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Issue - meetings
Provisional Revenue and Capital Outturn 2011 12
Meeting: 16/05/2012 - Cabinet. (Item 9)
9 Provisional Revenue and Capital Outturn 2011 12 PDF 107 KB
Additional documents:
- Enc. 1 for Cabinet, Council or Committee Report for Provisional Revenue and Capital Outturn 2011 12, item 9
PDF 48 KB
- Enc. 2 for Cabinet, Council or Committee Report for Provisional Revenue and Capital Outturn 2011 12, item 9
PDF 54 KB
- Enc. 3 for Cabinet, Council or Committee Report for Provisional Revenue and Capital Outturn 2011 12, item 9
PDF 27 KB
- Enc. 4 for Cabinet, Council or Committee Report for Provisional Revenue and Capital Outturn 2011 12, item 9
PDF 14 KB
Decision:
1.
That the provisional outturn figures for revenue and
capital for 2011/12 be noted.
2.
That the provisional funding of capital expenditure
in 2011/12 as set out in paragraph 1.6.3 of the report of the Head
of Finance and Customer Services and the resulting carry forward of
revenue resources, set aside to finance the capital programme in
future years, of £2.304m as set out in paragraph 1.6.5 of the
report of the Head of Finance and Customer Services, be
agreed.
3.
That the carry forward of grant funding as detailed
in paragraph 1.5.8 of the report of the Head of Finance and
Customer Services be noted.
4.
That the revenue carry forward requests as detailed
in Appendix B of the report of the Head of Finance and Customer
Services from 2011/12 into 2012/13 be approved.
5. That the impact on the balance sheet of the provisional outturn 2011/12 be noted.
6. Agree to consider proposals for the use of the resulting net under spend at its meeting in July 2012.
Minutes:
DECISION MADE:
1.
That the provisional outturn figures for revenue and
capital for 2011/12 be noted.
2.
That the provisional funding of capital expenditure
in 2011/12 as set out in paragraph 1.6.3 of the report of the Head
of Finance and Customer Services and the resulting carry forward of
revenue resources, set aside to finance the capital programme in
future years, of £2.304m as set out in paragraph 1.6.5 of the
report of the Head of Finance and Customer Services, be
agreed.
3.
That the carry forward of grant funding as detailed
in paragraph 1.5.8 of the report of the Head of Finance and
Customer Services be noted.
4.
That the revenue carry forward requests as detailed
in Appendix B of the report of the Head of Finance and Customer
Services from 2011/12 into 2012/13 be approved.
5. That the impact on the balance sheet of the provisional outturn 2011/12 be noted.
6. Agree to consider proposals for the use of the resulting net under spend at its meeting in July 2012.
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