| Expenditure by Programme Group | Gross Expenditure 2005(€) | Net Income 2005 (€) | Net Expenditure 2005 (€) | Expenditure 2004(€) |
|---|---|---|---|---|
| Housing | 2,772,758 | 2,414,011 | 358,747 | 212,193 |
| Road Transportation and Safety | 22,652,710 | 17,704,304 | 4,948,406 | 3,754,393 |
| Water Supply and Sewerage | 5,941,611 | 1,894,808 | 4,046,803 | 3,892,485 |
| Development Incentives and Controls | 2,979,922 | 1,170,176 | 1,809,746 | 1,680,000 |
| Environmental Protection | 4,727,636 | 991,944 | 3,735,692 | 3,390,387 |
| Recreation and Amenity | 2,811,562 | 390,268 | 2,421,294 | 2,219,247 |
| Agriculture Education Health and Welfare | 4,015,745 | 3,659,566 | 356,179 | 660,228 |
| Miscellaneous Services | 5,326,061 | 3,158,407 | 2,167,654 | 2,073,972 |
| Total Expenditure/Income | 51,228,005 | 31,383,484 | ||
| Net Cost of Programmes to be funded from | ||||
| Rates and Local Government Fund | 19,844,523 | 17,882,905 | ||
| Local Government Fund | 15,161,087 | 13,910,355 | ||
| County Rates | 3,473,854 | 3,140,510 | ||
| County Demand | 2,469,600 | 2,352,000 | ||
| Surplus/(Deficit) for Year before | 1,260,018 | 1,519,960 | ||
| Transfers from/(to) Reserves | (1,120,477) | (1,409,362) | ||
| Overall Surplus/(Deficit) for Year | 139,541 | 110,598 | ||
| General Reserve at 1st January | (1,826,077) | (1,936,677) | ||
| General Reserve at 31st December | (1,686,536) | (1,826,079) | ||
| 2005 € | 2004 € | |
|---|---|---|
| Fixed Assets | ||
| Operational | 191,418,910 |
183,539,876 |
| Infrastructural | 1,400,552,301 |
1,285,276,361 |
| Community | 8,890,420 |
8,890,420 |
| Non-Operational | - |
- |
| Total | 1,600,861,631 |
1,477,706,657 |
| Work-in-Progress and Preliminary Expenses | 90,472,149 |
129,474,890 |
| Long Term Debtors | 19,802,020 |
19,623,892 |
| Current Assets | ||
| Stock | 228,774 |
184,150 |
| Trade Debtors and Prepayments | 4,735,571 |
6,549,925 |
| Bank Investments | 1,804,376 |
1,141,299 |
| Cash at Bank | 2,432,897 |
2,785,854 |
| Cash on Hand | 466 |
467 |
| Urban Account | 1,190,318 |
1,256,446 |
| Total | 10,392,402 |
11,918,141 |
| Current Liabilities | ||
| Bank Overdraft | - |
- |
| Creditors and Accruals | 6,635,594 |
6,409,671 |
| Finance Leases | - |
- |
| Total | 6,635,594 |
6,409,671 |
| Net Current Assets/(Liabilities) | 3,756,808 |
5,508,470 |
| Creditors (Amounts greater than one year) | ||
| Loans Payable | 49,995,443 |
49,156,588 |
| Finance Leases | - |
- |
| Refundable Deposits | 1,390,672 |
996,896 |
| Other | - |
- |
| Total | 51,386,115 |
50,153,484 |
| Net Assets/(Liabilities) | 1,663,506,493 |
1,582,160,425 |
| Financed By | ||
| Capitalisation Account | 1,600,861,631 |
1,477,706,657 |
| Income WIP | 65,927,844 |
132,110,758 |
| Specific Revenue Reserve | 1,103,774 |
1,707,152 |
| General Revenue Reserve | 1,686,537 |
1,826,079 |
| Other Balances | 2,700,219 |
27,538,063 |
| Total Reserves | 1,663,506,493 |
1,582,160,425 |
| Type of Transaction | 2005 | 2004 |
|---|---|---|
| Road Taxes | 52,310 | 47,741 |
| Roadworthiness Certs | 3,711 | 2,765 |
| Driving Licences | 7,275 | 8,313 |
| Miscellaneous | 1,380 | 5,945 |
| Total | 64,676 | 64,764 |
| Total Receipts | €9,887,736 | €9,467,354 |