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  • Major council IT system maintenance from 27 May (for around one week): we are carrying out planned essential maintenance work on the council’s IT systems. During this time, many of our online services are unavailable. Where relevant, planning consultations will be extended by 14 days. We will update this banner message as the work progresses. − During this time you can still contact us for other enquiries via our enquiry form or by phone. We apologise for any inconvenience. Find out more information on this work.

Council financial reports

Each report title takes you to the webpage where this information is published. Please email performance@southandvale.gov.uk if you cannot find what you are looking for.

Business rates accounts – a monthly list of business rates accounts for non-domestic properties. 

Car park fees and charges – this report helps our Cabinet members review our car parking fees and charges each year, in line with our pricing policy.

Community Infrastructure Levy (CIL) spending reports – an annual summary of how developer contributions are secured, received, and spent for new developments in the local area and how we intend to allocate our CIL funds.

Council payments over £250 report – a monthly report of individual payments made to suppliers over £250 (£500 before July 2016). 

Council statement of accounts – a formal statement of accounts published at the end of each financial year.

Grant awards made to date – a list of council grants allocated to the community and voluntary sector.

List of contractors selling to the council – a list of contractors who currently supply their services and goods to us. 

Revenue budget and capital programme – each February we publish a budget for day-to-day expenditure needed to provide our services for the upcoming financial year.

Treasury management outturn reports – this report, published at the end of each financial year, helps to ensure adequate monitoring and reporting of our treasury management activities.