Minutes of the Finance Committee on Wednesday 26 July 2023

MINUTES OF A MEETING OF CHOPPINGTON PARISH COUNCIL FINANCE COMMITTEE HELD ON WEDNESDAY 26 JULY 2023 IN THE PARISH COUNCIL OFFICES

THOSE ATTENDING:

Cllr A Iley

Cllr G Huntley

Cllr A Iley

Cllr J Rowell (Chair)

Cllr P S Vaughan

Cllr L Watson

IN ATTENDANCE:

Mrs A Brindley Parish Clerk/Responsible Finance Officer, Mr D Iley Finance Officer

 

AGENDA PART 1

F001/23         1.         APOLOGIES FOR ABSENCE.

The following apologies were received:  Cllr J Foster (family commitment), Cllr H Allsopp and Cllr A Hart Foster (out of the area). The meeting agreed that these were proper reasons for absence.

F002/23         2.         MEMBERS DECLARATION OF DISCLOSABLE PECUNIARY AND OTHER REGISTERABLE INTEREST(S).

No declarations were made.

F003/23        3.         Public Questions.

There were no questions from the public

F004/23         4.         ELECTION OF CHAIRMAN TO SERVE FOR THE COUNCIL YEAR 2023/24.

Cllr J Rowell was duly moved, seconded and elected to serve as Chairman of the Finance Committee for the ensuing year.

F005/23         5.         ELECTION OF VICE-CHAIRMAN TO SERVE FOR THE COUNCIL YEAR 2023/4.

Cllr H Allsopp was duly moved, seconded and elected to serve as Vice-Chairman of the Finance Committee for the ensuing year.

F006/22         6.         MINUTES OF THE FINANCE MEETING OF 19 APRIL 2023.

  Members agreed the minutes as a true record

F007/23         7.         MATTERS ARISING

  There were no matters arising.

F008/23         8.         TERMS OF REFERENCE

 Members agreed the terms of reference

F009/23         9.         FINANCIAL PERFORMANCE TO THE END OF THE FINANCIAL QUARTER.

The Parish Clerk reported on expenditure and income undertaken during the first financial quarter.  2 quotations were presented for approval to be taken from earmarked balances.  Repair to climber at  Liddells field £2468.40,  and mesh panels for vandalised shelter at Johnson Villas, £1546.00

RESOLVED:  Members thanked the officers for their report and approved the acceptance of the quotations.

AGENDA – PART 2.

Members  considered under Standing Order 3, that in view of the special and confidential nature of the business to be transacted, it was advisable in the public interest that the press and public be excluded and asked to withdraw.

There were no items for agenda part 2

 

There being no further business the meeting closed at 10.55am

 

 

 

Signed by the Chairman: …………………………………………….               Date:  …………………..

 

 

 

 

 

 

 

 

 

 

 

MINUTES OF A MEETING OF CHOPPINGTON PARISH COUNCIL FINANCE COMMITTEE HELD ON WEDNESDAY 19 APRIL 2023 IN THE PARISH COUNCIL OFFICES

 

THOSE ATTENDING:

 

Cllr H Allsopp

Cllr K Burn

Cllr A Iley

Cllr G Huntley

Cllr J Rowell (Chair)

Cllr P S Vaughan

 

IN ATTENDANCE:

 

Mrs A Brindley Parish Clerk/Responsible Finance Officer, Mr D L Nicholson Deputy Parish Clerk, Mr D Iley Finance Officer

 

AGENDA PART 1

 

F012/22         1.         APOLOGIES FOR ABSENCE.

 

The following apologies were received:  Cllr J Foster (Illness), Cllr L Watson (medical appointment). The meeting agreed that these were proper reasons for absence.

 

F013/22         2.         MEMBERS DECLARATION OF DISCLOSABLE PECUNIARY AND

OTHER REGISTERABLE INTEREST(S).

 

Cllrs H Allsopp, A Iley, G Huntley and P S Vaughan indicated that they had a non-pecuniary interest in agenda item 9

 

F014/22         3.        PUBLIC QUESTIONS

 

There were no questions from the public

 

 

F015/22         4.         MINUTES OF THE FINANCE MEETING OF 20 JULY 2022

 

Members noted that the minutes had been reported directly to the Parish Council, and agreed them as a true record.

 

 

F016/22         5.         MATTERS ARISING

 

No matters arising

 

F017/22         6.         CONSIDERATION OF FINANCIAL OUTTURN 2022-23

                                   

Members received the financial outturn report by the Parish Council, noting that the cash balance was reduced from the year 2021-22.  The Parish Clerk/RFO explained that year end had not been finalized but identified that expenditure this year included purchases of litter bins, 6 bus shelters and spares, and the replacement of office photocopiers.

 

 

F018/22         7.         CONSIDERATION OF EARMARKED BALANCES FOR 2023-24

                                   

Members received the information regarding earmarked balances, noting that the Council has identified £100,000 as the contribution to Cleaswell Park refurbishment, although it was expected that grants could be obtained towards the cost.

 

F019/22         8.         THE REVISON OF FINANCIAL REGULATONS

 

Members considered the revision of financial regulations relating to the payment of invoices directly though the bank.

 

RESOLVED: Members approved the revision of Financial Regulations to be reported to the Parish Council

 

F020/22         9.         TO CONSIDER A FINANCIAL ADDENDUM TO PARTNERSHIP

 MEMORANDUM OF UNDERSTANDING

 

The Parish Clerk/Responsible Finance Officer explained the Council has a Memorandum of Understanding (MoU) with each strategic partner  The MoU with Stakeford and Bomarsund Sport and Social Welfare Centre requires an addendum to guide both the Parish Council and Welfare on financial matters governing areas of joint funding.  This addendum will advance financial principles associated with all partnerships covered by MoU.

 

The Parish Clerk and the Secretary of the Welfare had prepared a joint draft guidance for consideration by the Finance committee.  Cllrs P Vaughan, H Allsopp, A Iley and G Huntley who are Trustees appointed by Northumberland County Council to Stakeford and Bomarsund Welfare declared a non-pecuniary interest in this item.  With 4 of the 6 members in attendance declaring an interest, the meeting agreed to this item being decided at the next meeting of the Parish Council.

 

Items of shared funding, made under delegated powers was reported for information by the Clerk.

 

  • The payment of soft furnishings towards the ‘warm room’ scheme
  • The shared cost of electricity charges
  • The shared cost towards upgrade to sustainable lighting

 

 

 

RESOLVED:  Members thanked the officers for their report and noted the delegated expenditure.

 

AGENDA – PART 2.

 

Members  considered under Standing Order 3, that in view of the special and confidential nature of the business to be transacted, it was advisable in the public interest that the press and public be excluded and asked to withdraw.

 

 

There being no further business the meeting closed at 11.10 am

 

 

 

Signed by the Chairman: …………………………………………….               Date:  …………………..

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Agenda Item 8

Choppington Parish Council

 

Terms of reference

 

Finance Committee

 

  1. Committee:  The Finance Committee is constituted as a committee of the Council.

 

  1. Membership:  All Councillors can be members with a minimum of 5 Councillors and will include the Chairman and Vice Chairman of the Council.

 

The quorum shall be 3 members of the Committee.

 

  1. The Chairman (and Vice Chairman) will be elected at the first meeting of the Finance Committee following the Annual Meeting of Choppington Parish Council.

 

  1. The Committee will meet as the workload requires, with a minimum of 3 working days’ notice given unless an extraordinary meeting is required, subject to legal requirements.

 

  1. Purpose:   To oversee the Council’s financial affairs in accordance with legislative requirements, regulations and guidelines including:

 

  1. Monitoring of income and expenditure during the financial year and where appropriate recommending actions to the Parish Council.

 

  1. Review of the Council’s accounting practices and systems.

 

  • Preparation of annual budget and precept for recommendation to Parish Council.

 

  1. Review of earmarked balances including repair and replacement programme.

 

  1. Review insurance cover

 

  1. Review financial regulations and make recommendations to Parish Council.

 

  • Receive internal and external audit reports and arrange implementation of recommendations.

 

 

 

Item 9      Income and Expenditure by Budget as at end June 2023

Income%
BudgetActualVarianceResource AvailableNote
Precept435,889217,945211,59749
Partnership8,03017,869-9,839-1231
interest8963,372-391-442
Neighbourhood plan6,00006,000100
Misc income011,880-11,80003
Total450,815251,066195,567
Expenditure
Staffing costs175,29927,174148,125844
Office Costs13,9343,37610,55876
Members Costs10,9061,7409,16684
Fees And Charges18,3285,14613,18272
Contingencies/mis exp17,5002,04015,46088
Contracts4,90004,900100
Local Service Delivery83,073083,073100
Allotment Expenses1,25048576561
Community Services9,4431629,28198
Grants and donations9,00009,0001005
Sport in the community20,8604,91615,94476
Youth Provision13,25017813,07299
Total
Earmarked projects & repair73,0725,26267,810
450,81550,479400,336
Note
1Includes Cllr Foster MLIS funding for interactive signs £10,436
2Interest from savings account has exceeded expectations
3insurance claim for bus shelter
4One month short in actual
5Budget includes £6000 for neighbourhood planning