Corporate Revenue Budget Monitoring Quarter 4 2024/25
July 10, 2025 Approved View on council websiteFull council record
Content
RESOLVED
(1)
That the Portfolio Cash Limit Adjustments, as outlined in Appendix
1 attached to the report, be approved.
(2)
That the General Fund Budget Outturn for 2024/25 be noted.
(3)
That the Earmarked Reserves and General Fund Balance position as at
31st March 2025 be noted.
Related Meeting
Executive Board - Thursday, 10th July, 2025 6.00 pm on July 10, 2025
Supporting Documents
Details
| Outcome | Recommendations Approved |
| Decision date | 10 Jul 2025 |
| Subject to call-in | Yes |