Issue details

Treasury Management Strategy Report 2012/13.

This report provides information on the Council's Treasury Management Strategy for 2012/13. It seeks approval for borrowing limits and authorisation for the Executive Director of Finance and Corporate Governance to arrange the Council's cashflow, borrowing and investments in the year 2012/13.

Decision type: Key

Reason Key: Expenditure/Income over £5m & policies or new income, reserves use, overspend over £300K;

Decision status: Recommendations Approved

Wards affected: (All Wards);

Report access: Open;

Decision due: 30 Jan 2012 by Cabinet

Decision due: 29 Feb 2012 by Full Council

Lead member: Leader of the Council

Department: Finance Department

Contact: Pat Gough Email: pat.gough@lbhf.gov.uk Tel: 0208 753 2542, Rosie Watson Email: Rosie.Watson@lbhf.gov.uk Tel: 020 8753 2563.

Consultation process

Councillors

Consultees

Audit and Pensions Committee

Decisions

Agenda items

Background papers

  • CIPFA Treasury Management Code of Practice.  
  • Loans and Investment Ledgers