Agenda and minutes

Cabinet - Tuesday, 17 December 2013 2.00 pm

Venue: County Hall, Oxford, OX1 1ND

Contact: Sue Whitehead  Tel: (01865) 810262; E-Mail:  sue.whitehead@oxfordshire.gov.uk

Items
No. Item

135/13

Minutes pdf icon PDF 165 KB

To approve the minutes of the meeting held on 26 November 2013(CA3 to be circulated separately) and to receive information arising from them.

Additional documents:

Minutes:

The minutes of the meeting held on 26 November 2013 were agreed and signed.

136/13

Questions from County Councillors pdf icon PDF 70 KB

Any county councillor may, by giving notice to the Proper Officer by 9 am two working days before the meeting, ask a question on any matter in respect of the Cabinet’s delegated powers.

 

The number of questions which may be asked by any councillor at any one meeting is limited to two (or one question with notice and a supplementary question at the meeting) and the time for questions will be limited to 30 minutes in total. As with questions at Council, any questions which remain unanswered at the end of this item will receive a written response.

 

Questions submitted prior to the agenda being despatched are shown below and will be the subject of a response from the appropriate Cabinet Member or such other councillor or officer as is determined by the Cabinet Member, and shall not be the subject of further debate at this meeting. Questions received after the despatch of the agenda, but before the deadline, will be shown on the Schedule of Addenda circulated at the meeting, together with any written response which is available at that time.

Minutes:

Councillor Roz Smith had given notice of the following question to Councillor Fatemian:

 

“ I note the balance of earmarked reserves linked to on street car parking at 31 March 2014 will be over £1.5million  and that the purpose for which these monies can be used are defined by statue.  Does this huge amount include monies collected from residents’ permits to park on their street in a Controlled Parking Zone (CPZ)?

 

Councillor Fatemian replied:

“On-Street income and expenditure is considered in three areas. On Street Pay & Display, Controlled Parking Zones and Enforcement outside of Controlled Parking Zones. This is different to the finance tables that the County produces which are defined by a legislative requirement for parking account reporting which separates yellow lines from all types of parking bay (including loading and disabled bays ) whether either be inside or outside of CPZ areas. The surplus of approximately £1.5 million is almost exclusively generated from pay & display income. The cost of enforcing controlled parking zones is almost exactly balanced with the income from permits and penalty charge notices issued with the zones. The costs of enforcement of restrictions outside of Controlled Parking Zones is similarly balanced with income from penalty charge notices.”

 

 

137/13

Petitions and Public Address pdf icon PDF 69 KB

Minutes:

The following requests to address the meeting had been agreed:

 

Item 6 – Councillor Nick Hards, Shadow Cabinet Member for Finance

Item 7 – Councillor Nick Hards, Shadow Cabinet Member for Finance

Item 8 – Councillor Nick Hards, local councillor for Didcot West

138/13

2013/14 Financial Monitoring & Business Strategy Delivery Report - October 2013 pdf icon PDF 160 KB

Cabinet Member: Finance

Forward Plan Ref: 2013/113

Contact: Stephanie Skivington, Corporate Finance Manager Tel: (01865) 323995

 

Report by Assistant Chief Executive & Chief Finance Officer (CA6).

 

This report focuses on the delivery of the Directorate Business Strategies which were agreed as part of the Service and Resource Planning Process for 2013/14 – 2016/17. Parts 1 and 2 include projections for revenue, reserves and balances as at the end of October 2013.  Changes to unringfenced grant funding are set out in Part 3 and Capital Programme monitoring is included at Part 4.

 

The Cabinet is RECOMMENDED to:

(a)      note the report;

(b)      approve the virement requests set out in Annex 2a;

(c)      note the updated Treasury Management lending list at Annex 4;

(d)      approve the removal of a residual debt of £19,650 from the Council’s accounts as set out in paragraph 39;  

(e)      agree that the shortfall in revenue grant funding arising from recent unringfenced grant confirmations is met from the Budget Reserve in 2013/14 as set out in paragraph 53;

(f)       approve the changes to the Capital Programme set out in Annex 7c; and

(g)     approve the addition of the project development budget for the A34 Chilton Junction scheme in the Capital Programme as set out in paragraph 62.

Additional documents:

Minutes:

Cabinet considered a report that focussed on the delivery of the Directorate Business Strategies which were agreed as part of the Service and Resource Planning Process for 2013/14 – 2016/17. Parts 1 and 2 included projections for revenue, reserves and balances as at the end of October 2013.  Changes to unringfenced grant funding were set out in Part 3 and Capital Programme monitoring was included at Part 4.

