University Hospitals Sussex NHS Foundation Trust - Expenditure over £25k - October 2022,,,,, ,,,,, Invoice No,Posted Date,Supplier Name,Expense Type,Expense Area,Distribution Amount (GBP) TAX AND NI M6 SEPT 2022,19/10/2022,HM REVENUE & CUSTOMS,Tax & Soc Security Costs < 1 yr,Total Balance Sheet Cost Centres,"£6,943,636.08" TAX & NI M6 SEPT 2022,19/10/2022,HM REVENUE & CUSTOMS,Tax & Soc Security Costs < 1 yr,Total Balance Sheet Cost Centres,"£5,881,483.08" TAX AND NI M6 SEPT 2022,19/10/2022,HM REVENUE & CUSTOMS,Tax < One Year,Total Balance Sheet Cost Centres,"£5,857,133.49" TAX & NI M6 SEPT 2022,19/10/2022,HM REVENUE & CUSTOMS,Tax < One Year,Total Balance Sheet Cost Centres,"£5,322,679.47" 5108,12/10/2022,PHARM@SEA LTD,Drugs,Divisional Services,"£1,600,453.80" 1123151848,20/10/2022,NHS LOGISTICS AUTHORITY,M&S Equipment : General,Financial Central Services,"£1,033,347.92" 1123157713,25/10/2022,NHS LOGISTICS AUTHORITY,M&S Equipment : General,Financial Central Services,"£712,259.99" 1123125134,02/10/2022,NHS LOGISTICS AUTHORITY,M&S Equipment : General,Financial Central Services,"£670,650.82" 2005844,27/10/2022,LAING O'ROURKE CONSTRUCTION SOUTH LTD,Other creditors < one year,Total Balance Sheet Cost Centres,"£664,618.37" 44001975,03/10/2022,WILLMOTT DIXON CONSTRUCTION LIMITED,Additions - AUC B,Total Balance Sheet Cost Centres,"£645,110.11" 2123004930,27/10/2022,NHS SUPPLY CHAIN,Other Equipment Maint. Contracts,Divisional Services,"£642,429.67" 1123142608,11/10/2022,NHS LOGISTICS AUTHORITY,M&S Equipment : General,Financial Central Services,"£601,151.39" CAPL-22-32,25/10/2022,CHILDRENS ARK PARTNERSHIP LIMITED,PFI Operating Costs,Corporate Services,"£578,644.26" 1123131229,02/10/2022,NHS LOGISTICS AUTHORITY,M&S Equipment : General,Financial Central Services,"£549,254.42" 1123148188,11/10/2022,NHS LOGISTICS AUTHORITY,M&S Equipment : General,Financial Central Services,"£477,591.46" 1123133684,02/10/2022,NHS LOGISTICS AUTHORITY,M&S Equipment : General,Financial Central Services,"£456,189.80" 8002441,06/10/2022,WILLMOTT DIXON CONSTRUCTION LIMITED,Additions - AUC B,Total Balance Sheet Cost Centres,"£298,626.83" 5107,12/10/2022,PHARM@SEA LTD,Drugs,Divisional Services,"£297,604.56" 0067210000 / 000013104183,12/10/2022,EDF ENERGY LTD,Electricity,Divisional Services,"£281,938.17" S5731AUG22,28/10/2022,CIRCLE HEALTH GROUP,Independent Sector,Divisional Services,"£276,781.93" 8002533,26/10/2022,WILLMOTT DIXON CONSTRUCTION LIMITED,Additions - AUC B,Total Balance Sheet Cost Centres,"£271,570.42" S5731JUN22,28/10/2022,CIRCLE HEALTH GROUP,Independent Sector,Divisional Services,"£269,048.10" 0067210000 / 000013372665,24/10/2022,EDF ENERGY LTD,Electricity,Divisional Services,"£255,204.47" 1870921,20/10/2022,UNIVERSITY OF SUSSEX,Medical Secondees inwards,Financial Central Services,"£252,553.22" 8002489,06/10/2022,WILLMOTT DIXON CONSTRUCTION LIMITED,Additions - AUC B,Total Balance Sheet Cost Centres,"£220,427.88" 9523000982,24/10/2022,NHS SUPPLY CHAIN,Additions - AUC B,Total Balance Sheet Cost