Save time, do it online: Pay Apply Report

Management of cash balances

The Treasury Management Strategy and Practices Document (November 2017) (PDF: 514Kb / 31 pages) governs the way we manage our investments. It is reviewed twice a year to comply with the Chartered Institute of Public Finance and Accountancy (CIPFA) Code. The Code identifies twelve areas where statements of treasury management practices should be developed to implement the full requirements of the Code.