Venue: To be held remotely, contact Clerk for access
Contact: Ann Jones Email: ann.jones@halton.gov.uk or 0151 511 8276 or Gill Ferguson Email: gill.ferguson@halton.gov.uk or 0151 511 8059
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Minutes: The Minutes of the meeting held on 21 January 2021 were taken as read and signed as a correct record. |
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Leader's Portfolio |
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Minutes: The Executive Board received a
report from the Chief Executive, which provided the urgent decision/s taken
since the last meeting of the Board and during the COVID-19 Pandemic. It was noted
that the Council’s constitution gave authority to the Chief Executive to take
urgent decisions, in consultation with the Leader of the Council and the
Operational Director Finance and/or the Operational Director Legal and
Democratic Services, where necessary. A list of these
decision/s were provided to Members in the report and full details were
published on the Council’s website. RESOLVED: That the urgent decision taken since the last
meeting of the Executive Board be noted. |
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Children, Education & Social Care Portfolio |
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Home to School Travel and Transport Policy - Key Decision PDF 67 KB Additional documents: Minutes: The Board received the Home to
School Travel and Transport Policy, as required under the Department for
Education (DfE) Home to School Travel and Transport
Guidance (statutory guidance) 2014; the Education Act 1996; and the Education and
Inspections Act 2006. It was noted that the Council’s current Policy
was regularly reviewed to ensure it met statutory requirements. Further to an investigation made by the Local
Government Ombudsman, the Council was asked to
consider some recommendations that would further enhance the Policy and assist
parents and carers in their understanding of school admissions and eligibility
to assistance with transport. The revised Policy incorporated the Ombudsman’s recommendations and
there were no changes to the eligibility criteria, which were statutorily
set. It was noted
that in addition to the minor Policy amendments, a revision of the guidance
notes and application forms was in progress.
These would provide enhanced information for parents and carers and
support them with their application for assistance with transport. Reason(s) for
Decision The decision is required
to fulfil the Council’s statutory duty to promote the use of sustainable travel
and transport and provide assistance with transport to
eligible children and young people. Alternative
Options Considered and Rejected None. Implementation
Date With immediate
effect following approval. RESOLVED: That the Executive
Board approve the Home to School Travel and Transport Policy 2020-21 (Statutory
School Age) for implementation, with immediate effect. |
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Youth Provision - Key Decision PDF 87 KB Minutes: The Board considered a report from the Strategic Director – People, which provided an update on the Integrated Youth Support Service consultation and proposed future model. The report provided details of feedback from the recent Halton Youth Provision consultation and set out the Council’s proposed response. It was noted that the consultation evidenced that there was support for the proposed model and areas of agreement included: the need to work in partnership across all sectors, the importance of valuing volunteers and existing local voluntary and community provision providers, and the need for qualified workers to support those children and young people in most need. Further, the proposal put forward had taken account of the feedback whilst also recognising the financial challenges faced, the changing service needs and the current and future landscape due to Covid-19. Reason(s) for Decision To agree the future shape of youth services in Halton Alternative Options Considered and Rejected To put the service out to the market as one commission. This was rejected, as it did not allow local organisations with good local networks the opportunity to provide a service. Implementation Date 1 April 2021. RESOLVED: That the Executive Board approves the implementation of a new model of grant funded and commissioned Youth Provision across Halton.
