Logo

Finance Documents

 

Here you can find Moqhaka Local Municipality’s key finance documents, from aprroved Budgets, narrated adjutments budgets, Section 52 and 71 reports, budget related policies, annual financial statement, valuation rolls to auditors reports. The reports or Documents in this page are updated per local government legislation and they kept for at lest five financial years. To access this reports/documents just click on the hyper text link…

Finance Documents/Reports

Approved Annual Budget

2020/2021 – Draft
2019/2020
2018/2019
2017/2018
2016/2017
2015/2016

Adjustment Budget

2019/2020
2018/2019
2017/2018
2016/2017
2015/2016

Budget Related Policies

Draft Policies

2020/2021

MFMA Budget Circular No: 98                      MFMA Budget Circular No: 99                                                                                                                  Write-off                                                            Assets Management
Budget                                                               Cash Control and Direct Deposit
Cash and Investment                                      Debt Collection and Credit control
Indigent Subsidy                                              Meter Reading
MFMA Budget Circular No: 99-09                 Petty Cash
Property Rates                                                 SCM Infrastructure (SIPDM)
SCM                                                                   Service Standard Circular No: 72
Short and Long Term Borrowing                  Travel and Subsistence
Tariff Schedule 2020/2021                           

Approved Policies

2019/2020

MFMA Budget Circular No: 93                       Assets Management
Budget                                                               Cash Control and Direct Deposit
Cash and Investment                                      Debt Collection and Credit control
Indigent Subsidy                                              Meter Reading
MFMA Budget Circular No: 94                       Petty Cash
Property Rates                                                 SCM Infrastructure (SIPDM)
SCM                                                                   Service Standard Circular No: 72
Short and Long Term Borrowing                  Tariff
Tariff Schedule 2019/2020                           Travel and Subsistence
Write-off

2018/2019

Assets Management                                     Tariff
Budget                                                              Cash Control and Direct Deposit
Cash and Investment                                     Debt Collection and Credit control
Indigent Subsidy                                             Meter Reading
MFMA Budget Circular No: 91                     Petty Cash
Property Rates                                                SCM Infrastructure (SIPDM)
SCM Moqhaka Municipality                         Service Standard Circular No: 72
Tariff Schedule 2018/2019                          Travel and Subsistence
Write-off

Section 71

2019 – 20202018 – 20192017 – 20182016 – 20172015 – 2016
Jan 2020Jan 2019Jan 2018Jan 2017Jan 2016
Feb 2020Feb 2019Feb 2018Feb 2017Feb 2016
Mar 2020Mar 2019Mar 2018Mar 2017Mar 2016
Apr 2020Apr 2019Apr 2018Apr 2017Apr 2016
May 2020May 2019May 2018May 2017May 2016
Jun 2020Jun 2019Jun 2018Jun 2017Jun 2016
Jul 2019Jul 2018Jul 2017Jul 2016Jul 2015
Aug 2019Aug 2018Aug 2017Aug 2016Aug 2015
Sept 2019Sept 2018Sept 2017Sept 2016Sept 2015
Oct 2019Oct 2018Oct 2017Oct 2016Oct 2015
Nov 2019Nov 2018Nov 2017Nov 2016Nov 2015
Dec 2019Dec 2018Dec 2017Dec 2016Dec 2015

Section 52

2019-20202018-20192017-20182016-20172015-2016
Quarter 1Quarter 1Quarter 1Quarter 1Quarter 1
Quarter 2Quarter 2Quarter 2Quarter 2Quarter 2
Quarter 3Quarter 3Quarter 3Quarter 3Quarter 3
Quarter 4Quarter 4Quarter 4Quarter 4Quarter 4

Audit Report

2018/2019
2017/2018
2016/2017
2015/2016

Annual Financial statements (AFS)

2018/2019
2017/2018
2016/2017
2015/2016