Issue - meetings
Treasury Management Strategy
Meeting: 09/02/2016 - EXECUTIVE (Item 102)
102 Treasury Management Strategy and Treasury Policy PDF 24 KB
The report outlines the Treasury Policy and Treasury Management Strategy for 2016/17.
Additional documents:
- Appendix A - Treasury Management Policy, item 102 PDF 49 KB
- Appendix B - Treasury Management Strategy Statement, item 102 PDF 118 KB
- Appendix C - Prudential Indicators and MRP, item 102 PDF 20 KB
Decision:
RECOMMENDED to Council
That the Treasury Management Policy, Treasury Management Strategy Statement and Prudential Indicators for 2016/17, be approved.
Minutes:
The Executive considered a report of the Executive Member for Corporate Resources outlining the proposed Treasury Policy and Treasury Management Strategy for 2016/17.
Reason for decision: To enable an effective treasury management framework to continue to be in place, in line with the CIPFA Treasury Management in the Public Services: Code of Practice (2011 edition) and the CIPFA Prudential Code for Capital Finance in Local Authorities (2011 edition).
RECOMMENDED to Council
that the Treasury Management Policy, Treasury Management Strategy Statement and Prudential Indicators for 2016/17, be approved.