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Lot 1 – Technical Assurance
. Engineering design and technical scope
. Optioneering and option-selection processes
. Alignment between need, scope, solution and outcomes
. Deliverability and programme milestones
. Asset-management evidence and decision-making
. Risk registers and technical risk assessments
. Scope changes and change-control processes
. Data lineage, data quality and evidence trails
. Consistency with PR24 submissions, previous regulatory submissions and agreed assumptions
. Environmental, statutory and regulatory drivers
. Dependencies between schemes, programmes and strategic plans
. The completeness, accuracy and robustness of technical evidence used to support Board and regulatory submissions
Lot 2 – Cost & Efficiency Assurance
. Cost-estimating methodologies
. Unit rates and cost build-up assumptions
. Comparative cost assessment and benchmarking including a range of econometric techniques
. Cost drivers and explanatory factors
. Risk, uncertainty and optimism-bias allowances
. Scope-cost alignment
. Allocation between base and enhancement expenditure
. Cost escalation and inflation assumptions
. Change control and change-control processes
. Including, but not limited to checking Stata code and excel packages
. Material movements from PR24 assumptions or other established benchmarks
. Evidence quality and auditability
. Consistency between costs, identified needs, benefits and expected outcomes
Lot 3 – Financial Assurance
. PR29 financial data tables and associated working papers
. Anglian’s use of Ofwat’s financial model
. Feeder models used to populate Ofwat’s financial model
. Financial model controls, including version control, formula integrity, change control, access control, input checks and output reconciliations
. Documented processes for preparing, reviewing, approving and submitting financial information
. Data lineage from source systems, working papers and feeder models through to final submission tables
. Consistency between financial data tables, the financial model, business plan narrative, Board papers and assurance statements
. Financial assumptions, including inflation, interest rates, dividend assumptions, gearing, PAYG, RCV run-off and other relevant financial parameters
. Financeability assessments using both actual and notional capital structures
. Calculation and presentation of relevant financial ratios
. Economic and company-specific scenarios, including the treatment of the CPI/RPI wedge where relevant
. Sensitivity testing and downside scenarios
. Evidence supporting key assumptions and judgements
. The adequacy of commentary explaining material movements, uncertainty, judgement and links to the wider plan
No supplier information available.
This procurement was divided into 3 lots, each awarded separately.
| Lot | Value | Status |
|---|---|---|
| Lot 1 Technical Assurance Jan 2027 – Apr 2036 | £3,850,000 | active |
| Lot 2 Cost & Efficiency Jan 2027 – Apr 2036 | £3,850,000 | active |
| Lot 3 Financial Jan 2027 – Apr 2036 | £3,850,000 | active |
Weightings from the notice, applied to every lot.