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National Government

Artscape

Departments, clusters, public entities, and national service providers.

artscape Active https://www.artscape.co.za

Contact Details

Postal PO Box 4107, Cape Town, 8000
Physical DF Malan Street, Foreshore, Cape Town
Tel 021 410 9800
Web www.artscape.co.za

Overview

Artscape is a performing arts institution and venue that supports theatre, music, dance, and related cultural programming. It hosts productions and events, provides platforms for artists, and contributes to the development of creative work through partnerships and outreach. As a public cultural asset, Artscape helps expand access to the arts while sustaining professional performance spaces.

Overseeing Department/Entity

Tenders/Vacancies/Jobs

  • Tenders | View tenders
  • Vacancies/Jobs

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Office Bearers/Management

Chairperson:
Mr Zakaria Gordon
Board Members:
Mr Clint Abrahams
Mr Krishna Govender
Ms Saba Zahara Honeybush
Ms Khwezi Kunene
Ms Jacqueline Lapoorta
Ms Karen Meiring
Mr Thabo Phillip Molefe
Adv Jean Wilke
Chief Executive Officer:
Ms Marlene le Roux
Ms Yonela Schaupp
Chief Financial Officer:
n/a

Financial Information

All Financial Values: R'000 2024/25 2023/24 2022/23 2021/22 2020/21
AUDIT OUTCOME Clean Audit Clean Audit Financially Unqualified Clean Audit Clean Audit
FINANCIAL POSITION
Current Assets 59 050 63 064 54 456 36 346 23 487
Non-Current Assets 138 840 142 296 150 202 160 514 169 481
Total Assets 197 891 205 360 204 658 196 860 192 968
Current Liabilities 13 650 18 769 17 841 15 382 15 153
Non-Current Liabilities 279 267 730 734 696
Total Liabilities 13 930 19 036 18 571 16 015 15 849
Total Net Assets 183 961 186 324 186 087 180 845 177 119
FINANCIAL PERFORMANCE
Total Revenue 105 787 100 413 99 135 95 644 79 809
Revenue from Exchange Transactions 13 402 10 787 6 661 5 513 1 441
Revenue from Non-Exchange Transactions 92 385 89 627 92 474 90 132 79 809
Total Expenditure (103 137) (100 639) (93 897) (91 363) (84 747)
Employee Related costs (44 864) (42 481) (37 458) (38 410) (37 236)
Surplus/(Deficit) for Year (2 363) 237 5 242 3 726 (2 566)
CASH FLOW
Net Cash Flows from Operating Activities 6 285 18 035 19 750 21 598 18 345
Net Cash Flows from Investing Activities (10 929) (6 454) (5 403) (8 714) (39)
Cash & Cash Equivalents at End of Year 57 109 61 754 50 173 35 826 22 943
UIFW EXPENDITURE
Unauthorised Expenditure - - - - -
Irregular Expenditure 1 935 670 200 - 33
Fruitless & Wasteful Expenditure 466 - - - -
HUMAN RESOURCES
Posts Approved 109 114 114 93 93
Posts Filled 74 73 78 84 89
SOURCE Annual Report Annual Report Annual Report Annual Report Annual Report