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Note 14 - Trade and Other Receivables
6 Months Ended
Jun. 30, 2020
Statement Line Items [Line Items]  
Disclosure of trade and other receivables [text block]
14
       Trade and other receivables
 
      December 31,  
      2020       2019  
                 
Bullion sales receivable    
4,027
     
2,987
 
VAT receivables    
1,169
     
1,765
 
Deferred consideration on the disposal of subsidiary    
1,099
     
1,991
 
Deposits for stores and equipment and other receivables    
875
     
169
 
     
7,170
     
6,912
 
 
The net carrying value of trade receivables is considered a reasonable approximation of fair value and are short-term in nature.
No
provision for expected credit losses were recognised as all scheduled payments were received up to the date of approval of these financial statements and non-payment of Trade and other receivables were
not
foreseen. The Bullion sales receivable was received after the quarter end.