105 Treasury Management Mid Term Review (2014/15) PDF 379 KB
Cabinet Member: Finance
Forward Plan Ref: 2015/060
Contact: Lewis Gosling, Financial Manager - Treasury Management Tel: (01865) 323988
Report by Chief Finance Officer (CA7).
The report sets out the Treasury Management activity undertaken in the first half of the financial year 2015/16 in compliance with the CIPFA Code of Practice. The report includes Debt and Investment activity, Prudential Indicator monitoring and forecast interest receivable and payable for the financial year.
The Cabinet is RECOMMENDED to note the report, and to RECOMMEND Council to note the Council’s Mid-Term Treasury Management Review 2015/16.
Decision:
Recommendation agreed.
Minutes:
Cabinet considered a report that set out the Treasury Management activity undertaken in the first half of the financial year 2015/16 in compliance with the CIPFA Code of Practice. The report included Debt and Investment activity, Prudential Indicator monitoring and forecast interest receivable and payable for the financial year.
Councillor Stratford introduced the contents of the report. In moving the recommendation he thanked the Treasury Management Team for their work. A view endorsed by cabinet who appreciated the careful approach that also gave decent returns
The Cabinet is RECOMMENDED to note the report, and to RECOMMEND Council to note the Council’s Mid-Term Treasury Management Review 2015/16.