Provincial Government

McGregor Museum

Provincial departments, entities, and offices for each province.

mcgregor-museum Active https://museumsnc.co.za/new_site

Contact Details

Postal PO Box 316, Kimberley, 8300
Physical 7-11 Atlas Street, Herlear, Kimberley, 8301
Tel 053 839 2700
Web museumsnc.co.za/new_site

Overview

McGregor Museum preserves and presents collections and research linked to natural history, cultural history, and heritage themes. It supports public learning through exhibitions and educational programmes and contributes to research through stewardship of archives and collections. By conserving and interpreting heritage resources, the museum helps make local and scientific history accessible to communities, learners, and visitors.

Overseeing Department/Entity

Tenders/Vacancies/Jobs

  • Tenders |

Map

Office Bearers/Management

Chairperson:
n/a
Board Members:
n/a
CEO:
Ms Sunet Swanepoel
CFO:
Ms Tracy Maarman (Senior State Accountant)
Senior Management:
n/a
Communications Officers:
n/a

Financial Information

All Financial Values: R'000 2024/25 2023/24 2022/23 2021/22 2020/21
AUDIT OUTCOME Clean Audit Financially Unqualified Qualified Qualified Qualified
FINANCIAL POSITION
Current Assets 4 975 4 148 6 121 564 3 900
Non-Current Assets 307 704 303 565 295 711 4 208 3 482
Total Assets 312 678 307 713 301 832 4 772 7 381
Current Liabilities 3 686 3 233 5 425 275 319
Non-Current Liabilities 30 63 - 22 56
Total Liabilities 3 716 3 296 5 425 297 375
Total Net Assets 308 963 304 417 296 406 4 476 7 006
FINANCIAL PERFORMANCE
Total Revenue 35 355 34 742 19 291 20 081 19 980
Revenue from Exchange Transactions 955 789 548 410 617
Revenue from Non-Exchange Transactions 34 400 33 952 18 743 19 671 19 363
Total Expenditure (30 810) (26 932) (20 377) (22 996) (20 253)
Employee Related costs (15 911) (16 006) (14 241) (15 321) (15 376)
Surplus/(Deficit) for Year 4 545 7 810 (1 096) (2 936) (309)
CASH FLOW
Net Cash Flows from Operating Activities 1 433 (1 608) 5 768 (2 085) (1 027)
Net Cash Flows from Investing Activities (600) (444) (184) (1 143) (251)
Cash & Cash Equivalents at End of Year 4 917 4 113 6 095 549 3 816
UIFW EXPENDITURE
Unauthorised Expenditure - - - - -
Irregular Expenditure - - - - 23
Fruitless & Wasteful Expenditure 960 500 1 - -
HUMAN RESOURCES
Posts Approved 50 50 49 49 53
Posts Filled 41 43 42 45 47
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