate / Chris Page Stage Manager / Lisa Osborn In total, 15 Australian artists travelled to China, with the production playing to a total audience of around 4,000. ANNUAL REPORT // 2014 SEASON 17 MALTHOUSE THEATRE ARTISTIC Malthouse Theatre’s Engine Room is the home of new works in development, giving writers, directors and performers the freedom to build and break their own frameworks, to find their wings, to fall and to fly. It exalts cathexis, connection and experimentation, unencumbered by temporal or commercial constraints. Encompassing all of Malthouse Theatre’s research and development activity, the Engine Room is where new works are made, concepts are tested and artists propel their work forward. Creating a pipeline of ideas and talent, The Engine Room acts as a catalyst for programming. Throughout 2014, we invested in 16 new works including four that were destined for the 2015 subscription season: — Antigone adapted by Jane Montgomery-Griffiths — Meme Girls development by Ash Flanders, Stephen Nicolazzo and Marion Potts — Timeshare by playwright Lally Katz and director Oliver Butler (US) — Blak Cabaret in collaboration with Jason Tamiru and playwright Nakkiah Lui. — The Good Person of Szechuan, a new adaptation by Tom Wright — Belarus Free Theatre research phase led by Natalia Kaliada and Nicolai Khalezin — Development workshops for Paradise Lost and January — Five new play commissions by Australian playwrights, including the commission and dramaturgical support for Blaque Showgirls by Nakkiah Lui — Partnered with Ilbijerri Theatre Company to develop two new Indigenous plays Which Way, Home playwright Katie Beckett, director Rachael Maza, dramaturg Jane Bodie and actor Tony Briggs Whyld - playwright Tammy Anderson, director Rachael Maza,dramaturg Louise Gough and movement consultant Rinske Ginsberg. In addition, Artistic Director Marion Potts travelled to Bangalore for a development of a new version of Blood Wedding with Jagriti Theatre Company as part of our international strategy. We also hosted Playwriting Australia’s Lotus AsianAustralian Playwright workshop and Resident Dramaturg Mark Pritchard was seconded to the National Play Festival development and presentation of Michele Lee’s Moths. 18 2014 ANNUAL REPORT // FEMALE DIRECTOR IN RESIDENCE The only program of its kind in Australia, the Female Director in Residence program offers an emerging director a six-month paid, immersive period of professional development. Clare Watson was appointed Female Director in Residence for 2014. Clare is a graduate of VCA Directing and has directed for the stages of the Sydney Opera House, the Victorian Arts Centre, Melbourne Theatre Company, the Storeroom and La Mama. With a keen eye for innovative theatre, history and humour, Clare has created performance works in a hotel room, the Old Melbourne Gaol, a disused swimming pool, a car and a crumbling deco apartment. Made possible through support from donor Craig Reeves, the program provides a real career stepping stone towards professional theatre practice. Since completing her 2014 residency, Clare has been engaged as Artistic Director of St Martins Youth Arts Centre, and Fitter. Faster. Better., co-produced with this company, formed part of Malthouse Theatre’s Season 2015. We were proud to have Hello, Goodbye & Happy Birthday by our 2013 resident Roslyn Oades featured in Malthouse Theatre’s 2014 season in conjunction with Melbourne Festival. Previous Female Directors in Residence continue to succeed. 2012 resident Adena Jacobs (Persona, On the Bodily Education of Young Girls) and 2011 resident Anne-Louise Sarks (Stories I Want to Tell You in Person, The Hayloft Project) are both are now employed as Co-Resident Directors at Belvoir, Sydney. MALTHOUSE THEATRE BESEN FAMILY ARTIST PROGRAM With the generous support of the Besen Family, Malthouse Theatre has provided paid workplace learning for Australian theatre-makers since 2005. The Besen Family Artist Program is a unique development opportunity for artists to gain insight into the professional practice of senior artists working in a mainstage theatre. In 2014, the Besen Family Artist Program offered five Production Placements on Malthouse Theatre’s mainstage shows. We also invited four emerging playwrights to join the Writer’s Program – a series of workshops with Malthouse Theatre Associate Artist Writing, Lally Katz and Resident Dramaturg Mark Pritchard. PRODUCTION PLACEMENTS Dan Giovannoni, Dramaturgy Samara Hersch, Direction Evan Lawson, Composition Amelia Lever-Davidson, Lighting Design Eugyeene Teh, Set and Costume Design WRITERS PROGRAM Jessica Bellamy Emilie Collyer Michele Lee Dan Lee MENTORS Iain Grandage, Composition Marg Horwell & Dale Fergusson, Set & Costume Design Paul Jackson, Lighting Design Lally Katz, Writing Marion Potts, Direction Mark Pritchard, Dramaturgy and Writing ARTISTIC EVALUATION All Malthouse Theatre productions are evaluated internally and externally against their programming rationale and the extent to which they support and further the artistic vision and values of the company. For each project, we will ask: — To what extent does it take formal risks and be creatively fearless? — Is the work underpinned by strong conceptual thought and rigorous research and ideas? — Does the work engage with subjects and themes that help us define who we are and who we want to be? In evaluating our work, we also consider: — the quality and interest of the central provocation or exploration 2014 ANNUAL REPORT // — the calibre of artists involved and the professional opportunities it may create — potential cultural impact or capacity to bring about positive change. ARTISTIC COUNSEL Productions are evaluated externally by Malthouse Theatre’s Artistic Counsel. This comprises a cross-section of colleagues from a range of cultural institutions who are encouraged to see the full season of work. The counsel are invited to report back in writing on the productions they see and meet with Malthouse Theatre artistic staff twice a year to discuss their experiences, the challenges facing the company and our successes. In 2014, the Artistic Counsel members were: David Nguyen Jana Perkovic Alice Pung John Romeril Jeff Sparrow Nurin Veis PEER EVALUATION Our resident artists also approach respected peers for regular informal one-on-one feedback about their individual work. This acts not only as a self-evaluation mechanism but as a collegial support network and in some cases a mentorship relationship for the artists we work with. ABORIGINAL AND TORRES STRAIT ISLANDER COMMITTEE The ATSI committee brings together outstanding Aboriginal and Torres Strait Islander artists to meet with Malthouse Theatre throughout the year, providing feedback on projects in development and in production, guidance on protocols, artist needs and community engagement. Meeting regularly with Jason Tamiru, Malthouse Theatre’s Indigenous Projects Producer, the committee comprises: Tammy Anderson Uncle Jack Charles Isaac Drandich Leila Gurruwiwi Lisa Maza Melodie Reynolds-Diarra The ATSI Committee act as a point of reference for the company in supporting Indigenous artists, growing audiences and developing best practice models of engagement. In 2014, the company invested in the commission, production and touring of Indigenous works of scale, including Richard Frankland’s Walking into the Bigness, the national tour of The Shadow King and development of Blak Cabaret for 2015 mainstage productions in Melbourne and Sydney. 19 MALTHOUSE THEATRE PROMPT: YOUTH AND EDUCATION PROGRAM THE SUITCASE SERIES Malthouse Prompt incites the next wave of creators, thinkers and performers. It challenges students and teachers and equips them with tools and experiences to realise their vision. This youth and education program offers innovative, participatory and award-winning opportunities for 6 to 26-year-olds and their educators. Artist-led workshops and programs engage students and teachers as audiences, creators and critical thinkers. 2014 saw growth in participation across the program of workshops and engagement activities: TYPE TICKETS / PARTICIPANTS Productions 3,659 Seminars 1,093 Suitcase Series 693 Tours and Bespoke Workshops 268 Workshops TOTAL 451 6,164 PROVOCATEURS The Malthouse Theatre’s Provocateur initiative aims at developing critical thinkers and eloquent, curious communicators. A group of 29 young artists with an infectious enthusiasm for theatre were selected for the 2014 initiative. Our goal is to enrich the experience at the theatre by inviting our Provocateurs to attend Malthouse performances and facilitate post performance conversations with members of the audience. Additional ‘In Conversation’ events are a chance for Provocateurs to meet Malthouse artists and talk about making, dreaming, planning, collaborating, writing and more. 2014 PROVOCATEURS Ariadne Sgouros, Aubrey Flood, Bek Berger, Ben Meyer, Ben Sheen, Ben Stanford, Brodie Rowlands, Chelsie Jones, Christopher Fieldus Claire See, Ebony Beaton, Hannah Morrison, Josiah Lulham, Kate Sinclair, Patricia Tobin, Neil Coulson, Mary Harmer, Mark Salvestro, Oliver Coleman, Rachel Adams, Rosie Cham, Shannon Loughnane, Sean Scanlon, Stephanie Clark, Stephanie Crowe, Tegan Larin, Trelawney Edgar, Rachel Perks, Jospeh Noonen normal.suburban.planetary.meltdown is the third script commissioned by Malthouse Prompt for The Suitcase Series, an award-winning education program for year 9 and 10 students to collaborate and devise short works around the theme of sustainability and climate change. normal.suburban.planetary.meltdown. by Angus Cerini 23 – 24 October, Cube 37, Frankston Arts Centre 28 October – 6 November, Beckett Theatre, The Coopers Malthouse Directed by / Susie Dee Set & Costume Design / Zoe Rouse Lighting Design / Lisa Mibus Sound Design / Jethro Woodward Performed by / Naomi Rukavina, Jim Russell, Nicci Wilkes Stage Manager / Caitlin Byrnes Production Manager / Tom Webster WINNER 2014 Drama Victoria Awards Best Performance by a Theatre Company for Secondary Students (Years 7 - 10) Total No of Performances Total Paid Attendances All Attendances 11 860 1,062 “We all found it interesting to see other school’s interpretations of the same text… Some of the presentations were similar to ours but some were almost unrecognisable, which was great for us to see how our peers in drama classes can envision different performances from the same subject material…We recommend this class as an opportunity to anyone who has any interest in performing arts.” Students from Boort High School “The Suitcase Series provided our students with a unique opportunity to explore a great theatrical text, create their own unique interpretation of this text, explore their own stories, explore the world and their place within it, develop greater self-confidence, independence in thought and action, responsibility for decision making, self-reliance, creativity, initiative, empathy, strength and determination.” Mark Lauber, Trinity College The Suitcase Series is supported by the Department of Education and Early Childhood Development through its Special Partnerships Program and VISY. 20 2014 ANNUAL REPORT // MALTHOUSE THEATRE ‘FOR THE PAST COUPLE OF YEARS OUR YOUNGEST DAUGHTER HAS ATTENDED WITH US AND WE’VE LOVED SHARING IT WITH HER.’ 21 2013 ANNUAL REPORT // MALTHOUSE THEATRE ADDITIONAL LIMITED EDITIONS Limited Editions are the special events that celebrate, magnify and extend the ideas from our works. In 2014, the Limited Edition series presented four unrepeatable events to provide an opening for the fearless to step in and explore the world of Malthouse Theatre. 582 attendees Summer: The Australiana Top 14 23 March, Merlyn We introduced our new cohort of Malthouse Theatre artists with a celebration of the Australian classics: the kitsch, the highbrow and the forgotten: Dame Edna … Playing Beatie Bow … Porpoise Spit … Bush Mechanics … ‘MIRANDA!?’ To introduce our new cohort of Malthouse Theatre artists, we tasked Lally Katz, David Chisholm, Clare Watson and Mark Pritchard to give us their favourite iconic Australiana as a kind of like Buzzfeed for theatre nerds. Autumn: The Suitcase Series reading of normal.suburban.planetary.meltdown by Angus Cerini 18 May, Beckett Theatre This new work by Angus Cerini has been commissioned for Malthouse Prompt’s The Suitcase Series, an innovative program in which Malthouse Theatre (along with about 700 year 9 and 10 students) devise theatre using this script as a stimulus. Winter: Shock and Awe: extremity, provocation and art 17 August, Merlyn Theatre The third Limited Edition for 2014 featured a panel discussion hosted by Emily Sexton in conversation with Casey Jenkins, Maxine Clarke and THE RABBLE’s Emma Valente and Kate Davis. Their topic was artistic extremes of shock or notoriety: more blood, more violence, more sex, more blasphemy, more taboo, more swearing, more shock, more awe. Can extreme content affect political, personal or social change? Or is it all just for kicks? Spring: The Sweats DJ Set 23 November, Malthouse Courtyard Melbourne-based sound designer, composer and electronic music producer THE SWEATS played an open air DJ set in The Coopers Malthouse courtyard ahead of the Sunday performance of Calpurnia Descending. 22 2014 ANNUAL REPORT // Melbourne Writers Festival Deathly/Death/Dead: performing the poetic by THE RABBLE and guests 27 August, Merlyn Theatre Visionary dramatists THE RABBLE curate a special evening of theatre. In Deathly/Death/Dead: performing the poetic, THE RABBLE have asked some of Australia’s best known female performers and theatre makers to reinvent poems that have been typically ghettoised as ‘angsty’. The result: a visceral, sublime and orphic showcase ignited by a passion for the poetic. Featuring performances by Zoey Dawson & Lara Thoms, Nicola Gunn (Sans Hotel), Willoh S. Weiland & Hallie Shalam (Aphids), Mish Grigor (post) and THE RABBLE, our contemporary artists serenade the ghosts of poets past including, Sylvia Plath, Emily Dickinson, Kathy Acker, Anne Sexton and Chistina Rosetti. VENUE In addition to our subscription season, the theatres, rehearsal rooms, conference facilities and event spaces within The Coopers Malthouse were used by over 100 external hirers in 2014. This included a total of 30 presentations of theatre, dance and music, bringing 15,847 audiences members into the building. As part of our passion for supporting independent artists and community groups, we offered discounted or free venue hire to 36 artists and organisations, valued at over $225,000. MALTHOUSE THEATRE MALTHOUSE GREENLIGHT Malthouse Greenlight is our commitment to sustainability and encompasses programming, creation, purchasing and building management as well as behavioural considerations. The Greenlight policy ensures that our environmental, social and economic impacts are identified, managed and monitored across all facets of our business. 2014 saw implementation of daily real-time electricity usage tracking implemented through Eniscope and he ongoing upgrade of lighting stock to energy efficient LEDs and dimmers as required. In planning the renovations of the public bathrooms in the foyer, we have incorporated upgraded water systems with a high water conservation rating and new sensor lighting. We also continued scoping the potential for moving to solar energy. Recycling 2014 2013 2012 4.2 tonnes 3 tonnes 3 tonnes nil 45kg 30kg (approx.) 33kg nil 8 kg WHITE PAPER & CARDBOARD 20.4 tonnes 18 tonnes 7.9 tonnes CO-MINGLED RECYCLING 23.8 tonnes 14.9 tonnes 30.3 tonnes 62 tonnes 57 tonnes 53 tonnes STEEL BATTERIES LIGHT BULBS OTHER WASTE Energetics reporting from 2014 reported 44 tonnes (41%) of waste was diverted from landfill, representing: Saved from Landfill Trees Saved Oil Saved Electricity Saved Landfill Saved 44 Tonnes 752 trees 111 barrels 181,277 KWH 177 M3 2014 ANNUAL REPORT // Water Saved Green House Gas 36.00 K/Litres 175.97 CO2 Tonnes 23 MALTHOUSE THEATRE ADDITIONAL ACTIVITIES ACCESS AND ENGAGEMENT At Malthouse Theatre we welcome all members of the community to connect with our performances and programs and we work hard to remove barriers, to engage and increase access to our works and our venue. In 2014, Malthouse Theatre curated four sessions for Audio Description and four Auslan Interpreted works in consultation with Auslan Stage Left. For the first time, Malthouse Theatre offered Access ticket packages and concession price tickets for these services via online promotional videos seeing an increase in attendance for these shows for patrons requesting these services. VOLUNTEERS Malthouse Theatre has been supported by a loyal and hardworking group of Volunteers who run our foyer Bookshop and Play Club discussion group. The time, passion and generosity provided by our Volunteers is enormously appreciated and gratefully acknowledged. TIME TO TALK Time to Talk engages the cast and creative team of Malthouse Theatre productions in a free, post-performance discussion with the audience. Often as enlightening for the audience’s responses as they are for revelations about the artistic process and experience, these performances are among the most popular in each season. COMMUNITY PARTNERSHIPS Our Community Partners program identifies organisations with established programs to empower young people from a range of backgrounds and geographic locations across Victoria. We extend our existing activities by not only offering experiences in attending theatre, but also professional development opportunities for young people considering a career in the arts and theatre making. In 2014, Malthouse Theatre proudly partnered with: — TRY Mentoring: a division within TRY Australia that seeks to deliver youth mentoring to communities across Melbourne through programs such as Mentoring in the Hood, Young Achiever, First Friends, and One-to-One Mentoring. 24 2014 ANNUAL REPORT // — St Martins Youth Arts Centre: the annual Catapult program offers young theatre-makers from diverse backgrounds and abilities opportunities to attend and make theatre. — Worawa Aboriginal College: a holistic education and boarding experience for young Aboriginal women from suburban and regional Victoria and regional and remote communities interstate. — Quin House: established in 1975, Quin House provides residential service supporting men with substance abuse issues. FUNDRAISING Malthouse Theatre believes that fearless artistic expression is crucial to any forward-looking community. We are enormously grateful for the financial support we received from our loyal donors, as well as trusts and foundations in 2014. Their generosity and passion is vital for Malthouse Theatre to realise our artistic vision and bring bold new works to our stages. This year, the extraordinary level of international activity was only made possible by a three-year commitment from Maureen and Tony Wheeler. These collaborations and tours have seen Malthouse Theatre extend our reach to Mexico, India and China, and seeded ongoing relationships and creative collaborations for our artists. Our donors have also fuelled the Engine Room, our program for new work commissions, developments and artist placements. This work is invaluable, creating opportunities for professional artists at all levels of their career and investing in ideas for future productions. Other special projects could not have happened without the support of trusts and foundations, including Malthouse Theatre’s award-winning education program, The Suitcase Series, and the tour of Blak Cabaret to regional Victoria. } 34% } MALTHOUSE THEATRE 445% } 2013 ANNUAL REPORT // 37% 25 MALTHOUSE