Inner West Council

IWC March 2025 YTD Actual ($'000) March 2025 Q2 Budget ($000) Variance Better/(Worse) ($000) Variance Better/(Worse) (%) Q2 Budget ($000) Q1 Budget ($000) Adopted Budget ($000)
Income from Continuing Operations
General Revenue 137,503 134,756 2,747 2.0% 181,952 181,952 181,952
User Charges & Fees 49,891 47,459 2,431 5.1% 64,191 61,102 60,913
Other Income 34,337 30,961 3,376 10.9% 43,149 41,798 39,487
Profit or (Loss) on Disposal 519 (442) 961 >100% (718) (1,109) (1,109)
Total Income 222,251 212,735 9,516 4.5% 288,573 283,742 281,242
Expenses from Continuing Operations
Employee Costs 115,540 118,634 3,094 2.6% 150,772 149,517 149,127
Borrowing Costs 536 544 8 1.4% 723 723 723
Materials & Services 80,568 73,639 (6,928) (9.4)% 104,611 99,736 95,584
Other Expenses 11,124 10,539 (584) (5.5)% 13,276 13,151 13,672
Depreciation & Amortisation 28,353 28,578 225 0.8% 38,104 38,104 34,204
Total Expense 236,121 231,934 (4,187) (1.8)% 307,487 301,231 293,311
Total Surplus/(Deficit) before Funding (13,870) (19,199) 5,329 27.8% (18,914) (17,489) (12,069)
Operating Grants & Contributions
Operating Grants 7,603 5,138 2,466 48.0% 15,860 12,905 10,353
Total Surplus/(Deficit) after Operating Grants (6,267) (14,062) 7,795 55.4% (3,053) (4,585) (1,716)
Funding Contributions & Overhead Allocations
Capital Grants & Contributions 20,200 27,176 (6,976) (25.7)% 62,239 44,798 40,576
Overhead Allocation (26) 0 (26) <-100% 0 0 0
Funding from/(to) Restricted Funds (28,423) (8,154) (20,269) <-100% (73,571) (53,005) (50,409)
Funding from/(to) General Funds 14,516 (4,960) (19,477) <-100% 14,385 12,791 11,549
Total Surplus/(Deficit) after Capital Grants, Contributions & Funding - - - n/a - - -

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Page last updated: 11 Apr 2025