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Note 30 - Cash Flow Information
12 Months Ended
Dec. 31, 2019
Statement Line Items [Line Items]  
Disclosure of cash flow statement [text block]
30
Cash flow information
 
Non-cash items and information presented separately on the cash flow statement:
 
    2019     2018     2017  
                   
Operating profit    
60,889
     
21,421
     
20,618
 
Adjustments for:                        
Loss on sale of Property, plant and equipment    
-
     
-
     
2
 
Impairment of Property, plant and equipment    
144
     
208
     
12
 
Profit on disposal of subsidiary    
(5,409
)    
-
     
-
 
Scrapping of Property, plant and equipment    
63
     
-
     
-
 
Unrealised foreign exchange (gain)/loss    
(31,307
)    
(243
)    
121
 
Cash-settled share-based payment expense    
689
     
228
     
897
 
Cash-settled share-based payment expense included in operating cost    
107
     
43
     
311
 
Equity-settled share-based payment expense    
-
     
14
     
835
 
Settlement of cash-settled share-based payments    
(1,384
)    
-
     
-
 
Site restoration    
-
     
30
     
36
 
Depreciation    
4,434
     
4,071
     
3,763
 
Allowance for obsolete stock    
-
     
15
     
32
 
Provision for impairment – royalty rebate (note 11)    
-
     
-
     
181
 
Unrealised portion of gold hedge    
(102
)    
-
     
-
 
Net cash used for assets and liabilities held for sale    
-
     
(2
)    
-
 
Cash generated by operations before working capital changes    
28,124
     
25,785
     
26,808
 
Inventories    
(1,655
)    
(277
)    
(1,975
)
Prepayments    
(2,099
)    
(62
)    
82
 
Trade and other receivables    
393
     
(1,916
)    
(1,437
)
Trade and other payables    
(878
)    
(2,411
)    
5,407
 
Cash flows from operating activities    
23,885
     
21,119
     
28,885