THEATRE BOARD, STAFF & PARTNERS Board of Directors Michele Levine (Chair) Frankie Airey (to September 2014) John Daley Ian McRae Sarah Morgan Thea Snow Sigrid Thornton Kerri Turner Leonard Vary Nick Schlieper (from March 2014) Artistic Director & CEO Marion Potts Executive Producer Sarah Neal Associate Artist – Direction Matthew Lutton Associate Artist – Composition David Chisholm Associate Artist – Writing Lally Katz Resident Dramaturg Mark Pritchard Female Director in Residence Clare Watson Marketing & Communications Manager Lisa Scicluna Company Manager Lucy Birkinshaw (to April) Alice Muhling (from May) Associate Producer Josh Wright Youth and Education Program Manager Clare Watson (to March) Vanessa O’Neill (from July) Company Administrator Narda Shanley (to September) Amanda Macri (from December) Finance Manager Mario Agostinoni Finance Administrator Liz White Finance Assistant Connie Stella Philanthropy Manager Nicole Punte (to May) Rachel Petchesky (from May) Digital Strategy & Marketing Coordinator Alice Gage Development Coordinator Hiroki Kobayashi (to May) Kim Brockett (from May) Graphic Designer Jane Roberts Ticketing Manager Emma Quinn Assistant Ticketing Manager Lauren White 26 2014 ANNUAL REPORT // Marketing & Communications Coordinator Emily Fiori (to October) Media Manager Maria O’Dwyer (to July) Rohan Astley (from December) Executive Assistant Sarah Wong (to February) Nicole Benson (from May) Audience Development Consultant Jason Tamiru Building Manager Peter Mandersloot Production Manager David Miller Technical Manager Baird McKenna Operations Manager Dexter Varley Head Electrician Stewart Birkinshaw Campbell (to May), Stephen Hawker (from July) Head Mechanist Andy Moore (to October) Theatre Technician Nathanael Bristow Head of Wardrobe Amanda Carr (to March) Delia Spicer (from March) Wardrobe Assistant Rebecca Dunn Workshop Manager David Craig Steel Fabricator Goffredo Mameli Props Master Ross Murray (lifetime recognition) Bar Manager Cherry Rivers Front of House Managers Tristan Watson (to March) Anita Posterino (from March) and Sean Ladhams Front of House/Bar Staff Matt Adair, Leeor Adar, Thomas Banks, Jacqui Brown, Ben Carollo, Ray Chong Nee, Emma Corbett, Kathryn Delaney, Nadine Dimitrivietch, Alice Dixon, Graham Downey, Tanja George, Kate Gregory, Mark Hoffman, Evona Lee, Ian Michael, Anna Nalpantidis, Daniel Newell, Ruby Nolan, Syrie Payne, Claire Richardson, Sanne Rodenstein, Dominic Simonelli, Kathryn Stuckey, Phoebe Taylor, Jade Thomson, Lee Threadgold, Noel Turner and Matilda Woodroofe. Box Office Staff Abbey Barnes, Paul Buckley, Kathryn Delaney, Kate Gregory, Suzie Hardgrave, Michelle Hines, Ian Michael, Jade Thomson, Fiona Wiseman, Liz White and Ben Woolley. MALTHOUSE THEATRE GOVERNMENT PARTNERS INDUSTRY PARTNER Malthouse Theatre is proud to be a member of the Australian Major Performing Arts Group CORPORATE PARTNERS VENUE PARTNER EDUCATION ACCOMMODATION PARTNERPARTNER MEDIA PARTNER CORPORATE PARTNER CORPORATE PARTNER CORPORATE ASSOCIATE CORPORATE ASSOCIATE COMPANY SUPPORTERS CORPORATE PARTNER TRUSTS AND FOUNDATIONS Australian Communities Foundation Creative Partnerships Australia The Dara Foundation The Ian Potter Foundation Kerry Gardner & The Andyinc Foundation The Pierce Armstrong Foundation The R E Ross Trust The Robert Salzer Foundation Vera Moore Foundation PROGRAM PARTNERS The Danielle and Daniel Besen Foundation THE SUITCASE SERIES REGIONAL EDUCATION PROGRAM COMPANY IN RESIDENCE ARTIST PROGRAM NEW AUSTRALIAN COMMISSION DIRECTORS EXCHANGE PROJECT DIRECTORS EXCHANGE PROJECT REGIONAL PERFORMANCE PROJECT Maureen and Tony Wheeler Craigmel Investment Pty Ltd REGIONAL PERFORMANCE PROJECT INTERNATIONAL PROGRAM FEMALE DIRECTOR IN RESIDENCE MUSE DONORS Thank you to all the Malthouse Muses, for supporting our artistic vision and helping us to create a unique and dynamic environment for artists and audiences. URANIA—MUSE OF THE STARS—$25,000+ Annamila Fund, Michele Levine, Mary-Ruth & Peter McLennan, Craig Reeves, Maureen & Tony Wheeler CLIO—MUSE OF HISTORY—$10,000+ Betty Amsden OAM, John & Lorraine Bates, Carol & Alan Schwartz AM THALIA—MUSE OF COMEDY—$5,000+ Marc Besen AO & Eva Besen AO, Debbie Dadon, Neilma Gantner, Richard Leonard and Gerlinde Scholz, Berry Liberman & Daniel Almagor, Val Johnstone, Anonymous (1) MELPOMENE—MUSE OF TRAGEDY—$2,500+ Frankie Airey & Stephen Solly, Chryssa Anagnostou & Jim Tsaltas, Roger Donazzan & Margaret Jackson, Rosemary Forbes & Ian Hocking, DL & GS Gjergja, Colin Golvan SC, Val Johnstone, Sue Kirkham, Naomi Milgrom AO, Janine Tai, Jon Webster, Anonymous (1) EUTERPE—MUSE OF MUSIC—$1,000+ John & Sally Bourne, Sally Browne, Diana Burleigh, Beth Brown & Tom Bruce AM, Ingrid & Per Carlsen, Dominic & Natalie Dirupo, Rev Fr Michael Elligate, William J. Forrest AM, John and Helen Gibbins, Marco Gjergja, Alan Kenworthy, Michael Kingston, Virginia Lovett, Jenny Schwarz, Maria Solà, Gina & Paul Stuart, Rotru Investments Pty Ltd, Leonard Vary & Matt Collins, Jenny Werbeloff, Anonymous (2) 2014 ANNUAL REPORT // TERPSICHORE—MUSE OF DANCE—$500+ Graham & Anita Anderson, Ingrid Ashford, Rowland Ball, Sandra Beanham, Min Li Chong, Mark & Jo Davey, Carolyn Floyd, Taleen Gaidzkar, Paul & Genevieve Gardner, Brian Goddard, Scott Herron, Leonie Hollingworth, Brad Hooper, Irene Irvine, Ann Kemeny & Graham Johnson, Gael & Ian McRae, Robert Peters, Right Lane Consulting, Katherine Sampson, Morry & Anna Schwartz, Barbara & Neil Smart, Thea & Hayden Snow, Fiona Sweet & Paul Newcombe, John Thomas, Kerri Turner & Andrew White, Jan Williams, Phil & Heather Wilson, Dr Roger Woock & Fiona Clyne, Anonymous (1) ERATO—MUSE OF LOVE—$250+ Simon Abrahams, Stephen & Diane Alley, John & Alexandra Busselmaier, Douglas Butler, Ros Casey, Tim & Rachel Cecil, Ros & Bill Chandler, Diane Clark, Chris Clough, Patricia Coutts, Tania de Jong AM, Joanne Griffiths, Peggy Hayton, Roberta Holmes, Chree Kearney, Irene Kearsey, Patricia Keith, Ruth Krawat, Liquorice Studio, Kim Lowndes, William Lye, John Millard, Dr Kersti Nogeste, Linda Notley, Tony Oliver, Orla & Rachel, James Ostroburski, Gerard Powell, Wendy Poulton, Anita Roberts, Ernie Schwartz, Jill Sewell, Lisl Singer, Janice Taylor, Rosemary Walls, Jan Watson, Henry Winters, Barbara Yuncken, Joanne Whyte, Anonymous (7) 27 MALTHOUSE THEATRE KEY PERFORMANCE INDICATORS OUTCOME 2014 TARGET 2014 ACTUALS MECHANISM MEASURE NOTES Artistic Counsel At least one written summary per member every six months plus one minuted verbal feedback session with the Artistic Counsel as a group All reports received Show-specific selected key artists who respond to the primary artistic driver of the project e.g. director of the work nominates a key artist to respond to their work Peer - 1:1 confidential feedback (individually per show) 100% undertaken 100% Audience engagement and stimulation Surveys Audience satisfaction 60% 88% Roy Morgan survey respondents satisfied or very satisfied Examination and extension of artforms New productions and/or creative development projects Number of new productions as % of total 70% 88% 15 new productions out of 17 Development of artists (see sector development below) See sector development Capital city performances home market Attendances Paid Attendance: 50,000 33,037 Paid attendance KPI reflects all paid attendances at The Coopers Malthouse (actual 44,877) Capital performances other than home market Ticket sales Paid Attendance: 7,000 7,619 National 4,147 International (estimate) ARTFORM Artistic quality and excellence of craft - Reports received - Minuted meetings held 1 April, 28 August ACCESS Maximise access and diversity of audiences Deliver Broad community engagement Access through digital platforms 28 Mini Artform Festival/ Limited Editions Paid/unpaid attendances Paid/unpaid attendance 1,356 / 2,763 Helium: 1,356 / 2,181 Limited Editions: 582 unpaid Data Capture Activity Growth of contacts database Database to 40,500 N/A Transition to Tessitura for 2015 subscription season, over 300,000 names migrated from previous systems. Regional and Metro Program Pilot Number of participants and contact hours 1000 contact hours 2,896 Blak Cabaret: 6 x 2 hrs Suitcase Series: 693 x 4 hrs Shadow King NT: 45 x 2.5 hrs contact hours total: 2,896.5 Education program ‘ning’ participation & engagement Growth in visitation metrics 10% increase on 2013 0 Not used in 2014 Social media presence Growth in visitation metrics 10% increase on 2013 41% Facebook 33.6% increase Twitter 37.4% increase Instagram 445% increase 2014 ANNUAL REPORT // MALTHOUSE THEATRE OUTCOME MECHANISM MEASURE 2014 TARGET 2014 ACTUALS NOTES SECTOR DEVELOPMENT Fully activate MT’s role as the company of ‘first breaks’ Pathways for emerging artists via residencies, mentorships, readings, pitch sessions Number of residencies & mentorships 7 13 Besen Artists Program - 5 Besen Writers Program - 4 JUMP Mentorships - 2 Indigenous Creative - 1 Company in Residence - 1 New opportunities for artists Number of artists 10 10 Amelia Lever-Davidson, Dan Giovannoni, Eugyeene Teh, Evan Lawson, Samara Hersch, Felix Ching Ching Ho, Margaret Harvey, Angus Cerini, Tiriki Onus, Katie Beckett Co-productions & presentations Number 1 x co-pro 4 The Government Inspector (Belvoir) The Riders (Victorian Opera) Ugly Mugs (Griffin Theatre) Calpurnia Descending (Sydney Theatre Company) 1x presentation 2 The Book of Loco The Witches 5 SEETHrough, Intimacy, Applespiel, The Youtube, Meta $218,512 39 projects by S2M and independent artists ‘Helium’ independent works season Number Resources for small-tomedium & independent sector Venue access (rehearsal & performances), co-producing & presenting work generated in small-tomedium sector $ Value Develop new work ‘The Engine Room’ development program Number of works workshopped 5 12 Belarus Free Theatre, Antigone, Blak