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Indaka Local Municipality (KZN233)

Indaka Local Municipality was disestablished and merged with Emnambithi/Ladysmith Local Municipality to establish Alfred Duma 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 unqualifiedQualified audit
FINANCIAL PERFORMANCE
Property rates5 3383 2082 1891 676841
Service charges158173222138168
Investment revenue7 3127 1753 8761 790936
Transfers recognised - operational81 46070 88366 85161 82657 540
Other own revenue349269216172186
Total Revenue (excluding capital transfers and contributions)94 61781 70873 35565 60259 672
Employee costs11 1929 8099 2579 1019 924
Remuneration of councillors5 4905 7115 1254 7804 583
Depreciation and amortisation11 66111 5509 8066 0923 351
Finance charges223181214255348
Inventory consumed and bulk purchases-----
Transfers and subsidies678-3 2942 5215 689
Other expenditure22 45620 55615 40613 60615 360
Total Expenditure51 69947 80743 10236 35439 255
Surplus/(Deficit)42 91733 90130 25329 24820 417
Transfers and subsidies - capital (monetary allocations)30 05122 18422 98621 21820 380
Transfers and subsidies - capital (in-kind)-----
Surplus/(Deficit) after capital transfers & contributions72 96856 08553 23950 46540 797
Share of surplus/(deficit) of associate-----
Surplus/(Deficit) for the year72 96856 08553 23950 46540 797
CAPITAL EXPENDITURE & FUNDS SOURCES
Capital expenditure60 21334 90623 63422 82223 324
Transfers recognised - capital30 75919 23320 44520 77620 380
Borrowing-----
Internally generated funds29 45415 6733 1892 0452 943
Total sources of capital funds60 21334 90623 63422 82223 324
FINANCIAL POSITION
Total current assets145 052143 706105 59567 77531 910
Total non current assets178 550111 97088 81075 01160 772
Total current liabilities18 70923 99618 84020 70517 218
Total non current liabilities4 9694 8744 9074 3624 124
Community wealth/Equity299 924226 806170 657117 71871 339
CASH FLOWS
Net cash from (used) operating73 17572 45064 31357 71951 582
Net cash from (used) investing(78 184)(34 641)(23 605)(22 560)(23 324)
Net cash from (used) financing(92)(271)(364)(335)(396)
Cash/cash equivalents at the year end135 490140 591103 05262 70829 245
UNAUTHORISED, IRREGULAR, FRUITLESS & WASTEFUL EXPENDITURE
Unauthorised expenditure-425--1 220
Irregular expenditure71 4052 88915 7341 71015 874
Fruitless & wasteful expenditure27822 005122 837
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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