LIMPOPO GAMBLING BOARD A/REPORT 2022/23
LIMPOPO GAMBLING BOARD Financial Statements for the year ended 31 March 2023 Statement of Financial Position as at 31 March 2023
Note(s)
2023
2022 Restated*
Assets Current Assets Receivables from exchange transactions Receivables from non-exchange transactions
9
620 476 222 139
199 223 69 812
10
Cash and cash equivalents
11 25 055 451
33 189 580 33 458 615
25 898 066
Non-Current Assets Property, plant and equipment
3 2 843 044
2 314 808
Intangible assets
4
485 392
469 822
Receivables from non-exchange transactions
10
5 040
5 040
3 333 476 29 231 542
2 789 670 36 248 285
Total Assets
Liabilities Current Liabilities Operating lease liabilities
12
–
5 014 420 1 461 371 1 502 744 4 046 068 18 950 080 5 602 972 31 844
Payables from exchange transactions
6 1 290 995
Payables from non-exchange Employee benefit obligation
7 8
32 119 62 612
Staff accrual
13 3 342 865 32 17 527 679 14 6 764 073
Funds to surrender Deferred income Fines and penalties
5
101 000
155 000
29 121 343
36 764 499
Non-Current Liabilities Employee benefit obligation
8
207 784
269 288
Total Liabilities
29 329 127
37 033 787
Net Assets
(97 585) (97 585) (97 585)
(785 502) (785 500) (785 500)
Accumulated surplus Total Net Assets
LIMPOPO GAMBLING BOARD 2022/23
131
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