Centres,"£217,066.50" OP/I610825,20/10/2022,HOBART UK,Additions - AUC B,Total Balance Sheet Cost Centres,"£192,210.00" 2414982954 / 000013371294,20/10/2022,EDF ENERGY LTD,Electricity,Divisional Services,"£188,111.12" 4487210000 / 000013377929,24/10/2022,EDF ENERGY LTD,Electricity,Divisional Services,"£185,269.62" 7300398254,17/10/2022,PHILIPS HEALTHCARE,Additions - AUC B,Total Balance Sheet Cost Centres,"£182,656.98" 7008658,11/10/2022,NHS BLOOD AND TRANSPLANT,Blood Products,Divisional Services,"£178,423.70" 9112168846,26/10/2022,THERMO FISHER SCIENTIFIC,Additions - AUC PM,Total Balance Sheet Cost Centres,"£177,968.51" 2123004573,13/10/2022,NHS SUPPLY CHAIN,Other Equipment Maint. Contracts,Divisional Services,"£164,034.34" FPSC005350,17/10/2022,NUFFIELD HEALTH,Insourcing and Commercial Sector,Divisional Services,"£157,804.70" 4097210000 / 000013375698,24/10/2022,EDF ENERGY LTD,Electricity,Divisional Services,"£152,720.72" 2123004730,12/10/2022,NHS SUPPLY CHAIN,Other Equipment Maint. Contracts,Divisional Services,"£146,615.19" CAPL-22-30,26/10/2022,CHILDRENS ARK PARTNERSHIP LIMITED,Electricity,Divisional Services,"£144,950.04" CD2801679,03/10/2022,OLYMPUS KEYMED,Additions - AUC PM,Total Balance Sheet Cost Centres,"£143,466.12" 222535,10/10/2022,ROTADEX SYSTEMS LTD,Additions - AUC B,Total Balance Sheet Cost Centres,"£137,940.16" 88080486,11/10/2022,QUADIENT UK LIMITED,Postage & Carriage,Divisional Services,"£136,793.35" 994050246,25/10/2022,CSL BEHRING LTD,Drugs,Divisional Services,"£134,400.00" H638046,29/10/2022,NHS PROPERTY SERVICES LTD,Contract : Estates Management,Corporate Services,"£131,708.25" 7300399043,28/10/2022,PHILIPS HEALTHCARE,Additions - AUC B,Total Balance Sheet Cost Centres,"£126,113.98" 9160131843,10/10/2022,SEQIRUS UK LTD,Drugs,Divisional Services,"£125,128.80" NHS - UHS025a,14/10/2022,SPAMEDICA LTD,Insourcing and Commercial Sector,Divisional Services,"£120,278.28" LCM1236,05/10/2022,MCBAINS LIMITED,External Consultancy Fees,Corporate Services,"£120,000.00" 2414982954 / 000013312554,20/10/2022,EDF ENERGY LTD,Electricity,Divisional Services,"£118,642.14" CAPL-22-32,25/10/2022,CHILDRENS ARK PARTNERSHIP LIMITED,VAT Debtor < one year,Total Balance Sheet Cost Centres,"£115,728.85" 42756,05/10/2022,PHARMEDUK,Additions - AUC PM,Total Balance Sheet Cost Centres,"£112,917.60" 1452100000 / 000013036295,20/10/2022,EDF ENERGY LTD,Electricity,Divisional Services,"£112,839.58" 1457210000 / 000013036295,03/10/2022,EDF ENERGY LTD,Electricity,Divisional Services,"£112,832.64" 22090270,01/10/2022,Morgan Sindall Construction & Infrastructure Ltd,Additions - AUC B,Total Balance Sheet Cost Centres,"£112,068.00" FPSC004320,19/10/2022,NUFFIELD HEALTH,Independent Sector,Divisional Services,"£111,430.00" FPSC005240,06/10/2022,NUFFIELD HEALTH,Independent Sector,Divisional Services,"£111,430.00" 1457210000 / 000013285025,12/10/2022,EDF ENERGY LTD,Electricity,Divisional Services,"£111,369.76" FPSC005231,06/10/2022,NUFFIELD HEALTH,Insourcing and Commercial Sector,Divisional Services,"£109,100.00" 1457210000 / 