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||PAGE|
|---|---|
||NO.|
|LEGAL AND ADMINISTRATIVE INFORMATION|I-2|
|CHAIR'S STATEMENT|J|
|CHIEF EXECUTTVE OFFICER'SREVIEV/|4-5|
|DIRECTORS'REPORT|6-19|
|INDEPENDENT AUDITOR'SREPORT|20-23|
|CONSOLIDATED STATEMENTOFFINANCIAL|24|
|ACTIVITIES||
|BALANCESHEETS|25|
|CONSOLIDATED STATEMENTOFCASHFLOWS|26|
|CHARITYSTATEMENTOFCASH FLOWS|27|
|ACCOUNTINGPOLICIES|28-3r|
|NOTES TO THECONSOLIDATEDFINANCIAL|3t-43|
|STATEMENTS||





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|AChaplin|Chair to6July2022|
|---|---|
|SFrost|Chairfrom 6Júy2022|
|A Williams||
|PHide|Resigned26May2022|
|SBounoua||
|EHudson||
|T Connelly||
|AWells||
|ABoissett||
|KHusselbee|Resigned6October 2022|
|ADamirchi|Resigned14September 2022|
|R Olszewski||
|MDesmond|Appointed12September 2022|
|NHussey|Appointed12 September2022|
|PNeville|Appointed12 September 2022|
|R Bhalinge|Appointed 6Jrúy2023|
|RGosling|Appointed 6Jrúy2023|
|RVagdia|Appointed6 July 2023|
|Senior Staffand|Officers-Charity|
|LesleyRudd<br>JenniferTrim|<br>Chief ExecutiveOfficer<br> <br>CompanySecretary|



|Senior StaffandOffic|ers-TradineSubsidiaries||
|---|---|---|
|ESFEnterprisesLtd<br>MSibley<br>KParker<br>ROrton<br>EHudson|FinanceDirector<br>Non-Executive Director<br>NonExecutiveDirector<br>NonExecutiveDirector|Resigned8June2022<br>Resigned 9June2022<br>Appointed8June2022|
|ESC PartnershipsLtd<br>SFrost|Non-Executive Director|Resigned7October20|
|EHudson|NonExecutiveDirector||
|PNeville<br>JTrim|Non-Executive Director<br>Non-Executive Director|Appointed12 Septembe|






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|ElectricalSafetyFirstsocialmediastatsbetween1April2022 and 31March2023|
|---|
|Channel<br>ImpressionsEngagements(tikes,repliesoretweets,linkclicks)|
|Twitter<br>2,246,5369,586<br>Facebook/ lnstagram730,0746,127<br>Linkedln<br>170,34010,825<br>Total<br>3,146,95026,538|



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## 

|(incorporatingConsolidat|ed Inco|me¡ndExpenditure Ac|c|ount )||||
|---|---|---|---|---|---|---|---|
|||||||2023|2022|
||Unrestricted<br>Notecharity",iírft:ïfr.<br>Funds|||||.ïiä:|åiä:|
|||f,,'000|f,,'000|||f,'000|f,,'000|
|INCOMEFROM:||||||||
|Investment Income-Investments|5|500|||3l|531|354|
|Investment Income-Properties||470||||470|521|
|OtherTrading activities-ShareofprofrtsinJoint<br>Ventures|t2|||6,012||6,012|4,740|
|IncomefromCharitableActivities||62||||62|9|
|TOTALINCOME||1,032||6,043||7,075|5,624|
|EXPENDITURE ON:||||||||
|Raisingfunds||||||||
|Discontinued tradingoperations|||||3|3|5|
|InvestmentManagementCosts||t4||||t4|27|
|FundraisingCosts||63||||63|12|
|Subtotal- RaisingFunds|4|11|||J|80|104|
|CharitableActivities||||||||
|InstallationSafety||799||||799|624|
|ProductSafety||1,301||||1,301|1,003|
|Grants andDirect||293||||293||
|Research||152||||t52|90|
|Subtotal- Charitable activities|4|2,545||||2,545|1,717|
|Other Expenditure|4|38||||38|129|
|TOTALEXPENDITURE||2,660|||3|2,663|1,950|
|Net Investment(Losses)/Gains-lnvestments|t2|(772)||||(772)|588|
|Net Investment(Losses)/Gains-Property||78||||78|(78)|
|NetInvestment Gain-ReclassihcationofProperty|||||||139|
|NetInvestment(Loss)fromImpairmentofProperty|||||||(350)|
|NET(EXPENDITURE)/INCOME||(2,322)||<br>6,040||3,718|3,973|
|ActuarialGain/(Loss) onPensionScheme|r7|(3,000)||||(3,ooo)|5,950|
|(Loss)fromnon-recognitionofPension Asset|t7|2,200||||2,200|(11,800)|
|Transferof GiftAid||5,1l5||(s,1|15)|||
|NETMOVEMENT INFUNDS||1,993||925||2,918|(t,877)|
|TotalFundsat1 April2022||||||28,358|30,235|
|TotalFundsat3lMarch2023||||||3L,276|28,358|





