Archived decisions

Sheet1

 

PRUDENTIAL INDICATORS SUMMARY

                     
 

Indicator

Basis

Period

Unit

2003/04

2004/05

2005/06

2006/07

2007/08

2008/09

 

Affordability

                 

1

Estimates of ratio of financing costs to net revenue stream

Estimate

Years 1, 2 and 3

%

 

0.40%

0.68%

1.20%

1.77%

 

2

Actual ratio of financing costs to net revenue stream

Actual

Year end

%

0.50%

         

3

Incremental impact of capital investment decisions on Council Tax

Estimate

Years 1, 2 and 3 (and longer as necessary)

£ per Band D Equivalent

   

£0.96

£1.56

£2.29

£1.30

 

Capital Expenditure

                 

4

Estimates of capital expenditure

Estimate

Years 1, 2 and 3 (and longer as necessary)

£000

 

2,019

2,977

5,651

2,733

522

5

Actual capital expenditure

Actual

Year end

£000

1,210

         

6

Estimates of capital financing requirement (CFR)

Estimate

Years 1, 2 and 3

£000

 

6,244

8,763

13,959

16,217

 

7

Actual CFR

Actual

Year end

£000

4,233

         
 

External Debt

                 

8

Authorised limit (for total external debt)

Estimate

Years 1, 2 and 3

£000

   

15,743

20,586

22,303

 

9

Operational boundary (for total external debt)

Estimate

Years 1, 2 and 3

£000

   

10,515

15,358

17,075

 

10

Actual borrowing

Actual

Year end

£000

3,250

         

11

Actual other long term liabilities

Actual

Year end

£000

1,482

         

12

Actual external debt

Actual

Year end

£000

4,732

         
 

Prudence

                 

13

Net borrowing will not exceed CFR over medium term

Estimate

Three year period

n/a

       
 

Treasury Management

                 

14

Adoption of the CIPFA Code of Practice for Treasury Management in the Public Services

 

All years

n/a

           

15

Fixed interest rate exposure - upper limit

Estimate

Years 1, 2 and 3

£m

 

4.8

7.1

11.9

13.6

 

16

Variable interest rate exposure - upper limit

Estimate

Years 1, 2 and 3

£m

 

8.7

8.7

8.7

8.7

 

17

Maturity structure of borrowing (upper and lower limits)

Estimate

All years

%

   

see below

see below

see below

 

18

Total principal sums invested for periods longer than 364 days

Estimate

All years

£m

nil

nil

nil

nil

nil

nil

                     
                     
 

Maturity structure of borrowing

 

2005/06

2006/07

2007/08

 
 

Period

   

upper limit

lower limit

upper limit

lower limit

upper limit

lower limit

 

17a

Under 12 months

   

0%

0%

0%

0%

0%

0%

 

17b

12 months and within 24 months

 

32%

0%

41%

0%

13%

0%

 

17c

24 months and within 5 years

 

32%

0%

41%

0%

13%

0%

 

17d

5 years and within 10 years

   

32%

0%

41%

0%

13%

0%

 

17e

10 years and above

   

100%

68%

100%

59%

100%

87%