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Note 31 - Cash Flow Information (Tables)
12 Months Ended
Dec. 31, 2022
Statement Line Items [Line Items]  
Disclosure of detailed information of the cash flow statement [text block]
  

2022

  

2021

  

2020

 
             

Operating profit

  40,276   38,360   40,735 

Adjustments for:

            

Impairment of property, plant and equipment (note 17)

  8,209   497    

Impairment of exploration and evaluation assets (note 18)

  467   3,837   2,930 

Unrealised foreign exchange gains (note 13)

  (12,736)  (2,754)  (8,367)

Cash-settled share-based expense (note 12.1)

  609   477   1,413 

Cash-settled share-based expense included in production costs (note 9)

  853   692   634 

Cash portion of cash-settled share-based expense (note 12.1)

  (1,468)  (420)  (1)

Equity-settled share-based expense (note 12.2)

  484       

Depreciation (note 17)

  10,141   8,046   4,628 

Fair value loss on derivative instruments (note 14)

  401   240   266 

Write down of inventory (note 9)

  563       

Derecognition of property, plant and equipment

     (38)  182 

Expected credit losses on deferred consideration on the disposal of subsidiary

     761    

Cash generated from operations before working capital changes

  47,799   49,698   42,420 

Inventories

  1,915   (4,016)  (5,707)

Prepayments

  (1,375)  (4,272)  816 

Trade and other receivables

  (1,561)  (4,746)  539 

Trade and other payables

  2,879   2,039   (101)

Cash generated from operations

  49,657   38,703   37,967