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Restated Consolidated Statement of Comprehensive Net Expenditure continued

Updated 27 August 2020
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 £000 2018-19 Published Accounts Reclass- Machinery of Government transfers 2018-19 Restated Accounts
Not set Not set ifications Elimin- GEO EHRC DExEU ODI Not set
Not set Not set Not set ations Not set Not set Not set Not set Not set
Revenue from contracts with customers -365,953 -795 10,302 -58 -356,504
Other operating income -107,155 795 1,634 -5 -289 -105,020
Non-cash income -7,957 -7,957
Total operating income -481,065 11,936 -63 -289 -469,481
Staff costs 411,392 -5,571 7,465 11,497 48,854 850 474,487
Grants 20,121 -18,669 22,162 218 23,832
Purchase of goods and services 469,122 -4,873 6,044 5,658 22,033 65 498,049
Rentals under operating leases 64,732 -1,634 1 646 7,907 71,652
Geospatial data 80,875 80,875
Other 480 480
Returning Officers’ expenses, England, Wales and Scotland -291 -291
Depreciation, impairment and property gains 48,088 427 365 48,880
Provisions and other non-cash costs -13,160 63 106 -12,991
Total operating expenditure 1,081,359 -30,747 35,672 18,509 79,265 915 1,184,973
Net operating expenditure 600,294 -18,811 35,609 18,220 79,265 915 715,492
Finance income -2 Not set -2
Finance expenditure 78 78
Finance expenditure - non-cash interest cost on pension scheme liabilities  37 37
Net finance expenditure 76 37 113
Share of associates results (non-cash) -17,025 -17,025
Fair value gain on financial assets – associate put options (non-cash) -71,948 -71,948
Net associates (non-cash) -88,973 -88,973
Net expenditure for the year 511,397 -18,811 35,609 18,257 79,265 915 626,632
Net loss / (gain) on revaluation of property, plant and equipment -12,395 182 -12,213
Net loss / (gain) on revaluation of intangible assets -835 -1 -836
Net loss / (gain) on pension scheme liabilities -5 -5
Comprehensive net expenditure for the year 498,167 -18,811 35,609 18,434 79,265 915 613,578