Cabaret, Good Person of Szechuan, Meme Girls, Whyld, Which Way, Home, Blaque Showgirls, Timeshare, Blood Wedding (Bangalore), Paradise Lost, January Number of new works performed or staged 5-6 11 The Government Inspector, Ugly Mugs, The Book of Loco, Walking into the Bigness, Hello, Goodbye & Happy Birthday, Calpunia Descending, SEETHrough, Intimacy, Applespiel, The Youtube, Meta 2014 ANNUAL REPORT // $30,000 Venue hire discounts totalling $218,512 29 MALTHOUSE THEATRE KEY PERFORMANCE INDICATORS 30 OUTCOME 2014 TARGET 2014 ACTUALS Benchmark 20% reserves 25% 27% Financial analysis Current assets divided by current liabilities 1:1 0.53:1 Transition from a few key donations to a broader cross-section of potential individual donors, trusts and foundations and potential sponsors via data mining and leveraging company contacts Expansion of individual donors and partners from 2013 levels Muse $160,000 (130 Muses) $157,609 148 Muses Small donations (< $200, ticketing upsell) $6,437 298 individuals Syndicates - $16,000 (1 synd of 9 donors) $- Major Gifts - $290,000 (6 donors) $325,000 7 gifts > $20K) T&Fs $306,000 (12 orgs) $336,000 12 trusts/foundations MECHANISM MEASURE Reserves ratio Financial analysis Working capital ratio Diversification of income base NOTES FINANCIAL 2014 ANNUAL REPORT // MALTHOUSE THEATRE ‘LOVE THE MALTHOUSE, MAY IT REIGN FOREVER AS PART OF MELBOURNE’S IDENTITY OF THE ARTS.’ 31 2014 ANNUAL REPORT // MALTHOUSE THEATRE 3 3—————————————— DIRECTORS’ REPORT 35 —————————————— AUDITOR INDEPENDENCE DECLARATION 36 —————————————— STATEMENT OF COMPREHENSIVE INCOME 36 —————————————— STATEMENT OF CHANGES IN EQUITY 37 —————————————— STATEMENT OF FINANCIAL POSITION 38 —————————————— STATEMENT OF CASH FLOWS 39 —————————————— NOTES TO THE FINANCIAL STATEMENTS 52 —————————————— DIRECTORS’ DECLARATION 53—————————————— INDEPENDENT AUDITOR’S REPORT FINANCIAL STATEMENTS ANNUAL REPORT // FINANCIAL STATEMENTS 32 MALTHOUSE THEATRE DIRECTORS’ REPORT The directors present this report on the Company for the financial year ended 31 December 2014. The names of the directors in office at any time during, or since the end of the year are: — Frankie Airey (resigned 29/09/2014) — Sigrid Thornton — Ian McRae — Thea Snow — Michele Levine, Chair — John Daley — Leonard Vary — Kerri Turner — Sarah Morgan — Nick Schlieper (appointed 3/02/2014) Directors have been in office since the start of the financial year to the date of this report unless otherwise stated. COMPANY SECRETARY The position of company secretary was vacant at the end of the financial year ending 31 December 2014. PRINCIPAL ACTIVITIES The principal activity of the Company (Malthouse Theatre) during the financial year was to create, facilitate and present contemporary performances in a program of adventurous creative work inspired by artists who practice a range of disciplines. The Company’s objectives are: ARTISTIC — Creation of exceptional work that appeals to demanding artistic collaborators, devotee audiences and third party presenters ACCESS — Diversification of the cultural backgrounds of its staff, collaborators and audiences — Providing opportunities for tertiary students via placements — Providing pathways for emerging artists via programs and in-kind venue access SECTOR DEVELOPMENT — Engagement with the small-to-medium and independent performing arts sector — Providing opportunities for emerging artists via paid placements on professional productions — Gender equity initiatives FINANCIAL AND GOVERNANCE — Expansion of earned income base and maintenance of levels of existing funding STRATEGIES ARTISTIC MALTHOUSE MAKES Characterised by rigorous creative development process, investigation of public subjects and collaboration between artists from diverse practises, backgrounds and interests. Makes will be developed and presented as follows: — The Engine Room-creative development and research — Annual Main Stage program ACCESS — Education program: PROMPT — Access activities, including community partnerships — Placement opportunities for students through Victoria University partnership — Besen Family Artists program and bursaries for emerging artists — Public program SECTOR DEVELOPMENT — Facilitation of independent works via programs including Helium — Presentation and collaboration of/with independent artists e.g. via Company in Residence — Female Director in Residence program FINANCIAL AND GOVERNANCE — Continuation of existing fundraising and government support strategies — Increased focus on philanthropic, trust and foundation support — Exploration of buy-in shows that reflect Malthouse Theatre values — Increased focus on touring opportunities domestically and internationally 2014 ANNUAL REPORT // FINANCIAL STATEMENTS 33 MALTHOUSE THEATRE FINANCIAL STATEMENTS INFORMATION ON DIRECTORS MEETINGS OF DIRECTORS Frankie Airey (resigned 29/09/2014) Director, Philanthropy Squared Responsibilities: Development Committee During the financial year, six meetings were held. Attendances by each director were as follows: Sigrid Thornton Actor Responsibilities: Development Committee DIRECTORS’ MEETINGS NO. ELIGIBLE TO ATTEND NUMBER ATTENDED Nick Schlieper 5 3 Frankie Airey 5 4 Ian McRae Arts Consultant Responsibilities: People and Nominations Committee Sigrid Thornton 6 2 Ian McRae 6 5 Thea Snow Manager Strategic Projects Branch, Department of Education & Training Responsibilities: Audit, Finance & Risk Committee Sarah Morgan 6 5 Thea Snow* 4 4 Michele Levine CEO, Roy Morgan Research Responsibilities: Chair, Development Committee, People and Nominations Committee Leonard Vary CEO, The Myer Foundation and The Sidney Myer Fund Responsibilities: Chair of the People and Nominations Committee Michele Levine 6 6 John Daley 6 6 Leonard Vary 6 4 Kerri Turner 6 5 * Thea Snow was granted leave of absence from 1st April, 2014 to 31st August, 2014. MEMBERS’ GUARANTEE John Daley CEO, Grattan Institute Responsibilities: Deputy Chair, Audit, Finance & Risk Committee, People and Nominations Committee The Company is incorporated under the Corporations Act 2001 and is a Company limited by guarantee. If the Company is wound up, the Memorandum and Articles of Association states that each member is required to contribute a maximum of $10 each towards meeting any outstanding obligations of the Company. As at 31 December 2014, the total amount that members of the Company are liable to contribute if the Company is wound up is $140 (2013 $140). Kerri Turner Director, Tinitrader Responsibilities: Audit, Finance & Risk Committee AUDITOR’S INDEPENDENCE DECLARATION Sarah Morgan Professional Investor and Non-Executive Director Responsibilities: Development Committee Nick Schlieper (appointed 03/02/2014) Theatre Designer Responsibilities: People and Nominations Committee The lead auditor’s independence declaration for the year ended 31 December 2014 has been received and can be found on page 35. The directors’ report is signed in accordance with a resolution of the Board of Directors: Michele Levine, Director John Daley, Director Dated 23 March 2015 34 2014 ANNUAL REPORT // FINANCIAL STATEMENTS MALTHOUSE THEATRE AUDITOR INDEPENDENCE DECLARATION UNDER S307C OF THE CORPORATIONS ACT 2001 TO THE DIRECTORS OF PLAYBOX THEATRE COMPANY LIMITED I declare that, to the best of my knowledge and belief, during the year ended 31 December 2014 there have been no contraventions of: 1/ The auditor independence requirements as set out in the Corporations Act 2001 in relation to the audit; and 2/Any applicable code of professional conduct in relation to the audit. Crowe Horwath, Melbourne David Munday, Melbourne Dated 23 March 2015 2014 ANNUAL REPORT // FINANCIAL STATEMENTS 35 MALTHOUSE THEATRE FINANCIAL STATEMENTS STATEMENT OF COMPREHENSIVE INCOME FOR THE YEAR ENDED 31 DECEMBER 2014 NOTES Revenues from continuing operations 2014 2013 $ $ 2(a) 7,223,347 6,665,318 Production and touring expenses 3 (3,131,524) (2,585,572) Marketing and sponsorship expenses 3 (548,188) (623,343) Other expenses from continuing operations 3 (3,729,754) (3,744,263) (186,119) (287,860) - - (186,119) (287,860) Profit/(loss) before income tax Income tax expense 1(n) Profit/(loss) before earning from investments 127,609 430,625 Total comprehensive income/(loss) for the year, net of tax Earnings from investments 2(b) (58,510) 142,765 Total comprehensive income/(loss) for the year (58,510) 142,765 Total comprehensive income attributable to members of the Company (58,510) 142,765 STATEMENT OF CHANGES IN EQUITY FOR THE YEAR ENDED 31ST DECEMBER 2014 ACCUMULATED Balance at 1 January 2014 SURPLUS RESERVES TOTAL (129,778) 1,966,313 1,836,535 - - - Transfer to Incentive Scheme Reserve Transfer to Future Fund Reserve - - - (58,510) - (58,510) Balance at 31 December 2014 (188,288) 1,966,313 1,778,025 Balance at 1 January 2013 (272,543) 1,966,313 1,693,770 Transfer to Incentive Scheme Reserve - - - Transfer to Future Fund Reserve - - - Profit attributable to the Company Profit attributable to the Company Balance at 31 December 2013 142,765 - 142,765 (129,778) 1,966,313 1,836,535 The accompanying notes form part of these financial statements. See page 39. 36 2014 ANNUAL REPORT // FINANCIAL STATEMENTS MALTHOUSE THEATRE STATEMENT OF FINANCIAL POSITION AS AT 31 DECEMBER 2014 NOTE CURRENT ASSETS 2014 2013 $ $ Cash and cash equivalents 4 283,348 435,112 Trade and other receivables 5 88,134 205,171 Inventories 6 59,527 61,483 Other current assets 7 232,093 299,536 663,102 1,001,302 Total current assets NON-CURRENT ASSETS Property plant & equipment 8 383,168 429,070 Investments 9 2,218,509 2,176,969 Total non-current assets 2,601,677 2,606,039 Total assets 3,264,779 3,607,341 10 286,991 266,586 Short-term provisions 11 137,600 132,408 Borrowings 12 19,708 215,000 Other current liabilities 13 CURRENT LIABILITIES Trade and other payables Total current liabilities 816,185 1,122,846 1,260,484 1,736,840 32,770 33,966 NON-CURRENT LIABILITIES Long-term provisions 11 Borrowings 12 193,500 - 226,270 33,966 Total liabilities 1,486,754 1,770,806 Net assets 1,778,025 1,836,535 Total non-current liabilities EQUITY Retained earnings 14 (188,288) (129,778) Reserves 15 1,966,313 1,966,313 1,778,025 1,836,535 Total equity The accompanying notes form part of these financial statements. See page 39. 