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Condensed Consolidated Balance Sheets - USD ($)
$ in Thousands
Dec. 31, 2018
Jun. 30, 2018
CURRENT ASSETS    
Cash and cash equivalents $ 69,910 $ 90,054 [1]
Restricted cash (Note 10) 63,131  
Pre-funded social welfare grants receivable (Note 2) [1]   2,965
Accounts receivable, net (Note 3) 105,007 109,683 [1]
Finance loans receivable, net (Note 3) 25,122 62,205 [1]
Inventory (Note 4) 10,272 12,887 [1]
Total current assets before settlement assets 273,442 277,794 [1]
Settlement assets (Note 5) 65,765 149,047 [1]
Total current assets 339,207 426,841 [1]
PROPERTY, PLANT AND EQUIPMENT, net of accumulated depreciation of - December: $132,191; June: $129,185 23,739 27,054 [1]
EQUITY-ACCOUNTED INVESTMENTS (Note 7) 93,561 88,331 [1]
GOODWILL (Note 8) 267,964 283,240 [1]
INTANGIBLE ASSETS, net (Note 8) 115,250 131,132 [1]
DEFERRED INCOME TAXES 20,826 6,312 [1]
OTHER LONG-TERM ASSETS, including reinsurance assets (Note 7 and Note 9) 219,577 256,380 [1]
TOTAL ASSETS 1,080,124 1,219,290 [1]
CURRENT LIABILITIES    
Short-term credit facilities for ATM funding (Note 10) 63,131  
Accounts payable 20,939 35,055 [1]
Other payables 73,464 47,994 [1]
Current portion of long-term borrowings (Note 10) 24,660 44,695 [1]
Income taxes payable 6,770 5,742 [1]
Total current liabilities before settlement obligations 188,964 133,486 [1]
Settlement obligations (Note 5) 65,765 149,047 [1]
Total current liabilities 254,729 282,533 [1]
DEFERRED INCOME TAXES 52,376 46,606 [1]
LONG-TERM BORROWINGS (Note 10) 10,395 5,469 [1]
OTHER LONG-TERM LIABILITIES, including insurance policy liabilities (Note 9) 2,515 38,580 [1]
TOTAL LIABILITIES 320,015 373,188 [1]
COMMITMENTS AND CONTINGENCIES (Note 19) [1]
REDEEMABLE COMMON STOCK 107,672 107,672 [1]
EQUITY    
COMMON STOCK (Note 11) Authorized: 200,000,000 with $0.001 par value; Issued and outstanding shares, net of treasury - December: 56,833,925; June: 56,685,925 80 80 [1]
PREFERRED STOCK Authorized shares: 50,000,000 with $0.001 par value; Issued and outstanding shares, net of treasury: December: -; June: - [1]
ADDITIONAL PAID-IN-CAPITAL 277,463 276,201 [1]
TREASURY SHARES, AT COST: December: 24,891,292; June: 24,891,292 (286,951) (286,951) [1]
ACCUMULATED OTHER COMPREHENSIVE LOSS (12) (198,272) (184,436) [1]
RETAINED EARNINGS 768,485 837,625 [1]
TOTAL NET1 EQUITY 560,805 642,519 [1]
NON-CONTROLLING INTEREST 91,632 95,911 [1]
TOTAL EQUITY 652,437 738,430 [1]
TOTAL LIABILITIES, REDEEMABLE COMMON STOCK AND SHAREHOLDERS' EQUITY $ 1,080,124 $ 1,219,290 [1]
[1] Derived from restated audited financial statements filed on Form 10-K/A on December 6, 2018