Transparency data

Statement of changes in taxpayers equity

Updated 11 July 2016
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£'000 General Revaluation Taxpayers’
Not set Not set Not set fund reserve equity
Balance at 31 March 2014 Note Not set 221,998 61,666 283,664
Net Parliamentary funding – drawn down Not set Not set 608,926 - 608,926
Net Parliamentary funding – deemed Not set Not set 21,806 - 21,806
Consolidated Fund Standing Services – non-supply Not set Not set 96,509 - 96,509
Cash surrendable to the Consolidated Fund – consultant lobbyists’ registration fees 19 Not set -10 - -10
Supply payable adjustment 19 Not set -55,559 - -55,559
Non-voted receipts surrenderable to the Consolidated 4 Not set -307 - -307
Fund – elections forfeited deposits Not set Not set Not set Not set Not set
Comprehensive net expenditure for the year Not set Not set -666,778 - -666,778
Non-cash adjustments Not set Not set Not set Not set Not set
Adjustment – Civil Service Commission Not set Not set 34 - 34
Non-cash charges – auditors’ remuneration 3 Not set 475 - 475
Movements in Reserves Not set Not set Not set Not set Not set
Net gain on revaluation of property, plant and equipment 3, 5 Not set - 13,530 13,530
Net gain on revaluation of intangible assets 7 Not set - 78 78
Transfers between reserves Not set Not set 7,451 -7,451 -
Balance at 31 March 2015 Not set Not set 234,545 67,823 302,368
Net Parliamentary Funding – drawn down Not set Not set 418,069 - 418,069
Net Parliamentary Funding – deemed 19 Not set 55,559 - 55,559
Consolidated Fund Standing Services - non supply Not set Not set 104,523 - 104,523
Cash surrenderable to the Consolidated Fund – Consultant Lobbyists registration fees 19 Not set -160 - -160
Supply payable adjustment 19 Not set -30,283 - -30,283
Non-voted receipt surrenderable to the Consolidated 4 Not set -678 - -678
Fund – elections forfeited deposits Not set Not set Not set Not set Not set
Excess cash payable to the Consolidated Fund – elections 19 Not set -3,181 - -3,181
Comprehensive net expenditure for the year Not set Not set -581,315 - -581,315
Non-cash adjustments Not set Not set Not set Not set Not set
Adjustment – Core Department Not set Not set -26 1 -25
Non-cash charges – auditors’ remuneration 3 Not set 483 - 483
Movements in Reserves Not set Not set Not set Not set Not set
Net gain on revaluation of property, plant and equipment 3, 5 Not set - 922 922
Net gain on revaluation of intangible assets 7 Not set - 111 111
Transfers between reserves Not set Not set 2,193 -2,193 -
Balance at 31 March 2016 Not set Not set 199,729 66,664 266,393