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CASH GENERATED FROM OPERATIONS (Details) - ZAR (R)
R in Millions
12 Months Ended
Jun. 30, 2023
Jun. 30, 2022
Jun. 30, 2021
Cash flows from (used in) operating activities [abstract]      
Profit for the year R 1,281.4 R 1,123.8 R 1,439.9
Adjusted for:      
Income tax 405.0 334.3 523.7
Depreciation 217.5 267.6 252.5
Movement in gold in process and finished inventories - Gold Bullion (10.8) (30.4) 25.6
Change in estimate of environmental rehabilitation recognised in profit or loss (7.1) (2.2) (12.4)
Environmental rehabilitation payments to reduce the restoration liabilities (1.3) (3.3) (5.8)
Share based payment expense 22.0 18.4 (28.3)
Gain on disposal of property, plant and equipment (10.3) (6.6) (0.1)
Insurance claim received/(receivable) 31.7 (31.7) 0.0
Finance income (334.3) (225.8) (216.2)
Finance expense 70.7 74.8 69.5
Other non-cash items 0.0 3.8 (2.5)
Operating cash flows before working capital changes 1,664.5 1,522.7 2,045.9
Changes in: 44.2 62.9 (194.9)
Trade and other receivables 19.9 25.7 6.9
Inventories (13.6) (18.9) (44.7)
Payment made under protest (12.6) (15.2) (8.1)
Trade and other payables and employee benefits 50.5 71.3 (149.0)
Cash generated from operations R 1,708.7 R 1,585.6 R 1,851.0