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Decision details

Fees and Charges 2023/24

Decision Maker: Executive

Decision status: For Determination

Is Key decision?: Yes

Is subject to call in?: Yes

Purpose:

This decision sets the proposed fees and charges for 2023/24 for all services.  Fees and charges determined by the Council are reviewed annually, and this forms part of the budget setting process. Changes to fees and charges agreed will come into effect on 1 April 2023 unless otherwise stated.

 

Decision:

That

 

1.  The Fees and Charges as set out in the appendices 1, 3, 4 and 5 of the report be approved for use in the next round of budget making; and

 

2.  That plans for exploring further opportunities for fees and charges relating to Legal Services, Moorings, Parking, and the Town Hall, be reported to the January 2023 Executive meeting.

 

Reasons for the decision:

1.1  The council is able to recover the costs of providing certain services through making a charge to service users.  For some services, this is a requirement and charges are set out in statute, and in other areas the council has discretion to determine whether charging is appropriate, and the level at which charges are set. 

 

1.2  In recent years, the use of charging has become an increasingly important feature of the council’s medium term financial strategy, as pressures on the revenue budget limit the extent to which subsidisation of discretionary services is feasible.  Recovering the costs of these services from users where possible helps to ensure sustainability of the council’s offer to residents and businesses, beyond the statutory minimum.

 

1.3  A charging policy (attached at Appendix 2 to the report for reference) is in place for charges which are set at the council’s discretion and this seeks to ensure that:

·  Fees and charges are reviewed regularly, and that this review covers existing charges as well services for which there is potential to charge in the future.

·  Budget managers are equipped with guidance on the factors which should be considered when reviewing charges.

·  Charges are fair, transparent and understandable, and a consistent and sensible approach is taken to setting the criteria for applying concessions or discounted charges.

·  Decisions regarding fees and charges are based on relevant and accurate information regarding the service and the impact of any proposed changes to the charge is fully understood.

 

1.4  The policy covers fees and charges that are set at the discretion of the council and does not apply to services where the council is prohibited from charging, e.g. the collection of household waste.  Charges currently determined by central government, e.g. planning application fees, are also outside the scope of the policy.  However, consideration of any known changes to such fees and charges and any consequence to the medium term financial strategy are included in this report for information.

 

1.5  Managers are asked to consider the following factors when reviewing fees and charges:

·  The council’s strategic plan and values, and how charge supports these;

·  The use of subsidies and concessions targeted at certain user groups or to facilitate access to a service;

·  The actual or potential impact of competition in terms of price or quality;

·  Trends in user demand including an estimate of the effect of price changes on customers;

·  Customer survey results;

·  Impact on users, both directly and on delivering the council’s objectives;

·  Financial constraints including inflationary pressure and service budgets;

·  The implications of developments such as investment made in a service;

·  The corporate impact on other service areas of council wide pressures to increase fees and charges; 

·  Alternative charging structures that could be more effective;

·  Proposals for targeting promotions during the year and the evaluation

·  of any that took place in previous periods.

 

Discretionary Charges for 2023-24

1.6  It is important that charges are reviewed on a regular basis to ensure that they remain appropriate and keep pace with the costs associated with service delivery as they increase over time.

 

1.7  Charges for services which fall within the remit of this committee have been reviewed by budget managers in line with the policy, as part of the development of the medium term financial strategy for 2023/24 onwards.  The detailed results of the review carried out this year are set out in

Appendix 1 to the report.

 

1.8  Table 1 below summarises the 2021/22 outturn and 2022/23 estimate for income from the discretionary fees and charges which fall within the remit of this committee.  Please note that the table only reflects changes relating to fees and charges and does not include other budget proposals which may impact these service areas.

 

1.9  The overall increase in income if these changes are agreed and implemented as planned is expected to be £2,800 which amounts to a 2.04% increase in the budgeted income figure for this committee for the current financial year. 

 

Fees and Charges

 

Service Area

2021-22
Outturn

2022-23 Estimate

Proposed change in income

2023-24 Estimate

£

£

£

£

Legal Services

108,687

57,200

2,800

60,000

Street Naming & Numbering

67,205

73,350

0

73,350

Town Hall

415

1,500

0

1,500

Maidstone House (staff parking)

1,517

4,910

0

4,910

Total income from charges set by the Council

177,823

136,960

2,800

139,760

Table 1: Discretionary Fees & Charges Summary

1.10Detailed proposals are set out within Appendix 1 to this report, and considerations relating to these proposals have been summarised below. 

 

1.11Legal Services – The fees and charges for legal services are based on recovering the cost of the service. Consideration is also given to the maximum recoverable costs per hour for court work in this area, which are set by the Ministry of Justice. The most significant cost pressure for legal services is salaries which represent the biggest proportion of the expenditure budget.  The hourly chargeable rate is the same across all three authorities in the partnership.

 

1.12Street Naming and Numbering – The fees and charges have been increased to reflect significant increase in costs of providing these services and that they were not increased last year.  These fees and charges are in line with other Kent Authorities.  No changes are proposed to the budget as the income is under recovering at this stage.

