Mpumalanga Gambling Board

Contact details

Physical: 1st Avenue, White River, Mpumalanga
Postal: Private Bag X9908, White River, Mpumalanga, 1240
Tel: 013 750 8000
Fax: 013 750 8099


The mission of the Mpumalanga Gambling Board (MGB) is to ensure the integrity of gambling through efficient regulation within the Mpumalanga province of South Africa.

The Entity's strategic objectives are to: ensure that the MGB operates in accordance with national and international gambling policies and standards; investigate or review the suitability or continued suitability of applicants or licensees; ensure regulatory compliance of all licensed gambling operations and equipment; provide assurance that complete and accurate gambling levies are paid, as prescribed; ensure effective and efficient gambling legislation; ensure efficient and effective human resources and financial management; ensure public awareness of the gambling industry; ensure responsible growth and transformation of the industry.

Office Bearers

Mrs Nora Fakude-Nkuna
Board Members:
Adv Vulani Baloyi
Mr Johannes Cronje
Ms Gaylene Anne Deiner
Mr Thabang Makwetla
Mr Bheki Mlambo (CEO)
Mr Mandlakayise Sam Mthembu
Mr David Sandile Skhosana
Mr Musi Skosana
Mr Bheki Mlambo
Mr Lucas Maseko
Senior Management:
Ms Carla Bastos-Hay (Departmental Manager: Gambling Audit)
Mrs Marina Bezuidenhout (Departmental Manager: Legal Services)
Mr Vusi Mtsweni (Departmental Manager: Gambling Control)
Mr André Otto (Departmental Manager: Investigations and Licensing)
Communications Officers:
Mr Cedrick Chiloane (Departmental Manager: Communications)

Financial Information

All Financial Values: R'0002015/162014/152013/142012/13
AUDIT OUTCOMEClean AuditClean AuditClean AuditClean Audit
Current Assetsn/a31 52925 04313 921
Non-Current Assetsn/a21 47020 11819 249
Total Assetsn/a52 99945 16133 170
Current Liabilitiesn/a27 16822 12513 076
Non-Current Liabilitiesn/a-14106
Total Liabilitiesn/a27 16822 13813 182
Total Net Assetsn/a25 83123 02319 988
Total Revenuen/a55 50450 45442 191
Revenue from Exchange Transactionsn/a95559526
Revenue from Non-Exchange Transactionsn/a54 54949 85942 166
Total Expendituren/a(53 713)(47 419)(41 861)
Employee Related costsn/a(33 274)(31 267)(26 414)
Surplus/(Deficit) for Yearn/a1 7913 035(1 808)
Net Cash Flows from Operating Activitiesn/a6 59111 995(800)
Net Cash Flows from Investing Activitiesn/a(647)(1 066)(873)
Cash & Cash Equivalents at End of Yearn/a24 07118 2207 394
Unauthorised Expendituren/a---
Irregular Expendituren/a---
Fruitless & Wasteful Expendituren/a---
Posts Approvedn/a585757
Posts Filledn/a555555
Sources n/a Annual ReportAnnual ReportAnnual Report

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