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Cash flow from operations (Tables)
12 Months Ended
Jun. 30, 2022
Cash flow from operations  
Schedule of cash flow from operations

2022

2021

2020

for the year ended 30 June

    

Note

    

Rm

    

Rm

    

Rm

Earnings/(loss) before interest and tax (EBIT/(LBIT))

61 417

16 619

(111 926)

Adjusted for

 

  

 

  

 

  

 

  

share of (profits)/losses of equity accounted investments

 

21

 

(3 128)

 

(814)

 

347

equity-settled share-based payment

 

35

 

1 164

 

1 927

 

1 946

depreciation and amortisation

 

14 073

 

17 644

 

22 327

effect of remeasurement items

 

9

 

(9 903)

 

23 218

 

111 978

movement in long-term provisions

 

 

 

income statement charge

 

32

 

643

 

(3)

 

(2 208)

utilisation

 

32

 

(310)

 

(388)

 

(734)

movement in short-term provisions

 

(2 182)

 

2 839

 

39

movement in post-retirement benefits

 

443

 

880

 

733

translation effects

(886)

(5 047)

6 098

write-down of inventories to net realisable value

 

451

 

83

 

384

movement in financial assets and liabilities

 

2 760

 

(4 225)

 

3 990

movement in other receivables and payables

 

3 223

 

(240)

 

3 057

other non-cash movements

 

(91)

 

(225)

 

515

 

67 674

 

52 268

 

36 546