Provincial Government

Limpopo Gambling Board

Provincial departments, entities, and offices for each province.

limpopo-gambling-board Active https://lgb.org.za

Contact Details

Postal Private Bag X9520, Polokwane, 0700
Physical 8 Hans van Rensburg Street, Polokwane, 0700
Tel 015 230 2300
Web lgb.org.za

Overview

The Limpopo Gambling Board regulates gambling activities in the province to promote lawful, fair, and responsible operations. It administers licensing processes, monitors compliance, and supports enforcement actions where required to maintain integrity and protect consumers. By strengthening oversight and harm reduction measures, the board contributes to safer communities and improved governance in gambling markets in Limpopo.

Overseeing Department/Entity

Tenders/Vacancies/Jobs

  • Tenders | View tenders
  • Vacancies/Jobs

Map

Office Bearers/Management

Chairperson:
Mr Elijah Tjiane
Deputy Chairperson:
Adv Aarone Mahumani
Board Members:
Ms Makosha Maditsi
Mr Serobi Maja
Mr Mokgase Gregory Makoko (CEO)
Mr NJ Mpjane
Mr R Mudogwa (Shareholder Representative-LEDET)
Mr Chipyane Nkadimeng
Ms RS Sefoka
Mr Magoro Tema (Treasury Representative)
CEO:
Mr Mokgase Gregory Makoko
CFO:
M Molepo
Senior Management:
K Bidzha (Manager: IT)
Adv Linda Ganess (Senior Manager: Legal Service)
E Hlangwini (Law Enforcement)
J Legodi (Manager: Supply Chain Manager)
B Mabotja (Manager: Internal Control)
MD Malesa (Corporate Services)
P Masogo (Law Enforcement)
L Mathavhane (Compliance)
R Mogotle (Manager: CEO Support)
N Molepo (Manager: Licensing and Investigation)
E Phoffu (Manager: Human Resources)
I Rameetse (Manager: Compliance Audit)
J Tshabalala (Manager: Gaming Systems)
Communications Officers:
Ms Naomi Molepo (Spokesperson)

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 Clean Audit Clean Audit
FINANCIAL POSITION
Current Assets 23 720 30 283 25 898 33 459 27 487
Non-Current Assets 3 866 2 522 3 430 2 790 4 138
Total Assets 27 586 32 805 29 328 36 248 31 626
Current Liabilities 22 296 24 193 29 259 36 764 35 320
Non-Current Liabilities 2 752 1 658 208 269 250
Total Liabilities 25 047 28 581 29 467 37 034 35 570
Total Net Assets 2 539 6 954 (139 253) (786) (3 945)
FINANCIAL PERFORMANCE
Total Revenue 439 630 365 437 292 410 216 786 152 180
Revenue from Exchange Transactions 3 443 3 705 2 817 2 222 2 088
Revenue from Non-Exchange Transactions 436 186 361 732 289 592 214 563 150 092
Total Expenditure (101 641) (87 337) (78 306) (65 722) (60 212)
Employee Related costs (56 875) (52 336) (44 286) (41 569) (38 625)
Surplus/(Deficit) for Year 337 988 278 100 214 104 151 063 91 967
CASH FLOW
Net Cash Flows from Operating Activities (3 471) 3 828 (6 407) 6 192 2 269
Net Cash Flows from Investing Activities (2 443) (22) (1 728) (10) (558)
Cash & Cash Equivalents at End of Year 22 948 28 862 25 055 33 190 27 007
UIFW EXPENDITURE
Unauthorised Expenditure - - - - -
Irregular Expenditure 507 - - - -
Fruitless & Wasteful Expenditure 11 236 - 8 -
HUMAN RESOURCES
Posts Approved 73 73 73 73 73
Posts Filled 66 64 61 59 56
SOURCE Annual Report Annual Report Annual Report Annual Report Annual Report
Note

Annual Reports

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