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Apetito (provision of meals to St Luke’s and St Patrick’s Care Homes) : Direct Award PDF 84 KB Minutes: The Board received a report from the Strategic Director – People, which sought a waiver in compliance with Procurement Standing Order 1.14.4 (v) of Part 3, for the granting of a Direct Award to ‘Apetito’ for the supply of pre-prepared meals to St Luke’s and St Patrick’s Care Homes, from 1 March 2021 to 28 February 2022. The report outlined the rationale behind the waiver request and the ongoing challenges faced by care homes in responding to the Pandemic was recognised. A more permanent interim arrangement was needed therefore, until the service had capacity to complete a full review of catering in care homes. The above waiver was requested, with the option to extend for a further 12 months should the Pandemic continue to place pressures. RESOLVED: That Executive Board 1) note the contents of the report and associated appendix; and 2) approve a waiver in compliance with Procurement Standing Order 1.14.4 (v) of Part 3, for the Direct Award to ‘Apetito’ for a period of one year. |
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Minutes: The Board considered a report from the Strategic Director – People, which requested a waiver in compliance with Procurement Standing Order 1.14.4 (iv) of Part 3, to allow the continuation of a contract with ‘We are With You’ to deliver, on behalf of the Council, the Pan Cheshire Missing from Home and Care Service, for a period of one year from 1 July 2021 to 30 June 2022. The report outlined the rationale for the request and the value of the contract extension. It was noted that all contributing local authorities had agreed to continue with a joint commissioning approach with Halton acting as the lead. RESOLVED: That Executive Board 1) note the contents of the report; and 2) approve a waiver in compliance with Procurement Standing Order 1.14.4 (non emergency procedures – exceeding a value threshold of £1000,00) to allow the continuation of a contract with ‘We are With You’ to deliver the Pan Cheshire Missing from Home and Care Service, for a period of one year. |
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Health & Wellbeing Portfolio |
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Additional documents:
Minutes: The Board considered a report from the Chief Executive, which presented the proposed reforms on the Integration of Health and Social Care. This included the proposed Memorandum of Understanding and a request for a representative from Halton to join the Cheshire and Merseyside Health and Care Partnership (C&MHCP) Board. Appended to the report was the Council and Liverpool City Region’s joint response to the consultation on the proposals at appendix one; and appendix two contained the correspondence from Alan Yates (Chair, C&MHCP) and the Memorandum of Understanding – January 2021. RESOLVED: That the Executive Board 1) note the contents of the letters; 2) agree the proposed Memorandum of Understanding; and 3) agree that the Chair of the Halton Health and Wellbeing Board represent Halton on the Cheshire and Merseyside Health and Care Partnership Board. |
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Children, Education & Social Care Portfolio and Economic Development Portfolio |
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Cradle to Career Transformation of Children and Young People's Outcomes PDF 74 KB Minutes: The Board received a report from the Strategic Director – People, informing of a forthcoming initiative with philanthropists and Right to Succeed, in collaboration with the Liverpool City Region (LCR) to deliver a place shaping transformational approach for children and young people in an agreed ward. It was reported that the Steve Morgan Foundation had been working collaboratively with SHINE, the Right to Succeed and the LCR to deliver a place based transformation programme for children and young people in North Birkenhead; details of this pilot project were provided in the report. The ambition of the programme was to provide place based intense support from cradle to career to lift aspirations and achievement, thus the overall wellbeing of the next generation and the community. Discussions were being held with the LCR and Right to Succeed about replicating this approach in Halton. Further to dialogue with Children’s Services and Regeneration, Halton Lea Ward had been identified as an appropriate area to participate in the programme, the reasons were outlined in the report together with the indicative budget information. RESOLVED: That Executive Board 1) note the report; and 2) approve Halton Lea Ward to be the area to benefit from the support and focussed approach of the programme. |
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Environmental Services Portfolio |
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Halton Smart Micro Grid PDF 903 KB Additional documents: Minutes: The Board considered a report from the Chief Executive, which presented the proposals for the development of a smart micro grid that would seek to decarbonise Council buildings, electricity, heating and transport, via the culmination of several technologies. It was noted that the Council completed construction of a 1MW Solar Farm connected by private wire to the DCBL Stadium on the former St Michael’s Golf Course in September 2020. Following completion of the project further feasibility work had been undertaken to see if there was scope to extend the Solar Farm and create a micro grid connecting other Council buildings. The report provided details of the key features of the feasibility study and the provisional costings of the schemes discussed. RESOLVED: That Executive Board agree 1) that a formal bid be made to the Strategic Investment Fund for 50% funding of the estimated total project costs (circa £4,971k); 2) that a bid of £60k be made to the Energy from Waste Environmental Fund to support pre development costs; and 3) subject to a successful Strategic Investment Fund Bid, a further report be brought to Executive Board setting out a detailed financial case to support the project. |
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Resources Portfolio |
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Budget 2021-22 - Key Decision PDF 167 KB Minutes: The Board considered a report of the Operational Director, Finance,
which outlined a recommendation to Council in respect of the Budget, Capital
Programme and Council Tax for 2021/22. The Medium Term Financial Strategy
(MTFS) was approved at the Executive Board meeting on
19 November 2020. It was
noted that there were funding gaps of around £15.2m in 2021/22, £3.9m in
2022/23 and £3m in 2023/24. The Strategy
had the following objectives: ·
Deliver
a balanced and sustainable budget; ·
Prioritise
spending towards the Council’s priority areas; ·
Avoid
excessive Council Tax rises; ·
Achieve
significant cashable efficiency gains; ·
Protect
essential front line services and vulnerable members of the community; and ·
Deliver
improved procurement. In terms of consultation, it was noted that the
Council used various methods to listen to the views of the public, and Members’
own experiences through their Ward work was an important part of that
process. Individual consultations had
taken place in respect of specific budget proposals and equality impact
assessments would be completed where necessary. The proposed revenue budget for 2021/22 totalled £111.446m. Appendix B outlined proposed budget savings
for 2021/22, totalling £1.369m. The
departmental analysis was shown in Appendix C and the
major reasons for change from the current budget were shown in Appendix D. The Board was advised the final Local
Government Finance Settlement figures were awaited, along with confirmation of
some 2020/21 grant allocations including the Public Health grant. It was confirmed
that the Council would continue to participate in the pilot of the 100%
Business Rates Retention Scheme, as part of the Liverpool City Region (LCR). Further information was provided on the budget
outlook, Halton’s Council Tax, Precepts for Parishes, Police, Fire and
Liverpool City Region Mayor, the Capital Programme, Prudential Code and School
Budgets. RESOLVED: That 1)
Council
be recommended to adopt the resolution set out in Appendix A, which includes
setting the budget at £111.446m, the Council Tax requirement of £54.509m
(before Parish, Police, Fire and LCR Combined Authority precepts) and the Band
D council Tax for Halton of £1,549.34; and 2)
Council
be recommended to approve the revenue budget proposals
for 2021/22 set out in Appendix B and capital programme set out in Appendix F. |
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Revenue Spending as at 31 December 2020 PDF 280 KB Minutes: The Board received a report from
the Operational Director – Finance, which reported the Council’s overall
revenue net spending position as at 31 December 2020 together with an initial
forecast outturn position, and reported the financial impact of Covid-19 and
the Government funding made available to the Council to date. A summary of spending against the
operational revenue budget up to 31 December 2020 was
presented in Appendix 1 and Appendix 2 provided detailed figures for
each individual Department. In overall terms the outturn forecast for the year showed that net
spend would be over the approved budget by £1.180m. It was noted that in
comparison to the forecast overspend of £4.752m reported at the end of September
2020, this represented a significantly improved position. Appendix 3 presented the Capital Programme as
at 31 December 2020. RESOLVED: That 1) all spending continues to be limited to only absolutely essential items; 2) departments seek to implement those approved budget savings proposals which currently remain to be actioned; 3) Strategic Directors take urgent action to identify areas where spending could be reduced or suspended for the remainder of the current financial year; and 4)
Council be requested to
approve the revisions to the Capital Programme as set out in paragraph 3.18. |
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Capital Strategy 2021-22 PDF 155 KB Minutes: The Board considered a report of the Operational Director – Finance, on
the Council’s Capital Strategy for 2021/22. It was reported
that all councils were required to produce a Capital Strategy annually, the aim
of which was to ensure that the Council understood the overall long-term policy
objectives and resulting capital strategy requirements, governance procedures
and risk appetite. Members were
advised that the Capital Strategy should be read in conjunction with the
Treasury Management Statement, included on the same agenda. It was noted that
the successful delivery of the Capital Strategy would assist the Council in
planning and funding its capital expenditure over the next three years. RESOLVED: That Council
be recommended to approve the 2021/22 Capital Strategy, as presented
in the Appendix attached to the report. |
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Treasury Management Strategy Statement 2021-22 PDF 226 KB Minutes: The Board
considered the Treasury Management Strategy Statement, (TMSS) which
incorporated the Annual Investment Strategy (AIS) and the Minimum revenue
Provision (MRP) Strategy for 2021/22. The TMSS was appended to the report and detailed the expected activities
of the treasury function in the forthcoming financial year (2021/22). Its production and submission to Council was
a requirement of the CIPFA Prudential Code and the CIPFA Treasury Management
Code. The
Local Government Act 2003 required the Council to have regard to the Prudential
Code and to set Prudential Indicators for the next three years, to ensure that
the Council’s capital investment plans were affordable, prudent and
sustainable. The Act
therefore required the Council to set out its treasury strategy for borrowing and
to prepare an Annual Investment Strategy, which set out the Council’s policies
for managing its investments and for giving priority to the security and
liquidity of those investments.
Government guidance notes stated that authorities could combine the TMSS
and the AIS into one report, which the Council had done and was included in
Section 4. Members
noted that the provision of a Minimum Revenue Provision Policy Statement was
required and a formal statement for approval was contained within the report at
paragraph 2.3, with the full policy shown in Appendix A. RESOLVED:
That Council be recommended to adopt the policies,
strategies, statements, prudential and treasury indicators outlined in the
report. |
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Pensions Discretion Statement PDF 57 KB Additional documents: Minutes: The Board received a report of the Strategic Director, Enterprise,
Community and Resources, on the annual publication of the Pensions Discretion
Statement. The Board was advised that the 2021/22 Statement
was based on the previous Statement (2020/21) and that no new discretions had
been either added or removed. In addition, there had been no material changes to the Local
Government Pension Scheme Regulations 2013 that would result in a change in the
Statement. RESOLVED: That the Pensions Discretion Statement for 2021/22 be approved. |
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Additional documents: Minutes: The Board considered a report from the Strategic Director – Enterprise, Community and Resources, requesting approval for a temporary amendment to the current age restrictions of licensed Hackney Carriage and Private Hire Vehicles. The background to the request was provided in the report and a consultation exercise was undertaken with the taxi trade, the responses of which were attached at appendix A and the findings were summarised in the report. The Regulatory Committee considered the matter at its meeting on 13 January 2021 and after considering the consultation responses and the current economic situation resulting from the Coronavirus Pandemic, recommended that Executive Board approve a temporary amendment to the current restrictions of licensed Hackney Carriage and Private Hire Vehicles. RESOLVED: That the Executive Board approves the temporary amendment of the maximum age restriction on Hackney Carriage and Private Hire Vehicles by two years, for a two-year period, with the following conditions: 1) Any vehicle taking advantage of the relaxation of the restriction be subject to 3 tests per year; and 2) No vehicle taking advantage of the relaxation of the restriction may be transferred to another proprietor. |
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Calendar of Meetings for 2021-22 PDF 54 KB Additional documents: Minutes: The Board considered a report of the Strategic Director, Enterprise, Community and Resources, which set out the proposed Calendar of Meetings for the 2021/22 Municipal Year, which was appended to the report for information. RESOLVED: That Council be recommended to approve the Calendar of meetings for the 2021/22 Municipal Year, as appended to the report. |
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Physical Environment Portfolio |
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Foundry Lane Residential PDF 75 KB Minutes: The Board considered a report from the Strategic Director – Enterprise, Community and Resources, which provided an update on proposals for residential development at Foundry Lane, Widnes, and to seek approval to appoint a development partner following the procurement process. It was noted that this regeneration project was last reported to Executive Board in January 2019 (EXB77) where Members supported the acquisition of the Stobart site, forming a larger site with the former Tarmac site; both sites had now been vacant since February 2020. The Board was advised that due to delays caused by Covid-19, in June 2020 Homes England withdrew its grant funding of £1.8m. The Liverpool City Region Combined Authority (LCR) had agreed since, as part of its Brownfield Land Fund, to make the grant funding of this project one of its key priorities, subject to the normal application process. The report outlined the tender process for a development partner, which was carried out in conjunction with the LCR throughout. This resulted in Cityheart Limited scoring the highest overall, following evaluation as described in the report. RESOLVED: That Executive Board 1) approves the appointment of Cityheart Limited to act as Development Partner in the regeneration of the Foundry Lane area; 2) authorises the Operational Director for Economy, Enterprise and Property and/or the Operational Director for Legal and Democratic Services, to ensure full legal compliance with statutory planning matters throughout the regeneration project; and 3) the Operational Director for Economy, Enterprise and Property be authorised to seek and secure grant funding in relation to the project. |
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Homelessness Funding Grant Allocations PDF 98 KB Minutes: The Board received a report from the Strategic Director – People, which described the various grants that had been issued by Central Government to support rough sleepers and people who were, or likely to become homeless. It was noted that the Coronavirus Pandemic had made the need to support rough sleepers and potentially homeless people more urgent and further guidance had been issued to councils as a result. Halton had been allocated Homeless Prevention Grant funding for 2021/22 of £344,828, which was an increase of £92,077 from 2020/21. The proposals for allocation of these monies were presented in Appendix 1. Also, received was the Rough Sleeper Initiative funding of £109,000 for 2020/21, with the commitment that the allocation for 2021/22 would be at least the same amount. The proposals for the use of this grant were presented in appendix 2. RESOLVED: That Executive Board approves the recommendations for expenditure against the grants, as described in Appendices 1 and 2 of the report. |
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SCHEDULE 12A OF THE LOCAL GOVERNMENT ACT 1972 AND THE LOCAL GOVERNMENT (ACCESS TO INFORMATION) ACT 1985 PART II In this case the Board has a discretion to exclude the press and public and, in view of the nature of the business to be transacted, it is RECOMMENDED that under Section 100A(4) of the Local Government Act 1972, having been satisfied that in all the circumstances of the case the public interest in maintaining the exemption outweighs the public interest in disclosing the information, the press and public be excluded from the meeting for the following item(s) of business on the grounds that it involves the likely disclosure of exempt information as defined in paragraph 3 of Part 1 of Schedule 12A to the Act. Minutes: The Board considered: 1) whether members of the press and public should be excluded from the meeting of the Board during consideration of the following items of business in accordance with Sub-Section 4 of Section 100A of the Local Government Act 1972, because it was likely that, in view of the nature of the business to be considered, exempt information would be disclosed, being information defined in Section 100 (1) and paragraph 3 of Schedule 12A of the Local Government Act 1972; and 2) whether the disclosure of information was in the public interest, whether any relevant exemptions were applicable and whether, when applying the public interest test and exemptions, the public interest in maintaining the exemption outweighed that in disclosing the information. RESOLVED: That as, in all the circumstances of the case, the public interest in maintaining the exemption outweighed the public interest in disclosing the information, members of the press and public be excluded from the meeting during consideration of the following item of business, in accordance with Sub-Section 4 of Section 100A of the Local Government Act 1972 because it was likely that, in view of the nature of the business, exempt information would be disclosed, being information defined in Section 100 (1) and paragraph 3 of Schedule 12A of the Local Government Act 1972. |
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Resources Portfolio |
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Acquisition of Elite House, Shaw Street, Runcorn Minutes: The Board considered a report from the Strategic Director – Enterprise, Community and Resources, which sought approval for the acquisition of the freehold interest in Elite House, Shaw Street, Runcorn. The report provided Members with details of the proposals and financial
implications for their consideration. RESOLVED: That Executive Board 1)
approves
the acquisition and of the freehold interest in Elite House, Shaw Street, Runcorn,
on the terms reported in paragraph 3.4; and 2) authorises the Operational Director – Economy, Enterprise and Property, to arrange for all required documentation for the transactions to be completed to the satisfaction of the Operational Director – Legal and Democratic Services, in consultation with the Portfolio Holder for Resources. |
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MINUTES ISSUED: 2 March 2021 CALL-IN: 9 March 2021 at 5.00 pm Any matter decided by
the Executive Board may be called in no later than
5.00pm on 9 March 2021. |