Supplier : RIMINI STREET INC

Summary
Financial Year Payments Total £
2021 1 44,226.00
2022 1 46,437.30
2023 1 48,759.16
2024 4 76,238.00
2025 3 85,386.98
Total 10 301,047.44
Showing 1 item
Date Amount £ DirectorateExpenses TypeService Area
07/12/21 44,226.00 Resources Computer Maintenance ICT Contracts