2014 ANNUAL REPORT // FINANCIAL STATEMENTS 37 MALTHOUSE THEATRE FINANCIAL STATEMENTS STATEMENT OF CASH FLOWS FOR THE YEAR ENDED 31 DECEMBER 2014 NOTES 2014 2013 $ $ Receipts from government grants 2,950,257 2,691,338 Receipts from patrons, sponsors 4,805,801 3,931,671 (7,936,404) (6,885,697) Interest received 127,609 37,366 Interest paid (12,767) - (65,504) (225,322) Payment for plant and equipment (42,928) (29,019) Payment for investments (41,540) (29,470) Net cash used in investing activities (84,468) (58,489) Repayment of loan principal (1,792) - Net cash used in financing activities (1,792) - (151,764) (283,811) 435,112 718,923 283,348 435,112 CASH FLOWS FROM OPERATING ACTIVITIES Payments to creditors and employees Net cash provided by operating activities 19 CASH FLOWS FROM INVESTING ACTIVITIES CASH FLOWS FROM FINANCING ACTIVITIES Net increase/(decrease) in cash held Cash and cash equivalent held at the beginning of the year Cash and cash equivalent held at the end of the year The accompanying notes form part of these financial statements. See page 39. 38 2014 ANNUAL REPORT // FINANCIAL STATEMENTS MALTHOUSE THEATRE NOTES NOTES TO THE FINANCIAL STATEMENTS FOR THE YEAR ENDED 31 DECEMBER 2014 The financial statements are for Playbox Theatre Company Limited as an individual Company, incorporated and domiciled in Australia. Playbox Theatre Company Limited is a Company Limited by Guarantee. 1— SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES Playbox Theatre Company Limited has adopted the Australian Accounting Standards – Reduced Disclosure Requirements as set out in AASB 1053: Application of Tiers of Australian Accounting Standards and AASB 2010–2: Amendments to Australian Accounting Standards arising from Reduced Disclosure Requirements. Accordingly, the entity has also early adopted AASB 2011–2: Amendments to Australian Accounting Standards arising from the TransTasman Convergence Project – Reduced Disclosure Requirements and AASB 2012–7: Amendments to Australian Accounting Standards arising from Reduced Disclosure Requirements in respect of AASB 2010–6: Amendments to Australian Accounting Standards – Disclosures on Transfers of Financial Assets and AASB 2011–9: Amendments to Australian Accounting Standards – Presentation of Items of Other Comprehensive Income. 2014 ANNUAL REPORT // FINANCIAL STATEMENTS The financial statements are general purpose financial statements that have been prepared in accordance with Australian Accounting Standards - Reduced Disclosure Requirements of the Australian Accounting Standards Board (AASB) and the Corporations Act 2001. The Company is a not-for-profit entity for financial reporting purposes under Australian Accounting Standards. Australian Accounting Standards set out accounting policies that the AASB has concluded would result in financial statements containing relevant and reliable information about transactions, events and conditions. Material accounting policies adopted in the preparation of these financial statements are presented below and have been consistently applied unless stated otherwise. The financial statements, except for the cash flow information, have been prepared on an accruals basis and are based on historical costs, modified, where applicable, by the measurement of fair value of selected noncurrent assets, financial assets and financial liabilities. The amounts presented in the financial statements have been rounded to the nearest dollar. The financial statements were authorised for issue on 23 March 2015 by the directors of the Company. 39 MALTHOUSE THEATRE FINANCIAL STATEMENTS NOTES ACCOUNTING POLICIES A—REVENUE Grant revenue is recognised in the statement of comprehensive income when the Company obtains control of the grant and it is probable the economic benefit gained from the grant will flow to the entity and the amount of the grant can be measured reliably. If conditions are attached to the grant which must be satisfied before it is eligible to receive the contribution, the recognition of the grant as revenue will be deferred until those conditions are satisfied. When grant revenue is received whereby the Company incurs an obligation to deliver economic value directly back to the contributor, this is considered a reciprocal transaction and the grant revenue is recognised in the statement of financial position as a liability until the service has been delivered to the contributor, otherwise the grant is recognised as income on receipt. Revenue from sponsorships and donations is identified with specific projects to which it relates. Where revenue received from the above sources relate to projects in future periods such revenue is written back as revenue received in advance and included in the statement of financial position as a liability. D—PLANT AND EQUIPMENT Each class of property, plant and equipment is carried at cost less, where applicable, accumulated depreciation and any impairment losses. Plant and equipment are measured on the cost basis less depreciation and impairment losses. The carrying amount of plant and equipment is reviewed annually by directors to ensure it is not in excess of the recoverable amount from these assets. The recoverable amount is assessed on the basis of the expected net cash flows that will be received from the assets employment and subsequent disposal. The expected net cash flows have been discounted to their present value in determining recoverable amounts. The cost of fixed assets constructed within the company includes the cost of materials, direct labour, borrowing costs and an appropriate proportion of fixed and variable overheads. Subsequent costs are included in the asset’s carrying amount or recognised as a separate asset, as appropriate, only when it is probable that future economic benefits associated with the item will flow to the company and the cost of the item can be measured reliably. All other repairs and maintenance are charged to the statement of comprehensive income during the financial period in which they are incurred. E—DEPRECIATION Revenue from the rendering of a service is recognised upon the delivery of the service to the customer. The depreciable amount of all fixed assets is depreciated on a straight line basis over their useful lives to the Company commencing from the time the asset is held ready for use. All revenue is stated net of the amount of goods and services tax (GST). Depreciation rates used for each of depreciable assets are: B— EARNINGS FROM INVESTMENTS Amounts in respect of the Future Fund and interest earned by investing funds held in the Future Fund Reserve and Incentive Scheme Reserve are recorded as income. C—INVENTORIES Inventories of bar and set construction supplies have been measured at the lower of cost and current replacement cost. Furniture & equipment 10% - 20% Theatre fixtures & fittings 5% - 20% Workshop improvements 5% - 10% The assets’ residual value and useful lives are reviewed, and adjusted if appropriate, at the end of each reporting period. Asset classes’ carrying amount is written down immediately to its recoverable amount if the asset’s carrying amount is greater than its estimated recoverable amount. Gains and losses on disposals are determined by comparing proceeds with the carrying amount. These gains or losses are included in the statement of comprehensive income. 40 2014 ANNUAL REPORT // FINANCIAL STATEMENTS MALTHOUSE THEATRE NOTES F—FINANCIAL INSTRUMENTS Initial recognition and measurement Financial assets and financial liabilities are recognised when the Company becomes a party to the contractual provisions to the instrument. For financial assets, this is equivalent to the date that the Company commits itself to either purchase or sell the asset (i.e. trade date accounting is adopted). Financial instruments are initially measured at fair value plus transaction costs except where the instrument is classified ‘at fair value through profit or loss’ in which case transaction cost are expensed to the statement of comprehensive income immediately. Classification and subsequent measurement Financial instruments are subsequently measured at fair value, amortised cost using the effective interest rate method or cost. Where available, quoted prices in an active market are used to determine fair value. In other circumstances, valuation techniques are adopted. Amortised cost is calculated as: (a) The amount at which the financial asset or financial liability is measured at initial recognition; (b) Less principal repayments; (c) Plus or minus the cumulative amortisation of the difference, if any, between the amount initially recognised and the maturity amount calculated using the effective interest method; and (d) Less any reduction for impairment. The effective interest method is used to allocate interest income or interest expense over the relevant period and is equivalent to the rate that exactly discounts estimated future cash payments or receipts (including fees, transaction costs and other premiums or discounts) through the expected life (or when this cannot be reliably predicted, the contractual term) of the financial instrument to the net carrying amount of the financial asset or financial liability. Revisions to expected future net cash flows will necessitate an adjustment to the carrying value with a consequential recognition of an income or expense in profit or loss. Loans and receivables Loans and receivables are non-derivative financial assets with fixed or determinable payments that are not quoted in an active market and are subsequently measured at amortised cost. 2014 ANNUAL REPORT // FINANCIAL STATEMENTS Financial assets at fair value through profit or loss Financial assets are classified at ‘fair value through profit or loss’ when they are held for trading for the purpose of short-term profit taking, derivatives not held for hedging purposes, or when they are designed as such to avoid an accounting mismatch or to enable performance evaluation where a group of financial assets is managed by key management personnel on a fair value basis in accordance with a documented risk management or investment strategy. Such assets are subsequently measured at fair value with changes in carrying amount being included in profit or loss. Financial liabilities Non-derivative financial liabilities are subsequently recognised at amortised cost. Impairment At the end of each reporting period, the Company assesses whether there is objective evidence that a financial instrument has been impaired. Impairment losses are recognised in the statement of comprehensive income Fair Value Fair value is determined based on current bid price for all quoted investments. Valuation techniques are applied to determine the fair value of all unlisted securities, including recent arm’s length transactions, reference to similar instruments and option pricing models. G—IMPAIRMENT OF ASSETS At the end of each reporting period, the Company reviews the carrying values of its tangible and intangible assets to determine whether there is any indication that those assets have been impaired. If such indication exists, the recoverable amount of the asset, being the higher of the asset’s fair value less costs to sell and value in use, is compared to the asset’s carrying value. Any excess of the asset’s carrying value over its recoverable amount is expensed to the statement of comprehensive income. Where an impairment loss on a revalued asset is identified, this is debited against the revaluation reserve in respect of the same class of asset to the extent that the impairment loss does not exceed the amount in the revaluation reserve for the same class of asset. 41 MALTHOUSE THEATRE FINANCIAL STATEMENTS NOTES H—EMPLOYEE BENEFITS Provision is made for the Company’s liability for employee benefits arising from services rendered by employees to the end of the reporting period. Employee benefits that are expected to be settled within one year have been measured at the amounts expected to be paid when the liability is settled. Employee benefits payable later than one year have been measured at the present value of the estimated future cash outflows to be made for those benefits. In determining the liability, consideration is given to employee wage increases and the probability that the employee may not satisfy vesting requirements. Those cash flows are discounted using market yields on national government bonds with terms to maturity that match the expected timing of cash flows. Contributions are made by the Company to employee superannuation funds and are charged as expenses when incurred. I—PROVISIONS Provisions are recognised when the Company has a legal or constructive obligation, as a result of past events, for which it is probable that an outflow of economic benefits will result and that outflow can be reliably measured. Provisions are measured using the best estimate of the amount required to settle the obligation at the end of the reporting period. J— CASH AND CASH EQUIVALENTS Cash and cash equivalents include cash on hand, deposits held at call with banks and other short-term highly liquid investments. K— DEFERRED INCOME The liability for deferred income is the unutilised amounts of grants received on the condition that specified services are delivered or conditions are fulfilled. The services are usually provided or the conditions usually fulfilled within 12 months of receipt of the grant. Where the amount received is in respect of services to be provided over a period that exceeds 12 months after the reporting date, or the conditions will only be satisfied more than 12 months after the reporting date, the liability is discounted. L— BORROWING COSTS Borrowing costs are recognised as expenses in the period in which they are incurred. 42 2014 ANNUAL REPORT // FINANCIAL STATEMENTS M—GOODS AND SERVICES TAX (GST) Revenues, expenses and assets are recognised net of the amount of GST, except where the amount of GST incurred is not recoverable from the Australian Tax Office (ATO). In these circumstances the GST is recognised as part of the cost of acquisition of the asset or as part of an item of the expense. Receivables and payables are stated inclusive of the amount of GST receivable or payable. The net amount of GST recoverable from, or payable to, the ATO is included with other receivables or payables in the statement of financial position. Cash flows are presented on a gross basis. The GST components of cash flows arising from investing or financing activities which are recoverable from, or payable to, the ATO are presented as operating cash flows included in receipts from customers or payments to suppliers. N—INCOME TAX No provision for income tax has been raised as the Company is exempt under Division 50 of the Income Tax Assessment Act, 1997. O—CRITICAL ACCOUNTING ESTIMATES AND JUDGEMENTS The directors evaluate estimates and judgements incorporated into the financial statements based on historical knowledge and best available current information. Estimates assume a reasonable expectation of future events and are based on current trends and economic data, obtained both externally and within the Company. Key Estimates – Impairment The Company assesses impairment at the end of each reporting date by evaluating conditions specific to the Company that may be indicative of impairment triggers. Impairment on non-financial assets other than goodwill and other indefinite life intangible assets The Company assesses impairment of non-financial assets other than goodwill and other indefinite life intangible assets at each reporting date by evaluating conditions specific to the Company and to the particular asset that may lead to impairment. If an impairment trigger exists, the recoverable amount of the asset is determined. This involves fair value less costs of disposal or value-in-use calculations, which incorporate a number of key estimates and assumptions. MALTHOUSE THEATRE NOTES Employee benefits provision Short-term employee benefits Liabilities for wages and salaries, including non-monetary benefits, annual leave and long service leave expected to be settled within 12 months of the reporting date are recognised in current liabilities in respect of employees’ services up to the reporting date and are measured at the amounts expected to be paid when the liabilities are settled. Other long-term employee benefits The liability for annual leave and long service leave not expected to be settled within 12 months of the reporting date are recognised in non-current liabilities, provided there is an unconditional right to defer settlement of the liability. The liability is measured as the present value of expected future payments to be made in respect of services provided by employees up to the reporting date using the projected unit credit method. Consideration is given to expected future wage and salary levels, experience of employee departures and periods of service. Expected future payments are discounted using market yields at the reporting date on national government bonds with terms to maturity and currency that match, as closely as possible, the estimated future cash outflows. Key judgements Estimation of useful lives of assets The Company determines the estimated useful lives and related depreciation and amortisation charges for its property, plant and equipment and finite life intangible assets. The useful lives could change significantly as a result of technical innovations or some other event. The depreciation and amortisation charge will increase where the useful lives are less than previously estimated lives, or technically obsolete or non-strategic assets that have been abandoned or sold will be written off or written down. P— CURRENT AND NON-CURRENT CLASSIFICATION Assets and liabilities are presented in the statement of financial position based on current and non-current classification. An asset is current when: it is expected to be realised or intended to be sold or consumed in normal operating cycle; it is held primarily for the purpose of trading; it is expected to be 2014 ANNUAL REPORT // FINANCIAL STATEMENTS realised within 12 months after the reporting period; or the asset is cash or cash equivalent unless restricted from being exchanged or used to settle a liability for at least 12 months after the reporting period. All other assets are classified as non-current. A liability is current when: it is expected to be settled in normal operating cycle; it is held primarily for the purpose of trading; it is due to be settled within 12 months after the reporting period; or there is no unconditional right to defer the settlement of the liability for at least 12 months after the reporting period. All other liabilities are classified as non-current. Q—NEW, REVISED OR AMENDED ACCOUNTING STANDARDS AND INTERPRETATIONS ADOPTED The company has adopted all of the new, revised or amending Accounting Standards and Interpretations issued by the Australian Accounting Standards Board (AASB) that are mandatory for the current reporting period. Any new, revised or amending Accounting Standards or Interpretations that are not yet mandatory have not been early adopted. Any significant impact on the accounting policies of the company from the adoption of these Accounting Standards and Interpretations are disclosed below. The adoption of these Accounting Standards and Interpretations did not have any significant impact on the financial performance or position of the company. The following Accounting Standards and Interpretations are most relevant to the company: AASB 2010-2 Amendments to Australian Accounting Standards arising from Reduced Disclosure Requirements The company has applied AASB 2010-2 from 1 January 2014. These amendments make numerous modifications to a range of Australian Accounting Standards and Interpretations, to introduce reduced disclosure requirements to the pronouncements for application by certain types of entities in preparing general purpose financial statements. The adoption of these amendments has significantly reduced the company’s disclosure requirements. 