This Council is required by regulations issued
under the Local Government Act 2003 to produce an annual treasury
management review of activities and the actual prudential and
treasury indicators for 2017/18. This report meets the requirements
of both the CIPFA Code of Practice on Treasury Management, (the
Code), and the CIPFA Prudential Code for Capital Finance in Local
Authorities, (the Prudential Code).
Decision type: Key
Reason Key: Policy Framework & Budget;
Decision status: Recommendations Approved
Wards affected: (All Wards);
Notice of proposed decision first published: 16/05/2018
Decision due: 17 Jul 2018 by Cabinet
Decision due: 13 Sep 2018 by Council Meeting
Lead member: Leader of the Council and Cabinet Member for Policy, Finance and Devolution
Lead director: Borough Treasurer
Department: Corporate and Support Services
Contact: Lorna Soufian, Corporate and Support Services Email: lorna.soufian@stockport.gov.uk Tel: 0161 474 4026.
Consultation process
CRMG received training in December 2016 when
they were consulted on the initial Treasury Management Strategy
report for 2017/18. They have received regular update reports
throughout the financial year at Q1 and Q3 and the mid-year review
report.
Forward Plan Reference: LDR67
Equality and/or Environmental Impact Assessment: An Equality Impact Assessment was undertaken as part of the first Strategy Report for the 2017/18 financial year.
Relevant Scrutiny Committee for the purpose of call-in: Not applicable