• Vision, Mission and Values
  • RTÉ: The Year in Numbers
  • Chair’s Statement
  • Director-General’s Review
  • Financial Review
  • RTÉ: Who We Are
  • RTÉ: What We Made in 2020
  • RTÉ: What We Won in 2020
  • RTÉ: What We Did in 2020
  • Distribution, Digital, Delivery
  • Statistical Information

  • Board of RTÉ
  • Executive
  • Corporate Governance
  • Board Members' Report
  • Statement of Board
    Members' Responsibilities

  • Independent Auditor's Report
  • Group Income Statement
  • Group Statement of Comprehensive
    Income
  • Group Statement of Financial Position
  • Group Statement of Changes in Equity
  • RTÉ Statement of Changes in Equity
  • Group Cash Flow Statement
  • RTÉ Statement of Financial Position
  • RTÉ Cash Flow Statement
  • Notes Forming Part
    of the Group Financial Statements
  • Appendix to the Group Financial
    Statements – Accounting Policies

  • 2020 Performance Commitments
  • Other Reporting & Statistical Information
  • Financial History

  • Annual Report 2020 (IE)
  • Annual Report 2020 (EN)

  • Gaeilge
  • English

A Year in Review

Annual Report & Group

Financial Statements 2020

  • Business Review
    • Vision, Mission and Values
    • RTÉ: The Year in Numbers
    • Chair’s Statement
    • Director-General’s Review
    • Financial Review
    • RTÉ: Who We Are
    • RTÉ: What We Made in 2020
    • RTÉ: What We Won in 2020
    • RTÉ: What We Did in 2020
    • Distribution, Digital, Delivery
    • Statistical Information
  •  
  • Corporate Governance
    • Board of RTÉ
    • Executive
    • Corporate Governance
    • Board Members' Report
    • Statement of Board
      Members' Responsibilities
  • Financial Statements
    • Independent Auditor's Report
    • Group Income Statement
    • Group Statement of Comprehensive
      Income
    • Group Statement of Financial Position
    • Group Statement of Changes in Equity
    • RTÉ Statement of Changes in Equity
    • Group Cash Flow Statement
    • RTÉ Statement of Financial Position
    • RTÉ Cash Flow Statement
    • Notes Forming Part
      of the Group Financial Statements
    • Appendix to the Group Financial
      Statements – Accounting Policies
  •  
  • Other Information
    • 2020 Performance Commitments
    • Other Reporting & Statistical Information
    • Financial History
  • Gaeilge
  •  
  • English

  • Annual Report
    2020 (EN)

  • Annual Report
    2020 (IE)

Notes forming part of the Group Financial Statements

  • 1. Summary of Significant Accounting Policies
  • 2. Principal Activities and Segmental Information
  • 3. Operating Costs (before depreciation, amortisation and gain on disposal of assets)
  • 4. Finance (Income)/Expense
  • 5. Surplus/(Deficit) before Income Tax
  • 6. Exceptional Items
  • 7. Employee Information
  • 8. Income Tax
  • 9. Property, Plant and Equipment
  • 10. Intangible Assets
  • 11. Inventories
  • 12. Trade and Other Receivables, Prepayments and Accrued Income
  • 13. Liquid Investments
  • 14. Cash and Cash Equivalents
  • 15. Interest-Bearing Loans and Borrowings
  • 16. Trade and Other Payables
  • 17. Taxation and Social Welfare
  • 18. Employee Benefits
  • 19. Cash Flow Hedge Reserve
  • 20. Investments in Subsidiaries
  • 21. Retirement Benefit Obligations (Group and RTÉ)
  • 22. Deferred Tax
  • 23. Financial Instruments and Financial Risk Management (Group and RTÉ)
  • 24. Financial Commitments, Contingencies and Guarantees
  • 25. Grants
  • 26. Related Party Transactions
  • 27. Lease Liability
  • 28. Board Approval
< RTÉ Cash Flow Statement
1. Summary of Significant Accounting Policies >

Raidió Teilifís Éireann

Baile Átha Cliath 4, Éire.

RTÉ

Dublin 4, Ireland.

T: +353 1 208 3111

F: +353 1 208 3080

info@RTE.ie

www.RTE.ie