University Hospitals Sussex NHS Foundation Trust - Expenditure over £25k - April 2022,,,,, ,,,,, Invoice No,Posted Date,Supplier Name,Expense Type,Expense Area,Distribution Amount (GBP) 1008017,26/04/2022,LAING O'ROURKE CONSTRUCTION SOUTH LTD,Additions - AUC B,Total Balance Sheet Cost Centres,"£6,297,337.13" TAX AND NIC MARCH 2022,19/04/2022,HM REVENUE & CUSTOMS,Tax & Soc Security Costs < 1 yr,Total Balance Sheet Cost Centres,"£5,514,300.07" TAX AND NIC MARCH 2022,19/04/2022,HM REVENUE & CUSTOMS,Tax < One Year,Total Balance Sheet Cost Centres,"£5,435,298.09" TAX AND NIC March 2022,19/04/2022,HM REVENUE & CUSTOMS,Tax & Soc Security Costs < 1 yr,Total Balance Sheet Cost Centres,"£4,584,700.82" TAX AND NIC March 2022,19/04/2022,HM REVENUE & CUSTOMS,Tax < One Year,Total Balance Sheet Cost Centres,"£4,532,994.90" 4947,05/04/2022,PHARM@SEA LTD,Drugs,Divisional Services,"£1,765,822.23" 22040336,29/04/2022,Morgan Sindall Construction & Infrastructure Ltd,Additions - AUC B,Total Balance Sheet Cost Centres,"£839,635.80" 2005241,26/04/2022,LAING O'ROURKE CONSTRUCTION SOUTH LTD,Additions - AUC B,Total Balance Sheet Cost Centres,"£792,817.36" 2100186996,01/04/2022,INSIGHT DIRECT (UK) LTD,Additions - AUC IT ,Total Balance Sheet Cost Centres,"£688,335.60" 1122243632,17/04/2022,NHS LOGISTICS AUTHORITY,M&S Equipment : General,Financial Central Services,"£655,870.73" 1123005141,11/04/2022,NHS LOGISTICS AUTHORITY,M&S Equipment : General,Financial Central Services,"£610,153.98" LCM1132,29/04/2022,MCBAINS LIMITED,Additions - AUC B,Total Balance Sheet Cost Centres,"£600,656.40" U0148288,06/04/2022,UNIVERSITY OF BRIGHTON,Training Expenses,Corporate Services,"£522,238.00" 1123014024,26/04/2022,NHS LOGISTICS AUTHORITY,M&S Equipment : General,Financial Central Services,"£515,375.60" 08002164,01/04/2022,WILLMOTT DIXON CONSTRUCTION LIMITED,Additions - AUC B,Total Balance Sheet Cost Centres,"£506,342.32" DI98208493,12/04/2022,CHICHESTER DISTRICT COUNCIL,Rates,Corporate Services,"£435,854.33" 1122248822,11/04/2022,NHS LOGISTICS AUTHORITY,M&S Equipment : General,Financial Central Services,"£326,867.28" 4948,05/04/2022,PHARM@SEA LTD,Drugs,Divisional Services,"£325,901.67" 1123000303,11/04/2022,NHS LOGISTICS AUTHORITY,M&S Equipment : General,Financial Central Services,"£311,049.12" DU/0006472,29/04/2022,KANNEGIESSER UK LIMITED,Additions - AUC B,Total Balance Sheet Cost Centres,"£290,613.55" INV03407266,21/04/2022,SOFTCAT PLC,Additions - AUC IT ,Total Balance Sheet Cost Centres,"£247,018.78" INV03396221,06/04/2022,SOFTCAT PLC,Additions - AUC IT ,Total Balance Sheet Cost Centres,"£239,873.40" 11092GP22 / 00000lPRM,21/04/2022,WILLIS LTD,Insurance Costs,Financial Central Services,"£222,999.84" GMINVTL/38006783,26/04/2022,WORKMAN LLP,Lease Charges,Corporate Services,"£205,755.35" S5731OCT21,21/04/2022,CIRCLE HEALTH GROUP,Commercial Sector,Divisional Services,"£204,386.82" S5731NOV21,21/04/2022,CIRCLE HEALTH GROUP,Commercial Sector,Divisional Services,"£171,629.12" FPSC003416,14/04/2022,NUFFIELD HEALTH,Commercial Sector,Divisional Services,"£164,614.00" 08002210,27/04/2022,WILLMOTT DIXON CONSTRUCTION LIMITED,Additions - AUC B,Total Balance Sheet Cost Centres,"£161,968.44" SIOP/06785,06/04/2022,OPTIVO,Rent,Divisional Services,"£157,797.12" CAPL-22-10,20/04/2022,KAJIMA,PFI Commitments > 1 Year,Total Balance Sheet Cost Centres,"£154,680.92" INV34212101274,12/04/2022,CLINISYS SOLUTIONS LTD,Computer Maintenance,Divisional Services,"£150,691.93" 4487210000/000011682901,08/04/2022,EDF ENERGY LTD,Electricity,Divisional Services,"£145,796.29" 031589,04/04/2022,SYSTEM C HEALTHCARE LTD,Additions - AUC IT ,Total Balance Sheet Cost Centres,"£140,000.00" 4487210000/000011977277,13/04/2022,EDF ENERGY LTD,Electricity,Divisional Services,"£139,254.99" INV03396121,06/04/2022,SOFTCAT PLC,Additions - AUC IT ,Total Balance Sheet Cost Centres,"£134,098.20" 4487210000/000011750901,08/04/2022,EDF ENERGY LTD,Electricity,Divisional Services,"£131,259.09" 4097210000/000011975824,13/04/2022,EDF ENERGY LTD,Electricity,Divisional Services,"£128,331.85" 994045213,13/04/2022,CSL BEHRING LTD,Drugs,Divisional Services,"£127,000.00" CAPL-22-10,20/04/2022,KAJIMA,PFI contingent rent,Financial Central Services,"£125,083.96" 751717594 A,11/04/2022,ABBOTT LABORATORIES LTD,Laboratory Reagents,Divisional Services,"£118,417.85" INV03400863,11/04/2022,SOFTCAT PLC,Additions - AUC IT ,Total Balance Sheet Cost Centres,"£116,897.23" CAPL-22-10,20/04/2022,KAJIMA,PFI interest,Financial Central Services,"£116,640.42" AML-195337,08/04/2022,ALLIANCE MEDICAL LTD,Commercial Sector,Divisional Services,"£115,523.83" 4097210000/000011740173,06/04/2022,EDF ENERGY LTD,Electricity,Divisional Services,"£112,163.96" 1322236527,27/04/2022,ROCHE PRODUCTS LTD,Drugs,Divisional Services,"£109,980.00" 2123000577,26/04/2022,NHS SUPPLY CHAIN,Contract : Estates Management,Divisional Services,"£108,527.15" CAPL-22-10,20/04/2022,KAJIMA,VAT Debtor < one year,Total Balance Sheet Cost Centres,"£105,918.06" 0000040564,22/04/2022,NEW TECH SECURITY LTD,Contract : Premises Security,Divisional Services,"£105,739.20" 08002168,01/04/2022,WILLMOTT DIXON CONSTRUCTION LIMITED,Additions - AUC B,Total Balance Sheet Cost Centres,"£105,077.23" 08002213,28/04/2022,WILLMOTT DIXON CONSTRUCTION LIMITED,Additions - AUC B,Total Balance Sheet Cost Centres,"£101,668.80" FSGBP20186,11/04/2022,FRESHWORKS INC,Computer Maintenance,Corporate Services,"£99,996.04" INUK-001735796,06/04/2022,HEALTHCARE AT HOME LTD,Drugs,Divisional Services,"£96,876.00" 103262,11/04/2022,SALISBURY TRADING LIMITED,Bedding & Linen Non-Disp.,Divisional Services,"£95,348.64" 2022-04,11/04/2022,BUSINESS STREAM,Water,Divisional Services,"£93,362.99" 17135,06/04/2022,MEDICA REPORTING LTD,Commercial Sector,Divisional Services,"£91,962.00" 906023,05/04/2022,BYTES TECHNOLOGY GROUP LTD,Computer Maintenance,Corporate Services,"£91,076.52" 5774676A,01/04/2022,PEOPLE SOURCE CONSULTING,Additions - AUC IT ,Total Balance Sheet Cost Centres,"£90,000.00" CAPL-22-10,20/04/2022,KAJIMA,Contract : Other External,Corporate Services,"£87,697.50" 1457210000/000011984883,25/04/2022,EDF ENERGY LTD,Electricity,Divisional Services,"£83,863.22" 2123000154,14/04/2022,NHS SUPPLY CHAIN,Other Equipment Maint. Contracts,Divisional Services,"£83,071.04" 0000153973,05/04/2022,EAST SUSSEX HOSPITALS NHS TRUST,Laboratory External Tests,Divisional Services,"£81,720.01" INV03396122,07/04/2022,SOFTCAT PLC,Additions - AUC IT ,Total Balance Sheet Cost Centres,"£80,728.66" 0000040600,26/04/2022,NEW TECH SECURITY LTD,Contract : Premises Security,Divisional Services,"£79,803.60" 11148224,19/04/2022,SUSSEX COMMUNITY NHS FOUNDATION TRUST,Healthcare - Other NHS Bodies,Divisional Services,"£79,368.75" 351803,13/04/2022,DIAVERUM FACILITIES MANAGEMENT LTD,Dialysis Fluids,Divisional Services,"£79,282.50" 0000196060,07/04/2022,LAUNCH DIAGNOSTICS LTD,Laboratory Chemicals,Divisional Services,"£79,071.60" 0000196064,06/04/2022,LAUNCH DIAGNOSTICS LTD,Laboratory Chemicals,Divisional Services,"£79,071.60" SINV5481536,25/04/2022,LLOYDSPHARMACY CLINICAL HOMECARE,WSHT Wellsky Pharmacy Stock,Total Balance Sheet Cost Centres,"£78,415.69" 5059114439/000011981916,25/04/2022,EDF ENERGY LTD,Electricity,Divisional Services,"£77,724.78" 0000152680,05/04/2022,EAST SUSSEX HOSPITALS NHS TRUST,Laboratory External Tests,Divisional Services,"£77,434.72" 1457210000/000011910777,25/04/2022,EDF ENERGY LTD,Electricity,Divisional Services,"£77,136.66" 08002174,01/04/2022,WILLMOTT DIXON CONSTRUCTION LIMITED,Additions - AUC B,Total Balance Sheet Cost Centres,"£77,040.16" 7004143,05/04/2022,NHS BLOOD AND TRANSPLANT,Blood Products,Divisional Services,"£75,405.15" 1131867593,08/04/2022,STRYKER UK,Minor Works,Divisional Services,"£73,532.94" 031136,04/04/2022,SYSTEM C HEALTHCARE LTD,Additions - AUC IT ,Total Balance Sheet Cost Centres,"£72,900.00" 5819913,05/04/2022,PEOPLE SOURCE CONSULTING,Additions - AUC IT ,Total Balance Sheet Cost Centres,"£72,450.00" Hanc_NHS Sussex250322,01/04/2022,HANCOCK CASH AND CARRY LTD,Provisions,Divisional Services,"£71,820.00" 22040059,01/04/2022,Morgan Sindall Construction & Infrastructure Ltd,Additions - AUC B,Total Balance Sheet Cost Centres,"£71,206.46" 203701,06/04/2022,KNIGHT FRANK LLP,Lease Rents,Corporate Services,"£71,040.90" 700C220331,19/04/2022,ALCURA UK LIMITED,WSHT Wellsky Pharmacy Stock,Total Balance Sheet Cost Centres,"£69,478.81" 824C409213,13/04/2022,BAYER PLC,WSHT Wellsky Pharmacy Stock,Total Balance Sheet Cost Centres,"£68,434.20" 22030204,06/04/2022,Morgan Sindall Construction & Infrastructure Ltd,Additions - AUC B,Total Balance Sheet Cost Centres,"£66,827.00" INV-C-1782,07/04/2022,EB Charging Limited,Additions - AUC B,Total Balance Sheet Cost Centres,"£66,174.10" PJIN-304147,19/04/2022,EMIS HEALTH,Additions - AUC IT ,Total Balance Sheet Cost Centres,"£65,760.00" PJIN-304363,19/04/2022,EMIS HEALTH,Additions - AUC IT ,Total Balance Sheet Cost Centres,"£65,760.00" PJIN-304365,19/04/2022,EMIS HEALTH,Additions - AUC IT ,Total Balance Sheet Cost Centres,"£65,760.00" INV03407265,21/04/2022,SOFTCAT PLC,Additions - AUC IT ,Total Balance Sheet Cost Centres,"£65,221.63" 22073350,27/04/2022,BAXTER HEALTHCARE LTD,WSHT Wellsky Pharmacy Stock,Total Balance Sheet Cost Centres,"£61,527.90" SI02733829,21/04/2022,PLUMBASE,Materials - Mechanical,Divisional Services,"£61,268.43" ARV2200167,19/04/2022,ALTHEA UK AND IRELAND LTD,M&S Equipment Maint. Contracts,Divisional Services,"£58,831.44" 22068794,07/04/2022,BAXTER HEALTHCARE LTD,WSHT Wellsky Pharmacy Stock,Total Balance Sheet Cost Centres,"£57,668.27" 7004145,05/04/2022,NHS BLOOD AND TRANSPLANT,Blood Products,Divisional Services,"£56,648.06" SIN103415228,07/04/2022,ALLOGA UK LIMITED,WSHT Wellsky Pharmacy Stock,Total Balance Sheet Cost Centres,"£56,533.90" 01567366,20/04/2022,ALLOGA UK LIMITED,Drugs,Divisional Services,"£54,240.00" SI00491,06/04/2022,Medneo Diagnostics UK Ltd,Commercial Sector,Divisional Services,"£53,664.00" 43906,11/04/2022,MEDICAL IMAGING PARTNERSHIP,Contractual Clinical Services,Divisional Services,"£53,193.28" B23V54189,20/04/2022,ALLIANCE HEALTHCARE (DISTRIBUTION)/UNICHEMLTD,Drugs,Divisional Services,"£53,005.41" 715-00002724,14/04/2022,GHX UK LTD,Non Healthcare - NHS England & CCG's,Corporate Services,"£52,200.00" 08002163,01/04/2022,WILLMOTT DIXON CONSTRUCTION LIMITED,Additions - AUC B,Total Balance Sheet Cost Centres,"£51,682.88" 17403,25/04/2022,MEDICA REPORTING LTD,Commercial Sector,Divisional Services,"£51,255.90" 17494,14/04/2022,MEDICA REPORTING LTD,Commercial Sector,Divisional Services,"£49,627.50" 7300386187,26/04/2022,PHILIPS HEALTHCARE,Contract : Other External,Divisional Services,"£48,375.76" 1051116204,20/04/2022,SIEMENS HEALTHCARE,Laboratory Radio-Isotopes,Divisional Services,"£48,300.00" 1322235331,26/04/2022,ROCHE PRODUCTS LTD,Drugs,Divisional Services,"£46,932.00" 7300386183,20/04/2022,PHILIPS HEALTHCARE,Miscellaneous Expenditure,Financial Central Services,"£46,281.84" SGH-INV-0646,01/04/2022,SUMNER GROUP HEALTH,Recruitment Finders Fees,Corporate Services,"£46,020.00" 110R220331,19/04/2022,ALCURA UK LIMITED,WSHT Wellsky Pharmacy Stock,Total Balance Sheet Cost Centres,"£45,670.59" 824C407460,07/04/2022,BAYER PLC,WSHT Wellsky Pharmacy Stock,Total Balance Sheet Cost Centres,"£45,622.80" 824c413456,25/04/2022,BAYER PLC,WSHT Wellsky Pharmacy Stock,Total Balance Sheet Cost Centres,"£45,622.80" CAPL-22-10,20/04/2022,KAJIMA,Additions - AUC B,Total Balance Sheet Cost Centres,"£45,487.53" 930840252,19/04/2022,JANSSEN-CILAG LTD,WSHT Wellsky Pharmacy Stock,Total Balance Sheet Cost Centres,"£45,176.36" 100683080,26/04/2022,BRISTOL-MYERS SQUIBB PHARMACEUTICALS LTD,Drugs,Divisional Services,"£44,578.26" 0000015653,22/04/2022,GROSVENOR CONTRACTS LONDON LTD,Minor Works,Divisional Services,"£44,468.66" 454797431012,25/04/2022,WORTHING HOMES LTD,Rent,Divisional Services,"£44,454.59" 22074317,07/04/2022,BAXTER HEALTHCARE LTD,WSHT Wellsky Pharmacy Stock,Total Balance Sheet Cost Centres,"£44,414.82" SINV5445114,13/04/2022,LLOYDSPHARMACY CLINICAL HOMECARE,WSHT Wellsky Pharmacy Stock,Total Balance Sheet Cost Centres,"£44,082.32" 100681610,26/04/2022,BRISTOL-MYERS SQUIBB PHARMACEUTICALS LTD,Drugs,Divisional Services,"£43,135.56" 1322233490,05/04/2022,ROCHE PRODUCTS LTD,Drugs,Divisional Services,"£42,895.13" 7500599047,28/04/2022,ABBOTT MEDICAL UK LTD,Patient Activity - Appliances PBR Exclusions,Divisional Services,"£42,240.00" 8940268854,19/04/2022,CELGENE LTD,WSHT Wellsky Pharmacy Stock,Total Balance Sheet Cost Centres,"£41,846.52" SINV5422661,13/04/2022,LLOYDSPHARMACY CLINICAL HOMECARE,WSHT Wellsky Pharmacy Stock,Total Balance Sheet Cost Centres,"£41,348.39" 3061000522,19/04/2022,GALLIFORD TRY HPS LIMITED,Additions - AUC B,Total Balance Sheet Cost Centres,"£40,828.68" 103430809,08/04/2022,ALLOGA UK LIMITED,Drugs,Divisional Services,"£40,680.00" 103438728,08/04/2022,ALLOGA UK LIMITED,Drugs,Divisional Services,"£40,680.00" 8940267057,26/04/2022,CELGENE LTD,WSHT Wellsky Pharmacy Stock,Total Balance Sheet Cost Centres,"£40,495.21" 03263,11/04/2022,SALISBURY TRADING LIMITED,Bedding & Linen Non-Disp.,Divisional Services,"£40,043.53" 155293,13/04/2022,DIAVERUM UK LIMITED,M&S Equipment : General,Divisional Services,"£39,881.50" LCM1123,04/04/2022,MCBAINS LIMITED,Additions - AUC B,Total Balance Sheet Cost Centres,"£39,560.40" 5140569817,04/04/2022,CARL ZEISS LTD,Additions - AUC PM,Total Balance Sheet Cost Centres,"£39,542.27" SIN103448026,25/04/2022,ALLOGA UK LIMITED,WSHT Wellsky Pharmacy Stock,Total Balance Sheet Cost Centres,"£38,880.00" 52W220331,19/04/2022,ALCURA UK LIMITED,WSHT Wellsky Pharmacy Stock,Total Balance Sheet Cost Centres,"£38,855.83" 20221133004825,01/04/2022,VIAPATH LLP,Laboratory External Tests,Divisional Services,"£38,067.51" 17404,14/04/2022,MEDICA REPORTING LTD,Commercial Sector,Divisional Services,"£38,040.00" SIN007033,06/04/2022,BRIGHTON RACECOURSE CO LTD,Lease Charges,Divisional Services,"£37,485.00" 16805520,07/04/2022,CORONA ENERGY RETAIL 4 LIMITED,Gas,Divisional Services,"£37,399.97" 402386328,26/04/2022,CANON (UK) LTD,M&S Equipment Maint. Contracts,Corporate Services,"£37,353.11" 5332,01/04/2022,TEAM PREVENT UK LIMITED,Staff Benefits Expenses,Corporate Services,"£36,627.00" 5608,05/04/2022,TEAM PREVENT