Treasury management outturn report for 2025/26
A report summarizing the council's treasury management activities for the 2025/26 financial year, ensuring compliance with CIPFA's Treasury Management code, and detailing borrowing, strategy, debt rescheduling, investment rates, and treasury limits.
Policy
Primary Focus Meetings
2 meetings
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the Audit and Risk Management Panel of Greenwich Council
July 21, 2026 • GreenwichPrimary -
the Overview and Scrutiny Committee of Redbridge Council
July 13, 2026 • RedbridgePrimary