Finance summary 2022/2023 comparative graph Total equity and liabilities Current liabilities: Trade and other payables Equity and liabilities Total assets Cash and cash equivalents Property, plant and equipment Trade and other receivables Assets Equity: Accumulated surplus 31 March 2023 31 March 2024 374 402 7 790 872 30 103 740 38 269 014 29 680 012 8 589 002 38 269 014 219 358 6 394 429 26 792 642 33 406 429 27 163 937 6 242 492 33 406 429 Trade and other receivables Trade and other receivables increased due to the increase in fundraising activities organised, where guests are invoiced in advance for these activities, and payment thereof is due closer to the activity date. Trade and other payables Trade and other payables comprise mostly income received in advance for bookings of fundraising events to take place in the next financial year. This amount has increased from the previous year due to the increase in various fundraising events being organised. Revenue The revenue for the year ended 31 March 2024 continued to improve on the prior year. 2024 Donations R6 189 100 Fundraising projects R20 467 114 Insurance claims R14 771 Levies and membership fees R660 214 Merchandise sales R1 142 767 Skills development R287 436 SANParks Honorary Rangers 2024 53
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