Group Income Statement
for the year ended 31 December 2022
Notes |
2022 |
2021 |
|
€’000 |
€’000 |
||
Continuing Operations |
|||
Revenue |
347,695 |
344,473 |
|
Operating costs (before depreciation, amortisation, gain on disposal of assets) |
(339,288) |
(331,345) |
|
EBITDA1 before gain on disposal of assets |
8,407 |
13,128 |
|
Net depreciation and amortisation |
(11,765) |
(11,654) |
|
Gain on disposal of assets |
12 |
73 |
|
Gain on disposal of investments |
36 |
- |
|
(Loss)/ Gain from Operating Activities |
(3,310) |
1,547 |
|
Finance income |
2,136 |
2,620 |
|
Finance expense |
(1,816) |
(1,401) |
|
(Deficit)/ Surplus before Income Tax |
(2,990) |
2,766 |
|
Income tax credit/(expense) |
197 |
(407) |
|
(Deficit) /Surplus for the Year |
(2,793) |
2,359 |
1 EBITDA: Earnings (operating profit) before interest, tax, depreciation and amortisation