 

Councillor Hards, Shadow Cabinet Member for Finance, made a number of points in relation to the report. In particular he queried why there was a £1m underspend in the Direct Support Grant when schools were financially stressed at the moment; he also referred to the table on page 15 and paragraph 6 and onwards relating to the Children, Education and Families underspend commenting that the two did not appear to relate one to the other. He also made a number of other detailed queries relating to specific items including parking balances and also queried whether pooled budgets could be funded from both revenue and capital sources.

 

Cabinet Members responded to the individual queries. Councillor Heathcoat confirmed that the majority of equipment is returned and that they look at all possible sources of funding. Councillor Fatemian commented that schools were strongly encouraged to spend the DSG money referred to and that any encouragement that Councillors could give in their roles as School Governors would be welcomed. On the parking situation and CEF query he would provide a written reply to Councillor Hards.

 

Councillor Fatemian in proposing the recommendation, commented that a slight overspend was predicted and paid tribute to the Finance Team and officers across the board for achieving such a positive response with the budget variance moving in the right direction. He commented that the largest overspend was in the Social & Community Services budget and experience showed that this was normal at this time of the year with the Director not expecting the figure to grow any further and to decrease between now and the end of the year.

 

During discussion Cabinet noted that there were mechanisms in place to deal with the overspend and highlighted the role of Audit & Governance Committee and the Performance Scrutiny Committee.

 

RESOLVED:                        to:

(a)       note the report;

(b)       approve the virement requests set out in Annex 2a;

(c)       note the updated Treasury Management lending list at Annex 4;

(d)       approve the removal of a residual debt of £19,650 from the Council’s accounts as set out in paragraph 39;  

(e)       agree that the shortfall in revenue grant funding arising from recent unringfenced grant confirmations is met from the Budget Reserve in 2013/14 as set out in paragraph 53; and

(f)       approve the changes to the Capital Programme set out in Annex 7c; and

(g)      approve the addition of the project development budget for the A34 Chilton Junction scheme in the Capital Programme as set out in paragraph 62. 

 

139/13

Service & Resource Planning Report for 2014/15 - 2017/18 - December 2013 pdf icon PDF 142 KB

Cabinet Member: Finance

Forward Plan Ref: 2013/094

Contact: Stephanie Skivington, Corporate Finance Manager Tel: (01865) 323995

 

Report by Chief Finance Officer (CA7).

 

This report is the second in a series on the Service & Resource Planning process for 2014/15 to 2017/18, providing councillors with information on budget issues for 2014/15 and the medium term.  The report sets out draft budget proposals to address shortfalls in funding and other emerging pressures identified over the medium term and provides an update on the latest financial position. The report also provides an update on government consultations and sets out the review of charges.

   

The Cabinet is RECOMMENDED to:

(a)      note the report and that an addenda will be produced following the announcement of the Chancellor’s Autumn Statement;

(b)     consider the pressures and savings set out in Annex 1 in forming its budget proposals in January 2014;

(c)      in relation to the review of charges:

1)     approve the updated Corporate Charging Policy;

2)     note those charges prescribed by legislation;

3)     approve the charges where there is local discretion as set out in Annex 2, giving flexibility to the Outdoor Education Centres to reduce the charge from the maximum rate to take account of demand and seasonal factors, and to vary the charges at Hill End to reflect market demands and any increase in costs (up to a maximum increase of 10% above the proposed rate applicable from 1 April 2014).

Additional documents:

Minutes:

Cabinet had before them the second in a series on the Service & Resource Planning process for 2014/15 to 2017/18, providing councillors with information on budget issues for 2014/15 and the medium term.  The report set out draft budget proposals to address shortfalls in funding and other emerging pressures identified over the medium term and provided an update on the latest financial position. The report also provided an update on government consultations and sets out the review of charges.

 

Councillor Nick Hards, Shadow Cabinet Member for Finance welcomed the improved signs of growth and the improved collection fund predictions referred to in paragraphs 8 and 9 of the report. He expressed concern over the potential impact of the ‘bedroom tax’ on collection rates. He felt that it was unacceptable that the RSG figures were not yet available from central Government. He highlighted the position with regard to Adult Social Care and welcomed the Corporate Charging Policy recognising the need to raise revenue wherever possible.

 

Cabinet Members responded to the points raised and in particular made it clear that top priorities were the care and respect for vulnerable groups including the safeguarding of children.

 

Councillor Fatemian introduced the contents of the report and addenda setting the current process within the context of recent year on year reductions in government grant and highlighting key areas including the impact of demographic changes on demand for services, the review of children’s centres and the review of integrated transport. He referred to the Corporate Charging policy and thanked the Income Generation Cabinet Advisory Group for their work.

 

During discussion the Leader thanked the Cabinet Member and the Chief Finance Officer and her team for the work undertaken and recognised that it would be a challenging and difficult budget.

 

 

 

  

RESOLVED:                        to:

(a)      note the report and also to note the addenda produced following the announcement of the Chancellor’s Autumn Statement;

(b)      consider the pressures and savings set out in Annex 1 in forming its budget proposals in January 2014;

(c)      in relation to the review of charges:

1)     approve the updated Corporate Charging Policy;

2)     note those charges prescribed by legislation;

3)     approve the charges where there is local discretion as set out in Annex 2, giving flexibility to the Outdoor Education Centres to reduce the charge from the maximum rate to take account of demand and seasonal factors, and to vary the charges at Hill End to reflect market demands and any increase in costs (up to a maximum increase of 10% above the proposed rate applicable from 1 April 2014).

 

140/13

New Schools for Great Western Park, Didcot: Shortlist of Academy Trusts pdf icon PDF 91 KB

Cabinet Member: Children, Education & Families

Forward Plan Ref: 2013/152

Contact: Diane Cameron, School Organisation Officer Tel: (01865) 816445

 

Report by Director for Children’s Services (CA9).

 

New schools for Didcot Great Western Park: approval of preferred provider. 

 

The Cabinet meeting of 18 September 2012 approved a process for the identification of sponsors for new academies to meet the needs of population growth such as this which requires 2 new primary schools and one secondary between 2015 and 2017.

 

This process has been followed and has now reached the point where preferred  providers have been identified from a group of 4 short-listed bidders which were assessed against criteria.

 

The Cabinet is asked to consider options and agree one of these options which will be submitted to the Secretary of State for Education for a final decision.

 

The Cabinet is RECOMMENDED to select one of the following options to be submitted to the Secretary of State for Education for final agreement:

 

Option 1

 

To recommend GLF Academy Trust to provide all three of the schools to be run as an all –through school which will make provision for pupils from 4 to 16 on three sites on the Great Western Park development  

 

Option 2a

 

To recommend  GLF Academy Trust  to provide the Secondary school and  Primary School 1 to be run as an all through 4-16 school.

To recommend GEMS Trust provides Primary School 2.

 

Option 2b

 

To recommend GLF Academy Trust  to provide the Secondary School and Primary School 2 to be run as an all through 4-16 school.

To recommend GEMS Trust provides Primary School 1.

Minutes:

The Cabinet meeting of 18 September 2012 approved a process for the identification of sponsors for new academies to meet the needs of population growth such as this which requires 2 new primary schools and one secondary between 2015 and 2017.

 

Following this process  providers have been identified from a group of 4 short-listed bidders which were assessed against criteria .The Cabinet considered a report setting out options and were asked to agree one of the options which will be submitted to the Secretary of State for Education for a final decision.

 

Councillor Nick Hards, speaking as a local Councillor recognised the urgent need for one of the primary schools but expressed some concern over the options presented. In response to a question he indicated that he would like to see the first primary school agreed but without a commitment to the secondary or further primary school.

 

Councillor Tilley, Cabinet Member for Children, Education & Families in moving Option 2(b) commented that she had been very impressed by both GLF Academy Trust and GEMS Trust. Charlotte Christie, Academies and Collaborations Coordinator, added that the much of the criteria used in the evaluation came from the Department for Education (DfE) together with the County’s own specification. All those considered were approved sponsors.

 

During discussion Cabinet noted that the final decision would be taken by the Secretary of State for Education.

 

RESOLVED:             to select option 2(b) set out below to be submitted to the Secretary of State for Education for final agreement:

 

Option 2b

 

To recommend GLF Academy Trust  to provide the Secondary School and Primary School 2 to be run as an all through 4-16 school and to recommend GEMS Trust provides Primary School 1.

 

141/13

Forward Plan and Future Business pdf icon PDF 102 KB

Cabinet Member: All

Contact Officer: Sue Whitehead, Committee Services Manager (01865 810262)

 

The Cabinet Procedure Rules provide that the business of each meeting at the Cabinet is to include “updating of the Forward Plan and proposals for business to be conducted at the following meeting”.   Items from the Forward Plan for the immediately forthcoming meetings of the Cabinet appear in the Schedule at CA.  This includes any updated information relating to the business for those meetings that has already been identified for inclusion in the next Forward Plan update.

 

The Schedule is for noting, but Cabinet Members may also wish to take this opportunity to identify any further changes they would wish to be incorporated in the next Forward Plan update.

 

The Cabinet is RECOMMENDED to note the items currently identified for forthcoming meetings.

Minutes:

The Cabinet considered a list of items for the immediately forthcoming meetings of the Cabinet together with changes notified at the meeting.

 

RESOLVED:          to note the items currently identified for forthcoming meetings, including the following changes to the Forward Plan:

 

Flood Management Risk Strategy to go to Cabinet on 28 January 2014;

 

Chipping Norton – Over Norton Road Zebra Crossing – Item no longer needed and deleted from Cabinet Member for Environment Delegated Decision session on 9 January 2014.