000013373804,20/10/2022,EDF ENERGY LTD,Electricity,Divisional Services,"£103,846.22" 1000074460,11/10/2022,NHSBSA,FP10'S,Divisional Services,"£103,249.76" 103636,05/10/2022,SALISBURY TRADING LIMITED,Bedding & Linen Non-Disp.,Divisional Services,"£102,179.25" 1862756,11/10/2022,UNIVERSITY OF SUSSEX,Insourcing and Commercial Sector,Divisional Services,"£100,025.00" 930885554,18/10/2022,JANSSEN-CILAG LTD,Drugs,Divisional Services,"£95,818.75" 700C220930,17/10/2022,ALCURA UK LIMITED,WSHT Wellsky Pharmacy Stock,Total Balance Sheet Cost Centres,"£95,242.69" 1871430,20/10/2022,UNIVERSITY OF SUSSEX,Insourcing and Commercial Sector,Divisional Services,"£92,925.00" 450365,25/10/2022,BAYER PLC,Drugs,Divisional Services,"£91,245.60" 9420063820,24/10/2022,NIPRO MEDICAL UK LTD,Additions - AUC PM,Total Balance Sheet Cost Centres,"£90,253.84" 2123005019,27/10/2022,NHS SUPPLY CHAIN,X-Ray Film & Chemicals : Purch,Divisional Services,"£86,676.43" RYRMTFICFPF222307,06/10/2022,SPIRE HEALTHCARE LTD,Insourcing and Commercial Sector,Divisional Services,"£84,833.33" 10692080,05/10/2022,BRISTOL-MYERS SQUIBB PHARMACEUTICALS LTD,Drugs,Divisional Services,"£84,639.96" 7402857575,13/10/2022,DELL COMPUTER CORPORATION LTD,Additions - AUC IT ,Total Balance Sheet Cost Centres,"£84,000.00" 7402857583,13/10/2022,DELL COMPUTER CORPORATION LTD,Additions - AUC IT ,Total Balance Sheet Cost Centres,"£84,000.00" 7402857585,13/10/2022,DELL COMPUTER CORPORATION LTD,Additions - AUC IT ,Total Balance Sheet Cost Centres,"£84,000.00" INVUK586450,05/10/2022,SOFTCAT PLC,Additions - AUC IT ,Total Balance Sheet Cost Centres,"£83,670.60" 5059114439 / 000012981964,24/10/2022,EDF ENERGY LTD,Electricity,Divisional Services,"£83,590.73" 100691782,04/10/2022,BRISTOL-MYERS SQUIBB PHARMACEUTICALS LTD,Drugs,Divisional Services,"£83,275.32" 9523000889,18/10/2022,NHS SUPPLY CHAIN,Additions - AUC PM,Total Balance Sheet Cost Centres,"£81,728.76" 1000060383P-GB01,11/10/2022,NHS PROFESSIONALS LTD,Recruitment Finders Fees,Corporate Services,"£79,750.00" 5983,14/10/2022,STIRLING MEDICAL & SCIENTIFIC,Additions - AUC B,Total Balance Sheet Cost Centres,"£79,000.00" 2122002054A,31/10/2022,NHS SUPPLY CHAIN,M&S Equipment Maint. Contracts,Divisional Services,"£77,226.14" 352176,06/10/2022,DIAVERUM FACILITIES MANAGEMENT LTD,Insourcing and Commercial Sector,Divisional Services,"£75,982.50" 7009381,19/10/2022,NHS BLOOD AND TRANSPLANT,Blood Products,Divisional Services,"£75,405.15" 9523000903,19/10/2022,NHS SUPPLY CHAIN,Additions - AUC PM,Total Balance Sheet Cost Centres,"£75,146.88" WSH2-380802,27/10/2022,HEALTH PEOPLE,Consultant: Agency,Divisional Services,"£72,645.00" 994050583,25/10/2022,CSL BEHRING LTD,WSHT Wellsky Pharmacy Stock,Total Balance Sheet Cost Centres,"£72,576.00" NYGUHSFTAUG2022,11/10/2022,SUSSEX COMMUNITY DERMATOLOGY SERVICE LTD,Insourcing and Commercial Sector,Divisional Services,"£72,315.00" 5059114439 / 000013102786,03/10/2022,EDF ENERGY LTD,Electricity,Divisional Services,"£70,344.83" 9160128383,03/10/2022,SEQIRUS UK LTD,WSHT Wellsky Pharmacy Stock,Total Balance Sheet Cost Centres,"£69,168.00" 9160128348,03/10/2022,SEQIRUS UK LTD,WSHT Wellsky Pharmacy Stock,Total Balance Sheet Cost Centres,"£68,455.20" 2122002003,06/10/2022,NHS SUPPLY CHAIN,M&S Equipment Maint. Contracts,Divisional Services,"£68,209.45" PJIN-304363,01/10/2022,EMIS HEALTH,Additions - AUC IT ,Total Balance Sheet Cost Centres,"£65,760.00" PJIN-304364,25/10/2022,EMIS HEALTH,Additions - AUC IT ,Total Balance Sheet Cost Centres,"£65,760.00" INUK-002257296,25/10/2022,SCIENSUS PHARMA SERVICES LIMITED,Drugs,Divisional Services,"£64,584.00" CAPL-22-33,25/10/2022,CHILDRENS ARK PARTNERSHIP LIMITED,Electricity,Divisional Services,"£64,300.81" 22090295,05/10/2022,Morgan Sindall Construction & Infrastructure Ltd,Additions - AUC B,Total Balance Sheet Cost Centres,"£62,058.44" SINV5766721,10/10/2022,LLOYDSPHARMACY CLINICAL HOMECARE,WSHT Wellsky Pharmacy Stock,Total Balance Sheet Cost Centres,"£60,106.60" 50347,20/10/2022,MEDICAL IMAGING PARTNERSHIP,Insourcing and Commercial Sector,Divisional Services,"£60,000.00" 51066,11/10/2022,MEDICAL IMAGING PARTNERSHIP,Insourcing and Commercial Sector,Divisional Services,"£60,000.00" 1322258081,31/10/2022,ROCHE PRODUCTS LTD,Drugs,Divisional Services,"£59,258.81" 994050178,10/10/2022,CSL BEHRING LTD,Drugs,Divisional Services,"£59,136.00" NHS - UHS025CR,11/10/2022,SPAMEDICA LTD,Insourcing and Commercial Sector,Divisional Services,"£58,744.69" SIN103593106,26/10/2022,ALLOGA UK LIMITED,WSHT Wellsky Pharmacy Stock,Total Balance Sheet Cost Centres,"£57,534.50" 51069,11/10/2022,MEDICAL IMAGING PARTNERSHIP,Insourcing and Commercial Sector,Divisional Services,"£57,500.00" 7009383,19/10/2022,NHS BLOOD AND TRANSPLANT,Blood Products,Divisional Services,"£56,648.06" 100694812,31/10/2022,BRISTOL-MYERS SQUIBB PHARMACEUTICALS LTD,Drugs,Divisional Services,"£56,426.64" 161373,25/10/2022,EAST SUSSEX HOSPITALS NHS TRUST,Lease Charges,Corporate Services,"£56,231.42" 9523000989,25/10/2022,NHS SUPPLY CHAIN,Provider Charities,Total Balance Sheet Cost Centres,"£55,732.96" 824C448169,17/10/2022,BAYER PLC,WSHT Wellsky Pharmacy Stock,Total Balance Sheet Cost Centres,"£54,747.36" 158588,25/10/2022,EAST SUSSEX HOSPITALS NHS TRUST,Lease Charges,Divisional Services,"£54,572.92" 5816043993,18/10/2022,GRIFOLS UK LTD,Drugs,Divisional Services,"£54,397.00" 1051123858,20/10/2022,SIEMENS HEALTHCARE,Laboratory Radio-Isotopes,Divisional Services,"£54,237.60" 2361029,12/10/2022,HOLOGIC LTD,Additions - AUC PM,Total Balance Sheet Cost Centres,"£54,000.00" 18361,11/10/2022,MEDICA REPORTING LTD,Insourcing and Commercial Sector,Divisional Services,"£53,800.00" 1322256519,25/10/2022,ROCHE PRODUCTS LTD,Drugs,Divisional Services,"£53,749.90" H636430,29/10/2022,NHS PROPERTY SERVICES LTD,Rent,Corporate Services,"£52,722.00" GI203,28/10/2022,OPTEGRA UK LTD,Insourcing and Commercial Sector,Divisional Services,"£52,713.69" 51068,11/10/2022,MEDICAL IMAGING PARTNERSHIP,Insourcing and Commercial Sector,Divisional Services,"£52,500.00" 1174,05/10/2022,IM MED LTD,Additions - AUC B,Total Balance Sheet Cost Centres,"£51,390.00" 6020142805,13/10/2022,KARL STORZ ENDOSCOPY (UK) LTD,Additions - AUC PM,Total Balance Sheet Cost Centres,"£51,121.98" 18273,12/10/2022,MEDICA REPORTING LTD,Insourcing and Commercial Sector,Divisional Services,"£50,553.75" NHS - UHS026,14/10/2022,SPAMEDICA LTD,Insourcing and Commercial Sector,Divisional Services,"£50,360.36" OP/I009678,06/10/2022,HARRISON THOMPSON & CO LTD,Additions - AUC B,Total Balance Sheet Cost Centres,"£49,613.14" Qarterly rent Account 5596,06/10/2022,WORTHING HOMES LTD,Rent,Divisional Services,"£48,539.87" 7009374,31/10/2022,NHS BLOOD AND TRANSPLANT,Blood Products,Divisional Services,"£48,191.83" 930875580,18/10/2022,JANSSEN-CILAG LTD,Drugs,Divisional Services,"£47,909.38" 930874092,18/10/2022,JANSSEN-CILAG LTD,Drugs,Divisional Services,"£47,692.80" 930881834,18/10/2022,JANSSEN-CILAG LTD,Drugs,Divisional Services,"£47,692.80" 1000004184,11/10/2022,NHSBSA,Early Retirement Payments,Financial Central Services,"£46,748.46" 18266,07/10/2022,MEDICA REPORTING LTD,Insourcing and Commercial Sector,Divisional Services,"£46,206.00" 445786,07/10/2022,BAYER PLC,Drugs,Divisional Services,"£45,622.80" 446971,25/10/2022,BAYER PLC,Drugs,Divisional Services,"£45,622.80" 448421,26/10/2022,BAYER PLC,Drugs,Divisional Services,"£45,622.80" 450949,31/10/2022,BAYER PLC,Drugs,Divisional Services,"£45,622.80" 824C445074,03/10/2022,BAYER PLC,WSHT Wellsky Pharmacy Stock,Total Balance Sheet Cost Centres,"£45,622.80" 824C445788,31/10/2022,BAYER PLC,WSHT Wellsky Pharmacy Stock,Total Balance Sheet Cost Centres,"£45,622.80" 824C446271,04/10/2022,BAYER PLC,WSHT Wellsky Pharmacy Stock,Total Balance Sheet Cost Centres,"£45,622.80" 824C446969,31/10/2022,BAYER PLC,WSHT Wellsky Pharmacy Stock,Total Balance Sheet Cost Centres,"£45,622.80" 994050236,10/10/2022,CSL BEHRING LTD,WSHT Wellsky Pharmacy Stock,Total Balance Sheet Cost Centres,"£44,827.50" 280026631/22,31/10/2022,TOTALENERGIES GAS AND POWER LTD,Gas,Divisional Services,"£44,756.42" 5059114439 / 000013370904,19/10/2022,EDF ENERGY LTD,Electricity,Divisional Services,"£44,514.44" 110R220930,17/10/2022,ALCURA UK LIMITED,WSHT Wellsky Pharmacy Stock,Total Balance Sheet Cost Centres,"£43,606.46" 1322253649,17/10/2022,ROCHE PRODUCTS LTD,WSHT Wellsky Pharmacy Stock,Total Balance Sheet Cost Centres,"£43,460.10" 103594361,07/10/2022,ALLOGA UK LIMITED,Drugs,Divisional Services,"£43,392.00" 92680660,26/10/2022,NOVARTIS PHARMACEUTICALS UK LTD,WSHT Wellsky Pharmacy Stock,Total Balance Sheet Cost Centres,"£42,862.68" 994049999,04/10/2022,CSL BEHRING LTD,Blood Products,Divisional Services,"£41,565.00" 92673796,10/10/2022,NOVARTIS PHARMACEUTICALS UK LTD,WSHT Wellsky Pharmacy Stock,Total Balance Sheet Cost Centres,"£41,500.94" 3129146484,04/10/2022,GETINGE LTD,Additions - AUC PM,Total Balance Sheet Cost Centres,"£41,418.72" 52W220930,17/10/2022,ALCURA UK LIMITED,WSHT Wellsky Pharmacy Stock,Total Balance Sheet Cost Centres,"£40,588.39" 1322255631,10/10/2022,ROCHE PRODUCTS LTD,Drugs,Divisional Services,"£40,088.53" IN05995650,12/10/2022,BT