Archived decisions

      Appendices

    Appendix

     

    Colour

    1

    Revised budget 2006/07 - calculation of the cash limit

    yellow

    2

    Revised budget 2006/07 - comparison with cash limit

    yellow

    3

    Base budget 2007/08 - summary of cash limit

    pink

    3 - Annex 1

    Base budget 2007/08 - definition of base budget

    pink

    3 - Annex 2

    Base budget 2007/08 - significant costs of inflation

    pink

    3 - Annex 3

    Base budget 2007/08 - significant variations from 2006/07 repriced budget

    pink

    4

    Proposals for growth and redeployment 2007/08, 2008/09 and 2009/10

    yellow

    5

    Efficiency statement

    yellow

    6

    Review of income 2007/08

    yellow

    7

    Business units - summarised trading accounts

    blue

    8

    Revenue budget 2007/08 - analysis of variations

    blue

    9

    Revenue Budget 2007/08 - budget book detail

    green

    10

    Workforce levels and costs 2006/07 - 2008/09

    white

    11

    Provisional budget 2008/09 and 2009/10

    pink

    11 - Annex 1

    Provisional budget 2008/09 - analysis of variations

    blue

                      Appendix 1

      Recreation and Heritage Service

      Revised budget 2006/07

      Calculation of the cash limit for the revised budget 2006/07

      The following table shows the progression from the original budget for 2006/07 to the cash limit for the revised budget 2006/07. Both are at estimated outturn prices 2006/07.

         

    £'000

    £'000

    Original budget 2006/07 at outturn prices

     

    31,715

    Transfers to/from other services and contingency allocations:

        - Hampshire Wardrobe

        - Corporate Procurement

     

    30

    -8

    =

    Adjusted original budget

     

    31,737

    Inflation

    Provision added since the original budget for business rates

     

    -7

    Other variations

        - Busy Bees scheme

        - Pay and Benefits savings

        - Local Public Service Agreement

        - Reduction for Calshot Prudential loan

     

    -3

    -50

    113

    -22

    =

    Cash limit for the revised budget 2006/07

     

    31,768

             

                      Appendix 2

      Recreation and Heritage Service

      Revised budget 2006/07

      Summary comparing the revised budget with the cash limit

     

    Cash Limit

    Revised Budget

    Variation

     
     

    £'000

    £'000

    £'000

    %

             

    Cash limited expenditure

           

    Museums and Archives

    Milestones

    Tourism, Marketing and Design

    Library and Information Service

    Countryside Service

    Arts

    Sports and Community

    Calshot Activities Centre

    Policy Development Initiatives

    Director and Business Development

    3,418

    200

    578

    17,217

    4,499

    2,075

    2,057

    233

    765

    726

    3,418

    200

    578

    17,217

    4,499

    2,075

    2,057

    233

    765

    726

    -

    -

    -

    -

    -

    -

    -

    -

    -

    -

    -

    -

    -

    -

    -

    -

    -

    -

    -

    -

             

    Total

    31,768

    31,768

    -

    -

      Appendix 3

      Recreation and Heritage Service

      Revenue budget 2007/08

      Calculation of the base budget 2007/08 - summary of cash limited expenditure

      The following table shows the progression from the original budget for 2006/07 which was prepared at outturn prices 2006/07 to the base budget 2007/08 at outturn prices 2007/08.

       

    £'000

    £'000

    Original budget 2006/07 at outturn prices

     

    31,715

    Transfers to/from other services and contingency allocations

       

    -

    -

    Hampshire Wardrobe

    Corporate procurement

     

    30

    -8

    =

    Adjusted original budget

     

    31,737

    Increases for inflation to reflect November 2006 prices (see Annex 2)

       

    -

    Inflation allocated during 2006/07 from the central inflation contingency for business rates

     

    131

    -

    Excess cost of inflation over the inflation allowance

     

    56

    Original budget at November 2006 prices

     

    31,924

    Other variations (see Annex 3)

       

    -

    Reductions to offset excess inflation

    -56

     

    -

    Exclusion of non-recurring 2006/07 expenditure

    -220

     

    -

    Reduction for Calshot Prudential loan

    -22

     

    -

    Local Public Services Agreement

    39

     

    -

    Allowable base budget growth

    30

     

    -

    Hampshire Direct

    -259

    -488

    Allocation for future inflation

     

    939

    =

    Base budget 2007/08 at outturn prices

     

    32,375

      Annex 1 to Appendix 3

      Recreation and Heritage Service

      Calculation of base budget 2007/08

      Parameters used in the compilation

    1

    Definitions

    1.1

    The first stage in the construction of the budget for 2007/08 is the preparation of a base budget. The rules used this year are similar to those applied in 2006/07, which are summarised below.

           

    1.2

    The 2007/08 base budget is defined as the current year's budget adjusted for:

    · allocations made for inflation in 2006/07 including the full year effect of the provision made for outstanding pay awards from 2005/06

    · exclusion of expenditure included in the 2006/07 budget which was financed by the carry forward of planned underspendings from 2005/06, the one-off use of reserves or balances, or which was approved on a non-recurring basis

    · the revenue effect of past capital programmes, subject to its inclusion in the approved capital programme unless a specific Cabinet decision to the contrary

    · the full year effect of council-approved policies included in the 2006/07 original budget, which have been introduced part-way through the year

    · changes in income volumes which are not the result of policy decisions

    · correction of arithmetical errors in the current year's budget.

                      Annex 2 to Appendix 3

      Recreation and Heritage Service

      Calculation of base budget 2007/08

      Significant costs of inflation

    1.

    Variation between the actual cost of inflation in 2006/07 (as at November 2006) and the provision for inflation included in the 2006/07 budget

           

    £'000

    £'000

     

    Additional cost of inflation

     

    187

     

    Less:

       
     

    -

    Allocation from contingency for business rates

     

    -131

     

    -

         
     

    =

    Shortfall in the provision

     

    56

               

    2.

    Significant costs of inflation between budgeted 2006/07 outturn prices and November 2006 prices

    2.1

    Pay awards

       
     

    Provision was originally made in 2006/07 for pay awards of 2.95% for teachers and other employee groups.

       
     

    No additional cost in 2007/08 of the pay awards agreed in 2006/07 is anticipated.

       
     

    The pay awards agreed were:

       
     

    Negotiating body: Effective date:

    %

     

    Local Government Services Staff

    Hampshire Management Grades

    1 April 2006

    1 April 2006

    2.95

    2.95

    2.2

    Non pay inflation

       
     

    Provision was originally made in 2006/07 for a net amount of £118,000

       
     

    This was for general price increases of 2.5% (£233,000) offset by increased income of £115,000 to match inflation in gross expenditure

       
           

    3.

    Allocation for future inflation

     

    £'000

     

    Provision for all pay awards of 2.25% in 2007/08

     

    558

     

    Increase in local government employers' pension contributions (from 275% to 295% of employee contributions)

     

    254

     

    Provision for non-pay inflation at 2.5%

     

    183

     

    Reduction for increased income

     

    -56

     

    Total allocation for future inflation

     

    939

               

      Annex 3 to Appendix 3

      Recreation and Heritage Service

      Calculation of base budget 2007/08

      Significant variations

      Major variations between the repriced budget 2006/07 and the base budget for 2007/08 at November 2006 prices contributing to the decrease of £488,000 (-1.5%) are set out below:

       

    Variations against the repriced 2006/07 budget

       

    £'000

    %

     

    Museum and archives

       
     

    Reduction for Hampshire Direct operation

    -29

    -0.8

           
     

    Tourism, marketing and design

       
     

    Transfer to Arts

    -37

    -

           
     

    Libraries and information

       
     

    Cessation of 2006/07 one-off increase

    -170

    -1.0

     

    Reduction for excess inflation

    -29

    -

     

