Issue - meetings

Treasury Management Strategy and Annual Investment Strategy - TO FOLLOW

Meeting: 14/03/2024 - Audit and Scrutiny Committee (Item 13)

13 Treasury Management Strategy and Annual Investment Strategy pdf icon PDF 745 KB

Report by Section 95 Officer

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Additional documents:

Minutes:

Consideration was given to a report which outlined the proposed Treasury Management Strategy Statement and Annual Investment Strategy and set out the policy for the repayment of loans fund advances for 2024-25. 

 

Decision

 

The Audit and Scrutiny Committee:-

 

1.    agreed to endorse the proposed Treasury Management Strategy Statement and Annual Investment Strategy and the indicators contained within;

 

2.    noted the continued use of the asset life method for the repayment of loan fund advances using a 5.1% annuity interest rate, with the exception of spend to save schemes where the funding/income profile method could be used;

 

3.    noted the proposed asset repayment periods as detailed within section 2.7 of the Treasury Management Strategy Statement; and

 

4.    noted the ability to continue to use countries with a sovereign rating of AA- and above, as recommended by the Council’s external treasury management advisors. 

 

(Reference:  Report by Head of Financial Services, dated 15 February 2024, submitted)

 

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