National Government

Amatola Water

Departments, clusters, public entities, and national service providers.

Contact Details

Postal Private Bag X3, Vincent, 5217
Physical 6 Lancaster Road, Vincent, East London
Tel 043 707 3700 / 0800 864 699
Web www.amatolawater.co.za

Overview

Amatola Water is a regional water utility that supplies bulk water and related services to municipalities and communities in its service area. It supports water security through treatment, distribution infrastructure, and operational maintenance, and it works with local government to strengthen service delivery outcomes. The utility’s role is practical and essential: helping ensure reliable water availability for households, institutions, and local economies.

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Office Bearers/Management

Dr G Sharpley

Mr S Koyo

Chairperson:
Dr Gaster Sharpley
Deputy Chairperson:
n/a
Board Members:
Ms Nomfundo Douw-Jack
Ms Litha Geza
Adv Sonwabile Mancotywa
Mr Ayanda Mjekula
Ms Boitumelo Mokgatle
Mr Gcinikhaya Mpumza
Mr Wisdom Mushohwe
Ms Nonkululeko Mxenge-Mayende
Chief Executive Officer:
Mr Siyabulela Koyo
Chief Financial Officer:
Mr Jonathan Jackson
Senior Management:
Ms Dorothy Mabuza (Executive Manager: Planning and Development)
Ms Lindokuhle Nzoyi (Executive Manager: Corporate Services)
Mr Sazile Qweleka (Executive Manager: Operations)
Communications Officers:
Ms Amanda Skritch (Acting Manager: Communication and Stakeholders)
Ms Nosisa Sogayise (Head: Stakeholder and Communications)

Financial Information

All Financial Values: R'000 2024/25 2023/24 2022/23 2021/22 2020/21
AUDIT OUTCOME Financially Unqualified Financially Unqualified Financially Unqualified Qualified Qualified
FINANCIAL POSITION
Current Assets 491 725 510 113 468 948 508 552 699 480
Non-Current Assets 1 525 663 1 576 746 1 638 945 1 710 238 1 825 548
Total Assets 2 017 388 2 086 859 2 107 893 2 218 790 2 525 028
Current Liabilities 706 214 616 661 455 837 363 213 498 529
Non-Current Liabilities 707 405 406 - -
Total Liabilities 706 921 617 066 456 243 363 213 498 529
Total Net Assets 1 310 467 1 469 793 1 651 650 1 855 577 2 026 499
FINANCIAL PERFORMANCE
Total Revenue 108 475 88 482 52 878 422 216 80 601
Revenue from Exchange Transactions 108 475 88 482 52 878 422 216 54 990
Revenue from Non-Exchange Transactions - - - - 25 611
Total Expenditure (267 578) (247 513) (256 424) (596 605) (179 153)
Employee Related costs (86 780) (81 771) (78 814) (62 118) (59 631)
Surplus/(Deficit) for Year (159 103) (159 031) (203 546) (174 389) (98 552)
CASH FLOW
Net Cash Flows from Operating Activities (10 803) (61 324) (47 112) (160 661) (74 301)
Net Cash Flows from Investing Activities (12 327) (8 187) (5 597) (4 404) (45 532)
Cash & Cash Equivalents at End of Year 107 095 130 225 199 736 252 445 417 510
UIFW EXPENDITURE
Unauthorised Expenditure - - - - -
Irregular Expenditure 75 317 82 857 94 557 1 901 7 078
Fruitless & Wasteful Expenditure 288 9 082 25 616 19 000 14 560
HUMAN RESOURCES
Posts Approved n/a 771 780 378 326
Posts Filled 375 374 387 287 295
SOURCE Annual Report Annual Report Annual Report Annual Report Annual Report
Note