    Reduction for Hampshire Direct operation

    -138

    -0.8

     

    Transfer from Policy Fund for Central Support Services

    20

    -

     

    Increments

    182

    1.5

     

    Restructuring reductions

    -676

    -5.4

     

    Reduced income

    474

    23.6

           
     

    Countryside

       
     

    Reduction for Hampshire Direct operation

    -35

    -0.8

           
     

    Arts

       
     

    Net transfer from Policy Fund for continuing grants

    77

    -

     

    Transfer from Tourism marketing and design

    37

    -

     

    Reduction for Hampshire Direct operation

    -16

    -0.8

           
     

    Policy fund

       
     

    Cessation of 2006/07 one-off increase

    -50

    -

     

    Additional resource

    30

    -

     

    Transfer to Libraries

    -20

    -

     

    Net transfer to Arts

    -77

    -

     

    Transfer to Director

    -102

    -

           
     

    Director

       
     

    Transfer from Policy Fund for Health and Safety and capital implementation team

    102

    -

           
           

                      Appendix 4

      Recreation and Heritage Service

      Proposals for growth and redeployment 2007/08 to 2009/10

             

    Staffing (FTEs)

       

    2007/08

    2008/09

    2009/10

    2007/08

    2008/09

    2009/10

       

    £'000

    £'000

    £'000

         
     

    Growth proposals:

               
     

    Winchester Discovery Centre

    70

    220

    220

    1

    4

    4

     

    Bursledon Library

    17

    17

    17

    -

    -

    -

     

    Libraries restructure net one-off costs

    150

    0

    0

    -

    -

    -

     

    Existing Libraries pressures

    450

    450

    450

    -

    -

    -

     

    People Network Phase 1 equipment replacement

    20

    40

    40

    -

    -

    -

     

    Policy Fund

    200

    180

    180

    -

    -

    -

                   
     

    Total cost pressures

    907

    907

    907

    1

    4

    4

     

    Redeployment proposals:

               
     

    IT efficiencies

    -50

    -50

    -50

    -

    -

    -

     

    Service reductions

    -857

    -857

    -857

    -21

    -21

    -21

       

    -907

    -907

    -907

    -21

    -21

    -21

     

    Corporate redirections

               
     

    Service reductions

    -337

    -473

    -612

    -9

    -9

    -9

       

    -1,244

    -1,380

    -1,519

    -30

    -30

    -30

     

    Net reduction

    -337

    -473

    -612

    -29

    -26

    -26

      Winchester Discovery Centre

      Revenue costs of new Discovery Centre

      Bursledon Library

      Revenue costs of improved library

      Existing Libraries pressures

      Pressures on income and staffing budgets

      Peoples Network

      Replacement programme

      Policy Fund

      New initiatives and contingency

      Section 5 of this report indicates how the redeployment proposals and corporate redirections will be achieved. A more detailed action plan will be brought to the Executive Member's decision day in March for approval.

                      Appendix 5

      Recreation and Heritage Service

      Efficiency statement

     

    2006/07

    2007/08

    2008/09

     

    AES
    £ million

    Budget
    £ million

    AES
    £ million

    Budget
    £ million

    AES
    £ million

    Budget
    £ million

    Cashable efficiency improvements:

               

    a

    AES eligible and budget saving
    Service efficiency savings

    0.6

    0.6

    0.6

    0.6

    0.6

    0.6

    b

    AES eligible but no budget saving
    Increments

    0.3

     

    0.3

     

    0.3

     

    c

    Budget saving but AES ineligible

               

    Non-cashable efficiency improvements:

               
     

    Redirection to Policy Fund

    0.2

     

    0.2

     

    0.2

     

    Totals

    1.1

    0.6

    1.1

    0.6

    1.1

    0.6

    % of base budget

    3.5

    1.8

    3.5

    1.8

    3.5

    1.8

    Total of all efficiency improvements

    1.1

    0.6

    1.1

    0.6

    1.1

    0.6

    % of base budget

    3.5

    1.8

    3.5

    1.8

    3.5

    1.8

      Notes

      Cashable efficiency improvements are defined in the annual efficiency statement (AES) as occurring when:

      - inputs (money, people, assets etc) are reduced but outputs remain unchanged

      - the price of inputs (procurement, labour costs etc) are reduced but outputs remain unchanged.

