Issue - meetings

Treasury Management Outturn Report 2018/19

Meeting: 11/07/2019 - Council (Item 27)

27 TREASURY MANAGEMENT OUTTURN REPORT 2018/19 pdf icon PDF 224 KB

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 and Annual Investment Plan for 2018/19.

:

Additional documents:

Minutes:

The Council considered this report which gives details of performance against the Council’s Treasury Management Strategy and Annual Investment Plan for 2018/19.

 

On a motion from Councillor Richard Samuel, seconded by Councillor Dine Romero, it was unanimously

 

RESOLVED

 

1.  To note the Treasury Management report to 31st March 2019, prepared in accordance with the CIPFA Treasury Code of Practice; and

 

2.  To note the Treasury Management Indicators to 31st March 2019.

: