Statement of Comprehensive Net Expenditure
for the year ended 31 March 2025
Note | 2024-25 | 2023-24 | |
|---|---|---|---|
| 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