      A reduction in price of inputs is measured in general against the increase in the Gross Domestic Product deflator (likely to be around 2.5% in 2007/08). Thus if the price of inputs remains constant there is a gain of 2.5%.

      a efficiency savings that count against the AES and produce budget savings - this will include general procurement savings against the budget provision of a 2.5% increase in prices

      b efficiency savings that count against the AES, but do not produce a budget saving because the efficiency is avoiding unbudgeted cost eg staff reductions made to absorb increments, procurement efficiencies where costs are still exceeding 2.5%, capital receipts or developer contributions applied to avoid unplanned additional borrowing

      c efficiency savings that do not meet the AES criteria but produce a budget saving. These will include efficiency savings that relate to LEA services to schools (that are outside the scope for AES) and fortuitous savings that are not strictly efficiencies

      Non-cashable efficiency improvements are defined in the AES as occurring when:

      - increased outputs or improved quality of service are obtained for the same inputs

      - increased outputs or improved quality achieved at a rate that exceeds the increase in inputs.

                      Appendix 6

      Recreation and Heritage Service

      Review of income 2007/08

       

    Current charge

    Total income

    Date of last review

    Planned date for next review

    Proposed increase (if proposed now)

    Is charge set to recover full cost

    Yes/No

    Is charge subject to an assessment scale determined locally?

    Yes/No

    Additional income from increased or new charge

         

    £'000

       

    £

       

    £'000

                       

    1

    Museums and Archives

    Fees and charges, publications, photocopying, micro-form, microfiche, microfilm, photos, searches, cinema use, miscellaneous

    Various

    990

    2006

    2007

    N/A

    No

    No

    N/A

    2

    Milestones

    Fees and charges, publications, miscellaneous

    Various

    549

    January 2006

    -

    N/A

    No

    No

    N/A

    3

    Libraries

    Fines, video hires, publications

    Various

    1,637

    January 2006

    -

    N/A

    No

    No

    N/A

    4

    Countryside

    Entrance charges, car parks

    Various

    797

    2006

    2007

    N/A

    No

    No

    N/A

                       

    5

    Arts

    Fees and charges, rents, bar, car parks

    Various

    669

    2006

    2007

    N/A

    No

    No

    N/A

    6

    Sport and Community

    Fees and charges, rents, bar, car parks

    Various

    289

    2006

    2007

    N/A

    No

    No

    N/A

    7

    Calshot Activities Centre

    Various

    2,282

    2006

    2007

    N/A

    Yes

    No

    N/A

     

    Total

     

    7,213

             

    -

         

                      Appendix 7

      Recreation and Heritage Service

      Business units - summarised trading accounts 2007/08 to 2009/10

       

    Original budget 2006/07

    Revised budget 2006/07

    Base budget 2007/08

    Provisional forecast 2008/09

    Provisional forecast 2009/10

       

    £'000

    £'000

    £'000

    £'000

    £'000

                 
     

    Arts and Marketing Hampshire

             
     

    Income

    -478

    -353

    -388

    -435

    -467

     

    Expenditure

    478

    326

    405

    431

    448

     

    Net operating (surplus) deficit

    -

    -27

    17

    -4

    -19

     

    Reserved balance brought forward

    -11

    -11

    -38

    -21

    -25

     

    Reserved balance carried forward 31 March

    -11

    -38

    -21

    -25

    -44

     

    Hampshire Wardrobe

             
     

    Income

    -

    -

    -54

    -68

    -74

     

    Expenditure

    -

    -

    72

    73

    74

     

    Net operating (surplus) deficit

    -

    -

    18

    5

    -

     

    Reserved balance brought forward

    -

    -

    -

    18

    23

     

    Reserved balance carried forward 31 March

    -

    -

    18

    23

    23

     

    Total Business Units balance

    -11

    -38

    -3

    -2

    -21

                      Appendix 8

Recreation and Heritage Service

Revenue budget 2007/08

Analysis of variations

     

    Adjusted original budget 2006/07

    Variation in inflation to November 2006 prices

    Other base budget variations

    Inflation allocation to 2007/08 outturn

    Growth and redeploy-ment proposals

    Revenue Budget 2007/08

     

    £'000

    £'000

    %

    £'000

    £'000

    %

    £'000

    £'000

    Cash limited expenditure

                   

    Museums and Archives

    3,535

    6

    0.2

    -37

    105

    3.0

    -134

    3,475

    Milestones

    304

    -2

    -0.7

    -1

    6

    2.0

    -21

    286

    Tourism, Marketing and Design

    593

       

    -33

    19

    3.2

    -13

    566

    Libraries and Information

    16,958

    144

    0.8

    -318

    496

    2.9

    71

    17,351

    Countryside

    4,576

    6

    0.1

    -24

    147

    3.2

    -188

    4,517

    Arts

    2,088

    5

    0.2

    98

    61

    2.9

    -71

    2,181

    Sport and Community

    1,985

    1

    0.1

    2

    61

    3.1

    -70

    1,979

    Calshot

    221

    27

    12.2

    -16

    6

    2.7

    -9

    229

    Policy Fund

    831

       

    -254

    18

    2.2

    99

    694

    Director and Business Development

    646

       

    95

    20

    3.1

    -1

    760

    Net cash limited expenditure

    31,737

    187

    0.6

    -488

    939

    3.0

    -337

    32,038

    Expenditure outside cash limit:

                   

    Capital charges

    6,045

       

    -68

         

    5,977

    FRS17 pension adjustment

    -70

       

    230

         

    160

    Expenditure met from/ income transferred to:

                   

    Arts Marketing Hampshire

         

    17

         

    17

    Hampshire wardrobe

         

    18

         

    18

    Specific grants

         

    -39

         

    -39

    Total net expenditure

    37,712

    187

    0.5

    -330

    939

    2.5

    -337

    38,171

      Appendix 9

      Recreation and Heritage Service

      Revenue Budget 2007/08

      Reconciliation of the original 2006/07 budget on the following pages with the 2006/07 budget in the published budget book.

       

    £'000

    Net expenditure on page B101 of the published budget book

     

    40,552

    Adjustments for items not included in the budget book:

    - support services and repair and maintenance of buildings

    - charges to Corporate and Democratic core

    -2,989

    127

    -2,862

    Adjustments made to the original budget figures:

    - Procurement savings

    - Hampshire wardrobe

      -8

      30

      22

    Total net expenditure for 2006/07 original budget shown overleaf on page B101

     

    37,712

      Appendix 10

      Recreation and Heritage Service

      Workforce levels and costs

     

    2006/07

    2007/08

     

    £'000

    £'000

    Analysis of workforce costs in base budget:

       

    Salaries of permanent staff (including employer's national insurance and pension contributions)

    25,445

    26,876

    Temporary/fixed term/casual staff

    602

    622

    Agency staff

    -

    -

    Additional hours

    266

    275

    Total workforce costs

    26,313

    27,773

    Average FTE staff actually in post

    1,005

    1,015

    Staffing changes in growth, savings and redeployment and proposals:

       

    Variation in staff (FTEs)

    -

    -29

    Variation in budget (£'000)

    -

    -794

    Workforce implications of budget proposals:

       

    FTE posts available

    1,005

    986

    Workforce budget available (£'000)

    26,313

    26,979

      Appendix 11

      Recreation and Heritage Service

      Provisional budget strategy 2008/09 and 2009/10

      The following table shows the progression from the 2007/08 proposed budget at outturn prices to the provisional budget for 2008/09 and 2009/10 at outturn prices.

