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APOLOGIES Minutes: The Cabinet Members and Officers were welcomed to the
meeting. Apologies were received from Cllr Dyfrig Siencyn and Cllr
Gareth Thomas. |
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DECLARATION OF PERSONAL INTEREST Minutes: A declaration of personal interest was received from Cllr
Ioan Thomas for item 8 as he was a trustee of Caernarfon Harbour. It was noted
that the member would not be required to leave the meeting unless there would
be a direct substantial discussion on the Harbour. |
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URGENT ITEMS Minutes: There were
no urgent items. |
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MATTERS ARISING FROM OVERVIEW AND SCRUTINY Minutes: There were
no matters arising from overview
and scrutiny. |
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MINUTES OF THE MEETING HELD ON 19 AND 26 MAY 2020 PDF 125 KB Additional documents: Minutes: The Chair
signed the minutes of the meetings held on
16 and 26 May 2020, as a true
record. |
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MATTERS ARISING FROM OVERVIEW AND SCRUTINY PDF 264 KB Additional documents:
Minutes: Submitted by Cllr
Ioan Thomas DECISION Resolved: 1.1
To note the final financial position of the Council’s departments for 2019/20. 1.2
To approve
the amounts to be carried forward (the “Revised Over/ (Under) Spend”
column of the summary), namely:
1.3 To approve the following recommendations and virements (as outlined in Appendix 2) - ·
The Children and Families
Department to receive a one-off financial assistance of £3,259k to restrict
the level of overspend that will be carried
over by the Department to £100k,
to support them to move on to face
the challenges of 2020/21. ·
The Highways and Municipal Department to receive a one-off financial assistance of £447k, which limits overspend that will be carried
forward by the Department
to 2020/21 to £100k, to support them
to face the challenges of
2020/21. ·
In accordance with the Financial Regulations, it is recommended that the usual practice is adhered to in order to allow
the Environment Department
to keep (£100k) of their underspend, and to move (£70k) which is the sum above (£100k), to be used to support the departments that have overspent in 2019/20. ·
On Corporate budgets, use (£1,012k) of the net underspend
to assist the departments that have overspent
in 2019/20. 1.4 To approve the virements from specific reserves and provisions: ·
as outlined in Appendix
3 following a review of reserves and provisions,
harvest (£801k) from reserves and (£24k) from provisions using the total of (£825k) to assist the departments that have overspent
in 2019/20. ·
Finance
the rest of the departmental
overspend from (£1,799k) from the Council's Financial Strategy Reserve. DISCUSSION The report was submitted, noting that it elaborated on the Council's expenditure in 2019/20. Fields where there had been a substantial difference following the previous report on accounts were
highlighted. It was emphasised
that substantial pressures faced the field of care and
the field of waste, along with difficulties
by some departments to achieve savings. It was stated that there had been an improvement in the situation of the Adults Department by the end of the financial year, and that this was the result of receiving and re-directing late grants and using one-off finance of £420k. It was noted that there had been a further increase in the overspend tendency by the Children and Families Department, with £3.4 million overspend by the end of the financial year. It was emphasised that the situation was not unique to Gwynedd and that it was a worrying situation that could be seen nationwide. It was added that additional funding of £2 million had been allocated to the Children and Families Department in 2020/21 to meet the increasing pressures ... view the full minutes text for item 6. |
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CAPITAL PROGRAMME 2019/20 - END OF YEAR REVIEW PDF 324 KB Cyflwynwyd gan: Cyng / Cllr Ioan Thomas Decision: ·
To
accept the report on the end of year review (31 March 2020 position) of the
capital programme. ·
To
note the £29,069,000 spend on the capital programme during the 2019/20 financial
year, which will be included in the statutory financial statements for 2019/20.
·
To
approve the revised financing as shown in part 4 of the report, namely: ¾
£245,000
increase in the use of borrowing ¾
£2,363,000
increase in the use of grants and contributions ¾
A
reduction of £17,000 in the use of capital receipts ¾
£244,000
increase in the use of revenue contributions ¾
No
change in the use of the capital reserve ¾
£74,000
increase in the use of renewal funds and others. Minutes: The report was submitted by Ioan
Thomas DECISION ·
To accept the report on the end of year
review (31 March 2020 position)
of the capital programme. ·
To note the £29,069,000 spend on the capital programme during the 2019/20 financial year, which will be included
in the statutory financial statements for 2019/20. ·
To approve the revised financing as shown in part 4 of the report, namely: ¾
£245,000
increase in the use of borrowing ¾
£2,363,000
increase in the use of grants and
contributions ¾
A reduction of £17,000 in the use of capital receipts ¾
£244,000
increase in the use of revenue contributions ¾
No change in the use
of the capital reserve ¾
£74,000
increase in the use of renewal funds and others.
DISCUSSION The
report was submitted, noting that its
purpose was to present the revised capital programme and to approve the relevant financing sources. The main conclusions noted were that the Council
had succeeded to spend over £29.1 million on capital programmes,
and £16.2 million had been funded through
attracting specific grants. It
was added that £22.8 million would slip from 2019/20, compared to £12.7 million at the end of 2018/19, but it was emphasised that there had been no grant funding
losses. The reasons for the slippages were highlighted which included the timing of schemes such as 21st Century Schools, Schools Maintenance
Grant, along with a slippage of schemes that were part
of the Housing Strategy. Attention was drawn to additional
grants the Council had managed to attract since the previous report which included
the School Infrastructure
HWB Grant and Recycling and
Waste Grants. Observations arising
from the discussion ¾ It was noted that this
report was a technical report, but that
the Council's capital expenditure was significant. Given the current situation with Covid-19, it was added that it would
be possible to spend all of
the funding in 2020/21. Awdur: Ffion Madog Evans |
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COVID-19: FIXED FEE CONSIDERATIONS PDF 418 KB Cyflwynwyd gan: Cyng / Cllr Ioan Thomas Decision: It was
resolved to amend the following fees as a result of the COVID19 crisis, in
order for the departments to be able to act accordingly.
Minutes: The
report was presented by Cllr Ioan Thomas DECISION
It
was resolved to amend the following fees as a result of the COVID-19 crisis, in order for
the departments to be able
to act accordingly.
DISCUSSION The
report was submitted, and the decision noted. At the Full Council meeting on 5 March 2020, it was noted that a net budget of £262 million was approved for 2020/21, with the gross budget for
the year being £421 million. It was stated that £59 million, namely 14% of the Council's income, came from
fees, sales and contributions. In light of the crisis, it was added that considerations were needed in
relation to fixed fees. It was noted that the Council received a wide range of fees and
payments across many of its services,
and it was added that the nature of the income varied in
terms of payments. Amendments to the fees being recommended for the Cabinet's approval were highlighted.
Observations arising from the discussion ¾ It was stated that everybody's lives had changed after setting the budget at the beginning of March. In terms of crematorium fees, it was noted that there was usually an increase in line with inflation, but in light of the crisis, the Highways and Municipal Department was eager to keep fees at the 2019/20 price level. In addition, it was noted that the Department was eager to not send invoices for waste collections to companies that had had to close during the crisis, and it was ... view the full minutes text for item 8. Awdur: Dafydd Edwards and Ffion Madog Evans |
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Decision: To approve
the principle of giving the SDS approval body the right to charge a fee for the
pre-application service they provide. The fees
outlined in Appendix 1 of the report were agreed as the fees that would be
charged by the SDS Approval Body. Minutes: The
report was presented by Cllr Catrin Wager DECISION To
approve the principle of giving the SDS approval body the right to charge a fee for
the pre-application service
they provide. The fees outlined in Appendix
1 of the report were agreed as the fees that would be charged
by the SDS Approval Body. DISCUSSION The report was submitted noting that the field was a technical one in
terms of the nature of the report. It was stated that the Flood and Water Management
Act (FWMA) 2010 had become operational
in January 2019 dictating that any new developments
with drainage implications and a building area of 100m2 or more should comply with
National Standards for sustainable drainage systems (SuDS). It was emphasised that this means
that developers needed to think about how to move
water from its site in
a sustainable manner. It was stated that
this need was for any development
of 100m2 or more, highlighting its
similarity to a planning application. It was emphasised that this was a new field and
that the Council had experts in the field who would
be available to advise developers in advance
on what systems
would work with their development
before they submitted their application. It was added that this meant
facilitating the process for developers and reducing any
delay with the development. |