CapeNature

Contact details

Physical: PGWC Shared Services Centre, Cnr Bosduif & Volstruis Streets, Bridgetown, 7764
Postal: Private Bag X29, Gatesville, 7766
Tel: 021 483 0000
Web: www.capenature.co.za
Email: info@capenature.co.za

Overview

The vision of CapeNature is to conserve nature for a sustainable future. Its mission is to manage, conserve and promote our human, natural and heritage assets through best practice, access, benefit sharing and sustainable use. CapeNature is the public entity responsible for nature conservation in the Western Cape.

Office Bearers/Management

Chairperson:
Ms Merle McOmbring-Hodges
Deputy Chairperson:
Dr Colin Johnson
Board Members:
Mr Mervyn Burton
Prof Denver Hendricks
Dr Bruce McKenzie
Adv Mandla Mdludlu
Mr Danie Nel
Prof Aubrey Redlinghuis
Mr Paul Slack
CEO:
Dr Razeena Omar
CFO:
Mr Mohamed Bhayat
Senior Management:
Mr Ernst Baard (Executive Director: Biodiversity Support)
Ms Gail Cleaver-Christie (Executive Director: Conservation Management)
Mr Sheraaz Ismail (Executive Director: Marketing and Ecotourism)
Ms Mahbobah Jacobs (Executive Director: Corporate Services)
Mr Melikhaya Pantsi (General Manager: People and Conservation)
Communications Officers:
Mrs Marietjie Engelbrecht (Senior Manager: Communication Services)

Financial Information

All Financial Values: R'0002016/172015/162014/152013/14
 
AUDIT OUTCOMEClean AuditFinancially UnqualifiedClean AuditClean Audit
 
FINANCIAL POSITION
Current Assetsn/a120 789105 71790 452
Non-Current Assetsn/a119 064105 63490 704
Total Assetsn/a239 852211 351181 157
Current Liabilitiesn/a36 41547 29554 774
Non-Current Liabilitiesn/a54 56760 18145 368
Total Liabilitiesn/a90 983107 476100 142
Total Net Assetsn/a148 870103 87581 015
 
FINANCIAL PERFORMANCE
Total Revenuen/a329 424301 017290 026
Revenue from Exchange Transactionsn/a40 54232 99630 469
Revenue from Non-Exchange Transactionsn/a288 882268 021259 558
Total Expendituren/a(284 005)(277 906)(278 268)
Employee Related costsn/a(172 902)(165 389)(152 993)
Surplus/(Deficit) for Yearn/a46 70323 57512 022
 
CASH FLOW
Net Cash Flows from Operating Activitiesn/a51 57252 20630 459
Net Cash Flows from Investing Activitiesn/a(27 573)(26 768)(11 947)
Cash & Cash Equivalents at End of Yearn/a111 08895 64577 229
 
UIFW EXPENDITURE
Unauthorised Expendituren/a---
Irregular Expendituren/a27-1 862
Fruitless & Wasteful Expendituren/a-1166
 
HUMAN RESOURCES
Posts Approvedn/a567581598
Posts Filledn/a514538548
 
Sources n/a Annual ReportAnnual ReportAnnual Report

Annual Reports


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