NOTES TO THE FINANCIAL STATEMENTS | Note 15

15.

OTHER RESERVES

 
  
  Group 
  Share-based  payment 
reserve 
R'000 
   Foreign 
currency  translation 
reserve 
R'000 
   Treasury 
shares 
R'000 
   Total reserves 
R'000 
  
Balance as at 30 June 2018  3 501     793     (2 324)    1 970    
Share-based payment expense  7 785             7 785    
Other comprehensive income      (3 907)        (3 907)   
Balance as at 30 June 2019  11 286     (3 114)    (2 324)    5 848    
Share-based payment expense  9 131             9 131    
Other comprehensive income      (380)        (380)   
Reclassification between reserves*      (11 138)        (11 138)   
Balance as at 30 June 2020  20 417     (14 632)    (2 324)    3 461    
* The foreign currency translation reserve relating to Medscheme Mauritius Limited was reclassified from retained earnings to the foreign currency translation reserve.
   Company 
  Share-based  payment 
reserve
R'000 
   Total reserves 
R'000 
  
Balance as at 30 June 2018  3 501     3 501    
Share-based payment expense  7 785     7 785    
Balance as at 30 June 2019  11 286     11 286    
Share-based payment expense  9 131     9 131    
Balance as at 30 June 2020  20 417     20 417    

NOTES TO THE FINANCIAL STATEMENTS| Note 15