| e agreed asset allocations areasfollows: | |||
|---|---|---|---|
| NameofBlackRock Pooled Fund | Benchmark | Benchmark allocation | |
| Shares Developed World Index Fund | MSCI World Net | 67.5% | |
| GBP Hedged | TR Index | ||
| Shares Emerging Markets Index Fund | MSCI Emerging Markets | 7 .5% | |
| Index, Net Returns in GBP | |||
| SharesUKCredit Bond Index Fund | iBoxx Sterling Non-Gilts Index | 17.0% | |
| Shares Index Linked Gilt Index Fund | FTSE ActuariesUKIndex-Linked | 8.0% | |
| Gilts over 5 years |
ofthis Report were as follows: |
|
|---|---|
| Captain Ian McNaught CVO MNM_(Deputy Master)_ | 1,2,3,4,5,A,B,C,D |
| Rear Admiral David Snelson CB | 1,5,A,B,C |
| Captain Roger Barker MNM | 1,A,B |
| Captain Nigel Hope RD* RNR | 1 |
| Captain Stephen Gobbi JP MA LLB | |
| Commodore William Walworth CBE MNM RFA | |
| Commodore Robert Dorey RF A | |
| Captain Nigel Hare MA MRIN_(appointed 1October2020)_ | A |
| Malcolm Glaister Esq. | 2,4,5,B,D |
| Richard Sadler Esq. | 2,3,4,5,B,C,D |
| Captain Nigel Palmer OBE MNM_(retired 30 September 2020)_ | 1,3,5 |
| PrincipalOffice | Trinity House | |
|---|---|---|
| Tower Hill | ||
| LondonEC3N4DH | ||
| Telephone: 020 7481 6900 |
||
| Website: www.trinityhouse.co.uk |
||
| Advisers | ||
| Auditor: | Buzzacott LLP | |
| 130WoodStreet | ||
| LondonEC2V6DL | ||
| Managing Agents: | Knight Frank LLP | |
| _55_BakerStreet | ||
| LondonWlU8AN | ||
| Savills Ltd | ||
| Olympic House | ||
| Doddington Road | ||
| Lincoln LN6 3SE | ||
| Surveyors to the | ||
| Corporate Charity: | Cluttons LLP | |
| 2 Portman Street | ||
| LondonWlH6DU | ||
| Solicitors: | Forsters LLP and |
Stone King LLP |
| 31Hill Street | Boundary House | |
| LondonWlJ 5LS | 91Charterhouse Street | |
| LondonEClM6HR | ||
| Investment Managers: | BlackRockUKRetail Client Management | |
| 12 Throgmorton Avenue | ||
| LondonEC2N2DL | ||
| Bankers: | BarclaysBankPLC | |
| Level 28, 1 Churchill Place | ||
| London E 14 5HP |
Material misstatements that arise due to fraud can be harder to detect than those that arise from error as they may involve deliberate concealment or collusion.
A further description of our responsibilities for the audit of the accounts is located on the Financial Reporting Council's website at www.frc.org.uk/auditorsresponsibilities. This description forms part of our auditor's report.
Use of our report
This report is made solely to the Corporate Board, as a body, in accordance with section 144 of the Charities Act 2011 and with regulations made under section 154 of that Act. Our audit work has been undertaken so that we might state to the Corporate Board, those matters we are required to state to it in an auditor's report and for no other purpose. To the fullest extent permitted by law, we do not accept or assume responsibility to anyone other than the combined charities and the Corporate Board as a body, for our audit work, for this report, or for the opinions we have formed.
Buzzacott LLP Statutory Auditor 130 Wood Street London EC2V6DL 24 November 2021
Buzzacott LLP is eligible to act as an auditor in terms of section 1212 of the Companies Act 2006
21
Noter INCOMEFROM: Donations and legacies Charitable activities Othe,r trading activities Other operating income Investments J TOTALINCOME EXPENDITUREON: Raising funds Charitable activities: Welfare Youth opportunities and training 8 Public safety and education 9 Maintaining the fabric and heritageof Trinity House JO Impairmentoftreasure JO Role as a Deep Sea Pilotage Authority II ProvisionofNautical Assessors II TOTALEXPENDITURE NET(EXPENDITURE)I_INCOMEBEFORE INVESTMENTGAINS AND LOSSES (Losses)_I_gains on the revaluation and disposalofinvestment properties _16 Gains_I_(losses) on the revaluation and disposalofportfolio investments 16 NET(EXPENDITURE)I_INCOME OTHERRECOGNISEDGAINS AND LOSSES: Actuarial gain_I(loss) on defined benefit pension scheme 25 NETMOVEMENTINFUNDS BALANCEAT1 APRIL 2020 BALANCEAT31MARCH2021 |
Corporate Charity funds (including subsidiaries) £000 453 758 359 27 1,598 1,002 9 719 (288) 8 19 1,469 129 225 354 126 480 10,211 10,691 |
Trinity House Maritime Charity Unrestricted Restricted Permanent funds funds Endowment funds £000 £000 £000 10 16 768 7,510 7,527 779 3,442 9 1,544 44 2,381 786 121 580 7,488 1,366 53 39 (587) (53) (12,462) 4,205 39 (587) (8,310) 412 451 (587) (8,310) 1,165 2,681 265,678 1,616 2,094 257,368 |
Trinity House Maritime Charity Unrestricted Restricted Permanent funds funds Endowment funds £000 £000 £000 10 16 768 7,510 7,527 779 3,442 9 1,544 44 2,381 786 121 580 7,488 1,366 53 39 (587) (53) (12,462) 4,205 39 (587) (8,310) 412 451 (587) (8,310) 1,165 2,681 265,678 1,616 2,094 257,368 |
Total 2021 £000 12 1,237 758 359 7,538 9,904 4,453 1,597 3,167 701 719 (288) 8 19 10,376 (472) (12,462) 4,430 (8,504) 538 (7,966) 279,735 271,769 |
Total 2020 £000 7 1,103 1,562 7,238 |
|---|---|---|---|---|---|
| 9 44 |
9,910 | ||||
| 4,457 1,666 2,806 774 945 575 6 |
|||||
| 53 (53) (12,462) 4,205 (8,310) (8,310) 265,678 257,368 |
11,229 | ||||
| (1,319) 5,048 (1,111) |
|||||
| 2,618 (59) |
|||||
| 2,559 277,176 |
|||||
| 279,735 |
| Notes INCOMEFROM: Donations and legacies Charitable activities Other trading activities Investments 5 TOTALINCOME EXPENDITURE ON: Raising funds 6 Charitable activities: Welfare Youth opportunities and training 8 Public safety and education Maintaining the fabric and heritageof Trinity House JO Impairmentoftreasure JO Roleasa Deep Sea Pilotage Authority II ProvisionofNautical Assessors II TOTALEXPENDITURE NET (EXPENDITURE)I_INCOMEBEFORE INVESTMENT GAINS AND LOSSES (Losses)_I_gains on the revaluation and disposalofinvestment properties _16 Gains_I_(losses) on the revaluation and disposalofportfolio investments 16 NET(EXPENDITURE)I_INCOME OTHERRECOGNISEDGAINS AND LOSSES: Actuarial gain_I(loss) on defmed benefit pension scheme Z5 NETMOVEMENTINFUNDS BALANCE AT I APRIL 2020 BALANCE AT 31MARCH2021 |
Corporate Charity funds £000 453 2\l 27 692 212 9 719 (288) 8 19 679 13 225 238 126 364 9,710 10,074 |
Trinity House Maritime Unrestricted Restricted funds funds £000 £000 10 16 768 7,510 7,527 779 3,442 l,544 2,381 786 121 580 7,488 1,366 39 (587) 39 (587) 412 451 (587) 1,165 2,681 1,616 2,094 |
Trinity House Maritime Unrestricted Restricted funds funds £000 £000 10 16 768 7,510 7,527 779 3,442 l,544 2,381 786 121 580 7,488 1,366 39 (587) 39 (587) 412 451 (587) 1,165 2,681 1,616 2,094 |
Charity Permanent Endowment funds £000 9 44 53 (53) (12,462) 4,205 (8,310) (8,310) 265,678 257,368 |
Total 2021 £000 12 1,237 211 7,538 8,998 3,663 1,597 3,167 701 719 (288) 8 19 |
Total 2020 £000 |
|---|---|---|---|---|---|---|
| 7 l,103 519 7,238 |
||||||
| 8,867 | ||||||
| 3,430 l ,666 2,806 774 945 575 6 |
||||||
| 1,366 (587) |
9,586 | 10,202 (l,335) 5,048 (l,l11) 2,602 (59) 2,543 276,691 |
||||
| (588) (12,462) 4,430 (8,620) 538 |
||||||
| (587) | ||||||
| (587) 2,681 |
(8,082) 279,234 |
|||||
| 2,094 | 271,152 | 279,234 |
| Noles FIXED ASSETS Tangible fixed assets 15 Investments 16 CURRENT ASSETS Stocks Debtors 17 Cash atbankandondeposit CURRENT LIABILITIES Amounts falling due within one year 18 NET CURRENT ASSETS NON-CURRENT LIABILITIES Amounts falling due after more than one year 18 NET ASSETS EXCLUDING PENSION ASSET_I_(LIABILITY) Defined benefit pension asset_I_(liability) 25 NET ASSETS INCLUDING PENSION ASSET_I_(LIABILITY) FUNDS CorporateCharity Income funds: Designated funds 19 Other unrestricted funds Pension reserve Restricted funds 20 TrinityHouseMaritimeCharity Income funds: Designated funds 21 Otherunrestricted funds Pension reserve Restricted funds 22 Capital funds: Permanent endowment funds 23 Non-charitabletradingfunds 24 TOTALFUNDS Approvedonbehalfofthe Corporate Board: ~QIY\t{c.,j Deputy Master, Trinity House |
Group Combined charities 2021 2021 £000 £000 11,290 10,728 258,343 258,343 269,633 269,071 30 24 1,125 1,122 2,908 2,174 4,063 3,320 (2,022) (1,434) 2,041 1,886 (100) 271,574 270,957 195 195 271,769 271,152 |
Group Combined charities 2021 2021 £000 £000 11,290 10,728 258,343 258,343 269,633 269,071 30 24 1,125 1,122 2,908 2,174 4,063 3,320 (2,022) (1,434) 2,041 1,886 (100) 271,574 270,957 195 195 271,769 271,152 |
Group Combined charities 2020 2020 £000 £000 10,983 10,427 265,354 265,354 |
|
|---|---|---|---|---|
| 276,337 275,781 |
||||
| 7 1,264 1,102 4,060 3,723 |
||||
| 5,331 4,825 (1,478) (917) |
||||
| 3,853 3,908 |
||||
| 271,574 195 |
280,190 279,689 (455) (455) |
|||
| 271,769 | 279,735 279,234 9,196 9,196 578 578 (124) (124) 60 60 |
|||
| 9,363 623 28 60 |
9,363 623 28 60 10,074 677 772 167 2,094 3,710 257,368 261,078 271,152 |
|||
| 10,074 | 9,710 9,710 |
|||
| 677 772 167 2,094 |
677 677 819 819 (331) (331) 2,681 2,681 |
|||
| 3,710 257,368 |
3,846 3,846 265,678 265,678 |
|||
| 261,078 | 269,524 269,524 |
|||
| 617 | 501 | |||
| 279,735 279,234 |
||||
| NET CASH PROVIDED BYOPERATINGACTIVITIES(A) CASHFLOWSFROMINVESTING ACTIVITIES: Payments to acquire tangible fixed assets Payments to improve investment properties Proceeds from salesofinvestment properties Payments to acquire portfolio investments Proceeds from salesofportfolio investments NET CASH (USED IN)_I_PROVIDED BY INVESTINGACTIVITIES CHANGE IN CASH AND CASHEQUIVA LENTS CASH AND CASH EQUIVALENTS AT 1APRIL2020 CASH AND CASH EQUIVALENTS AT31MARCH2021(B) (A)RECONCILIATIONOFEXPENDITURETO NETCASH PROVIDED BYOPERATINGACTIVITIES: Net expenditure for the year before investment gains and losses Adjustments for: Depreciation Impairmentoftreasure Loss on disposaloffixed assets Change in stocks Change in debtors Change in creditors FRS 102 pension cost adjustment Net cash provided by operating activities (B) ANALYSISOFCASH AND CASH EQUIVALENTS: Cash at bank and on deposit Cash held on deposit by estate managing agents (note 17) Cash held on deposit by property managing agents (note 17) Cash held on deposit by managing agentsofMerchant Navy Scholarship Scheme (note 17) Cash held by investment managers (note I 6) |
2021 £000 252 (286) (1,346) 20 (10,497) 10,797 (1,312) (1,060) 4,210 3,150 |
2020 £000 1,640 |
|
|---|---|---|---|
| (152) (1,672) 216 (14,421) 16,470 |
|||
| 441 | |||
| 2,081 2,129 |
|||
| 4.210 | |||
| 2021 £000 (472) 266 (288) 1 (23) 237 643 (112) 252 |
2020 £000 (1,319) 252 575 5 2,954 (887) 60 |
||
| 1,640 | |||
| 31March 2021 £000 2,908 97 113 32 32150 |
31March 2020 £000 4,060 86 28 36 4,210 |
| INCOMEFROM: CHARITABLE ACTIVITIES Groupandcombined charities |
|||||
|---|---|---|---|---|---|
| Corporate Trinity House Charity Maritime Charity Unrestricted Unrestricted Restricted funds funds funds £000 £000 £000 Welfare 16 Youth opportunities and training 768 Contribution from Trinity House Lighthouse Service 317 Other 136 Total2021 453 16 768 Total2020 460 17 626 INCOMEFROM: OTHERTRADING ACTIVITIES 2021 Group: £000 Lettingoffunction rooms by Trinity House Events Limited 7 Lettingoflighthouse cottages by Trinitas Services Limited 751 758 Combined charities: Income from Trinity House Events Limited: Corporate Charity management charge 211 Gift Aid donations 211 |
Corporate Trinity House Charity Maritime Charity Unrestricted Unrestricted Restricted funds funds funds £000 £000 £000 16 768 317 136 453 16 768 |
Total 2021 £000 16 768 317 136 l,237 Total 2020 £000 17 626 315 145 1,103 |
|||
| 460 17 |
626 | 1,103 2020 £000 539 1,023 1,562 300 219 519 |
|||
| 2021 £000 7 751 758 |
|||||
| 211 211 |
| OTHEROPERATINGINCOME | ||
|---|---|---|
| Group: Other operating income (Trinity House Events Limited) Other operating income (Trinitas Services Limited) |
2021 £000 57 302 359 |
2020 £000 |
| INCOMEFROM: INVESTMENTS Groupandcombined charities |
|
|---|---|
| Investment properties Portfolio investments Bank interest and other finance income Total2021 Total2020 |
Corporate Trinity House Charity Maritime Charity Unrestricted Unrestricted Restricted funds funds funds £000 £000 £000 7,280 27 228 2 27 7,510 9 7,222 7 Total Total 2021 2020 £000 £000 7,280 7 066 255 153 3 19 71538 7,238 7,238 |
| EXPENDITURE ON: RAISING FUNDS Groupandcombined charities |
||||
|---|---|---|---|---|
| Lettingoffunction rooms Managementofinvestment assets: Estate managers' fees Legal and other administration fees Investment managers' fees Maintenanceofinvestment assets: Repairs, maintenance and refurbishment ofestates Support costs Combined charities Lettingoflighthouse cottages Lettingoffunction rooms Group Total2020 -Combined charities Total2020-Group |
Corporate Trinity House Charity Maritime Charity Unrestricted Unrestricted Endowment funds funds funds £000 £000 £000 212 503 466 9 1,947 526 212 3,442 9 765 25 1,002 3,442 9 298 3,116 16 1,325 3,116 16 |
Total Total 2021 2020 £000 £000 212 298 503 618 466 210 9 16 1,947 1,637 526 651 3,663 3,430 765 1,027 25 4,453 4,457 3,430 4,457 |
||
| 298 3,116 |
16 | |||
| 1,325 3,116 |
16 |
| 7. EXPENDITUREONCHARITABLE ACTIVITIES: WELFARE Groupandcoa1bined charities Maintenanceandupkeepofthe TrinityHomes Majorgrantspaid Minorgrantspaid Grantspaid- designated Grantspaid- other Supportcosts Total2021 Total2020 Duringtheyear,wolraregrants totalling£925,000 poid,dcsignntedgnmtsnmountedto £611, 150and The Shipwrecked Mariners' Society Royal Alfred Sealiirers Society Nauti1usWclfilreFund Sailors'Children'sSociety TheFishermen'sMission Naval Children's Charity Merchant Navy WelfareBoat<! TyneMariners'BenevolentInstitution RoyalLivc:rpoolSeamen'sOtphanJnstitution CareforV eteram MarittmeCharitiesGroup Total Grants paid - designated Sailors'Children'sSociety Sailors' Children's Society Combat Stress TheFishermen'sMission Alabare MissK>ntoSeam.ten SSAF A, theArmedForces Charity Stella Maris QueenVictoriaSeamen'sRest Sailors'Children'sSociety Sailors'Society Stoll TheMarinoSociety TheMismontoSeafarers TheMissiontoSeafarers TheNot Forgotten Association Other Well8re Grants Tolal Grantspaid·other |
