Decision

Treasury Management Update Quarter 3 2024/25

Decision Maker: Cabinet

Outcome: Recommendations Approved

Is Key Decision?: Yes

Is Callable In?: Yes

Date of Decision: February 12, 2025

Purpose: The report outlines the treasury management activities of the Council in the third quarter of 2024/25.

Content: RESOLVED:   That Cabinet reviewed the position as set out in the report:   a)    Noted that new borrowing of £25m has been taken out during quarter 3, in line with the Treasury Management Strategy 2024/25. This is part of the replacement of internal borrowing (using internal balances) with external borrowing (as internal balances have been reduced).   b)    Noting the summary of the wider economic environment and the Council’s borrowings and investments set out in Appendix A   c)     Noting the performance within prudential indicators for quarter 3, 2024/25 (Appendix B)

Supporting Documents

20250212 Appendix A - Shropshire Council Monthly Investment Report December 2024.pdf
20250212 Appendix C Prudential Borrowing Approvals-105120L22.pdf
20250212 Appendix D Economic Background and Borrowing Update.pdf
20250212 Appendix B Prudential Indicators for Quarter 3.pdf
Treasury Management Update Quarter 3 2024.25-13122024 1425.pdf

Related Meeting

Cabinet - Wednesday, 12th February, 2025 10.30 am on February 12, 2025