Corporate report

Statement of Comprehensive Net Income for the period ended 31 March 2022

Published 9 June 2022

Note 2021-22 £000 2020-21 £000
Income from sale of goods and services 5 (284,664) (262,104)
Other operating income 5 (6,569) (6,529)
Total operating income   (291,233) (268,633)
Staff costs 2 204,107 197,596
Purchase of goods and services 3 19,593 17,918
Rentals under operating leases 3 9,256 8,038
Non-cash costs 3 2,914 3,120
Disbursements 4 43,348 37,972
Total operating expenditure   279,218 264,644
Net operating income   (12,015) (3,989)
Total comprehensive income for the year   (12,015) (3,989)

All income and expenditure is derived from continuing operations.

The Notes form part of these Accounts.