Decision

Budget and Council Tax 2025/26 and Financial Outlook

Decision Maker: Cabinet

Outcome: Approved

Is Key Decision?: Yes

Is Callable In?: Yes

Date of Decision: February 13, 2025

Purpose: This report presents the revenue and capital budgets together with proposals for increases in Council Tax and the Adult Social Care Precept for 2025/26.

Content: (1)  To recommend Council to approve:   ·  The General Fund net revenue budget for 2025/26 of £151.71m and the individual service cash limits for 2025/26 as outlined in Annex 1 of the report.   ·  The savings and income plans outlined in Annex 2(i), funding requirements 2(ii), in conjunction with the Equalities Impact Assessment Report in Annex 3 of the report.   ·  An increase in Council Tax of 2.99% in 2025/26 (an increase of £51.92 per Band D property or £1 per week).   ·  An increase of 2% to Council Tax for the Adult Social Care Precept in recognition of the current demands and financial pressures on this service. This is equivalent to an increase of £34.72 on a Band D property (67p per week).   ·  The movement in reserves outlined in section 5.6 and the adequacy of Un-earmarked Reserves at £12.58m within a risk assessed range requirement of £11.8m - £13.0m.   ·  To note the Children’s Services management plan update set out in section 5.2.6 of the report.   ·  The Efficiency Strategy attached at Annex 4 of the report.   ·  The Capital Programme for 2025/26 of £76.41m including new and emerging capital bids outlined in Annex 5(i), planned sources of funding in 5.8.3, and notes the programme for 2026/27 to 2029/30 and that any wholly funded projects coming forward during the year will be added to the Capital Programme in line with the Budget Management Scheme.   ·  The delegation of implementation, subject to consultation where appropriate, of the capital programmes set out in Annex 5(i) to Annex 5(iv) to the relevant Director in consultation with the appropriate Cabinet Portfolio Holder.   ·  The Community Infrastructure Levy (CIL) allocations and amendments outlined in Annex 5(v) of the report.   ·  The Capital & Investment Strategy attached at Annex 6 of the report.   ·  The MRP Policy attached at Annex 7 of the report.   ·  The Capital Prudential Indicators outlined in 5.8.7 of the report.   ·  The Annual Pay Policy Statement at Annex 8 of the report.   ·  The Community Contribution Fund extension outlined section 5.5 of the report.   ·  The Council Tax Support Scheme for 2025/26 shown in the following link:  https://www.bathnes.gov.uk/sites/default/files/2025-01/Bath%20%26%20NE%20Someset%20S13A%20202526%20FINAL%20.pdf and referred to in 5.3.5 of the report.   ·  The Fees and Charges schedule for 2025/26 at Annex 11 of the report and support its publication following approval of the budget, with delegation to amend individual costs within the schedule in line with market needs, to the Director of Place Management, in consultation with the appropriate Cabinet Portfolio Holder.   (2)  That the Council include in its Council Tax setting, the precepts set and approved by other bodies including the local precepts of Town Councils, Parish Councils, and Charter Trustees of the City of Bath, and those of the Fire and Police Authorities.   (3)  To note the S151 Officer’s report on the robustness of the proposed budget and the adequacy of the Council’s reserves outlined in 5.7 of the report.   (4)  To note the budget consultation responses in Annex 10, and the PDS Panel feedback in Annex 12 of the report.   (5)  To authorise the Council’s S151 Officer, in consultation with the Portfolio Holder for Resources, to make any necessary changes to the draft budget proposal for submission to Council.

Supporting Documents

Bath %26 NE Someset S13A 202526 FINAL .pdf
E3590 - Annex 8 - Council Pay and Reward Policy 2025-26.pdf
E3590 - Budget and Council Tax 2025-26 and Financial Outlook.pdf
E3590 - Annex 2i - 2025-26 to 2027-28 Budget Savings and Income Generation Proposals.pdf
E3590 - Annex 1 - Portfolio Cash Limits 2025-26 - Proposed Revenue Budget.pdf
E3590 - Annex 2ii - 2025-26 to 2027-28 Budget Funding Requirements.pdf
E3590 - Annex 3 - Equalities Impact Assessment of 2025-26 Budget Proposals.pdf
E3590 Decision - Budget and Council Tax 2025-26 and Financial Outlook.pdf
E3590 - Annex 5 i - 2025-26 New and Emerging Capital Schemes.pdf
E3590 - Annex 5 iii - Transport Improvement Programme.pdf
E3590 - Annex 3i - Equality Impact Introduction and Legal Background.pdf
E3590 - Annex 5 ii - Highways Maintenance Programme.pdf
E3590 - Annex 4 - Efficiency Strategy.pdf
E3590 - Annex 6 - Capital and Investment Strategy.pdf
E3590 - Annex 5 - Draft Capital Programme 2025-26 to 2029-30.pdf
E3590 - Annex 5 v - Community Infrastructure Levy CIL Allocations.pdf
E3590 - Annex 5 iv - Corporate Estate Planned Maintenance Programme.pdf
E3590 - Annex 7 - Minimum Revenue Provision Policy.pdf
E3590 - Annex 10 - Budget 2025-26 Consultation Report.pdf
E3590 - Annex 11 - Fees and Charges Brochure 2025-26.pdf
E3590 - Annex 9 - Advice of Monitoring Officer on the Budget Setting Process.pdf
E3590 - Annex 12 - PDS Panel Budget Scrutiny Feedback.pdf

Related Meeting

Cabinet - Thursday, 13th February, 2025 6.30 pm on February 13, 2025