Issue - items at meetings - KD 5200 - Quarter 2 Revenue Monitoring Report

Issue - meetings

KD 5200 - Quarter 2 Revenue Monitoring Report

Meeting: 11/11/2020 - Cabinet (Item 8)

8 Revenue Monitoring 2020/21: Quarter 2 (September 2020) pdf icon PDF 1 MB

A report from the Executive Director – Resources is attached. (Key decision – reference number 5200)

 

Minutes:

Councillor Mary Maguire (Cabinet Member for Finance and Procurement) introduced the report of the Executive Director – Resources setting out the Council’s revenue budget monitoring position based on information to the end of September 2020.

 

NOTED

 

1.            That the report set out the position with, and without, the impact of Covid-19 which demonstrated that the Council had been progressing on the journey of establishing a robust and resilient financial position prior to the outset of the pandemic.

 

2.            That the revenue budget forecast including the impact of Covid-19, Government support and the Council’s response was an £0.4m overspend, compared to £10.6m overspend reported at Quarter 1. The detailed breakdown of the revenue budget forecast as set out in the report was explained and highlighted. The impact of Covid-19 had been assessed by forecasting the additional expenditure, loss of income and impact on the savings programme, the total forecast was £64.6m.

 

3.            That the Government had provided funding of £30.9m to support the Council’s response and further support had been introduced to help manage the loss of sales and fees and charges, as outlined in paragraph 4 of the report.

 

4.            That the Council remained in a financially challenging position, with an estimated budget gap for 2021/22 of £18.117m. Excluding the impact of Covid-19 the budget gap for 2021/22 would have been £1.715m.

 

5.            The impact on the Council’s collection fund through Council Tax and Business rates collections. The Government had announced that the deficit could run for the next three years, as explained in the report.

 

6.            That as part of the package of measures to reduce the financial pressures caused by the pandemic, a mid-year review of the Council’s fees and charges had been undertaken, for approval by the Council following Cabinet consideration, as detailed in Appendix H of the report.

 

7.            The current position in relation to the Housing Revenue Account and Dedicated Schools Grant as set out in Appendices L and M of the report.

 

8.            In particular, the Covid-19 budget pressures outlined and reflected in the Appendices of the report.

 

9.            The Council’s financial position would continue to be closely monitored and carefully managed as set out in the report. The Council was continuing to face its most significant financial challenge.

 

10.         The funding which had been received by the Government to date. The Council would continue to lobby for additional resources to meet the costs incurred in responding to the pandemic. The significant level of uncertainty on future Government funding settlements was highlighted together with the lack of long-term planning by the Government which impacted on the Council’s ability to plan and manage its budget over the coming years. The Government would be announcing a one-year funding allocation in December. Members stated that the Government’s funding approaches were unhelpful to Councils future budget planning in the medium term.

 

11.         The continuing concerns over the lack of adequate funding to meet the costs and demand of Adult Social Care provision. The funding pressures in recent years  ...  view the full minutes text for item 8