Corporate TrinityHouse Tomi Total Charity MaritimeCharity 2021 2020 Unrestricted Unrestricted Endowment funds funds funds £000 £000 £000 £000 £000 374 44 418 328 743 281 611 611 305 314 254 2S4 314 1~4 44 t~97 1.666 26 1.597 43 t.666 woreawardedIoothercharities, organisationsandindividuals.Ofthegrants 01hergr;mtsamoumcdto£313,850: £ t 10,000 100,000 83,000 68,200 61,600 47,300 47,000 38,850 35,200 10,000 10,000 6lt,150 40,000 30,000 25,000 25,000 20,000 20,000 20,000 20,000 10,000 t0,000 t0,000 10,000 10,000 t0,000 10,000 t0,000 33,850 313,850 Towardstheironeoffandregulargrantstobeneficiaries. Towardsthecostofcaretotheirresidents. TowardsthecateintheTrinityHouseHub.nightservice andAdmiralNur.;e. Towardsthegraritsawardeddirectlytofumilies. TowardstheircorecostsandtounderpintheirUKwide outreachprogramme. Towardsthegrantsawm'deddirectlytofamilies. ContributiontothePortVehicleReplacementProgramme, Towardsthecostofmaintenanceonthehomesandthepensions awardedtoex-seafurmandwidowsinneed, Towardsthegrantsawardeddirectlytofiunilics. Towardsthecostofprovidingtheirmixedrehabilitationservice, Contributiontowardscorecosts. Towardsanextensionofadditionalsupporttofishingfiunilies, slow cookersandChrisbnashampers, Towardsadditionalsupporttofishingfamiliesasa resuJt ofCovid-19. Towardsmentalhealth support furseaf3rin&veterans. TowardstheiremergencyCovid-19 response. Towardsthesupportedhousingforseafdringveterans. Towardsthe!rainingprogrameforinstructors. TowardsthetrainingprogranunefurMatesandSkippers, Towards the North East Scotland Chaplaincyservice. Towards improving the Wi-Fi at Tilbury Sealiirers Centreand theiroperationcosts. Towardsanex.tensionofadditionalsupporttofishingfamilies. Towardsthedeepcleaningoftheseafarerscentrein Southamptonandwelfuregrantstoseafarers. TowardstheCommunitySupportserviceforseafiuing Towards the Covid-19 Redundancy and Retrainingbursary TowardstheirChattoa Chaplainservice. TowardstheFlying Angel Campaign. Towardstheadditionalcostsincmredasa resultofCovid-19. Variouswel.furegrants,lessthan£10,000. |
|---|---|
| Groupandcombinedcharltle11 MerchantNavyScholarshipScheme Majorgrantspaid Minorgrantspaid Otherrestrictedgrantspaid Grantspaid- designated Grantspaid- other Supportcosts Total2021 Toial2020 |
TrinityHouse MaritimeCharity Unrestricted Restricted funds funds £000 £000 1,252 768 18 257 459 413 2,38t 786 |
TrinityHouse MaritimeCharity Unrestricted Restricted funds funds £000 £000 1,252 768 18 257 459 413 2,38t 786 |
Total Total 2021 2020 £000 £000 2,010 1,879 475 23 18 257 459 413 429 J,167 2,806 2,806 |
|
|---|---|---|---|---|
| 2,180 | 626 |
| Marine Society&Sea Cadets Tall Ships Youth Trust LondonNautical School ASTO- AssociationofSailTrainingOrganisation TotalGrantspaid- designated TheScoutAssociation IALA-AISM PortsmouthSailTrainingTrust HelfordRiverChildren 1s SailingTrust InternationalMaritimeRescueFoundation 1851Trust SeaChangeSailing AdventuresOffshore PortsmouthHarbourMarine AtlanticPacific HighTideFoundation NationalMaritimeMuseum Other Youth Opportunities&Training Grants Total Grants paid - other |
£ 130,000 49,500 40,000 37,000 256,500 48,000 25,000 22,755 22,200 22,000 20,000 19,040 16,420 15,000 13,798 13,196 10,000 211,175 458.S84 ForusewithinMSSC'sPremisesFundforurgentrepairs andupgradestoUnitsandtheOnTheWaterprogramme. Towardsthecostoftheirsailtrainingprogramme. Towardsthecostofa staffmemberintheMaritime Department ForSailTrainingBursaries. TodevelopprogrammecontentfortheNautical Skills badge. Towards the costofeducatingandengagingwithnavigation professionals worldwide. Tosupport30youngpeoplethroughtheirprogramme. Towardsa newYouthClubandraceprogramme. TowardstheWomeninSARProject TowardsSTEMworkshopsforgirls. TowardsthetrainingcoststoenablecrewtoattainMCABargemaster qualifications. TowardsthedevelopmentoftheirMaritimeCareersPathwayprogramme. TowardsthecostofemployingtheirChief Executive. Towardsaninternshipfora youngpe~onfromNewham. TomovetheirShippingCadetsbipprogrammeonlinc Towardsproducinga seriesofmaritimecareen filmsaspartofthe Exposure:LivesatSeaexhibition Variousyouthopportunities& traininggrants,lessthan£10,000. |
|---|---|
| Group1111dcombined che.rltles Major grants paid Minor grants paid Department for Transport Grants Grants paid - designated Grants paid -olher Support costs Total 2021 Total 2020 |
Trinity Maritime Unrestricted funds £000 38 53 30 121 |
Trinity Maritime Unrestricted funds £000 38 53 30 121 |
House Total Total 2020 Charity Restricted funds £000 580 580 519 2021 £000 580 38 53 30 701 774 £000 607 117 50 774 |
|---|---|---|---|
| 121 | |||
| 255 |
