Annual Report and Accounts 2024-25
- First published
- 17 December 2025
- Last updated
- 17 December 2025 - see all updates
- Topic
- Information Management
Annual Report and Accounts reports on the business and financial activities undertaken by AiB over the last financial year
|
|
Note |
2024-25 £’000 |
2024-25 £’000 |
2023-24 £’000 |
2023- £’000 |
|||||
|
Programme costs |
||||||||||
|---|---|---|---|---|---|---|---|---|---|---|
|
Expenditure |
||||||||||
|
Staff costs |
6,009 |
|
5,776 |
|
||||||
|
Direct sequestration costs |
1,444 |
|
1,376 |
|
||||||
|
Other operating costs |
note 3 |
1,801 |
|
1,795 |
|
|||||
|
Non-cash expenditure |
note 3 |
1,356 |
|
1,206 |
|
|||||
|
Total operating expenditure |
|
10,610 |
|
10,153 |
|
|||||
|
Finance Costs |
21 |
|
23 |
|
||||||
|
Total Expenditure |
|
|
10,631 |
|
10,176 |
|||||
|
Total operating income |
|
(9,189) |
|
(9,001) |
||||||
|
Total Expenditure/(surplus) |
|
|
1,442 |
|
1,175 |
|||||
|
Net (gain)/loss on revaluation/indexation of property, plant and equipment |
|
0 |
|
(5) |
||||||
|
Comprehensive net expenditure/(income) for the year ended 31 March |
|
|
1,442 |
|
1,170 (*Restated) |
|||||
* Table note - restated due to calculation error in year 2023/24.
The notes to the accounts form part of this statement. All income and expenditure is derived from continuing operations.
|
Note |
2024-2025 £’000 |
2023-2024 £’000 |
|
|
Non-current assets: |
|
|
|
|
Property, plant and equipment |
631 |
332 |
|
|
Intangible assets |
1,531 |
2,270 |
|
|
Right of Use Assets |
2,041 |
2,234 |
|
|
Total non-current assets |
|
4,203 |
4,836 |
|
Current assets: |
|
|
|
|
Trade and other receivables |
762 |
1,081 |
|
|
Cash and cash equivalents |
956 |
744 |
|
|
Total current assets |
|
1,718 |
1,825 |
|
Total assets |
|
5,921 |
6,661 |
|
Current liabilities: |
|
|
|
|
Trade and other payables |
(999) |
(762) |
|
|
Finance Lease Liability |
(187) |
(185) |
|
|
Provisions |
(95) |
(75) |
|
|
Total current liabilities |
|
(1,281) |
(1,022) |
|
Total assets less current liabilities |
|
4,640 |
5,639 |
|
Non-current liabilities: |
|||
|
Finance Lease Liability |
(1,920) |
(2,110) |
|
|
Total non-current liabilities |
|
(1,920) |
(2,110) |
|
Total assets less total liabilities |
|
2,720 |
3,529 |
|
Taxpayers' equity and other reserves |
|
|
|
|
General fund |
2,714 |
3,513 |
|
|
Revaluation reserve |
6 |
16 |
|
|
Total equity |
|
2,720 |
3,529 |
The notes to the accounts form part of this statement.
The Accountable Officer authorised these statements for issue on 26 November 2025.
end of section
![]()
Dr Richard Dennis
Accountable Officer
26 November 2025
|
|
Note |
2024-25 £’000 |
2023-24 £’000 |
|---|---|---|---|
| Cashflows from operating activities | |||
|
Total surplus/(expenditure) |
(1,442) |
(1,175) |
|
|
Adjustments for non-cash transactions |
1,356 |
1,206 |
|
|
(Increase)/decrease in trade and other receivables |
319 |
7 |
|
|
Increase/(decrease) in trade and other payables |
179 |
35 |
|
|
Increase/(decrease) in provisions |
20 |
75 |
|
|
Net cash inflow/(outflow) from operating activities |
|
432 |
148 |
|
Cashflows from investing activities |
|||
|
Purchase of property, plant and equipment |
(413) |
(71) |
|
|
Purchase of intangible assets |
(255) |
(663) |
|
|
Disposal of intangible assets |
0 |
3 |
|
|
Disposal of PPE |
0 |
8 |
|
|
Increase/(decrease) in capital accruals |
55 |
(293) |
|
|
Net cash inflow/(outflow) from investing activities |
|
(613) |
(1,016) |
|
Cashflows from financing activities |
|||
|
Lease |
|||
|
Repayment of principle on right of use asset |
|
(206) |
(206) |
|
Right of use asset finance charge |
|
21 |
23 |
|
Total |
|
(185) |
(183) |
|
Scottish Consolidated Fund |
|||
|
Finance to Scottish Consolidated Fund |
|
(10,348) |
(9,131) |
|
Finance from Scottish Consolidated Fund |
|
10,926 |
10,102 |
|
Net from Scottish Consolidated Fund |
578 |
971 |
|
|
Net cash inflow/(outflow) from financing activities |
|
393 |
788 |
|
Net increase/(decrease) in cash and cash equivalents |
|
212 |
(80) |
|
Cash and cash equivalents at the beginning of the period |
744 |
824 |
|
|
Net increase/(decrease) in cash and cash equivalents in Year |
|
212 |
(80) |
|
Cash and cash equivalents at the end of the period |
956 |
744 |
|
|
|
General fund £’000 |
Revaluation reserve £’000 |
Total £’000 |
|
|---|---|---|---|---|
| Balance at 1 April 2024 | 3,513 | 16 | 3,529 | |
| Changes in taxpayers' equity for 2024-25 | ||||
| Net gain on revaluation/indexation of property, plant and equipment | note 5 note 6 | 0 | 0 | 0 |
| Non-cash charges - auditor's remuneration | note 3 | 55 | 0 | 55 |
| Net operating surplus for the year | SoCNE | (1,442) | 0 | (1,442) |
| Parliamentary funding | 578 | 0 | 578 | |
| Adj to Revaluation Reserve for Excess Depreciation | 10 | (10) | 0 | |
| Balance at 31 March 2025 | 2,714 | 6 | 2,720 | |
Statement of changes in taxpayers equity for the year ended 31 March 2024 |
||||
| Balance at 1 April 2023 | 3,657 | 21 | 3,678 | |
| Changes in taxpayers' equity for 2023-24 | ||||
| Net gain on revaluation/indexation of property, plant and equipment | note 5 note 6 | 0 | 5 | 5 |
| Non-cash charges - auditor's remuneration | note 3 | 50 | 0 | 50 |
| Net operating surplus for the year | SoCNE | (1,175) | 0 | (1,175) |
| Parliamentary funding | 971 | 0 | 971 | |
| Adj to Revaluation Reserve for Excess Depreciation | 10 | (10) | 0 | |
| Balance at 31 March 2024 | 3,513 | 16 | 3,529 | |
The notes to the accounts form part of this statement
- First published
- Wednesday, 17 December 2025
- Last updated
- Wednesday, 17 December 2025 - show all updates
- All updates
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2024-25 annual report and accounts published on website.
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