Agenda, decisions and minutes


Executive - Monday 1 December 2014 6.30 pm

Venue: Bodicote House, Bodicote, Banbury, OX15 4AA

Contact: Natasha Clark, Democratic and Elections  Email: natasha.clark@cherwellandsouthnorthants.gov.uk, 01295 221589

Media

Items
Note No. Item

78.

Declarations of Interest

Members are asked to declare any interest and the nature of that interest that they may have in any of the items under consideration at this meeting.

Additional documents:

Minutes:

Members and officers declared interests in the following agenda items:

 

16. Graven Hill Update.

Councillor Nicholas Turner, Declaration, as he had put his name forward expressing an interest in a plot of the site but had heard nothing yet.

 

Karen Curtin, Declaration, as a Director of Graven Hill Village Holdings Limited and Graven Hill Village Development Company Limited.

 

Sue Smith, Declaration, as a Director of Graven Hill Village Holdings Limited.

 

79.

Petitions and Requests to Address the Meeting

The Chairman to report on any requests to submit petitions or to address the meeting.

Additional documents:

Minutes:

There were no petitions or requests to address the meeting.

80.

Urgent Business

The Chairman to advise whether they have agreed to any item of urgent business being admitted to the agenda.

Additional documents:

Minutes:

There were no items of urgent business.

81.

Minutes pdf icon PDF 59 KB

To confirm as a correct record the Minutes of the meeting held on 3 November 2014.

Additional documents:

Minutes:

The minutes of the meeting held on 3 November 2014 were agreed as a correct record and signed by the Chairman.

82.

Chairman's Announcements

To receive communications from the Chairman.

 

Additional documents:

Minutes:

The Chairman made the following announcement:

 

1.    Under the Openness of Local Government Bodies Regulations 2014,members of the public were permitted to film, broadcast and report on the meeting, subject to the efficient running of the meeting not being affected.

 

6.35pm

83.

Workplace Travel Plan 2015 pdf icon PDF 68 KB

Report of Head of Strategic Planning and the Economy

 

Purpose of report

 

To update the Executive on progress in completing the joint Workplace Travel Plan 2015 and to approve and formally adopt the final draft Travel Plan

 

Recommendations

            

The meeting is recommended:

 

1.1         To support the work of officers in their ongoing efforts to introduce a new joint Workplace Travel Plan for South Northamptonshire Council and Cherwell District Council by January 2015.

 

1.2         To approve and adopt the final draft Travel Plan following a recommendation from the Overview & Scrutiny Committee.

 

Additional documents:

Decision:

Resolved

 

(1)          That the work of officers in their ongoing efforts to introduce a new joint Workplace Travel Plan for Cherwell District Council and South Northamptonshire Council by January 2015 be supported.

 

(2)          That, as recommended by the Overview and Scrutiny Committee, the final draft Travel Plan (annex to the Minutes as set out in the Minute Book) be approved for adoption.

 

Minutes:

The Head of Strategic Planning and the Economy submitted a report which updated the Executive on progress in completing the joint Workplace Travel Plan 2015 and to approve and formally adopt the final draft Travel Plan.

 

In introducing the report, the Lead Member for Planning reported that the Overview and Scrutiny Committee had considered and endorsed the report at their 25 November 2014 meeting. The Committee had stressed the importance of encouraging conference and video calls to reduce travel.

 

Resolved

 

(1)          That the work of officers in their ongoing efforts to introduce a new joint Workplace Travel Plan for Cherwell District Council and South Northamptonshire Council by January 2015 be supported.

 

(2)          That, as recommended by the Overview and Scrutiny Committee, the final draft Travel Plan (annex to the Minutes as set out in the Minute Book) be approved for adoption.

 

Reasons

 

The existing Workplace Travel Plans of the two authorities have reached the end of their intended plan period (published by SNC in 2010, CDC in 2011). The new Plan will supersede and replace both documents.

 

Alternative options

 

The alternative to not preparing a new Workplace Travel Plan is to leave SNC and CDC without a current Travel Plan.

 

 

 

6.45pm

84.

Bicester Sports Village Update pdf icon PDF 37 KB

Report of Director of Community and Environment

 

Purpose of report

 

The purpose of this report is to update the Executive with the latest project position in delivering the pavilion, car park, access requirements, floodlighting and 3G synthetic sports pitch.

