Directorate : Corporate Items

Summary
Financial Year Payments Total £
2020 1 287.04
2021 1,957 60,861,060.78
2022 1,990 29,765,648.67
2023 1,752 32,767,066.23
2024 2,158 36,111,656.61
2025 2,254 37,794,769.56
Total 10,112 197,300,488.89
Showing 3,871 to 3,900 of 10,112 items
Date Amount £ SupplierExpenses TypeService Area
08/02/23 4,851.60 WIGHT HOME CARE Order Settlement to Bal Sht GL Balance Sheet
10/05/23 4,851.60 APEX PRIME CARE Order Settlement to Bal Sht GL Balance Sheet
07/07/21 4,851.12 JHN HEALTHCARE Order Settlement to Bal Sht GL Balance Sheet
05/11/25 4,844.84 NEW WAVE CARE GROUP LTD Order Settlement to Bal Sht GL Balance Sheet
29/10/25 4,844.84 NEW WAVE CARE GROUP LTD Order Settlement to Bal Sht GL Balance Sheet
25/01/23 4,841.20 WIGHT HOME CARE Order Settlement to Bal Sht GL Balance Sheet
27/11/24 4,836.00 APEX PRIME CARE Order Settlement to Bal Sht GL Balance Sheet
12/06/24 4,836.00 GREENCOTE LTD T/A BLUEBIRD Order Settlement to Bal Sht GL Balance Sheet
31/12/24 4,835.55 UNISON Unison Subs Pay Deductions Balance Sheet
01/03/23 4,830.80 APEX PRIME CARE Order Settlement to Bal Sht GL Balance Sheet
31/12/24 4,828.20 UNISON Unison Subs Pay Deductions Balance Sheet
19/07/23 4,827.48 MARSH LTD Insurance Premiums Paid Insurance Renewals Suspense
09/02/22 4,826.10 UNISON Unison Subs Pay Deductions Balance Sheet
19/10/22 4,824.12 REGARD PARTNERSHIP Order Settlement to Bal Sht GL Balance Sheet
12/10/22 4,824.12 REGARD PARTNERSHIP Order Settlement to Bal Sht GL Balance Sheet
05/10/22 4,824.12 REGARD PARTNERSHIP Order Settlement to Bal Sht GL Balance Sheet
07/02/24 4,819.28 APEX PRIME CARE [SBR] Order Settlement to Bal Sht GL Balance Sheet
25/02/26 4,814.52 PACIFIC CARE SERVICES LIMITED Order Settlement to Bal Sht GL Balance Sheet
31/01/24 4,813.65 APEX PRIME CARE Order Settlement to Bal Sht GL Balance Sheet
12/07/23 4,813.65 APEX PRIME CARE Order Settlement to Bal Sht GL Balance Sheet
08/12/23 4,809.35 UNISON Unison Subs Pay Deductions Balance Sheet
12/04/24 4,809.30 UNISON Unison Subs Pay Deductions Balance Sheet
18/06/25 4,808.16 GOOD OAKS HOMECARE ISLE OF WIGHT Order Settlement to Bal Sht GL Balance Sheet
17/08/22 4,808.01 YARMOUTH (IW) HARBOUR COMMISSIONERS CP Pier Sq Yarmouth Income Holding AC Balance Sheet
09/03/22 4,803.60 UNISON Unison Subs Pay Deductions Balance Sheet
03/07/24 4,800.00 GREENCOTE LTD T/A BLUEBIRD Order Settlement to Bal Sht GL Balance Sheet
24/07/24 4,800.00 GREENCOTE LTD T/A BLUEBIRD Order Settlement to Bal Sht GL Balance Sheet
14/02/24 4,799.80 UNISON Unison Subs Pay Deductions Balance Sheet
14/04/22 4,792.10 REDACTED PERSONAL DATA Order Settlement to Bal Sht GL Balance Sheet
03/07/24 4,788.83 OSEL ENTERPRISES LIMITED Order Settlement to Bal Sht GL Balance Sheet