 

1.13Town Hall – The fees and charges have been increased to reflect significant cost increases of providing these services having not been increased since 2015 and therefore have increased by a higher percentage than usual.  No changes are proposed to the budget as the income is under recovering at this stage.

 

1.14Maidstone House (Charge for paying customers) – No changes are proposed to these charges at this stage.

 

Statutory Fees & Charges

1.15Table 2 below summarises the income due from fees which are set by the government.  No changes are anticipated to these charges which are set centrally by government departments.

 

Service Area

2021-22
Outturn

2022-23 Estimate

Proposed change in income

2023-24 Estimate

£

£

£

£

Mid Kent Enforcement Service

758,189

905,700

130,300

1,036,000

Total income from charges set externally

758,189

905,700

130,300

1,036,000

Table 2: Statutory Fees & Charges Summary (P&R)

 

1.16An increase in income from compliance and enforcement fees is anticipated as activity increases.  This operates as a shared service, the income is gross

and the net profit is shared equally between the authorities.

 

 

Strategic Overview

1.17The Executive will consider the overall impact of all fees and charges on the council’s residents and businesses.  A summary of these changes is provided below, with the detail set out within Appendices 3-5.  Overall, the anticipated impact of all the proposals represents a small increase (2.9%) on existing gross income budgets.  This information excludes fees for licensing, which will be reported to the Licensing Committee for approval.

 

Service Area

2020-21

2021-22 Estimate £

Proposed change in income £

2022-23 Estimate £

Actual £

 

Parks and Open Spaces

10,678

17,510

0

17,510

Cemetery and Crematorium

1,685,281

1,497,160

98,700

1,595,860

Environmental Health

19,405

18,020

4,080

22,100

Waste Crime & Community Protection

14,706

26,900

0

26,900

Recycling & Refuse Collection

1,482,840

1,410,530

16,100

1,426,630

HMO Licensing

35,023

20,380

0

20,380

Gypsy & Traveller Sites

57,621

70,340

3,520

73,860

Total income from fees set by the Council

3,305,554

3,060,840

122,400

3,183,240

Table 3: Discretionary Fees & Charges Summary (CHE)

 

Service Area

2021-22
Outturn

2022-23 Estimate

Proposed change in income

2023-24 Estimate

£

£

£

£

Economic Development (Jubilee Square)

175

3,500

0

3,500

Market

0

0

0

0

Museum

34,230

44,400

0

44,400

Total income from fees set by the Council

34,405

47,900

0

47,900

Table 4: Discretionary Fees & Charges Summary (ERL)

 

Service Area

2020-21
Outturn

2021-22
Budget

Proposed
change
in income

2022-23
 Estimate

 

£

£

£

£

Parking Services

3,366,460

3,164,500

0

3,164,500

Sandling Road Car Park

61,319

53,470

0

53,470

Land Charges

299,058

286,900

0

286,900

Building Control

456,912

401,510

20,080

421,590

Development and Conservation Control

1,525,860

1,457,410

0

1,457,410

Grand Total

5,709,609

5,363,790

20,080

5,383,870

Table 5: Discretionary Fees & Charges Summary (PI)

 

1.18  Policy Advisory Committee Feedback

 

In considering the report the feedback provided via Lead Members from each Policy Advisory Committee meant that an extra resolution has been included for further work to be done on areas that Policy Advisory Committees, with Lead Members, felt should be explored further.

 

Alternative options considered:

Option 1

 

Approve the fees and charges as proposed in the Appendices to the report.  As these proposals have been developed in line with the council’s policy on fees and charges, they will create a manageable impact on service delivery whilst maximising income levels. 

 

Option 2

 

Approve alternative charges to those set out within the appendices to the report. Any alternative increases may not be fully compliant with the policy, would require further consideration before implementation and may not deliver the necessary levels of income to ensure a balanced budget for 2023-24.  The impact on demand for a service should also be taken into account when considering increases to charges beyond the proposed level.

 

Option 3

 

Do nothing and retain charges at their current levels.  However, this might limit the Council’s ability to recover the cost of delivering discretionary services and could result in the Council being unable to set a balanced budget for 2023-24.

 

 

Option 1 as the proposed fees and charges shown within the Appendices to the report have been developed by budget managers in line with the Council’s Charging Policy.  The proposed charges are considered appropriate and are expected to create a manageable impact on service delivery whilst maximising cost recovery.  Changes to fees and charges agreed will come into effect on 1 April 2023 unless otherwise stated.  Additional resolutions have been included to those set out in the report to take into account the feedback from Policy Advisory Committees on Fees and Charges opportunities to explore.

 

Reason Key: Expenditure > £250,000;

Other reasons / organisations consulted

Each PAC will review their F&C, with CS PAC recommending all the F&C for approval by the Executive.

Contact: Adrian Lovegrove, Head of Finance Email: adrianlovegrove@maidstone.gov.uk.

Report author: Adrian Lovegrove

Publication date: 23/12/2022

Date of decision: 21/12/2022

Decided: 21/12/2022 - Executive

Effective from: 05/01/2023

Accompanying Documents: