17. Financial instruments Group 2021 £’000 2020 £’000 Financial assets at amortised cost Trade debtors 187 345 Other debtors 2,234 680 Accrued income 4,435 389 Total financial assets at amortised cost 6,856 1,414 Financial liabilities at amortised cost Trade creditors 1,034 976 Local Citizens Advice network grants 1,753 2,381 Other creditors 2,083 1,736 Accruals 5,113 4,769 Total financial liabilities at amortised cost 9,983 9,862 Financial liabilities at fair value through income or expenditure Provisions 29,705 19,904 Total financial liabilities at fair value through income or expenditure 29,705 19,904 Income, expenses, gains and losses in respect of these financial instruments were: 2021 £’000 2020 £’000 Income Expense Gains/ (losses) Income Expense Gains/ (losses) Financial assets at amortised cost Interest on cash balances 30 - - 285 - - Financial assets at fair value through income or expenditure Actuarial gain on defined benefit scheme - - (251) - - (112) 94 Financial Statements