CONSOLIDATED STATEMENT OF CASH FLOWS

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   Year ended 
30 June 
2021 
R'000 
Year ended 
30 June 
2020 
R'000 
Net cash inflow from operating activities  385 264  501 708 
Cash generated from operations  1 013 012  939 745 
Net finance income  (37 498) (44 887)
Distribution to shareholders  (327 711) (239 142)
Dividend received  4 292  4 626 
Tax and other payments  (266 831) (158 634)
Net cash utilised from investing activities  (658 214) (431 749)
Net additions to property and equipment  (216 577) (119 854)
Net additions to intangible assets  (205 543) (284 210)
Net acquisition of financial assets, investments and subsidiaries  (236 094) (27 685)
Net cash inflow/(outflow) from financing activities  298 589  (157 195)
Net increase/(decrease) in borrowings  389 474  (105 255)
Changes in ownership interests in subsidiaries that do not result in loss of control  (20 000) 6 303 
Net lease liability repayment  (70 885) (58 243)
Effect of foreign exchange benefit  (4 379) (380)
Net increase/(decrease) in cash and cash equivalents  21 260  (87 616)
Cash and cash equivalents at beginning of the period  177 680  265 296 
Cash and cash equivalents at end of the period  198 940  177 680