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Financial statements

Local Authorities are required by The Building (Local Authority Charges) Regulations 2010 to publish an annual financial statement of their Building Regulations Chargeable and Non-Chargeable Account.

You can view the statements for Cardiff Council's Building Control:

Chargeable and Non-Chargeable Account Financial Statement 2023 to 2024

 

ExpenditureChargeableNon-chargeableTotal Building Regulations
Employees£541,257£185,241£726,498
Premises£72£0£72
Transport£5,799£27£5,772
Supplies and services£87,820£9,672£97,492
Third party payments£0£0£0
Support services£126,039£15,320£141,359
Depreciation and impairment losses£0£0£0
Capital financing costs (notional interest)£0£0£0
Contribution to earmarked reserves£0£0£0
Total expenditure£760,987£210,206£971,193
IncomeChargeableNon-chargeableTotal Building Regulations
Building Regulations charges£801,425£0£801,425
Other income and costs recovered£0£150,052£150,052
Total income£801,425£150,052£951,477
Surplus for the yearChargeableNon-chargeableTotal Building Regulations
Surplus£40,438£60,154£19,716
Brought forward (2022 to 2023)£175,500  
Carried forward£215,938  

 

Chargeable and Non-Chargeable Account Financial Statement 2022 to 2023

 

ExpenditureChargeableNon-chargeableTotal Building Regulations
Employees£573,019£108,215£681,234
Premises£36£12£48
Transport£4,686£108£4,578
Supplies and services£89,543£11,775£101,318
Third party payments£0£0£0
Support services£126,561£15,320£141,881
Depreciation and impairment losses£0£0£0
Capital financing costs (notional interest)£0£0£0
Contribution to earmarked reserves£0£0£0
Total expenditure£793,845£135,214£929,059
IncomeChargeableNon-chargeableTotal Buildig Regulations
Building Regulation charges£773,023£0£773,023
Other income and costs recovered£0£167,933£167,933
Total income£773,023£167,933£940,956
Surplus for the yearChargeableNon-chargeableTotal Building Regulations
Surplus£20,822£32,719£11,897
Brought forward (2021 to 2022)£196,322  
Carried forward£175,000  

 

Chargeable and Non-Chargeable Account Financial Statement 2021 to 2022

 

ExpenditureChargeableNon-chargeableTotal Building Regulations
Employees£494,964£106,284£601,248
Premises£60£0£60
Transport£6,149£14£6,,163
Supplies and services£75,761£9,177£84,938
Third party payments£0£0£0
Support services£111,255£15,320£126,575
Depreciation and impairment losses£0£0£0
Capital financing costs (notional interest)£0£0£0
Contribution to earmarked reserves£0£0£0
Total expenditure£688,189£193,725£881,914
IncomeChargeableNon-chargeableTotal Building Regulations
Building Regulations charges£835,014£0£835,014
Other income and costs recovered£449£126,509£126,958
Total income£835,463£126,509£961,972
Surplus for the yearChargeableNon-chargeableTotal Building Regulations
Surplus£147,274£67,216£80,058
Brought forward (2020 to 2021)£49,048  
Carried forward£196,322  

 

Chargeable and Non-Chargeable Account Financial Statement 2020 to 2021

 

ExpenditureChargeableNon-chargeableTotal Building Regulations
Employees£598,340£63,493£661,833
Premises£0£0£0
Transport£3,245£359£3,605
Supplies and services£50,902£7,820£58,722
Third party payments£0£0£0
Support services£101,431£15,830£117,261
Depreciation and impairment losses£0£0£0
Capital financing costs (notional interest)£0£349£349
Contribution to earmarked services£0£0£0
Total expenditure£753,918£87,852£841,769
IncomeChargeableNon-chargeableTotal Building Regulations
Building Regulations charges£717,637£0£717,637
Other income and costs recovered£0£3,128£3,128
Total income£717,637£3,128£720,765
Surplus for the yearChargeableNon-chargeableTotal Building Regulations
Surplus£36,281£84,723£121,004
Brought forward (2019 to 2020)£85,329  
Carried forward£49,048  

 

Chargeable and Non-Chargeable Account Financial Statement 2019 to 2020

 

ExpenditureChargeableNon-chargeableTotal Building Regulations
Employees£651,672£86,468£738,140
Premises£60£0£60
Transport£5,773£5,973£11,746
Supplies and services£48,476£16,673£65,149
Third party services£0£0£0
Support services£106,479£15,830£122,309
Depreciation and impairment losses£0£0£0
Capital financing costs (notional interest)£0£349£349
Contribution to earmarked reserves£0£0£0
Total expenditure£812,460£125,293£937,753
IncomeChargeableNon-chargeableTotal Building Regulations
Building Regulations charges£579,379£0£579,379
Other income and costs recovered£0£0£0
Total income£579,379£0£579,379
Surplus for the yearChargeableNon-chargeableTotal Building Regulations
Surplus