         

    £'000

    £'000

    Proposed budget 2007/08 at outturn prices

     

    32,038

    -

    Base budget variations:

       

    -

    Exclusion of non-recurring 2007/08 expenditure

     

    -39

    -

    Full year effect of 2007/08 growth proposals

       
     

    - Winchester Discovery Centre

       

    150

     

    - Cessation of libraries restructure costs

     

    -150

     

    - Reduction to Policy Fund

       

    -20

     

    - Peoples network costs

       

    20

    -

    Hants Direct operation

       

    -74

    -

    Revenue effect of capital programme

     

    30

    Growth and redeployment proposals

         

    -

    Redistribution of guidelines

       

    -136

    Allocation for future inflation

       

    652

    Provisional budget 2008/09 at outturn prices

     

    32,471

    -

    Base budget variations:

       

    -

    Exclusion of non-recurring 2008/09 expenditure

     

    -

    -

    Full year effect of 2008/09 growth proposals

     

    -

    -

    Revenue effect of capital programme

     

    30

    Growth and redeployment proposals

       

    -139

    Allocation for future inflation

       

    662

    Provisional budget 2009/10 at outturn prices

     

    33,024

             

                      Annex 1 to Appendix 11

      Recreation and Heritage Service

      Provisional budget 2008/09 and 2009/10

      Analysis of variations

     

    Proposed Budget
    2007/08

    Base budget variations

    Growth and redeployment

    Inflation allocation to 2008/09 outturn

    Provisional Budget
    2008/09

    Base budget variations

    Growth and redeployment

    Inflation allocation to 2009/10 outturn

    Provisional Budget
    2009/10

     

    £'000

    £'000

    £'000

    £'000

    %

     

    £'000

    £'000

    £'000

    %

    £'000

    Cash limited expenditure

                         

    Museums and Archives

    3,475

    -8

    -15

    69

    2.0

    3,521

     

    -16

    71

    2.0

    3,576

    Milestones

    286

    -1

    -1

    6

    2.1

    290

     

    -1

    6

    2.1

    295

    Tourism, Marketing and Design

    566

    -1

    -3

    13

    2.3

    575

     

    -3

    13

    2.3

    585

    Libraries and Information

    17,351

    -19

    -72

    345

    2.0

    17,605

     

    -74

    351

    2.0

    17,882

    Countryside

    4,517

    -10

    -20

    98

    2.2

    4,585

     

    -20

    99

    2.2

    4,664

    Arts

    2,181

    -5

    -9

    45

    2.1

    2,212

     

    -9

    46

    2.1

    2,249

    Sport and Community

    1,979

    -44

    -9

    43

    2.2

    1,969

     

    -9

    44

    2.2

    2,004

    Calshot

    229

    -1

    -1

    5

    2.2

    232

     

    -1

    4

    1.7

    235

    Policy Fund

    694

    8

    -3

    14

    2.0

    713

    30

    -3

    14

    2.0

    754

    Director and Business Development

    760

    -2

    -3

    14

    1.8

    769

     

    -3

    14

    1.8

    780

    Net cash limited expenditure

    32,038

    -83

    -136

    652

    2.0

    32,471

    30

    -139

    662

    2.0

    33,024

    Expenditure outside cash limit:

                         

    Capital charges

    5,977

           

    5,977

           

    5,977

    FRS 17 Pensions adjustment

    160

           

    160

           

    160

    Expenditure met from/income transferred to:

                         

    Arts Marketing Hampshire

    17

    -21

         

    -4

    -15

         

    -19

    Hampshire Wardrobe

    18

    -13

         

    5

    -5

         

    -

    Specific grants

    -39

    39

         

    -

           

    -

    Total net expenditure

    38,171

    -78

    -136

    652

    1.7

    38,609

    10

    -139

    662

    1.7

    39,142