Issue - meetings

Budget Management 2021/22 - Progress Report April to May 2021.

Meeting: 26/07/2021 - Cabinet (Item 6)

6 Budget Management 2021/22 - Progress Report April to May 2021. pdf icon PDF 741 KB

Additional documents:

Minutes:

The Leader drew Members’ attention to the tabled amendments for Appendix B.

 

Peter Stuart, Head of Corporate Resources introduced the report which established the Council’s position for the start of the financial year.  He highlighted that the Council had budgeted for a pay freeze in line with Government’s advice.  An offer of 1.5% has been made to and rejected by Unison, 1.5% has been allowed in the current financial year and the budget forecast for future years.   The income compensation scheme finished at the end of June.  Some projected income receipts had not reduced as expected and income receipts would still be unpredictable for a while. The use of the Leisure Reserve reduced the projected overspend but this overspend will change during the year. He noted the amendments to Appendix B for the Rural Connectivity Project.

 

Simon Hughes, Head of Digital and Customer Services advised that Appendix B has been amended to reflect an inter authority agreement with Brighton and Hove City Council (BHCC) to provide project management and design expertise.  Mid Sussex District Council has experience in delivering similar fibre projects.  All costs have been recovered including some additional costs.  The Mid Sussex network will connect with that of Brighton and Hove.  The Council can leverage investments with investors including the Brighton Digital Exchange and the Digital Catapult, which focuses on supporting and developing business to create further opportunities.

 

The Deputy Leader noted the overspend.  The Council should still be prudent as the future is uncertain, but climate change targets must be met.   Burgess Hill Place and Connectivity has funding including Section 106 match funding.

 

The Cabinet Member for Economic Growth commended the officers for the digital fibre project which is on budget and on time.  He highlighted the loss of season ticket income noting it will be difficult to know if the income will bounce back.  He queried the loss on green waste bins, the additional capital revenue costs and requested clarification on the extension of the local Council Tax Support scheme (CTS).

 

The Cabinet Member for Customer Services confirmed her decision as portfolio holder to continue the CTS scheme to ensure help for residents during challenging times, the total support to be offered is less than last year.

 

The Head of Corporate Resources advised that income could fall short of the predicted level and noted an inconsistency in the report which would be adjusted to match Appendix B. 

 

Judy Holmes, Assistant Chief Executive confirmed the Council had taken early delivery of more green waste bins and are well placed to recoup the income.

 

The Cabinet Member for Customer Services thanked the Deputy Leader and the officers for a good report and highlighted the Full Fibre Project.  She queried the continued loss of the Leisure Management Fee for this and future years requesting updated figures at the earliest opportunity.  She welcomed the use of reserves to aid rough sleepers for next Winter.

 

The Assistant Chief Executive highlighted the difficulty in predicting and budgeting during uncertain times.  The Leisure  ...  view the full minutes text for item 6