 

Recommendations

            

The meeting is recommended to:

 

1.1       Note the progress in delivering phase 2 of the Bicester Sports Village project.

 

Additional documents:

Decision:

Resolved

 

(1)          That the progress in delivering phase 2 of the Bicester Sports Village project be noted.

Minutes:

The Director of Community and Environment submitted a report which updated the Executive with the latest project position in delivering the pavilion, car park, access requirements, floodlighting and 3G synthetic sports pitch.

 

Resolved

 

(1)          That the progress in delivering phase 2 of the Bicester Sports Village project be noted.

 

Reasons

 

The Bicester Sports Village project is now being progressed in the agreed form albeit slightly later than expected. The planning application will now be presented in time for determination post May elections which moves the anticipated project completion date to early 2016.

 

Alternative Options

 

The project has been approved and is progressing in accordance with these approvals. There are no other options being considered at this time other than proposals to remain within the approved funding envelope.

 

6.50pm

85.

Performance Report 2014-15 Quarter 2 pdf icon PDF 81 KB

Report of Head of Transformation

 

Purpose of report

 

The purpose of this report is to present the Council’s performance for the period 01 July 2014 – 30 September 2014 as measured through the Performance Management Framework.

 

Recommendations

 

The meeting is recommended to:

 

1.1         Note the many achievements referred to in paragraph 3.1.

 

1.2         Identify any performance related matters for review or consideration in future reports identified in paragraph 3.2.

 

1.3         Consider any feedback from the 25 November meeting of the Overview and Scrutiny Committee during which it considered the quarter two performance report.

 

Additional documents:

Decision:

Resolved

 

(1)          That the following many achievements be noted:

 

Cherwell: A District of Opportunity

·         Promote inward investment and support appropriate economic growth within the district is reporting as Green. New marketing material for Local Plan sites is due to be prepared. Existing marketing material maintained on Cherwell Investment Partnership's (CHIP) website - www.cherwell-m40.co.uk. News stories added and e-newsletters sent to all businesses on the database every month.  Development of a self-search database of available commercial property also available through website.  Distribution of leaflets to promote the Velocity business grants to Cherwell businesses together with an information day for businesses held at Bodicote in June.

·         Develop a whole Council ‘Better Business’ approach to support new and existing businesses is reporting as Green. Progress continues to embed the Regulatory code.  Briefing sessions for regulatory staff took place in November. The draft Enforcement Policy has been approved by Executive and is out for consultation.  Work continues with the Economic Development Team to improve support to businesses.  A successful first workshop resulted in a number of innovative ideas including a checklist for pop-up shops to enable them to "get it right" first time.  Economic Development and Environmental Health officers are now meeting through SEMLEP to develop this initiative further.  This will include exploring the Better Business for All Initiative across the SEMLEP region and implementation in Cherwell.

 

Safe, Green and Clean

·      Customer satisfaction with Household Recycling services is reporting as Green; this has increased by 5% to a satisfaction rate of 88%. Food and garden waste collection and dry recycling have both increased as reported through the annual satisfaction survey. Our Waste Collection service has recorded customer satisfaction at 82% which is the highest level achieved to date.

·      Number of All Domestic Burglary incidents reported is reporting as Green*. Burglary has continued to fall over the year as against last year. Burglary initiatives and communication packages have lifted community awareness. However the most likely positive effect has been the lack of cross border offending.  YTD: 86 incidents reported against target of 105 - reduction on same period 13/14 of 20.4%.

 

Thriving Communities

·      Processing of major applications within 13 weeks is reporting as Green*. A figure of 95% has been achieved this quarter. This figure represents sustained and significant progress, compared with historic performance.

·      Processing of minor applications within 8 weeks is reporting as Amber, an improvement from last quarter. Performance this quarter is below target but this does not represent a long term trend and is expected to recover by the end of quarter three. Year to date performance is 73.88%. The figure for October was 75%.

 

Sound Budgets and Customer Focussed Council

·      Increase our use of social media to communicate with residents and local businesses is reporting as Green. Facebook and Twitter are now an integral part of the communications function.  A wide range of service areas are using the social media channels to promote their messages and generate sales, with a limited budget.  In the last quarter the Communications Team were announced  ...  view the full decision text for item 85.

Minutes:

The Head of Transformation submitted a report which presented the Council’s performance for the period 01 July 2014 – 30 September 2014 as measured through the Performance Management Framework.

 

In introducing the report, the Lead Member for Banbury Developments, Performance and Communications reported that the Overview and Scrutiny Committee at their meeting of 25 November 2014 at which it had referred to the “red” rating for the number of fly tip enforcement cases be noted.

 

The Lead Member for Clean and Green explained that the number of fly tipping incidents had decreased and that there were around five prosecutions of big cases every year.

 

Resolved

 

(1)          That the following many achievements be noted:

 

Cherwell: A District of Opportunity

·         Promote inward investment and support appropriate economic growth within the district is reporting as Green. New marketing material for Local Plan sites is due to be prepared. Existing marketing material maintained on Cherwell Investment Partnership's (CHIP) website - www.cherwell-m40.co.uk. News stories added and e-newsletters sent to all businesses on the database every month.  Development of a self-search database of available commercial property also available through website.  Distribution of leaflets to promote the Velocity business grants to Cherwell businesses together with an information day for businesses held at Bodicote in June.

·         Develop a whole Council ‘Better Business’ approach to support new and existing businesses is reporting as Green. Progress continues to embed the Regulatory code.  Briefing sessions for regulatory staff took place in November. The draft Enforcement Policy has been approved by Executive and is out for consultation.  Work continues with the Economic Development Team to improve support to businesses.  A successful first workshop resulted in a number of innovative ideas including a checklist for pop-up shops to enable them to "get it right" first time.  Economic Development and Environmental Health officers are now meeting through SEMLEP to develop this initiative further.  This will include exploring the Better Business for All Initiative across the SEMLEP region and implementation in Cherwell.

 

Safe, Green and Clean

·      Customer satisfaction with Household Recycling services is reporting as Green; this has increased by 5% to a satisfaction rate of 88%. Food and garden waste collection and dry recycling have both increased as reported through the annual satisfaction survey. Our Waste Collection service has recorded customer satisfaction at 82% which is the highest level achieved to date.

·      Number of All Domestic Burglary incidents reported is reporting as Green*. Burglary has continued to fall over the year as against last year. Burglary initiatives and communication packages have lifted community awareness. However the most likely positive effect has been the lack of cross border offending.  YTD: 86 incidents reported against target of 105 - reduction on same period 13/14 of 20.4%.

 

Thriving Communities

·      Processing of major applications within 13 weeks is reporting as Green*. A figure of 95% has been achieved this quarter. This figure represents sustained and significant progress, compared with historic performance.

·      Processing of minor applications within 8 weeks is reporting as Amber, an improvement from last quarter. Performance  ...  view the full minutes text for item 85.

7.10pm

86.

Quarter 2 2014/15 - Revenue and Capital Budget Monitoring Report pdf icon PDF 97 KB

Report of Head of Finance and Procurement

 

Purpose of report

 

This report summarises the Council’s Revenue and Capital position, treasury management and procurement performance for the first six months of the financial year 2014-15 and projections for the full 2014-15 period.

 

To receive information on treasury management performance and compliance with treasury management policy during 2014-15 as required by the Treasury Management Code of Practice.

 

Recommendations

            

The meeting is recommended to:

 

 1.1        Note the projected revenue and capital position at September 2014.           

 

1.2         Note the quarter 2 (Q2) performance against the 2014-15 investment strategy and the financial returns from the funds.

 

 

Additional documents:

Decision:

Resolved

 

(1)          That the projected revenue and capital position at September 2014 be noted.

 

(2)          That the quarter 2 (Q2) performance against the 2014-15 investment strategy and the financial returns from the funds be noted.

 

Minutes:

The Head of Finance and Procurement submitted a report which summarised the Council’s Revenue and Capital position, treasury management and procurement performance for the first six months of the financial year 2014-15 and projections for the full 2014-15 period.

 

The report also presented information on treasury management performance and compliance with treasury management policy during 2014-15 as required by the Treasury Management Code of Practice.

 

Resolved

 

(1)          That the projected revenue and capital position at September 2014 be noted.

 

(2)          That the quarter 2 (Q2) performance against the 2014-15 investment strategy and the financial returns from the funds be noted.

 

Reasons

 

This report illustrates the Council’s performance against the 2014-15 Financial Targets for Revenue, Capital and Procurement Monitoring. In line with good practice budget monitoring is undertaken on a monthly basis within the Council. The revenue and capital position is reported monthly to the Joint Management Team and formally to the Budget Planning Committee and Executive on a quarterly basis.

 

Alternative Options

 

Option 1: As this is a monitoring report, no further options have been considered. However, members may wish to request that officers provide additional information.

 

7.20pm

87.

Draft Budget and Business Plan 2015-16 pdf icon PDF 66 KB

**Please note that Appendices A and B will follow as they are still being finalised**

 

Report of Head of Finance and Procurement and Head of Transformation

 

Purpose of report

 

The Council has to adopt a budget as the basis for calculating its level of Council Tax. It has to base this budget on its plans for service delivery during the year, recognising any changes in service demand that may arise in future years. 

 

This is the first of two opportunities that the Executive has to shape and refine the appending plans before the final budget is presented to Full Council on 23 February 2015. 

 

The report also details the draft strategic priorities, the underpinning key objectives, and deliverables for 2015-16 which sit alongside the draft budget and are to be the subject of wider consultation if approved in principle at this meeting.

 

Recommendations

            

The Executive is recommended to:

 

 1.1        consider the draft revenue budget detailed in Appendix A (to follow) and agree that it be subject to a period of consultation with the public and other key stakeholders;

 

1.2      consider the recommendations arising from the Budget Planning Committee review of the capital programme that was considered at its informal meeting on 25 November 2014 and detailed in Appendix B (to follow);

 

1.3      note that the final implications of the local government finance settlement will need to be fully considered once the announcement has been made;

 

1.4      advise of any other matters to be taken into consideration in producing a balanced budget for its meeting on 2 February 2015;

 

1.5          endorse the passporting of the Council Tax Reduction Scheme (CTRS) grant to local preceptors.

 

1.6         Agree that the proposed medium term strategic priorities, key objectives and key deliverables for 2015-16, as set out in Appendix C, be referred to the Overview and Scrutiny Committee for consultation prior to the 2nd February 2015 meeting of the Executive.

 

Additional documents:

Decision:

Resolved

 

(1)          That the draft revenue budget (annex to the Minutes as set out in the Minute Book) be noted and it be agreed that it be subject to a period of consultation with the public and other key stakeholders.

 

(2)          That it be noted the final implications of the local government finance settlement would need to be fully considered once the announcement has been made.

 

(3)          That Executive is not aware of any other matters that need to be taken into consideration in producing a balanced budget for its meeting on 2 February 2015 at this stage.

 

(4)          That the passporting of the Council Tax Reduction Scheme (CTRS) grant to local preceptors be endorsed.

 

(5)          That agreement be given for the proposed medium term strategic priorities, key objectives and key deliverables for 2015-16 to be referred to the Overview and Scrutiny Committee for consultation prior to the 2 February 2015 meeting of the Executive.

 

Minutes:

The Head of Finance and Procurement and Head of Transformation submitted a report which presented the first of two opportunities that the Executive had to shape and refine the draft budget before the final budget is presented to Full Council on 23 February 2015. The report also detailed the draft strategic priorities, the underpinning key objectives, and deliverables for 2015-16 which sit alongside the draft budget and are to be the subject of wider consultation if approved in principle at this meeting.

 

In introducing the report, the Lead Member for Financial Management reminded Executive that the Council had to adopt a budget as the basis for calculating its level of Council Tax. It had to base this budget on its plans for service delivery during the year, recognising any changes in service demand that may arise in future years.

 

Resolved

 

(1)          That the draft revenue budget (annex to the Minutes as set out in the Minute Book) be noted and it be agreed that it be subject to a period of consultation with the public and other key stakeholders.

 

(2)          That it be noted the final implications of the local government finance settlement would need to be fully considered once the announcement has been made.

 

(3)          That Executive is not aware of any other matters that need to be taken into consideration in producing a balanced budget for its meeting on 2 February 2015 at this stage.

