TDC19037 Treasury Management
key details
| Status | active |
|---|---|
| Category (CPV) | 66000000 +1 more |
| Region | South West |
| Deadline | 15 Nov 2019 |
| Contract start | 3 Dec 2019 |
| Contract end | 2 Dec 2024 |
| Procedure | open |
| SME suitable | Yes |
| OCID | ocds-b5fd17-7eefb6a5-ad7f-41df-8a23-98fe9858113d |
description
The Council is seeking a contract for the provision of Treasury Management advice.
The contract would include but is not limited to:
Support for production of statutory reporting requirements, (such as the treasury management investment/capital strategy, mid-year and year end reviews and Prudential Indicators) in line with MHCLG and CIPFA recommendations, with associated background data, interest rate forecasts and counterparty creditworthiness information.
Investment and debt management/funding advice in relation to the treasury management strategy and specific projects. This would take into account the requirement to bridge future years' budget shortfalls. It may include the type/length of borrowings and investments, the scheduling of maturities, and yield, in order to obtain best value while working within CIPFA guidelines of Security, Liquidity and Yield (in that order).
Additional information:
Instructions to Suppliers
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documents
- https://procontract.due-north.com/RFx/RfxSummary?rfxId=2af96d77-42ef-e911-80fa-005056b64545 , tenderNotice
- https://www.contractsfinder.service.gov.uk/Notice/fd32adaf-73e7-400e-99a4-18d90bf9cb51 , tenderNotice
Documents are linked, not mirrored. They are served by the publishing authority and may require registration.
notice history
1 notice published against this procurement.
| Published | Type | Regime | Notice |
|---|---|---|---|
| 15 Oct 2019 | Tender (tender) | · | fd32adaf-73e7-400e-99a4-18d90bf9cb51-319689 |
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source
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