Decision details

Treasury Management Monitoring Report to 30th June 2020

Decision Maker: Cabinet

Decision status: Approved

Is Key decision?: No

Is subject to call in?: Yes

Purpose:

This report gives details of performance against the Council’s Treasury Management Strategy & Annual Investment Plan 2020/21 for the first three months of 2020/21.

Decision:

RESOLVED (unanimously) that the Cabinet agreed to:

 

2.1  The Treasury Management Report to 30th June 2020, prepared in accordance with the CIPFA Treasury Code of Practice, is noted.

2.2  The Treasury Management Indicators to 30th June 2020 are noted.

Reasons for the decision:

In February 2012 the Council adopted the 2011 edition of the CIPFA Treasury Management in the Public Services: Code of Practice, which requires the Council to approve a Treasury Management Strategy before the start of each financial year, review performance during the year, and approve an annual report after the end of each financial year.

This report gives details of performance against the Council’s Treasury Management Strategy for 2020/21 for the first three months of 2020/21.

Alternative options considered:

None.

Report author: Jamie Whittard

Publication date: 08/10/2020

Date of decision: 08/10/2020

Decided at meeting: 08/10/2020 - Cabinet

Effective from: 16/10/2020

Accompanying Documents: