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We are committed to good financial management and the ongoing review and improvement of our financial processes and services. We have also introduced a Money Laundering policy (54kb) that applies to all our employees and aims to maintain high standards of conduct, by reducing the risk of criminal activity through money laundering.

As part of the requirements of the CIPFA Treasury Management Code of Practice we are required to produce a Treasury Management Strategy every year which requires approval by full Council prior to the commencement of each financial year.

  • Treasury Management Strategy 2018/19 
Treasury Strategy Reports 2019 - 22/23 Covering Report Treasury Management Strategy 2019 - 22/23 Appendix 1 Treasury Management Strategy 2019 - 22/23 Appendix A Treasury Management Strategy 2019 - 22/23 Appendix B
Capital Strategy 2019 - 22/'23 Appendix 2 Capital Strategy 2019 - 22/23 Appendix A Capital Strategy 2019 - 22/23 Appendix B Corporate Investment Strategy 2019 - 22/23 Appendix 3

 

Events contacts

  • Tel: 01246 242424
  • Email: 
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