63 Treasury Management 2025-26 Half Year Update
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Minutes:
The Board considered a report from the Director of Finance, which presented the Treasury Management Half Year Report as at 30 September 2025.
These reports updated Members on the activities undertaken on the money
market during the first half of the financial year to 30 September 2025, as
required by the Treasury Management Policy.
The report provided supporting information on the economic outlook,
interest rate forecast, short-term borrowing rates, longer term borrowing
rates, borrowing and investments, budget monitoring, new long-term borrowing,
policy guidelines and treasury management indicators. It was noted that no debt
rescheduling had been undertaken during the quarter.
RESOLVED: That the report be noted.