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Treasury Management Strategy

The Council's Treasury Management Strategy is the cornerstone of proper treasury management and is central to effective risk management to safeguard the funds temporarily managed by the Council until they are needed to fund Council services. 

The strategy is designed to meet the requirements of CIPFA's Code of Treasury Management and the MHCLG's Guidance on Local Government Investments. It is approved annually by Full Council before the commencement of the financial year to which it relates.