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Our spending plans 2022/23

East Devon spending plans for 2022/23 is detailed in the Council's approved Revenue and Capital Estimates 2022-2023

Treasury Management

Treasury management is the management of the local authority’s investments and cash flows, its banking, money market and capital market transactions; the effective control of the risks associated with those activities; and the pursuit of optimum performance consistent with those risks.

The Treasury Management Strategy covers:

the capital plans (including prudential indicators);
a minimum revenue provision (MRP) policy (how residual capital expenditure is charged to revenue over time);
the treasury management strategy (how the investments and borrowings are to be organised) including treasury indicators; and
an investment strategy (the parameters on how investments are to be managed).

Treasury Management Strategy Statement 2022/23

The Council also has an approved Capital Strategy which draws together various adopted strategies and agreed process of the Council that govern how the Council manages capital expenditure and investment decisions.  The Capital Strategy brings these areas together in one overarching document.

Capital Strategy 2022/23