Rand West City (GT485)

Municipal Performance Review - 2021 Q4

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Key Financial Ratios

Description Norm Municipality Provincial Average National Average
Collection Ratio > 95% 24.8 73.9 53.0
Capital Expenditure to Total Expenditure 10-20% 8.3 8.1 12.5
Remuneration to Total Operating Expenditure 25-40% 38.5 26.9 31.1
Budget Implementation: Capital Expenditure 95-100% 45.5 79.1 80.3

Municipality achieved a collection ratio below the norm. This has a negative impact on liquidity and all efforts should be directed to improve collections as this has a direct negative impact on liquidity and sustainability. The Capital Expenditure to Total Expenditure ratio is below the norm. This indicates possible issues with prioritisation of capital expenditure that could negatively impact future service delivery.
The Budget Implementation for Capital Expenditure is below the acceptable norm. This is an indication of possible inefficiencies in the budgeting process, capital project implementation and management and cash management.

Financial Performance

Capital TransfersOperating ExpenditureOperating Revenue0200M400M600M
Q1Q2Q3Q4

The municipality achieved an operating surplus (excluding Capital Transfers) which indicates that the municipality is less dependent on subsidies and grants in order to remain sustainable.

Description Planned Actual YTD Variance Variance %
Operating Revenue R2,051.5M R1,734.7M R-316.8M -15.4%
Operating Expenditure R2,138.5M R1,381.5M R-757.1M -35.4%
Net Surplus / Deficit R-87.0M R353.2M R440.2M -506.0%
Capital Transfers R216.9M R155.3M R-61.6M -28.4%
Net Surplus / Deficit - After Capital Transfers R129.9M R508.5M R378.7M 291.6%

Capital Expenditure

The municipality implemented 45.5 % of the planned capital expenditure as at the end of the 4th Quarter. The Net Margin of 29.3% as well as the funding sources influenced the municipality’s ability to spend the planned capital.

The highest capital expenditure occurred in the 4th quarter and represents 54.5% of the total capital expenditure YTD.

Description Planned Actual YTD Variance Variance %
Capital Expenditure R275.1M R125.0M R-150.0M -54.5%

Source of Funding

050M100M150M200MBorrowingDistrict MunicipalityInternally generated fundsNational GovernmentProvincial GovernmentTransfers and Subsidies
Actual YTDPlanned

National Government made the highest contribution to capital expenditure for the YTD and accounted for 98.8%

Cash Flow

Description Planned YTD Actual Variance Variance %
Cash Flow from Operating Activities R232.1M R1,834.0M R-1,601.9M 690.1%
Cash Flow from Investing Activities R-238.5M R-154.8M R-83.7M -35.1%
Cash Flow from Financing Activities R0.0M R0.2M R-0.2M Inf
Net Cash Flow R-6.3M R1,679.4M R-1,685.7M -26 629.1%

Debtors Ageing

The municipality has a total outstanding debtors balance of R996.4M with total bad debt written off of R-4.3M and impairment of debt amounts to R0.0M.

Days 0-30Days 31-60Days 61-90Days Over 900200M400M600M800M
Days 0-30Days 31-60Days 61-90Days Over 90

Debtors Ageing by Customer Group

Description Current 30 Days 60 Days Over 90 Days Total Bad Debt Impairment
Organs of State R3.6M R1.1M R1.1M R30.3M R36.0M R0.0M R0.0M
Commercial R61.0M R16.7M R15.2M R163.8M R256.7M R2.2M R0.0M
Households R38.1M R23.4M R20.9M R621.3M R703.6M R-6.5M R0.0M

Debtors Ageing by Income Source

Description Current 30 Days 60 Days Over 90 Days Total Bad Debt Impairment
Water R26.7M R13.8M R14.2M R178.0M R232.7M R-0.9M R0.0M
Electricity R40.8M R5.0M R4.0M R65.6M R115.4M R-0.7M R0.0M
Property Rates R14.6M R5.7M R5.0M R138.5M R163.9M R-0.6M R0.0M
Waste Water Management R6.2M R4.0M R4.0M R86.7M R100.9M R-1.5M R0.0M
Waste Management R6.3M R4.0M R3.7M R92.1M R106.2M R-1.0M R0.0M
Property Rental Debtors R0.0M R0.0M R0.0M R60.6M R60.6M R-1.5M R0.0M
Interest on Arrear Debtor Accounts R5.5M R5.3M R5.1M R133.7M R149.7M R0.0M R0.0M
Other R2.6M R3.3M R1.0M R60.1M R67.0M R1.8M R0.0M

Creditors Ageing

The municipality has a total outstanding creditors balance of R1,460.4M with total outstanding more than 90 days of R1,019.5M(69.8%).

Days 0-30Days 31-60Days 61-90Days Over 9000.5B1B
Days 0-30Days 31-60Days 61-90Days Over 90
Description Current 30 Days 60 Days Over 90 Days Total
Bulk Electricity R256.2M R10.3M R0.0M R654.3M R920.8M
Bulk Water R0.0M R0.0M R0.0M R29.9M R29.9M
Trade Creditors R124.5M R34.5M R14.5M R335.2M R508.7M
Auditor-General R0.9M R0.0M R0.0M R0.0M R0.9M


Disclaimer: The analyis was caried out on the Quarter 4 Reports obtained from National Treasury and they are publically available. We do not provide any assurance on the accuracy of the data, reporting or analysis.