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Decision details

Treasury Management Strategy Statement and Annual Investment Strategy Mid-year Review Report 2011/12

Decision Maker: Council

Decision status: Recommendations Approved

Is Key decision?: Yes

Is subject to call in?: No

Purpose:

This report is presented in line with the Chartered Institute of Public Finance and Accountancy (CIPFA) Code of Practice for Treasury Management which suggests that members should be informed of Treasury Management activities at least twice a year, but preferably quarterly.
This report therefore ensures this Council is embracing Best Practice in accordance with CIPFA’s Code of Practice.

Decisions:

The Report of the Portfolio Holder for Corporate Services and Assets presenting Members with the Mid-year review of the Treasury Management Strategy Statement and annual Investment Strategy was considered.

 

RESOLVED:

 

That:

 

1

The Treasury Management Strategy Statement and Annual Investment Strategy Mid-year Review Report 2011/12 be accepted, and;

 

 

2

The revision to the Prudential and Treasury indicators and limits for 2011/12 to 2013/14 contained within the report and at Appendix 1, as a result of the new Housing Finance System be approved, and;

 

 

3

The Inclusion of additional capital expenditure of £45.148m (subject to finalisation) in the 2011/12 Capital programme, to facilitate the capital financing implications of the new Housing Finance system and authorise the Corporate Director Resources to make the payment to DCLG be approved.

 

(Moved by Councillor R Pritchard and seconded by Councillor D Cook)

 

Report author: Phil Thomas

Publication date: 09/01/2012

Date of decision: 13/12/2011

Decided at meeting: 13/12/2011 - Council

Accompanying Documents: