Agenda and minutes

Cabinet - Tuesday 13 June 2023 10.00 am

Venue: Kennet Room - County Hall, Bythesea Road, Trowbridge, BA14 8JN. View directions

Contact: Stuart Figini  Email: stuart.figini@wiltshire.gov.uk

Media

Items
No. Item

44.

Apologies

To receive any apologies for absence.

Minutes:

There were no apologies.

45.

Minutes of the Previous Meeting

To confirm as a true and correct record and sign the minutes of the Cabinet meeting held on 2 May 2023.

Supporting documents:

Minutes:

The minutes of the meeting held on 2 May 2023 were presented.

 

Resolved:

 

To approve as a correct record and sign the minutes of the meeting held on 2 May 2023.

46.

Declarations of Interest

To receive any declarations of disclosable interests or dispensations granted by the Standards Committee.

Minutes:

There were no declarations of interest.

47.

Leader's Announcements

To receive any announcements from the Leader of the Council.

Minutes:

There were no announcements.

 

 

48.

Public Participation and Questions from Councillors

The Council welcomes contributions from members of the public.

 

This meeting is open to the public, who may ask a question or make a statement. Questions may also be asked by Members of the Council. 

 

Written notice of questions or statements should be submitted to Stuart Figini of Democratic Services stuart.figini@wiltshire.gov.uk/  01225 718221 by 12.00 noon on Wednesday 7 June 2023. Anyone wishing to ask a question or make a statement should contact the officer named above.

 

Supporting documents:

Minutes:

General questions were submitted from the following members of public:

 

·       Laurence Cable – LTN 1/20 Training

·       Nick Parry – Local Plan and Future Chippenham

·       Celia Beckett, Hilperton Area Action Group – Supporting the survival of rare bats

 

Written responses to the public questions can be found in the agenda supplement. Celia Beckett asked a supplementary question, highlighting the importance of the Trowbridge canal for bats, and raising concerns that farmland which provided a home for insects that formed a vital part of the bats diet would be reduced when the Local Pan was introduced. In response Cllr Botterill, Cabinet Member for Finance, Development Management and Strategic Planning, stated that a lot of work went into Bat Mitigation Strategies and in Trowbridge a 7 figure sum had been spent on the Trowbridge Bat Mitigation Strategy. So people could be assured that bat management was fully covered. Both Cllr Botterill and the Leader highlighted that assumptions could not be made about the Local Plan. 

 

In addition to the public questions, a number of questions were received from:

 

·       Cllr Ian Thorn on potholes, the new health centre in Calne and the ‘Evening with Richard Clewer’ in Calne.

 

Written responses to the Member questions can be found in the agenda supplement.

 

Cllr Ian Thorn asked supplementary questions regarding where the ‘hot spots’ were and when they would be fixed, and whether pothole budgets would be increased to deal with climate change affecting weather events which in turn affected road condition (such as an extremely hot summer followed by extreme cold snaps). In response, Cllr Caroline Thomas, Cabinet Member for Transport, Street Scene, and Flooding stated that every area would benefit from the additional £3.6 million funding for potholes provided by government. Within each Area Board Community Area, the top five locations for pothole issues, or ‘hot-spots’ would be identified and repaired. It was hoped that repairs would be complete before winter, but contractor resource may be a limitation. Area Boards would be informed where their ‘hot spots’ were. The budget came from the Department for Transport (DfT) and they were looking at climate change and extreme conditions. It was highlighted that councillors and the Local Government Association had made this point clearly to government ministers and had requested consistency of funding.

 

Cllr Thorn also asked a supplementary question on the Calne Health Centre. He expressed disappointment regarding his interactions with the Integrated Care Board (ICB), which he felt had been poor, and requested that Wiltshire Council could help to find out what stage the project was at.

 

The Leader explained that the health centre was not under the responsibility of Wiltshire Council to deliver, but rather the Integrated Care System. However, as the Leader chaired the Integrated Care Board, he would try to find out what the position was. 

49.

Treasury Management Outturn Report 2022/23

Report of the Chief Executive.

 

Supporting documents:

Minutes:

Cllr Nick Botterill, Cabinet Member for Finance, Development Management and Strategic Planning, presented a report which provided an annual treasury management review of activities and the actual prudential and treasury indicators for 2022/23. 

 

Cllr Botterill stated that many local authority financial disasters started with problems in the operation of treasury management and there had been recent examples where that had happened. This often occurred due to a lack of questions being asked and many decision being taken without scrutiny and oversight. Within Wiltshire Council, the Financial Planning Task Group (FPTG) regularly scrutinised reports on the Council’s financial position and had reviewed this report on 9 June.  