## 

## 

|THEEL<br>BALANCE|ECTRICA<br> SHEETS|LSAFETYCOUNCIL<br> ASAT31MARCH2023|LSAFETYCOUNCIL<br> ASAT31MARCH2023|||
|---|---|---|---|---|---|
||Note|Group Charitv<br>2023<br>2023||GroupCharitv<br>2022<br>2022||
|||¿'000|f,'000|f,'000|f,'000|
|FIXEDASSETS:||||||
|TangibleAssets-used|10|4,734|4,734|4,939|4,838|
|TangibleAssets - investment<br>properties|1l|783|783|705|705|
|Investments|t2|12,070|12,070|12,844|12,844|
|InvestmentsinJoint Ventures|t2|6.012||5.313||
|||23,599|<br>17,587|23,70018,387||
|CURRENT ASSETS:||||||
|Debtors|13|256|256|79|79|
|Cash atBankandinHand||8,002|5,821|5,006|3,055|
|||8,258|6,077|5,085|<br>3,134|
|CT]RRENTLIABILITIES:||||||
|Amounts FallingDueWithinOne<br>Year|t4|581|1,289|427|1,139|
|NET CURRENT<br>ASSETS(LIABILITIES)||7,677|4,788|4,658|1,995|
|TOTALASSETS LESSCURRENT<br>LIABILITIES:||31,21622,375||28,35820,382||
|DEF'INEDBENEFITPENSION<br>SCHEMEASSET /(LIABILITÐ|t7|||||
|||31,27622,375||28,35820,382||
|RESERVES||||||
|UNRESTRICTEDINCOMEFUNDS||31,27622,375||28,35820,382||
|PENSIONRESERVE|l7|||||
|TOTALRESERVES||3t0276|<br>22,375|28,35820,382||





## 

## 

|ONSOLDATED STATEMENTOF|CASH FL|OWSF'OR|THEYEAR|ENDED3l|M|ARCH|
|---|---|---|---|---|---|---|
|||||TOTAL|||
|||||FUNDS||PiYR|
|||||2023|FUNDS||
|||||g'000||g'000|
|Netcash (usedin)operatingactivities(NoteA)||||(3,286)||(6,102)|
|Netcashprovided by investing activities|(NoteB)|||6,282||6,761|
|Cashflowsfromfinancing activities|||||||
|||||2,996||659|
|AnalysisofNet Fundsf'000|AtIApr<br>2021|21122<br>Movement|At3lMar<br>2022|22t23<br>Movement|At3lMar<br>2023||
|Cash atbankandinhand|4,347|659|5,006 2,996|||<br>8,002|
|CASHFLOW STATEMENTNOTES|||||||
|A.Netcash usedin operating activities|||||||
|Netincomeforthereportingperiod||||3,718||3,973|
|Shareof profits inJoint Ventures||||(6,012)|(4,740)||
|Depreciation||||138||122|
|Dividends,interestandrentsfrominvestments||||(s3l)||(3s4)|
|Rentsfromproperties||||(470)||(s2l)|
|Losses/(Gains)oninvestments||||694||(2ee)_|
|Loss on disposalof fixedassets|||||||
|FRS102Pension operating movement||||(800)|(4,350)||
|(Increase)/Decreaseindebtors||||(r77)||(26)|
|(Decrease)/Increaseincreditors||||t54||93|
|Netcash usedin operating activities||||(3,286)|(6,102)||
|B. Netcashprovidedby investingactivities|||||||
|Dividends,interestandrentsfrominvestments||||531||354|
|Rentsfromproperties||||470||521|
|Distributions fromJoint Ventures||||5,313||5,889|
|Purchaseofproperty,plant&equipment||||(34)|||
|Proceedsfromthesaleofinvestments||||2,011||6,578|
|Purchaseofinvestments||||(2,009)|(6,581)||
|Netcashprovided byinvestingactivities||||6,282||6,761|



