Decision details
Treasury Management Mid Year Report 2024-25
Decision Maker: Executive
Decision status: For Determination
Is Key decision?: Yes
Is subject to call in?: No
Decision:
Following consideration of the officer report, appendices and discussion, the Executive resolved to:
a) Note the mid-year borrowing and investment position and that all treasury activities have been carried out in accordance with the approved Treasury Management Strategy, within the Prudential Limits, and in line with the full delegations to the Section 151 Officer.
b) Approve the report as being in compliance with the CIPFA Code of Practice for Treasury Management and recommends it to Full Council at the next available meeting.
c) Approve the revised Flexible Capital Receipts Policy for 2023/24 & 2024/25 as set out as Appendix B and recommends it to Full Council at the next available meeting.
Report author: Alan Sanford
Publication date: 04/11/2024
Date of decision: 04/11/2024
Decided at meeting: 04/11/2024 - Executive
Accompanying Documents: