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.