Resources

PWLB Loan Reserve Report February 2022

PWLB Loan Reserve Report February 2022

Updated PWLB Loan Reserve report for Sandgate Parish Council to February 2022.

Loan Reserve Report

PWLB_tracker_2018_2022

We have previously issued PWLB Reports quarterly alongside committee reports. We will aim to do so from now using this standalone format.

The PWLB loan reserve was formed following our receipt of a loan of £500,000 from the Public Works Loan Board in August 2018 for the purchase of land which then fell through. Despite lobbying Government, the PWLB (a branch of the Treasury) refused to cancel the loan and take the money back from us without requiring a six figure penalty fee. They did, however, confirm the money could be retained and invested by the Council.

The Council has committed that the costs of the loan will not fall on taxpayers through increased Council Tax without a consultation on doing so. We have held no such consultation to date.

As such, we placed the full loan amount in a defined PWLB Loan Reserve.

  • All payments for that loan (capital repayments, interest payments) come out of that reserve.
  • All income from that loan (currently interest payments on the loan amount) we put into that reserve. The value of the reserve is published regularly (quarterly).

At this time, while the costs of the loan exceed the income (due to historically low interest rates), the value of our PWLB Loan Reserve is dropping. Although we seek investments with the best return, we want security for the money (so it is all currently in accounts backed by guarantee up to £85,000 per account) and some investments are not open to local authorities, so there are limits on what we can do.

Financial Reporting

Previous Sandgate Parish Council Resources Committee Agendas, Minutes and Financial Reports.

Sandgate Parish Council uses (the excellent) Scribe Accounts to manage our Council accounts and generate reports.

Sandgate Parish Council’s finances are governed by our Financial Regulations and Standing Orders. Every Town and Parish Council has similar rules. Because those rules govern our financial management, we can only amend or vary them by a Council resolution.

Our Council’s Standing Orders require quarterly reporting of receipts, payments and balances. For instance, they say at 17.c:

The Responsible Financial Officer shall supply to each councillor as soon as practicable after 30 June, 30 September and 31 December in each year a statement to summarise:

i. the council’s receipts and payments for each quarter;

ii. the council’s aggregate receipts and payments for the year to date;

iii. the balances held at the end of the quarter being reported

and which includes a comparison with the budget for the financial year and highlights any actual or potential overspends.

Posted by Tim Prater in Agenda, Resources
Financial Reports February 2022

Financial Reports February 2022

Updated financial reports for Sandgate Parish Council for February 2022, and the financial year 2021-22 to date.

Payment and Receipts Summary

Summary-of-receipts-and-payment-Feb-2022

Receipts in Month

Receipts-for-Feb-2022

Payments in Month

payments-list-for-Feb-2022

Reserve Balances

Reserves-list-Feb-2022

VAT Summary

VAT-summary-Feb-2022

Bank Reconciliation

Bank-rec-Feb-2022

Previous Sandgate Parish Council Resources Committee Agendas, Minutes and Financial Reports.

Sandgate Parish Council uses (the excellent) Scribe Accounts to manage our Council accounts and generate reports.

Sandgate Parish Council’s finances are governed by our Financial Regulations and Standing Orders, and every Town and Parish Council has similar rules. Because those rules govern our financial management, we can only amend or vary them by a Council resolution.

The Council’s Standing Orders require quarterly reporting of receipts, payments and balances. For instance, they say at 17.c:

The Responsible Financial Officer shall supply to each councillor as soon as practicable after 30 June, 30 September and 31 December in each year a statement to summarise:

i. the council’s receipts and payments for each quarter;

ii. the council’s aggregate receipts and payments for the year to date;

iii. the balances held at the end of the quarter being reported

and which includes a comparison with the budget for the financial year and highlights any actual or potential overspends.

We are seeking from 2022 to publish our reports update monthly to exceed that requirement. Consequently we will consider the reports at the next Parish Council Resources Committee meeting.

Posted by Dalton Avery in Agenda, Resources
Financial Reports December 2021

Financial Reports December 2021

Updated financial reports for Sandgate Parish Council for December 2021, and the financial year 2021-22 to date.

Payment and Receipts Summary

net-position-Dec-2021

Receipts in Month

receipts-Dec-2021

Payments in Month

payments-Dec-2021

VAT Summary

GetVATSummary-Dec-2021

Bank Reconciliation

Reconsiliation-Dec-2021

Previous Sandgate Parish Council Resources Committee Agendas, Minutes and Financial Reports.

