Statement of accounts
We prepare our Statement of Accounts in compliance with the Code of Practice on Local Authority Accounting (the Code) which consist of the:
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Movement in Reserves Statement, which shows the movements in the different reserves held by us;
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Comprehensive Income and Expenditure Statement, which shows the accounting cost of service provision for the year;
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Balance Sheet, which sets out our financial position as at the end of March each year;
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Cash Flow Statement, which summarises the total movement of our funds during the year; and
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Collection Fund Accounts, these show the income and expenditure on Council Tax and National Non-Domestic Rates.
See our Draft Statement of Accounts 2021-2022 (PDF: 2Mb / 105 pages)
Previous Statement of Accounts
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Audited Statement of Accounts 2020-2021 (PDF: 2Mb / 109 pages)
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Final Audit Report Closure Certificate 2020-2021 (PDF: 312 Kb / 1 page)
Annual Governance Statement
Our Annual Governance Statement 2020-2021 (PDF: 291Kb / 15 pages) sits alongside our Statement of Account