UK LIMITED,Staff Benefits Expenses,Corporate Services,"£36,627.00" 155250,01/04/2022,DIAVERUM UK LIMITED,Independent Sector,Divisional Services,"£36,603.00" 930841088,22/04/2022,JANSSEN-CILAG LTD,Drugs,Divisional Services,"£36,360.29" LCM1124,04/04/2022,MCBAINS LIMITED,Additions - AUC B,Total Balance Sheet Cost Centres,"£36,075.00" 103441201,20/04/2022,ALLOGA UK LIMITED,Drugs,Divisional Services,"£36,000.00" SIN103413948,12/04/2022,ALLOGA UK LIMITED,WSHT Wellsky Pharmacy Stock,Total Balance Sheet Cost Centres,"£36,000.00" SIN103415227,07/04/2022,ALLOGA UK LIMITED,WSHT Wellsky Pharmacy Stock,Total Balance Sheet Cost Centres,"£36,000.00" SIN103447981,27/04/2022,ALLOGA UK LIMITED,WSHT Wellsky Pharmacy Stock,Total Balance Sheet Cost Centres,"£36,000.00" 82936291,29/04/2022,QUADIENT UK LIMITED,Postage & Carriage,Divisional Services,"£35,530.93" 1051116208,26/04/2022,SIEMENS HEALTHCARE,Laboratory Radio-Isotopes,Divisional Services,"£34,260.00" 351788,13/04/2022,DIAVERUM FACILITIES MANAGEMENT LTD,Dialysis Fluids,Divisional Services,"£34,242.60" 1322235332,26/04/2022,ROCHE PRODUCTS LTD,Drugs,Divisional Services,"£33,987.84" SINV5468715,20/04/2022,LLOYDSPHARMACY CLINICAL HOMECARE,WSHT Wellsky Pharmacy Stock,Total Balance Sheet Cost Centres,"£33,909.48" 22027936,20/04/2022,COOK (UK) LTD,Vascular Implants,Divisional Services,"£33,654.00" 1400154870,27/04/2022,PENTAX UK LTD,M&S Equipment : Disposable,Divisional Services,"£33,571.15" 16805528,07/04/2022,CORONA ENERGY RETAIL 4 LIMITED,Gas,Divisional Services,"£33,525.80" 8940269294,25/04/2022,CELGENE LTD,WSHT Wellsky Pharmacy Stock,Total Balance Sheet Cost Centres,"£33,395.38" WSH2-353603,12/04/2022,HEALTH PEOPLE,Consultant: Agency,Divisional Services,"£32,364.00" INUK-001743933,13/04/2022,HEALTHCARE AT HOME LTD,Drugs,Divisional Services,"£32,292.00" 409678,13/04/2022,BAYER PLC,Drugs,Divisional Services,"£31,935.96" 22040337,29/04/2022,Morgan Sindall Construction & Infrastructure Ltd,Additions - AUC B,Total Balance Sheet Cost Centres,"£31,934.38" 0001696755,12/04/2022,SRCL LTD,Contract : Refuse & Clin Waste,Divisional Services,"£31,623.53" B23N54518,14/04/2022,ALLIANCE HEALTHCARE (DISTRIBUTION)/UNICHEMLTD,Drugs,Divisional Services,"£31,395.39" 141357,07/04/2022,TRUSTCO,Additions - AUC B,Total Balance Sheet Cost Centres,"£31,132.18" SIN103404330,19/04/2022,ALLOGA UK LIMITED,Drugs,Divisional Services,"£30,800.00" INV03415195,26/04/2022,SOFTCAT PLC,Computer Maintenance,Corporate Services,"£30,793.56" A23W50233,07/04/2022,ALLIANCE HEALTHCARE (DISTRIBUTION)/UNICHEMLTD,WSHT Wellsky Pharmacy Stock,Total Balance Sheet Cost Centres,"£30,574.82" 994044301,07/04/2022,CSL BEHRING LTD,WSHT Wellsky Pharmacy Stock,Total Balance Sheet Cost Centres,"£30,480.00" WSH2-354508,11/04/2022,LOCUM X LTD,Consultant: Agency,Divisional Services,"£30,157.00" 10284075,05/04/2022,KIER