Search site
»

A Plan or Strategy for the control of the Council's borrowing or capital expenditure

This is considered under the requirement of the CIPFA Code of Practice on Treasury Management.

The Council has customarily considered an annual Treasury Strategy Statement under the requirement of the CIPFA Code of Practice on Treasury Management. The 2003 Prudential Code for Capital Finance in local authorities introduced requirements for the manner in which capital spending plans are to be considered and approved, and in conjunction with this, the development of an integrated treasury management strategy.