Decision details


Budget Setting for 2024/25 and the Medium-Term Financial Strategy up to 2028/29

Decision Maker: Council, Executive

Decision status: Recommendations approved

Is Key decision?: Yes

Is subject to call in?: No

Purpose:

This report is the culmination of the Budget and Business Planning process for 2024/25 to 2028/29 and sets out the Executive’s proposed Business Plan and related revenue budget for 2024/25, medium term financial strategy to 2028/29, capital programme to 2028/29 and all supporting policies, strategies, and information to recommend to full Council.

Decision:

Resolved

 

(1)          That, having due regard, the statutory report of the Chief Finance Officer and the comments of the Chief Finance Officer in respect of the proposed amendments, be noted.

 

(2)          That, subject to the following amendments with authority delegated to the Section 151 Officer to update the budget papers to reflect the amendments, the proposed Fees and Charges schedule for 2024/25 be approved and it be noted that statutory notices would be placed where required.

·       That the 2024/25 increase in bulky waste charges be removed and the 2023/24 levels be retained and a new premium charge for faster service be introduced

·       That the charge for replacement bins be removed

·       That the 2024/25 increase in the NOA, Cooper School and Stratfield Brake fees and charges be removed and the fees be retained at 2023/24 levels at a cost of £0.012m.

 

(3)          That, having given due consideration, the Equality Impact Assessments of the Budget be noted.

 

(4)          That the Business Plan (annex to the Minutes as set out in the Minute Book) be approved.

 

(5)          That the net revenue budget, for the financial year commencing on 1 April 2024, as set out below incorporating budget movements to fund the amendments to the budget, with authority delegated to the Section 151 Officer to amend other tables within the budget accordingly, be approved:

 

Directorate

Net budget 2024/25
£m

Proposal
£m

Revised Net Budget 2024/25
£m

2025/26
£m

2026/27
£m

2027/28
£m

2028/29
£m

Communities

8.917

0.117

9.034

0.072

0.152

(0.033)

(0.015)

Resources

4.314

4.314

(2.369)

0.021

0.024

(0.100)

Chief Executive

5.355

0.012

5.367

(0.097)

(0.098)

(0.056)

0.009

Service Sub-total

18.586

0.129

18.715

(2.394)

0.075

(0.065)

(0.106)

Corporate Costs

4.293

4.293

3.594

1.195

0.532

0.198

Policy Contingency

4.108

(0.129)

3.979

0.837

0.524

0.524

0.524

Net Cost of Services

26.987

0.000

26.987

2.037

1.794

0.991

0.616

Funding

(26.987)

 

(26.987)

5.001

2.500

2.207

(1.478)

Funding Gap / (Surplus)

0.000

0.000

0.000

7.038

4.294

3.198

(0.862)

 

(6)          That, subject to the following amendments with authority delegated to the Section 151 Officer to update the budget papers to reflect the amendments, the Medium Term Financial Strategy and Revenue Budget 2024/25 including the Savings Proposals and Pressures be approved.

·         That savings proposal reference SWAST243 (£0.075m) be removed to reflect resolution (2) to not introduce a charge for replacement bins.

·         That savings proposal SWAST241 be amended by introducing alternative charges for bulky waste (as set out in resolution (2)) in 2024/25 and it be noted this has a net nil impact on the budget and MTFS.

·         That savings proposal SPCON242 be reduced by £0.022m in 2024/25 in order to keep Pioneer Square public conveniences open.

·         That a new pressure of £0.020m for an additional cleaning contract for the public conveniences at Pioneer Square be agreed.

·         That the general contingency budget be reduced by £0.129m to fund the agreed amendments to the proposed budget. 

 

(7)          That an increase in the Basic Amount of Council Tax for Cherwell District Council for the financial year beginning on 1 April 2024 of £5, resulting in a Band D charge of £153.50 per annum be agreed.

 

(8)          That the Capital Bids and Capital Programme (annexes to the Minutes as set out in the Minute Book) be approved.

 

(9)          That the Capital and Investment Strategy 2024/25 (annex to the Minutes as set out in the Minute Book), including the Minimum Revenue Provision (MRP) Policy, and the revised 2023/24 MRP Policy (annex to the Minutes as set out in the Minute Book).

 

(10)       That the Treasury Management Strategy, including the Prudential Indicators, and Affordable Borrowing Limit for 2024/25 (annex to the Minutes as set out in the Minute Book) be approved.

 

(11)       That a minimum level of General Balances of £6.1m be approved.

 

(12)       That the Reserves Policy (annex to the Minutes as set out in the Minute Book) and the medium-term reserves plan (annex to the Minutes as set out in the Minute Book) be approved.

 

(13)       That the Pay Policy Statement, as required by the Localism Act 2010 (annex to the Minutes as set out in the Minute Book) be approved.

 

Reason Key: Significant Expenditure or Savings and effect on communities in two or more wards;

Reason No Public Access: No

Contact: Michael Furness, Assistant Director Finance & S151 Officer Email: michael.furness@cherwell-dc.gov.uk Tel: 01295 221845, Joanne Kaye, Head of Finance and Deputy Section 151 Officer Email: joanne.kaye@cherwell-dc.gov.uk Tel: 01295 221545.

Report author: Michael Furness

Publication date: 08/03/2024

Date of decision: 26/02/2024

Decided at meeting: 26/02/2024 - Council

Accompanying Documents: