TRUSTEES' REPORT AND ACCOUNTS 2024
54
Notes
Group
2024
£'000
Group
2023
£'000
Charity
2024
£'000
Charity
2023
£'000
Fixed assets
Intangible assets 4 5,430 6,613 5,385 6,509
Tangible assets 5 42,653 41,920 42,653 41,916
Investments 6 134,522 148,114 134,522 148,114
Programme-related investments 6c 157 188 157 188
Total fixed assets 182,762 196,835 182,717 196,727
Current assets
Stocks 7 364 129 - -
Debtors 8 100,542 96,238 99,049 96,027
Cash at bank and in hand 15,327 15,326 13,412 11,807
Current asset investments 6d 6,000 6,000 6,000 6,000
Total current assets 122,233 117,693 118,461 113,834
Creditors
Amounts falling due within one year 9 (16,740) (15,490) (16,158) (14,670)
Net current assets 105,493 102,203 102,303 99,164
Total assets less current liabilities 288,255 299,038 285,020 295,891
Creditors
Amounts falling due after more than one year
Creditors 11 (805) - - -
Provisions for liabilities and charges 12 (528) (1,476) (527) (1,473)
Defined benefit pension liability 26 (15,207) (18,719) (15,207) (18,719)
Total net assets 271,715 278,843 269,286 275,699
The funds of the charity:
Endowment funds 17 8,502 9,667 8,502 9,667
Restricted income funds 17 18,170 18,653 13,682 14,489
Unrestricted income funds:
Pension reserve 17 (15,207) (18,719) (15,207) (18,719)
Other charitable funds 17 129,321 138,071 131,380 139,091
Designated funds 17 130,929 131,171 130,929 131,171
Total funds 271,715 278,843 269,286 275,699
The notes on pages 57 to 83 form part of these accounts.
These accounts were approved and authorised for issue by the RSPCA Board
of Trustees and signed on its behalf by:
Consolidated and charity balance sheets
YEAR ENDED 31 DECEMBER 2024
Amanda Bringans Karen Harley
Chair, RSPCA Board of Trustees Treasurer, RSPCA
26 June 2025