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
Web: www.golimpopo.com
Email: info@golimpopo.com

Overview

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/Management

Chairperson:
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
CEO:
Mr Gladwin Kotsedi (Acting)
CFO:
Mr Sammy Manamela
COO:
n/a
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
 
FINANCIAL POSITION
Current Assets19 22532 39545 2832 199
Non-Current Assets188 147124 713127 37493 885
Total Assets188 147157 109172 65796 085
Current Liabilities26 38737 31853 90812 216
Non-Current Liabilities40 21244 76545 17845 181
Total Liabilities66 59982 08399 08657 397
Total Net Assets121 54875 02673 57138 688
 
FINANCIAL PERFORMANCE
Total Revenue166 907167 081120 22082 554
Revenue from Exchange Transactions10 46810 04110 71913 180
Revenue from Non-Exchange Transactions156 439157 039109 50169 374
Total Expenditure(109 761)(122 184)(101 442)(95 956)
Employee Related costs(53 236)(54 424)(50 695)(50 282)
Surplus/(Deficit) for Year57 14644 89718 778(13 521)
 
CASH FLOW
Net Cash Flows from Operating Activities10 4244 92528 8903 100
Net Cash Flows from Investing Activities(50 963)(41 354)(19 286)(536)
Cash & Cash Equivalents at End of Year18 28630 17630 176791
 
UIFW EXPENDITURE
Unauthorised Expenditure----
Irregular Expenditure1 8738 5103 35320 041
Fruitless & Wasteful Expenditure3781 32147139
 
HUMAN RESOURCES
Posts Approved250250250325
Posts Filled193200204213
 
SourcesAnnual ReportAnnual Report n/a Annual Report

Annual Reports


The information in this directory is supplied and/or externally sourced and is also subject to continual change. If you notice any errors or omissions, please contact us at info@provincialgovernment.co.za so that we can correct them.
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