Decision

Treasury and Prudential Indicator Management Report Quarter 2

Decision Maker: Cabinet

Outcome: Decision Made

Is Key Decision?: No

Is Callable In?: Yes

Date of Decision: December 5, 2024

Purpose: To receive the financial position as at the end of September 2024.

Content: RESOLVED –   1.  That the Treasury Management and Prudential Indicator position for 2024/25 be noted   2. That the forecast for investment and bank interest is £2,950,000, an increase of £950,000 from the approved budget of £2,000,000 and a further £150,000 from the Quarter 1 position be noted   REASON FOR DECISION Ensuring effective cash flow management was vital in order to support all the services provided by the Council. The interest received from investments was an important source of income in helping to set a balanced budget

Supporting Documents

Quarter 2 Treasury Management 202425.pdf
Q2 202425 Appendix C.pdf
Q2 202425 Appendix A.pdf
Q2 202425 Appendix B.pdf

Related Meeting

Cabinet - Thursday, 5th December, 2024 6.00 pm on December 5, 2024