Issue details

Treasury Management Strategy and Annual Investment Strategy 2013/2014

Summary

The annual presentation of a Treasury Strategy is a requirement under the CIPFA Code of Practice on Treasury Management adopted by the Council in July 2003 and the Local Government Act 2003 requires that the Council determine and keep under review how much it can afford to borrow.

 

Access to Information

The report together with any other documents being considered (unless they contain exempt information) will be available for inspection 5 clear days before the decision is taken by the Cabinet. Copies are available on the Council's website or requested from Democratic Services Medway Council, Gun Wharf, Dock Road, Chatham, Kent, ME4 4TR or email democratic.services@medway.gov.uk

 

If you wish to submit information to the Cabinet about the item please also contact Democratic Services.

Decision type: Key

Decision status: Decision made

Decision due: 12 Feb 2013 by Cabinet

Lead member: Councillor Alan Jarrett, Leader of the Council alan.jarrett@medway.gov.uk

Lead director: Neil Davies

Department: Business Support Department

Contact: Andy Larkin, Finance Support Manager Email: andrew.larkin@medway.gov.uk Tel: 01634 332317.

Relevant Overview and Scrutiny Committee:: Business Support

Agenda items

Background papers