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Note 32 - Cash Flow Information - Non-cash Items and Information (Details) - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2023
Dec. 31, 2022
Dec. 31, 2021
Statement Line Items [Line Items]      
Operating profit $ 15,177 $ 40,276 $ 38,360
Impairment of property, plant and equipment (note 18) 877 8,209 497
Adjustments for impairment loss (reversal of impairment loss) recognised in profit or loss, exploration and evaluation assets 0 467 3,837
Impairment of solar plant - VAT and duty receivables 720 0 0
Unrealised foreign exchange gains (note 13) (4,217) (12,736) (2,754)
Cash-settled share-based expense (note 12.1) 463 609 477
Cash-settled share-based expense included in production costs (note 12.1) 660 853 692
Cash portion of cash-settled share-based expense (1,695) (1,468) (420)
Expense from equity-settled share-based payment transactions 640 484 (0)
Depreciation (note 18) 14,486 10,141 8,046
Fair value loss on derivative instruments (note 14) 1,119 401 240
Profit on disposal of property, plant and equipment (note 18) 33 0 0
Derecognition of property, plant and equipment 0 0 (38)
Write down of inventory 283 563 0
Expected credit losses on deferred consideration on the disposal of subsidiary 0 0 761
Cash generated from operations before working capital changes 28,546 47,799 49,698
Inventories (2,182) 1,915 (4,016)
Prepayments 338 (1,375) (4,272)
Trade and other receivables (1,910) (1,561) (4,746)
Trade and other payables 1,606 2,879 2,039
Cash generated from operations $ 26,398 $ 49,657 $ 38,703