1. Financial information
Please see below the financial information for the year 2021/22 that local authorities are legally required to provide to comply with Part 2 of the Local Government Transparency Code 2014. We only manage and enforce Off Street car parks. Please note this account is reported ‘Net’ after deduction of 20% VAT from all qualifying income and expenditure.
Expenditure |
(1,436,321) |
---|---|
PCN Income (subject to section 55 of the Road Traffic Act) |
32,171 |
Deficit: |
(1,404,150) |
Off Street “pay and display” revenue |
3,036,095 |
Other Off Street revenue (permits, pay by phone, rentals etc) |
674,972 |
Total (balance to general fund) |
2,306,917 |
The surplus to the general fund is used to help support other council services.
We manage 5,216 car park spaces. There are 5,051 spaces that require payment and 165 free spaces.