## 

|nalysis ofchanses|innetdebt|||
|---|---|---|---|
|f,'000|At31MarCashflow|At|3lMar|
||2022||2023|
|Cash|5,006 2,996||8,002|
|Cashequivalents||||
|Total|5.006<br>2.996||8.002|





## 

## 

|CHARITYSTATEMENTOF CA|SH F|LOW|SFORTH|E YEARENDED31M|E YEARENDED31M|ARCH|2023|
|---|---|---|---|---|---|---|---|
|||||TOTAL||||
|||||F'UNDSP/YR||||
||||||2023|<br>FUNDS||
||||||f,'000||f,'000|
|Netcash (usedin)operatingactivities(NoteA)<br>Netcashprovidedbyinvestingactivities(NoteB)|||||(3,287)<br>6,053<br>2,766||(6,096)<br>6,446<br>350|
|Analysis of Net Funds f,'000|At1|Apr<br>2021|2u22<br>Movement|At3lMar<br>2022<br>22t23<br>Movement||At|3lMar<br>2023|
|Cash atbank andinhand|2,705||350|3,055|2,766||5,821|
|CASHFLOWSTATEMENT NOTES||||||||
|A. Netcash (usedin)operating activities||||||||
|Netincomeforthe reportingperiod||||(2,322)||(767)||
|Depreciation||||138||122||
|Dividends,interestand rentsfrominvestments||||(s00)||(34e)||
|Rentsfromproperties||||(470)||(s2t)||
|Losses/(Gains)oninvestments||||694||(2ee)||
|Loss on disposaloffixedassets||||||||
|FRS102Pension operating movement||||(800)||(4,350)||
|(Increase) /Decreaseindebtors||||(r77)||(26)||
|(Decrease)/Increase increditors<br>Netcashprovided by(usedin)operating activities||||150<br>(3,287)||94<br>(6,096)||
|B.Netcashprovidedby investÍngactivities||||||||
|Dividends,interestand rentsfrominvestments||||500||349||
|Rentsfromproperties||||470||521||
|Giftaidfromtrading activities||||5,115||5,579||
|Purchaseof property,plant&equipment||||(34)||||
|Proceedsfromthesaleofinvestments||||2,011||6,578||
|Purchaseofinvestments||||(2,009)||(6,581)||
|Netcashprovidedby investingactivities||||6,053||6,446||



## 

|nalvsisofchangesin|net debt|net debt||
|---|---|---|---|
|f,'000|At31MarCashflow||At3lMar|
||2022||2023|
|Cash|3,055|2,766|5,821|
|Cashequívalents||||
|Sub-Total|3,055|2,766|5,821|
|Loans duein1year|(714)|2|(712)|
|Total|2,341|2,768|5,109|





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|<br>comprisethe costsofCharity <br> identified by function.|premises, finance, gove|manceand|
|---|---|---|
||2023|2022|
||f'000|f,'000|
|Installationsafety|138|128|
|Product safety|225|207|
|Research|26|l9|
|Fundraising|l3|22|
|Total|402|376|





## 

## 

|INVESTMENT INCOME A¡IDINTEREST||||
|---|---|---|---|
|||GrouD||
||2023||2022|
||f'000||f,'000|
|Bank interest|103||5|
|Investment income|428||349|
||531||354|



|6.|STAFFCOSTS|||||||
|---|---|---|---|---|---|---|---|
||||Charitv|||GrouD||
|||2023||2022|2023||2022|
|||f'000||f'000|f,'000||f'000|
||Staffcosts|||||||
||Wagesand salaries|1,011||853|1,011||8s3|
||Redundancycosts<br>Agencysalaries<br>Social securitycosts|2T<br>128||50<br>J<br>tt2|2t<br>128||50<br>3<br>tt2|
||Pensioncosts|106||92|106||92|
||Healthcareplan|3||4|3||4|
|||1,269||l,l14|1,269||l,lL4|



## 

|<br>tothefollowingbands.Alloftheseemployees wer|<br>eparticipatingin the group personal pensio|nscheme|
|---|---|---|
||2023|2022|
|f60,001tof70,000|1||
|f70,001 tof,80,000|||
|f80,001to f,90,000|I|1|
|f90,001 tof100,000|I|2|
|f100,000-f110,000|1|I|
|f110,000-f120,000|1||
||5|4|





