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Nxuba Local Municipality (EC128)

Nxuba Local Municipality was disestablished and merged with Nkonkobe Local Municipality to establish Raymond Mhlaba Local Municipality on 3 August 2016. All information displayed here is historical information relating to the municipality before being disestablished.

Financial Results

All values: R'0002015/162014/152013/142012/132011/12
AUDIT OUTCOME Adverse auditFinancially unqualifiedQualified auditQualified auditDisclaimer of audit
FINANCIAL PERFORMANCE
Property ratesn/a3 9033 2153 0942 823
Service chargesn/a24 04121 48918 91217 935
Investment revenuen/a-2 5132 70884
Transfers recognised - operationaln/a28 10227 23624 79221 702
Other own revenuen/a7 91710 4028 0275 841
Total Revenue (excluding capital transfers and contributions)n/a63 96264 85357 53248 386
Employee costsn/a23 79921 65520 84216 319
Remuneration of councillorsn/a2 2462 1062 0321 868
Depreciation and amortisationn/a10 2959 8688 3668 452
Finance chargesn/a439421337-
Inventory consumed and bulk purchasesn/a20 49723 44519 73217 506
Transfers and subsidiesn/a7 0694 2273 018-
Other expendituren/a31 07227 47712 28124 623
Total Expendituren/a95 41789 19966 60868 768
Surplus/(Deficit)n/a(31 455)(24 346)(9 075)(20 382)
Transfers and subsidies - capital (monetary allocations)n/a9 48110 85310 1847 010
Transfers and subsidies - capital (in-kind)n/a----
Surplus/(Deficit) after capital transfers & contributionsn/a(21 974)(13 494)1 108(13 373)
Share of surplus/(deficit) of associaten/a----
Surplus/(Deficit) for the yearn/a(21 974)(13 494)1 108(13 373)
CAPITAL EXPENDITURE & FUNDS SOURCES
Capital expenditure8 2994 42611 0422 7371 519
Transfers recognised - capital8 2994 42611 0422 7371 519
Borrowing-----
Internally generated funds-----
Total sources of capital funds8 2994 42611 0422 7371 519
FINANCIAL POSITION
Total current assets30 17821 12514 9518 92515 574
Total non current assets167 663168 220174 313217 131222 720
Total current liabilities83 66773 54151 32232 46125 590
Total non current liabilities18 0516 6736 8374 351-
Community wealth/Equity96 124109 130131 105189 245212 704
CASH FLOWS
Net cash from (used) operating(6 239)8 0618 3675 040(11 854)
Net cash from (used) investing(10 411)(4 696)(11 042)(9 404)-
Net cash from (used) financing-(237)-(26)(1 519)
Cash/cash equivalents at the year end(15 971)4 243(789)(4 390)(13 373)
UNAUTHORISED, IRREGULAR, FRUITLESS & WASTEFUL EXPENDITURE
Unauthorised expenditure11 77613 66617 8853 41115 176
Irregular expenditure66 52316 63210 74217 0929 063
Fruitless & wasteful expenditure6 2574 2572 599--
SOURCEAudited - C1 2017Audited Outcome - A1 2016Audited Outcome - A1 2016Audited Outcome - A1 2016S71 Audited

The information in this directory is compiled from various sources and is subject to continual change. If you notice any errors or omissions, contact us so that we may correct them.
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