Roads Agency Limpopo (RAL)

Contact details

Physical: RAL Towers, 26 Rabe Street, Polokwane, 0700
Postal: Private Bag X9554, Polokwane, 0700
Tel: 015 284 4600
Fax: 015 284 4701


The Roads Agency Limpopo (RAL) has the main functions of planning, designing, constructing, maintaining and controlling the provincial road network. It owns and manages all the provincial roads, except municipal and national roads.

RAL's mission is to provide a sustainable roads infrastructure network; link the economic growth areas; spearhead the province through innovative leadership; be an enabling, supportive and learning organisation; be excellent and efficient in the culture of service delivery; and remain a dedicated, ethical, responsive and proactive staff.

The Entity's strategic goals are: effective road management; revenue generation; good corporate governance; stakeholder relations; effective organisational systems; and support for the Provincial Employment and Growth Development Strategy.

Office Bearers/Management

Mr M Ralebipi
Board Members:
Mr JR Bilankulu
Ms MH Kekana
Mr Maselaganye Matji (CEO)
Ms WNG Moleko
Mr R Mulamula
Mr MPK Tshivhase
Mr Maselaganye Matji
Ms L Fosu
Senior Management:
Ms M Boshielo (Executive Manager: Corporate Services)
Communications Officers:
Mr B Manyathela

Financial Information

All Financial Values: R'0002016/172015/162014/152013/14
AUDIT OUTCOMEFinancially UnqualifiedQualifiedAdverseAdverse
Current Assetsn/a156 816120 059407 962
Non-Current Assetsn/a26 658 49328 498 77332 623 633
Total Assetsn/a26 815 30928 618 83233 031 595
Current Liabilitiesn/a220 24949 60436 825
Non-Current Liabilitiesn/a---
Total Liabilitiesn/a220 24949 60436 825
Total Net Assetsn/a26 595 06128 569 22832 994 770
Total Revenuen/a698 5131 119 540570 455
Revenue from Exchange Transactionsn/a8 20512 22415 841
Revenue from Non-Exchange Transactionsn/a690 3071 107 316554 614
Total Expendituren/a(2 547 049)(3 225 556)(2 458 720)
Employee Related costsn/a(53 620)(47 888)(47 460)
Surplus/(Deficit) for Yearn/a(1 848 536)(2 106 016)(1 888 265)
Net Cash Flows from Operating Activitiesn/a616 268329 692458 264
Net Cash Flows from Investing Activitiesn/a(588 666)(617 008)(340 501)
Cash & Cash Equivalents at End of Yearn/a146 287118 685406 001
Unauthorised Expendituren/a---
Irregular Expendituren/a48 671447 470758 044
Fruitless & Wasteful Expendituren/a87911 404
Posts Approvedn/a112104103
Posts Filledn/a978281
Sources n/a Annual ReportAnnual ReportAnnual Report

Annual Reports

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