XML 337 R48.htm IDEA: XBRL DOCUMENT v3.24.3
CASH GENERATED FROM OPERATIONS (Tables)
12 Months Ended
Jun. 30, 2024
Cash flows from (used in) operating activities [abstract]  
Disclosure of cash generated by operations
Amounts in R millionNote202420232022
Profit for the year1,328.71,281.41,123.8
Adjusted for:
Income tax18.1488.2405.0334.3
Depreciation 9270.4217.5267.6
Movement in gold in process and finished inventories - Gold Bullion5.1(34.9)(10.8)(30.4)
Change in estimate of environmental rehabilitation recognised in profit or loss11(11.6)(7.1)(2.2)
Environmental rehabilitation payments to reduce the restoration liabilities11(1.3)(1.3)(3.3)
Share based payment expense5.326.4 22.018.4
Gain on disposal of property, plant and equipment5.2(0.6)(10.3)(6.6)
Insurance claim (receivable)/received5.2(1.2)31.7(31.7)
Finance income6(280.8)(334.3)(225.8)
Finance expense776.470.7 74.8 
Other non-cash items2.4 — 3.8 
Operating cash flows before working capital changes1,862.11,664.51,522.7
Changes in:(123.8)44.262.9 
Trade and other receivables(296.2)19.925.7
Inventories(12.9)(13.6)(18.9)
Payment made under protest24(12.8)(12.6)(15.2)
Trade and other payables and employee benefits198.1 50.5 71.3 
Cash generated by operations1,738.31,708.71,585.6