43 MALTHOUSE THEATRE FINANCIAL STATEMENTS NOTES AASB 2011-2 Amendments to Australian Accounting Standards arising from the Trans-Tasman Convergence Project – Reduced Disclosure Requirements, AASB 2012-7 Amendments to the Australian Accounting Standards arising from Reduced Disclosure Requirements and AASB 2012-11 Amendments to Australian Accounting Standards – Reduced Disclosure Requirements and Other Amendments The Company has applied AASB 2011-2, AASB 2012-7, and 2012-11 amendments from 1 January 2014, to the extent that they related to other standards already adopted by the Company. These amendments make numerous modifications to a range of Australian Accounting Standards and Interpretations to significantly reduce the Company’s disclosure requirements. AASB 2012-3 Amendments to Australian Accounting Standards – Offsetting Financial Assets and Financial Liabilities The company has applied AASB 2012-13 from 1 January 2014. The amendments add application guidance to address inconsistencies in the application of the offsetting criteria in AASB 132 ‘Financial Instruments: Presentation’, by clarifying the meaning of ‘currently has a legally enforceable right of set-off’; and clarifies that some gross settlement systems may be considered to be equivalent to net settlement. AASB 2013-3 Amendments to AASB 136 – Recoverable Amount Disclosures for Non-Financial Assets The Company has applied AASB 2013-3 from 1 January 2014. The disclosure requirements of AASB 136 ‘Impairment of Assets’ has been enhanced to require additional information about the fair value measurement when the recoverable amount of impaired assets is based on fair value less costs of disposal. Additionally, if measured using a present value technique, the discount rate is required to be disclosed. R— TRADE AND OTHER PAYABLES Trade and other payables represent the liabilities for goods and services received by the Company during the reporting period that remain unpaid the end of the reporting period. The balance is recognised as a current liability with the amounts normally paid within 30 days of recognition of the liability. 44 2014 ANNUAL REPORT // FINANCIAL STATEMENTS S— ECONOMIC DEPENDENCE Playbox Theatre Company is dependent upon Australia Council and Creative Victoria for the funding of its core activity. At the date of this report, the Board of Directors has no reason to believe that this support will not continue. T— NEW ACCOUNTING STANDARDS FOR APPLICATION IN FUTURE PERIODS The AASB has issued a number of new and amended Accounting Standards and Interpretations that have mandatory application dates for future reporting periods, some of which are relevant to the company. The directors have decided not to early adopt any of the new and amended pronouncements. The directors’ assessment of the new and amended pronouncements that are relevant to the company but applicable in future reporting periods is set out below: Amendments to AASB 136 – Recoverable Amount Disclosures for Non-Financial Assets AASB 2013-3 amends the disclosure requirements in AASB 136 Impairment of Assets. The amendments include the requirement to disclose additional information about the fair value measurement when the recoverable amount of impaired assets is based on fair value less costs of disposal. Application date of standard: 1 January 2014 Materiality AASB 1031: The revised AASB 1031 is an interim standard that cross-references to other Standards and the Framework (issued December 2013) that contain guidance on materiality. AASB 1031 will be withdrawn when references to AASB 1031 in all Standards and Interpretations have been removed. Application date of standard: 1 January 2015 The financial report was authorised for issue on 23 March 2015 by the Board of Directors. MALTHOUSE THEATRE NOTES NOTE 2014 2013 $ $ 2.A—REVENUE INCLUDED IN THE REVENUES FROM CONTINUING OPERATIONS ARE THE FOLLOWING ITEMS: Theatre and performance Venue hire 1,924,563 1,420,903 664,061 705,555 1,291,188 1,265,788 20,000 - 34,521 - GOVERNMENT GRANTS AUSTRALIA COUNCIL General Purpose International Touring Creative Development Arts Professional Pathways 20,000 - Creative Development New Duet - 22,793 CEO Mentoring - 5,000 Young Emerging Artists - 20,000 Rigging Training (3 creatives) - 5,000 Interconnection (Partial) CRM Strategic Support 26,410 3,590 - 23,250 LOCAL GOVERNMENT Department of Education & Early Childhood 19,685 19,301 City of Melbourne 52,482 48,024 1,199,714 1,199,714 111,082 83,821 Sponsorship 212,700 95,000 Fundraising and Donations 801,500 928,574 ARTS VICTORIA General Purpose NGO maintenance SPONSORSHIPS AND DONATIONS OTHER REVENUE Interest Earned 23,962 37,366 Ticketing Services 193,225 186,077 Bar Taking 252,122 300,593 Workshop External Commissions 193,511 138,566 Other Revenue from Continuing Operations 182,621 156,403 7,223,347 6,665,318 TOTAL REVENUE 2014 ANNUAL REPORT // FINANCIAL STATEMENTS 45 MALTHOUSE THEATRE FINANCIAL STATEMENTS NOTES NOTE 2014 2013 $ $ 29,038 192,546 77,751 125,589 1,981 76,802 2.B—TOTAL EARNINGS FROM INVESTMENTS FUTURE FUND - Change in Fair Value of Financial Assets - Income Earned INCENTIVE SCHEME RESERVE - Change in Fair Value of financial assets - Income Earned TOTAL EARNING FROM INVESTMENTS 18,839 35,688 127,609 430,625 3—OTHER EXPENSES FROM CONTINUING ACTIVITIES Profit from continuing operations has been determined after: EXPENSES Production & Touring Marketing & Sponsorship 3,131,524 2,585,572 548,188 623,343 88,830 96,670 20,325 25,070 12,767 21,952 2,371,633 2,392,763 OTHER EXPENSES - Depreciation - Auditor’s Remuneration - Audit Fees - Finance Costs – External - Wages & On Costs 3(a) - Venue 545,287 522,140 - Administration 264,105 242,444 - Ticketing Services 182,131 173,160 244,676 270,064 TOTAL OTHER EXPENSES 3,729,754 3,744,263 TOTAL EXPENSES 7,409,466 6,953,178 Other 3(a) Wages and on costs for permanent staff have been allocated to other expenses rather than to individual departments. 4—CASH AND CASH EQUIVALENTS Cash on Hand 2,569 2,902 Cash at Bank 124,583 93,711 Deposits at Call 156,196 307,297 - 31,202 283,348 435,112 Sundry Debtors 72,562 155,329 Accrued Income 14,072 39,823 1,500 1,500 - 8,519 88,134 205,171 Short Term Bank Deposits 5—TRADE AND OTHER RECEIVABLES Deposits Paid GST Recoverable 46 2014 ANNUAL REPORT // FINANCIAL STATEMENTS MALTHOUSE THEATRE NOTES NOTE 2014 2013 $ $ 41,634 38,055 6—INVENTORIES AT COST Raw materials Bar & Sponsorship Stock 17,893 23,428 59,527 61,483 232,093 299,536 7—OTHER CURRENT ASSETS PREPAYMENTS 8.A—PROPERTY PLANT & EQUIPMENT Furniture and Equipment 1,171,146 1,129,772 (934,237) (871,984) 236,909 257,788 Theatre Fixtures and Fittings 1,238,609 1,237,055 Less Accumulated Depreciation (1,188,391) (1,172,800) 50,218 64,255 Less Accumulated Depreciation Workshop Improvements Less Accumulated Depreciation TOTAL PROPERTY, PLANT & EQUIPMENT 263,086 263,086 (167,045) (156,059) 96,041 107,027 383,168 429,070 8.B—MOVEMENTS IN CARRYING AMOUNTS Movement in the carrying amounts of property, plant and equipment between the beginning and the end of the current financial year. 2014 FURNITURE & EQUIPMENT THEATRE FIXTURES & FITTINGS WORKSHOP IMPROVEMENTS TOTAL 257,788 64,255 107,027 429,070 Balance at the Beginning of the Year 41,374 1,554 - 42,928 Depreciation Expenses Additions (62,253) (15,591) (10,986) (88,830) Carrying Amount at the End of the Year 236,909 50,218 96,041 383,168 FURNITURE & EQUIPMENT THEATRE FIXTURES & FITTINGS WORKSHOP IMPROVEMENTS TOTAL 290,691 82,945 123,085 496,721 2013 Balance at the Beginning of the Year Additions 28,637 382 - 29,019 Depreciation Expenses (61,540) (19,072) (16,058) (96,670) Carrying Amount at the End of the Year 257,788 64,255 107,027 429,070 2014 ANNUAL REPORT // FINANCIAL STATEMENTS 47 MALTHOUSE THEATRE FINANCIAL STATEMENTS NOTES NOTE 2014 2013 $ $ 1,665,137 1,627,796 553,372 549,173 2,218,509 2,176,969 9—INVESTMENTS Future Fund Incentive Scheme Reserve Deposit Investments in the Future Fund and the Incentive Scheme Reserve comprise Domestic Corporate Bonds, Domestic Equities, and International Equities. Refer to note 20 for further detail. 10—TRADE & OTHER PAYABLES Sundry Creditors & Accruals GST Payable 265,925 266,586 21,066 - 286,991 266,586 58,044 54,198 11—PROVISIONS CURRENT Employee Entitlements - Annual Leave Employee Entitlements - Long Service Leave 79,556 78,210 137,600 132,408 32,770 33,966 19,708 215,000 193,500 - NON-CURRENT Employee Entitlements - Long Service Leave 12—BORROWINGS CURRENT Bank Loan – Secured NON-CURRENT Bank Loan – Secured Bank loan and overdraft facilities with National Australia Bank Ltd are secured by Registered Mortgage Debenture over the whole of the company’s assets including goodwill and uncalled and called but unpaid capital together with relative insurance policy assigned to the National Australia Bank Limited but excluding funds held in the Incentive Scheme Reserve. 