Decision details
Treasury Management Strategy Statement 2024/25 - 2028/29
Decision Maker: Executive
Decision status: Decision Made
Is Key decision?: No
Is subject to call in?: Yes
Purpose:
Purpose of Report: To set out the treasury management strategy, including the annual investment strategy and the minimum revenue provision policy statement and prudential indicators.
Members will be asked: To recommend the strategy to full Council
Decision:
Recommended:
i. That Council, in accordance with the Local Government Act 2003 (revised), approve:
a) The proposed Treasury Management Strategy for 2024/25 including the Annual Investment Strategy and the Minimum Revenue Provision policy statement;
b) The prudential indicators for 2024/25 to 2028/29 in the main body of the report;
c) The specified and non-specified investments schedule (Annex B);
d) The scheme of delegation and the role of the Section 151 officer (Annex D).
Reason: To ensure the continued effective operation and performance of the Council’s Treasury Management function and ensure that all Council treasury activity is prudent, affordable and sustainable and complies with policies set.
Report author: Debbie Mitchell
Publication date: 26/01/2024
Date of decision: 25/01/2024
Decided at meeting: 25/01/2024 - Executive
Effective from: 02/02/2024
Accompanying Documents:
- Treasury Management Strategy Report PDF 688 KB View as HTML (1) 338 KB
- Annex A PDF 131 KB View as HTML (2) 15 KB
- Annex B Specified and Non-Specified Investment Categories PDF 427 KB View as HTML (3) 67 KB
- Annex C Approved Countries for Investments PDF 113 KB View as HTML (4) 12 KB
- Annex D Treasury Management Scheme of Delegation PDF 299 KB View as HTML (5) 16 KB