Issue - meetings

Treasury Management Q1 Report 2026/27

Meeting: 07/09/2026 - Cabinet (Item 10.)

10. Treasury Management Q1 Report 2026/27 pdf icon PDF 124 KB

 

Executive Summary

This report sets out the Treasury Management activities undertaken during the first quarter of the 2026/27 Financial Year. This is to give members a regular update on treasury management activities.

 

Options considered

 

This report must be prepared to ensure the Council is compliant with the CIPFA Treasury Management and Prudential Codes.

 

Consultation(s)

Cabinet Member

Section 151 Officer

 

This report has been prepared with the assistance of MUFG Treasury Services, the Council’s Treasury advisors.

 

Recommendations

 

To recommend to Full Council that the Treasury Q1 Report 2026/27 is noted.

 

Reasons for recommendations

 

Updating Members demonstrates compliance with the Prudential Code to ensure adequate monitoring treasury management activity.

 

Background papers

 

The Council’s Treasury Management Strategy 2026/27.

Treasury Outturn report 2025/26.

 

 

 

Wards affected

All

Cabinet member(s)

Cllr. Lucy Shires

Contact Officer

James Moore/Vincent Crouch/Daniel King


 

 

Additional documents:

Decision:

Decision

RESOLVED

 

To recommend to Full Council that the Treasury Q1 Report 2026/27 is noted.

 

Reason for the decision:

 

Updating Members demonstrates compliance with the Prudential Code to ensure adequate monitoring treasury management activity.