Sedibeng Water

Contact Details

Physical: Protea Street, Balkfontein, Bothaville, 9660
Postal: Private Bag X5, Bothaville, 9660
Tel: 056 515 0200
Fax: 056 515 0369


Sedibeng Water’s mission is to focus on: the appropriate treatment of wastewater and supply of potable water; ensuring viability and sustainability; creating an environment that is conducive to the growth and retention of skills; providing effective and efficient communications; and ensuring compliance.

Office Bearers/Management

Mr M Dikoko
Chief Executive Officer
Mr R Takalani

Mr MD Dikoko
Deputy Chairperson:
Ms JM Ramataboe
Board Members:
Mr EA Gaborone
Adv SST Kholong
Mr DD Madyo
Mr CD Mboweni
Dr P Molokwane
Mr MM Mthombeni
Ms GG Ramakarane
Ms KG Sereko
Chief Executive Officer:
Mr RT Takalani
Chief Financial Officer:
Ms MA Shasha
Senior Management:
Mr IM Hasenjager (Manager: New Business Development)
Ms DI Khumalo (Company Secretary)
Mr NT Molobye (Manager: Human Resources)
Mr MI Motsamai (Manager: Internal Audit)
Mr DR Mukondeleli (Manager: Projects)
Mr NE Ratshitanga (Manager: Technical Support and Acting Manager: Safety, Health and Environment)
Mr DF Traut (Manager: Scientific Services)
Communications Officers:
Mr Alfred Theys (Manager: Marketing and Communication)

Financial Information

All Financial Values: R'0002015/162014/152013/14
AUDIT OUTCOMEFinancially UnqualifiedFinancially UnqualifiedClean Audit
Current Assets2 728 5551 878 2841 200 185
Non-Current Assets2 171 5742 252 7102 064 082
Total Assets4 900 1294 130 9943 264 267
Current Liabilities1 832 9941 265 101779 519
Non-Current Liabilities191 205191 223122 857
Total Liabilities2 024 1991 456 324902 376
Total Net Assets2 875 9302 674 6702 361 891
Total Revenue1 520 9371 368 183937 214
Revenue from Exchange Transactionsn/an/an/a
Revenue from Non-Exchange Transactionsn/an/an/a
Total Expenditure(1 319 677)(1 177 211)(839 285)
Employee Costs(300 738)(259 095)(180 836)
Surplus/(Deficit) for Year201 260190 97297 929
Net Cash Flows from Operating Activities193 97287 669183 234
Net Cash Flows from Investing Activities(64 462)(134 098)(90 497)
Cash & Cash Equivalents at End of Year465 524338 102305 364
Unauthorised Expenditure---
Irregular Expenditure-7 9081 128
Fruitless & Wasteful Expenditure182395-
Posts Approvedn/an/an/a
Posts Filledn/an/an/a
SourcesAnnual ReportAnnual ReportAnnual Report
NoteNot audited by AGSA. Independent Audit Report. Not audited by AGSA. Independent Audit Report.Not audited by AGSA. Independent Audit Report.

Overseeing Department/Entity

Annual Reports

The information in this directory is supplied and/or externally sourced and is also subject to continual change. If you notice any errors or omissions, please contact us at so that we can correct them.
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