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  • Agenda, decisions and minutes

    Cabinet - Tuesday, 14 November 2023 7:00 pm

    • Attendance details
    • Agenda frontsheet PDF 131 KB
    • Agenda reports pack PDF 16 MB
    • Printed decisions PDF 85 KB
    • Printed minutes PDF 188 KB

    Venue: CIVIC SUITE (LANCASTER/STIRLING ROOMS), PATHFINDER HOUSE, ST MARY'S STREET, HUNTINGDON, PE29 3TN

    Contact: Democratic Services, Tel No: (01480) 388169 / e-mail:  Democratic.Services@huntingdonshire.gov.uk 

    Media

    Items
    No. Item

    42.

    MINUTES pdf icon PDF 133 KB

    To approve as a correct record the Minutes of the meeting held on 17th October 2023.

    Contact: Democratic Services - (01480) 388169

    Decision:

    The minutes of the meeting held on 17th October 2023 were approved as a correct record and signed by the Chair.  

    Minutes:

    The Minutes of the meeting held on 17th October 2023 were approved as a correct record and signed by the Vice-Chair.

     

    43.

    MEMBERS' INTERESTS

    To receive from Members declarations as to disclosable pecuniary, other registerable and non-registerable interests in relation to any Agenda item. See Notes below.

    Contact: Democratic Services - (01480) 388169

    Minutes:

    No declarations were received.

    44.

    REVIEW OF THE COUNCIL'S RISK MANAGEMENT STRATEGY pdf icon PDF 85 KB

    • View the background to item 44.
    • View the decision for item 44.

    To receive a report setting out the Council’s Risk Management Strategy for review.

     

    Executive Councillor: B Mickelburgh

    Contact: K Sutton - (01480) 387072

    Additional documents:

    • 3. Risk Management Strategy Appendix A , item 44. pdf icon PDF 761 KB
    • 3. Risk Management Strategy Appendix B , item 44. pdf icon PDF 259 KB

    Minutes:

    With the aid of a report prepared by the Director of Finance and Corporate Resources (a copy of which is appended in the Minute Book) the Cabinet reviewed the Council’s Risk Management Strategy that detailed how the Council manages risks associated with the organisation. The appended document provided details on the proposed Risk Strategy and how it fits within the Council’s governance and risk reporting. 

    By way of background, the Executive Councillor for Finance and Resources introduced the report explaining that an effective Risk Management Strategy will ensure the Council maximises its opportunities and manages those threats that may hinder the delivery of its priorities so that the opportunities for continuous improvement are maximised. Risk therefore needs to be considered at all stages of the management process, from the setting of corporate priorities through to the delivery of the service to the customer. Risk management therefore becomes an integral element of the Council’s corporate governance arrangements. This Risk Management Strategy aims to integrate risk management into the Council’s culture and processes and raise awareness amongst all employees and Members of the benefits and opportunities that successful management of risk can bring. 

    Having had their attention drawn to the comments of Overview and Scrutiny, the Executive Councillor highlighted that the Panel whilst giving praise for an excellent report had expressed concern over the seniority of the ownership of risks. Cabinet noted that the Panel had assured that whilst some risks are more appropriately managed at a strategic level, there is also accountability across all risk by senior managers. 

     

    The following matters were then raised and discussed and can be summarised as follows:

     

    The Cabinet decided that the (i) aim of the Risk Strategy is to have a functional approach to risk; and (ii) Risk Strategy should be part of the Councils culture and that it needs to be a living document that is updated on a regular basis. Whereupon it was

     

    RESOLVED

     

    that Council be recommended to approve the Risk Management Strategy.

     

    45.

    FINANCIAL PERFORMANCE REPORT 2023/24, QUARTER 2 pdf icon PDF 262 KB

    • View the background to item 45.
    • View the decision for item 45.

    To receive a report presenting details of the Council’s projected financial performance for 2022/23.

     

    Executive Councillor: B Mickelburgh.

    Contact: Democratic Services - (01480) 388169

    Additional documents:

    • 4. Finance Performance Report 2023-24 Q2 Appendix 1 , item 45. pdf icon PDF 177 KB
    • 4. Finance Performance Report 2023-24 Q2 Appendix 2 , item 45. pdf icon PDF 122 KB

    Decision:

    With the aid of a report prepared by the Director of Finance & Corporate Resources (See copy which is appended in the Minute Book) the Cabinet considered a report that provided details of (i)the Council’s projected financial performance for 2023/2024; (ii) Revenue outturn estimated underspend of £1.202m; (iii) Capital outturn estimated underspend/rephasing of £13.617m. The appended document provided details on the Quarter 2 expenditure forecast takes into account those factors affectingexpenditure and income that are known by the end of September 2023.

     

    By way of background, the Executive Councillor for Finance and Resources introduced the report explaining that the net revenue budget for 2023/24 totals £24.344m (including carry forwards of £0.231m), the forecast outturn as at the end of quarter 2 is £22.573m. Including a contribution to reserves of £0.569m this gives a forecast underspend of £1.202m. This is as a result of (large variations);

     

     

    Corporate Resources underspend £0.9m as a result of; increased interest received, vacant posts, reduced facilities management costs including utilities and business rates. Increased costs due to streaming committee meetings.

    Chief Operating Officer underspend £0.1m as a result of; Building Control savings, government grant for supporting Ukrainians, vacant posts in Customer Services (that are now filled). Costs remain for the council as a consequence of shortfall from Housing Benefit payments for homelessness from government (known as subsidy) and increased postage costs due to Royal Mail increases..

    Chief Planning Officer underspend £0.1m as a result of: Staff saving due to vacancies, increase in PPA/Pre-application fee income and reduced reliance on contractors (to date).

    Strategic Insight and Delivery overspend £0.1m as a result of; Staff vacancies, and savings on utilities at Countryside Services, offset by market and parking income reductions.

    Operations underspend £0.2m as a result of; Increased CCTV income, and reduced works required on watercourses, offset by loss of Street Cleansing income.

     

     

    Capital Forecast

     

    The approved original budget is £29.392m, which included re-phased budget from prior years of £15.898m. At the year end the actual budget rephased was £18.342m, which is £2.444m more rephased than budgeted, in addition funded housing grant of £0.744m has been confirmed from DLUHC, £0.295m funding for Ramsey Public Realm, and £0.275m for One Leisure St Ives Pitch Replacement. The current budget is therefore £33.150m (£29.392m + £2.444m + £1.314m).  The forecast outturn is £19.533m as a result of potential re-phasing to 2024/25 (subject to evaluation during the upcoming MTFS process) of £13.617m.

     

    This is as a result of (Large variations only);

     

    The most significant variations being, in-year underspends(may be approved as rephasings); Future High Streets £8.3m, Market Town Programme £1.4m, Market Town Programme smaller schemes £0.2m, Ramsey Food Hall £1.4m, Rural Prosperity £0.2m, Hinchingbrooke Country Park £2.6m, Vehicles £0.4m, Housing Company £0.2m, Disabled Facilities Grants £0.1m; against overspends; on Fareham office enhancements £0.6m and CIL grants £0.7m (funded from CIL reserve).

     

     

     

    Recommendation(s):

     

    Cabinet is

     

    RECOMMENDED

     

    (a)  To consider and comment on the revenue financial performance to the end of September 2023, as detailed in  ...  view the full decision text for item 45.

    Minutes:

    The Cabinet received and noted details of the Council’s projected financial performance for 2023/2024 (including the: (1) revenue outturn estimated underspend of £1.202m; and (2) capital outturn estimated underspend/rephasing of £13.617m.

     

    With the aid of a report (a copy of which is appended in the Minute Book) prepared the Director of Finance and Corporate Resources advised the Cabinet that the budget and MTFS for 2023/24 approved in February 2023, had assumed a net expenditure budget of £24.113m in addition to this £231k of carry forwards have been added to make a current budget for 2023/24 of £24.344m. A gross capital budget of £29.392m had been approved, increased to £33.150m due to additional re-phasing of schemes at the year-end of £2.444m, and funding for housing grant, Ramsey Public Realm and One Leisure St Ives Pitch Replacement of £1.314m not included in the original budget. The detailed analysis of the Q2 forecast outturn as of 30 September 2023 was noted attached at Appendix 1 for revenue, and Appendix 2 for capital.

