Treasury Management Outturn Report 2025/26 / Adroddiad Canlyniad Rheolaeth Trysorlys 2025/26

July 21, 2026 Council (Other) Key decision Approved View on council website
Full council record

Purpose

The report details the activities of the treasury management function during 2025/26 and fulfils the requirements of the CIPFA Code of Practice on Treasury Management and the CIPFA Prudential Code for Capital Finance in Local Authorities.

Decision

Council unanimously agreed to note:

(i)             The Treasury Management borrowing activity for 2025/26 in paragraph 3.1 of the report.

(ii)            The Treasury Management investment activity for 2025/26 in paragraph 3.2 of the report.

(iii)           The review of the Treasury Prudential Indicators in paragraph 3.3 of the report.

(iv)           The Capital Programme in paragraph 3.4 of the report.

Related Meeting

Council - Tuesday, 21 July 2026 - 10.00 am on July 21, 2026

Supporting Documents

Treasury Management Outturn Report 2025-26 for Council.pdf

Details

OutcomeRecommendations Approved
Decision date21 Jul 2026
Expected date21 Jul 2026
Originally due21 Jul 2026