Live

Provincial Government

Casidra SOC Ltd

Provincial departments, entities, and offices for each province.

casidra-soc-ltd Active https://casidra.co.za

Contact Details

Postal PO Box 660, Southern Paarl, 7624
Physical 22 Louws Avenue, Southern Paarl, 7646
Tel 021 863 5000
Web casidra.co.za

Overview

Casidra SOC Ltd supports rural and agricultural development initiatives through project management, implementation support, and development facilitation. It helps deliver programmes that strengthen livelihoods, improve infrastructure, and support enterprise development in rural areas. By providing implementation capacity and coordinating development interventions, Casidra contributes to more effective delivery of development programmes and improved socio-economic outcomes for rural communities.

Overseeing Department/Entity

  • Agriculture

Tenders/Vacancies/Jobs

  • Tenders | View tenders
  • Vacancies/Jobs

Map

Office Bearers/Management

Chairperson:
Mr Christo van der Rheede
Deputy Chairperson:
Ms Crystal Abdoll
Board Members:
Ms Emily Hendricks
Mr Daniel Johnson
Mr Lusanda Ngxonono
Mr Dale Simons
Mr Riccardo Temmers
CEO:
Dr Keith du Plessis
CFO:
Mr Freek van Zyl
Senior Management:
Mr Carl Boraine (Accountant)
Mr Michael MacKenzie (Programme Officer: FSD)
Mr David Nefdt (Chief Programme Officer)
Ms Loinice Seconds (Human Capital Manager)
Mr Jacques Swanepoel (Programme Manager: ES)
Communications Officers:
Mr Experience Matshediso (Public Relations/Communications Manager)

Financial Information

All Financial Values: R'000 2024/25 2023/24 2022/23 2021/22 2020/21
AUDIT OUTCOME Financially Unqualified Clean Audit Clean Audit Financially Unqualified Financially Unqualified
FINANCIAL POSITION
Current Assets 219 081 217 028 224 749 213 606 233 688
Non-Current Assets 8 749 8 693 7 489 6 860 9 660
Total Assets 227 830 225 722 232 238 220 466 243 349
Current Liabilities 205 628 201 303 209 596 197 603 214 436
Non-Current Liabilities - - - - -
Total Liabilities 205 628 201 303 20 596 197 603 214 436
Total Net Assets 22 202 24 419 22 642 22 863 28 913
FINANCIAL PERFORMANCE
Total Revenue 205 289 202 121 239 200 216 492 277 363
Revenue from Exchange Transactions 18 716 16 138 11 156 11 151 11 892
Revenue from Non-Exchange Transactions 187 113 185 983 228 045 205 340 265 471
Total Expenditure (207 385) (200 293) (239 459) (222 668) (279 026)
Employee Related costs (32 018) (28 753) (25 760) (26 098) (26 745)
Surplus/(Deficit) for Year (2 216) 1 776 (220) (6 050) (1 484)
CASH FLOW
Net Cash Flows from Operating Activities (824) (9 608) 9 911 (8 806) 1 072
Net Cash Flows from Investing Activities 3 247 1 617 1 075 3 963 1 131
Cash & Cash Equivalents at End of Year 217 828 215 405 223 396 16 980 21 822
UIFW EXPENDITURE
Unauthorised Expenditure - - - - -
Irregular Expenditure 359 1 039 5 036 - -
Fruitless & Wasteful Expenditure 70 10 - - -
HUMAN RESOURCES
Posts Approved 102 96 97 95 104
Posts Filled 94 92 84 87 90
SOURCE Annual Report Annual Report Annual Report Annual Report Annual Report

Annual Reports

  • Annual Report 2024/25
  • Annual Report 2023/24
  • Annual Report 2022/23
  • Annual Report 2021/22
  • Annual Report 2020/21