     

    As a result of a thorough and wide-ranging discussion the Chair moved, and it was

     

    RESOLVED

     

    (a)  that the revenue financial performance to the end of September 2023, as detailed in Appendix 1 and summarised in paragraph 3.2 of the report now submitted be noted; and

     

    (b)  that the capital financial performance at the end of September 2023, as detailed in Appendix 2 and summarised in paragraph 3.3 of the report now submitted be noted.

     

    46.

    TREASURY MANAGEMENT SIX MONTH PERFORMANCE REVIEW pdf icon PDF 129 KB

    • View the background to item 46.
    • View the decision for item 46.

    To receive a report which sets out the Treasury Performance and indicators for period between 1st April 2023 and 30th September 2023 following approval of the Council’s 2023/24 Treasury Management Strategy by the Council on the 22nd February 2023.

     

    Executive Councillor: B Mickelburgh

     

     

    Contact: K Sutton - (01480) 387072

    Additional documents:

    • 5. Treasury Management 6 Month Performance Review Appendix A , item 46. pdf icon PDF 350 KB
    • 5. Treasury Management 6 Month Performance Review Appendix B , item 46. pdf icon PDF 72 KB
    • 5. Treasury Management 6 Month Performance Review Appendix C , item 46. pdf icon PDF 134 KB

    Minutes:

    The Cabinet received a report (a copy of which is appended in the Minute Book) that provided an update on the Council’s treasury management activity for the first six months of the year, including investment and borrowing activity and treasury performance.

     

    With the aid of the report prepared by the Director of Finance and Corporate Resources (a copy of which is appended in the Minute Book) it was noted that (i) the Council had approved the 2023/24 Treasury Management Strategy at its meeting on 22nd February 2023; (ii) all treasury management activity undertaken during the first half of 2023/24 complied with the CIPFA Code of Practice, relevant legislative provisions, and the Treasury Management Strategy; (iii) the investment strategy is to invest any surplus funds in a manner that balances negligible risk of default by the borrower with a fair rate of interest; and (iv) the Council’s borrowing strategy permits borrowing for cash flow purposes and funding current and future capital expenditure over whatever periods are in the Council’s best interests.

     

    As a result of discussions on the report the Cabinet

     

    RESOLVED

     

    (a)  that the treasury management performance for the first six months of 2023/24 be noted; and

     

    (b)  that the report be recommended to Council for consideration.

     

    47.

    PERFORMANCE MANAGEMENT FRAMEWORK pdf icon PDF 95 KB

    • View the background to item 47.
    • View the decision for item 47.

    To receive an updated version of the Performance Management Framework which was approved in 2017 for approval.

     

    Executive Councillor: S Ferguson

    Contact: D Buckridge - (01480) 388065

    Additional documents:

    • 6. Performance Management Framework Appendix 1 , item 47. pdf icon PDF 765 KB

    Minutes:

    The Cabinet received a report (a copy of which is appended in the Minute Book) that provided an updated version of the Performance Management Framework that had been approved in 2017. The main points of the discussions on the report may be summarised as follows:

     

    The Cabinet:

     

    v  Noted that the framework is important because it sets out the principals of how Huntingdonshire District Council will manage, report, and scrutinise performance.

    v  Noted that this refresh of the Councils Performance Management Framework is needed following the adoption of a new Corporate Plan that has set out a fresh approach to monitoring, managing, and reporting the Councils performance, with greater focus on the delivery on outcomes.

    v  Agreed that there is a clear and understandable expectation that the Council is accountable for and transparent about the services and outcomes are delivered to local residents and service users. It is the Councils responsibility to manage performance of its services in a way that is open, accessible, suitable, complies with statutory duties and appropriate to local needs.

    v  Noted that the Framework also references recent changes to how Government will monitor performance and will help prepare for expected amendments to statutory guidance on the Best Value Duty, as set out in a recent consultation.

    v  Agreed that Performance management also informs how we can be as efficient and effective as possible while delivering good quality, high value for money services.

     

    As a result of discussions on the report the Chair moved and it was

     

    RESOLVED

     

    (a)  that the revised Performance Management Framework be approved; and

     

    (b)  that the Chief Executive be authorised to set out a timetable for corporate or finance peer challenges and make arrangements for these to take place.

    48.

    CORPORATE PERFORMANCE REPORT 2023/24, QUARTER 2 pdf icon PDF 141 KB

    • View the background to item 48.
    • View the decision for item 48.