| CHIRP - Confidential Reporting for Aviation&Maritime Royal InstituteofNavigation Total Grants paid - designated Animateurs Project RNLI Olher Youth Public&Safety Grants Total Grants paid -other |
20,000 17,600 37,600 25,000 10,000 18,015 53,015 TowardsthecostofprovidingtheircoofidentiaJreportingsystem. Towardsthecostofdeliveringtheirprogrammeofactivities Tosupportfishermenwithapplicationsforsafetyequipment Towardsmernber>hipoftheRNLI 200 Clubtomark their Bi-Centenary Various public safety&education grants,lesslhan £10,000. |
|---|---|
| Groupandcombined charities | |||
|---|---|---|---|
| Staff and pension costs Repairs, renewals and planned maintenance Light, heat, insurance and other running costs Depreciation Support costs Total 2021 Impairmentoftreasure (see below) |
Total 2021 £000 251 101 130 130 107 719 |
Total 2020 £000 235 257 160 130 163 |
|
| 945 575 |
|||
| (288) |
| Raising funds Welfare Youth opportunities and training Public safety and education Maintaining the fabric and heritageof Trinity House |
Office staff £000 295 159 258 18 107 837 |
Service Administration staff costs £000 £000 43 17 28 2 90 187 78 128 10 403 |
Total 2021 £000 526 254 414 30 107 1,331 |
Total 2020 £000 651 314 429 50 163 1,607 |
|---|---|---|---|---|
| STAFFCOSTSANDTRUSTEES'REMUNERATION | ||
|---|---|---|
| Wages and salaries Social security costs Other pension costs - defined benefit scheme - group personal pension plan Other staff costs |
2021 £000 790 90 119 55 32 1,0H6 |
2020 £000 945 IOI 171 64 66 |
| 1,347 |
| 2021 | 2020 | |||
|---|---|---|---|---|
| £110,000 | - £119,999 | |||
| £100,000 | - £109,999 | 2 | ||
| £80,000 | - | £89,999 | ||
| £70,000 | - | £79,999 | I |
| GROUP | GROUP | GROUP | ||||
|---|---|---|---|---|---|---|
| Leasehold improvements £000 COST At I April 2020 615 Additions in year 69 Disposals in year At31March 2021 684 DEPRECIATION At I April 2020 227 Charge for the year 49 Impairment in year (noteIO) Disposals in year At31March 2021 276 NET BOOK VALUE At31March 2021 408 At31March 2020 388 COMBINEDCHARITIES COST At I April 2020 Additions in year At31March 2021 DEPRECIATION At I April 2020 Charge for the year Impairment in year (note 10) At31March 2021 NET BOOK VALUE At31March 2021 At31March 2020 |
Freehold properties Trinity Trinity Homes, House Walmer £000 £000 6,090 2,175 171 6,261 2,175 960 390 123 45 l,083 435 5,178 1,740 |
Treasures Plant and equipment, fixtures and fittings £000 £000 4,053 665 20 26 (17) 4,073 674 575 463 49 (288) (16) 287 496 3,786 178 3,478 202 |
TOTAL £000 13,598 286 (17) |
|||
| 13,867 | ||||||
| 2,615 266 (288) (16) |
||||||
| 2,577 | ||||||
| 11,290 10,983 TOTAL £000 12,564 191 |
||||||
| 388 | 5,130 | 1,785 | ||||
| Freehold properties Trinity Trinity Homes, House Walmer £000 £000 6,090 2,175 171 6,261 2,175 960 390 123 45 1,083 435 5,178 1,740 |
Treasures Plant and equipment, fixtures and fittings £000 £000 4,053 246 20 4,073 246 575 212 10 (288) 287 222 3,786 24 |
|||||
| 12,755 | ||||||
| 2,137 178 (288) |
||||||
| 2,027 | ||||||
| 10,728 10,427 |
||||||
| 5,130 | 1,785 | 3,478 34 |
| FIXED ASSET INVESTMENTS | ||||
|---|---|---|---|---|
| Investment properties (see below) Portfolio investments (see below) Cash held by investment managers Programme-related investments (see below) Market value at31March 2020 Saleofleasehold interests Disposals Capital improvements Acquisitions at cost Gains_I_(losses) on revaluations and disposals Market value at31March 2021 Historical cost |
2021 £000 240,913 17,149 32 258,093 250 2581343 |
2020 £000 252,049 13,019 36 |
||
| 265,104 250 |
||||
| 265,354 Portfolio investments £000 13,019 (10,797) 10,497 4,430 |
||||
| Freehold investment properties £000 252,049 (20) 1,346 (12,462) 240,913 |
||||
| 17,149 LS,748 |
||||
| 11,558 |
| Security BLACKROCK lSHRS DY WLD !DX (IE) D DS GBP HDG BLACKROCK ISHRUKCRDT BD IDX(IE) INS GBPDS BLACKROCK ISHARES EM !DX FD (IE) FLX DS GBP BLACKROCKISHRS !DXLKGL T !DX FD (UK) X INC Holding 9,431,486 2,604,216 1,071,022 1,164,230 |
Total market value £ 12,032,750 2,659,198 1,244,978 1,211,746 17,148,672 |
Percentage oftotal market value 70.2% 15.5% 7.3% 7.1% 100% |
|---|---|---|
| DEBTORS Duewithinoneyear: |
|||
|---|---|---|---|
| Group 2021 £000 Trinity Village: Rent arrears less provision for doubtful debts 137 Monies held by estate managing agents 97 Trinitas Services Limited : Monies held by property managing agents Other: Trade debtors 22 Monies held by managing agentofthe Merchant Navy Scholarship Scheme 113 Amount owed by Trinity House Events Limited Amount owed by Trinity House Lighthouse Service Prepayments and accrued income 678 Social Securityandother taxes 62 Other debtors 17 1,125 |
