Venue: Council Chamber - Daneshill House, Danestrete
Contact: Alex Marsh (01438 242587) Email: committees@stevenage.gov.uk
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APOLOGIES FOR ABSENCE AND DECLARATIONS OF INTEREST Minutes: Apologies for absence were received from Councillors Tom Plater, Ceara Roopchand, Anne Wells and Nigel Williams.
There were no declarations of interest. |
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MINUTES OF THE PREVIOUS MEETING To approve as a correct record the minutes of the meetings of the Overview and Scrutiny Committee held on 21 January 2025. Minutes: It was RESOLVED that the minutes of the Overview and Scrutiny Committee meeting held on 21 January 2025 be agreed as a correct record and signed by the Chair. |
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PART I DECISIONS OF THE CABINET To consider the following Part I Decisions of the Cabinet taken on 12 February 2025.
2. MINUTES - CABINET 15 JANUARY 2025 Cabinet Agenda Page Nos. 5 - 14
3. MINUTES OF OVERVIEW & SCRUTINY AND SELECT COMMITTEES Cabinet Agenda Page Nos. 15 - 64
4. FINAL SOSAFE COMMUNITY STRATEGY Cabinet Agenda Page Nos. 65 – 128
5. FINAL GENERAL FUND AND COUNCIL TAX SETTING 2025/26 Cabinet Supplementary Agenda Page Nos. 3 - 71
6. FINAL CAPITAL STRATEGY 2024/25 - 2029/30 Cabinet Agenda Page Nos. 129 - 160
7. ANNUAL TREASURY MANAGEMENT STRATEGY INCLUDING PRUDENTIAL INDICATORS 2025/26 Cabinet Agenda Page Nos. 161 - 198
8. ADOPTION OF THREE REVISED SUPPLEMENTARY PLANNING DOCUMENTS Cabinet Agenda Page Nos. 199 - 224
9. VULNERABILITY POLICY Cabinet Agenda Page Nos. 225 - 256
10. URGENT PART 1 BUSINESS To consider any Part 1 business accepted by the Chair as urgent.
Notice of Decisions to follow Minutes: The Committee considered the following Part I
Decisions of the Cabinet taken on 12 February 2025:
Noted
3. MINUTES OF OVERVIEW & SCRUTINY AND SELECT COMMITTEES
Noted
4. FINAL SOSAFE COMMUNITY STRATEGY The Head of Community Advice and Support introduced the report. The Committee heard that Cabinet had agreed the recommendations set out in the report.
5. FINAL GENERAL FUND AND COUNCIL TAX SETTING 2025/26
The Chief Finance Officer introduced the report. The Committee heard that the report had been updated to include the business rate gains. Cabinet had agreed the recommendations set out in the report.
Responding to a question regarding the graduate scheme, the Chief Finance Officer advised the Committee that the report included two growth items, graffiti removal and the graduate scheme, which would be part funded from the business rates gains.
6. FINAL CAPITAL STRATEGY 2024/25 - 2029/30
The Chief Finance Officer introduced the report. The Committee heard that the report had been updated to include the garage improvement programme. Cabinet had agreed the recommendations set out in the report.
7. ANNUAL TREASURY MANAGEMENT STRATEGY INCLUDING PRUDENTIAL INDICATORS 2025/26
The Chief Finance Officer introduced the report. The Committee heard that Cabinet had agreed the recommendations set out in the report.
Responding to a question regarding borrowing limits imposed by the Public Works Loan Board (PWLB) beyond the council’s own prudential indicators, the Chief Finance Officer confirmed that borrowing for commercial investment was not permitted, and borrowing could only be undertaken when needed. When applying for PWLB loans, the council must confirm compliance with those rules. The Committee heard that the Council benefited from two discounts: a 20-basis-point "certainty discount" and a further 40-basis-point reduction for housing-related borrowing. Most borrowing was through the PWLB, except for approximately £7 million in interest-free Local Enterprise Partnership (LEP) loans.
8. ADOPTION OF THREE REVISED SUPPLEMENTARY PLANNING DOCUMENTS
The Interim Assistant Director (Planning and Regulation) introduced the report. Cabinet had agreed the recommendations set out in the report.
A Member sought clarification on the delegated powers granted to the Interim Assistant Director for Planning and Regulation regarding minor amendments to the SPD documents. Officers confirmed that such amendments would be limited to grammatical, typographical, and minor clarification changes, ensuring alignment with National Planning Policy Framework (NPPF) policies. Any substantive policy changes would require re-consultation.
A Member queried the alignment of the SPD with Hertfordshire County Council’s Place for Movement Design Guide to avoid conflicts in development requirements. Officers explained that the Borough Council’s guidance referred to the County Council’s highways guidance, which was issued in March 2024, to prevent duplication and ensure consistency. The County team had reviewed the documents and provided feedback to mitigate any potential conflicts.
Comments were made regarding the transparency of Section 106 and CIL (Community Infrastructure Levy) contributions. Officers advised that CIL payments were reported in the Capital Strategy and referenced in the Capital Monitoring Statement. It was noted that any CIL expenditure exceeding £75,000 must be reported to Members, ... view the full minutes text for item 3. |
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URGENT PART I DECISIONS AUTHORISED BY THE CHAIR OF THE OVERVIEW AND SCRUTINY COMMITTEE Minutes: It was RESOLVED that the Urgent Part I Decisions authorised by the Chair of the Overview and Scrutiny Committee be noted. |
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URGENT PART I BUSINESS To consider any Part I business accepted by the Chair as urgent Minutes: There was no Urgent Part I Business. |
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EXCLUSION OF PRESS AND PUBLIC To consider the following motions: 1. That under Section 100(A) of the Local Government Act 1972, the press and public be excluded from the meeting for the following items of business on the grounds that they involve the likely disclosure of exempt information as described in paragraphs 1 – 7 of Part 1 of Schedule 12A of the Act as amended by Local Government (Access to Information) (Variation) Order 2006. 2. That Members consider the reasons for the following reports being in Part II and determine whether or not maintaining the exemption from disclosure of the information contained therein outweighs the public interest in disclosure.
Minutes: It was RESOLVED:
1. That, under Section 100(A) of the Local Government Act 1972, the press and public be excluded from the meeting for the following items of business on the grounds that they involved the likely disclosure of exempt information as described in paragraphs 1 to 7 of Part 1 of Schedule 12A of the Act, as amended by SI 2006 No. 88.
2. That having considered the reasons for the following item being in Part II, it be determined that maintaining the exemption from disclosure of the information contained therein outweighed the public interest in disclosure. |
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PART II DECISIONS OF THE CABINET To consider the following Part II Decisions of the Cabinet taken on 12 February 2025.
12. PROCUREMENT OF SUPPORT CONTRACTORS FOR THE REPAIRS AND VOIDS SERVICE Cabinet Agenda Page Nos. 257 – 270
13. URGENT PART II BUSINESS To consider any Part II business accepted by the Chair as urgent.
Notice of Decisions to follow Minutes: The Committee considered the following Part II Decisions of the Cabinet taken on 12 February 2025:
12. PROCUREMENT OF SUPPORT CONTRACTORS FOR THE REPAIRS AND VOIDS SERVICE
The Assistant Director (Building Safety and Housing Property Services) introduced the report.
A Member asked a question that was responded to by Officers.
13. URGENT PART II BUSINESS
The Committee noted there had been no Urgent Part II Business at the Cabinet Meeting. |
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URGENT PART II DECISIONS AUTHORISED BY THE CHAIR OF THE OVERVIEW AND SCRUTINY COMMITTEE To consider any urgent Part II Decisions authorised by the Chair of the Overview and Scrutiny Committee Minutes: The Committee noted that there had been no Urgent Part II Decisions authorised by the Chair of the Overview and Scrutiny Committee. |
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URGENT PART II BUSINESS To consider any Part II business accepted by the Chair as urgent Minutes: There was no Urgent Part II Business. |