The Income and Expenditure Account Statement brings together all the revenue related income and expenditure. It shows the surplus/(deficit) for the year.
| EXPENDITURE BY DIVISION | NOTES | GROSS EXPENDITURE 2008 | INCOME 2008 | NET EXPENDITURE 2008 | NET EXPENDITURE 2007 |
|---|---|---|---|---|---|
| Housing & Building | €5,433,916 | €4,545,792 | €888,124 | €258,668 | |
| Roads Transportation & Safety | €22,596,301 | €18,673,821 | €3,922,480 | €6,157,301 | |
| Water Services | €9,866,891 | €4,581,413 | €5,285,478 | €4,112,065 | |
| Development Management | €5,366,782 | €1,664,585 | €3,702,198 | €2,623,854 | |
| Environmental Services | €6,787,821 | €1,656,306 | €5,131,515 | €4,646,439 | |
| Recreation & Amenity | €4,002,131 | €375,786 | €3,626,345 | €3,182,446 | |
| Agriculture, Education, Health & Welfare | €5,444,117 | €4,950,995 | €493,122 | €957,714 | |
| Miscellaneous Services | €6,145,167 | €3,199,879 | €2,945,287 | €2,945,287 €1,346,190 | |
| - | - | - | - | ||
| Total Expenditure/Income | 16 | 16 €65,643,126 | €39,648,577 | ||
| Net cost of Divisions to be funded from Rates & Local Government Fund | €25,994,549 | €23,284,677 | |||
| Rates | €4,700,580 | €4,139,340 | |||
| Local Government Fund - General Purpose Grant | €18,731,673 | €17,773,150 | |||
| County Charge | €3,281,063 | €2,985,499 | |||
| Surplus/(Deficit) for Year before Transfers | 17 | €718,766 | €1,613,311 | ||
| Transfers from/(to) Reserves | 15 | (€2,357,131) | (€1,584,356) | ||
| Overall Surplus/(Deficit) for Year | (€1,638,365) | €28,956 | |||
| General Reserve @ 1st January 2008 | (€1,469,501) | (€1,498,457) | |||
| General Reserve @ 31st December 2008 | (€3,107,866) | (€1,469,501) |
| NOTES | 2008 | 2007 | |
|---|---|---|---|
| FIXED ASSETS | 1 | ||
| Operational | €214,259,057 | €210,533,700 | |
| Infrastructural | €1,392,357,995 | €1,391,990,642 | |
| Community | €8,900,308 | €8,890,420 | |
| Non-Operational | - | - | |
| €1,615,517,360 | €1,611,414,762 | ||
| WORK IN PROGRESS AND PRELIMINARY EXPENSES | 2 | €122,254,811 | €95,885,305 |
| Long Term Debtors | 3 | €18,799,493 | €20,002,792 |
| Current Assets | |||
| Stocks | 4 | €200,367 | €260,413 |
| Trade Debtors & Prepayments | 5 | €15,611,722 | €18,519,788 |
| Bank Investments | €2,856,327 | €2,759,873 | |
| Cash at Bank | - | €88,680 | |
| Cash on Hand | €1,498 | €1,499 | |
| Urban Account | 7 | €991,931 | €1,058,060 |
| €19,661,846 | €22,688,313 | ||
| CURRENT LIABILITIES (AMOUNTS FALLING DUE WITHIN ONE YEAR) | |||
| Bank Overdraft | €9,561,660 | - | |
| Creditors & Accruals | 6 | €13,712,745 | €13,066,433 |
| Urban Account | 7 | - | - |
| Finance Lease | €119,087 | €119,087 | |
| €23,393,492 | €13,185,520 | ||
| NET CURRENT ASSETS / (LIABILITIES) | (€3,731,646) | €9,502,793 | |
| Creditors (Amounts falling due after more than one year) | |||
| Loans Payable | 8 | €57,118,747 | €55,310,645 |
| Finance Leases | €439,949 | €476,351 | |
| Refundable deposits | 9 | €1,841,667 | €1,847,378 |
| Other | 0 | 0 | |
| €59,400,363 | €57,634,374 | ||
| NET ASSETS | €1,693,439,654 | €1,679,171,279 | |
| FINANCED BY | |||
| Capitalisation Account | 10 | €1,615,517,355 | €1,611,414,762 |
| Income WIP | 2 | €117,114,410 | €94,511,665 |
| Specific Revenue Reserve | €1,103,774 | €1,103,774 | |
| General Revenue Reserve | (€3,107,866) | (€1,469,501) | |
| Other Balances | 11 | (€37,188,019) | (€26,389,422) |
| TOTAL RESERVES | €1,693,439,654 | €1,679,171,278 |