20 Treasury Management Annual Report 2017/18 PDF 292 KB
Minutes:
The Board considered a report of the Operational Director, Finance, which
presented the Treasury Management Annual Report 2017/18.
The report updated the Board on activities undertaken on the money
market as required by the Treasury Management Policy. It provided supporting
information on the economic outlook, interest rate forecast, short term
borrowing rates, long term borrowing rates, borrowing and investments, budget
monitoring, new long term borrowing and treasury management indictors. It was
noted that no debt rescheduling had been undertaken during 2017/18.
RESOLVED: That the report be noted.