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Ingwe Local Municipality (KZN431)

Ingwe Local Municipality was disestablished and merged with Kwa Sani Local Municipality to establish Dr Nkosazana Dlamini-Zuma 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 Financially unqualifiedFinancially unqualifiedFinancially unqualifiedFinancially unqualifiedFinancially unqualified
FINANCIAL PERFORMANCE
Property rates5 4315 1015 1944 6933 658
Service charges1 150566424443306
Investment revenue5 0953 7723 9424 5093 924
Transfers recognised - operational93 89077 35062 49269 70844 868
Other own revenue2 8143 9621 6253 7532 008
Total Revenue (excluding capital transfers and contributions)108 38090 75273 67783 10654 763
Employee costs29 38628 72525 08319 73215 633
Remuneration of councillors7 1976 7036 3895 9315 543
Depreciation and amortisation12 40510 5518 6354 6973 589
Finance charges573466403300251
Inventory consumed and bulk purchases-----
Transfers and subsidies--1 176850-
Other expenditure35 48335 11742 82442 23624 346
Total Expenditure85 04481 56284 51073 74749 363
Surplus/(Deficit)23 3369 190(10 833)9 3605 401
Transfers and subsidies - capital (monetary allocations)21 47837 21926 30730 95621 164
Transfers and subsidies - capital (in-kind)-----
Surplus/(Deficit) after capital transfers & contributions44 81446 41015 47440 31626 565
Share of surplus/(deficit) of associate-----
Surplus/(Deficit) for the year44 81446 41015 47440 31626 565
CAPITAL EXPENDITURE & FUNDS SOURCES
Capital expenditure44 02744 02792 26240 99877 999
Transfers recognised - capital35 17235 17223 19637 99852 528
Borrowing-----
Internally generated funds8 8558 85569 0663 000-
Total sources of capital funds44 02744 02792 26240 99877 999
FINANCIAL POSITION
Total current assets82 59361 95853 46671 71081 575
Total non current assets219 128177 854149 481116 32580 285
Total current liabilities34 99820 33516 52316 40833 564
Total non current liabilities6 5763 5772 6503 5275 207
Community wealth/Equity260 148215 900183 775168 100123 090
CASH FLOWS
Net cash from (used) operating65 49344 59027 03929 66150 507
Net cash from (used) investing(53 307)(39 742)(42 368)(41 072)(25 671)
Net cash from (used) financing(56)(268)(25)2 249(174)
Cash/cash equivalents at the year end69 13057 00052 42167 77576 938
UNAUTHORISED, IRREGULAR, FRUITLESS & WASTEFUL EXPENDITURE
Unauthorised expenditure-6 0185 6335 004-
Irregular expenditure16 26711 4477 01033 4573 308
Fruitless & wasteful expenditure-596301
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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