122 Treasury Management Strategy Statement 2019/20 PDF 280 KB
Minutes:
1. That approval be given to the future borrowing and investment strategies as outlined in this report and that the Strategic Finance Director, in consultation with the Cabinet Member for Finance, be authorised to manage the Council’s cash flow, borrowing and investments in 2019/20 in line with this report.
2. In relation to the Council’s overall borrowing for the financial year, to approve the Prudential Indicators as set out in this report and the revised Annual Investment Strategy set out in Appendix E.