Agenda item

Financial Management 2024/25 to 2027/28 - Revenue and Capital Budget Update 2024/25 – January Update

Report of the Executive Director – Corporate Services and Commercial

Minutes:

The Cabinet considered the report of the Executive Director – Corporate Services and Commercial informing the Cabinet of:

 

1)    The current position relating to the 2024/25 revenue budget.

2)    The current forecast on Council Tax and Business Rates collection for 2024/25.

3)    The monitoring position of the Council’s capital programme to the end of November 2024:

·       The forecast expenditure to year end.

·       Variations against the approved budgets and an explanation of those variations for consideration by Members.

·       Updates to spending profiles and proposed amendments to capital budgets necessary to ensure the efficient delivery of capital projects.

 

The following appendix was attached to the report:

 

·       Appendix A – Capital Programme 2024/25 to 2026/27

 

Decisions Made:

 

That

 

Revenue Outturn

 

(1)      the current position relating to the 2024/25 revenue budget be noted;

 

(2)      the actions being taken to refine forecasts and identify mitigating efficiencies to ensure each service achieves a balanced position be noted;

 

(3)      the remedial action plan measures previously approved by the Cabinet on 7 November 2024, as outlined in section 3 of the report, be noted;

 

(4)      the intention to review and release Earmarked Reserves to support the additional in-year budget pressure and reduce the call on the Council’s General Balances be noted;

 

(5)      the financial risks associated with the delivery of the 2024/25 revenue budget be recognised and it be acknowledged that the forecast outturn position will continue to be reviewed, and remedial actions put in place, to ensure a balanced forecast outturn position and financial sustainability can be achieved;

 

Capital Programme

 

(6)      the spending profiles across financial years for the approved capital programme, as set out at paragraph 8.1 of the report, be noted;

 

(7)      the latest capital expenditure position as at 30 November 2024 of £31.470m, as set out at paragraph 7.3 of the report, and the latest full year forecast is £77.937m, as set out at paragraph 7.4 of the report, be noted;

 

(8)      a supplementary capital estimate of £0.651m and a supplementary revenue estimate of £0.005m for the Local Authority Housing Fund Round 3 funded by grant from MHCLG, as set out at paragraph 7.09 of the report, be approved;

 

(9)      a supplementary capital estimate of £0.449m for the Network North Roads Resurfacing Fund funded by a grant from the Liverpool City Region Combined Authority, as set out at paragraph 7.10 of the report, be approved; and

 

(10)    it be noted that capital resources will be managed by the Executive Director - Corporate Service and Commercial to ensure the capital programme remains fully funded and that capital funding arrangements secure the maximum financial benefit to the Council, as set out at paragraphs 7.11-7.13 of the report.

 

Reasons for the Decisions:

 

To ensure the Cabinet was informed of the current position in relation to the 2024/25 revenue budget.

 

To provide an updated forecast of the outturn position with regard to the collection of Council Tax and Business Rates.

 

To keep Members informed of the progress of the Capital Programme against the profiled budget for 2024/25 and agreed allocations for future years.

 

To progress any changes that were required in order to maintain a relevant and accurate budget profile necessary for effective monitoring of the Capital Programme.

 

To approve any updates to funding resources so that they could be applied to capital schemes in the delivery of the Council’s overall capital strategy.

 

Alternative Options Considered and Rejected:

 

None.

 

Supporting documents: