This comprehensive report sets out the
Council’s Treasury Strategies for 2019/20 which are
constructed in full compliance with the CIPFA Treasury Management
in Public Services Code of Practice and the Council's Treasury
Management Policy Statement and Practices
Decision type: Key
Reason Key: Policy Framework & Budget;
Decision status: Recommendations Approved
Wards affected: (All Wards);
Notice of proposed decision first published: 16/11/2018
Decision due: 5 Feb 2019 by Cabinet
Decision due: 21 Feb 2019 by Council Meeting
Lead member: Leader of the Council and Cabinet Member for Policy, Finance and Devolution
Lead director:
Department: Corporate and Support Services
Contact: Lorna Soufian, Corporate and Support Services Email: lorna.soufian@stockport.gov.uk Tel: 0161 474 4026 Jonathan Davies, Corporate and Support Services Email: jonathan.davies@stockport.gov.uk Tel: 218 1025.
Consultation process
The Council has delegated the role of ensuring
effective scrutiny of its Treasury Management Strategy
to the Corporate, Resource Management and Governance Scrutiny
Committee (CRMG). As such, the
views of CRMG were sought and any opinions or suggestions made have
been taken into account when
formulating the Council's strategies for treasury management in
2019/20.
Forward Plan Reference: LDR74
Equality and/or Environmental Impact Assessment: N/A
Relevant Scrutiny Committee for the purpose of call-in: Not applicable