Issue details

Prudential Indicators and Treasury Management Outturn – 2025/26

The report provides important information regarding the regulation and management of the Council’s borrowing, investments, and cash-flow for the 2025/26 financial year. It also provides the Prudential Indicators results for the financial year in accordance with the above and the outturn position on the capital programme

Both of these are requirements of the Council’s reporting procedures under the CIPFA Treasury Management Code of Practice, and by regulations issued under the Local Government Act 2003.
 

Decision type: Non-key

Decision status: For Determination

Notice of proposed decision first published: 08/05/2026

Anticipated restriction: Public  -

Decision due: 8 Jul 2026 by Executive

Lead member: 7) Executive Member for Finance

Lead director: Corporate Director of Finance

Contact: Justin Weston Email: Justin_Weston@middlesbrough.gov.uk.

Does this Plan form part of the Council Budget / Policy Framework?: The report is for information purposes only, but is a best practice requirement to submit at the same time as the revenue and capital outturn report.