Asset Valuation Services for 2025-26 Financial Statements
Valuations of assets to support the 2025/26 financial statements to ensure the carrying value of non-current assets are materially accurate as at 31 March 2026. This involves carrying out 364 valuations across operational, investment, surplus, assets held for sale and change in use portfolios. This contract has been pr…
Source ID: UK-ocds-b5fd17-d9c02f35-9235-4d1f-b01c-6a2f668e145c
Estimated value
As published by the source; may be updated by the buyer.
Scope overview
Valuations of assets to support the 2025/26 financial statements to ensure the carrying value of non-current assets are materially accurate as at 31 March 2026. This involves carrying out 364 valuations across operational, investment, surplus, assets held for sale and change in use portfolios.
This contract has been procured as a call-off contract from the Crown Commercial Service Estates Management Services Framework Agreement RM6168.
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