The Annual Treasury report is a requirement of
the Council’s reporting procedures.
It covers the Treasury activity for 2021/22, and the actual Prudential Indicators for 2021/22.
The report meets the requirements of both the CIPFA Code of Practice on Treasury Management and the CIPFA Prudential Code for Capital Finance in Local Authorities. The Council is required to comply with both Codes in accordance with Regulations issued under the Local Government Act 2003.
Decision type: Key
Reason Key: Both > £100,000 and effects 2 or more wards;
Decision status: Recommendations Approved
Wards affected: (All Wards);
Notice of proposed decision first published: 01/06/2022
Decision due: 8 Sep 2022 by Cabinet
Decision due: 27 Sep 2022 by Council
Lead member: Portfolio Holder for Finance, Risk and Customer Services
Lead director: Executive Director Finance