CONSTRUCTION SOUTHERN,Additions - AUC B,Total Balance Sheet Cost Centres,"£30,000.00" 100682215,19/04/2022,BRISTOL-MYERS SQUIBB PHARMACEUTICALS LTD,Drugs,Divisional Services,"£29,840.76" 328660566,12/04/2022,B BRAUN AVITUM UK LIMITED,M&S Equipment : Disposable,Divisional Services,"£29,775.21" SI00573,20/04/2022,Medneo Diagnostics UK Ltd,Commercial Sector,Divisional Services,"£29,626.80" LCM1140,29/04/2022,MCBAINS LIMITED,Additions - AUC B,Total Balance Sheet Cost Centres,"£29,600.40" 6020114899,11/04/2022,KARL STORZ ENDOSCOPY (UK) LTD,Additions - AUC PM,Total Balance Sheet Cost Centres,"£29,536.42" 903744806,26/04/2022,Intuitive Surgical Ltd,Surgical Instruments : General,Divisional Services,"£29,378.40" SI00017859,05/04/2022,HSL PATHOLOGY LIP,Laboratory External Tests,Divisional Services,"£29,070.20" 155284,13/04/2022,DIAVERUM UK LIMITED,M&S Equipment : General,Divisional Services,"£28,956.30" 930837146,13/04/2022,JANSSEN-CILAG LTD,WSHT Wellsky Pharmacy Stock,Total Balance Sheet Cost Centres,"£28,801.39" 0001586733,06/04/2022,EUROPEAN ELECTRONIQUE LTD,Computer Maintenance,Corporate Services,"£28,600.02" 7162486059,20/04/2022,BOSTON SCIENTIFIC LTD,M&S Equipment : Disposable,Divisional Services,"£28,553.46" 2122008990,14/04/2022,NHS SUPPLY CHAIN,Contract : Estates Management,Divisional Services,"£28,430.00" X0061514,26/04/2022,FRIMLEY HEALTH NHS FOUNDATION TRUST,Laboratory External Tests,Divisional Services,"£28,329.64" 155241,01/04/2022,DIAVERUM UK LIMITED,Independent Sector,Divisional Services,"£28,240.65" 11367,14/04/2022,ZURICH INSURANCE CO,Contract : Other External,Divisional Services,"£28,061.24" 0001696754,07/04/2022,SRCL LTD,Contract : Refuse & Clin Waste,Divisional Services,"£28,016.46" 103444961,20/04/2022,ALLOGA UK LIMITED,Drugs,Divisional Services,"£27,120.00" 92586589,20/04/2022,NOVARTIS PHARMACEUTICALS UK LTD,WSHT Wellsky Pharmacy Stock,Total Balance Sheet Cost Centres,"£27,091.27" 01567156,20/04/2022,ALLOGA UK LIMITED,Drugs,Divisional Services,"£27,000.00" 103429649,08/04/2022,ALLOGA UK LIMITED,Drugs,Divisional Services,"£27,000.00" 103434407,22/04/2022,ALLOGA UK LIMITED,Drugs,Divisional Services,"£27,000.00" 17136,06/04/2022,MEDICA REPORTING LTD,Photographic Materials,Divisional Services,"£26,809.00" 14353,01/04/2022,ACUMENTICE LTD,Recruitment Finders Fees,Corporate Services,"£26,340.00" 6248,11/04/2022,INTEGRATED CARE 24 LTD,Commercial Sector,Divisional Services,"£26,320.52" 92583308,13/04/2022,NOVARTIS PHARMACEUTICALS UK LTD,WSHT Wellsky Pharmacy Stock,Total Balance Sheet Cost Centres,"£25,869.28" INV03297841,01/04/2022,SOFTCAT PLC,Additions - AUC IT ,Total Balance Sheet Cost Centres,"£25,669.20" 7402804401,04/04/2022,DELL COMPUTER CORPORATION LTD,Additions - AUC IT ,Total Balance Sheet Cost Centres,"£25,410.00" 994045214,13/04/2022,CSL BEHRING LTD,Drugs,Divisional Services,"£25,400.00"