ҹɫֱ²¥ Strategic Report and Financial Statements 2022 - Statements of Comprehensive income and Expenditure
Statements of Comprehensive income and Expenditure
For the Year Ended 31 July 2022
| Income | Notes | 
 2021/22 £000  | 
 2020/21 £000  | 
 2021/22 £000  | 
 2020/21 £000  | 
|---|---|---|---|---|---|
| 
 Tuition fees and education contracts  | 
1 | 17,103 | 15,058 | 17,103 | 15,058 | 
| 
 Scottish Funding Council grants  | 
2 | 21,606 | 20,986 | 2,349 | 2,809 | 
| 
 Research grants and contracts  | 
3 | 2,771 | 2,986 | 2,349 | 2,809 | 
| 
 Other Incomes  | 
4 | 6,396 | 4,799 | 6,163 | 4,473 | 
| 
 Investment income  | 
5 | 
 72  | 
15 | 71 | 466 | 
| 
 Donations and endowments  | 
6 | 
 369  | 
466 | 369 | 466 | 
| 
 Total Income  | 
Ìý | 
 48,318  | 
44,031 | 47,661 | 
 43,528  | 
| 
 Expenditure  | 
Ìý | 
 Ìý  | 
Ìý | Ìý | 
 Ìý  | 
| 
 Staff Costs  | 
7 | 
 29,216  | 
26,986 | 28,979 | 
 26,793  | 
| 
 Other operating expenses Ìý  | 
10 | 
 13,329  | 
12,298 | 12,910 | 
 11,970  | 
| 
 Depreciation, amortisation  | 
11,12 | 
 4,812  | 
5,071 | 4,812 | 
 5,071  | 
| 
 Interest and other finance costs  | 
8 | 
 1,366  | 
1,545 | 1,366 | 
 1,545  | 
| 
 Total Expenditure  | 
Ìý | 
 48,723  | 
45,882 | 38.067 | 
 35,379  | 
| 
 (Deficit) for the year Ìý  | 
Ìý | 
 (406)  | 
(1,8851) | 
 (406)  | 
(1,8851) | 
| 
 Unrealised surplus/(deficit) on revaluation of land and buildings Ìý  | 
Ìý | 
 Ìý 14,456  | 
 Ìý (145)  | 
 Ìý 14,456  | 
 Ìý (145)  | 
| 
 Actuarial gain in respect ofÌýpension schemes  | 
Ìý | 
 Ìý 24,163  | 
 Ìý 12,743  | 
 Ìý 24,163  | 
 Ìý 12,743  | 
| 
 Total comprehensive income /(expenditure) for the year  | 
Ìý | 
 Ìý 38,213  | 
 Ìý 10,747  | 
 Ìý 38,213  | 
 Ìý 10,747  | 
| 
 Represented by:-  | 
Ìý | 
 Ìý  | 
 Ìý  | 
 Ìý  | 
 Ìý  | 
| 
 Ìý Endowment comprehensive income for the year Unrestricted comprehensive income for the year Revaluation reserve comprehensive income for the year  | 
 Ìý  | 
 Ìý 171 Ìý 23,586 Ìý 14,456  | 
 Ìý 227 Ìý 10,665 Ìý (145)  | 
 Ìý 171 Ìý 23,586 Ìý 14,456  | 
 Ìý 227 Ìý 10,665 Ìý (145)  | 
| Ìý | Ìý | 38,213 | 10,747 | 38,213 | 10,747 | 
All items of income and expenditure relate to continuing activities.
The accompanying notes and policies on pages 24 to 43 form part of these financial statements
Ìý