Sandgate Parish Council uses (the excellent) Scribe Accounts to manage our Council accounts and generate reports.

Sandgate Parish Council’s finances are governed by our Financial Regulations and Standing Orders, and every Town and Parish Council has similar rules. Because those rules govern our financial management, we can only amend or vary them by a Council resolution.

The Council’s Standing Orders require quarterly reporting of receipts, payments and balances. For instance, they say at 17.c:

The Responsible Financial Officer shall supply to each councillor as soon as practicable after 30 June, 30 September and 31 December in each year a statement to summarise:

i. the council’s receipts and payments for each quarter;

ii. the council’s aggregate receipts and payments for the year to date;

iii. the balances held at the end of the quarter being reported

and which includes a comparison with the budget for the financial year and highlights any actual or potential overspends.

We are seeking from 2022 to publish our reports update monthly to exceed that requirement. Consequently we will consider the reports at the next Parish Council Resources Committee meeting.

Posted by Tim Prater in Agenda, Resources
Financial Reports November 2021

Financial Reports November 2021

Updated financial reports for Sandgate Parish Council for November 2021, and the financial year 2021-22 to date.

Payment and Receipts Summary

net-position-Nov-2021

Receipts in Month

receipts-Nov-2021

Payments in Month

payments-Nov-2021

VAT Summary

GetVATSummary-Nov-2021

Bank Reconciliation

Reconsiliation-Nov-2021

Previous Sandgate Parish Council Resources Committee Agendas, Minutes and Financial Reports.

Sandgate Parish Council uses (the excellent) Scribe Accounts to manage our Council accounts and generate reports.

Sandgate Parish Council’s finances are governed by our Financial Regulations and Standing Orders, and every Town and Parish Council has similar rules. Because those rules govern our financial management, we can only amend or vary them by a Council resolution.

The Council’s Standing Orders require quarterly reporting of receipts, payments and balances. For instance, they say at 17.c:

The Responsible Financial Officer shall supply to each councillor as soon as practicable after 30 June, 30 September and 31 December in each year a statement to summarise:

i. the council’s receipts and payments for each quarter;

ii. the council’s aggregate receipts and payments for the year to date;

iii. the balances held at the end of the quarter being reported

and which includes a comparison with the budget for the financial year and highlights any actual or potential overspends.

We are seeking from 2022 to publish our reports update monthly to exceed that requirement. Consequently we will consider the reports at the next Parish Council Resources Committee meeting.

Posted by Tim Prater in Agenda, Resources
Financial Reports October 2021

Financial Reports October 2021

Updated financial reports for Sandgate Parish Council for October 2021, and the financial year 2021-22 to date.

Payment and Receipts Summary

net-position-Oct-2021

Receipts in Month

receipts-Oct-2021

Payments in Month

payments-Oct-2021

VAT Summary

GetVATSummary-Oct-2021

Bank Reconciliation

Reconsiiation-Oct-2021

Previous Sandgate Parish Council Resources Committee Agendas, Minutes and Financial Reports.

Sandgate Parish Council uses (the excellent) Scribe Accounts to manage our Council accounts and generate reports.

Sandgate Parish Council’s finances are governed by our Financial Regulations and Standing Orders, and every Town and Parish Council has similar rules. Because those rules govern our financial management, we can only amend or vary them by a Council resolution.

The Council’s Standing Orders require quarterly reporting of receipts, payments and balances. For instance, they say at 17.c:

The Responsible Financial Officer shall supply to each councillor as soon as practicable after 30 June, 30 September and 31 December in each year a statement to summarise:

i. the council’s receipts and payments for each quarter;

ii. the council’s aggregate receipts and payments for the year to date;

iii. the balances held at the end of the quarter being reported

and which includes a comparison with the budget for the financial year and highlights any actual or potential overspends.

We are seeking from 2022 to publish our reports update monthly to exceed that requirement. Consequently we will consider the reports at the next Parish Council Resources Committee meeting.

Posted by Tim Prater in Agenda, Resources
Financial Reports September 2021

Financial Reports September 2021

Updated financial reports for Sandgate Parish Council for September 2021, and the financial year 2021-22 to date.

Payment and Receipts Summary

net-position-Sept-2021

Receipts in Month

Receipts-Sept-2021

Payments in Month

payments-list-Sept-2021

VAT Summary

GetVATSummary-Sept-2021

Bank Reconciliation

Reconsiliation-Sept-2021

Previous Sandgate Parish Council Resources Committee Agendas, Minutes and Financial Reports.

Sandgate Parish Council uses (the excellent) Scribe Accounts to manage our Council accounts and generate reports.

Sandgate Parish Council’s finances are governed by our Financial Regulations and Standing Orders, and every Town and Parish Council has similar rules. Because those rules govern our financial management, we can only amend or vary them by a Council resolution.

The Council’s Standing Orders require quarterly reporting of receipts, payments and balances. For instance, they say at 17.c:

The Responsible Financial Officer shall supply to each councillor as soon as practicable after 30 June, 30 September and 31 December in each year a statement to summarise:

i. the council’s receipts and payments for each quarter;

ii. the council’s aggregate receipts and payments for the year to date;

iii. the balances held at the end of the quarter being reported

and which includes a comparison with the budget for the financial year and highlights any actual or potential overspends.

We are seeking from 2022 to publish our reports update monthly to exceed that requirement. Consequently we will consider the reports at the next Parish Council Resources Committee meeting.

Posted by Tim Prater in Agenda, Resources
Financial Reports January 2022

Financial Reports January 2022

Updated financial reports for Sandgate Parish Council for January 2022, and the financial year 2021-22 to date.

Payment and Receipts Summary

receipts-and-payments-for-Jan-22

Receipts in Month

receipts-for-January-2022

Payments in Month

Payments-list-January-2022

Reserve Balances

new-reserve-Jan-2022

VAT Summary

GetVATSummary-January-2022

Bank Reconciliation

Bank-reconciliation-January-2022

Previous Sandgate Parish Council Resources Committee Agendas, Minutes and Financial Reports.

Sandgate Parish Council uses (the excellent) Scribe Accounts to manage our Council accounts and generate reports.

Sandgate Parish Council’s finances are governed by our Financial Regulations and Standing Orders, and every Town and Parish Council has similar rules. Because those rules govern our financial management, we can only amend or vary them by a Council resolution.

The Council’s Standing Orders require quarterly reporting of receipts, payments and balances. For instance, they say at 17.c:

The Responsible Financial Officer shall supply to each councillor as soon as practicable after 30 June, 30 September and 31 December in each year a statement to summarise:

i. the council’s receipts and payments for each quarter;

ii. the council’s aggregate receipts and payments for the year to date;

iii. the balances held at the end of the quarter being reported

and which includes a comparison with the budget for the financial year and highlights any actual or potential overspends.

We are seeking from 2022 to publish our reports update monthly to exceed that requirement. Consequently we will consider the reports at the next Parish Council Resources Committee meeting.

Posted by Tim Prater in Agenda, Resources
Resources Agenda 11-01-2022

Resources Agenda 11-01-2022

This meeting (as per the agenda) will be held in the Library with a 6:30pm start, and also streamed live on our Facebook page at https://www.facebook.com/sandgatepc

If any member of the public wishes to attend, please can they notify clerk@sandgatepc.org.uk in advance if possible so we can ensure there is sufficient appropriately distanced seating.

Resources-Agenda-11th-January-2022

Bank-Reconciliation-at-21-12-2021

Summary-of-VAT-position-at-31-12-2021

Payments-list-November-to-December-2021-page-1

Payments-list-November-to-December-2-21-Page-2

Receipts-list-November-to-December-2021

Reserve-balance

Summary-of-Receipts-and-Payments-all-cost-centres-and-codes-page-1

Summary-of-Receipts-and-Payments-all-CC-and-c-Page-2

Summary-of-Receipts-and-Payments-all-CC-and-C-page-3

Summary-of-Receipts-and-Payments-all-cc-and-c-page-4

Summary-of-Receipts-and-Payments-Cost-Centres-only

2022/23 Budget

Proposal: that the draft budget is approved to be recommended for acceptance by the Parish Council when it meets on Tuesday 18th January.

The budget seeks a 1.99% increase in the Precept to £85,129 (based on the supplied Sandgate tax base figure of 1937.08 for 2022/23). The budget shows an income shortfall of £581 which is recommended be met from General Reserves.

REVISED: Following the advice of the District Council that they have recalculated the tax base figure for Sandgate (11/1/22). The budget seeks a 1.99% increase in the Precept to £88,002 (based on the supplied Sandgate tax base figure of 2002.44 for 2022/23). 1.99% is a rise is Band D equivalent precept from £43.09 to £43.95 – 86p a year. With that precept income, the proposed budget shows an income surplus of £2,292 which is recommended be added to General Reserves.

Posted by Tim Prater in Agenda, Resources