Limpopo Tourism Agency

Contact details

Physical: Southern Gateway Ext 4, N1 Main Road, Polokwane, 0700
Postal: PO Box 2814, Polokwane, 0700
Tel: 015 293 3600
Fax: 015 293 3655


The mission of the Limpopo Tourism Agency is to promote and offer a quality, sustainable and diverse tourist experience.

The Agency's strategic objectives are to effectively and efficiently administer support in the organisation; provide efficient and effective human resources support services; provide efficient and effective finance and support services; initiate product development, tourism investment, strategic partnerships, and provide quality hospitality services; and position Limpopo as the preferred ecotourism destination.

Office Bearers

Mr KA Dipela
Deputy Chairperson:
Mr MM Chikane
Board Members:
Ms A De Klerk
Mr TE Mabunda
Ms O Mafefe
Ms M Mokoka
Mr PP Motene
Kgoshigadi M Nchabeleng
Dr TG Nethengwe
Ms KPS Ntshavheni
Mr MO Phasha
Kgoshi S Sekororo
Mr Fixon Hlungwani (Acting)
Mr Sammy Manamela
Ms Seipati Tlaka (Acting)
Senior Management:
Mr Bibi Kotsedi (Company Secretary)
Ms Lulama Tshabalala (Executive: Tourism and Marketing)
Communications Officers:
Mr Mike Tauatsoala (Manager: Corporate Communications)

Financial Information

All Financial Values: R'0002015/162014/152013/142012/13
AUDIT OUTCOMEQualifiedQualifiedQualifiedDisclaimer
Current Assetsn/a32 40445 2832 199
Non-Current Assetsn/a126 565127 37493 885
Total Assetsn/a158 969172 65796 085
Current Liabilitiesn/a34 75353 90812 216
Non-Current Liabilitiesn/a44 76545 17845 181
Total Liabilitiesn/a79 51899 08657 397
Total Net Assetsn/a79 45173 57138 688
Total Revenuen/a169 091120 22082 554
Revenue from Exchange Transactionsn/a10 04110 71913 180
Revenue from Non-Exchange Transactionsn/a159 050109 50169 374
Total Expendituren/a(114 726)(101 442)(95 956)
Employee Related costsn/a(54 424)(50 695)(50 282)
Surplus/(Deficit) for Yearn/a54 36518 778(13 521)
Net Cash Flows from Operating Activitiesn/a13 90628 8903 100
Net Cash Flows from Investing Activitiesn/a(48 325)(19 286)(536)
Cash & Cash Equivalents at End of Yearn/a43 95530 176791
Unauthorised Expendituren/a---
Irregular Expendituren/a8 5103 35320 041
Fruitless & Wasteful Expendituren/a1 32147139
Posts Approvedn/a250250325
Posts Filledn/a200204213
Sources n/a Annual Report n/a Annual Report

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