Charities 2021 £000 137 97 22 113 120 604 14 17 1,122 |
Group 2020 £000 150 86 28 36 5 899 40 20 1,264 |
Charities 2020 £000 150 86 5 818 18 20 |
| 1,102 |
| Expense creditors Rents in advance, Trinity Village Deferred income Social Securityandother taxes Other creditors Accruals - Trinity Village - other Amounts owedtoTrinity House Lighthouse Service Amounts owed to Trinity House Events Limited |
Group Charities Group Charities 2021 2021 2020 2020 £000 £000 £000 £000 250 197 107 103 56 56 85 85 512 238 238 238 140 3 90 2 54 9 18 9 588 588 346 346 307 307 471 113 115 123 36 21 2,022 1,434 1,478 917 |
|---|---|
| Balance at New 1April2020designations £000 £000 House Designated Fund 603 60 Fixed Assets Fund 8,593 459 9,196 519 |
Utilised/ released31 £000 (219) (133) (352) |
Balanceat March2021 £000 444 8,919 |
|---|---|---|
| 9,363 |
| Warden's Trinity House Relief Fund Brethren's Covenant and Gift Scheme |
Balance at 1April2020 £000 2 58 60 |
Income Expenditure Balanceat 31March2021 £000 £000 £000 2 58 60 |
|---|---|---|
| Extraordinary Repair Fund Merchant Navy Scholarship Scheme |
Balance at 1 April 2020 £000 177 500 677 |
New Designations £000 |
Utilised_I_ Released £000 Balanceat 31March2021 £000 177 500 677 |
|---|---|---|---|
| Swire Scholarship Fund Swire Yeoman SupportFund Captain John Bury Memorial Prize Fund Grants for Merchant Navy Scholarship Scheme: Government funding British Marine Prize Fund Department for Transport Fund JMummery |
Balanceat 1April2020 £000 llO 25 12 46 2,488 2,681 |
Movement in funds Balanceat Income Expenditure 31March2021 £000 £000 £000 (5) 105 (3) 22 12 768 (768) 46 (580) 1,909 10 (10) 779 (l,366) 2,094 |
|---|---|---|
| TRINITYHOUSEMARITIMECHARITY- PERMANENTENDOWMENTFUNDS | |||
|---|---|---|---|
| Balance at IApril2020 £000 Trinity Village 258,029 Church and West Farms, Goxhill 4,424 Martines Fann, Essex 1,240 Trinity Homes, Walmer 1,985 265,678 |
Movement infunds Balance at Expenditure Gains/31March 2021 (losses) £000 £000 £000 (7,460) 250,569 (868) 3,556 97 1,337 (44) (35) 1,906 ~44) ~8,266l 2571368 |
||
| ~44) | ~8,266l | 2571368 |
| Fundbalancesat31March2021 arerepresentedby: Tangible fixed assets Investments Current assets Current liabilities Defined benefit pension liability Totalnetassets |
Corporate Charity Unrestricted funds £000 Restricted funds £000 54 Trinity House Maritime Charity Unrestricted funds £000 12 Restricted funds £000 Endowment funds £000 1,740 Non-charitable tradingfunds £000 562 Total 2021 £000 11,290 8,922 986 333 (256) 257,357 258,343 28 10,013 6 60 903 534 167 1,616 2,094 2,094 (174) 900 4,063 (1,555) (845) (2,122) 195 257,368 617 271,769 |
|---|---|
| 10,013 |
| RPI | 3.6%p.a. |
|---|---|
| Earnings increases | 3.6%p.a. |
| Pre-retirement discount rate | 4.2%p.a. |
| Post-retirement discount rate | 2.0%p.a. |
| widely from year to year. | |
|---|---|
| 2021 £000 Market valueofassets 8,165 Defined benefit obligation (7,970) Surplus_I_(deficit) in the Scheme - net pension asset_I_(liability) 195 |
2020 £000 7,068 (7,523) |
| (455) |
| The assets in the Scheme were: | ||
|---|---|---|
| 2021 £000 Liability driven investments 1,550 Equities 3,450 Bonds 2,729 Insured pensions (annuities) 6 Cash 430 Total market valueofassets 8,165 |
2020 £000 2,341 0 4,510 41 176 |
|
| 7,068 |
| The major assumptions used by the actuary were: | ||
|---|---|---|
| 2021 | 2020 | |
| Inflation - RPI | 3.5% | 3.1% |
| Rateofincrease in salaries | 3.5% | 3.1% |
| Rateofincrease for pensions | 3.2% | 3.0% |
| Discount rate for liabilities | 2.0% | 2.2% |
| Reconciliationofthe fair valueofplanassets over theyear | ||
|---|---|---|
| Fair valueofplan assets at 1 April 2020 Interest income on plan assets Remeasurement - return on plan assets excluding interest income Contributionsbythe charities Contributionsbythe members Benefits paid (including expenses) Fair valueofplan assets at31March 2021 Return on plan assets Reconciliationofdefined benefit obligations over theyear Defined benefit obligations at 1 April 2020 Current service cost Contributions by the members Interest expense on defined benefit obligation Remeasurement - effectofexperience adjustments (gain)I_loss Remeasurement - effectofchangesinassumptions loss_I(gain) Benefits paid Defined benefit obligations at31March 2021 |
2021 £000 7,068 154 1,068 231 4 (360) 8,165 1,222 2021 £000 7,523 110 4 163 (141) 671 (360) 7,970 |
2020 £000 7,141 176 (17) 115 5 (352) 7,068 159 |
| 2020 £000 7,477 166 5 185 312 (270) (352) 7,523 |
| Net pension liability at 1 April 2020 Amount recognised in expenditure (Gain)_I_loss recognised in other recognised gains and losses Contributions by the charities Net pension (asset)_I_liability at31March 2021 |
2021 2020 £000 £000 455 119 (538) (231) (195) 336 175 59 (l15) 455 |
|---|---|
| PENSIONCOMMITMENTS(continued) The following amounts have been included in the statementoffinancial activities: Analysisoftheamountchargedas expenditure |
||
|---|---|---|
| Current service cost Interest income on Scheme assets Interest expense on defined benefit obligation Totalchargetoexpenditure |
2021 £000 (110) 154 (163) (119) |
2020 £000 (166) 176 (185) |
| (175) |
| Remeasurementsrecognised inotherrecognised gainsandlosses | |
|---|---|
| Remeasurement - effectofexperience adjustments gain_I_{loss) Remeasurement - effectofchanges in assumptions (loss)I_gain Remeasurement - return on plan assets including interest income gain_I(loss) Total remeasurement gain_I_(loss) recognised in other recognised gains and losses |
2021 £000 141 (671) 1,068 2020 £000 (312) 270 (17) |
| 538 (59) |
| A summaryofthe results for the year is as follows: | |
|---|---|
| 2021 £000 Turnover 1,054 Total expenditure (765) Profit after tax 289 Total assets 1,208 Total liabilities (478) Net assets 730 |
2020 £000 1,023 (l,027) (4) 822 (381) |
| 441 |
| Turnover Total expenditure (Loss)_I_profit for the year Total assets Total liabilities Net assets |
2021 £000 6.3 (237) (174) 253 (367) (114) |
2020 £000 539 (300) 239 260 (200) 60 |
|---|---|---|
| Corporate Charity funds (including subsidiaries) £000 INCOMEFROM: Donations and legacies 7 Charitable activities 460 Other trading activities 1,562 Investments 9 TOTALINCOME 2,038 EXPENDITURE ON: Raising funds 1,325 Charitable activities: Welfare 26 Youth opportunities and training Public safety and education Maintaining the fabric and heritageof Trinity House 945 Impairmentoftreasure 575 Role as a Deep Sea Pilotage Authority 6 ProvisionofNautical Assessors TOTALEXPENDITURE 2,877 NET(EXPENDITURE)I_INCOMEBEFORE INVESTMENT GAINS AND LOSSES (839) Gains_I(losses) on the revaluation and disposalofinvestment properties Gains_I_(losses) on the revaluation and disposalofportfolio investments (78) NET(EXPENDITURE)_I_INCOME (917) OTHERRECOGNISED GAINS AND LOSSES: Actuarial (loss)_I_gain on defined benefit pension scheme (14) NETMOVEMENT IN FUNDS (931) BALANCE AT I APRIL 2019 11,142 BALANCE AT31MARCH2020 10,211 |
Trinity House Maritime Charity Unrestricted Restricted Permanent funds funds Endowment funds £000 £000 £000 17 626 7,222 7 7,239 .633 3,116 16 1,597 43 2,180 626 255 519 7,148 l,145 59 91 (512) (59) 5,048 (l,033) 91 (512) 3,956 (45) 46 (512) 3,956 1,119 3,193 261,722 1,165 2,681 265,678 |
Total 2020 £000 |
|---|---|---|
| 7 1,103 1,562 7,238 9,910 4,457 1,666 2,806 774 945 575 6 |
||
| 11,229 (1,319) 5,048 (1,111) |
||
| 2,618 (59) |
||
| 2,559 277,176 279,735 |
| INCOMEFROM: Donations and legacies Charitable activities Other trading activities Investments TOTALINCOME EXPENDITURE ON: Raising funds Charitable activities: Welfare Youth opportunities and training Public safety and education Maintaining the fabric and heritageof Trinity House Impairmentoftreasure Roleasa Deep Sea Pilotage Authority ProvisionofNautical Assessors TOTAL EXPENDITURE NET (EXPENDITURE)I_INCOMEBEFORE INVESTMENT GAINS AND LOSSES Gains_I(losses) on the revaluation and disposalofinvestment properties Gains_I_(losses) on the revaluation and disposalofportfolio investments NET(EXPENDITURE)_I_INCOME OTHERRECOGNISED GAINS AND LOSSES: Actuarial (loss)_I_gain on defined benefit pension scheme NETMOVEMENTIN FUNDS BALANCE AT I APRIL2019 BALANCE AT31MARCH2020 |
Corporate Charity funds £000 7 460 519 9 995 298 26 945 575 6 1,850 (855) (78) (933) (14) (947) 10,657 9,710 |
Trinity House Maritime Unrestricted Restricted funds funds £000 £000 17 626 7,222 7 7,239 633 3,116 1,597 2,180 626 255 519 7,148 1,145 91 (512) 91 (512) (45) 46 (512) 1,119 3,193 1,165 2,681 |
Charity Permanent Endowment funds £000 16 43 59 (59) 5,048 (1,033) 3,956 3,956 261,722 265,678 |
Total 2020 £000 |
|---|---|---|---|---|
| 7 1,103 519 7,238 |
||||
| 8,867 | ||||
| 3,430 1,666 2,806 774 945 575 6 |
||||
| 10,202 | ||||
| (1,335) 5,048 (1,111) 2,602 (59) 2,543 276,691 279,234 |
| Welfare Youth opportunities and training Contribution from Trinity House Lighthouse Service ProvisionofNautical Assessors Other Total 2020 Corporate Trinity House Charity Maritime Charity Unrestricted Unrestricted Restricted funds funds funds £000 £000 £000 17 626 3\S 14S 460 17 626 |
Total 2020 £000 17 626 315 145 |
|---|---|
| 1,103 |
| Investment properties Portfolio investments Bank interest and other finance income Total 2020 |
Corporate Charity Unrestricted funds £000 8 1 9 |
Trinity House Maritime Charity Unrestricted Restricted funds funds £000 £000 7,066 145 11 7 7,222 7 Total 2020 £000 7,066 153 19 7.238 |
|---|---|---|
| Lettingoffunction rooms Managementofinvestment assets: Estate managers' fees Legal and other administration fees Investment managers' fees Maintenanceofinvestment assets: Repairs, maintenance and refurbishment ofestates Support costs Combined charities Lettingoflighthouse cottages Lettingoffunction rooms Group |
Corporate Charity Trinity House Maritime Charity Unrestricted Restricted Unrestricted Endowment funds funds funds funds £000 £000 £000 £000 298 618 210 16 1,637 651 298 3,116 16 1,027 l,3ZS 3,116 16 Total 2020 £000 298 618 210 16 1,637 651 3,430 1,027 4.457 |
|---|---|
| Group and combined charities | Corporate | Trinity House | Trinity House | Total |
|---|---|---|---|---|
| Charity | Maritime Charity | 2020 | ||
| Unrestricted | Unrestricted | Endowment | ||
| funds | funds | funds | ||
| £000 | £000 | £000 | £000 | |
| Maintenance and upkeepofthe Trinity Homes | 285 | 43 | 328 | |
| Major grants paid | 743 | 743 | ||
| Minor grants paid | 26 | 255 | 281 | |
| Support costs | 314 | 314 | ||
| Total 2020 | 26 | 1,597 | ~~--~~- 4=3= | 1,666 |
| Groupandcombined charities Merchant Navy Scholarship Scheme Major grants paid Minor grants paid Impairmentofprogramme-related investment Support costs Total 2020 |
Trinity House Maritime Charity Unrestricted Restricted funds funds £000 £000 1,253 626 475 23 429 2,180 626 Total 2020 £000 1,879 475 23 429 2,806 |
|---|---|
| PUBLIC SAFETYANDEDUCATION | |||
|---|---|---|---|
| Group and combined charities | Trinity House | Total | |
| Maritime Charity | 2020 | ||
| Unrestricted | Restricted | ||
| fund | funds | ||
| £000 | £000 | £000 | |
| Major grants paid | 91 | 516 | 607 |
| Minor grants paid | 114 | 3 | 117 |
| Support costs | 50 | 50 | |
| Total 2020 | 255 | 519 | 774 |
| Raising funds Welfare Youth opportunities and training Public safety and education Maintaining the fabric and heritageof Trinity House Total 2020 |
Office staff £000 379 173 237 28 163 980 |
Service Administration staff costs £000 £000 42 230 22 29 3 96 119 163 19 531 |
Total 2020 £000 651 314 429 50 163 |
|---|---|---|---|
| 1,607 |
| (j) CORPORATE CHARITY - DESIGNATED FUNDS Balanceat _l_April2019 House Designated Fund Fixed Assets Fund .£000 826 9281 101'07 New designations £000 |
Utilised_I_ released £000 (223) (688) (911) |
Balance at 31March 2020 £000 603 8,593 |
|---|---|---|
| 9,196 |
| CORPORATE CHARITY - RESTRICTED FUNDS | ||||
|---|---|---|---|---|
| Warden's Trinity House Relief Fund Brethren's' Covenant andGiftScheme |
Balance at 1April2019 £000 2 58 |
Income £000 |
Expenditure £000 |
Balance at 31March 2020 £000 2 58 |
| 60 | 60 |
| Extraordinary Repair Fund Merchant Navy Scholarship Scheme |
Balance at 1April2019 £000 177 500 677 New designations £000 |
Utilised_I_ released £000 |
Balance at 31March 2020 £000 177 500 |
|---|---|---|---|
| 677 |
| Swire Scholarship Fund Swire Yeoman Support Fund Captain John Bury Memorial Prize Fund Grants for Merchant Navy Scholarship Scheme: Government funding Sponsorship from the Jersey Harbour Board British Marine Prlze Fund DepartmentforTransport Fund |
Balance at IApril2019 £000 110 25 12 46 3,000 3193 Movementinfunds Balance at Income Expenditure3 IMarch 2020 £000 626 7 633 £000 (626) (519) ~~p1~~14s~~l~~ £000 110 25 12 46 2,488 2,681 |
|---|---|
| . Balance at 1 April2019 £000 Trinity Village 254,030 ChurchandWest Farms, Goxhill 4,424 Martines Fann, Essex 1,240 Trinity Homes, Walmer 2,028 261,722 |
Movement in funds Balance at Expenditure Gainsand31March 2020 losses £000 £000 £000 3,999 258,029 4,424 1,240 (43) 1,985 (43~ 3,999 265,678 |
Movement in funds Balance at Expenditure Gainsand31March 2020 losses £000 £000 £000 3,999 258,029 4,424 1,240 (43) 1,985 (43~ 3,999 265,678 |
|---|---|---|
| 265,678 |
| ANALYSISOFGROUP NET ASSETS BETWEEN FUNDS | ||
|---|---|---|
| Corporate Charity Trinity House Maritime Charity Unrestricted Restricted Unreslricted Restricted funds funds funds funds £000 £000 £000 £000 Fundbalancesat31March2020 arerepresentedby: Tangible fixed assets 8,592 36 14 Investments 1,054 Current assets 204 24 2,321 2,681 Current liabilities (104) (790) Inter-<:harity balance 49 (49) Group balance (21) Defmed benefit pension asset (124) (331) Totalnetassets 91650 60 I165 21681 |
Endowment funds £000 1,783 264,300 (405) 265,678 Non-charitable trading funds £000 558 506 (584) 21 501 |
Total 2020 £000 10,983 26S,3S4 S,331 (1,478) (4SS) |
| 2791735 |