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Treasury Management Strategy

This strategy sets out the Treasury Management Strategy and Prudential and Treasury Management Indicators, setting out how the council's treasury transactions will be managed.

This strategy fulfils the Council’s legal obligation under the Local Government Act 2003 to have regard to both the CIPFA Code and the DCLG Guidance. Should the assumptions upon which this report is based change significantly, then a revised Treasury Strategy will be submitted for approval.

You can download the Treasury Management Strategy.