Aquatic Services

Aquatic Services April 2025 YTD Actual ($'000) April 2025 YTD Q2 Budget ($'000) Variance Better/Worse ($'000) Variance Better/Worse (%) Q2 Budget ($000) Q1 Budget ($000) Adopted Budget ($000) Commentary
Income from Continuing Operations
General Revenue - - - n/a - - -
User Charges & Fees 19,438 17,542 1,896 10.8% 21,373 20,426 20,426 higher utilisation in Learn to Swim and Health & Fitness
Other Income 389 423 (34) (8.0)% 501 501 501
Profit or (Loss) on Disposal - - - n/a - - -
Total Income 19,827 17,965 1,862 10.4% 21,874 20,927 20,927
Expenses from Continuing Operations
Employee Costs 12,811 12,776 (35) (0.3)% 15,201 14,938 14,937
Borrowing Costs 525 597 72 12.0% 715 715 715
Materials & Services 4,929 4,780 (149) (3.1)% 5,780 5,096 5,096 Aquatics centres maintenance
Other Expenses 44 35 (9) (27.0)% 35 35 35
Depreciation & Amortisation 2,098 2,099 1 0.1% 2,519 2,519 2,322
Total Expense 20,408 20,287 (121) (0.6)% 24,250 23,302 23,106
Total Surplus/(Deficit) before Funding (581) (2,322) 1,741 75.0% (2,376) (2,375) (2,179)
Operating Grants & Contributions
Operating Grants - - - n/a - - -
Total Surplus/(Deficit) after Operating Grants (581) (2,322) 1,741 75.0% (2,376) (2,375) (2,179)
Funding Contributions & Overhead Allocations
Capital Grants & Contributions - - - n/a - - -
Overhead Allocation (2,888) (3,054) 166 5.4% (3,665) (3,668) (3,654)
Funding from/(to) Restricted Funds (1,526) 597 (2,123) <-100% 715 715 715
Funding from/(to) General Funds 4,995 4,779 216 4.5% 5,325 5,328 5,117
Total Surplus/(Deficit) after Capital Grants, Contributions & Funding - - - n/a - - -

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Page last updated: 14 May 2025