BUSINESS DIRECT LTD,Additions - AUC IT ,Total Balance Sheet Cost Centres,"£38,964.00" H638049,29/10/2022,NHS PROPERTY SERVICES LTD,Contract : Estates Management,Corporate Services,"£38,768.59" OP/I610825,20/10/2022,HOBART UK,VAT Debtor < one year,Total Balance Sheet Cost Centres,"£38,442.00" INV-1045,21/10/2022,COASTAL SECURITY INSTALLATIONS LTD,Additions - AUC B,Total Balance Sheet Cost Centres,"£38,391.67" 18274,07/10/2022,MEDICA REPORTING LTD,Insourcing and Commercial Sector,Divisional Services,"£38,360.00" 100694456,26/10/2022,BRISTOL-MYERS SQUIBB PHARMACEUTICALS LTD,Drugs,Divisional Services,"£38,247.72" 155526,06/10/2022,DIAVERUM UK LIMITED,Dialysis Fluids,Divisional Services,"£38,221.50" 31092,24/10/2022,FUJIFILM SONOSITE LTD,Additions - AUC PM,Total Balance Sheet Cost Centres,"£38,010.00" 2414982954 / 000013285506,04/10/2022,EDF ENERGY LTD,Electricity,Divisional Services,"£37,575.16" SIN103595017,10/10/2022,ALLOGA UK LIMITED,WSHT Wellsky Pharmacy Stock,Total Balance Sheet Cost Centres,"£37,555.43" 30133035,03/10/2022,GRANT THORNTON UK,Audit Fees : Statutory,Corporate Services,"£37,500.00" 352160,06/10/2022,DIAVERUM FACILITIES MANAGEMENT LTD,Insourcing and Commercial Sector,Divisional Services,"£37,432.50" LCM1233,05/10/2022,MCBAINS LIMITED,Additions - AUC B,Total Balance Sheet Cost Centres,"£36,075.00" 103598099,25/10/2022,ALLOGA UK LIMITED,Drugs,Divisional Services,"£36,000.00" SIN103510569,26/10/2022,ALLOGA UK LIMITED,WSHT Wellsky Pharmacy Stock,Total Balance Sheet Cost Centres,"£36,000.00" SIN103594956,26/10/2022,ALLOGA UK LIMITED,WSHT Wellsky Pharmacy Stock,Total Balance Sheet Cost Centres,"£36,000.00" SIN103601346,24/10/2022,ALLOGA UK LIMITED,WSHT Wellsky Pharmacy Stock,Total Balance Sheet Cost Centres,"£36,000.00" 707549,04/10/2022,GE MEDICAL SYSTEMS LTD,Additions - AUC PM,Total Balance Sheet Cost Centres,"£35,766.00" INVUK581987,03/10/2022,SOFTCAT PLC,Additions - AUC IT ,Total Balance Sheet Cost Centres,"£35,265.14" 402391075,28/10/2022,CANON (UK) LTD,Contract : Photocopying Rental,Corporate Services,"£35,264.78" 103637,05/10/2022,SALISBURY TRADING LIMITED,Bedding & Linen Non-Disp.,Divisional Services,"£35,043.47" 7402862388,28/10/2022,DELL COMPUTER CORPORATION LTD,Additions - AUC IT ,Total Balance Sheet Cost Centres,"£34,800.00" 442433,25/10/2022,OXFORD HEALTH NHS FOUNDATION TRUST,Drugs,Divisional Services,"£34,517.29" 103586371,04/10/2022,ALLOGA UK LIMITED,Drugs,Divisional Services,"£34,470.00" 467168,13/10/2022,STERIS SOLUTIONS LTD,Additions - AUC PM,Total Balance Sheet Cost Centres,"£34,030.19" 22375526-RI10656,18/10/2022,JOHNSON & JOHNSON MEDICAL LTD,Patient Activity - M&S Equipment PBR Exclusions,Divisional Services,"£33,983.40" TEC PS021/22,20/10/2022,ADUR & WORTHING COUNCILS,Rent,Divisional Services,"£33,866.00" SI01396,05/10/2022,Medneo Diagnostics UK Ltd,Insourcing and Commercial Sector,Divisional Services,"£33,840.00" 1322254640,04/10/2022,ROCHE PRODUCTS LTD,Drugs,Divisional Services,"£33,821.40" 22090022,01/10/2022,Morgan Sindall Construction & Infrastructure Ltd,Additions - AUC B,Total Balance Sheet Cost Centres,"£33,519.37" 7162591823,26/10/2022,BOSTON SCIENTIFIC LTD,M&S Equipment : Disposable,Divisional Services,"£33,008.56" 2123004573,13/10/2022,NHS SUPPLY CHAIN,VAT Debtor < one year,Total Balance Sheet Cost Centres,"£32,806.87" 155519,25/10/2022,EAST SUSSEX HOSPITALS NHS TRUST,Healthcare - Other NHS Bodies,Divisional Services,"£32,745.28" LCM1234,05/10/2022,MCBAINS LIMITED,Additions - AUC B,Total Balance Sheet Cost Centres,"£32,642.00" H636429,29/10/2022,NHS PROPERTY SERVICES LTD,Rent,Corporate Services,"£32,596.00" 132340,14/10/2022,MEDSTROM LTD,Furniture & Fittings,Divisional Services,"£32,490.00" 445553,07/10/2022,BAYER PLC,Drugs,Divisional Services,"£31,935.96" B29F54092,28/10/2022,ALLIANCE HEALTHCARE (DISTRIBUTION)/UNICHEMLTD,Drugs,Divisional Services,"£31,761.08" H638045,29/10/2022,NHS PROPERTY SERVICES LTD,Contract : Estates Management,Corporate Services,"£31,719.79" 3720,05/10/2022,SUSSEX MEDICAL CHAMBERS LTD,Independent Sector,Divisional Services,"£31,689.25" 155516,06/10/2022,DIAVERUM UK LIMITED,Dialysis Fluids,Divisional Services,"£31,653.75" 157920,25/10/2022,EAST SUSSEX HOSPITALS NHS TRUST,Healthcare - Other NHS Bodies,Divisional Services,"£31,252.73" 930886174,10/10/2022,JANSSEN-CILAG LTD,WSHT Wellsky Pharmacy Stock,Total Balance Sheet Cost Centres,"£31,154.72" 402389841,04/10/2022,CANON (UK) LTD,Printing Costs,Corporate Services,"£30,440.04" 1000060384P-GB01,05/10/2022,NHS PROFESSIONALS LTD,Recruitment Finders Fees,Corporate Services,"£30,309.52" 5140593226,25/10/2022,CARL ZEISS LTD,Additions - AUC PM,Total Balance Sheet Cost Centres,"£30,112.73" H636427,29/10/2022,NHS PROPERTY SERVICES LTD,Rent,Corporate Services,"£29,860.12" 100693340,24/10/2022,CELGENE LTD,WSHT Wellsky Pharmacy Stock,Total Balance Sheet Cost Centres,"£29,849.71" 7402855972,07/10/2022,DELL COMPUTER CORPORATION LTD,Additions - AUC IT ,Total Balance Sheet Cost Centres,"£29,590.08" 100694296,31/10/2022,CELGENE LTD,WSHT Wellsky Pharmacy Stock,Total Balance Sheet Cost Centres,"£29,543.56" 2123004730,12/10/2022,NHS SUPPLY CHAIN,VAT Debtor < one year,Total Balance Sheet Cost Centres,"£29,323.04" B29G53676,21/10/2022,ALLIANCE HEALTHCARE (DISTRIBUTION)/UNICHEMLTD,Drugs,Divisional Services,"£29,229.91" SIN103594955,26/10/2022,ALLOGA UK LIMITED,WSHT Wellsky Pharmacy Stock,Total Balance Sheet Cost Centres,"£29,160.00" 3051,06/10/2022,D KNIGHT UK LTD,Additions - AUC B,Total Balance Sheet Cost Centres,"£29,130.96" CAPL-22-30,26/10/2022,CHILDRENS ARK PARTNERSHIP LIMITED,VAT Debtor < one year,Total Balance Sheet Cost Centres,"£29,065.31" 280026895/22,31/10/2022,TOTALENERGIES GAS AND POWER LTD,Gas,Divisional Services,"£29,014.13" 0922/11,17/10/2022,CATER LEYDON MILLARD,M&S Equipment : General,Corporate Services,"£28,944.00" GL185,04/10/2022,GLOBIS LTD,Training Expenses,Corporate Services,"£28,800.00" 1589353,07/10/2022,EUROPEAN ELECTRONIQUE LTD,Computer Maintenance,Corporate Services,"£28,600.02" GI430,28/10/2022,OPTEGRA UK LTD,Insourcing and Commercial Sector,Divisional Services,"£28,303.78" IN5883,03/10/2022,CHANGE GROW LIVE,Do Not Use 007431 (Staff Consultancy & Support),Divisional Services,"£28,134.75" WSH2-378906,27/10/2022,HEALTH PEOPLE,Consultant: Agency,Divisional Services,"£27,840.00" SI-1717,05/10/2022,LD PATH,Laboratory External Tests,Divisional Services,"£27,810.00" 44359,06/10/2022,SUSSEX INTERPRETING SERVICES,A&C: Agency,Corporate Services,"£27,714.49" 1754863,18/10/2022,SRCL LTD,Contract : Refuse & Clin Waste,Divisional Services,"£27,667.81" INV-4945,06/10/2022,IPC Ltd,Agency Other Medical,Divisional Services,"£27,443.98" 159150,25/10/2022,EAST SUSSEX HOSPITALS NHS TRUST,Computer Hardware Purchases,Corporate Services,"£27,201.03" 45788540,05/10/2022,THE ROYAL MARSDEN NHS FNDN TRUST,Healthcare - Other NHS Bodies,Divisional Services,"£27,150.90" 45790102,05/10/2022,THE ROYAL MARSDEN NHS FNDN TRUST,Healthcare - Other NHS Bodies,Divisional Services,"£27,150.90" 103581167,04/10/2022,ALLOGA UK LIMITED,Drugs,Divisional Services,"£27,120.00" 103605774,24/10/2022,ALLOGA UK LIMITED,Drugs,Divisional Services,"£27,120.00" 103613607,31/10/2022,ALLOGA UK LIMITED,Drugs,Divisional Services,"£27,120.00" SI00019307,05/10/2022,HSL PATHOLOGY LIP,Independent Sector,Divisional Services,"£27,034.18" 103585101,04/10/2022,ALLOGA UK LIMITED,Drugs,Divisional Services,"£27,000.00" SIN103542424,26/10/2022,ALLOGA UK LIMITED,WSHT Wellsky Pharmacy Stock,Total Balance Sheet Cost Centres,"£27,000.00" 90308135D 23/09/2022,20/10/2022,AAH HOSPITAL SERVICE,Drugs,Divisional Services,"£26,784.00" 7162577427,03/10/2022,BOSTON SCIENTIFIC LTD,M&S Equipment : Disposable,Divisional Services,"£26,605.44" 6748329,10/10/2022,SURREY & BORDERS PARTNERSHIP NHS FOUNDATION TRUST,Non - Healthcare - Foundation Trusts,Divisional Services,"£26,551.35" INV-2578,27/10/2022,PAGODA SECURITY SERVICES LTD,Ancillary: Agency,Divisional Services,"£26,402.25" 751806485,12/10/2022,ABBOTT LABORATORIES LTD,Laboratory Chemicals,Divisional Services,"£26,210.22" INUK-002419493,24/10/2022,SCIENSUS PHARMA SERVICES LIMITED,WSHT Wellsky Pharmacy Stock,Total Balance Sheet Cost Centres,"£26,146.56" WSH2-380801,27/10/2022,RMR RECRUITMENT LTD,Specialty Registrar: Agency,Divisional Services,"£25,937.12" 994050172,11/10/2022,CSL BEHRING LTD,WSHT Wellsky Pharmacy Stock,Total Balance Sheet Cost Centres,"£25,804.80" 100692329,10/10/2022,BRISTOL-MYERS SQUIBB PHARMACEUTICALS LTD,Drugs,Divisional Services,"£25,801.38" 92586635,04/10/2022,NOVARTIS PHARMACEUTICALS UK LTD,WSHT Wellsky Pharmacy Stock,Total Balance Sheet Cost Centres,"£25,745.77" 2414982954 / 000013285525,12/10/2022,EDF ENERGY LTD,Electricity,Divisional Services,"£25,687.25" 230004548,24/10/2022,BECTON DICKINSON UK LTD,Laboratory Culture Media,Divisional Services,"£25,418.24" 89471764,26/10/2022,PHOENIX HEALTHCARE DIST LTD,Drugs,Divisional Services,"£25,362.00" LCM1235,05/10/2022,MCBAINS LIMITED,Additions - AUC B,Total Balance Sheet Cost Centres,"£25,201.00" 1754862,18/10/2022,SRCL LTD,Contract : Refuse & Clin Waste,Divisional Services,"£25,122.85"