 

(4)          That the passporting of the Council Tax Reduction Scheme (CTRS) grant to local preceptors be endorsed.

 

(5)          That agreement be given for the proposed medium term strategic priorities, key objectives and key deliverables for 2015-16 to be referred to the Overview and Scrutiny Committee for consultation prior to the 2 February 2015 meeting of the Executive.

 

Reasons

 

The Council has to adopt a budget and business plan for 2015/16 as the basis for calculating its level of Council Tax and has to base that budget on its plans for service delivery during the year, recognising any changes in service demand that may arise in future years.

 

Alternative Options

 

This is the draft budget and options for the overall budget for the Council will be considered at its meeting in February.

 

7.35pm

88.

Asset Management Strategy Action Plan pdf icon PDF 59 KB

Report of Commercial Director (Bicester)

 

Purpose of report

 

The purpose of this report is to seek Executive approval to allocate funds from windfall income streams secured in 2014/13 in order to progress the priority actions arising from the Asset Management Strategy Review.

 

Recommendations

            

The meeting is recommended to:

 

1.1         Note the proposed priority actions arising from the asset management plan (Para 2.4).

 

1.2         Note that the monitoring of the asset management strategy is currently undertaken by the Accommodation Asset Strategy Board who will be asked to review terms of reference and membership as a result of the asset review

 

1.3         Approve the allocation of up to £125k from 2014/15 windfall income which will allow the progression of the key activities which focus on the priority actions arising from the Asset Management Strategy Review.

 

1.4         Note that a comprehensive action plan is being developed that will ensure the vision set out in the review document will be delivered by 2019. This action plan will be presented to the Executive in March 2015.

 

Additional documents:

Decision:

Resolved

 

(1)          That the proposed priority actions arising from the asset management plan be noted (those in bold indicate a 2014/15 priority):

1)    Asset Strategy Resource Plan

2)    Data and Systems Plan

3)    Operational Offices Plan

4)    Operational Depot Plan

5)    Car Parks Plan

6)    Leisure Buildings Plan

7)    Community Buildings Plan

8)    Local Centres Plan

9)    Commercial Investment Plan

 

(2)          That it be noted the monitoring of the asset management strategy was currently undertaken by the Accommodation Asset Strategy Board who would be asked to review terms of reference and membership as a result of the asset review.

 

(3)          That the allocation of up to £125k from 2014/15 windfall income which would allow the progression of the key activities which focus on the priority actions arising from the Asset Management Strategy Review be approved.

 

(4)          That it be noted a comprehensive action plan was being developed that would ensure the vision set out in the review document would be delivered by 2019. This action plan will be presented to the Executive in March 2015.

 

Minutes:

The Commercial Director (Bicester) submitted a report which sought approval to allocate funds from windfall income streams secured in 2014/13 in order to progress the priority actions arising from the Asset Management Strategy Review.

 

Resolved

 

(1)          That the proposed priority actions arising from the asset management plan be noted (those in bold indicate a 2014/15 priority):

1)    Asset Strategy Resource Plan

2)    Data and Systems Plan

3)    Operational Offices Plan

4)    Operational Depot Plan

5)    Car Parks Plan

6)    Leisure Buildings Plan

7)    Community Buildings Plan

8)    Local Centres Plan

9)    Commercial Investment Plan

 

(2)          That it be noted the monitoring of the asset management strategy was currently undertaken by the Accommodation Asset Strategy Board who would be asked to review terms of reference and membership as a result of the asset review.

 

(3)          That the allocation of up to £125k from 2014/15 windfall income which would allow the progression of the key activities which focus on the priority actions arising from the Asset Management Strategy Review be approved.

 

(4)          That it be noted a comprehensive action plan was being developed that would ensure the vision set out in the review document would be delivered by 2019. This action plan will be presented to the Executive in March 2015.

 

Reasons

 

It is important that a number of specialist reviews are commissioned in this financial year in order to inform the work programme, capital programme and current strategic development projects. It has been estimated that the resources required total £125k in 2014/15 and these costs can be met from windfall income subject to Executive approval.

 

The draft action plan will be presented to the governing board in Jan 2015 and then to Executive in March 2015.

