138 Treasury Management Annual Report 2013/2014 PDF 254 KB
Minutes:
The Leader submitted a report providing a review of Treasury Management activities during 2013/2014.
The Council undertakes Treasury Management Activities in accordance with the Chartered Institute of public Finance and Accountancy (CIPFA) Code of Practice on Treasury Management, which requires that the Council receives an annual strategy report by 31 March for the year ahead and an annual review report of the previous year by 30 September.
Delegated decision:
That the Treasury Management Annual Report 2013/2014 be noted.
Reason for the decision:
The Council is required to produce an annual review report in accordance with the CIPFA Code of Practice.
Other option considered and rejected:
To reject the recommendation.