Aquatic Services

Aquatic Services March 2024 YTD Actual ($'000) March 2024 YTD Budget ($'000) Variance Better/Worse ($'000) Variance Better/Worse (%) 2023/24 QBRS Q2 Budget ($000) 2023/24 Adopted Budget ($000) Commentary
Income from Continuing Operations
General Revenue - - - n/a - -
User Charges & Fees 15,499 14,628 871 6.0% 19,197 19,197 High utilisation across Aquatic services provided to the community
Other Income 244 303 (58) (19.2)% 407 417
Profit or (Loss) on Disposal - - - n/a - -
Total Income 15,744 14,930 813 5.4% 19,605 19,615
Expenses from Continuing Operations
Employee Costs 10,374 10,566 192 1.8% 13,813 13,829
Borrowing Costs 560 572 12 2.1% 758 758
Materials & Services 4,652 3,783 (869) (23.0)% 5,016 4,886 Higher than expected maintenance on Council facilities.
Other Expenses 28 35 7 18.6% 35 35
Depreciation & Amortisation 1,752 1,810 58 3.2% 2,414 2,414
Total Expense 17,367 16,766 (601) (3.6)% 22,035 21,922
Total Surplus/(Deficit) before Funding (1,623) (1,836) 212 11.6% (2,431) (2,307)
Operating Grants & Contributions
Operating Grants - - - n/a - -
Total Surplus/(Deficit) after Operating Grants (1,623) (1,836) 212 11.6% (2,431) (2,307)
Funding Contributions & Overhead Allocations
Capital Grants & Contributions - - - n/a - -
Overhead Allocation (2,743) (2,371) (372) (15.7)% (3,161) (3,775)
Funding from/(to) Restricted Funds (1,193) 569 (1,761) <-100% 754 754
Funding from/(to) General Funds 5,559 3,638 1,921 52.8% 4,838 5,328
Total Surplus/(Deficit) after Capital Grants, Contributions & Funding - - - n/a - -

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Page last updated: 16 Apr 2024