Aquatic Services

Aquatic Services November 2024 YTD Actual ($'000) November 2024 YTD Q1 Budget ($'000) Variance Better/Worse ($'000) Variance Better/Worse (%) 2024/25 Q1 Budget ($000) 2024/25 Original Budget ($000) Commentary
Income from Continuing Operations
General Revenue - - - n/a - -
User Charges & Fees 9,095 8,283 812 9.8% 20,426 20,426 Higher Leisure Centre income
Other Income 218 224 (6) (2.7)% 501 501
Profit or (Loss) on Disposal - - - n/a - -
Total Income 9,313 8,507 806 9.5% 20,927 20,927
Expenses from Continuing Operations
Employee Costs 6,310 6,108 (203) (3.3)% 14,938 14,937
Borrowing Costs 295 304 8 2.7% 715 715
Materials & Services 2,264 2,080 (183) (8.8)% 5,096 5,096 Aquatics centres maintenance
Other Expenses 30 - (30) n/a 35 35
Depreciation & Amortisation 1,056 1,049 (6) (0.6)% 2,519 2,322
Total Expense 9,955 9,541 (414) (4.3)% 23,302 23,106
Total Surplus/(Deficit) before Funding (643) (1,034) 391 37.8% (2,375) (2,179)
Operating Grants & Contributions
Operating Grants - - - n/a - -
Total Surplus/(Deficit) after Operating Grants (643) (1,034) 391 37.8% (2,375) (2,179)
Funding Contributions & Overhead Allocations
Capital Grants & Contributions - - - n/a - -
Overhead Allocation (1,254) (1,528) 275 18.0% (3,668) (3,654)
Funding from/(to) Restricted Funds (778) 304 (1,082) <-100% 715 715
Funding from/(to) General Funds 2,674 2,259 416 18.4% 5,328 5,117
Total Surplus/(Deficit) after Capital Grants, Contributions & Funding - - - n/a - -

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Page last updated: 10 Dec 2024