13—OTHER CURRENT LIABILITIES Interconnection (Partial) - 26,410 New Work Creative Development 40,000 34,521 Income Received in Advance 776,185 1,061,915 816,185 1,122,846 (129,778) (272,543) (58,510) 142,765 Transfer to Future Fund Reserve - - Transfer to Incentive Scheme Reserve - - (188,288) (129,778) 14—RETAINED EARNINGS Retained Earnings at the Beginning of Year Net Profit (Loss) for the Financial year Retained Earnings at the end of Financial Year 48 2014 ANNUAL REPORT // FINANCIAL STATEMENTS MALTHOUSE THEATRE NOTES NOTE 2014 2013 $ $ 15—RESERVES Capital Assets Reserve Future Fund Reserve Incentive Scheme Reserve 127,459 127,459 1,394,382 1,394,382 444,472 444,472 1,966,313 1,966,313 Opening Balance 127,459 127,459 Closing Balance 127,459 127,459 15.A—CAPITAL ASSET RESERVE The Capital Assets Reserve records the value of plant and equipment assets transferred to the Company at the conclusion of the Company’s relationship with Monash University. 15.B—INCENTIVE SCHEME RESERVE MOVEMENTS DURING THE YEAR Opening Balance Transfer from Accumulated Surplus/(Deficit) Closing Balance 444,472 444,472 - - 444,472 444,472 Funds held in the Incentive Scheme Reserve are subject to the terms of the Incentive Scheme Reserves Funding Agreement dated 21 June, 2004 between the Australia Council, Creative Victoria and the Company. In particular, these funds are held in escrow for fifteen years (to 18/10/2023) and cannot be accessed without the express agreement of the funding bodies under prescribed circumstances. Funds held in the Incentive Scheme Reserve are expressly excluded from the security charge held over the assets of the Company by the National Australia Bank Ltd. The Incentive Scheme Reserve records the amount set aside to fund the long term future operations of the Company. 15.C—FUTURE FUND RESERVE MOVEMENTS DURING THE YEAR Opening Balance Transfer from Accumulated Surplus/(Deficit) Closing Balance 1,394,382 1,394,382 - - 1,394,382 1,394,382 The Future Fund is established for the purpose of accruing and accumulating a sustainable capital base for the Company to support the long term financial viability of the Cultural Objects of the Company. The Fund is managed by the Audit, Finance & Risk committee of the Board. 16—MEMBERS’ GUARANTEE The Company is limited by guarantee. If the Company is wound up, the Memorandum and Articles of Association of the Company states that each member is required to contribute a maximum of $10 cash towards meeting any outstanding obligations of the Company. At 31 December 2014 the number of members were 14 (2013: 14). 17—COMMITMENTS AND CONTINGENT LIABILITIES There are no capital expenditure commitments or contingent liabilities not otherwise disclosed or provided for in the accounts at 31 December 2014. 18—RELATED PARTY TRANSACTIONS There were no related party transactions that occurred in 2014. 2014 ANNUAL REPORT // FINANCIAL STATEMENTS 49 MALTHOUSE THEATRE FINANCIAL STATEMENTS NOTES 19—CASH FLOW INFORMATION Reconciliation of Net Cash Used in Operating Activities to Profit from Continuing Operations NOTE Net Profit (Loss) Unrealised Gain on Investments Depreciation 2014 2013 $ $ (58,510) 142,765 - (430,625) 88,830 96,670 CHANGE IN NET ASSETS AND LIABILITIES (Increase)/Decrease in Receivables 117,037 (17,805) (Increase)/Decrease in other Current Assets 67,443 (32,632) (Decrease)/Increase in Payables 26,391 24,439 1,956 (12,642) (Increase)/Decrease in Inventories (Decrease)/Increase in Other Current Liabilities (Decrease)/Increase in Provisions Net Cash Provided by (used in) Operating Activities (306,661) 12,862 (1,990) (8,354) (65,504) (225,322) 20—FINANCIAL RISK MANAGEMENT The Company’s financial instruments consist mainly of deposits with banks, local money market instruments, short-term investments, accounts receivable and payable. The totals for each category of financial instruments, measured in accordance with AASB 139 as detailed in the accounting policies to these financial statements, are as follow: FINANCIAL ASSETS Cash and Cash Equivalent 4 283,348 435,112 Trade and Other Receivables 5 88,134 205,171 Domestic Corporate Bonds 9 439,431 391,596 Equities Domestic 9 1,272,056 1,325,427 Equities International 9 507,022 459,946 2,589,991 2,817,252 Total Financial Assets FINANCIAL LIABILITIES Trade and Other Payables 10 286,991 266,586 Borrowing 12 213,208 215,000 500,199 481,586 Total Financial Liabilities Investments in Domestic Corporate Bonds, Domestic Equities, and International Equities are represented as investments in the Future Fund and Incentive Scheme Reserve in this financial report. Net Fair Value For listed available-for-sale financial assets and financial assets at fair value through profit & loss, the fair values have been based on closing quoted bid prices at the end of the reporting period. 21—DIRECTORS’ REMUNERATION Directors do not receive remuneration for services provided in their role as directors although they are eligible to be reimbursed for out of pocket expenses. 50 2014 ANNUAL REPORT // FINANCIAL STATEMENTS MALTHOUSE THEATRE NOTES 22—KEY MANAGEMENT PERSONNEL REMUNERATION The total remuneration paid to key management personnel of the Company during the period is as follows: NOTE Key management personnel compensation: 2014 2013 259,879 280,937 23—SUBSEQUENT EVENTS The directors are not aware of any significant events since the end of the reporting period. 24—COMPANY DETAILS The registered office of the Company is: 113 Sturt Street, Southbank Vic 3006 The principal place of business is: The Coopers Malthouse 113 Sturt Street, Southbank Vic 3006 2014 ANNUAL REPORT // FINANCIAL STATEMENTS 51 MALTHOUSE THEATRE FINANCIAL STATEMENTS DIRECTORS’ DECLARATION The directors of the Company declare that: 1— The financial statements and notes, as set out on pages 39 to 51 are in accordance with the Corporations Act 2001 and: (a) comply with Accounting Standards and; (b) give a true and fair view of the financial position as at 31 December, 2014, and of the performance for the year ended on that date of the Company. 2—In the directors’ opinion, there are reasonable grounds to believe that the Company will be able to pay its debts as and when they become due and payable. This declaration is made in accordance with a resolution of the Board of Directors of Playbox Theatre Company Limited. Michele Levine, Director John Daley, Director Dated 23 March 2015 52 2014 ANNUAL REPORT // FINANCIAL STATEMENTS MALTHOUSE THEATRE INDEPENDENT AUDITOR’S REPORT TO THE MEMBERS OF PLAYBOX THEATRE COMPANY LIMITED REPORT ON THE FINANCIAL REPORT We have audited the accompanying financial report of Playbox Theatre Company Limited (the Company), which comprises the statement of financial position as at 31 December 2014, the statement of comprehensive income, the statement of changes in equity and statement of cash flows for the year then ended, notes comprising a summary of significant accounting policies and other explanatory information, and the directors’ declaration. DIRECTORS’ RESPONSIBILITY FOR THE FINANCIAL REPORT The directors of the Company are responsible for the preparation of the financial report that gives a true and fair view in accordance with Australian Accounting Standards – Reduced Disclosure Requirements and the Corporations Act 2001 and for such internal control as the directors determine is necessary to enable the preparation of a financial report that is free from material misstatement, whether due to fraud or error. AUDITOR’S RESPONSIBILITY Our responsibility is to express an opinion on the financial report based on our audit. We conducted our audit in accordance with Australian Auditing Standards. These standards require that we comply with relevant ethical requirements relating to audit engagements and plan and perform the audit to obtain reasonable assurance about whether the financial report is free from material misstatement. An audit involves performing procedures to obtain audit evidence about the amounts and disclosures in the financial report. The procedures selected depend on the auditor’s judgment, including the assessment of the risks of material misstatement of the financial report, whether due to fraud or error. In making those risk assessments, the auditor considers internal control relevant to the company’s preparation and fair presentation of the financial report in order to design audit procedures that are appropriate in the circumstances, but not for the purpose of expressing an opinion on the effectiveness of the entity’s internal control. An audit also includes evaluating the appropriateness of accounting policies used and the reasonableness of accounting estimates made by the directors, as well as evaluating the overall presentation of the financial report. We believe that the audit evidence we have obtained is sufficient and appropriate to provide a basis for our audit opinion. INDEPENDENCE In conducting our audit, we have complied with the independence requirements of the Corporations Act 2001. We confirm that the independence declaration required by the Corporations Act 2001, has been given to the directors of Playbox Theatre Company Limited, and a copy of that declaration is attached to the annual financial report. AUDITOR’S OPINION In our opinion the financial report of the Playbox Theatre Company Limited is in accordance with the Corporations Act 2001, including a) giving a true and fair view of the company’s financial position as at 31 December 2014 and of its performance for the year ended on that date; and b) complying with Australian Accounting Standards – Reduced Disclosure Requirements (including Australian Accounting Interpretations) and the Corporations Regulations 2001. Crowe Horwath, Melbourne David Munday, Melbourne Dated 23 March 2015 2014 ANNUAL REPORT // FINANCIAL STATEMENTS 53