Decision details
Revenue and Capital Outturn 2021/22
Decision Maker: Cabinet
Decision status: Approved
Is Key decision?: No
Is subject to call in?: Yes
Purpose:
The report presents the revenue and capital
outturn for financial year 2021/22.
Decision:
(1) To note the revenue budget outturn on budget position for 2021/22, after allowing for carry forwards and transfers to reserves.
(2) To approve the revenue carry forward proposals listed in the tables in paragraph 3.30 of the report.
(3) To approve that all other over budgets are written-off as an exception to the Budget Management Rules for 2021/22.
(4) To approve the transfer of £4.03m to corporate earmarked reserves, the breakdown of which is detailed in paragraph 3.31 of the report.
(5) To note the revenue virements for 2021/22 reported for information in Appendix 2(i) of the report.
(6) To note the reserve positions and the use of flexible capital receipts shown in paragraphs 3.40-3.43 of the report.
(7) To note the outturn position of the 2021/22 capital programme in paragraph 3.52, and the funding outlined in paragraph 3.54 of the report.
(8) To approve the capital rephasing and write-off of net underspends as listed in Appendix 3 of the report. This reflects the outturn spend position on projects against final budgets as detailed in Appendix 4(ii) of the report.
Reasons for the decision:
The report identifies that, after allowing for carry forwards and transfers to corporate reserves, the Council delivered a favourable outturn position of £4.03m in 2021/22.
A favourable outturn position, considering the financial pressures caused by the Covid-19 pandemic and subsequent recovery period, demonstrates strong financial management across the organisation. Income has not recovered to pre-pandemic levels and unprecedented demand pressures continue in all core services, including Adult Social Care, Children’s Social Care and Education, Wellbeing Services and Waste Services.
The annual Medium-Term Financial Strategy and planning process
allocates resources across services with alignment of these
resources towards the Council’s corporate priorities. This
report monitors how the Council has performed against the budget
and Capital Programme set in February 2021.
Alternative options considered:
The option to carry forward over budgeted spend could be considered which would mean that services would have to make up any deficits in 2022/23 with a considerable impact on service delivery especially in light of the challenging economic environment in 2022/23 and possibly beyond.
Report author: Paul Webb
Publication date: 15/07/2022
Date of decision: 14/07/2022
Decided at meeting: 14/07/2022 - Cabinet
Effective from: 23/07/2022
Accompanying Documents:
- E3371 Decision - Revenue and Capital Outturn 2021-22 PDF 90 KB
- 15 - Revenue and Capital Outturn Cabinet Report 21-22 PDF 886 KB
- Appendix 1 - Revenue Monitoring Commentary PDF 149 KB
- Appendix 2(i) - Revenue Outturn Virements PDF 227 KB
- Appendix 2(ii) - Final Revenue Cash Limits PDF 214 KB
- Appendix 3 - Capital Variances and Rephase Requests PDF 191 KB
- Appendix 4(i) - Capital Virements Jan-Mar 2021 PDF 225 KB
- Appendix 4ii - Capital Cashlimits PDF 179 KB