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SUPPLEMENTARY CASH FLOWS INFORMATION (Tables)
12 Months Ended
Mar. 31, 2022
Cash Flow Statement [Abstract]  
Analysis of Non-Cash Working Capital
Changes in non-cash working capital are as follows:
20222021
Cash provided by (used in) non-cash working capital:
Accounts receivable$34.2 $32.6 
Contract assets(49.3)75.5 
Inventories107.3 43.4 
Prepayments(5.6)2.3 
Income taxes (11.5)(12.0)
Accounts payable and accrued liabilities(24.6)(54.0)
Provisions(25.8)27.7 
Contract liabilities(2.2)(165.0)
$22.5 $(49.5)
Supplemental Cash Flow Information
Supplemental information:
 20222021
Interest paid $78.0 $98.0 
Interest received 13.1 13.2 
Income taxes paid 44.5 26.4