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Statement of Comprehensive Net Expenditure
for the year ended 31 March 2025

 

Note

2024-25
£000

2023-24
£000

Revenue from contracts with customers

4

(830)

(1,330)

Other operating income

4

(50,932)

(47,224)

Total operating income

 

(51,762)

(48,554)

Staff costs

3

493,859

501,493

Prosecution costs

3

257,864

232,856

Purchase of goods and services

3

94,107

84,977

Depreciation and impairment charges

3

20,033

27,003

Provision expense

3

(301)

(655)

Other operating expenditure

3

14,084

17,198

Total operating expenditure

 

879,646

862,872

Net operating expenditure

 

827,884

814,318

Finance expense

3

2,467

172

Net expenditure for the year

 

830,351

814,490

Other comprehensive net expenditure:

 

 

 

Items that will not be reclassified to net operating costs:

 

 

 

– Net gain on revaluation of property, plant and equipment

5

(556)

(127)

– Net gain on revaluation of intangible assets

7

(278)

(703)

Comprehensive net expenditure for the year

 

829,517

813,660

The notes form part of these accounts

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