 

Alternative Options

 

There is an option not to provide funding during 2014/15 and submit bids for the 2015/16 budget process. This is not recommended as a number of priority actions require resources now as they impact on other Council projects and priorities.

 

 

 

89.

Exclusion of the Press and Public

The following report contains exempt information as defined in the following paragraphs of Part 1, Schedule 12A of Local Government Act 1972.

 

1 – Information relating to any individual

 

2 – Information which is likely to reveal the identity of an individual

 

3 – Information relating to the financial or business affairs of any particular person (including the authority holding that information).

 

4 – Information relating to any consultations or negotiations, or contemplated consultations or negotiations, in connection with any labour relations matter arising between the authority or a Minister of the Crown and employees of, or office holders under, the authority.

 

Members are reminded that whilst the following item has been marked as exempt, it is for the meeting to decide whether or not to consider it in private or in public. In making the decision, members should balance the interests of individuals or the Council itself in having access to the information. In considering their discretion members should also be mindful of the advice of Council Officers.

 

No representations have been received from the public requesting that this item be considered in public.

 

Should Members decide not to make a decision in public, they are recommended to pass the following recommendation:

 

“That under Section 100A of the Local Government Act 1972, the public and press be excluded from the meeting for the following item of business on the ground that, if the public and press were present, it would be likely that exempt information falling under the provisions of Schedule 12A, Part 1, Paragraphs 1, 2, 3 and 4 would be disclosed to them, and that in all the circumstances of the case, the public interest in maintaining the exemption outweighs the public interest in disclosing the information.”

 

 

 

Additional documents:

Minutes:

Resolved

 

That under Section 100A of the Local Government Act 1972, the public and press be excluded from the meeting for the following item of business on the ground that, if the public and press were present, it would be likely that exempt information falling under the provisions of Schedule 12A, Part 1, Paragraphs 1, 2, 3 and 4 would be disclosed to them, and that in all the circumstances of the case, the public interest in maintaining the exemption outweighs the public interest in disclosing the information.

 

 

90.

Draft Budget and Business Plan 2015-16 - Exempt Appendix

Additional documents:

Decision:

Resolved

 

(1)          That it be noted that final recommendations still needed to be made by the Budget Planning Committee on the Capital Bids.

 

Minutes:

Councillor Nicholas Mawer, Chairman of the Budget Planning Committee, presented exempt appendix B to agenda item 11, Draft Budget and Business Plan 2015-16.

 

In introducing the exempt appendix, Councillor Mawer explained that members of the Budget Planning Committee had considered the draft capital programme 2015/16 at an informal briefing and would be reviewing at a future meeting of the Committee to agree recommendations for submission to the February meeting of Executive.

 

Resolved

 

(1)          That it be noted that final recommendations still needed to be made by the Budget Planning Committee on the Capital Bids.

 

Reasons

 

The Budget Planning Committee reviews the Capital Programme and will make recommendations to the Executive.

 

Alternative Options

 

The Executive could choose not to receive the recommendations of the Budget Planning Committee. This is not recommended as the Committee undertake a detailed review and submit informed recommendations to Executive and it has yet to meet formally to consider this matter.

 

 

7.40pm

91.

Joint Fraud Investigation Team Business Case

Exempt Report of Head of Finance and Procurement

Decision:

Resolved

 

(1)          That the report be noted.

 

(2)          That the introduction of a Joint Fraud Investigation Team be approved.

 

Minutes:

The Head of Finance and Procurement submitted an exempt report which provided an update on the Single Fraud Investigation Service and sought  approval for a Joint Fraud Investigation team initially for South Northamptonshire Council and Cherwell District Council (phase 1) and incorporating Stratford on Avon at a later date (phase 2).

 

Resolved

 

(1)          That the report be noted.

 

(2)          That the introduction of a Joint Fraud Investigation Team be approved.

 

Reasons

 

Since 2010 the Government has been committed to the creation of a single integrated fraud investigation service which will investigate welfare benefit fraud across Department for Work and Pension (DWP), HMRC and local authorities.

 

In early 2013 pilots were established to test a number of proposals and options and by the end of 2013 it was confirmed that a single organisation would be established and that the new Single Fraud Investigation Service (SFIS) would be part of the DWP.

 

The transfer of Housing Benefit fraud investigation from local authorities to DWP is happening on a phased approach from 1 July 2014 until March 2016. In May 2014 the transfer dates were confirmed. The implementation date for SNC and CDC will be 1 February 2015.

 

Alternative Options

 

Option 1: Retain no fraud prevention and detection resource.

This option would see no fraud prevention and detection resource retained across the three Councils following the implementation of the Single Fraud Investigation Service (SFIS). This option has been considered and rejected by officers on the basis the three Councils have a duty to protect the public purse and ensure that fraud and error is minimised.

 

Option 2: To ‘buy in’ to one of the regional fraud hubs.

This option would see the three Councils purchase the service from a regional fraud hub following the implementation of the Single Fraud Investigation Service (SFIS). This option has been considered by officers and is not recommended as plans for the regional hubs are very much in the development stage. Officers are also concerned that the hub approach could mean reduced control over resources and outcomes. It should be noted that the hubs could be used to provide resilience to a retained local service if required.

 

Option3: Implement a Joint Fraud Investigation Team covering SDC/CDC/SNC from 1 February 2015.

This option was considered in detail, and would see a joint team established to cover CDC, SNC and SDC from 1 February 2015, rather than the phased implementation approach proposed in this business case. This option was rejected due to the fact that Housing Benefit fraud investigation at SDC does not transfer to SFIS until February 2016.

 

 

 

7.50pm

92.

Woodgreen Leisure Centre Improvements and New Leisure Management Contract

Exempt Report of Director of Community and Environment

 

 

Decision:

Resolved

 

(1)          That it be agreed that a three lot procurement approach be adopted in conjunction with South Northamptonshire Council (SNC) to maintain the option of individual decisions by each council whilst exploring the opportunity for mutual benefit through a combined contract.

 

(2)          That it be agreed that Lot 1 be based on an operating plus investment contract for Woodgreen, Lot 2 be a contract determined by SNC and Lot 3 be the combined option with SNC as a Design Build Operate and Maintain contract subject to further SNC consideration.

 

(3)          That a whole site annual lifecycle maintenance approach through the use of a mandatory contract variant be considered.

 

(4)          That tenders for an 18 year operating contract term to align with the end of the Council’s main leisure centres contract be sought

 

(5)          That the requirement for a very good BREEAM rating for new internal areas be incorporated in the tender documents.

 

(6)          That the output specification for the contract be prepared based on the approach outlined in the exempt report.

 

(7)          That the use of the residual Sports Centres Modernisation capital budget to fund the appropriate specialist support and technical surveys in 2014/15 be noted and supported.

 

(8)          That a building condition survey be undertaken in 2015/16 as part of the capital investment scheme if approved.

 

(9)          That the joint procurement with SNC of  the relevant external technical support and surveys for the project be supported.

 

(10)       As set out in the exempt decisions.

 

(11)       That some flexibility be offered and a non-prescriptive delivery structure within tender documents to seek opportunities for maximum cost efficiency and value for money options from bidders within an agreed overall capital and revenue financial envelope be supported.

 

(12)       That authority be delegated to the Director of Resources and the Director of Community and Environment in consultation with the Deputy Leader and the Lead Member for Resources to take urgent decisions when these are needed and they fall outside the scheduled Executive meetings.

 

(13)       That, subject to the prior seeking of legal and procurement advice as to feasibility, the contract be structured to enable other partner Councils to opt to join the contract during its term.

 

Minutes:

The Director of Community and Environment submitted an exempt report relating to Woodgreen Leisure Centre improvements and the new Leisure Management Contract.

 

Resolved

 

(1)          That it be agreed that a three lot procurement approach be adopted in conjunction with South Northamptonshire Council (SNC) to maintain the option of individual decisions by each council whilst exploring the opportunity for mutual benefit through a combined contract.

 

(2)          That it be agreed that Lot 1 be based on an operating plus investment contract for Woodgreen, Lot 2 be a contract determined by SNC and Lot 3 be the combined option with SNC as a Design Build Operate and Maintain contract subject to further SNC consideration.

 

(3)          That a whole site annual lifecycle maintenance approach through the use of a mandatory contract variant be considered.

