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Finance Department

INCOME AND EXPENDITURE ACCOUNT STATEMENT FOR YEAR ENDING 31st DECEMBER 2008

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 DIVISIONNOTESGROSS EXPENDITURE 2008INCOME 2008NET EXPENDITURE 2008NET 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)


BALANCE SHEET AT 31st DECEMBER 2008

 NOTES20082007
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