    To receive a briefing on progress with Corporate Plan actions and operational performance measure results and forecasts as at the end of Quarter 2 (July to September 2023).

     

    Executive Councillor: S Ferguson

     

    Contact: D Buckridge - (01480) 388065

    Additional documents:

    • 7. Corporate Performance Report 2023-24 Appendix 1 , item 48. pdf icon PDF 1 MB
    • 7. Corporate Performance Report 2023-24 Appendix A , item 48. pdf icon PDF 468 KB
    • 7. Corporate Performance Report 2023-24 Appendix B , item 48. pdf icon PDF 3 MB
    • 7. Corporate Performance Report 2023-24 Appendix C , item 48. pdf icon PDF 225 KB

    Minutes:

    The Cabinet received a report by the Business Intelligence & Performance Manager (a copy of which is appended in the Minute Book) that provided an update on delivery of the Corporate Plan and project delivery during Quarter 2 (July to September 2023).

     

    A summary of the discussion on the report is set out below:

     

    It was noted that:

     

    vMembers of Cabinet and the Overview and Scrutiny (Performance and Growth) Panel have a significant role in the Council’s Performance Management Framework and a process of regular review of performance data has been established. With the focus being on delivery against the Council’s strategic outcomes and regular reporting should enable Overview and Scrutiny to maintain a strategic overview and their comments will be shared with Cabinet following the Overview and Scrutiny Panel’s meeting on 1 November 2023.

    vprogress on Corporate Plan actions and operational performance measures is reported quarterly. The Corporate Performance Report summarised progress and performance by outcome. The report is focused on outcomes, with a single page summary from the accountable officer for each outcome (either a Corporate Director or Assistant Director) followed by tables and pie charts summarising the status of actions, performance measures and projects linked to the outcome.

     

    As a result of discussions on the report the Chair moved, and it was.

     

    RESOLVED

     

      that the progress and performance during Quarter 2, as summarised in the Corporate Performance Report and detailed in Appendices A, B and C of the report now submitted, be noted.

     

    49.

    COUNCIL TAX SUPPORT (CTS) SCHEME 2024/25 pdf icon PDF 344 KB

    • View the background to item 49.
    • View the decision for item 49.

    To receive a report presenting the action taken to date to redesign the Council Tax Benefit Scheme to ensure that it is fit for the future and asking Members recommend Council approve the new income-banding.

     

    Executive Councillor: S Ferguson

    Contact: K Kelly - katie.kelly@huntingdonshire.gov.uk

    Additional documents:

    • 8. Council Tax Support Scheme Appendix A , item 49. pdf icon PDF 173 KB
    • 8. Council Tax Support Scheme Appendix B , item 49. pdf icon PDF 103 KB
    • 8. Council Tax Support Scheme Appendix C , item 49. pdf icon PDF 139 KB
    • 8. Council Tax Support Scheme Appendix D , item 49. pdf icon PDF 236 KB

    Minutes:

    The Cabinet received and noted a report (a copy of which is appended in the Minute Book) that set out the action taken to date to redesign the Council Tax Support (CTS) scheme to ensure that it is fit for the future, provides the rationale for change and leads to a recommendation that the Council approves the introduction of a new, income-banded scheme for working age applicants with effect from 1st April 2024, increasing levels of support available to the most vulnerable residents across Huntingdonshire.  The main points of the discussions on the report may be summarised as follows:

     

    The Cabinet:

     

    v  Noted that since the abolition of Council Tax Benefit in 2013, Local Authorities in England have been required to administer their own Council Tax Support (CTS) schemes. As whilst support for residents of pensionable age is determined by Central Government, schemes for working age residents are set locally. Local Authorities are required to review their CTS schemes annually and to decide to either maintain their existing scheme or replace it.

    v  Agreed that increasing the level of support for eligible residents directly supports the aims specified within the Corporate Plan, to keep people out of crisis and to help those in crisis.

    v  Acknowledged that simplifying the scheme to make it more accessible for residents, reduce the administrative burden and improving delivery times. This will directly support the aim specified within the Corporate Plan to deliver good quality, value-for-money services with good control and compliance with statutory obligations.

    v  Recognised that the reduction in caseload and therefore reduction of the impact of CTS on the taxbase provides an opportunity to consider increasing support to those most in need.

    v  Noted that a review of the CTS scheme provides an opportunity to ensure the scheme best meets the needs of our residents and contributes to the Corporate Plan commitment to both prevent crisis, and to support those in crisis.

    v  Noted that the recommended amendments to the scheme will also contribute to Priority 3 of the Corporate Plan – to deliver good quality, high value for money services with good control and compliance with statutory obligations.

    v  Agreed with rising food and energy costs the departments and teams within the Council should collaborate closely with each other and with partner organisations to develop an integrated approach to local council tax support council tax collection, identifying and supporting people who are struggling to pay including looking at the physical and mental wellbeing for those in greatest need.

     

    As a result of discussions on the report the Chair moved, and it was.

     

    RESOLVED

     

    that Council be recommended to approve the introduction of a new income-banded Council Tax Supoort scheme for working age applications with effect from 1st April 2024.

     

    50.

    TRANSFER OF PUBLIC OPEN SPACES POLICY pdf icon PDF 247 KB

    • View the background to item 50.
    • View the decision for item 50.

    To receive a report which proposes a policy and process for the transfer of public open spaces of more than 0.25 acres owned by the District Council.

     

    Executive Councillor: S Taylor

    Contact: N Sloper - (01480) 388635

    Additional documents:

    • 9. Transfer of Public Open Spaces Appendix A , item 50. pdf icon PDF 219 KB
    • 9. Transfer of Public Open Spaces Appendix B , item 50. pdf icon PDF 35 KB
    • 9. Transfer of Public Open Spaces Appendix C , item 50. pdf icon PDF 85 KB
    • 9. Transfer of Public Open Spaces Appendix D , item 50. pdf icon PDF 137 KB
    • 9. Transfer of Public Open Spaces Appendix E , item 50. pdf icon PDF 140 KB

    Minutes:

    The Cabinet received a report by the Assistant Director Strategic Insight and Delivery (a copy of which is appended in the Minute Book) that establishes a Policy for the transfer of public open spaces of more than 0.25 acres owned by the District Council. Play areas contained within public open spaces exceeding 0.25 are included under the Policy. The main points of the discussions on the report may be summarised as follows:

     

    The Cabinet noted that:

     

    v  The policy and process proposed are intended to ensure requests are managed in a consistent, effective, and efficient manner so any opportunities to work collaboratively for better community outcomes are explored. This supports the underlying principles of the Council’s Corporate Plan 2023-2028 based on what the Council and its services can do, enable, or influence to achieve better outcomes.

    v  There is no universal definition of public open space, for the purpose of this report and policy the Council refers to Public Open Space as defined in the Town and Country Planning Act 1990 as land laid out as a public garden, or used for the purposes of public recreation, or land which is a disused burial ground.

    v  Public open spaces are highly valued by the residents of Huntingdonshire and contribute directly to the achievement of priority outcomes in our Corporate Plan. Access to play, recreation and nature within public open spaces are proven to improve the quality of life for local people, improving their happiness and wellbeing. The Council’s Healthy Open Spaces Strategy 2020 recognised and prioritised community driven priorities to maintain and enhance our public open spaces. 95% of those surveyed had visited an open space in the last 12 months, 64% rated open spaces as essential to quality of life and 98% stated open spaces make themselves and other people happy. Public open spaces are also a key part of creating a better Huntingdonshire for future generations and contributing to the Council’s priorities within the Climate Strategy adopted February 2023, lowering carbon emissions, and enhancing nature.

    v  The Council’s public open spaces also provide an opportunity to secure Biodiversity Net Gain Units, especially smaller units, which would ensure small developments contribute to local biodiversity net gain, supporting future management costs. The importance of retaining such land and how it is managed is therefore significant.

    v  Given the unique nature and complexity of individual sites, their potential future uses, land values and benefits to local communities and nature; transfers of open spaces can be complex. Issues and costs often unique to the site in question. The benefits and outcomes delivered must therefore be satisfied through consideration of a business case and public committee as required.

     

    As a result of discussions on the Chair moved, and it was.

     

    RESOLVED

     

    (a)   that the Transfer of Public Open Spaces Policy as set out in Appendix A of the report now submitted be adopted. The key elements of this are:

     

      I.  Not to ordinarily seek or pursue the transfer of public open spaces that  ...  view the full minutes text for item 50.