Agenda item

End of Year Treasury Management Review 2018/19

Report of the Chamberlain

Minutes:

The Board received a report of the Chamberlain, providing an end of year report reviewing Treasury Management in 2018/19. The Chamberlain advised that the bridging facility of £125 million for City’s Cash drawn down in March 2019 had now been repaid.

 

RESOLVED – That the report be noted.

Supporting documents: