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Cash flow information
6 Months Ended
Dec. 31, 2023
Statement of cash flows [abstract]  
Cash flow information Cash flow information
(in U.S. dollars, in thousands)
(a) Reconciliation of cash and cash equivalents
As of
December 31,
2023
As of
June 30,
2023
Cash at bank77,144 70,920 
Deposits at call410 398 
77,554 71,318 
(in U.S. dollars, in thousands)Six Months Ended
December 31,
(b) Reconciliation of net cash flows used in operations with loss after income tax20232022
Loss for the period(32,539)(41,370)
Add/(deduct) net loss for non-cash items as follows:  
Depreciation and amortization2,443 2,190 
Foreign exchange (gains)/losses(159)193 
Finance costs10,319 10,685 
Remeasurement of contingent consideration337 (5,989)
Remeasurement of warrant liabilities(4,434)712 
Equity settled share-based payment2,195 1,757 
Deferred tax benefit(102)(126)
Change in operating assets and liabilities:  
Decrease/(increase) in trade and other receivables2,084 (743)
Decrease/(increase) in prepayments(131)(424)
Decrease/(increase) in tax incentive recoverable1,094 — 
Increase/(decrease) in trade creditors and accruals(9,500)2,608 
Increase/(decrease) in provisions1,821 (234)
Net cash outflows used in operations(26,572)(30,741)