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## 

|<br>YEARENDED31M<br>|<br>ARCH2023||
|---|---|---|
|ETINCOMINGRESOURCES|2023|2022|
||f'000|f,'000|
|TheGroup'snetincoming(outgoing)resources are statedaftercharging(crediting):|||
|AuditfeesParent<br>Subsidiaries<br>Nonauditfeespaid toauditors<br>Depreciationof tangible fixedassets|l7<br>5<br>46<br>138|9<br>I<br>38<br>122|
|Losson disposaloffrxedassets|||



## 

## 

|GIBLE FIXEDASSETS||||||
|---|---|---|---|---|---|
|Group&Charity|Freehold<br>Landand<br>Buildings|Leasehold<br>Landand<br>Buildings|Office&<br>IT<br>equipment|Computer<br>software|TOTAL|
||f'000|Ê'000|f,000|f'000|f,'000|
|COST||||||
|B/fwd|824<br>5||213||6,037|
|Additions|||34||34|
|Disposals|||(2s)||(2s)|
|C/fwd|5,824||222||6,046|
|DEPRBCIATION||||||
|B/fwd|1,019||180||1,199|
|Charge|r00||38||138|
|Disposals|||(2s)||(2s)|
|C/fivd|1,119||193||1,312|
|NETBOOK VALUE||||||
|Asat3lMarch2022|4,805||JJ||4,838|
|Asat 31March2023|4,705||29||4,734|



## 



## 

## 

|NOTES TOTHE CONSOLIDATEDFINANCIAL<br>YEARENDED3lMARCH2023<br> INVESTMENTS-GROUP|STATEMENTS||
|---|---|---|
|Group|2023<br>f'000|2022<br>f,'000|
|Joint Ventures:|||
|AtlApr,l2022|50313|6,462|
|Shareofprofitfortheyear<br>Less: remitted to the Group|6,012<br>(5,313)|4,740<br>(5,889)|
|At3lMarch2023|6,012|5,313|
|ShareofJointVenturesrepresentedby:|||
|Fixedassets|1,860|2,019|
|Currentassets|t3,076|12,293|
|Creditors|(8,924)|(8,999)|
||6,012|5,313|
|OtherInvestments|2023|2022|
||f,'000|f,,000|
|MarketvalueasatlApnl2022|12,810|12,025|
|Purchases (atcost)|2,009|6,581|
|Disposalproceeds|(2,019)|(6,384)|
|Netinvestmentgains/(losses)|(772)|s88|
||12,028|12,810|
|Cash balancesheldbyinvestmentmanagers|42|34|
|Marketvalueat3lMarch2023|t20070|12,844|
|Otherinvestments are representedby:|||
|UKEquities|1,254|1,740|
|OverseasEquities|6,738|6,963|
|UKBonds&FixedInterest|904|s38|
|GlobalBonds&FixedInterest|736|558|
|HedgeFunds|92|67|
|PortfolioFunds|||
|Property|552|813|
|Infrastructure|417|4',t9|
|Cash funds|6332|842|
|Commodities|371|438|
|Others|331|372|
|Cashsecurities|42|34|
|Marketvalueasabove|12,070|12,844|
|InvestmentsTotal(Group)|18.082|18.157|
|Charity|2023<br>f,'000|2022<br>f,'000|
|Subsidiaries(SeeNote20)|||
|Other Investments|12,070|12,844|
|InvestmentsTotal(Charity)|12.070|12.844|
|ESC PartnershipsLtdholds memberrightsinCertsureLLP|||





|<br>YEA|<br>RENDED3lMAR|CH2023|||
|---|---|---|---|---|
|13.DEBTORS|Group<br>2023<br>f'000|Charity<br>2023<br>f'000|Group<br>2022<br>f,'000|Charity<br>2022<br>f'000|
|Trade debtors|t74|174|||
|Prepayments<br>Social Security and OtherTaxes|42<br>40|42<br>40|5;<br>2t|58<br>2l|
||255|z5t|79|79|



|Trade debtors and amountsduefromrelate|d companiesinclu|ded inthe abov|eareheldatam|ortisedcost.|
|---|---|---|---|---|
|14.CREDITORS|Group<br>2023<br>f'000|Charity<br>2023<br>f,'000|Group<br>2022<br>f,'000|Charity<br>2022<br>f'000|
|Amountsfallingduewithinoneyear<br>Trade creditors<br>Social security and othertaxes<br>Amountdueto subsidiary undertakings<br>Accrualsanddeferred income|139<br>33<br>-<br>409<br>5E1|139<br>33<br>712<br>405<br>t2,82|t36<br>25<br>266<br>4n|136<br>25<br>714<br>264<br>1.139|



## 

|<br>cancellable operatingleaserentalsarereceiva|bleasfollows:|||
|---|---|---|---|
|Notlater thanoneyear<br>Later than oneandnotlater thanfiveyears<br>Later thanfiveyears|Charitv<br>2023f,000<br>398<br>1,592<br>398|20221000<br>402<br>1,592<br>398|Group<br>2023f,0002022f000<br>105<br>109<br>ztt<br>2ll|
|Total commitment|2.388|2392|320<br>31ó|



## 



## 

## 

|iciencylevel.Theschemerules <br>s.|<br>werealso amendedtoallowthe s|chemeto payadmin|istrationa|
|---|---|---|---|
|SchemeAssetlnformation|AllocationPercentage31-Mar-23|AllocationPercentage|31-[{ar'22|
|Equitysecurities|0y,|0%||
|Debt securities|72%|53%||
|Diversifiedfund|16%|33%||
|Other|tz/o|14%||
|Total|100%|t00%||
|Fair valueofSchemeassets(fmillion)||73.8|99.2|
|Included inthe above:||||
|Valueof entity'sownfinancialinstruments||0|0|
|ValueofpropertyandotherassetsusedbytheEmployer||0|0|





## 

## 

|DefïnedBenefitCost - PeriodEnding|DefïnedBenefitCost - PeriodEnding|31-Mar-23|3l-Mar-22|
|---|---|---|---|
|AProflt&L,osr(P&L)||||
|I|Effectofemployeeservice inthecurrentperiod|||
|2|Net interest onnetdefined benefit liability/(asset)|(0.3)|(0.1)|
|3|Schemeintroductions,changes,curtailmentsand settlements|||
|4|Defined benefitcost recognisedinP&L|(0.3)|(0.1)|
|5|Costoftermination benefits(l)|||
|6|Administrationcostsincurred durinstheoeriod|||
|7|Cost recognised inP&L|(0.3)|(0.1)|
|BOtherComprehenslvelncsme(OCÐ||||
|I|Actuarial (gain/lossarising duringperiod|(22.2)|(4.2)|
|2|Return onSchemeassets(greater)/less thandiscountrate|25.2|(r.7)|
|3|Changeinirrecoverablesurplus(2)|(2.2)|I1.8|
|4|RemeasurementeffectsrecognisedinOCI|0.8|5.9|
|CTotalDeñnedBenefit Cost||||
|1|Cost recognisedinP&L|(0.3)|(0.1)|
|2|RemeasurementeffectsrecognisedinOCI|0.8|5.9|
|3|Defined benefit cost|0.5|5.8|
|DAssnmptionsUsed to Determ¡nellefinedBeneflt Costf)||||
|I|Discountrate|2.7%|2.0%|
|2|Priceinflation (RPI)|3.8%|3A%|
|3|Priceinflation(CPI)|3.4%|3.0%|
|4|Pension increasesforin-payment benefits|||
||-<br>LPImaximum5olo<br>-<br>LPImaxim'rm2.S%o|3A%<br>aÁo/|3.0%<br>2.3%|
|5|Pension increasesfordeferredbenefits|3.4%|3.0%|