 

Cllr Botterill explained the report covered the period from 1 April 2022 to 31 March 2023, and that the Council has continued to finance capital expenditure through maximising the use of capital receipts, capital grants and internal borrowing. The report highlighted that overall, the Council under borrowed by £152.910m, avoiding the payment of external interest costs in the order of £3.7m.

 

Cllr Botterill highlighted that interest rates were having an impact but would probably start to fall within the next year. The Council was proactive in maximising returns for taxpayers. The Council had a strong balance sheet, good liquidity and under borrowing which helped the revenue situation. This in turn helped to ensure that the Council’s budget was under control.

 

Cllr Richard Clewer, Leader of the Council and Cabinet Member for Economic Development, Military-Civilian Integration, Heritage, Arts, Tourism, Health and Wellbeing stated that the report gave confidence and that officers were handling treasury management professionally and seriously.

 

Cllr Gavin Grant, Vice Chairman of the FPTG, explained that the group had considered the report at length and were satisfied with the steps being taken and were broadly satisfied with the position. A focus during their discussions was the Overall Treasury Position, and gaps between original budget estimates and the actual spend, which in some areas was a lot less. The FPTG would continue to scrutinise treasury management during the year and ensure there was a more realistic capital position. Cllr Grant stated that the FPTG had confidence in the leadership of Andy Brown, Corporate Director Resources & Deputy Chief Executive (S.151 Officer), as he and his team had transformed the position. Cllr Grant highlighted that the FPTG would benefit from training on the Housing Revenue Account.

 

Cllr Ian Thorn thanked the FPTG for their work.

 

Cllr Nick Botterill, seconded by the Leader, proposed the recommendations in the report.

 

Resolved:

 

That Cabinet:

 

a)    Note that the contents of this report are in line with the Treasury Management Strategy 2022/23; and to

 

b)    Recommend to Full Council consideration of this report.

 

Reason for decision:

 

To give members an opportunity to consider the performance of the Council against the parameters set out in the approved Treasury Management Strategy for 2022/23.

 

 

50.

Family Hub Contract

      Report of the Chief Executive

 

Supporting documents:

Minutes:

Cllr Laura Mayes, Deputy Leader and Cabinet Member for Children's Services, Education, and Skills, introduced the report on the Family Hub Contract.

 

A visual was shown to the meeting to help explain the proposals. A well attended Member briefing had also been held on Family Hubs and a lot of consultation had been undertaken with families.

 

There had been a move from central government, and within Wiltshire Council to change how services were provided. Previously, the Council had Childrens Centres which offered support to families from the ages 0-5. A mass of other support was available for families, but the aim was to bring that under one roof. In conjunction with the government push and the Council’s own initiative the family offer was one that would offer support from ages 0-19 and those with Special Educational Needs and Disabilities (SEND) up to the age of 25.

 

The team realised that there was an enormous amount of support out there, but there was often confusion as to where to go for help at the initial stage. Feedback highlighted that the majority (around 60%) of families would like to go online. After the initial online stage, a ‘Navigator’ would be present at hubs, signposting families to further support, this would be a commissioned service.  The hope was that people would not then need to be referred to the Multi Agency Safeguarding Hub (MASH). Family Services always felt prevention was very important, giving families support when they needed it, so that issues could be resolved early.

 

Hubs would bring together a range of support services and would bring a more joined up, simplified approach. The hubs would be set up in community buildings across the county, the locations of which could be seen in the report.

 

Cllr Ian Blair-Pilling, Cabinet Member for Public Health, Leisure, Libraries, Facilities Management, and Operational Assets was delighted with the approach.

 

Cllr Graham Wright, Chairman of the Overview and Scrutiny Committee, related comments from Cllr Jon Hubbard, Chairman of Children’s Select Committee (CSC), on the proposals. Cllr Hubbard had stated that CSC had received a great presentation on the proposals, and whilst it was an ambitious project it was a great step in the right direction. The CSC would follow the tendering and implementation process and would continue to follow up the project with interest.

 

Cllr Ian Thorn felt this was a welcome initiative. Cllr Thorn asked some questions regarding why the ‘Navigator’ was called that and how often a ‘Navigator’ would be present at libraries or hubs. He also highlighted concerns regarding the online offer as not everyone had digital access and also the disposal of estate buildings, such as former Children’s Centres.

 

In response Cllr Mayes explained that it was envisaged that ‘Navigators’ would be present at hub locations about once a week. All staff at hubs would be trained to make every contact count, so that they could signpost to help when the ‘Navigator’ was not present.  Regarding the online offer, most younger people accessed  ...  view the full minutes text for item 50.

51.

Liquid Vehicle Fuel Contract

      Report of the Chief Executive.

 

Supporting documents:

Minutes:

Cllr Caroline Thomas, Cabinet Member for Transport, Street Scene, and Flooding introduced the report.

 

Cllr Thomas highlighted that the report related to the provision of liquid fuel to depots and salt stores and that the current contract was due to expire on 31 March 2024. The new framework agreement would have the benefit of lower prices from economies of scale. The annual spend on liquid fuel was £1.2m and the tender period would be April 2024 to March 2028. This would allow the Council to change to alternative fuel types over the course of the contract in line with the emerging fleet strategy to move towards carbon neutrality.

 

Cllr Graham Wright, Chairman of the Overview and Scrutiny Management Committee, relayed comments from Cllr Jerry Kunkler, Chairman of the Environment Select Committee (ESC). Cllr Kunkler stated that the ESC had received a briefing on 7 June, where they touched upon contingencies during fuel shortages and how the contract fitted with the transition towards lower carbon fuels. The ESC felt that this was a sensible approach that enabled continuity of supply with flexibility and value for money.

 

Cllr Thomas, seconded by the Leader, proposed the recommendations as per the report.

 

Resolved:

 

That Cabinet:

 

a)    Approve a mini-competition for liquid fuel through the YPO Framework for supply of fuels and associated products and services.

 

b)    Delegate authority to the Director of Highways and Transport, in consultation with the Cabinet Member for Transport, Street Scene and Flooding to deal with all ancillary matters pertaining to the competition and the award of the User Agreement with the Provider selected (most economically advantageous provider) and placing orders under the contract.

 

Reason for decision:

 

To comply with The Public Contracts Regulations 2015 (as amended).

 

To ensure the best value provision of liquid fuels is achieved.

52.

Disposals Programme Update

Report of the Chief Executive.

 

Supporting documents:

Minutes:

Cllr Phil Alford, Cabinet Member for Housing, Strategic Assets and Asset Transfer introduced the report.

 

Cllr Alford explained that the Council had a programme for disposal of sites that are surplus to requirements which generate capital receipts which contribute to the capital programme. A report comes to Cabinet every 6 months to update Cabinet on progress and identify sites for disposal.

 

The report presented a position in respect of completed and projected receipts and a request to declare two assets as surplus. Also the report requested to authorise the Director of Assets to dispose of the freehold and approve the sale. However, there was not currently a Director of Assets in post and so the decision would be made by the Corporate Director Resources, in consultation with Cabinet Member for Housing, Strategic Assets, Asset Transfer.

 

Cllr Alford highlighted key points from the report.

 

Projected Capital Receipts for the two years from 2021/22 to 2022/23 were initially set at £5.916m. The actual amounts received from sales, net of allowable costs for 2021/22 was £2.892m and £1.827m for 2022/23. A total of £4.719m.

 

Projected Capital Receipts for 2023/24 had been set at £3.8m reprofiled for 2024/25 at £2.25m and for 2025/26 the target is £1.25m. From 2026 onwards the target is projected at £1m.

 

The two sites for disposal were in Warminster and Chippenham and full details could be found in appendix 2 to the report. 

 

Cllr Alford proposed the recommendations as detailed in the report, this was seconded by the Leader.

 

Resolved:

 

That Cabinet:

 

a)    Note the position in respect of completed receipts for the financial year 2022/3.

 

b)    Note the projected position for the following financial years.

 

c)    Approve the sale of the freehold interest of the two assets in Appendix 2 to generate capital receipts in support of the Council’s capital programme.

 

d)    Authorise the Director for Assets to dispose of the freehold interest in the assets, or in their absence the Corporate Director Resources, in consultation with Cabinet Member for Housing, Strategic Assets, Asset Transfer.

 

Reason for decision:

 

To note the year-end position in respect of capital receipts for the financial year

2022/23, note the projections for following financial years, and confirm the freehold interest in the 2 assets can be sold to generate capital receipts, after a review of the options to determine how the best overall interest of the Council

can be achieved.

 

53.

Urgent Items

Any other items which the Leader agrees to consider as a matter of urgency.

Minutes:

There were no urgent items.