 

(4)          That tenders for an 18 year operating contract term to align with the end of the Council’s main leisure centres contract be sought

 

(5)          That the requirement for a very good BREEAM rating for new internal areas be incorporated in the tender documents.

 

(6)          That the output specification for the contract be prepared based on the approach outlined in the exempt report.

 

(7)          That the use of the residual Sports Centres Modernisation capital budget to fund the appropriate specialist support and technical surveys in 2014/15 be noted and supported.

 

(8)          That a building condition survey be undertaken in 2015/16 as part of the capital investment scheme if approved.

 

(9)          That the joint procurement with SNC of  the relevant external technical support and surveys for the project be supported.

 

(10)       As set out in the exempt decisions.

 

(11)       That some flexibility be offered and a non-prescriptive delivery structure within tender documents to seek opportunities for maximum cost efficiency and value for money options from bidders within an agreed overall capital and revenue financial envelope be supported.

 

(12)       That authority be delegated to the Director of Resources and the Director of Community and Environment in consultation with the Deputy Leader and the Lead Member for Resources to take urgent decisions when these are needed and they fall outside the scheduled Executive meetings.

 

(13)       That, subject to the prior seeking of legal and procurement advice as to feasibility, the contract be structured to enable other partner Councils to opt to join the contract during its term.

 

Reasons

 

Clarity of the market’s appetite for risk, practicable timeframes and different contract options has been achieved through a soft market testing exercise. The conclusions from this are as set out in the exempt decision notice.

 

Swift decision making will be required throughout the procurement process to adhere to the project plan and meet the tight tender time lines. Although major key decisions and updates will be presented to the Executive regularly, it is recommended that delegated powers are given to the Director of Resources and Director of Community and Environment in consultation with the Deputy Leader and the Lead Member for Resources to take lesser decisions quickly when required and when the need  ...  view the full minutes text for item 92.

8.00pm

93.

Graven Hill Update

Exempt Report of Commercial Director (Bicester)

Decision:

Resolved

 

(1)          That the work being carried out by the Graven Hill Development Company be noted.

 

(2)          That it be noted the Delivery Plan and Financial model were being updated to reflect latest market intelligence, final S106 position and infrastructure programme and that in accordance with the governance arrangements, the Updated 2015 Delivery Plan and financial appraisal would be presented to the Partnering Board in Jan 2015 for consideration and then onwards to Executive.

 

(3)          That the proposed marketing opportunity be noted and the proposal from the Directors of the Graven Hill Holding/Development Company supported by the Partnering Board to take part in this media production recognising the implications of such an activity be endorsed.

 

Minutes:

The Commercial Director (Bicester) submitted an exempt report which provided an update on the work being undertaken by the Graven Hill Development Company ahead of finalising the Delivery Plan and sought authorisation to take part in a media production to promote self-build on the site.

 

Resolved

 

(1)          That the work being carried out by the Graven Hill Development Company be noted.

 

(2)          That it be noted the Delivery Plan and Financial model were being updated to reflect latest market intelligence, final S106 position and infrastructure programme and that in accordance with the governance arrangements, the Updated 2015 Delivery Plan and financial appraisal would be presented to the Partnering Board in Jan 2015 for consideration and then onwards to Executive.

 

(3)          That the proposed marketing opportunity be noted and the proposal from the Directors of the Graven Hill Holding/Development Company supported by the Partnering Board to take part in this media production recognising the implications of such an activity be endorsed.

 

Reasons

 

As at 19 November 2014 (latest Delivery Team Meeting) the work programme for Graven Hill is on track in terms of programme, budget and risk management.

 

This is a significant investment for the Council and one that is innovative and delivers many positive benefits to the District. It is therefore imperative that the strong governance that has been put place continues to actively manage the work programme, budgets, risks and mitigations.

 

Exempt Appendix 2 details an exciting media potential to promote the site and taking into account all risks and mitigations it is recommended that the Company should take part in this programme in order to raise profile and boost the sale of plots.

 

After the Partnering Board scheduled for January 2015 has taken place an update on the Graven Hill 2015 Business Plan will be presented to the Executive in Q4.

 

Alternative Options

 

There is an option not to take part in the media production.