## 

## 

|Net|BalanceSheetPosition-Period Ending|BalanceSheetPosition-Period Ending|3l-Mar-23|3l-Mar22|
|---|---|---|---|---|
|A|Development ofNetB¡lanceSheetPosidon||||
||I|Defined benefit obligation(DBO)ofScheme|64.2|87.4|
||2|Fairvalueofassets(FVA) ofScheme|73.8|99.2|
||3|Sumlus/(deficit)ofScheme|9.6|I1.8|
||4|Irrecoverablesurplus(effect ofassetceiling)|(e.6)|(11.8)|
||5|Net defined benefitassel(liability)|0.0|0.0|
|B|Reconclll¡fionof NetB¡lanceSheetPosltio¡||||
||I|Net defined benefit asset/(liability)at endofpriorperiod|0|1.5|
||2|Effectofemployeeservice inthecurrentperiod|||
||3|Netinterestonnetdefined benefit asset/(liability)|0.3|0.1|
||4|Remeasurement effectsrecognised inOCI|(0.8)|(5.e)|
||5|Schemeintroductions,changes,curtailmentsand|||
||6|Employercontributions|0.5|4.3|
||7|Benef,rtspaiddirectlybytheEmployer|||
||8|Transferpayments|||
||9|Netdefìnedbenefìt asset/(liability)atendofcurrentperiod|0.0|0.0|
|C|AsrrmptÍonsandDatesUsedforMeasurements(3)||||
||1|Discountrate|4.8%|2.7%|
||2|Priceinflation(RPI)|3.5%|3.8%|
||3|Priceinflation(CPI)|3.1%|3A%|
||4|Pension increasesforin-payment benefits|||
|||-<br>CPI maximum5olo|3.1%|3A%|
|||-<br>CPI maximum2.5olo|2.3%|2.4%|
||5|Pension increasesfordeferredbenefits|2.9%|3A%|
||6|Schemeparticipantcensusdate|31-Mar-20|3l-Mar-20|





## 

## 

## 

|Changes|in reported benefit obligations&assets- Period Ending|3l-Mar-23|31-Mar-21|
|---|---|---|---|
|AChangeilllefinedBenef,t Obligation @BO)(lncl¡dingURB)||||
|I|DBOatendofpriorperiod|87.4|93.3|
|2|Effectofemployee service inthecunent period|||
|3|Interestcost onthe DBO|z-)|1.8|
|4|RemeasurementoftheDBO|(22.2)|(4.2)|
|5|Schemeintroductions,changes,curtailmentsand settlements|||
|6|Schemeparticipants'contributions|||
|7|Benefits paidfromSchemeassets|(3.3)|(3.s)|
|8|Benefits paiddirectlybytheEmployer|||
|9|Taxespaid|||
|l0|Acquisitions|||
|II|Divestitures|||
|12|Termination benefits|||
|l3|DBOat endofcurrentperiod|64.2|87.4|
|BChangeinSche,meAssets||||
|I|Fair value ofassetsat endofpriorperiod|99.2|94.8|
|2|Interest income onSchemeassets|2.6|1.9|
|3|Retum onSchemeassetsgreater/(less)thandiscountrate|(25.2)|1.7|
|4|Schemeintroductions,changes,curtailmentsand settlements|||
|5|Employercontributions|0.5|4.3|
|6|Schemeparticipants'contributions|||
|7|Benefits paidfromSchemeassets|(3.3)|(3.5)|
|8|Administrativecostspaid|||
|9|Taxes paid|||
|10|Acquisitions|||
|II|Divestitures|||
|12|Fairvalueofassetsat endofcurrentperiod|73.8|99.2|
|CReturnonSchemeAssets||||
|I|Totalretum onSchemeassets|(22.6)|3.6|





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|||CertsureLLP|
|---|---|---|
||2023|2022|
||f,'000|f'000|
|ChargedbyESC|||
|Rent|468|467|
|Staffrecharges|||
|Charged to ESC- Reimbursableexpenses|23|22|
|Charged to ESFEnterprisesLtd-SupportServices|||



## 

## 

|GROUPUNDERTAKINGS<br>Thefollowingweretheprincipalsubsidiariesandjointventuresduringthe <br>inthe consolidatedfinancialstatementsforthewholeyear.|year,and haveallbeenincluded|
|---|---|
|Countryof<br>Subsidiaries(&cos ttseReeistration)Incorporation<br>Classofshare|Parent Company's Interest<br>Direct<br>Indirect|
|trlESFEnterprisesLimitede2st3t62)GreatBritain<br>Ordinary|100%|
|tzlESC PartnershipsLtdioazttzoe¡GreatBritain<br>Ordinary|100%|
|Financialinformation fortheyearand at theyearend isshown below:||
|Company<br>t'000at31March2023<br>f,'000forvearended 31March2023||
|AssetsLiabilitiesFunds<br>TurnoverExoenditure Profit/lloss)||
|ESF EnterprisesLimited<br>71847r4-2(2)||
|ESC PartnershipsLtd<br>8,187-8,187-1(927)||
|Countryof<br>JointVentures<br>IncorporationClassofshare|Parent Company's Interest<br>Direct<br>Indirect|
|1r¡CertsureLLP(oc:zssts)<br>UK|75%|






## 

