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Provincial Government

Eastern Cape Gambling Board (ECGB)

Provincial departments, entities, and offices for each province.

ECGB Active https://ecgb.org.za

Contact Details

Postal PO Box 15355, Beacon Bay, East London, 5211
Physical Quenera Office Park, Quenera Drive, Beacon Bay, East London, 5201
Tel 043 702 8300
Web ecgb.org.za

Overview

The Eastern Cape Gambling Board (ECGB) regulates gambling activities in the province to promote lawful, fair, and responsible operations. It oversees licensing and compliance, monitors regulated operators, and supports enforcement where breaches occur. By strengthening regulatory oversight, the board helps protect consumers, reduce harm, and maintain integrity in gambling markets within the Eastern Cape.

Overseeing Department/Entity

  • Economic Development, Environmental Affairs and Tourism

Tenders/Vacancies/Jobs

  • Tenders | View tenders
  • Vacancies/Jobs

Map

Office Bearers/Management

Chairperson:
Ms Traci Mackie-Huisman
Deputy Chairperson:
Ms Vuyelwa Qinga Vika
Board Members:
Adv Jacques Johan Buchner
Mr Matthys De Beer
Mr Ntobeko Mafuya
Ms Bongeka Msayi-Jozana
Dr Nqwenelwa Ncede
Mr Makhaya Zokoza
CEO:
Mr Mabutho Zwane
CFO:
Mr Zizo Mqoboli
Senior Management:
Mr Keveshen Chetty (Manager: ICT)
Mr Bonga Jaxa (Executive Manager: Gambling Regulation)
Mr Lucky Lukhwareni (Legal Manager)
Mr Sibusiso Mhlauli (Manager: Finance)
Ms Nomandla Ntoyakhe (Human Resources Manager)
Ms Yondela Roboji (Executive Manager: Corporate Services)
Ms Koleka Tokwe (Manager: Investigation and Licensing)
Mr Luvuyo Tshoko (Manager: Strategic Management Services)
Communications Officers:
Ms Pumeza George

Financial Information

All Financial Values: R'000 2024/25 2023/24 2022/23 2021/22 2020/21
AUDIT OUTCOME Clean Audit Clean Audit Clean Audit Clean Audit Clean Audit
FINANCIAL POSITION
Current Assets 34 698 44 300 43 408 39 725 33 619
Non-Current Assets 35 717 31 683 30 252 27 017 25 287
Total Assets 70 415 75 983 73 660 66 742 58 906
Current Liabilities 34 706 33 666 31 616 31 839 28 604
Non-Current Liabilities 1 613 1 348 1 402 568 546
Total Liabilities 36 319 35 014 33 018 32 407 29 150
Total Net Assets 34 096 40 969 40 641 34 335 29 756
FINANCIAL PERFORMANCE
Total Revenue 91 435 86 683 82 394 76 558 74 186
Revenue from Exchange Transactions 21 053 15 958 12 351 14 597 12 836
Revenue from Non-Exchange Transactions 70 382 70 725 70 043 61 961 61 350
Total Expenditure (98 308) (86 355) (78 421) (71 979) (65 835)
Employee Related costs (62 916) (56 886) (51 948) (50 736) (46 950)
Surplus/(Deficit) for Year (6 873) 328 6 899 4 579 8 351
CASH FLOW
Net Cash Flows from Operating Activities (8 538) 695 8 970 7 550 11 139
Net Cash Flows from Investing Activities (4 400) (1 413) (3 299) (3 970) (9 293)
Cash & Cash Equivalents at End of Year 13 704 26 801 27 906 22 538 18 958
UIFW EXPENDITURE
Unauthorised Expenditure - - - - -
Irregular Expenditure - - - - -
Fruitless & Wasteful Expenditure - - - - -
HUMAN RESOURCES
Posts Approved 61 60 59 58 58
Posts Filled 58 55 54 54 53
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