The Annual Treasury Management report 2014-2015 is an information report on the in-house treasury management operation for the period 1 April 2014 to 31 March 2015. It compares the actual treasury management activities and prudential indicators for 2014-15 with the planned activity and prudential indicators agreed with the Annual Treasury Management Strategy as this complies with the requirements of both the Treasury Management Code of Practice and the Prudential Code for Capital Finance in Local Authorities issued by The Chartered Institute of Public Finance and Accountability (CIPFA). The Council must comply with these codes through regulations included under the Local Government Act 2003.
Decision type: Non-key
Decision status: Recommendations Approved
Notice of proposed decision first published: 03/09/2015
Decision due: 6 Oct 2015 by Cabinet
Contact: Mr Tony Jackson, Acting Group Accountant (Technical & Exchequer) Email: tjackson@chichester.gov.uk.